I know this has been mentioned more than once in the past...

Has anyone yet created a custom reconciliation report that adds to the
report the current account balance?  Perhaps even the current
reconciled balance and the current available balance?

My non-profit requires non-executives to audit my monthly
reconciliations.  At present, all I can do is show that my GnuCash
"Funds In" and "Funds Out" match the bank statement.  It would be very
helpful for GnuCash to print the current Reconciled Balance to show
that my records match the Bank Statement exactly.

I have tried to delve into building a custom report myself but the
language and syntax quickly stops me!

Thanks to all the contributors,

Mike


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