:rofl::rofl:
I am simplifying a bank reconciliation by identifying each transaction on the bank and GL into categories.
I tried nesting:
=IF(T33="*DES:ACH*","PatientPayment",IF(T33="*CIGNA*","PatientPayment",IF(T33="*DXC*","Dental",IF(T33="*DENTIST*","Dental",IF(T33="*DES:DEPOSIT*","Other...