Hi,

Although I assume that the Importer GUI was primarily made to reconcile the previously manually entered transactions with the actual bank statement, I use it purely for getting the transactions to GnuCash. That said, I have other process to check the bank statements rather than reconciling it in GnuCash.

Unfortunatelly, the importer tries to match as much as possible, which results in considering many repeated transactions (utility pmts, rent, etc.) as already existing in the ledger and proposes to "reconcile" or "update and reconcile".

However, there is no such transaction in the current month - it probably tries to match with a similar item from prior periods.

Is there any way how to make the importer less agressive at matching? E.g. limiting the time span +/- days?

P.S. Note that I still like and use the matching - e.g. when a transaction is already entered manually or imported via other bank account.

Best regards,
Milan

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Milan Knížek | [email protected]
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