Hello GNUCash subscribers -

 

I have a brokerage account which is set up as an ASSET account. The
brokerage account holds MUTUAL FUNDS so for each MUTUAL FUND, a sub account
underneath the brokerage account is created. All the MUTUAL FUND sub
accounts matched the quantity with the statement as transactions were added
via OFX import. Now I want to reconcile all those MUTUAL FUND sub accounts.
What is the best way to go about "bulk" reconciling all those MUTUAL FUND
sub accounts? I am hoping that there is better way than one MUTUAL FUND sub
account at a time.

 

Looking forward to suggestions.

 

Kalpesh.

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