reconciliation and sub-accounts
hanksdc@plug.org
hanksdc@plug.org
Tue, 4 Jun 2002 09:43:27 -0600 (MDT)
I've been doing something similar to that for a while now as well, and
while sometimes confusing, it is fairly handy and things still balance as
they should. To reconcile, this is what I do: I start the process to
reconcile the _parent account_, and at the first dialog, I belive there is
a check box that says to include all subaccounts. Check that and all
transactions in the sub-accounts will show up in the reconcile window as
well. From that point it's pretty straight forward.
-- Dan Hanks
On Tue, 4 Jun 2002, Steve Petersen wrote:
> Hey folks,
>
> First, thanks again everyone for a great program--it's really thanks to
> gnucash that I haven't had to boot Micro$oft in months.
>
> I have sub-accounts to my checking accounts that are sort of "virtual";
> I use them to keep track of savings goals and the like. The
> transactions to these sub-accounts always show up in the reconciliation
> window, though. How do I "reconcile" these accounts while balancing
> with my bank statement?
>
> Thanks in advance,
> Steve
>
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