Using GL0.3A (180422)

I often retrieve subledger batches to the GL and just noticed that my fiscal period was not correct on the latest retrieve. My default setting is showing: "assign entries to Period based on date" but it seems to be automatically selecting period 2? I have transaction dates of January that are wanting to be posted to FP 2.

I looked back on my past retrievals and this seems to have started with my first retrieved batch in February. Several January transactions have been posted to fiscal period 2...

Any thoughts on why it's not selecting the fiscal period based on the transaction date?
Thanks
Karin