Beginning Balance Error
Yet another bug in Quicken. For several months now, every time I try to reconcile my checking account, the beginning balance in the reconciliation window differs from the bank statement beginning balance. I end up with correction entries in my check register, even though I reconcile correctly and have a zero difference in the reconciliation window at the end of the process. For example, last month Quicken made an adjustment for the Opening Balance and then made another one for "Balance Adjustment." The two adjustments totaled $123.40. This month, the Quicken beginning balance is $123.40 different from the bank statement. Why does Quicken keep making this error? I searched for this issue in the community, but all the discussions are closed and I didn't find one with a resolution.
Comments
-
See if this recent issue reported by another user is similar to the issue you are having:
Quicken user since Q1999. Currently using QW2017.
Questions? Check out the Quicken Windows FAQ list0