[GNC] Importing transactions problem

John Ralls jralls at ceridwen.us
Tue Mar 17 18:57:34 EDT 2020


And is that the case when you finish the import matcher or only after you've saved your book, quit GnuCash, and restarted?

Regards,
John Ralls


> On Mar 17, 2020, at 11:08 AM, Joseph Vernice <jvernice at gmail.com> wrote:
> 
> No, one side is to the credit card (correct source acct) and the other account to my checking account (incorrect)
> 
> On 3/17/2020 1:48 PM, John Ralls wrote:
>> 
>>> On Mar 17, 2020, at 10:18 AM, Joseph Vernice <jvernice at gmail.com> wrote:
>>> 
>>> Hello John,
>>> 
>>> The problem is the auto assigned account on the import.  For some reason, everything is being autoassigned to my checking account instead of an expense or imbalance.
>>> 
>>> Regards,
>>> Joe Vernice
>>> 
>>> On 3/17/2020 12:40 PM, John Ralls wrote:
>>>>> On Mar 17, 2020, at 8:44 AM, Joseph Vernice <jvernice at gmail.com> wrote:
>>>>> 
>>>>> There seems to be a problem with importing transactions.  I am importing a QFX file from my credit card company and all seems fine.  When I close and re-open the gnucash file, the transactions offsetting account all change to my checking account.  Is this s bug?  How can I fix it?  How can it be prevented in the future?
>>>> Meaning that both splits are in the same account? Before quitting GnuCash were all of the transfer accounts correctly set?
>>>> 
>>>> What version of GnuCash?
>> Is that "yes" to the first question, that both splits in every transaction are assigned to your checking account?
>> 
>> What about the GnuCash version?
>> 
>> Regards,
>> John Ralls
>> 



More information about the gnucash-user mailing list