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August 16, 2022
Question

moved in change column of bank reconciliation report

  • August 16, 2022
  • 1 reply
  • 0 views

Please review attached.  Looking for ways to correct this problem.

 

I was told by a quickbooks employee to move transactions in order to clear up my reconciliation discrepancy report. This caused my bank balance and my quickbook balance to be different.  How can I fix this

1 reply

MichelleBh
August 16, 2022

Happy to help, @jnas.

 

I'd love to look further into this for you. Can you please tell us how did you move the transactions? Any further details will help us provide the most suitable resolution to fix the QuickBooks and Bank balance as soon as possible. 

 

In addition, the attachment is not successfully attached. I recommend that you re-attach it as follows:

 

  1. On the Reply to message page, click either Choose File or Photo
  2. Browse the picture and open it to attach it to your reply. 
  3. Write your response in the field and click Post.

 

I'm looking forward to your response. Keep safe always.