Opinions on how to keep Projects and GL in balance with each other

We have a custom process that takes an Excel spreadsheet and allows the users to enter a Project transaction and a GL journal. We then have a program that splits the data between projects and GL and ftps the to the appropriate interface table. Within that program that splits the data, it also creates a clearing transaction for the total of the Projects dollars to be sent to GL. When Projects runs the Interface to GL, it uses Autoaccounting rules to credit the clearing account that was sent with the original entry. This is their way of keeping these specific entries in Projects and GL 'in sync'. How would you do this with standard functionality in Projects and GL? Do you have a similar business need to make an entry in GL and a matching entry in Projects? If so, how do you make those entries?
Example:
Projects transaction
expenditure type 70100,
Project 1/task1               100
GL journal
Account 11000                100
Clearing account 15505          -100
Run Distribute in PA
AA Rule account is 15009     -100
Run interface to GL from PA
AA Rule account is 15505     100
15505 is the clearing account between GL and PA.

Hi
If there is a logic that could be code using SQL statement, you may be able to use it to derive the AA credit cost clearing account.
If the clearing account is not based on any rules, then you might need to continue with existing process.
Dina

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