[GNC] How to correct GnuCash's incorrect claim of imbalanced imported multi-split transaction

David Cousens davidcousens49 at gmail.com
Sun Mar 24 17:01:05 EDT 2024


Erik,

The format for multisplit transactions requires each split to be on a
separate linein the CSV file and fields which are blank in the
subsequent lines of the transaction have to appear in that line even
though they are blank. I.e the date field even though blank is a field
in each line and similarly for other fields as the headers assigned
during the CSV import process apply to a column of entries to that
field.
 As Jim suggested exporting a correct multisplit transaction is the
 easiest way to see the correct format if you edit it in a plain text
editor.







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