> On Apr 10, 2020, at 8:22 AM, Dale Phurrough via gnucash-devel 
> <gnucash-devel@gnucash.org> wrote:
> 
> This feels like a separation of accounting logic -- separate from storage
> field -- has broken down. From what you wrote, it seems each of these
> sources have direct access to core fields without any accounting/business
> logic to control the transaction of reconciliation nor to validate the
> input into that reconciliation.

Unfortunately there is very little such separation anywhere in GnuCash. 

Regards,
John Ralls

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