https://bugs.kde.org/show_bug.cgi?id=387538
Thomas Baumgart <tbaumg...@kde.org> changed: What |Removed |Added ---------------------------------------------------------------------------- Status|UNCONFIRMED |RESOLVED Resolution|--- |INVALID --- Comment #3 from Thomas Baumgart <tbaumg...@kde.org> --- Having two accounts at the same bank and import both might initially end up with two distinct transactions: one a withdrawal the other one a deposit (with or without category assignment doesn't matter at that point). The next step would be to assign the 'opposite' account as category to each of them. This will lead to false balance information as the transaction now appears twice in both accounts (they are still distinct transactions. Deleting one of them does not help here, because each of them carries information for one account to detect duplicates during the next import. This will be deleted as well and in case you import the file again the transaction will reappear. The solution to this is to select both transactions in one account and 'merge' them into one using 'Transaction/Match'. p.s. Please use the forum at https://forum.kde.org/viewforum.php?f=69 or the mailing lists for user questions. Since it is not a bug, I close it here. -- You are receiving this mail because: You are watching all bug changes.