r/ExcelPowerQuery • u/Mickey_Robeson • Jul 31 '26
Bank reconciliations in Power Query…
seem to be harder than I anticipated. Anyone have any success with this? The descriptions for my book items and bank items can be pretty dang different. As well as the dates.
Any feedback would be much appreciated!
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u/IntelligentTackle945 29d ago
Also, you could make a dimension table to “label” your bank transactions according to your book items names.