On Thu, Jan 7, 2010 at 7:26 PM, David Godfrey <[email protected]> wrote:

> Hi All,
>
> What does everyone do to enter information from bank statements?
> And once entered how do you reconcile this info with other transactions?
>
> David
>
> Not supported in 1.2.  In 1.3, there is no manual entry of wrong items, but
the reconciliation workflow allows you to enter which items are on which
statement, assuming they match what are in the books.

One can also build plugins to load CSV or other text files from the bank to
auto-import the information.  This DOES allow one to import mismatching
entries, which will then be flagged for further action.

Best Wishes,
Chris Travers
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