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If you can't reconcile your Quicken account with your paper statement it may be because the opening balances do not agree. Here's how to resolve the difference:

  1. Reconcile as far as you can, and click Done.
  2. If there is an opening balance difference to resolve, Quicken asks if you want to make your totals agree with your bank statement. Choose one of the following:
    • Click Adjust to let Quicken make a change to your opening balance.
    • Click Cancel to return to reconciliation and try to resolve the difference.

Here are possible reasons for the difference:

  • If you're reconciling for the first time
  • If you've reconciled at least once before
  • If you skipped previous months' statements
  • If you changed a previously reconciled transaction

To learn how to make other adjustments, see: