July 29, 2005 at 11:39 am
#12961
MSchappler
Moderator
Henry.
It’s working for me and I can increment by the day as per the example above. Changing the view to Closed (X) from ledger and clicking on Reconcile with the chevron down (V) shows the transactions in the correct order.
I suggest you convert a set of books on your end and test it.
Regards,
Martin