Reconciliation corporate credit card with multiple users
I recently realized that I have been doing the reconciliation of our corporate bank card for many years, I have been reconciling the main card, instead of individual cards. I need to know how to fix this mistake, I tried journal entry, but didn't balance everything out. There are 5 cards under one account. Do I reconcile each one, not sure where to start, I know the main heading has been getting reconciliation each month. Next question from here forward, which card do I put the interest charge to, Main heading, or pick an individual card?
