I have watched the video in the Academy for auto exporting P&L but not sure it's hugely clear.
So my understanding is that you can only add one rule file per market, so all rules for each market need to sit within one container.
So do I open Rule container I have set up for the day and then add "Export Profit and Loss Report" as a rule within that?
If so what timings do I need to set against that rule? (I will be using a mixture of pre and inplay trades so would need the P&L of the final settled market.
Essentially I want to be able to look at a spreadsheet at the end of the day of all trades that have taken place on all markets, with a P&L against each market and each trade.
EDIT: Or should I just be ticking "Export Reports on Market Closure" and that will solve the problem with no rule needed?
Thanks for the help,
Joe.