Aloha Mark,
I am adding additional existing brokerage accounts to FM Personal. The brokerage firm export I was using had some very messy dividend transactions for historic transactions. The effort to clean up was just too messy. As such I imported all of the BUY, SELL transactions. About half of the investments then needed Transfer In / Out entries to true up the shares and dollars. This was mostly for sold investments to zero them out but also a few active investments.
There are a handful of active investments with the correct share amount but the value is off by a penny, always high. I there a clean way to adjust them so the reconcile function will not raise a discrepancy?
Jason