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Opening Balance Reconciliation Issue
We're running into a reconciliation issue in NetSuite and would appreciate any guidance.
Background:
- January 2025: Implemented NetSuite and imported opening balances for 12/31/2024 (not broken down by investment)
- Successfully reconciled our accounts through 2/28/2026
- March 2026: Reimported/updated 12/31/2024 opening balances to add investment-level detail
- Important: Total account balances did not change—only the sub-ledger investment detail was added
Current Issue:
The March 2026 update to the 12/31/2024 opening balance entries has caused those transactions to show as "unreconciled" in our bank reconciliation module.
Key Points:
- These are opening balance entries (not actual bank transactions)
- The GL balances haven't changed—only investment detail was added
- This was a system enhancement, not an error correction
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