In Quicken for Mac, I have duplicate transactions in a checking account that involve transfers from a savings account. One transaction in the checking account register shows as an uncleared credit (for $100) and as a transfer from the savings account; the duplicate transaction in the checking account register shows as a reconciled credit (also $100) and also as a transfer from the same savings account. The dates for these duplicate transactions show as 4 days apart (I think one I manually added on the date I authorized the transaction and the other was the date as it was recorded in the download).
Here's what's strange, those duplicate transfers in the checking account register only show up as a single transfer in the savings account register. In one sense that's good, because it reflects the correct balance in my savings account. But if I try to delete either the uncleared credit in my checking account register or the duplicate reconciled credit in that same register, it throws off the balance in my savings account, which is already fully reconciled. I am at a loss as to how to fix this.
Any ideas?