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More Decreases & Increases counted in Investment reconcile screen than are listed
I'm trying to reconcile my 401(k) account. It should be simple as there are two transactions in the month I'm reconciling, and the running balance is exactly correct in the register. When I attempt to reconcile the expected two "Increase" transactions are the only transactions listed. However, the bottom of the Decreases box says there are 14 decreases and the bottom of the Increases box says there are 9 increases. Why aren't they listed? I am showing hidden transactions in case there are adjustments, but none are shown. And the "Cleared Balance" doesn't match even though both of the listed transactions for the month are checked-off. I suspect those 21 transactions that aren't shown on the reconciliation are to blame, but where are they?