Imbalances

Paul Schwartz pmjs1115 at gmail.com
Mon Feb 11 18:31:19 EST 2013


My practice is to adjust an equity account to get "pocket cash" to balance.
Another alternative is to charge it to a Miscellaneous expense account.

HTH

Paul


On Mon, Feb 11, 2013 at 2:27 PM, gnucash_rob <robcussons at gmail.com> wrote:

> Hi,
>
> despite my best efforts, at some point I'm going to end up with an
> imbalance
> on my Assets:CurrentAssets:Cash account as I don't manage to record
> everything. I was just wondering what people's thoughts are on dealing with
> this. At some point do you run through and reconcile your cash up to a
> point
> and then leave the rest as an imbalance in your accounts?
>
> Thanks!
>
>
>
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