I had noticed that all my ASX stake trades was captured with incorrect trade date with order date. For example, I had submitted an order on 18 May and it was executed by Stake on 23 May. System captured transaction date as 18 May, this will mess up CGT calculation and my reconciliation. Anyone else have same issue? Any workaround or solution? +
Hey @gururajan23 - thanks for reporting this!
We have fixed up the date importer for Stake! I have also had those notes reprocess, so you should see them all import correctly very soon.
Awesome. Thanks for swift response and resolving this.