# About the Sharesight features category

**URL:** <https://community.sharesight.com/t/about-the-sharesight-features-category/19>\
**Category:** Sharesight features\
**Created:** [11 May 2021 06:23 UTC](https://community.sharesight.com/t/about-the-sharesight-features-category/19 "2021-05-11T06:23:46Z")\
**Posts on this page:** 3\
**Page:** 1

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**Author:** ![system](https://sea2.discourse-cdn.com/sharesight/user_avatar/community.sharesight.com/system/32/107_2.png) [@system](https://community.sharesight.com/u/system)\
**Post date:** [11 May 2021 06:23 UTC](https://community.sharesight.com/t/about-the-sharesight-features-category/19/1 "2021-05-11T06:23:46Z")

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Discussion & feedback on existing Sharesight feature, reports and tools

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**Author:** ![JaneM](https://avatars.discourse-cdn.com/v4/letter/j/dec6dc/32.png) [@JaneM](https://community.sharesight.com/u/JaneM)\
**Post date:** [10 July 2021 02:38 UTC](https://community.sharesight.com/t/about-the-sharesight-features-category/19/2 "2021-07-10T02:38:52Z")

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Hi there  
Just wondering whether I have set up my integrating Xero cashbook with Sharesight wrong? I did follow the instructions… When I email trade sales through to the email address indicated, although correct in the email the amount can record up to $5000 less in Xero then the required total per number of shares sold with the difference to the final figure classified at around $5000 realised losses/gains instead of only a couple of hundred dollars of brokerage charges. Trade buys always record correctly.  
Any ideas?

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**Author:** ![adriana.music](https://sea2.discourse-cdn.com/sharesight/user_avatar/community.sharesight.com/adriana.music/32/86_2.png) [@adriana.music](https://community.sharesight.com/u/adriana.music)\
**Post date:** [12 August 2021 05:59 UTC](https://community.sharesight.com/t/about-the-sharesight-features-category/19/3 "2021-08-12T05:59:56Z")

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