Hi Mark,
I have data already in FundManager for an account. I simply just stopped using FM to track it. Now I'm putting in 3 years of data.
I've double checked the statements and inputs and there is a substantial difference between the brokerage statement's cash and what FM is calculating.
As I have previous transactions in this:
Question 1:
IFF indeed all my inputs are correct, what actually can mess up the cash balance in FM? I have the previous post where I put in an entry then deleted it and FM didn't simply "go back".
Question 2:
What is the fix? Rebuild cash??
Thanks,
Thomas