Hello everybody
  
  Does anybody have a manual of how to reconciliate a bank?
  We have done the customization to enter the bank transactions to the module, reconciliated one month, but when we try to reconciliate the next month, the module does not bring the ending balance of the last month, we have not been able to continue, and there seems to be no manuals on this.
  
  Thank you for any help
  
  Hilda

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