Hi again Mark,
I have a share (GlaxoSmithKline - GSK) where my broker set me up on a strange dividend reinvestment plan. I am trying to record a transaction in 2009, where I had 3,000 GSK shares. On 29 April 2009 I got a call payment - i.e. money taken out of my bank account - to buy 38 GSK shares. However these don't show up in value until 9 July 2009.
I entered a transaction against my default cash account saying I bought 38 GSK shares at £X. This keeps my bank statements all nice and reconciled.
Unfortunately I'm having trouble reconciling my portfolio, especially for the Q2 end (30 June 2009). My portfolio summary shows the correct cash balance but I'm shown as owning 3,038 GSK shares whereas actually I should only have 3,000 (I don't think I won the other 38 until 9 July 2009).
Can you help? Are there any work-arounds? I can think of some strange "transfer out" or creating a suspense account / portfolio somewhere to store and track these but is there a neater way?
Kind regards,
Tom.