At present the transaction importing documentation in the Help manual has no full description of how the import main matcher goes about the process of searching for and matching an imported transaction to an existing transaction or how it assigns a transfer account using the original mapping process or the more recent Bayesian approach.
I am in the process of going through the code at present for my own edification and could create an expanded description of these processes in their current state either for inclusion in the Help manual or as a Wiki page. My concern is that a detailed explanantion in the importing transaction section of the help manual may make that section too long winded. If that is not a significant issue, that would be my personal preference. Does anyone have any strong preferences as to which is the better option ? 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