[kmymoney] [Bug 514197] New: Revisit Bug ID: 513807 "Beginning balance incorrect on reconcile"
Virgil
bugzilla_noreply at kde.org
Mon Jan 5 19:18:00 GMT 2026
https://bugs.kde.org/show_bug.cgi?id=514197
Bug ID: 514197
Summary: Revisit Bug ID: 513807 "Beginning balance incorrect on
reconcile"
Classification: Applications
Product: kmymoney
Version First 5.2.1
Reported In:
Platform: Other
OS: Microsoft Windows
Status: REPORTED
Severity: normal
Priority: NOR
Component: general
Assignee: kmymoney-devel at kde.org
Reporter: vbevans54 at hotmail.com
Target Milestone: ---
SUMMARY Your "FIX" was in essence to claim "it's a feature, not a bug," stating
that to correct one must change the transaction date on uncleared items to fall
within the reconcile period. I take issue with that assessment by asking the
following question: Why would I need to falsify my transaction date in order
to get a correct response from the software?
For example: Suppose I receive a payroll direct deposit on the 15th of the
month and I proceed to write checks for bills, charity, etc. I record those
checks as being issued on the 15th, but they of course will not clear for
perhaps another 4 or 5 days. Meanwhile, my bank statement issues on the 17th
of the month and when I try to reconcile the account the beginning balance is
incorrect. I believe your reasoning to be faulty, but if I'm incorrect, I wish
you would clarify.
STEPS TO REPRODUCE
1.
2.
3.
OBSERVED RESULT
EXPECTED RESULT
SOFTWARE/OS VERSIONS
Windows:
macOS:
(available in the Info Center app, or by running `kinfo` in a terminal window)
Linux/KDE Plasma:
KDE Plasma Version:
KDE Frameworks Version:
Qt Version:
ADDITIONAL INFORMATION
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