Good to know, if I ever discover I need that info in the *next* 20 years. 

On March 26, 2026 3:06:16 PM EDT, Patrick James via gnucash-user 
<[email protected]> wrote:
>There are at least three ways:
> 
>1. Sort by "Statement Date"
>2. Export the data (for example "Export Active Register to CSV")
>3. Run a report (For example, Transaction Report includes Reconciled Date as a 
>display option)
> 
>There are probably other ways, but those are my three most common usages.
> 
>
>> On 03/26/2026 11:21 AM PDT David T. <[email protected]> wrote:
>>  
>>  
>> I quite literally have never looked at the reconcile dates hidden in the 
>> transactions. Is there even a way in the end user interface to see the 
>> reconciled date?
>> 
>> 
>> On March 26, 2026 1:27:08 PM EDT, Patrick James via gnucash-user 
>> <[email protected]> wrote:
>> 
>> > What happens is the wrong reconcile date (near present day rather than 
>> > some long ago date) is attached to the split. If you don't care about 
>> > that, then it won't matter to you. If you do care, for whatever reason, 
>> > then it's not easy to keep track of the reconcile dates.
>> > 
>> > 
>> > 
>> > > On 03/25/2026 5:02 PM PDT David T. via gnucash-user 
>> > > <[email protected]> wrote:
>> > > 
>> > > 
>> > > What happens if you take the most recent statement and try to reconcile 
>> > > to that date? Presumably, if you dereconciled an old transaction 
>> > > erroneously, that transaction will appear in the dialog, and when you 
>> > > check it, the account will balance. No need to go through back end hacks.
>> > > 
>> > > David T.
>> > > 
>> > > 
>> > 
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>> 
>> David T.
>> 
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