2014-06-01 GnuCash IRC logs

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07:45:46 <SteveG> I am doing a past paper for another bookkeeping exam which I would like to do with Gnucash. They want us to open up a set of accounts with a customer and a vendor who both have opening balances of £480 and £360 respectively so that when you run the trial balance you get the following account balances: A/R £480; A/P 360; Capital £120. The only way I can see to do this is to create an invoice for the customer and
07:45:46 <SteveG> a bill for the vendor and put the £480 and £360 into Income and Expense Accounts and then transfer them out again to the Capital account. I just wondered if there was a better approach?
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13:18:30 <lukas> Hello, where can I find help for the connection between Gnucache-Commerzbank (German)? Do I need to ask for an ini-Letter or can I use my regular PIN to get my transactions? Thank you.
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13:56:26 <jralls> lukas: Best to ask on the German mailing list: https://lists.gnucash.org/mailman/listinfo/gnucash-de
13:56:42 <jralls> warlord: gncbot needs to be opped.
13:57:27 <lukas> jralls: Thank you. I will search their archives first.
13:57:43 <jralls> You're welcome.
13:59:11 <lukas> Another question: How do you import your Paypal transactions? Do you manually use the csv-Export of Paypal?
14:11:29 <jralls> I don't. I have so few that I just type them in.
14:13:38 <jralls> But if I did I'd use the QIF download. That's unfortunately $US only.
14:14:26 <jralls> So I guess CSV is your best option.
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15:40:49 <lukas> jralls, thank your for the details regarding Paypal.
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19:33:09 <warlord> @op jralls
19:33:10 *** gncbot sets mode: +o jralls
19:33:16 <warlord> sorry, jralls ... there you go.
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