This has been resolved.  If ledger-clear-whole-entries is nil then
reconcile mode will clear the posting, not the entire xact.

On Sat, Feb 9, 2013 at 10:54 AM, John Rakestraw <jo...@johnrakestraw.com> wrote:
> Hi, Craig --
>
>
> On Saturday, February 9, 2013 11:31:48 AM UTC-5, Craig Earls wrote:
>>
>> Thanks John,
>>   I can't reproduce the save error you are seeing.  I will keep trying.
>
>
> Thanks. Let me know if I can provide additional information.
>
>>
>> As far as the transaction reconciliation behavior you are seeing, that
>> is as intended.  I will see if I can make it configurable to clear
>> only the posting from the reconcile window.  C-c C-c inthe ledger
>> buffer still clears only the posting you are on...  In my mind I clear
>> the entire transaction (especially if their are only two postings, in
>> your example why wouldn't also clear the expenses posting?).
>
>
> Suppose I have two accounts and I'm transferring money from one account to
> the other. I reconcile each of these accounts when I get the monthly
> statement. But one account cycle goes from the 1st of the month to the 1st,
> while the other goes from the 15th to the 15th. I'll mark one side cleared
> when I'm reconciling that account on the 1st, but I want the other posting
> to show as unreconciled when I'm reconciling that account on the 15th.
>
> Another use -- I use my credit card to spend money that's to be reimbursed
> by the university. I'll reconcile the credit card side of that transaction
> when I pay my credit card bill, but I don't want to reconcile the other side
> of the transaction until I'm reimbursed by the university -- that's how I
> track whether I've been reimbursed.
>
> Those are my two use cases. Maybe there's another way to do what I'm doing?
>
> Thanks again --
>
> John
>
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--
Craig, Corona De Tucson, AZ
enderw88.wordpress.com

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