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bookkeeper115
Level 1

How do I undo a reconciliation without an accountant?

I had some transactions come through from the bank that were duplicates of the transactions I processed. I deleted those duplicate transactions and now my reconciliation is out of balance. How do I undo a reconciliation to get back to in balance???

1 Comment 1
Aldren18
QuickBooks Team

How do I undo a reconciliation without an accountant?

Let’s correct your account balance and set your records right, Bookkeeper115.

 

In QuickBooks Desktop (QBDT), we can undo your last reconciliation if you need to correct errors or remove duplicate transactions. This can help restore your records to an accurate state.

 

Please note that undoing a reconciliation will affect all transactions within that reconciliation period, not just individual ones. For this reason, I recommend creating a backup of your company file before proceeding to safeguard your data.

 

Here's how to undo your last reconciliation:

 

  1. Go to the Banking menu at the top of your QBDT.
  2. Select Reconcile.
  3. Choose the correct bank account from the Reconciliation window.
  4. Click on Undo Last Reconciliation.
  5. Follow the prompts to confirm the action.

 

After undoing, you can carefully review and correct your transactions, ensuring that no duplicates remain before starting the reconciliation process again.

 

If you want to fine-tune your balances without affecting your regular reconciliation cycle, you can perform a mini-reconciliation using an off-cycle date.

Here's how:

 

  1. Go to the Banking menu and select Reconcile.
  2. Choose the bank account you need to reconcile.
  3. In the Date of Statement field, enter the date for an off-cycle reconciliation. This date can be between your last reconciliation and the next scheduled one.
  4. Enter the Ending Balance as the balance from your last successful reconciliation and click Continue.
  5. In the Reconcile window, check off the transactions you are fixing and re-reconciling.
  6. Ensure the Difference field shows $0.00.
  7. When everything looks correct, select Reconcile Now.

 

For more detailed guidance on resolving reconciliation issues, refer to this resource article: Fix issues when reconciling in QBDT.

 

I have included a guide to help you accurately categorize transactions, ensuring organized and insightful financial records in the program: Create rules to categorize transactions in QBDT.

 

We'll keep this thread open for future questions about balancing your account or any other tasks in QBDT.

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