[GNC] How to force y in reconcile field

David Carlson david.carlson.417 at gmail.com
Thu Feb 2 17:47:45 EST 2023


If there are any transactions that should not have been marked reconciled
because they actually were not on the particular statement being reconciled
or a previous one, those transactions must be found and un-marked before
the transaction will reconcile.  There is no way to bulk un-mark
transactions previously marked as reconciled on or after a given date, and
there is rarely a need or ability to re-run an old reconciliation report,
so it is easier to just wait and run the next month's reconciliation
marking all old transactions then.



On Thu, Feb 2, 2023 at 4:19 PM Phyllis Bruce <pobruce46 at gmail.com> wrote:

> That's a valid observation, Dr. Kirby, since gnucash will choose the
> balance based on the statement date.  There are almost ALWAYS uncleared
> transactions.
>
> On Thu, Feb 2, 2023 at 4:14 PM Dr. David Kirkby <
> drkirkby at kirkbymicrowave.co.uk> wrote:
>
> > On Thu, 2 Feb 2023 at 19:27, Derek Atkins <derek at ihtfp.com> wrote:
> >
> > > Yes, when you start the reconcile dialog you can enter in the closing
> > date
> > > AND closing balance.  GnuCash tries to give you an option, but you can
> > > (and SHOULD) ensure it is the correct balance for the day.
> > >
> > > -derek
> > >
> >
> > I sometimes wonder if it would be better if there was no default value,
> > forcing one to enter a value. It is less likely to lead to mistakes.
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-- 
David Carlson


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