I'm going down a path where I have my accounts set up in a main ledger file 
and include a bunch of sub-ledgers with long lists of transactions. I’m 
running into some issues (all solvable), for example when ingesting bank 
statements that contain transactions that should go into separate 
sub-ledgers.


I was wondering if I’m shooting myself in the foot by doing this and making 
my life unnecessarily hard. I was also wondering how other people set this 
up, single big file or separate smaller files and how they handle ingestion.

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