account_reconcile_analytic_tag
Extends bank reconciliation to manage analytic tags on manual entries and the resulting move lines.
Key Features
- account.bank.statement.line: Allows selecting analytic tags while reconciling bank statement lines and keeps them across manual reconciliation steps.
- account.bank.statement.line: Writes the chosen analytic tags onto the generated journal items and clears them when manual reconciliations are removed.
- account.reconcile.model.line: Lets reconciliation model lines define default analytic tags that are applied to their write-off entries.
- account.reconcile.abstract: Adds the manual analytic tags to the reconciliation values so downstream processes preserve the tagging.