On 11/19/20 10:29 AM, Griff wrote:
Here is a very simple question but I can't figure out how to do this.
I have searched the documentation and this mailing list.

How do I manually match 2 transactions:

I have 2 account that have had data imported via qfx.

Account 1 (credit card) has a transaction on 2020-01-19 that is a payment
for $amount which is the credit card payment from checking account

Account 2 (bank account) has a transaction on 2020-01-21 that is a
withdrawal for $amount which is the checking account payment to the credit
card.

The Transfer for the transactions in each account are currently  set to
Imbalance-USD. When I change the Account 1 transaction Transfer field to
Account 2 - a new transaction is created in Account 2 instead of matching
to the existing one.
_

Manually -- you pick one of those dates and enter a single transaction.

I usually have the bank payment entered in by hand and then do an OFX import of the CC file.  The match happens automatically during the import.  You can't do the match afterwards without manually removing one of them and adjusting the other.

--
Stephen M Butler, PMP, PSM
[email protected]
[email protected]
253-350-0166.
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