Minor documentation fixes
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1 changed files with 6 additions and 6 deletions
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@ -367,7 +367,7 @@ some additional meaning to the states:
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No state. This is equivalent to sticking a check in the mail. It has
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been obligated, but not been cashed by the recipient. It could also
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apply to credit/debit card transactions that have not been cleared into
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your account balance. You bank may call these transactions ``pending'',
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your account balance. You bank may call these transactions @emph{pending},
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but Ledger-mode uses a slightly different meaning.
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@item Pending.
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@ -550,7 +550,7 @@ about. You can get this from a monthly statement, or from checking your
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on-line transaction history. It also helps immensely to know the final
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cleared balance you are aiming for.
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Use menu @samp{Reconcile Account} or @kbd{C-c C-r} and enter the account
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Use menu @samp{Reconcile Account} or keyboard shortcut @kbd{C-c C-r} and enter the account
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you wish to reconcile in the Minibuffer. Ledger-mode is not particular
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about what you enter for the account. You can leave it blank and
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@file{*Reconcile*} buffer will show you @emph{all} uncleared
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@ -589,7 +589,7 @@ difference from your target is zero.
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If you find errors during reconciliation. You can visit the transaction
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under point in the @file{*Reconcile*} buffer by hitting the @kbd{RET}
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key. This will take you to the transaction in the Ledger buffer. When
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you have finished editing the transaction saving the buffer will
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you have finished editing the transaction, saving the buffer will
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automatically return you to the @file{*Reconcile*} buffer and you can
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mark the transaction if appropriate.
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@ -599,7 +599,7 @@ mark the transaction if appropriate.
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Once you have marked all transactions as pending and the cleared balance
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is correct. Finish the reconciliation by typing @kbd{C-c C-c}. This
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marks all pending transaction as cleared and saves the ledger buffer.
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marks all pending transactions as cleared and saves the ledger buffer.
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@node Adding and Deleting Transactions during Reconciliation, Changing Reconciliation Account, Finalize Reconciliation, The Reconcile Buffer
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@section Adding and Deleting Transactions during Reconciliation
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@ -621,7 +621,7 @@ Typing @kbd{d} will delete the transaction under point in the
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You can conveniently switch the account being reconciled by typing
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@kbd{g}, and entering a new account to reconcile. This simply restarts
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the reconcile process. Any transactions that were marked `pending' in
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the reconcile process. Any transactions that were marked @emph{pending} in
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the ledger buffer are left in that state when the account is switched.
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@node Changing Reconciliation Target, , Changing Reconciliation Account, The Reconcile Buffer
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@ -795,7 +795,7 @@ maintain the proper mathematical sense.
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@chapter Scheduling Transactions
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The Ledger program provides for automating transactions but these
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transaction aren't ``real'', they only exist inside a ledger session and
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transaction aren't @emph{real}, they only exist inside a ledger session and
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are not reflected in the actual data file. Many transactions are very
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repetitive, but may vary slightly in the date they occur on, or the
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amount. Some transactions are weekly, monthly, quarterly or annually.
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