JFernandes
Hi. I have a credit card from my bank, but the bank have two accounts for the credit card. One account is assign to the physical card, and the other account (the master) is a virtual number. All the transaction are made in the physical card, and then, at the end of the period are moved into the master account, and zero out the account for the physical. When I check my transactions into Wave, both accounts have the same balance, because the bank do not create a negative transaction for the transfer into the account for the physical credit card. How do I balance this account? Is there any way to make this automatic?
Sample of transactions:
May 30, CC001, StoreName, $30
May 30, MasterCC, StoreName, $30
At the end, all the transactions from the CC001 should be reverses, because they will appears in the MasterCC.
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