Those don’t sound like large files, so it sounds like there might be something
wrong. Do they ALL hang, or only some of them?
I will admit that I am not one to advise on importing, as I don’t do it much.
That being said, I would take a close look at the source files—especially the
date fields,
Thank you for the suggestions David T.
Each of the files that I have been trying to import contains three weeks of
transactions from one bank account. They are all between 1kb and 3kb.
Paul
On Sun, Jan 21, 2018 at 1:15 AM, David T. wrote:
> Moreover, any import process can take a long time to
Thanks. I'll take a look.
Amusingly your email came around the same time I saw an ovirt engine
restart implying a network blip.
-derek
Sent using my mobile device. Please excuse any typos.
On January 21, 2018 1:36:29 AM "David T." wrote:
Derek,
The wiki doesn’t seem to be operational at
David T. you nailed it.
I put the file in a word processor and changed all of the dates from
MM/DD/ to MM-DD- and it worked beautifly. Thanks much.
Paul
On Sun, Jan 21, 2018 at 9:50 AM, David T. wrote:
> Those don’t sound like large files, so it sounds like there might be
> something w
On 1/21/2018 8:50 AM, David T. via gnucash-user wrote:
> Those don’t sound like large files, so it sounds like there might be
> something wrong. Do they ALL hang, or only some of them?
>
> I will admit that I am not one to advise on importing, as I don’t do it much.
> That being said, I would tak
Here is a free converter you might want to try for your csv file.
CSV Converter
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CSV Converter
Free online CSV converter. Save your bank/institution statement as QIF or OFX
to then import into your accountin... | |
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From: j
site is csvconverter.biz
it is an online converter.
From: david amaral via gnucash-user
To: jeffrey black ; David T.
; Paul Konnersman
Cc: Gnucash Users
Sent: Sunday, January 21, 2018 10:23 AM
Subject: Re: Gnucash freezes while loading data
Here is a free converter you might want
Greetings,
When entering a split is there a method for inserting a split line before an
existing split line? I usually add new split lines to the end of my list of
splits but for a particular recurring transactions it's grown a little messy
over time with similar items not grouped together.
Tha
I wanted to add ctrl-b to reconcile and discovered that in:
https://wiki.gnucash.org/wiki/Keyboard_Shortcuts#Modifying_
Keyboard_Shortcuts
The following text is incorrect in that it doesn't work on my Linux:
Linux Kilo 4.10.1-041001-generic #201702260735 SMP Sun Feb 26 12:36:48 UTC
2017 x86_64 x
Thanks Jeffery, I'll save that sight for future reference.
It turned out that all I needed was a quick search and replace (replace "/"
in the date field with "-") and everything then went smoothly.
Paul
On Sun, Jan 21, 2018 at 12:50 PM, david amaral wrote:
> site is csvconverter.biz
>
> it is
Hi. I view my checking account ledger in Basic Ledger mode. I choose
View > Double Line View. This opens up the "Notes" line for each
entry, which is helpful.
It also shows an "Action" field underneath the "Num" field. Where is
this described in the manual? What is the purpose of the Action
f
Try clicking in the Action field - it displays a drop down for transaction
type etdc.
R = Reconciled and has values of N (New ?) / C = Cleared / R = Reconciled.
A dunno I only ever use "Basic Ledger" view :-)
Check out https://code.gnucash.org/docs/C/gnucash-guide/txns-registers1.html
for a bit
Oh so I should use the R column for checking against the bank web site
or statement, instead of putting a checkmark in the notes column like
I have been :-)
Still not sure what 'Action' is supposed to describe on an entry that
is not split, or even what it means on a split item, but thanks for
the
Yes, if you use the Reconcile process it puts the "R" in for you :-)
Cheers Dave.
On 22 January 2018 at 11:47, Mark Hedges wrote:
> Oh so I should use the R column for checking against the bank web site
> or statement, instead of putting a checkmark in the notes column like
> I have been :-)
>
I have setup my brokerage accounts on gnucash and I noticed that my money
market accounts are not included in the brokerage accounts total is there a way
to correct this. Thanks for the help
Sent from my iPhone
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gnucash-user mailing list
gnucash-use
The num field[*] is for the check number or other accounting document.
(In a business situation, you always need to have some unique identifier
between accounting entries and the physical or electronic documents that
justify them in case of control (=audit).
[*] I say this because it makes s
Dear All,
I have just been through the annual preparation of my accounts. I have a couple
of questions as a result.
1. I am sure that GNU has 'lost' the reconciled status of transactions which I
know I have previously reconciled. Is this my imagination or is this possible?
Unfortunately this
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