2009/4/29 Christian Stimming <stimm...@tuhh.de> > Am Dienstag, 28. April 2009 13:54 schrieb marcus.wolsc...@googlemail.com: > > Hello, > > > > what sorting is used for the transactions > > within a single day? > > I would like to make sure the transactions > > get the same sorting-order they have on > > the bank-account to make comparing both > > easier for the user. > > Could this be done my modifying the time > > in the postedDate or should I look somewhere > > else? > > I think the intra-day sorting is indeed the time-of-day of the posted-date. > Well, I don't really know, but I vaguely recall something along these > lines :-) >
Are we talking about the order they display in the register? Because there is View->Sort By. The "standard" sort is first by transaction (according to posting date, followed by number, entry date/time, description), and then by split memo, split action, split reconcile status, split amount, split value, and finally split reconcile date. -Charles > Christian > > _______________________________________________ gnucash-devel mailing list gnucash-devel@gnucash.org https://lists.gnucash.org/mailman/listinfo/gnucash-devel