# bankofireland-checking.csv.rules # skip the header line skip # name the csv fields, and assign some of them as journal entry fields fields date, description, amount-out, amount-in, balance # We generate balance assertions by assigning to "balance" # above, but you may sometimes need to remove these because: # # - the CSV balance differs from the true balance, # by up to 0.0000000000005 in my experience # # - it is sometimes calculated based on non-chronological ordering, # eg when multiple transactions clear on the same day # date is in UK/Ireland format date-format %d/%m/%Y # set the currency currency EUR # set the base account for all txns account1 assets:bank:boi:checking