Reconcile - statements all in Reconciled section
planned
Autopilot
Merged in a post:
Bank Statements
Craig Balma
Why do brand new bank statements show up in the reconciled feed? This tool seems broken. The closing balance used to come into automatically, that of course can't work if the statements are in the wrong place. This is with MAJOR banks, in fact all banks. Also Amex used to import, that is broken also. Basically I have to find the statement, reconcile and attach it again myself to the reconciliation. Then strangely I have to delete it from the feed as the system no longer knows that the reconciliation is complete.
Craig Balma
Please fix this, it is still exactly the same. BROKEN
T
Tommy Wang
updated the status to
planned
This is an issue we are aware of and currently fixing. Apologies for the disruption this is causing.
M
Mia Dreher
I am in agreement with all these. This is very frustrating. Still have to go to the bank websites to download the proper statements
M
Marie Porolniczak
Agree with both comments.
A
Audra Ponce
There is also notifications saying the bank is not provided statement when in fact they are in the reconciled section no mater whether the month is reconciled. The titles of the statements are also very weird and not reflective of actual month the statement is for.
The status was updated to
under review