On Sunday, February 19, 2017 at 3:51:57 PM UTC-8, Bill wrote:
>
>
> I get 12 complaints.  The first, lightly edited for privacy, says, 
>
> While parsing file "FQFN", line 339:
> While parsing transaction:
> > 2006/09/31 * Credit Dividend
> Error: Day of month is not valid for year
>
> Ledger is correct: that is indeed what the file says.  There are two 
> entries like that; the other one is for 2007/09/31, and it is on the same 
> account but later in the file.
>
>
Is it possible that 2.6 used to convert invalid dates into a real date? 
 Perhaps I had entered 9/31 previously, and 2.6 turned it into 10/1.
 

> The next says, 
>
> While parsing file "FQFN", line 401:
> While balancing transaction from "FQFN", lines 399-401:
> > 2006/12/19 * Account Payee
> >     Assets:Account:Name  2.054 AssetSymbol
> >     Income:Another:Account:Name               $36.23
> Unbalanced remainder is:
>               $72.46
> Amount to balance against:
>               $72.46
> Error: Transaction does not balance
>
>
I checked and didn't see anything in the changelog, but is there something 
that changed in going to 3.1 that might have affected this type of entry, 
too?

Bill

-- 

--- 
You received this message because you are subscribed to the Google Groups 
"Ledger" group.
To unsubscribe from this group and stop receiving emails from it, send an email 
to ledger-cli+unsubscr...@googlegroups.com.
For more options, visit https://groups.google.com/d/optout.

Reply via email to