From b257bb9a2a706a67b725848f8c1ae0c00b1dd81a Mon Sep 17 00:00:00 2001 From: Linas Vepstas Date: Tue, 31 Mar 1998 07:29:25 +0000 Subject: [PATCH] updates git-svn-id: svn+ssh://svn.gnucash.org/repo/gnucash/trunk@760 57a11ea4-9604-0410-9ed3-97b8803252fd --- Docs/xacc-regwin.html | 11 +++++++++++ 1 file changed, 11 insertions(+) diff --git a/Docs/xacc-regwin.html b/Docs/xacc-regwin.html index f3951e7f88..73119829ce 100644 --- a/Docs/xacc-regwin.html +++ b/Docs/xacc-regwin.html @@ -14,6 +14,17 @@

+

Reconciliation

+ + At the bottom of the account window, there are two running balances, + the "cleared & reconciled" balance, and the "total" balance... the + "cleared & reconciled" balance should correspond to how much money + the bank thinks you have in your account, and the "total" balance + includes outstanding transactions. +

+ Reconciliation can be done in the + Reconcile Window +

Stock Portfolios

You can do stock transaction either from a single-stock window,