Balance Adjustment: What happens if I delete a general jounal entry that QB automatically put into “reconciliation discrepancies” and titled “Balance Adjustment”?
QuickBooks will post a Journal Entry for the reconciliation adjustment once you force to reconcile the transactions.
If you will delete the transaction, it’ll create a discrepancy for the next reconciliation. Your beginning balance for the next statement date will not balanced with what is in your bank. Please make sure […]
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The Balance Adjustment issue or error code is a known issue in Quickbooks Online (QBO) and/or Quickbooks. Support for this issue is available either by self-service or paid support options. Experts are available to resolve your Quickbooks issue to ensure minimal downtime and continue running your business. First try to resolve the Balance Adjustment issue yourself by looking for a resolution described in the article. If it is a complex Balance Adjustment issue or you are unable to solve the issue, you may contact us by clicking here or by using other Balance Adjustment support options.
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