Trying to fix my opening balance for my bank account connected to QBO, I want it to match the statement beginning balance for JAN 1 2017. Instructions I found said to create a journal entry but wasn't clear if I should debit or credit the bank account, just some vague remark about how it depends on the account type... I have no idea what that means. Also the instructions said that I should be able to view the transaction in my bank register and mark it as reconciled so that when I go to reconcile for the first time the opening balance will be correct.
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