For the past few months the starting balance shown by GNUcash did not match 
with the starting balance on the bank statement even though the reconciled 
balance shown by GNUcash for the previous months statement did indeed match the 
bank statement. I have completed the new reconciliation and the closing balance 
would again match with the bank statement.  I could not figure out what was 
going on but since the closing balance matched the bank statement I did not 
pursue it further.

Until now. This month the starting balances do not match and it will not 
reconcile as it has in the past. The amount shown as out of balance does not 
match the difference between GNUcash's starting balance and the Banks starting 
balance. Something is out of whack someplace and I have no idea where to even 
begin to get it corrected.

Any ideas? I could just start a new checking account and start fresh, but I 
have 7 years' worth of transactions in the checking account and would rather 
not lose that data.

Jack
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