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Bulk Reconcile
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Mark, when I bulk reconcile my TD Ameritrade Institutional Position Files the DST Accounts will appear as no statements. There are only a few accounts (6) with all others held at TD. Is there a way for me to code these DST accounts so that they do not reconcile with the TD accounts positions?
Richard G. Bertsch CFP(tm)
Hi ricbertsch,
Not really. There is no property (other than account number) that assigns a sub-portfolio to a particular institutional broker interface. You could organize your accounts by broker, and when you bulk reconcile, only bulk reconcile that broker's sub-portfolio. This probably isn't ideal or worth it though. You can also just un-check the option "List No Statement Accounts" in the Bulk Reconciliation Wizard, and then they won't be listed.
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