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Banking & Currency
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I am connected to my bank, I am logged in as an admin and I cannot change my desktop preferences to advanced bank feeds
How do I record money transferred from US account to Canadian account? Do I have to make journal entry for this and how do I reconcile both accounts?
I can find it in my search, but I don't know how to put in back in to recon.
I need to be able to download the monthly line of credit statement to be able to do the reconciliation from RBC
I need to reconcile bank fees in our U.S account. How do I do this?
My auditor has looked back at some bank reconciliations and the register balance for that period no longer matches the register balance on my reconciliation report. Subsequent reconciliations have always balanced, but the register balance does not match on those either at this point in time. I am having a difficult time trying to determine the entries that caused the balance to change. I know if I cancel or add a cheque or deposit or journal entry containing a bank entry and date it prior to the reconciliation, it will change the register balance. Or if I void an entry that was created before the reconciliation. I have on my auditors request last fiscal year, cancelled a couple of cheque entries and replaced them with Journal entries. If they had already been reconciled, I manually reconciled them, and used the same dates as the original entries. Could making this type of change in a diff
When I am at bank transactions, and "match", I still need to go and manually reconcile them on the reconcile page, why?
Unable to withdraw funds.
the province and postal code don't match
how to correct the opening balance of the bank when it is the first reconciliation of the bank and the bank register balance is correct but QBO is showing wrong opening balance during the first reconciliation of the bank, please help
Why bank balance shows differently after reconciliation in balance sheet?
I've checked all the bank login info and it is correct and working apart from QBO.
The payments are from tenants' monthly rental charges, which go through the business solution banking and then get deposited into my account.
I transfered $ from My line of credit to my checking account and quick book has logged it twice resulting in my checking account in quickbooks showing more money then is actually in the account.
I'm finding transactions with two banking matches. I'm wondering if these are duplicates. I've seen ones with both a debit and a payment matched to them and some with a deposit and a payment matched, the deposit in my case has always been manually entered.. Are these duplicates?
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