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On Wed, Oct 5, 2022, 9:53 AM Nathan Rosenthal <[email protected]> wrote: > The first sentence in your reply explains why going back further than the > previous month did not produce any results. > > I will wait until the end of the month when there will be new unreconciled > transactions in the account. > > Nathan > > On 10/4/2022 7:45 PM, David Carlson wrote: > > Once a transaction is reconciled it never appears in a subsequent > reconciliation unless it has been unreconciled. > > Apparently I have never tried running a Reconciliation on an account where > there were no unreconciled transactions at all, which must be what you are > seeing, Try creating a test transaction in that account to see if it > appears when you run the reconciliation.. The date would not be critical > as long as it is newly entered and not reconciled. > > On Tue, Oct 4, 2022 at 6:25 PM Nathan Rosenthal <[email protected]> > wrote: > >> Yes there were transactions during the month. In fact I got the same >> response when I used a longer time frame. There was a deposit on 9/12, a >> withdrawal on 9/15, and an interest payment on 9/30. It is really puzzling >> since the reconciliation process works correctly on two checking accounts. >> >> I can set the opening and closing balances and the start and end dates >> but the program still reports no transactions in this account. It is not a >> serious problem because I can always use a spreadsheet to do the >> reconciliation. It would be nice, though, to figure out why I get this >> result. >> >> Nathan >> >> >> >> On 10/4/2022 7:13 PM, David Carlson wrote: >> >> Nathan, Are there actually no transactions in the share account for that >> period? I am surprised that the reconciliation dialog doesn't pop up >> anyway to set the start and end balances. >> >> On Tue, Oct 4, 2022 at 4:21 PM Nathan Rosenthal <[email protected]> >> wrote: >> >>> I maintain 2 accounts for an organization I belong to - a checking >>> account at one bank and a share account at a credit union. Each of them >>> has an account in gnucash. When I reconcile the accounts, the checking >>> account reconciliation works properly but the share account >>> reconciliation fails with a "no transactions in the specified period" >>> error message even though I use the same period (monthly) for both >>> accounts. >>> >>> I believe I have set them up properly. I am using ver 4.12 under Windows >>> 10. All other functions seem to work properly. >>> _______________________________________________ >>> gnucash-user mailing list >>> [email protected] >>> To update your subscription preferences or to unsubscribe: >>> https://lists.gnucash.org/mailman/listinfo/gnucash-user >>> ----- >>> Please remember to CC this list on all your replies. >>> You can do this by using Reply-To-List or Reply-All. >>> >> >> >> -- >> David Carlson >> >> >> > > -- > David Carlson > > > _______________________________________________ gnucash-user mailing list [email protected] To update your subscription preferences or to unsubscribe: https://lists.gnucash.org/mailman/listinfo/gnucash-user ----- Please remember to CC this list on all your replies. You can do this by using Reply-To-List or Reply-All.
