2016-05-08 21:10:14 yegle <[email protected]>:
> 
> On Sun, May 8, 2016 at 9:00 PM, Jason Chu <[email protected]> wrote:
> 
>     The problem is that postings are inserted before the statement end in the 
> next billing cycle (because of random
>     delays in the charge processing systems) so the balance assertion can't 
> be against any given date.
> 
> 
> 
> There's an effective date plugin (don't remember the git repo though), which 
> can help organize the transactions that
> happen on day X and settled on day Y.
> 
> For me I just move the transaction to the billing cycle that matches the 
> statement, and add the real transaction date
> in the narration field.
> 

Ditto here. For credit card transactions, I use the settled date as
directive date in the Beancount file, and keep sale date in metadata.

> --
> Yuchen Ying
> http://about.me/yegle
> 
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-- 
Zhuoyun Wei

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