Bank reconcilliation
I reconcile my bank account each month. For whatever reason, the numbers never match but I always enter the starting and ending balances and go through the process. Just this month I noticed that the amount as recorded by QBD is nowhere near the correct amount I have in my bank account.
As near as I can tell by looking at error reports, transaction history and other places, the numbers never reset when I reconcile. I enter all transactions into QBD and I verify all transactions with the bank statement. In looking at all those reports I see that my previous reconciliations did not affect the numbers and instead QBD continued on with the numbers it already had.
I don't have an issue with the numbers not matching exactly, but I am surprised that my register doesn't reflect the changes in the reconciliation process is disappointing. Admittedly, I never looked to see that the numbers were correct after I reconciled the account (until now) so I missed that the corrections I made did not take. That's my fault.
Right now my QBD is off by thousands of dollars from what I actually have in my account. I am waiting for my next bank statement now to go through the process again and I will look closely, but if it didn't work last month, I'm doubting that it will work this month. What do I need to do next time to get the numbers to match?
My question is: How do I get the numbers to match after my next reconciliation considering they have not worked in the past?
