[GNC] GC reconcile window problems

Tommy Trussell tommy.trussell at gmail.com
Sat Dec 27 12:43:01 EST 2025


On Wed, Dec 24, 2025 at 2:05 PM John H. via gnucash-user <
gnucash-user at gnucash.org> wrote:

>
> The GnuCash (v5.10, Mac 15.7.2) Reconcile window shows only a small subset
> (four) of transactions to be reconciled.
>
>
> It shows them accurately, and the Beginning and Ending Balance on the
> register are  also accurate.
>
>
> The only clue I noticed beginning the process was that the Reconcile
> window did not choose the proper month, December; it chose November 15 as
> default before I changed it to December 15.
>
>
I know you have more recently discovered a user interface distraction that
was keeping you from seeing your transactions. HOWEVER the version you are
using is afflicted with a reconciliation bug that was corrected in the
following GnuCash release. One of the symptoms was the last reconciliation
date was not stored properly, so you would have to update it every time you
reconciled, for months on end. (I was "fortunate" to notice the bug quckly
because I was months behind on reconciling when it came out.)

After you upgrade, the accounts that were affected by the bug will have
wrong starting date the first time you reconcile, but from then on the
reconcile should work correctly.

SO my suggestion is to upgrade to version 5.14 (released days ago) because
it has all the reconciliation fixes from a year ago plus plenty of others.


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