Financial Management - PSFT (MOSC)

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Additional BAI Statement for the same account and same date is marked as duplicate?

Hello,

Wonder if anyone has dealt with this - We have an additional bank statement coming in the next day for a bank account that already has been uploaded and reconciled the previous day. This additional statement is bringing in payments details for the summarized information that came in from the bank the previous day.

Does the delivered Bank Stmt Import process mark this statement as duplicate? Any customizations to make this work for your needs?

Thank you

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