[GNC] Reconciliation problems
Stephen M. Butler
stephen.m.butler51 at gmail.com
Tue Apr 28 15:26:06 EDT 2026
I thought that was corrected a few versions back (maybe a couple of years).
We need more details in order to help you figure out what is happening.
First: Which version of GnuCash are you using? And on which platform
(Windows 10, 11; Ubuntu 25.10, etc).
Second: Are the splits against the same account? (or sub-accounts of
the one being reconciled).
My example is moving money from the Savings account to the Checking
account. The split for the checking account is reconciled separately
from the one for the savings account. I've had no problems keeping them
distinct.
So, more information is needed. Especially the wording of the warning
message you get.
On 4/28/26 11:22, Phyllis Bruce wrote:
> I don't know about you, but my account statements do not have the same end
> dates. I very often reconcile one account as much as two weeks before the
> split gets reconciled. I'm somewhat bumfuzzled by the warning I'm getting
> that I may have difficulty reconciling., but it's true. Any entry that I
> have reconciled on one split is not appearing in the reconciliation list of
> the other split.
>
> Has this been submitted as a problem?
>
> Thanks,
> po Bruce
> _______________________________________________
> gnucash-user mailing list
> gnucash-user at gnucash.org
> To update your subscription preferences or to unsubscribe:
> https://lists.gnucash.org/mailman/listinfo/gnucash-user
> -----
> Please remember to CC this list on all your replies.
> You can do this by using Reply-To-List or Reply-All.
More information about the gnucash-user
mailing list