AnneMariee
QuickBooks Team

Banking

Let's rectify the issue of your missing checks so you can reconcile your bank account, willetteak.

 

The checks could still be in the For review tab on your QuickBooks account. To allow them to your bank register, you'll need to either add or match them. If there are no matches available, you can add them to the correct categories. Alternatively, you can select the Match radio button in QuickBooks to locate more transactions to match. This will open a new page where you can set the date range before 2024 to find other transactions. 

 

If QuickBooks is unable to find a match, you can exclude the transaction from your bank feeds. You can then manually record a check by following these steps:

 

  1. Navigate to the +New button.
  2. Click Check.
  3. Fill in the necessary details. Ensure to associate the check with the correct accounts.
  4. Press Save and Close

 

This will add the check to your bank registers, allowing you to clear them and proceed with the reconciliation process.

 

For more information on fixing issues at the end of a reconciliation in QuickBooks, you can refer to this article: Fix issues at the end of a reconciliation in QuickBooks Online.

 

Once you've got it all figured out, you can use this guide to generate reconciliation reports for future reference: How do I view, print, or export a reconciliation report? 

 

Please don't hesitate to use the Reply button below, willetteak. I'll be right here to address any other concerns you may have with reconciling your bank accounts in QuickBooks.