Bank Running Totals


If showing all bank accounts in the Checking Transactions window, Goldenseal will set the running total to zero if you first enter a bank account, and then change the transaction to a Bank Deposit.

Caught By

User bug report.


Re-enter the bank account, and it will reset the running total.

If past running totals are not correct, follow these steps:

  1. Choose Preferences from the Options menu, and choose Expenses from the submenu.
  2. Turn on the Update Run Totals at Reconcile checkbox (in the Bank Preferences section).
  3. Click OK.
  4. Open the Checking Transactions window.
  5. Choose Reconcile from the Bank menu.
  6. You can actually reconcile the account, or just click Cancel.


This bug is fixed in Goldenseal 3.8.