Hargreaves Lansdown

I have forwarded all my contract notes but there are 2 problems :1) the purchase prices for all non £ securities are wrong and 2) sales are shown as outflows which messes up cap gain/loss calculations. I can’t see how to edit to the £ cost as an override…any ideas please?

@JoT , welcome the Community.

We’re currently looking into this but to help us investigate, please contact our support team via the chat window with the contract note or details of the trades in question.