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The position reconciliation process within Eagle Accounting is managed by the Position Recon console and supporting message streams that match and reconcile positions, ledger balances, and lots from different sources. 

  • Interpret Match Status
  • Assign and Approve Breaks
  • Classify and Resolve Breaks
  • View Assignments and Audit History
  • Create Positions Exception Reports
  • Query Data Warehouse Positions Tables
  • Query MSGCENTER Position Work Tables
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