"Phillip Shelton" writes:
> (Taken from David M's schema.txt)
> SPLIT
> -----
> account_guid char 32 ->account.account_guid
> transaction_guid char
> ->transaction.transaction_guid
> split_guid char 32
> action ???
> status char 1
> 'U'ncleared/'C'leared/'R'econciled
> split_amount rational amount of the commodity
> positive is a debit value
> negative is a credit value
> (or vice versa?)
> damount rational units of a security
> date_reconciled.tv_sec ???
> date_reconciled.tv_nsec ???
> share_balance rational "
> share_cleared_balance rational "
> share_reconciled_balance rational "
> kvp_data ???
> notes text any notes the user enters
>
>
> <question>
> Aren't date_reconciled.tv_sec and date_reconciled.tv_nsec just the timestamp
> of the reconiliation?
> </question>
In the past yes, but now they are set to the date you choose
in the 'reconciliation info' window that pops up when you
start a reconciliation. By default, it is the current date.
dave
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