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Hi,

I need to add Analytic Tags field to Bank/Cash statements, so when accounting reconcile the entries the field in the reconcile view will be populated automatically from the field in the statement. I know how to add the field to the statement by inherting account.bank.statement but not sure how to update Analytic Tags field when reconciling.

I appreciate any guidance.

Regards

Ameen

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Hello Ameen, 

Why not create a new reconciliation model (accounting/configuration/reconciliation models)
and suggest counterpart values or match existing invoices/bills with condition on Label ? 
regards

Regards

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