Re: Why do this?

2016-12-05 Thread aga
On 05/12/16 11:16, Thomas Baumgart wrote: > Hi Allen, > > I try to find an answer to your question. The problem here is, that the > importer (actually any of them, maybe except QIF in some circumstances) does > not provide enough information and KMyMoney tries to add the missing pieces > from

Re: Why do this?

2016-12-05 Thread Thomas Baumgart
Hi Allen, I try to find an answer to your question. The problem here is, that the importer (actually any of them, maybe except QIF in some circumstances) does not provide enough information and KMyMoney tries to add the missing pieces from data found in the transactions already on file. Here's

Why do this?

2016-12-04 Thread aga
I'm puzzled again, or perhaps, just curious. Sometimes, when I import a CSV checking transaction, the ledger shows the correct amount, but also shows the transaction as unbalanced. When I open the transaction, it shows as a split, but the amount is different, and the difference shows as unassigne