Minor documentation fixes

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thdox 2015-01-21 00:51:31 +01:00
parent eb9672c550
commit 37f10ab75c

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