Having problems downloading a Schwab account. The problem security is FNCH, a low-price stock that recently did a 1-30 reverse price split. FMgr created two additional FNCH securities in the same portfolio around the time of the stock split. One for the new balance. Another showing all the old transactions and removing the old balance. A third noting the reverse split. The earlier share quantities are shown post split.
When I close these securities, and repeat the download, the three securities are reestablished.
My question is how do Schwab downloads without it showing up as three accounts and without FMgr adjusting the pre-split quantities?
Schwab’s web site shows one security with the pre-split quantities transferred out, post-split quantities transferred in, and a cash entry for rounding the post split quantity.
Started recently. Using OAuth without problems. Another account works. Only one security is the problem. Others work and reconcile. A different CUSIP for each security – blank (original security), 31773D101, & 31773D200. I manually added a split to the original security.
This follows problems of duplicate downloaded Schwab transactions about a year ago that I manually reconciled.