If you have one balance assertion for each statement, you'll be able to
reconcile each billing cycle separately.

On Sun, May 8, 2016 at 2:01 PM, Jason Chu <[email protected]> wrote:

> Every time I import transactions from my credit card the balance lines
> never match up.  I understand this is because transactions can be inserted
> inserted in history.  How do other people reconcile their credit card
> statements to make sure they have the correct balance for a given set of
> transactions?  I'm afraid if I don't do this I will end up missing or
> double counting a transaction somewhere and not accurately representing my
> debt.
>
> Gnucash had a mechanism for reconciling a set of transactions with a
> statement, where it would change the state of the transaction to reconciled
> (y vs n or c) and would verify that all reconciled transactions at that
> point in time matched the statement balance.
>
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-- 
Yuchen Ying
http://about.me/yegle

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