https://bugs.kde.org/show_bug.cgi?id=434891
--- Comment #1 from Thomas Baumgart <tbaumg...@kde.org> --- That is actually a user question and better posted on the mailing list or forum than here on the bugtracker. KMyMoney calculates the starting balance based on the entries in the ledger of each account that are reconciled (marked R). Actually, it takes the balance of the account and subtracts all non-reconciled transactions it finds and takes the result as starting balance of the next statement in the reconciliation wizard. So you have to check the reconciliation status of the transaction before and after the start date of your statement and possibly make adjustments to get to the right starting balance. -- You are receiving this mail because: You are the assignee for the bug.