[GNC] Problems with import

Gyle McCollam gmccollam at live.com
Sat Nov 29 15:10:58 EST 2025


As R Losey pointed out, the title may have been misleading, but it is the first step in my reconciliation process.  Can anyone help?

Sorry guys/gals, but I'm trying to import/match/reconcile my credit card again this month and I am getting "weird" issues.  It used to work flawlessly.  I am missing the update and clear column, but I figured that had to do with my settings in preferences that I have changed due to other users' suggestions.  I have a lot of transactions from the same vendor and many of them have the same amounts.  I eat at the same fast-food place a lot and have the same meals, my bad I know.  Anyway, in the reconciliation many of these transaction show up as "A" or add, but when I change to "C" (clear) it matches to, in most cases, the correct previous entry where my entry is 1 or 2 days earlier than it hits the credit card statement.

Another thing I noticed was that I am not able to unflag an entry so that it does not import, as I use to be able to do.  It should work that way even without the "U&C" column as the user may not want to import a specific transaction.

I wish I could get back to the import working flawlessly, before I started messing with the parameters, but even if I go back to the defaults, it fails to find a majority of the matches and defaults to "Do Not Import".

I'm using Win11 and Gnucash 5.13 Build ID: git 5.13-17-g001499322e+(2025-10-21), not the default.



Thank You,

Gyle McCollam

Gyle McCollam

gmccollam at live.com<mailto:gmccollam at gyleshomes.com>           email


More information about the gnucash-user mailing list