I have found the reconciliation function glitchy every time I use it. It never seems to have completed and saved properly from what you see on the screen.
Today I had a different proplem with reconciliation.
Initially I couldn't work out why I couldn't see any transactions in my selected account to be reconciled, even though I knew there should be some.
I noticed the reconciliation date for today was being displayed in USA format (month, day, year)
I used the calenda to set the date and it corrected its self.
I then went to the reports section to look at reconciliation reports and found the same problem.
The last reconciliation showing has the wrong date format (month, day, year) and I can't see any way to correct this.
Is there a way to check the date settings?
I can't find it.
Should we assume it will be in Australian format (day, month, year)?
Has anyone else noticed this problem?
Is there anything I can do to correct this?
Thank you