gnucash-docs maint: Bug 791169 - Add Reconciliation definition to glossary

Geert Janssens gjanssens at code.gnucash.org
Fri Aug 24 13:29:35 EDT 2018


Updated	 via  https://github.com/Gnucash/gnucash-docs/commit/93dbe52c (commit)
	from  https://github.com/Gnucash/gnucash-docs/commit/ca216668 (commit)



commit 93dbe52cc8c2de5a59529b396d1066d865b25839
Author: David T <sunfish62 at yahoo.com>
Date:   Fri Aug 24 11:59:27 2018 -0400

    Bug 791169 - Add Reconciliation definition to glossary

diff --git a/guide/C/gnc-glossary.xml b/guide/C/gnc-glossary.xml
index 043538a..3dedb0b 100644
--- a/guide/C/gnc-glossary.xml
+++ b/guide/C/gnc-glossary.xml
@@ -318,6 +318,18 @@
   </glossdef>
 </glossentry>
 
+<glossentry id="gnc-gl_reconciliation">
+  <glossterm>Reconciliation</glossterm>
+  <glossdef>
+    <para>Reconciliation is a verification process in which the user compares their records
+    with those of the financial institution to ensure that the records in each system agree 
+    at some particular point in time. During reconciliation, the user checks individual 
+    transactions in their file against the institution's statement; upon completion, the 
+    reported balances of the institution and the reconciled account will match at that 
+    point in the register.</para>
+  </glossdef>
+</glossentry>
+
 <glossentry id="gnc-gl_return">
   <glossterm>Return</glossterm>
   <glossdef>



Summary of changes:
 guide/C/gnc-glossary.xml | 12 ++++++++++++
 1 file changed, 12 insertions(+)



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