LMK7
Level 1

When I tried importing several different brokerage 1099 B's the software replaces the initial import with the subsequent import (different firm).  Tech support suggested manually entering 2nd and 3rd firm's detail but even Turbo Tax can easily handle this simple task.  I was also expecting a separate 1099- B Wks to be created for each upload to validate the broker statements.  Suggestions?  Thanks.

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