Patrick,
 
Another way to get the reconciliation date if you are using the xml
format data is to uncompress a copy of the data file , open it in a
text editor and search for reconciled string. It usually picks up the
slot the reconcile date is stored in in the account details. Not
necessarily the most practical.

On Thu, 2026-03-26 at 12:06 -0700, Patrick James via gnucash-user
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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