And are the amounts for each matching transaction the opposite sign - i.e.
1 positive and 1 negative - double entry accounting has at least two splits
for every transaction ?

Cheers David H.

On Sat, 19 Oct 2024 at 04:32, Brook Milligan via gnucash-user <
gnucash-user@gnucash.org> wrote:

> I’m not sure I understand your answer.
>
> To be more clear, I have exported all the transactions from a book into a
> CSV file.  That file has multiple lines that are exactly the same as each
> other.  Somehow, GC is exporting lines into the file that are the same.
>
> Why should this happen?  Does this mean that the schema allows for
> duplicates in the internal record?
>
> Cheers,
> Brook
>
> > On Oct 18, 2024, at 11:59 AM, Joseph St. Denis <stden...@yahoo.com>
> wrote:
> >
> > I find that it happens when there is a difference between the dates that
> I entered the transaction and the clear date. Most of the time the
> transactions will only appear once but you have to pick the center column
> to have the program to pick the correct transaction.
> >
> > All the best
> >
> > Joseph
> >
> > Get Outlook for Android
> > From: gnucash-user <gnucash-user-bounces+stdenis0=yahoo....@gnucash.org>
> on behalf of Brook Milligan via gnucash-user <gnucash-user@gnucash.org>
> > Sent: Friday, October 18, 2024 1:42:05 PM
> > To: gnucash-user@gnucash.org <gnucash-user@gnucash.org>
> > Subject: [GNC] duplicate transactions exported   I am looking at the
> transactions exported from a GC (v5.0 Mac) book.  It seems that there are a
> number of duplicate records in the exported file.  Why would that be?
> >
> > Cheers,
> > Brook
> >
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