Hi Camille2
We are aware of a situation where the reconciliation balance can show incorrectly and differently to the report.
The workaround to refresh the balance is to enter the bank balance the same as the closing balance (so this way it will allow you to press reconcile), entering the date as a date in the future (e.g. 1/12/2023), then select reconcile. After it's reconciled, undo that reconciliation.
Doing this should refresh the system to show the correct last reconciliation date and amounts. If after trying that it still doesn't look right please reply with a screenshot of both windows and the last 4 digits of your serial number.
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