Reconciliation

Last month I brought over a company file from Quickbooks for Mac to Quickbook Windows. It always reconciled on the Mac. Trying to reconcile the QB Windows file the first time it lists all transactions from the begining (5 years worth) but I can't find several items from the most recent month. But it doesn't show the items in a rational order so it;s impossible to tell.

How do I reconcile?

Reply to
Ray Fischer
Loading thread data ...

I'm not a Mac user but I have been told/read numerous times that the conversion from Mac to windows does not always go as planned. You will need to identify the missing transactions and enter them. Hopefully it is only from the most recent month. I would check the bank balance at the end of each month/quarter/year in the mac version against the windows file. Make sure those balances match before proceeding with the bank rec.

To reconcile, make a list of the uncleared items in the last month that you reconciled in the mac system. Treat the windows data as one big month and start by marking everything cleared through the end of the month. Then go and unclear those transactions that were not cleared in mac system. If there are no missing transactions then you should be able to replicate the bank reconciliation in the mac system.

Reply to
Laura

BeanSmart website is not affiliated with any of the manufacturers or service providers discussed here. All logos and trade names are the property of their respective owners.