Mark,
Have a reconciliation issue -- I'm in the Beta but it may be because of an odd-ball security symbol. A stock I own issued a contingent right. The right was imported from Scottrade as a buy for $0 and has the symbol "(PH.C1)" and it has a CUSIP. It has no price (I had to put something in the FM investment so used 0.01). It shows up in the online website for the broker. It shows up in the *.PS1 file from Scottrade with that symbol (which includes the parenthesis and period) and CUSIP. The reconcile routine is seeing the position in FM but not in the statement -- that's the current issue.
Future issue. The right is actually a contingent dividend. At the end of the month I get to elect to receive either cash or stock for the right based on some calculations the company will publish then -- there will be a slight incentive to take stock. So if I take stock, it's like a stock dividend (and I haven't checked to see how FM handles these). If I take the cash, I guess I can delete the right and just put in regular dividend transaction when I get the cash.
Elliot