WebConnect Updated accounts have erroneous "Beginning Balance"

PieCake
PieCake Quicken Windows Subscription Member
After updating about 6 accounts there seems to be a false beginning transaction created in the month or so prior to the updated month. Locating them was somewhat easy once I knew the pattern, but the Reconciled beginning amount was way off creating a lot of confusion and time to initially figure out what was going on. So how to avoid in future?

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