Yes thank you - that would be fine.
I intend to continue using the Easy Add screen, for each transaction, during the month, and , when month end comes along, click the Reconcile button.
Does this operation take care of one Bank at a time (e.g. Cash, Current Account, Credit Card Account, Savings Account), or does one reconciliation cover all accounts?
Sorry to be so slow, but I'd like to get it right, before the month end.
Your help is appreciated!
I have later recognised that EACH Bank requires to be reconciled SEPARATELY!