Bank reconciliation weird issue
Our bank reconciliation list contains amounts posted not only to bank account, but to different accounts included in GJ transactions. If I click the button "Mark All" only the correct amounts are marked and the reconciliation is okay. However, the amounts from wrong accounts are still sitting on the list as unreconciled and if I check them manually the discrepancy is huge.
Please help me to understand what happened and how to correct that.
Thanks
