Turn on suggestions
Auto-suggest helps you quickly narrow down your search results by suggesting possible matches as you type.
Showing results for
I have a number of transactions on my pay pal statement that are not in my chart of accounts for reconciliation. How can I add these in? can you add them the same way you would a bank statement? Plus I've found some duplicate transactions (attached) how can I remove these? I also have transactions in my chart of accounts (reconciliation) that are not on my statement - How do I remove these?
Solved! Go to Solution.
Yes, it's the same way when you add your bank transactions, kcoromandel.
In the Select the transactions to import page, you'll have to choose the transactions that are not in your Chart of accounts. Then, continue with the on-screen instruction to successfully add those transactions.
On the other hand, you can delete duplicate transactions and those that are not in your Chart of Accounts. Here's how to do it:
In the Banking page, select the transactions you wish to delete. Next, in the Batch actions drop-down, select Exclude Selected. Then, go to the Excluded tab and then select the transactions you excluded earlier. Lastly, in the Batch actions drop-down, click Delete.
I have screenshots as your visual guide.
Upon reconciling you can check the article I've provided.
If you need my help when reconciling, I'm always around to help you out.
Yes, it's the same way when you add your bank transactions, kcoromandel.
In the Select the transactions to import page, you'll have to choose the transactions that are not in your Chart of accounts. Then, continue with the on-screen instruction to successfully add those transactions.
On the other hand, you can delete duplicate transactions and those that are not in your Chart of Accounts. Here's how to do it:
In the Banking page, select the transactions you wish to delete. Next, in the Batch actions drop-down, select Exclude Selected. Then, go to the Excluded tab and then select the transactions you excluded earlier. Lastly, in the Batch actions drop-down, click Delete.
I have screenshots as your visual guide.
Upon reconciling you can check the article I've provided.
If you need my help when reconciling, I'm always around to help you out.
So I get how to fix the duplicates but as soon as I hit update again, I get a whole new batch of duplicates I cant work this way It seems to only be transfer transactions. Almosty like 2 different acounts import their own version of the transaction. After I reconcile, duplicates come back and get me out of balance again. The only thing I can do is to disconnect my accounts from the banks
Hi Yasgur,
Transfers work in a bit of a different way when it comes to matching the bank feeds - if you have transfers between two accounts, and bank feeds set up for both of those accounts, you will have both a transaction downloaded for the money leaving one account as well as entering the other account. In the event that this happens, there is a process for recording the transaction correctly within the system - first you need to add the transfer from one account, however in the other account that is the other half of the transfer, rather than adding that bank feed transaction you would match to the transfer in the system.
It can be bit of a tricky process, so if you'd rather reach out you can give us a call on 1800 046 038, or follow the steps below if you'd rather receive a callback or start a chat:
-Lucas
You have clicked a link to a site outside of the QuickBooks or ProFile Communities. By clicking "Continue", you will leave the community and be taken to that site instead.
For more information visit our Security Center or to report suspicious websites you can contact us here