Here is what does not make any sense to me.

When I reconciled September's statement the beginning balance in GNUcash did 
not match the bank statement. I went on and completed the reconciliation 
process and when finished, the closing balance in GNUcash and the bank 
statement did match. For discussion purposes lets say the closing balance was 
$2,200. When I initiated the reconciliation process for October the bank 
statement had a starting balance of $2,200 which was the closing balance of 
September's statement as it should be. However, the starting balance shown in 
GNUcash was now say $3,300. How can that change in account balance occur?

Jack  

-----Original Message-----
From: gnucash-user <[email protected]> On 
Behalf Of David Cousens
Sent: Thursday, November 21, 2019 5:38 PM
To: [email protected]
Subject: Re: [GNC] Reconciliation

Jack,

If both the starting balance and the ending balance do not agree with the 
statement being reconciled against, then the reconciliation for that period is 
actually invalid. The most likely reason for this to occur is entry of a new 
transaction or deletion of a previously reconciled transaction in a prior 
reconciliation period but there may be more subtle problems. A transaction 
being entered incorrectly with a date in the far past (mistyped date then 
saved) is another common problem.  These unreconciled transactions usually come 
up in the reconcilation window at the top of the panes if they are outside the 
current reconciliation period. i don't know if Gnucash places a limit on how 
far back it searches for unreconciled splits in the account being reconciled 
though.

The only solution is to go back to a point where the starting and ending 
balances are both in agreement for the period being reconciled, then reconcile 
forward again, making sure you get agreement of both balances for each 
reconciliation period and fix any errors on the way through.


David Cousens




-----
David Cousens
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