Hi Brendan_Clement,
Thank you for your post and a warm welcome to the Community Forum. I apologize for the delay in response.
Understanding the importance of aligning your bank feeds with existing ledger transactions, I suggest verifying if the ledger transactions in question match the amount and date of the bank feed transactions. Please note, that if the ledger transactions have been reconciled previously or marked as checked in the reconcile accounts window, they won't appear in the bank transactions window for matching.
If you find this response helpful in addressing your concern, feel free to mark it as an "Accepted Solution".
Should you need any further assistance, please don't hesitate to let us know.
Thanks,
Genreve