The Reconciliation Statement is available for any reconciled account, or combination of reconciled accounts. For the period selected, this statement lists all cleared transactions month by month, and account by account. Along with each transaction is printed a debit or credit amount and a balance.
The Reconciliation Statement lists transactions according to the period in which they were cleared.
Any transaction listed in this report can be edited directly by resting the mouse pointer on the transaction until the pointer changes to a magnifying glass and clicking the mouse. See also Account Statement.