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Finance | Project Operations, Human Resources, ...
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Bank statement import creating reconciliation worksheets for multiple accounts

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Has anyone seen the standard bank statement import action, with the Reconcile after import toggle on, create reconciliation worksheets for multiple statements/accounts, not just the statement/account most recently imported? This only seems to happen when we schedule a batch job to import the files from a configured ER source (i.e. not when the import is run interactively), so it's not obviously related to the ER format itself. Any ideas please?
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