> On Jun 20, 2017, at 10:14 AM, Andrew Shalaurov <[email protected]> wrote:
> 
> Can someone explain to me how to import transactions so 2 GL accounts are 
> assigned to each (normal double entry accounting)
> Ex: cash deposit to a checking account would result in credit principal 
> (liability), debit cash (from bank's point of view).

The importers don't have the ability to handle multi-split transactions, so 
you'll have to do the splitting after the import.

Regards,
John Ralls

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