Audit Tools

I reconciled my checking account five days ago and all was balanced. Yesterday, I added a couple transactions and did the reconciliation once more. There was a $1,600 difference. I researched all the transactions but did not find "what happened". Does Quicken have an audit trail list that can assist me in solving this situation?

I now have found the error. The transfer account appears to be fine. However, that transaction does not appear in the "transfer to" account.

Comments

  • splasher
    splasher Quicken Windows Subscription SuperUser ✭✭✭✭✭
    Quicken does not have audit tool.
    What was put in the Category field of the "from" transaction?

    -splasher using Q continuously since 1996
    - Subscription Quicken - Win11 and QW2013 - Win11
    -Questions? Check out the Quicken Windows FAQ list

This discussion has been closed.