Exactly my experience, and why I asked, despite previous experience.

I am now at the stage where my Gnucash file is y but my bank account is not....

Further searching needed,

Barry

On 30/10/2023 11:24, Liz wrote:
On Wed, 25 Oct 2023 15:21:20 +0200
Mahon Finbar via gnucash-user <gnucash-user@gnucash.org> wrote:

Hi,

After my previous experiences on here, I am almost afraid to ask a
new question, but, here goes.

When Reconciling, what exactly is the effect of introducing a "new
balance entry" as is available as the first option on the bar.

There is nothing under the help that I could identify.

Thanks, Finbar
My simple take is a disaster.
The program inserts a transaction which "balances" the account.
I've made the error once and not done it again, as I had to undo it all
and then fix up the genuine errors in the reconciliation.

Liz
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