Hi Fred/GNUCash users, 

First off, some basics: 

What operating system are you using? 

What version of GNUCash are you using?
https://gnucash.org/download.phtml shows that the current version is
5.10 

https://wiki.gnucash.org/wiki/FAQ#Importing.2FExporting_Data has some
info on importing data, as you mentioned a regular QIF import 

Regarding the stock purchase with 2 start & end transactions, 1 being
balanced and the other being imbalanced - are both entries for the same
transaction? Possibly meaning an importing error? 

Also, why is the account titled "Imbalance-USD" - ? 

---
Thanks, 

Brad - https://www.facebook.com/brad.morrison.12327/ &
https://nextdoor.com/profile/01mP46jj8KCzj3sP4 &
https://norcal.social/@BradMorrison 

On 2025-02-06 04:06, Fred Tydeman wrote:

> I just noticed that the account Imbalance-USD has some entries.
> 
> However, all the entries are very strange in that there is NO
> corresponding second account (that is, no pair of transactions).  Each
> entry has a description, but the value is zero.  If I do Show Splits,
> there is no second account.
> 
> I looked at the backup files and found the date when these
> transactions happened (January 11).  In looking at the corresponding
> log file, I can see transactions that mention Imbalance.  But, I do
> not know how to read the log file.
> 
> I have done Check and Repair All and the Imbalance-USD transactions
> remain.
> 
> In looking at one of the Imbalance transactions, it corresponds to a
> stock purchase.  I can see two Start/End transactions in the log file
> related to that stock.  One of those two has the Imbalance.
> 
> It is possible that these transactions are related to an Import of a
> QIF file (which I do each Saturday).
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