Zacharie, I have a bank account with two debit cards that have different card numbers. In my case the bank does not separate the transactions by card number in the monthly statement, but the last four digits of the card number is in their description field which maps into the GnuCash Notes field during the import. I am not sure how I could separate them before or during the import, but at least there is a property which differentiates them.
I think that I could do a find based on one of the numbers after the import to temporarily separate them in the find results, then move one set to the other sub-account before proceeding to the reconciliation step. Perhaps you could do something similar. David Carlson On Wed, Sep 25, 2019 at 5:29 AM Adrien Monteleone < [email protected]> wrote: > I forgot to mention that you might also run a Reconciliation Report as a > first/early step. The report can be made to show only unreconciled and/or > cleared transactions. Then you’re looking at each sub-account (card) > separately and can make sure everything is where it belongs, then proceed > with the Reconciliation. > > Regards, > Adrien > > > On Sep 25, 2019 w39d268, at 4:24 AM, Adrien Monteleone < > [email protected]> wrote: > > > > I’m guessing you mean you can’t verify the account from the reconcile > window... > > > > Before opening the Reconcile window, as a first step, I’d go through > each account and mark the matching transactions from the statement as > ‘cleared’ by clicking the R column. (changing the flag from ’n’ to ‘c’) > > > > Then when you open the Reconcile window, those will have green checks by > them. If all is well, then the balance *should* be zero and you can just > click to finish the reconciliation, else you might have to edit something, > or enter a balancing transaction until you can track down the error. > > > > Regards, > > Adrien > > > >> On Sep 24, 2019 w39d267, at 11:14 PM, Zacharie Durand < > [email protected]> wrote: > >> > >> Hello, > >> > >> I’m wondering if anyone has dealt with multiple credit cards under a > single credit card account? > >> > >> My spouse and I each have a credit card under a single credit card > account. We make purchases on our separate credit cards. Each month I > receive a single bill for both cards. The bill separates my purchases and > my spouses into two separate lists and sum them up. > >> > >> I’ve set up my accounts in GnuCash like this: > >> -Credit Card > >> --My Card > >> --My Spouse’s Card > >> > >> This account structure allows me to separate purchases between cards. > >> I can reconcile the account including sub-accounts every month, however > I can’t confirm each transaction is entered under the proper card. > >> > >> Does anyone have experience or suggestions to this? > >> > >> Thanks, > >> > >> Zach > > > _______________________________________________ > gnucash-user mailing list > [email protected] > To update your subscription preferences or to unsubscribe: > https://lists.gnucash.org/mailman/listinfo/gnucash-user > If you are using Nabble or Gmane, please see > https://wiki.gnucash.org/wiki/Mailing_Lists for more information. > ----- > Please remember to CC this list on all your replies. > You can do this by using Reply-To-List or Reply-All. > -- David Carlson _______________________________________________ gnucash-user mailing list [email protected] To update your subscription preferences or to unsubscribe: https://lists.gnucash.org/mailman/listinfo/gnucash-user If you are using Nabble or Gmane, please see https://wiki.gnucash.org/wiki/Mailing_Lists for more information. ----- Please remember to CC this list on all your replies. You can do this by using Reply-To-List or Reply-All.
