Hello, I have a project that I need some input on what may be the best path to start.
I am creating a Daily Cash Report from multiple bank accounts.
The daily transactions (from the bank statements) need to be added to a daily sheet that will populate the opening balance, total transactions by account and closing balance. (I also would like to account for weekends and holidays also by just listing the beginning & ending balance for every day of the month that has no bank activity)
I attached a file that has a sample statement, an account recap (by day) and a recap report that will sum all of the accounts into a daily recap amount.
I am trying to recreate the accounts and recap tabs using Alteryx.
What would you recommend as a direction to start.
I was thinking about using a directory with all of the daily downloaded statements as my input or a single month to date file to use as my input.
I have posted many questions for parts of this project when I thought I had everything planned out, but I question if there is a better way.
Thanks
Sample Daily Account detail

Sample of Daily Recap
