Reconciliation Mistake
Hi, So I I have reconciled my 1st months of accounts 01/01/20 to 31/01/20.
After doing the whole process I noticed that the opening balance is 8.28 out (I took the balance of my business account from the number after the 8.28 subscription was taken out!) I went in and edited my opening balance, however, says obviously that there is a discrepancy. I have changed it all so much the audit history is immense!!
The opening balance is now correct for Feb 2020 but how do I sort out the 8.28 discrepancy??
Thanks
