Chase update - surprise balance adjustment: change to opening balance
I had a problem after the Chase update that drove me nuts. On 2 of 3 accounts I had a big mismatch ($7.5K and $1.5K) all of a sudden that required a balance adjustment during reconciliation. Back and forth with Quicken support did not yield much other than the suggestion to compare statement by statement to find out where the mismatch had happened. After going back a few years always finding the same mismatch I checked my opening balances and there you go, for some reason those had changed from 0 to the mismatch amounts. No idea why and how that happened, but setting them back to 0 solved my problem. Did anyone else experience this issue?
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