I have not seen an answer to the second question yet.  The reconciliation
process in GnuCash has never marked any part of a transaction as
"Reconciled" other than the part that is in the account which is being
reconciled.  That may not match what happened in other financial programs.

On Sun, Jun 12, 2022 at 9:21 AM Gyle McCollam <gmccol...@live.com> wrote:

> Jay,
> Happy you found this helpful.  I respond to questions because others have
> responded to me or I have found their responses to other helpful, as you
> did this response.  I don't know enough programing, just enough to be
> dangerous, so I help where I can.  I have picked up several tip/tricks
> along the way and I am grateful to those who take the time to respond to
> questions.  I picked this up from a previous question/answer session and
> feel it is part of my obligation to pass it on when I can.  Several names
> keep appearing in response to questions.  Do you hear me: Adrein, David T,
> Michael, and others.  Thanks to you and everyone that takes the time!
>
>
> Thank You,
> Gyle McCollam
>
> Gyle McCollam
>
> 609.680.2326                     Mobile
>
> gmccol...@live.com<mailto:gmccol...@gyleshomes.com>           email
>
> ________________________________
> From: ja...@comcast.net <ja...@comcast.net>
> Sent: Sunday, June 12, 2022 7:57 AM
> To: 'Gyle McCollam' <gmccol...@live.com>
> Subject: RE: [GNC] questions on 4.1
>
> Gyle, Thank you. I had overlooked that arrow and feature.
>
> -----Original Message-----
> From: gnucash-user <gnucash-user-bounces+jaypj=comcast....@gnucash.org> On
> Behalf Of Gyle McCollam
> Sent: Saturday, June 11, 2022 3:42 PM
> To: Top Cat <t...@fractalcat.io>; gnucash-user@gnucash.org
> Subject: Re: [GNC] questions on 4.1
>
> I'm sure your aware, but just in case.  Did you know there is a down arrow
> at the far right of the account heading screen.  This allows you to add or
> remove columns from the accounts page.  Maybe, the account code box is not
> checked (3rd one down).
>
>
> Thank You,
> Gyle McCollam
>
> Gyle McCollam
>
> 609.680.2326                     Mobile
>
> gmccol...@live.com<mailto:gmccol...@gyleshomes.com>           email
>
> ________________________________
> From: gnucash-user <gnucash-user-bounces+gylemc=gmail....@gnucash.org> on
> behalf of Top Cat <t...@fractalcat.io>
> Sent: Saturday, June 11, 2022 12:44 PM
> To: gnucash-user@gnucash.org <gnucash-user@gnucash.org>
> Subject: [GNC] questions on 4.1
>
> I have been using gnucash since 2.x with a MySQL database
>
>
>
> I recently build a new machine and updated to 4.1, and have run into
> several
> issues
>
> 1.      On the accounts page, I can no longer show the account numbers, or
> sort by them
> 2.      On reconciliations, paired transactions (like transfers from one
> subaccount to another) no longer clear "both sides" when one is checked -
> it
> requires manually marking both sides separately.
>
>
>
> Is this correct behavior? Are there settings I am missing? do I need to
> reinstall/save and restore data?
>
>
>
> Any help would be appreciated
>
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-- 
David Carlson
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