<br><br><div class="gmail_quote">On Mon, Nov 5, 2012 at 8:53 PM, Alvaro <span dir="ltr"><<a href="mailto:apazos@gmail.com" target="_blank">apazos@gmail.com</a>></span> wrote:<br><blockquote class="gmail_quote" style="margin:0 0 0 .8ex;border-left:1px #ccc solid;padding-left:1ex">
Hie<br>
<br>
Can any help me with the reconciliation? How it's work? Which number<br>
should I put in the blank box? (i try to put mi actual balance but the Ok<br>
button is gray). where can I find any documentacion?<br></blockquote></div><br>Your bank statement will normally have some sort of unique identifier, I put that in the "reconciliation reference".<br>I change the end date to match the bank statement, unfortunately Grisbi needs some enhancements as it should be selecting the last day of the month when it actually selects +1 month.<br>
You will notice this when the previous month ended in 30, and the current month has 31 days you will see the end date set to 30 for you.<br>Its just a pain to manually adjust.<br><br>In the End Balance I put the value from the bank statement on the last day.<br>
<br>What you need to do now is go over to the transaction tab and select the first transaction.<br>Then hold down the space bar.<br>This will a check in the transaction and move to the next one.<br>Select each transaction that should be in the desired reconciliation period.<br>
Ideally Grisbi would automatically select all transactions in the specified reconciliation period.<br><br>Now the Checking field should be 0 and the Ok button enabled.<br><br>After you have reconciled transactions they will normally disappear from view from your accounts.<br>
If you want to see them again you need to toggle "View > Show reconciled transactions"<br><br>Let me know if you need more details.<br>