Hi.
Under master portfolio, I have 3 sub portfolios. I have just finished entering data for my Margin account. I established a 'margin cash' as a cash investment in the master portfolio linked to my margin account, and all transactions were correctly recorded in cash.
I have just started entering my RIFF tax free account. likewise, in the master portfolio I established 'RIFF cash' as a cash investment. After entering the opening data in the RIFF sub-portfolio, under properties I linked this portfolio to 'RIFF cash', just as I did with my Margin account. Now when I sell a security, it does register in the securities data register, but not in the cash register.
What is going wrong here?
Also, is it better to create new investments in the master portfolio and purchase them in the sub-portfolios? I created the new investments in my Margin sub, and then copied them to my RIFF sub. The data register includes all transactions for a security in both portfolios.
Thanks,
John