Sometime this year the behavior of my many investing accounts changed to where I need to manually type in the ending cash balance when reconciling the account. This is silly because all I do is just look at the lower right of the screen and type the clearly visible new cash balance into the reconcile manually (see screen shot). How can I make this process be automatic like it used to be? I have checked all preferences, account settings, Help, and searched the Community, but cannot find an answer. My accounts do not have a companion checking account. I download transactions automatically, but click "Accept All" to enter them into each account register. Note that I also occasionally see the "Enter a valid date" popup message and that many of the accounts are with Schwab.
Thanks for any help!