Is anyone using the redesigned "Reconcile Account ...
# accounting
j
Is anyone using the redesigned "Reconcile Account Statement" page? I can't get it to save my work as I go. And it seems odd that transactions dated after the Statement End Date remain selected by default. When I start a reconciliation, I have to clear everything first, then filter on the dates, and reselect everything. Is that standard behavior or am I missing something?