In KMyMoney, when I try to reconcile an account, in this case, my Checking account, the opening balance does not match the actual opening amount. This number is grayed out and cannot be changed. How can I do this?
The previous month’s reconcile worked great but I cannot get this month’s to work because of this.
Not sure that the upload worked but it was a picture of the grayed outreconcile screen.
Thanks so much.
Since the starting balance is identical to the ending balance shown here, I have the following question: in the ledger view for that account, which letter is shown for the latest transactions (before 7/13/24) in the column C? Possible values are blank, C or R.
BTW: The starting balance is just an indication and calculated based on all reconciled transactions in your ledger. If it does not match, it is an indication that something is not quite as expected at this stage of the reconciliation process but has no additional impact. Most important is that the ending balance matches your bank’s statement.