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Cash Account Transactions (20.010.00) - Released Batch Reconciliation Status Outstanding instead of Cleared

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Cash Account Transactions (20.010.00) 

Reducing a single cash account and offsetting different liability accounts (tax payments in this case).  Unfortunately, I released the batch with the reconciliation status set to "Outstanding".  It should have been set to "Cleared" before I released this batch.  The batch has been released but not posted to the G/L.  What process/steps do I need to do in order to change the reconciliation status from "outstanding" to "cleared"?

We don't use the Bank Reconciliation screen (20.210.00) to reconcile this cash account.  I'm  thinking I need to use SQL to fix this but not sure what the system does with the Reconciliation Status fields - like if set to Cleared are other tables updated?  Or is this just a status field that doesn't update any summary or detail tables?

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