FAQ & Solutions
12 articles
- What do Tips (Mismatched Balance, Missing History, etc.) mean and how to solve them?
- Subsequent linking/merging or editing of Trades and Transfers?
- How to synchronize integrations or re-synchronize missing/incorrectly imported transactions?
- How to report missing, duplicate or incorrect transactions?
- How and when do I create a manual staking integration?
- How to Mark Assets as Spam?
- How to use generic assets?
- How to replicate Liquidity Mining/Providing transactions manually (DeFi)?
- How to correctly represent a Token Migration or a Stock Split?
- How do I solve problems with my automatic Exchange API Integration?
- How do I solve problems with my manual Exchange CSV/Excel Integration?
- How do I solve problems with my automatic Blockchain or Wallet Integration?