Turn on suggestions
Auto-suggest helps you quickly narrow down your search results by suggesting possible matches as you type.
Showing results for
I just found that I marked the wrong check as cleared when I reconciled in March. The correct check is the same amount. Is there a way to correct it? The check marked as cleared has not been cashed. I do not want to go back and reconcile the last 6 months. Any suggestions?
Solved! Go to Solution.
Glad to have you here, @RCSLion,
You can do an off-cycle reconciliation to make corrections to a previously reconciled account. Here's how:
Please note that the end balance after the reconciliation becomes the beginning balance of the following cycle. If the new entries did not change the Ending Balance of the account, you no longer need to undo the reconciliation for the following period. Do otherwise if it does.
To learn more about the off-cycle reconciliation and how it works, see this article: Reconcile previously deleted and re-entered checking or credit card transactions.
I'd like to know how you get on after trying the steps, as I want to ensure this is resolved for you. Feel free to message me back. Have a great week ahead!
Glad to have you here, @RCSLion,
You can do an off-cycle reconciliation to make corrections to a previously reconciled account. Here's how:
Please note that the end balance after the reconciliation becomes the beginning balance of the following cycle. If the new entries did not change the Ending Balance of the account, you no longer need to undo the reconciliation for the following period. Do otherwise if it does.
To learn more about the off-cycle reconciliation and how it works, see this article: Reconcile previously deleted and re-entered checking or credit card transactions.
I'd like to know how you get on after trying the steps, as I want to ensure this is resolved for you. Feel free to message me back. Have a great week ahead!
Thank you so much. The check was back in March and I reconcile monthly. I had to go back and redo the reconciliation for each month. At least it's done right.
Angie
Hello RSC Lion,
I have the same issue. Did the posted solution work for you or did you end up undoing your previous reconciliations?
The solution posted seems to state instructions which apply only if the mistake related to the last rec completed.
I attempted the off-cycle reconciliation by selecting the month the error occurred (back in February) & entering the ending balance for Feb into the off-cycle rec. However, I did not complete this rec because of concerns over the fact that the opening balance was showing incorrectly. Instead of showing the opening balance of Feb, it was showing the closing balance of my last rec completed (which was Aug). This incorrect opening balance resulted in a "Difference". This concerned me, as you never want a "Difference" showing in a rec. As a result, I left the off-cycle reconciliation without completing it.
If anyone has successfully completed an off-cycle rec for a period which occurred several recs back, I'd greatly appreciate hearing that. I want to avoid undoing several months of recs to correct the issue.
Thanks,
Hello RSC Lion,
I have the same issue. Did the posted solution work for you or did you end up undoing your previous reconciliations?
The solution posted seems to state instructions which apply only if the mistake related to the last rec completed.
I attempted the off-cycle reconciliation by selecting the month the error occurred (back in February) & entering the ending balance for Feb into the off-cycle rec. However, I did not complete this rec because of concerns over the fact that the opening balance was showing incorrectly. Instead of showing the opening balance of Feb, it was showing the closing balance of my last rec completed (which was Aug). This incorrect opening balance resulted in a "Difference". This concerned me, as you never want to see a "Difference" once you'd complete a rec. As a result, I left the off-cycle reconciliation without completing it.
If anyone has successfully completed an off-cycle rec for a period which occurred several recs back, I'd greatly appreciate hearing that. I want to avoid undoing several months of recs to correct this issue.
Thanks,
Hello RSC Lion,
I have the same issue. Did the posted solution work for you or did you end up undoing your previous reconciliations?
The solution posted seems to state instructions which apply only if the mistake related to the last rec completed.
I attempted the off-cycle reconciliation by selecting the month the error occurred (back in February) & entering the ending balance for Feb into the off-cycle rec. However, I did not complete this rec because of concerns over the fact that the opening balance was showing incorrectly. Instead of showing the opening balance of Feb, it was showing the closing balance of my last rec completed (which was Aug). This incorrect opening balance resulted in a "Difference". This concerned me, as you never want to see a "Difference" once you'd complete a rec. As a result, I left the off-cycle reconciliation without completing it.
If anyone has successfully completed an off-cycle rec for a period which occurred several recs back, I'd greatly appreciate hearing that. I want to avoid undoing several months of recs to correct this issue.
Thanks,
How did you ever resolve your issue? It is now May and I just discovered the same error, which I made back in October. Wrong check was reconciled, amounts match. I want to accomplish the same thing - correct this mistake without re-doing months' worth of reconciliations.
Good day, @cc1515. I'm here to help you.
We can do a special reconciliation, which is also called a "mini reconciliation" that uses off-cycle method of reconciliation. This way, we can fix the issue. This assumes you know the ending balance from the most recent reconciliation.
Here's how:
To learn more about the special reconciliation, you can refer to this article: Reconcile previously deleted and re-entered checking or credit card transactions
In case you're hesitant about it, you can also reach out to your accountant for verification.
If you need more info from a past reconciliation to fix your current reconciliation, you can always run the Previous Reconciliation Report
Feel free to get back to this thread if you have further clarification about the process. I'll get back to you as soon as possible. Have a prosperous business!
This won't work. The check cleared in error occurred back in October. If I do an off-cycle reconciliation as of today 6-14-22, and mark as cleared the check that should have been cleared, it does nothing to fix the check that was cleared by mistake back in October because there is no off-set on the deposit side and the off-cycle reconciliation then has a difference. I see no other way than to re-do 9 months of reconciliations and that doesn't excite me much. Is there no other way to fix this??
Undoing prior months of reconciliation can help fix the check that was cleared in error, cc1515.
You can undo a complete reconciliation by using the Undo Last Reconciliation feature in QuickBooks Desktop. But, before proceeding with the steps, I suggest locating discrepancies and printing out previous reconciliation reports to have a copy in case you need them in the future.
Here are the steps:
Once done, you can now reconcile your transactions again. I've included these resources for your reference:
Know that you can always post again here if you have other concerns. I'll be right here to guide you.
I have already begun re-reconciling 9 months of statements. Your suggestion to invite an accountant makes no sense. I am a finance manager and not ignorant of how to un-do previous reconciliations. Furthermore, your other instructions really make no sense, as you are pointing me to a link for further information that references QB Online, and I am on Enterprise Desktop. I am doing this the right way, although it is not fun, and at least I know that when I'm done I will have fixed my error.
You are spot on. The advice given is not thoroughly thought out for the specific situation presented. Plus, if an incorrect check was erroneously cleared far in the past, it will not show up as an option to be cleared again (or uncleared, for that matter) on an interim, "mini-reconciliation" and you need another transaction to offset it.
Here is the problem we had:
Here is how I solved it:
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