Exporting Transaction Matching Adjustments from Your Account Reconciliation Application

To export Transaction Matching adjustments from your Account Reconciliation application, you need to complete the following consecutive steps in Data Exchange:

  1. Create a source application in Data Exchange. See Creating a Source Application in Data Exchange.

  2. Create a target application in Data Exchange. See Creating a Target Application in Data Exchange.

  3. Define a folder where you want to store CSV files for export. See Creating a New Folder.

  4. Create a data integration record. See Creating a Data Integration Record.

  5. Execute the data integration record. See Executing the Data Integration.

Related Topics

General Notices