The reconcile report 'date' selection applies to the 'reconcile date',
so any reconciled transaction whose reconcile-date falls between
start-date and end-date is included. I think this behaviour applies from
3.2 onwards.
Any unreconciled transactions are also included. The reasoning was that
any unreconciled transactions were deemed likely to be useful in a
reconciliation report. This also roughly matches the behaviour of the
formal reconcile tool -- it lists any cleared or unreconciled
transactions (income on left, expense on right), ready for ticking prior
to clicking 'Finalise'.
On 11/08/18 01:04, Mike stagl wrote:
Sorry, I forgot the basics. GnuCash 3.2 on Windows 7.
I've attached a screenshot as well.
Thanks in advance!
Mike
________________________________
From: David Carlson <david.carlson....@gmail.com>
Sent: Friday, August 10, 2018 11:23 AM
To: Mike stagl
Cc: gnucash-user@gnucash.org
Subject: Re: [GNC] Reconciliation Report
Which version of GnuCash are you using and which OS?
On Fri, Aug 10, 2018 at 8:59 AM, Mike stagl
<m_st...@hotmail.com<mailto:m_st...@hotmail.com>> wrote:
When running a stock reconciliation report, I cannot get the Start Date and End
Date to work correctly. If I choose Start of Previous Month and End of
Previous Month, or even use actual dates, I get transactions from the start
date all the way to the current date.
This month I am seeing un-reconciled transactions from August, when I am
running a report with the dates 7/1/2018 to 7/31/2018.
For what it's worth, other reports appear to correctly implement the date.
Thanks for any help,
Mike
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