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Reconciliation audit trail
As part of our month-end closing activities, I reconcile the bank balances with the transaction “Reconcile bank statement”. Now our internal audit department is asking whether there is also a log file for this activity that we can make available to the audit department.
Can we create a report for this, like when the reconciliation is done and then the user name?
I tried with saved searches for transactions, there is cleared criteria available, but how can I show the date cleared and user name in results
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