Sorry David, I messed up the quotation when trimming. That was Chris' explanation of how GnuCash stores reconciliation info.

Regards,
Adrien

On 11/15/23 3:50 PM, David Carlson wrote:
I agree that the reconciliation date is assigned to each transaction split
as it is reconciled.

In Gmail I am unable to see where you found that conflicting information in
this thread, as I am sure that I made no suggestion otherwise.

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