Except, actually, that does not work at all.  For example, I just reconciled
one account from my account statement.  It claimed it reconciled.  Yet, the
amount it shows at the bottom of the screen does not match either the amount
on the printed statement, nor the amount shown on the bucket in the accounts
list.  So the program has 3 different figures for the balance on one day.
And how can it show that it's reconciled when the "reconciled balance" on
the bottom of the screen does not match the ending balance on the
reconciliation screen?


On Sun, Mar 22, 2009 at 7:37 PM, cardigrl <[email protected]> wrote:

> Thank you!
>
>
> On Sun, Mar 22, 2009 at 3:18 PM, Tannie <[email protected]> wrote:
>
>>
>> On Mar 22, 8:47 pm, cardigrl <[email protected]> wrote:
>> > Hi-
>> >
>> > Is there a way to modify the central panel that shows a particular
>> account
>> > so that we can see a running balance?  I understand the accounts panel
>> on
>> > the upper left is  *supposed* to show us the current balance, but I need
>> a
>> > way to check the daily balance.  So, for example, I can see what I show
>> as
>> > the checking account balance on March 18?  Right now, there seems to be
>> no
>> > way to do that other than with pen, paper and a calculator.
>> >
>> > Also, some of my payments are not showing up in the appropriate account.
>> > So, for example, I put in a payment from checking to Amex today.  The
>> > checking account shows a deduction for that amount, and the transaction
>> > detail shows a withdrawal for the amount.  I left the bucket blank (per
>> the
>> > tutorial on credit cards), the status is open, and under matching, it
>> says
>> > from Checking to Amex.  But when I click on the Amex account bucket,
>> there
>> > is no payment.  When I go back to checking, it still shows it with all
>> the
>> > options described.  But when I click on the show matching button, it
>> > switches to the Amex account, but the transaction is not there.  Any
>> ideas?
>> >
>> > Thanks,
>> >
>> > Lynne
>>
>> Don't know about the second, but the first is easy:
>> - select your account on the left
>> - select a transaction for the day you want to check.
>>
>> Check the bottom of the window below the graph, it'll say the number
>> of transactions and then the date followed by the balance (and also
>> bucket balance and reconciled balance, but you want the first).
>>
>> Cheers,
>>
>> Tanja
>> >>
>>
>

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