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Thank you for the import fix in 2.1.7, but now Bank Reconciliations are not working: Cleared and Difference amounts at bottom are already calculated when a reconciliation is started, even though no 'Clear' boxes are checked. Checking 'Clear' boxes does nothing, and 'Reconcile' button at bottom does nothing.
Any ideas?
This is still broken. Negative balances are added insteead of substracted. Cannot reconcile the months.
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