After the recent message on the user list about account reconciliation, I was inspired to put together the account reconciliation docs.

:)

http://www.jandr.org/temp/gnucashdocs/txns_reconcile.html

I put it in chapter 4, transactions. Seemed appropriate. Oh, and most of the text was cribbed from the old 1.6 docs, so props to whomever (probably C. Browne?) wrote it originally. I changed images and text to match the changes to reconciliation since 1.6.

The original 1.6 docs on reconciliation:
http://www.gnucash.org/docs/C/gnucash-docs-1.6/xacc-reconciliation.html
http://www.gnucash.org/docs/C/gnucash-docs-1.6/xacc-recnwin.html

Questions for the list:
How is the "Starting Balance" calculated?
What is the "Enter Interest Payment" button used for?

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 Jon Lapham  <[EMAIL PROTECTED]>          Rio de Janeiro, Brasil
 Work: Extracta Mol�culas Naturais SA     http://www.extracta.com.br/
 Web: http://www.jandr.org/
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