I have a portfolio that holds X # of assets and then a sub portfolio under it that holds also holds some of the assets in the same online portfolio. I just choose to break up the online portfolio this way for my own purposes. Online (Vanguard) the 2 portfolios are one portfolio that holds all the assets. I do something similar with other portfolios in FM as well.
I reconciled them and use the "Also Reconcile All Sub-Portfolios" feature and the reconcile appear shows that the Portfolio reconcile worked/was good. But when I click the "Finish" button the Share Balances window then shows 0 holdings under the Fund Manager column and the correct Share balances under the Statement column and of course then the Difference Notes show the accurate delta. It only shows this O holdings for the top level portfolio. I then just click Cancel. But when I check to see the Last Reconciled date it does show that the Top level and lower level portfolio(s) have been reconciled on the date I did the reconciliation. Can you comment? Thanks.