Hi @andyburns
If you have a difference between your QuickFile bank balance and your actual bank balance, the best thing to do would be to reconcile your balance to identify the issue. There’s a guide on this here: Reconciling your bank
One thing that may help, is each line has an icon showing how the transaction was created (a cloud for a feed/journal, and a box and arrow for manually input). If you hover your cursor over this it will tell you when it was created.