[GNC] Import troubles
Gyle McCollam
gmccollam at live.com
Tue Feb 25 08:58:19 EST 2025
When you check them as new, do you also assign the corresponding debit/credit account which you need to do?
Thank You,
Gyle McCollam
Gyle McCollam
gmccollam at live.com<mailto:gmccollam at gyleshomes.com> email
________________________________
From: gnucash-user <gnucash-user-bounces+gylemc=gmail.com at gnucash.org> on behalf of "alois müller" via gnucash-user <gnucash-user at gnucash.org>
Sent: Tuesday, February 25, 2025 5:49 AM
To: flywire <flywire0 at gmail.com>
Cc: gnucash-user at gnucash.org <gnucash-user at gnucash.org>
Subject: Re: [GNC] Import troubles
No, it will NOT recognize!
all red transaction which I check as "new" are imported to the
"Ausgleichskonto", which is useless.
All transactions look the same in my csv-file. But 10% are not
recognized by the correct debit account!
This import routine is buggy!!
I give up - gnu cash sucks!!
Von: flywire <flywire0 at gmail.com>
Datum: 25.02.2025 00:35:53
An: alois müller <mue at eclipso.at>
Betreff: Import troubles
I have over 30 000 transactions!
even IF it were just 2% it would be impossible to do manually..
One match might cover 100's of transactions. Import your file in small batches s
o the match will recognise transactions in future batches.
Regards
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References
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