Transaction Reconciliation
David T.
sunfish62 at yahoo.com
Tue Oct 30 02:00:51 EDT 2012
Interesting. When I reconcile, the 'c' transactions show up, pre-checked for me. Are you sure they don't display?
David
________________________________
From: Liz <edodd at billiau.net>
To: gnucash-user at gnucash.org
Cc: David T. <sunfish62 at yahoo.com>
Sent: Monday, October 29, 2012 7:43 PM
Subject: Re: Transaction Reconciliation
On Thu, 25 Oct 2012 11:37:02 -0700 (PDT)
"David T." <sunfish62 at yahoo.com> wrote:
> As for your first use case, I don't really see why you'd need to
> change the R status on a manually-entered transaction; in my
> experience, the primary difference this makes is to pre-check a
> transaction in the (above-mentioned) reconciliation window. However,
> it is a simple matter in that window to mark such a transaction as
> reconciled--despite it's not having a "C" status.
If I import data there is a 'helpful' change from 'n' to 'c'.
When I try to reconcile, the 'c' marked transactions don't appear in
the window, and I used to waste considerable time reconciling from the
paper statement when I had only part-downloaded the account data.
Now I change all the 'c' back to 'n' and reconcile speedily.
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