I see how important it is to keep your ending balance accurate, voss-toothjedi-c.
@4Gal suggestion is correct. You can perform another conversion to ensure you have the right ending balance.
When converting data, you may notice differences in how your books appear due to product limitations. All reconciled transactions will have a bold checkmark in the cleared column, while cleared transactions will be marked with a light checkmark. Typically, your ending balance should be precise when you move your file.