Problem: I can't select different and separate 1099-B worksheets for each separate 1099-B document I import? Seems like this would be simple. I've called 3 times with the final solution as ..... it just can't be done. Each 1099-B document gets imported into the single 1099-B worksheet regardless of the documents being different brokerage accounts. Resulting in a difficult way to reconcile the imported numbers and adjust as necessary. For example: 3 brokerage accts from same broker for one client (1 individual, and 2 different trusts) along with 2 other separate brokerage accounts (i.e. Robinhood, and Webull) When importing these 1099-B documents, the software combines each import together in the same 1099-Worksheet......leaving over 200 transactions to review and reconcile. Some of these have wash sales, some have imported the wrong code and needs correcting. Highly disappointing and now, time-consuming.
Suggestion: Offer a separate 1099-B worksheet per individual 1099-B document that is getting imported. This way we can clearly see any importing discrepancies and reconcile each document information.
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