I have been using GnuCash for about 10 years.  I am currently using Build ID: 4.6+(2021-06-26).  I have decided to start fresh with a new file and discontinue an old one with the same bank accounts starting on January 1, 2022.  I have one bank account that does not end the month on December 31st and one that does. For the account that does not end the month on December 31st, I have divided the statement that starts December 21st and ends January 20th so that the transactions are split between the old account file and the new one.  The transactions are correctly entered in each file, but the reconciliation of the statement does not balance using the statement ending balace, because some of the transactions are in the old file and some in the new file.  This means the reconciliations in each file cannot be finalized.  This will cause a problem going forward, particularly with the new file.  I don't know how to handle this.

thanks in advance for ideas.

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