Balance mismatching between FAGLB03 and FAGLL03?

Hello Experts,
I found difference in balance in one of my Bank payment clearing GL Account in faglb03 and fagll03 report.
But when i double click on "Cumulative balance column for any month the balance is matching with the balance of fagll03 report.
What may be the reason ?
Please suggest.
Regards,
Biswaranjan

1223997     Amounts incorrect in FAGLB03 navigation to FAGLL03 and FB03
970096     FS10N: Drilldown -> differences with active new G/L
1609283     FS10N: Drill-Down leads to differences with active splitting
1021174     FS10N: Drilldown -> differences despite Note 970096
1161837     FAGLB03: Balance <> Total of open items for OI selection
1600014 *     Balance mismatch / MSITEM033 - No items selected (see long text) / Missing line

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