Forum Discussion

Charmaine3's avatar
18 days ago

Bank Reconciliation differs on 2 reports

I have been experiencing a problem with duplicate entries for transfers from one account to the other. I have managed to delete these and my bank reconciliation was in balance. I then noticed old transactions popping up on the bank feed and when I went back to my recon, everything was out of balance. I reverted back to June 2024 and noticed that my closing reconciled balance for June 2024 is correct. (screenshot attached) When I go to my July 2024 reconciliation I see the balance for June 2024 is different?? (screenshot attached)

Not sure what the problem is? I am working on the desktop version of Account Right.

1 Reply

  • Shella_A's avatar
    Shella_A
    MYOB Moderator
    18 days ago

    Hi Charmaine3,

     

    Thanks for the screenshots. Those duplicate transfers you fixed might have been part of the issue, but it looks like old transactions reappearing and the mismatch between June and July balances caused more trouble. Since June’s balance is correct but July doesn’t match, something might’ve changed in older records—like edits, deletions, or new entries. These changes can happen if adjustments are made to earlier transactions outside the reconciliation window.

     

    To sort it out, double-check:

    • Any June 2024 transactions that may have been edited, deleted, or added recently.
    • Unreconciled items or adjustments for June that didn’t carry over into July.
    • Your bank feed rules to see if duplicates are being pulled again.

     

    Comparing June and July’s recon reports side-by-side could help spot the issue. If the figures still different, chat with our team through our virtual assistant MOCA or 

    drop us a support ticket via MyAccount so that we can check this further.

     

     

    Regards,

    Shella