Editing Book Keeping Task/Reconciliation

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During the reconciliation process, don't just check the amounts. Also check (and if necessary correct) the date of the transaction.
During the reconciliation process, don't just check the amounts. Also check (and if necessary correct) the date of the transaction.
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== Internal transfers ==
 
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Sometimes you will see a pair of opposite transfers as uncleared transactions.
 
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These are internal transfers between the Fund-based subaccounts of a bank account. As such you will see both sides of the transaction when you are reconciling the account, the transfer from one subaccount and the transfer to the other subaccount. As they're internal transfers of the same bank account, they will not appear on the bank statement. Clear both sides of the internal transfer when you are reconciling the next statement.
 
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== Stale dated cheques ==
 
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If you find any cheques that are older than 6 months prior to the date of the reconciliation, they are stale dated.
 
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See
 
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{{link|Book Keeping Task/Stale cheques}}.
 
== Editing after reconciliation ==
== Editing after reconciliation ==
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Scroll to find the transaction.
Scroll to find the transaction.
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[[Image:QBO example dereconciled.pdf|800px]]
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[[Image:QBO example dereconciled.pdf]]
The transaction should show that it's not reconciled (blank in the circle in the illustration).
The transaction should show that it's not reconciled (blank in the circle in the illustration).
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Click on the transaction.
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Click on the transaction. Then click on "Edit".
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[[Image:QBO example reconcile transaction edit.pdf|800px]]
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Click twice on the reconciliation spot, to turn it from blank to "R".
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[[Image:QBO example rereconcile.pdf|800px]]
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Click on "Save".
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You'll see a warning.
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[[Image:QBO example Rereconcile verify.png]]
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Click on "Yes".
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Now the transaction should be reconciled again. Check to see the "R" on it.
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[[Image:QBO example rereconciled.pdf|800px]]
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Finally, check to see if the overall reconciliation is correct.
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You can check by selecting "Gear" > "Reconcile" and checking that the "Beginning balance" for the affected accounts
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match the closing balance on the last reconciled statements.
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[[Image:Reconcile normal.png]]
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'''You should not see a warning.'''
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If there is a warning, you are not done.
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You'll need to investigate further.
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Don't do any other work in Quick Books or you'll likely have to delete it all and start over.
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== Undo reconciliation ==
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Under some circumstances it may be practical to use the special "undo reconciliation" feature.
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This will likely only make sense if:
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* several transactions were changed such that using the above procedure is onerous
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* you have access to someone that has signed up to the Canadian QuickBooks Online Accountant (QBOA) feature
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* that person's time is available within the timeframe you need
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If not all of these things are true, you're better to use the procedure described above.
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The person you are inviting to be an "Accountant" for the books, should have access to the ''Canadian'' QuickBooks Online Accountant feature, not the ''US'' version which is the default. [[Members:Book Keeping Task/QuickBooks/Online Accountant|See here]].
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If not already established invite the person with QBOA to be an "Accountant" for the books.
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Go to "Gear" > "Your Company" > "Manage Users" > "Accounting firms" > "Invite".
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The person with QBOA will follow [https://quickbooks.intuit.com/community/Help-Articles/Undo-your-client-s-reconciliations-with-QuickBooks-Online/m-p/262360 this procedure] ({{link|Image:Members:Undo-your-client-s-reconciliations-with-QuickBooks-Online.pdf|cached}}).
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[[Image:QBO example reconcile transaction edit.pdf]]

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