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
___
gnucash-user mailing list
gnucash-use
An item that is cleared means that your bank has cashed it. An item that is
reconciled means that at the end of the month the balance of the bank and your
checking account match for all item that have cleared. That is the difference
between the two. I hope my explanation is simple enough.
Sent