Folks,
I am recently working on a BI project which
is doing reconciliation between repository and accounting. I'm using Drools
5.1.1 to maintain all these matching rules. One scenario I have no clue to
implement in Drools is that I need to find x transactions from repository, to
match y transactions from accounting, while existing repository transactions
and accounting transactions are bigger than x and y. Does anybody have
experience to do similar thing in Drools?
Best Abe