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So in the PayPal tab theres a bunch of sales receipts which is when the customer uses PayPal to buy a product on my shopify site.When I select all of those which are ‘received’ it totals $XXHowever when I go to the chase bank tab and select all the money received (which should be bundled payments) from PayPal it’s only $ZZ. The money regularly gets transferred to the bank account (bundled not individually) so I’m not sure how this doesn’t match. My initial thought was to exclude all the PayPal tab money received sales receipt and only record it in coming in the chase bank tab but its not matching up.
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I have been searching high and low for an answer to this but have come up empty handed. When writing a new check the "Print Later" button is automatically checked, and when unchecking this, it brings up a check number that I has already been written. (Example: currently I'm on check number 1800, it brings up 1795). Even after manually typing in the correct number, the next check still reverts back to a previous check number (although it does go up a number, yet still not the correct one). I am in fact printing each check after it has been written and have been fixing the check number in the print dialog screen. Any insight would be greatly appreciated.
Home Depot transactions not uploading
Hangs on the INTUIT (Turbotx, Credit Karma QUickbooks Mailchimp) screen and not loading. This started happening 3 days ago... I've deleted app and done fresh install and the problem still remains. I can sign in the Computer but the IOS version hangs etc... This is ridiculous that I spend close to $1000 a year and this is happening etc...
I incorrectly added Vendor as Customer. How do I correct?
Went into QB online to reconcile my business checking account and was presented with a message saying that an error occurred with my linked Citizens Bank connection - made sense since I saw no new transaction appearing in my Review list after several attempts to force updates. I went into the Linked Account / Manage Account facility, selected the bank/connection in error, selected the "Fix It" option that was presented and after reestablishing the connection with my bank, QB created a new/duplicate bank account with a slightly different name than my original. Wondering how to best handle this situation... Do I someone disconnect and remove the new bank account (and they try to fix the connection with my original account that has decades of transaction history I need to retain) or is there a way to merge the two and move forward with creating further issues. No enough about QB to make myself dangerous, but don't consider myself an expert by any stretch. Would
I have all of my credit cards set up as "credit card" accounts in QB. Whenever I make a payment to the credit card accounts, it reduces the liability in the COA, but it does not reflect on the P&L sheet. Therefore, my net income is over- stated. I am using the "pay down credit card" feature. For example, If my profit was $10,000 and I paid $4000 on my credit card, the $4000 payment should reflect as an expense and be posted with the $6000 net income to the P&L, right? If not, how do you keep track of your ACTUAL expenses?Everything else posts to the profit and loss expect the credit card payments. Is this how QB does their record keeping or am I missing something?
Hi - I was instructed by our accountant to force rec on unreconciled statements back from 2020 so I could go back in on 2021 and reconcile those months properly. I did that, however, the beginning balance of 1/31/2021 is now the negative "cleared balance" amount from that forced rec. I made the 'ending balance' the same ending balance as the December 2020 statement. How can I move forward and start 2021 clean?
What happened to the automatic match selecting for sales receipts in my bank deposits? I used to be able to select a date range for my sales receipts that haven't been matched and it would automatically find them. Rarely I would have to manually match them. This is very cumbersome now that it's missing. It's gone away after recent updates to the match selection screen. Am I missing something?
I had everything reconciled to date and old items keep showing up when I try to reconcile the new month. If I remove the item, I get an error that an old reconciliation is now out of balance, so I have to put it back and mark it clear in the register, so it won't have a prior month out of balance, but the transaction is still showing up when I try to reconcile the current month. Where can I find what is going wrong within the system? Everything looks correctly deposited and applied from my end.
Complex Verification Issue: Seeking Assistance from the QuickBooks CommunityHello QuickBooks Community,I’m reaching out after encountering a challenging situation with my account verification process, which, despite my best efforts and extensive communication with support (over 5 hours on the phone), remains unresolved. I'm hoping someone here may have encountered a similar situation or can offer guidance.The Core of the IssueAdmin Upgrade Request: The company owner sent me an upgrade link for admin permissions on QuickBooks Desktop which required me to log into my Intuit QuickBooks Online account.Password Recovery Attempt: Having forgotten my password, I initiated the recovery process. This required verification through my phone or email.Overseas Phone Complication: Currently residing overseas permanently, my US-based phone is inaccessible for text verification, leading me to opt for email verification.Verification Loop: After receiving and using the verification c
I deleted a previously reconciled expense item and my reconciliation is erroring out. Can we re-enter it into QB or what else can we do so we can reconcile?
I about 20 Chase Bank accounts which link in quickbooks online just fine. When I go into Link Account - Manage Connections, I see all my Chase accounts except the two I am trying to add. If I toggle one off and back on, it asks me which accounts I want to connect and it shows me my already connected accounts. Itthen shows me 4 accounts that I do not want to link as it has nothing to do with my business. It does not show the 2 accounts that were setup about 30 days ago at Chase that I actually want to add. Chase assures me they are linkable with QB. Is there any way to deactivate the entire Chase Bank feed and reactivate it to see if that will do the trick? Any other ideas?
Iphone QB app which is updated to the latest version on an iPhone with the latest version keeps crashing.Phone support couldn't figure it out so they gave me two phone numbers to call that are no longer in service..In a quest to figure this out on my own l have spent many hours.. and I did the tollowing;Offload App to clear the app's cache and data without deleting the app itself Reinstall the app from the App Store. Soft reset iPhone Reboot iPhone. Still doesn’t work. Any suggestions?
I have an error stating CitiBusiness Online has made a change but have tried calling both them and Intuit and both say its something on the other end and no one is taking ownership. Anyone else having this issue or found a resolution? When I try and relink the account they are no longer showing as an available bank. Thanks
A payment on a invoice is being matched, which that part is correct. However, there was a $10 bank transfer fee that was taken out so QB is asking to split the transaction and categorize the fee. So I choose Bank Charges as the category, click Match, and then I get a message that says "Somethings not quite right". I've never had this issue until they began implementing their AI software. Does anyone have a work around?I reached out to Quickbooks technical support, and immediately they're trying to sign me up for the $59.95 Live Help. I have a screen recording but its too large to attach here.
How to fix the automatic mileage tracker to log my mileage
QuickBooks Accounting iOS app crashes when opening expense PDF attachments. I have uninstalled and reinstalled the app with no effect. Crashing started about 1 month ago.
Mileage app glitch
It seems QBO cannot leave well enough alone. A whole new type pf payee, Contractors has been added and it would apear on the surface that your 1099 vendors must be now moved to or duplicated as Contractor (we all know duplicate names are a no-no so append a period to end of one of the names). But the Contractor tab does pull over only Vendors designated as 1099 https://community.intuit.com/articles/1637708 Of course this will be more confusing to not only small businesses that only have Employees and Vendors (no sub-contractors) that they have no direct dashboard access anymore to their Employees as well as businesses who will think that contractors are employees or worse, will mislabel employees as contractors I guess what bothyers me most, not that one has to collect info to begin with (contractor email) to offer them the opportunity to enter their own info but that one does not get a printed hard copy W-9 to keep in your records.
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