You missed the fact that this is after reconciliation of something like a
credit card statement. This has nothing to do with the business features.
Following reconciliation gnucash opens a window to pay the balance due on a
date pattern that should have been learned from past payments. Now it seems
to sometimes suggest a date which requires a time machine :)

Dale

On Wed, May 29, 2019, 8:20 PM Adrien Monteleone <
adrien.montele...@lusfiber.net> wrote:

> Dale,
>
> Please elaborate on "the wrong month is being supplied for a payment”.
>
> How are you processing the payment? With the Process Payment feature?
> Exactly, what steps (clicks) are you walking through to process this
> payment?
>
> If you are attempting to process a payment today, May 29th, is it not
> defaulting to May 29th? (or is it for some odd reason defaulting to May
> 16th?)
>
> Are you presuming that entering a payment on May 29th, would for some
> reason default to June 16th for some reason?
>
> Finally, are you processing a payment for a vendor *by* you, or from a
> customer *to* you? (it shouldn’t matter, but just for the sake of being
> thorough)
>
> Regards,
> Adrien
>
> > On May 29, 2019, at 6:42 PM, Dale Alspach <alspac...@gmail.com> wrote:
> >
> > I have noticed that the wrong month is being supplied for a payment
> after a
> > reconcile. This only happens sometimes because it may be selecting the
> > current month. Today it suggested May 16 2019 rather than June 16 2019.
> > Has anyone else noticed this? This is on Linux mint.  Gnucash 3.5.
> >
> > Dale
>
>
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