> Hendrik Boom <[EMAIL PROTECTED]> writes:
> > When I used the "Accounts" tab in the import dialog, I informed it that
> > accounts "chq" and "Checking" were to be the gnucash account "chequing",
> > and that "visapers" and "visa - personal" were to be "visa - personal".
> 
> Ah.  It's probably not clear enough in the documentation, but this
> isn't the way the importer is designed to work.
....

Well, I tried it again, following your instructions, and importing
worked properly.  No duplicate transactions, except for Opening Balance
entries.  (there's probably some kind of special case here).

However, transactions which in Quicken had been reconciled in only one account
show up as reconciled in both accounts.
This is wrong, but I can probably track then down by hand and hand-edit them.

-- hendrik.


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