Hi,
My reconcile is a bit erratic. So, I thought of trying to find the error
by reconciling for different periods. If I put in the date for the last
statement for the period I want to check, can I just put in an amount as
the ending balance that coincides with the starting period and that way
check on a period by period basis?
I know it sounds complicated but I cannot think of a better way of doing it.
Thanks
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