Unbalanced transaction after matching scheduled with different amount
Reported by Rhys Parry | November 26th, 2012 @ 10:16 PM
Sometimes my scheduled transactions end up being for a slightly different amount to that in the schedule. When I match the real and scheduled transactions up when importing, I end up with an unbalanced transaction (see attachment). I would expect both accounts invloved in the transaction to be updated with the real amount, or at least something to highlight the issue.
Steps
* Have scheduled transaction * Import qif data for the transaction,
but with a different amount * Check transaction info
Comments and changes to this ticket
-
Virgil Dupras December 1st, 2012 @ 04:17 PM
- State changed from new to accepted
- Tag changed from import, schedule, transaction to bug, import, schedule, transaction
I could reproduce the bug by following your steps. Thanks, that's a very interesting bug. A transaction should never be in an unbalanced state like that unless it's a multi-currency transaction. The "other side" of the transaction should have followed the amount change imposed by the importation.
-
Virgil Dupras December 9th, 2012 @ 06:43 PM
- State changed from accepted to fixed
(from [b8da68dcea10]) [#351 state:fixed] Balance splits after a bound txn import. https://bitbucket.org/hsoft/moneyguru/changeset/b8da68dcea10/
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