| | |||
| |||
| I think you've pretty well covered the way this works. Oh, one other: learn to not worry about it. "Ivan from DK" <IvanfromDK[at]discussions.microsoft.com> wrote in message news:659FD751-7106-4F88-BB2D-17D5F54E6E5A[at]microsoft.com... - quote - > Any other ideas? |
|
#-1
| |||
| |||
| Hi, I import QIF statements into my accounts in Money 2006. Occasionally I match a transaction with an upcoming bill, which usually causes the sequence of transactions in the register within the same day to change. How can I reorder these transactions to match my bank statement? I have tried the following: - I dictate the sequence using numbers (1, 2, 3, ...) in the transaction "number" field thereby manually setting the sequence for that day. This works but is not elegant (numbers will not be unique) - I "cut and paste" the transactions to a "Clipboard" account and try to "cut and paste" them back in correct order. Doesn't work - Money seems to remember the previous sequence. - I delete the transactions in question and retype them manually. This works always, but is rather tiresome. Any other ideas? Thanks, Ivan |
| Tags |
| day, reorder, transactions |
Similar Threads | ||||
| Thread | Forum | Replies | Last Post | |
| Ending Cash Balance in Investment Transactions Register vs Cash Transactions Mark: I have a balancing problem. The ending cash balance on the Investment Transactions register and the Cash Transactions register for the same... | Microsoft Money | 8 | 08-26-2004 02:04 PM | |
| Investment Transactions not appearing in Cash Transactions Jim F: The Cash Transactions register is missing items that are present in the Investment Transactions register, causing the month-end money balance to... | Microsoft Money | 2 | 02-07-2004 05:59 PM | |
| Thread Tools | |
| Display Modes | |
| |