doc: manual: float-clearing tweaks

This commit is contained in:
Simon Michael 2015-05-22 17:53:16 -07:00
parent ef5c7f5471
commit 74268f6624

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@ -219,11 +219,13 @@ primary date if unspecified.
assets:checking
```
<div style="clear:both;"></div>
```{.shell}
$ hledger register checking
2010/02/23 movie ticket assets:checking $-10 $-10
```
<div style="clear:both;"></div>
```{.shell}
$ hledger register checking --date2
2010/02/19 movie ticket assets:checking $-10 $-10
@ -249,11 +251,13 @@ from checking should be reported on 6/1 for easy bank reconciliation:
assets:checking ; bank cleared it on monday, date:6/1
```
<div style="clear:both;"></div>
```{.shell}
$ hledger -f tt.j register food
2015/05/30 expenses:food $10 $10
```
<div style="clear:both;"></div>
```{.shell}
$ hledger -f tt.j register checking
2015/06/01 assets:checking $-10 $-10
@ -1405,7 +1409,7 @@ or cashflow statement:
$ hledger balance ^assets ^liabilities 'not:(receivable|payable)' -p 'weekly this month'
-->
<br clear=all>
<div style="clear:both;"></div>
``` {.shell .right}
$ hledger balance --quarterly income expenses -E --cumulative
Ending balances (cumulative) in 2008:
@ -1425,7 +1429,7 @@ Ending balances (cumulative) in 2008:
period, accumulating the changes across periods, starting from 0 at
the report start date. This mode is not often used.
<br clear=all>
<div style="clear:both;"></div>
``` {.shell .right}
$ hledger balance ^assets ^liabilities -Q
Balance changes in 2008:
@ -1459,8 +1463,7 @@ periods, starting from the actual balance at the report start date.
This is useful eg for a multi-period balance sheet, and when
you are showing only the data after a certain start date.
<br clear=all>
<div style="clear:both;"></div>
``` {.shell .right}
$ hledger balance -Q income expenses --tree -E -TA
Balance changes in 2008: