get https://app.financekey.com/OData/EntitlementReconciliationCycleAccounts
The EntitlementReconciliationCycleAccount table in the Entitlement package stores the details of entitlement reconciliation cycle accounts created by system administrators. A reconciliation cycle account is used to define a set of rules to reconcile the data received from multiple sources. This table helps to store account-specific configuration details such as contact preferences, account ID, account name, and cycle period. All these details can be used to accurately track entitlement data across the system.