I use manual statement reconciliation for a couple of accounts, and at some point I noticed that fund manager stopped keeping track of the last reconciliation date even though I do this every month. For all of my sub-portfolios it says "date last reconciled: never". It also does not warn me about modifying old reconciled transactions.
I'm not sure if this is a bug, or something else might be happening that is resetting this date. What might I want to look into?
Fund Manager shows the last reconciled date immediately after I reconcile, even if I close out the program and reopen. However, there seems to be some point at which it goes back to "never"