Hello
When using AI on the Bank reconciliation and wanting to create a bank ledger entry for an unmatched transaction, why is AI limiting the ability to only post to a General ledger account. For example, if I choose the alternative way via Transfer to General Journal, I could choose to apply, in this example, the receipt to a customer account. Otherwise, the feature is great including the now added Text to account mapping but restricting to only post the difference to a GL account does not make sense.