Dear Derek,
Thank you so much! It resolved my issue but I didn't get one thing. I have
selected the Vendor Bill as a Job and we don't write quantities for a job.
So, can you guide me on this - why would we add quantity for a job? Can't
we skip quantity while adding Job Bill? Quantities are fine
I use it in this manner all the time and works great.
I use an old program called pocketsense, which I modified a bit, which goes
out to multiple institutions, downloads from each in ofx format and then
combines them into single ofx file to import it into gnucash. Literally
speaking they all a
Thanks for that suggestion. I fiddled around with it for an hour or
so, but couldn't quite get it working the way I wanted. But I can see
the possibilities. I might have another go later.
Of course, just being able to shift items up and down in the GnuCash
window would be simpler for the user,
Hi David,
Thanks for your input.
If the problem I described was fixed, you would still be able to flag those
import transactions as to be ‘Added’ instead of ‘Matched’ (although the 2nd
would default to ‘Match’ (Update and/or Reconcile instead of ‘Add’) and you
would then still be able to do you
On 7/30/2021 11:22 PM, Derek Atkins wrote:
Sorry, there is not any easy way to do that.
You can try to use gnc2qif to convert one file to QIF and then import
it into the other. That may or may not work. And may require work to
do right.
Another option is to start over with a combined file. P
Chris,
I import OFX files from my bank with transfer transactions between three bank
accounts and between all of those accounts and a credit card account reasonably
regularly. I reconcile all accounts and have never noticed any discrepancies in
the past. Is this any particular GnuCash version? I h
Chris, yes, I do regularly download OFX files from my bank that include
transactions from several checking and saving accounts in one file. It
happens that often there are transfers between accounts, and usually there
are already existing transactions in GnuCash as I planned the transfers
earlier
Hi,
I'd like some feedback from people who use the ofx/qfx file import,
or any other type of import that uses the 'Generic import transaction
matcher'
window.
I've been fixing a problem and found another possible problem which I'd like
to
determine is a problem that needs to be fixed.
T
David,
Have you thought of exporting one of your existing multi-split txns in
Gnucash csv format - you can then maintain the details and desired split
order a lot more easily in a spreadsheet program, save the updated file as
csv and then use the csv importer to import the updated multi-split
tran
On Thu, 29 Jul 2021 11:04:18 -0400
nonno wrote:
> I initially setup Gnucash, about a year ago, with my wife having a
> set of accounts and my having a set of accounts. For example, when I
> go into Gnucash I open the file "personal.me.gnucash". When my wife
> goes into Gnucash she opens the fil
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