Translations:Internal and External corrections in the Reconciliation/2/en
From Marathon Documentation
Revision as of 10:38, 15 March 2019 by FuzzyBot (talk | contribs) (Importing a new version from external source)
Corrections in the reconciliation is a functionality to solve discrepancies by either moving parts of the discrepancy from one insertion to another or automatically create new insertions/price rows. The purpose of corrections is similar (solve discrepancies) but the reason to use them are quite varied and works very differently.