Sage 300 v 2022 PU1 Not recognizing Jornal Entries (GL-JE) during the Reconcile process

We are running into an issue when reconciling bank accounts. (Common Services/Bank Services/Bank Transactions/ Reconcile Statements). The Journal Entries are missing from the General Ledger/Book Balance calculations. Is there anything we can do to ensure that the Reconcile Statements process captures transactions recorded to the general ledger cash accounts via journal entries (GL-JE)?