QB Issue Resolution:

When reviewing the transaction, only accept the transactions that were posted in the bank for the month reconciling. After you complete th reconciliation, go back & review & accept the transactions for the next month.


this will stop you from having to manually uncheck items.

Resolution for Issue 'Reconcile pulls in transactions after reconcile date' available: Yes (Solved).
Source: Intuit Community forum.

Reconcile pulls in transactions after reconcile date: this issue or error code is a known issue in Quickbooks Online (QBO) and/or Quickbooks. Support for this issue is available either by self-service or paid support options. Experts are available to resolve your Quickbooks issue to ensure minimal downtime and continue running your business. First try to resolve the issue yourself by looking for a resolution described below. If it is a complex issue or you are unable to solve the issue, you may contact us by clicking here or by using other support options.

Support for reconcile date
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Error Recovery for reconcile date [Canada]
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