https://bugs.kde.org/show_bug.cgi?id=339192
--- Comment #16 from Jack <ostrof...@users.sourceforge.net> --- I assume the later entrydate is the one you just imported, and the earlier entrydate is the one you imported first, and then manually edited to change the sign. The main thing I notice is that these two transactions do not appear identical. The amounts are reversed between accounts A000024 and A000238. This doesn't make sense if the amount was imported incorrectly the first time and you manually corrected it. I see several other things I wonder about. The first transaction has apparently had one of the accounts reconciled, although the reconcile date is before the entry date. Strange things can happen if you edit a reconciled transaction. (I am assuming the entrydate gets updated on any edit to the transaction - but I don't know that for certain.) Only the new transaction shows "Imported" as "true." I don't know if editing an imported transaction changes this value. The split with the bankid present in the new transaction also has a payee assigned to that split. There is no payee assinged in the older transaction. That might have affected the matching (or lack) on import. I'm also not sure why the bankid is assigned to one of the splits instead of to the transaction itself. The three splits are in different order in the two transactions. I don't know if that is useful information or completely irrelevant. Hopefully someone else can make more sense of this than I can. -- You are receiving this mail because: You are the assignee for the bug. _______________________________________________ KMyMoney-devel mailing list KMyMoney-devel@kde.org https://mail.kde.org/mailman/listinfo/kmymoney-devel