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How do I reconcile a day's banking when there has been a refund that day? Also the refund in question may be from another day's sales. Obviously the day's card sales don't match as the total is minus the refund, I know there is an option to add the refund but finding the initial sales to match is difficult and the refund option doesn't always work. Any advice or help would be greatly appreciated
Hello Laura2003, Thanks for posting on the Community page, you will have to record the refund to be able to finish off the reconciliation as it will not reconcile unless you have recorded everything in the account.
Hi Ashleigh
I always record the refunds, so that's not the problem I'm afraid. Thanks for getting back to me
Hello Laura2003, we would advise that you contact our Live Support team so you can set up a screenshare with the agent so this can be looked into more for you. For more information on how to contact them, please click this link: How to get help with QuickBooks.

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