[GNC] Reconciliation column in register

Terry Carlson st_carl at msn.com
Sun Aug 24 02:02:32 EDT 2025


This month imported my data from Quicken 2017 into GnuCash.

After importing, I reconciled my CitiVisa for the statement ending July 
4 and it balanced.  Now 2 transactions from that reconciliation are 
unreconciled.  This is creating a problem in my CitiVisa account.

I tried reconciling my CitiVisa for the statement ending Aug 6 but 
apparently the 2 unreconciled transactions from the July 4 statement are 
creating a problem. They are giving me headaches trying to do this 
reconciliation.

It is taking the beginning balance (which is one of the transactions 
that have become unreconciled) and an ending balance that isn't 
correct.  I can change the ending balance to what it should be but then 
I don't balance.  I am off by the amount in the ending balance for July 
4 statement.  That amountis the other transaction that has become 
unreconciled.

It seems to me that if I could get those 2 transactions marked 
reconciled like they werr, then the Aug 6 statement should work. I know 
those transactions were reconciled because I balanced but now they are 
unreconciled.

In Quicken, when a mistake like this happened, I could manually mark a 
transaction reconciled.  It seems like that is a problem in this 
program.  How do I handle this?

Terry Carlson



More information about the gnucash-user mailing list