On 6/18/19 4:56 PM, Maf. King wrote:
I'm slightly confused as to why dispatch dates matter in an accounting
program.  It almost sounds like you are trying to use the reconcile workflow
for something that is not.

Just trying to get everything inside the balance date.

I do not use the "balance" button for anything except Bozo's
throw away account to see what happens.

I used the "finish" button on one of my checking accounts, but
then again everything had passed on the statement.  Got
lots of nice "y"'s.

I think I should only do finish on the opening date of
my statements and use the box on the lower right to see
if I balance with the ending date of my statement.  That
it does a nice job.




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