I am doing a project bringing years of old data that I only have in pdf files
into GC.I've been writing some python scripts to make sucking data out
of the PDF files, converting them to CSV files that can easily be checked in
a spreadsheet, and then converting the CSV files into QIF that can be
First, regarding my recent post re. "incorrect starting balance in
reconcile," thanks to everyone who helped. The many replies helped me
understand a couple of things:
1. the find is limited to the dates in the current filter if you execute it
while on the account tab that is being filtered. I
Thanks...that was the problem.
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Thanks to all who posted. I had done a search several times on the whole
account for reconciled trxns, and it came up no results, but I did it again,
and it came up with the problem. Perhaps I had the date filter set or
something.
Thanks to everyone for the help. Knowing that the balance is cal
I have unreconciled all txns in the account.
I am trying to reconcile the first txn. It is $0.
It is obviously not calculating the reconcile balance by adding up previous
unreconciled because it is coming up -$918.00. There are not transactions
in the register before the one I am trying to reco
I am trying to reconcile the first transaction in the account, and yes view
is set to show all.
thanks
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To update your
I am trying to reconcile a Bank account.
Everything has been working fine since I opened the account, but recently I
tried to reconcile a statement, and the starting balance of the reconcile is
incorrect.
At the end of every statement, I put in a trxn with 0 value and the correct
ending balance i
Version: GnuCash 2.6.19
When creating an income statement for any period, I get two columns, the one
on the left has the correct content, the one on the right is all zeros.
Also, the totals are zero.
I've attached an example.
I've been using gnucash for a while, and this has never happened.
C