Example: I got 100 RSU, 40 were sold for tax, 60 I sold by myself.
I imported data from my E-Trade account, and I can see 2 (two) transactions in turbotax: one for my sale 60 RSUs and another 40 RSUs for tax sale. TurboTax asks manually modify this transactions as they both were imported and are in TT. There is no issue when I modify my sale: 60 sold, 100 vested, 40 sold for taxes. But what should I do with other transaction?
a) remove it form turbotax
b) just follow the same steps as I did for my sale of 60 RSUs I explained above? then I assume there is an issue with counting: 40 sold, 100 vested, 40 sold for taxes? While in reality 40 was not a sale, but tax sale.
TT support or any one Please help to understand what to do with this 40 RSUs tax sale transaction imported from e-trade account? I just need to understand how to enter number of RSUs (I am fine with any costs). How to enter those stocks if this tax sale of 40 RSUs transaction has to stay in turbotax?