Credit card reconciliation problem
Credit statement runs 7/19-8/22 and the Business bank statement runs 7/29-8/30. The biz statement shows a $2000 pmt to Chase CC on 8/30. But the CC statement doesn’t list the pmt of $2000 being deposited at all. The CC shows a $1000 pmt rec’d on 7-22 but the biz statement doesn’t list a pmt to the CC until 8-1. the dates 7-22 isn’t even close to 8-1 pmts usually clear within 3 days and I have a 7-29 pmt listed on the CC that I believe pairs with the item on 8-1. How do I reconcile the CC?
