Hi Mark,
When reconciling accounts I had an issue between "Dividend Reinvestment" and "Retrieved Dividends" on bond and REIT ETF's. They were both being recorded as transactions in the account about 4-5 days apart. "Retrieved Dividend" was the incorrect transaction that was being recorded earlier the month. "Dividend Reinvestment" was the correct transaction being recorded 4-5 days later. Do I have the settings wrong? How can I prevent this in the future?
Thank You,
Cole