Hi, Trying to figure out what gnucash is doing with my first reimbursement ever. :)
So I've an employee who has a different currency than the company currency. They went on a trip to a customer and incurred costs, most billable one not. I added these, itemised, into an expense voucher in their currency. I then posted in into an A/P in their currency, putting in the appropriate conversion rate into the company currency. This caused GNUCash to fill in two accounts: 1. the credit card account for the employee 2. the A/P that the voucher was posted into Hassle is the splits don't make sense. The A/P has a sum that is vastly less than the employee's account. Adding both equals the total for the voucher but the split does not make sense. I believe that the A/P should have an amount equalling to all the billable items and that the employee's account should have the remaining amount (ie not billable total). Is this right? If so they don't and I'm lost as to why. Neither amount makes any sense. :( Any help would be appreciated. Thanks, AP _______________________________________________ gnucash-user mailing list [email protected] To update your subscription preferences or to unsubscribe: https://lists.gnucash.org/mailman/listinfo/gnucash-user ----- Please remember to CC this list on all your replies. You can do this by using Reply-To-List or Reply-All.
