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- Add Reconciliation transaction type that appears as visible rows
- Reconciliation checkpoints show expected vs calculated balance
- Red background if out of balance, green if balanced
- Description shows balance status (Balanced or Out of balance by .XX)
- Create Adjustment button appears when reconciliation is out of balance
- Adjustment transactions automatically created to match bank balance
- Reconciliations always sort last on their date
- Auto-recalculate all reconciliations when any transaction changes
- Persistent projection months setting (1-24 months, default 3)
- Persistent date range between sessions
- Fix projection regeneration to start from rule start date
- Fix duplicate projections when converting to actuals
- Grey out irrelevant fields when Reconciliation type selected
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