Asset Import - Additional layer of data check

Asset Import - Additional layer of data check

A huge limitation to the way the Asset Import from Albridge works is that the system ONLY looks at account numbers when updating positions. We have run into an issue at least a half a dozen times now where two different clients will have accounts at different companies (alternative investments through different product sponsors), and the accounts happen to have the same account number. So, the holdings get pulled into the wrong account for the wrong client, and there is no way to resolve it.

Please please please add a layer of logic in the asset import where it also checks SSN to confirm that the holdings belong in that account.