On Thursday, 18 May 2017 13:57:03 BST farleykj wrote:
> Another method, perhaps a tedious one, is to create the "proper" credit card
> account, then go into the imported transactions and redesignate the
> accounts of each transaction. I've done this for situations where I needed
> to add a "Cash" account to an investment account. It takes a while, but has
> the advantage that you are editing things from within the program, rather
> than editing the XLM code.
> 

I might be misunderstanding the problem, but isn't the (supported) way to deal 
with this just to edit each account from the CoA and change the type to Credit 
Card?

If there are many affected accounts, it will be a bit tedious, but I should 
have thought as a one-time only job, quicker & easier than hacking & testing 
on the datafile?

0.02
Maf.


_______________________________________________
gnucash-user mailing list
[email protected]
https://lists.gnucash.org/mailman/listinfo/gnucash-user
-----
Please remember to CC this list on all your replies.
You can do this by using Reply-To-List or Reply-All.

Reply via email to