https://bugs.kde.org/show_bug.cgi?id=521405
--- Comment #5 from jesse <[email protected]> --- (In reply to Brendan from comment #4) > Maybe I'm missing something but how could the account be reconciled properly > if there is a transaction in it that didn't belong there? Ok sounds weird but it can happen. If a transaction is exactly the amount as another. The amount reconciled is the same. Imagine two transaction for 200 USD happening within two days of each other. Another example, I usually pay off my cc the same month. When I do, I manually enter the transaction into kmy. Then I reconcile once the billing period is over and the statement is released. As a safety net, I always opt in to pay a minimum payment of 40 usd. That means that in my checking account I sometimes get several transactions for 40 USD. This is what makes it difficult to spot, because the reconciled amount is correct. -- You are receiving this mail because: You are watching all bug changes.
