I'm having a problem reconciling positions in Money 2002 with statements I
download from my broker. Specifically, when I look in my portfolio in Money,
I see I have 40 shares of, for example, Ruby Tuesday. But when I download a
statement from my broker, the ensuing wizard tells me my account quantity is
actually 70 and advises I remove 30 shares. If I do this, Money enters a
"Remove Shares" transaction for 30 shares. So when I go back to my portfolio,
my position shows up as 10. But the wizard for importing account statements
thinks it's 40 because it doesn't bug me to update my position again.
I'm obviously doing something wrong here -- any idea what it is?