I sold four positions late yesterday (Friday). Merrill Lynch shows these positions with zero shares and shows the exact $ pending settlement. So when I tried to reconcile that account, I had a discrepancy for each sold security; FM has shares that ML says are gone.
After adjusting a separate, unrelated position, I just canceled the reconciliation without touching the four securities sold. I figured I should wait until the actual sales can be downloaded and all will then even out.
Just wondering whether there's something/anything I should do differently.
Thanks.