Go to: Main menu > General Ledger module > General Ledger menu > Bank Reconciliation > Save.
Previously, VisionVPM printed the Unreconciled items when you had selected to print the Reconciled items and vice versa, VisionVPM printed the Reconciled items when you had selected to print the Unreconciled items.
Now, VisionVPM will print the correct bank transactions.
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