by mthadm » Sun Jul 07, 2013 11:12 pm
Hello,
Not a problem, the balances are not calculated during the import because it is not known at what account and in what order the import is going to be applied to. Once import is completed then the balances are recalculated and adjusted accoring to the imported information
The reason there is a balance column during import is because the table is re-used in few different places unrelated to imports and there it makes sense - for example when browsing the history of a payee or a category the balances are correct
Thanks