Hi, I use import data from various accounts into gnucash, either as CSV or QIF. For some accounts, the system by which it guesses what account to assign a transaction to (bills, cash withdrawal etc) seems to work fairly well, for others it fails dismally. As far as I can tell, it looks for an exact match in the description, so where I have a bank that adds individual transaction info (amount, date) to the description, gnucash never guesses an account match. Is there a setting to alter this? Ideally, to tell gnucash to try guessing based on the first half of the description only maybe?
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