The importer includes three options: A, R and R+U. These mean:

A     = add the transaction as new 
R+U =  reconcile the transaction with a matching transaction and update the 
existing GC transaction with the incoming data (description field etc.) 
R     = Reconcile the incoming transaction with the existing transaction 

What you choose affects what you get.

HTH,
David

> On Jul 9, 2017, at 8:12 PM, [email protected] wrote:
> 
> 
> I import transactions in QIF, GFX and CSV formats to GC 2.6.16.  When I 
> import transactions, GC proposes to match some of the imported transactions 
> with transactions in my file.  GC highlights these transactions in green.  
> These transactions do not have identical data in the date, description, and 
> notes fields.  What happens to the non-identical data in the description and 
> notes fields?  Which date survives the match.
> 
> Paul
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