Reconcile Fidelity linked cash management accounts
Will there be a fix to this outstanding problem? The workarounds noted in earlier posts do not work for me.
Comments
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I reconcile 2 Fidelity Linked Cash Management accounts every month.
SO, you'll need to provide a WHOLE LOT more info about what you're experiencing. And, if appropriate, links to earlier posts on the topic.
I'm simply not seeing what you're stating. Nor do you state why earlier suggestions don't work.
Q user since February, 1990. DOS Version 4
Now running Quicken Windows Subscription, Business & Personal
Retired "Certified Information Systems Auditor" & Bank Audit VP0 -
Validated the file, run the EWC+ conversion, unlinked and relinked the cash management accounts. Besides getting an error out, when I re-access the file the numbers are wildly inaccurate.
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