-
-
Notifications
You must be signed in to change notification settings - Fork 8
Open
Description
During regular reconciliation (e.g. monthly), for some accounts (transportation cards, stored-value cards, etc.), the account balance is determined, but transactions in the middle of the reconciliation cycle are prone to omissions.
At this time, using the Balance command will prompt an error, and it is often necessary to use the Pad command before, like this:
2024-11-20 pad Assets:TransCard:ShenZhenTong Equity:Other:Fixme
2024-11-21 balance Assets:TransCard:ShenZhenTong 123.00 CNY
(after completing txns from other places, the Pad command becomes invalid, and it is deleted to complete the entire reconciliation process.)
In this case, when I want to use Costflow for quick recording, I have to send Pad once pad szt eof and then send Balance once tmr balance szt 123, so can you consider adding a syntax to use Pad Balance in combination
Metadata
Metadata
Assignees
Labels
No labels