[GNC] Forgotten Splits

David Carlson david.carlson.417 at gmail.com
Sat Apr 6 19:30:04 EDT 2024


Phyllis,

I periodically assess, as you are doing now, whether there is a better
workflow to meet my personal needs.  My experience has been that the best
solution depends on specifics of the situation, which will change when the
bank changes their software, etc., hence it is very dynamic.  My solution
will be different than yours.



On Sat, Apr 6, 2024 at 5:35 PM Phyllis Bruce <pobruce46 at gmail.com> wrote:

> Just wanting to vent for a moment.  I have my income with multiple splits
> in gnucash.  Works fine for a while but when they change, gnucash forgets
> the new splits and the old ones.  I don't typically open the imported
> transactions but noticed some missing from another account and I have three
> months of splits to recreate.  bummer!
>
> Something I've noticed in the import and reconciliation is that I spend
> time verifying some items before hitting finish. (what did I purchase on
> Amazon for X$?) However, then I have to look them up again to enter the
> info into my register.
> Has anyone found a better way to do this?  Should I import the transactions
> and just be sure I have zero variance?  Then deal with my notations?
>
> Thanks for you thoughts
> Phyllis B
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-- 
David Carlson


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