Many thanks Adrien. I will go to bugs.gnucash.org and take a look at how to submit my experience.
From: Adrien Monteleone <adrien.montele...@lusfiber.net> To: <gnucash-u...@lists.gnucash.org> Sent: 06/10/2022 7:17 PM Subject: Re: [GNC] Reconciling subaccounts Thanks for the details. I'd say this is a bug, as the expected result would be to have the reconcile status of sub-accounts updated. You should file that on bugs.gnucash.org It *might* be designed that way however. I could be wrong, but I think the idea for this feature is to be used for 'virtual' sub-accounts that are used for segregating funds in your own books, but not actual multiple real-world accounts with an institution. The parent is the real account in such a case, so that might be why it is the only one marked reconciled with a date. (it is the only one with a statement to reconcile against) In your case, you seem to be trying to reconcile multiple real accounts through a placeholder parent. But GnuCash doesn't know that. (or 'reconciling' non-institution accounts, such as Expenses.) Until it is 'fixed' or changed, I guess your option is to continue to reconcile-finish the sub-accounts to update them, or else just reconcile them all individually rather than together as sub-accounts. Regards, Adrien On 10/3/22 4:56 PM, Uttam Chakravorty wrote: > > My apologies Adrien, I will be more specific. Line 2 - >Sales -> A/c No 01: > all the subsequent lines starting '01-' are the subaccounts. Reconciling 01 > with subaccounts ticked will reconcile all of them, but only update 01's date > field. I then step through the subaccounts and as they are all already > reconciled I just press 'Finish' to update their date. > > > Line 11 is a single entry with no subaccounts. > > > Line 12 is similar to Line 2, a Placeholder with three subaccounts. > > > I have tried to indicate the above in Column E, however I have made a mistake > with Lines 64, 71 and 77. They have no subaccounts, I annotated them in > error as all the top level accounts are reconciled. In terms of consistency > I failed to annotate Lines 12, 17 and 59. Looking back this is a scrappy > piece of work put together in haste. I hope you will be able to extract > something useful, or I will happily do it again. Please advise. > > > > Line 18 (A/c code 5 (should be 05)) is particularly interesting. This has > subaccounts and they have Placeholders which have subaccounts i.e. three > levels deep. Reconciling the top level reconciles all the other levels, > however once more it only updates the date at the top level. > > > I do not find it too onerous to live with this little extra keyboard > activity. I just wondered if I was doing something wrong again. ------------------------------------------------ If this email has been sent to you in error please delete it and accept my apologies Company number: 4324700 _______________________________________________ gnucash-user mailing list gnucash-user@gnucash.org To update your subscription preferences or to unsubscribe: https://lists.gnucash.org/mailman/listinfo/gnucash-user ----- Please remember to CC this list on all your replies. You can do this by using Reply-To-List or Reply-All.