Alen, Each exported transaction occupies at least 2 or more lines, one for each split in the transaction.
The following is an exported multiline format single transaction for a credit of $100 to the Savings account with splits which debit the Checking account by $50 and the cash in Wallet account by $50. The formatting may not survive the posting but I will separate each line with two newlines: Date,Transaction ID,Number,Description,Notes,Commodity/Currency,Void Reason,Action,Memo,Full Account Name,Account Name,Amount With Sym,Amount Num.,Reconcile,Reconcile Date,Rate/Price 04/03/2019,2a9b1f7950ab4f388e2c4ae3ac8fe1c3,,Tfr to Cash in Wallet,,CURRENCY::AUD,,,,Assets:Current Assets:Cash in Wallet,Cash in Wallet,$50.00,50.00,n,,1.00 ,,,,,,,,,Assets:Current Assets:Checking Account,Checking Account,$50.00,50.00,n,,1.00 ,,,,,,,,,Assets:Current Assets:Savings Account,Savings Account,-$100.00,-100.00,n,,1.00 If during export you select the Simple Layout in the first window of the export procedure you will get a single line format but this does not work for transactions which have more than 2 splits e.g. it only exports the following: Date,Account Name,Number,Description,Full Category Path,Reconcile,Amount With Sym,Amount Num.,Rate/Price 04/03/2019,Assets:Current Assets:Savings Account,,Tfr to Cash in Wallet,-- Split Transaction --,n,-$100.00,-100.00,1.00 It cannot deal with more than 2 splits in a transaction. This is why Geert has been setting up the multi-line export and import. I will get to testing the import of these transactions either tomorrow morning or Thursday. I don't know yet whether it is possible to import them in the multiline format with 2 or more splits yet. i am working slowly and documenting everything i do so the developers have enough data to start identifying where the problems are. Once I understand it I will update the wiki and then get the Help/Guide docs up to date for the next release. I suspect the bug fixes might not make it until the next release comes out If you are only exporting and importing transactions with 2 splits you should be able to get it to work. I would create a dummy transaction first and export it, delete it in the book and then reimport it. There is an identified bug in the Export Transactions to CSV where transactions cannot be exported on the date they are created so it is better to use Export Transactions from Active Window to export a dummy transaction. Bob Fewel is already working on a fix for this. I normally setup a test datafile to work with while exploring this rather than use a real datafile so that other transactions don't complicate life. David Cousens ----- David Cousens -- Sent from: http://gnucash.1415818.n4.nabble.com/GnuCash-Dev-f1435356.html _______________________________________________ gnucash-devel mailing list gnucash-devel@gnucash.org https://lists.gnucash.org/mailman/listinfo/gnucash-devel