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Bank account reconciliations

Adrian Farnell 2 months ago 0

How about including all nominal ledger accounts for journals under the "Ignore" option for matching bank payments and receipts?  The only options currently are liability accounts which are enabled to allow payments to and from.  I regularly move money between portfolios and withdraw money personally hence cannot use the reconciliation function for these entries.  Sure, I can use journals but matching using reconciliations would be way quicker.