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I have a bank statement with a high number of entries and for each entry, I have at least 4 documents that I need to reconcile. So I selected the account and I could choose the first 6 entries that matched.

Unfortunately, after doing that, the system did not allow me to reconcile any amount from the supplier account. It does not allow reconciliation in manual mode and not in automatic mode.

Any help is welcome.

 

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ok. I found the answer. This may be useful for others.

I went to the account I want to reconcile and I deleted the date from the field "date of last full reconciliation". 

This opens the account for new reconciliation.

 

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