Correcting *after* the import doesn’t teach the matcher anything.

You have to re-assign the incorrect matches as part of the import process.

Regards,
Adrien

> On Jun 14, 2020 w25d166, at 2:02 PM, Cliff Kushler <ckush...@gmail.com> wrote:
> 
> Hello - 
> 
> I am a long-time user and fan of GnuCash, and start by offering my gratitude 
> to everyone who has contributed to it.  For what it’s worth, I am also a 
> co-inventor of T9 and Swype, so perhaps I have contributed something to make 
> your life easier too.  
> 
> My question is whether there is a tool, technique or strategy to improve the 
> accuracy with which GnuCash assigns imported transactions to destination 
> accounts.  I import large quantities of credit card transactions, and while 
> many of them are assigned to the correct accounts, a very large number of 
> repeat transactions (i.e. from the same vendor) are either repeatedly 
> assigned to the same wrong category or simply left as “Imbalance-USD”.  I 
> have not been able to identify a way to correct them while they are still 
> displayed in the initial import window, although I suspect that would be the 
> time to correct them.  I go through and manually correct them in the register 
> after importing them, but this does not seem to help future classification 
> accuracy.  
> 
> Any help would be much appreciated!  I probably should have asked this years 
> ago…
> 
> Joy & Blessings,
> 
> Cliff Kushler

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