I'm trying to figure out the very basics of managing a checking account, savings account and credit card in GnuCash. I downloaded a csv of all checking transactions for a year and imported them. They look good and match up with my check register. Then I downloaded my savings for a year into a savings account in GnuCash. Finally, I downloaded a csv of credit card transactions for a year and imported into a liabilities/credit card account.

So, in my checking account, I see a transfer to savings. This is marked imbalanced.

In my savings account, I see a deposit maybe the same day and the same amount. This is marked imbalanced.

If I open my checking account register and changed the destination account from imbalanced to savings, then I see that transaction pop up in my savings register. I now have two transactions of the same amount and possibly the same day in my savings register. Would I delete the duplicate entry I got when I downloaded the csv? Or what do I do to show that my checking transfer out transaction is the same as my savings increase transaction?

And the same with my credit account. I see a payment out of checking to SuperBigBank Mastercard. In the credit card, I see a payment. Both are imbalanced. If I change the checking transaction to show it goes to my credit card, I now see two transactions in my credit card register. Would I simply delete the duplicate entry? Or how do I show that they are the same transaction?
_______________________________________________
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.

Reply via email to