Hi all, hope you can help.
I am experiencing some inexplicable entries in the cash register which do not allow me to reconcile with my broker statements.
Attached is a screen capture showing entries.
At the top is the data register for Ensign Energy.
Note all the entries are correct. The purchases are positive, and in black.
In the extracts from the margin cash register is negative, and red, the two sales are positive and black, but the last buy to cover transaction although correctly a purchase in the Ensign energy register (as the transaction dialog shows) turns up in the cash register, not as a redemption, as it should, but as a credit!
I have tried deleting and re-entering these transactions, but to no avail.
Any ideas?
Thanks,
John