On 25 Feb 96 10:27am, Pat Gibney wrote to All:
PG> Have been using Qkn 5/windows for 2 months. Have two seperate
PG> accounts setup, "Checking" and "Cash". I transfer money between
PG> the two of them, but when reconciling the Checking account, it
PG> always comes up short which equals the Cash account.
How're you effecting the transfers between them and how're transfers
being reflected on the bank statement? For example, cash withdrawal
from checking via ATM or a cashed check should reduce the checking
balance while increasing the cash balance and appear as a debit item
on the bank statement.
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