[IMP] Improve reconciliation rule activity tracking #28746
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Description of the issue/feature this PR addresses:
Keep track of journal entries generated using the reconciliation model.
Current behavior before PR:
There is no easy way to see a summary of what journal items have been reconciled with a bank statement. This makes troubleshooting difficult.
Desired behavior after PR is merged:
There should be a way to see the detailed history of which bank statement items were reconciled with which journal items.
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