Quickbooks for mac issue

Markgkda

New member
I going nuts! I enter a lot of bills / payouts etc for gas and some are on different days, may be same brand gas station or not etc. Whne I go to reconcile my checking account Quickbooks will group pay outs from by vendor name in one entry in my reconciliation. It may do this for payouts for same day and sometimes it will take payouts for same brand gas station on different dates and lump them together. But on my bank statement they are always listed separately. Its so much screwing around trying to find where these purchases are. Is there a setting somewhere that may by checked causing this? Or need to uncheck a setting. Very Large PITA!

I have Quickbooks for Mac BTW

Thanks in advance
 
QB messes up all the time! Especially the online version. I have a love and hate relationship with it, but my office manager is pretty good with it otherwise I would lose it. Good luck buddy! I agree with Matt, call QBs.

Also accountants are fairly cheap like $250 a month and sometimes help w small problems like this.

Bingo


Ron Musgraves
www.uamcc.org
 
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