YES! That’s how it works. Unless you want to verify it online, then you can ‘c’ 
them earlier and likely just enter an ending balance and then click `Finish` 
when the statement comes in. (maybe check off a few cleared items in the 
interim to make sure you balance)

But that really isn’t a ‘month behind’. You’ll probably get the statement a few 
days after the period close. If you get it electronically, maybe even same day 
or next day. Reconcile is a PERIOD process. So you can’t do it till the period 
ends.

Regards,
Adrien

> On Jun 18, 2019, at 6:47 PM, ToddAndMargo via gnucash-user 
> <gnucash-user@gnucash.org> wrote:
> 
>> 
> 
> So basically, I need t wait for my next statement to come to "c" the
> charges that did not make it on the current statement.  So reconcile will 
> always be a month behind.
> 


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