ICR Process 2 - Parallel Recon by Trading Partner (TP) and TP Profit Center

Experts,
At my current implementation, I would like to reconcile accounts (Process 2) by trading partner, and also by trading partner profit center, essentially reconciling the same data for a period in two different ways. Instead of reconciling data the first way and then backing up the period, and reconciling the second in ICR; is it possible to run two different special reconciliation ledgers for Process two and use one to reconcile with a set of rules for trading partner and the second to reconcile with a set of rules for trading partner profit center? It appears I could create a reconciliation process 4 in the FBIC010 & FBRC7 and assign a secondary special ledger to it, but how would ICR know to look for the right recon ledger when you run FBICA2 and FBICR2?
Does anyone have experience and can chime in on this scenario?
Please Advise
Thanks!
John Scime

I needed to update the field movement in the reconcilation ledger.
The hierarchy with TP PC is showing up now but some documents are not appearing in the reconciliation display. I am going to delete the transactional data index tables and post fresh. I think that will solve the display issue as it has in the past.
I am using two sets one for all Intercompany Accoutns in the reconcilation ledger, and another for all profit centers. I am matching the sets against themselves for the object groups (ie compare all accounts against all accounts...all PC against all PC)
Is there anythign i should investigate Link[Take at the InterCo PC Recon Here|http://img717.imageshack.us/i/26681721.png/]
Link[Look at the Accounts Recon Here|http://img443.imageshack.us/i/85219511.png/]
Thanks,
John Scime
Edited by: John Scime on Jul 14, 2010 6:25 PM

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