https://bugs.kde.org/show_bug.cgi?id=342989
--- Comment #7 from Jack <ostrof...@users.sourceforge.net> --- Ah - if you had a problem with reconciliation, there is something goin on other than simply the issue of dates not being what you think they should be. Transaction state (unmarked, cleared, reconciled) is separate for each split. I have plenty of checking transactions cleared in the bank account and unmarked in the credit card account (in that case on-line bill pay, where the bank removes the money as soon as they send it) or the other way around. I've never had a problem with reconciling such accounts, as long as I clear the transaction when the institution for that account does - which is different for the different splits. I suspect your issue is not simply that the date is incorrect (as you see it) but that a transaction was inappropriately marked or not marked as cleared. See if you can find the issue (or prevent it in the future) keeping that in mind. As far as I can tell, the only way that a split date actually affects reconciliation is that the process only takes into account splits with dates on or before the date of reconciliation. -- 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