Re: [GNC] some of my reconciliations in 3.9 are completely bonkers

2020-04-01 Thread David Reiser via gnucash-user
I have no problem with (A), except maybe if you’re using the gnucash posting date. A reconciliation resolves transactions based on the bank’s posting date, not gnucash’s. If I don’t enter March 31, 2020 interest until April 1, I’m still going to enter it in my account as having occurred on

Re: [GNC] some of my reconciliations in 3.9 are completely bonkers

2020-03-31 Thread Christopher Lam
This is due to https://bugs.gnucash.org/show_bug.cgi?id=797640 This change modifies the reconciliation starting balance calculator from Account->reconciled_balance to account->reconciled_balance on statement date. The reasoning for this change is with the observation: (A) if reconciliation is

[GNC] some of my reconciliations in 3.9 are completely bonkers

2020-03-31 Thread David Reiser via gnucash-user
My checking account reconciled fine. Then I went to two savings accounts and got completely off-the-wall results. When I first clicked the reconcile button, the dialog that comes up has the correct starting balance and the correct proposed to-be-reconciled balance. When I click OK to get to the