I used to be able to changetheending balance when I set up a reconcile for a
month. All ofa sudden, i have a new version/build of Gnucash and it won'
t let me change the ending balance i am trying to reconcile to. Instead, it
insists on entering the exact register balance for the reconcile date. This
produces an unreconciled amount when I have accounted for everything that
has cleared the bank, as it does not allow for outstanding items (uncleared
checks). Is this a setting problem? If so, what do I change? If not, how do
I get an accurate reconcile?




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