Reconciliation only works with one currency or security at a time. As you discovered, security subaccounts must be reconciled separately. I have set up a monthly transaction in my data file to show every active security account in each brokerage account. Those serve to point to all the security accounts that I want to reconcile for that month.
-- David Carlson _______________________________________________ gnucash-user mailing list gnucash-user@gnucash.org To update your subscription preferences or to unsubscribe: https://lists.gnucash.org/mailman/listinfo/gnucash-user If you are using Nabble or Gmane, please see https://wiki.gnucash.org/wiki/Mailing_Lists for more information. ----- Please remember to CC this list on all your replies. You can do this by using Reply-To-List or Reply-All.