I have the Canadian version of MSM2005 and it recently messed up my
primary account.
After importing my daily transactions, it encountered an error and
restarted. After restarting, when I view my primary chequing account
with all transactions visible, the correct final balance is displayed,
however, when I view the account with only unreconciled transactions,
the final balance is significantly incorrect. The incorrect balance is
appearing in the account summary screen, but the correct balance is
being used for all cash flow and bill payment functions.
I have tried repairing the file (both level I and level II) but it has
not fixed it.
Any suggestions?
Cheers ... MAW