Hi, Barry,

When the time comes to complete a reconciliation which has been postponed 
because of lack of time or information, simply open the  account to be 
reconciled and click on the Reconcile button. You’ll be prompted for the same 
information as before (date of statement and its final balance), and proceed to 
complete the job. You’ll find that the previously reconciled transactions are 
marked as such, and you’ll be left with the ones you needed more time or 
information to deal with.

Michael

> On 19 Nov 2024, at 15:12, SFR via gnucash-user <gnucash-user@gnucash.org> 
> wrote:
> 
> Hi,
> 
> I am looking for (more) information on how the 'postpone' action works in a 
> reconsiliation. Does it follow along as you are entering transactions or do 
> you have to 'reconcile selection' after a set of transactions, to be able to 
> restart at the last action??
> 
> In other words how does it work? I haven't found any tips and tricks online
> 
> Barry
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