Colin, I was thinking it was a version problem so I updated my software to make sure this was not the case.
I love your suggestion. I did not know about the filter option. So I implemented it and cleared the reconciled items, then went back to the reconcile for that month and all agrees. Yeh for you! But don't celebrate totally yet. I am at the next and final month to reconcile. I go to do the reconcile dialog box and check everything and all of the items are ok: date, starting and ending balance all agree with final statement. When this happens it should be a cake walk right? Not for me. I check off all of the credits and debits and compare their totals (reflected on the bottom) with the statement and everything is in order yet I am faced with a difference of $195.14. This is definitely not correct. Have I found a bug? ----- China Blue -- View this message in context: http://gnucash.1415818.n4.nabble.com/Reconciling-an-account-tp4691993p4692053.html Sent from the GnuCash - User mailing list archive at Nabble.com. _______________________________________________ gnucash-user mailing list gnucash-user@gnucash.org https://lists.gnucash.org/mailman/listinfo/gnucash-user ----- Please remember to CC this list on all your replies. You can do this by using Reply-To-List or Reply-All.