QBO recon
in QBO I am doing a bank reconciliation everything matches. The beginning balance, ending balance, the amount of payments, the number of payments, the amount of deposits and the number of deposits. yet i still have a difference. I cant understand how this is possible. the cleared amount is off the same amount. Please help how do i fix this. I did the finish the reconciliation adjustment to move on and the difference is on the next month as well.
