On Mon, Mar 04, 2013 at 06:47:47PM -0500, Sam Stuck wrote:
> In the second transaction, you pull a *different* 100 to be
> transferred. You move 100 into Savings:Toys, then move another 100
> into Assets:Checking. The amount must be in either Savings:Toys or
> Assets:Savings, but cannot be in both.
I understand why I'm currently being double booked. What I don't understand is
how to sanely start with:
ledger bal
100 Assets:Checking
50 Savings:Toys
50 Assets:Savings
-200 Equity
ledger bal --real
150 Assets:Checking
50 Assets:Savings
-150 Equity
And end up with:
ledger bal
100 Assets:Checking
50 Savings:Toys
50 Assets:Savings
-200 Equity
ledger bal --real
100 Assets:Checking
100 Assets:Savings
-200 Equity
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