tag:infinitekind.tenderapp.com,2009-01-14:/discussions/switching-from-another-personal-finance-program/2888-reconciling-check-book-to-bank-statementInfinite Kind: Discussion 2018-10-18T14:06:51Ztag:infinitekind.tenderapp.com,2009-01-14:Comment/407477312016-09-13T20:39:06Z2016-09-13T20:39:06Zreconciling check book to bank statement<div><p>To Help Desk:<br>
I found the advice to create a dummy transaction but is there a
quicker way to do that now as in Qkn?</p></div>lesshucktag:infinitekind.tenderapp.com,2009-01-14:Comment/407477312016-09-14T04:56:19Z2016-09-14T04:56:19Zreconciling check book to bank statement<div><p>Hi Less,</p>
<p>I'm afraid that at this time, creating a dummy transaction is
the only way to achieve what you are looking for. The recommended
way of adjusting the balance of an account to to create an expense
category called "Balance Adjustment" and use that category on the
transaction.</p>
<p>Please let me know if I can be of further assistance.</p>
<p>Ian O<br>
Infinite Kind Support</p></div>Ian Otag:infinitekind.tenderapp.com,2009-01-14:Comment/407477312016-09-14T13:04:33Z2016-09-14T13:04:33Zreconciling check book to bank statement<div><p>Ian:<br>
Thnx, will do.<br>
Les<br>
</p>
<p>From: Ian O <a href="mailto:tender+de2234c330@tenderapp.com">tender+de2234c330@tenderapp.com</a><br>
To: <a href="mailto:lesshuck@yahoo.com">lesshuck@yahoo.com</a>
Sent: Tuesday, September 13, 2016 9:56 PM Subject: Re: reconciling
check book to bank statement [Switching to Moneydance #2888]</p>
<p>#yiv4471355091 pre {width:92%;margin:10px 2%;padding:5px
2%;background:#efefef;border:1px solid #d6d6d6;}#yiv4471355091
blockquote {margin-left:0;padding-left:1em;border-left:5px solid
#ccc;}</p></div>lesshuck