Reconciliation not balancing
When I began my reconciliation on the bank account, the beginning and ending bank balances matched exactly with what the program showed. However, after reconciling the statement twice, I am out of balance. I have a large number of outstanding checks in prior months that would have been reconciled previously as the statements have matched up to this point. I saw a note about adding a previous reconciliation at the beginning to "jiggle" the correct point. How do I do that?