In some cases, this difference really happens because of the rounding off up to the nearest dollar in the Financial Report, thus the suggested workaround is to double check the original financials with decimal figures and check if what account should be adjusted by $1. Once you found the account that need adjustment, click the Trash bin icon to delete that line item.



After deleting the line item, add New Row by clicking the plus sign button and then select "Manual"


Once the new line is added, you can edit the account name by double clicking the name and edit the amount by clicking it.