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- Open the account you want to reconcile.
- Click (the Account Actions icon), and then choose Reconcile.
- If you are presented a choice, select Paper Statement.
- Using your paper statement, verify the opening balance and enter the ending balance.
- Enter the amount, date, and category information, if there is a service charge or interest earned. (Optional)
- Click OK.
- Check off the transactions in the window that also appear on your statement. If necessary, you can click the column headings to sort the transactions.
- Click Done if the difference in the lower-right corner is zero.
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