Pookies
Level 1

Banking

I am having the same issue.  How do I fix this?  I even tried creating a manual entry and it is doing the same thing and creating a Debit and Credit and both are showing up in reconciliation.  It is not happening for all of my deposits,  just a few, why is this?  How do I make manual entries to resolve this discrepancy? QUICKBOOKS FIX THIS PROBLEM!!!!!