Helping someone out with their new GnuCash experience, regarding
importing and reconciliation. He reports that after an import, the
reconciliation balances are off, and the account balances are off.
I looked at his register, and he had reconciled 5 months or so, and then
following those reconciled transaction, were 'c' and 'n' type
transaction, and then intermixed with those were some also 'y' transactions.
We're not sure how that happened. Does importing set the reconciliation
status to 'y' at any time for any reason?
--
~mark petryk
~w:http://www.lorimarksolutions.com
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