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Thanks for the reply.
I set up the consolidated account as a Liabilities account. I also set up each individual credit card, but I'm not going to double up the data entry. We're just going to reconcile each card at the end of the month. It was disappointing we couldn't have individual feeds but in some ways maybe it is good having all the company expenses in one account. Only other problem is that Westpac doesn't indicate which card has being used....So nothing is ideal here.
I also will code the transactions so we can run a report for each card via that tag.
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