Incorrect Balances on Conversion

I converted from Quicken 2014 to the subscription yesterday and converted the old data file. Upon validation, I found 5 accounts (4 credit & 1 bank) that did not carry the same balance from the 2014 version.

On the credit accounts, I found an errant Opening Balance entry for the exact amount it was off (each account had 2 Opening Balance entries). I was able to delete those entries bringing those accounts up to date. However, I have not been able to find the reason for the bank account's problems. At this time, I entered a balance adjustment, but would rather identify the true issue and fix that.

Has anyone else encountered this problem?

Thank you.
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