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916 lines
28 KiB
Groff
916 lines
28 KiB
Groff
.\"t
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.TH "hledger_journal" "5" "May 2016" "hledger 0.28" "hledger User Manuals"
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.SH NAME
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.PP
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Journal \- hledger\[aq]s default file format, representing a General
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Journal
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.SH DESCRIPTION
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.PP
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hledger\[aq]s usual data source is a plain text file containing journal
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entries in hledger journal format.
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This file represents a standard accounting general journal.
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I use file names ending in \f[C]\&.journal\f[], but that\[aq]s not
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required.
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The journal file contains a number of transaction entries, each
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describing a transfer of money (or any commodity) between two or more
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named accounts, in a simple format readable by both hledger and humans.
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.PP
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hledger\[aq]s journal format is a compatible subset, mostly, of
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ledger\[aq]s journal format, so hledger can work with compatible ledger
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journal files as well.
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It\[aq]s safe, and encouraged, to run both hledger and ledger on the
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same journal file, eg to validate the results you\[aq]re getting.
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.PP
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You can use hledger without learning any more about this file; just use
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the add or web commands to create and update it.
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Many users, though, also edit the journal file directly with a text
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editor, perhaps assisted by the helper modes for emacs or vim.
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.PP
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Here\[aq]s an example:
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.IP
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.nf
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\f[C]
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;\ A\ sample\ journal\ file.\ This\ is\ a\ comment.
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2008/01/01\ income\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ ;\ <\-\ transaction\[aq]s\ first\ line\ starts\ in\ column\ 0,\ contains\ date\ and\ description
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\ \ \ \ assets:bank:checking\ \ $1\ \ \ \ ;\ <\-\ posting\ lines\ start\ with\ whitespace,\ each\ contains\ an\ account\ name
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\ \ \ \ income:salary\ \ \ \ \ \ \ \ $\-1\ \ \ \ ;\ \ \ \ followed\ by\ at\ least\ two\ spaces\ and\ an\ amount
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2008/06/01\ gift
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\ \ \ \ assets:bank:checking\ \ $1\ \ \ \ ;\ <\-\ at\ least\ two\ postings\ in\ a\ transaction
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\ \ \ \ income:gifts\ \ \ \ \ \ \ \ \ $\-1\ \ \ \ ;\ <\-\ their\ amounts\ must\ balance\ to\ 0
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2008/06/02\ save
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\ \ \ \ assets:bank:saving\ \ \ \ $1
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\ \ \ \ assets:bank:checking\ \ \ \ \ \ \ \ ;\ <\-\ one\ amount\ may\ be\ omitted;\ here\ $\-1\ is\ inferred
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2008/06/03\ eat\ &\ shop\ \ \ \ \ \ \ \ \ \ \ ;\ <\-\ description\ can\ be\ anything
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\ \ \ \ expenses:food\ \ \ \ \ \ \ \ \ $1
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\ \ \ \ expenses:supplies\ \ \ \ \ $1\ \ \ \ ;\ <\-\ this\ transaction\ debits\ two\ expense\ accounts
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\ \ \ \ assets:cash\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ ;\ <\-\ $\-2\ inferred
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2008/12/31\ *\ pay\ off\ \ \ \ \ \ \ \ \ \ \ \ ;\ <\-\ an\ optional\ *\ or\ !\ after\ the\ date\ means\ "cleared"\ (or\ anything\ you\ want)
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\ \ \ \ liabilities:debts\ \ \ \ \ $1
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\ \ \ \ assets:bank:checking
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\f[]
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.fi
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.SH FILE FORMAT
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.SS Transactions
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.PP
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Transactions are represented by journal entries.
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Each begins with a simple date in column 0, followed by three optional
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fields with spaces between them:
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.IP \[bu] 2
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a status flag, which can be empty or \f[C]!\f[] or \f[C]*\f[] (meaning
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"uncleared", "pending" and "cleared", or whatever you want)
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.IP \[bu] 2
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a transaction code (eg a check number),
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.IP \[bu] 2
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and/or a description
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.PP
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then some number of postings, of some amount to some account.
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Each posting is on its own line, consisting of:
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.IP \[bu] 2
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indentation of one or more spaces (or tabs)
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.IP \[bu] 2
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optionally, a \f[C]!\f[] or \f[C]*\f[] status flag followed by a space
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.IP \[bu] 2
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an account name, optionally containing single spaces
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.IP \[bu] 2
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optionally, two or more spaces or tabs followed by an amount
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.PP
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Usually there are two or more postings, though one or none is also
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possible.
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The posting amounts within a transaction must always balance, ie add up
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to 0.
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Optionally one amount can be left blank, in which case it will be
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inferred.
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.SS Dates
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.SS Simple dates
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.PP
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Within a journal file, transaction dates use Y/M/D (or Y\-M\-D or Y.M.D)
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Leading zeros are optional.
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The year may be omitted, in which case it will be inferred from the
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context \- the current transaction, the default year set with a default
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year directive, or the current date when the command is run.
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Some examples: \f[C]2010/01/31\f[], \f[C]1/31\f[],
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\f[C]2010\-01\-31\f[], \f[C]2010.1.31\f[].
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.SS Secondary dates
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.PP
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Real\-life transactions sometimes involve more than one date \- eg the
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date you write a cheque, and the date it clears in your bank.
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When you want to model this, eg for more accurate balances, you can
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specify individual #posting\-dates, which I recommend.
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Or, you can use the secondary dates (aka auxiliary/effective dates)
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feature, supported for compatibility with Ledger.
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.PP
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A secondary date can be written after the primary date, separated by an
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equals sign.
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The primary date, on the left, is used by default; the secondary date,
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on the right, is used when the \f[C]\-\-date2\f[] flag is specified
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(\f[C]\-\-aux\-date\f[] or \f[C]\-\-effective\f[] also work).
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.PP
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The meaning of secondary dates is up to you, but it\[aq]s best to follow
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a consistent rule.
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Eg write the bank\[aq]s clearing date as primary, and when needed, the
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date the transaction was initiated as secondary.
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.PP
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Here\[aq]s an example.
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Note that a secondary date will use the year of the primary date if
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unspecified.
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.IP
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.nf
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\f[C]
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2010/2/23=2/19\ movie\ ticket
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\ \ expenses:cinema\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ $10
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\ \ assets:checking
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\f[]
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.fi
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.IP
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.nf
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\f[C]
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$\ hledger\ register\ checking
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2010/02/23\ movie\ ticket\ \ \ \ \ \ \ \ \ assets:checking\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ $\-10\ \ \ \ \ \ \ \ \ $\-10
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\f[]
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.fi
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.IP
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.nf
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\f[C]
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$\ hledger\ register\ checking\ \-\-date2
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2010/02/19\ movie\ ticket\ \ \ \ \ \ \ \ \ assets:checking\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ $\-10\ \ \ \ \ \ \ \ \ $\-10
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\f[]
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.fi
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.PP
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Secondary dates require some effort; you must use them consistently in
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your journal entries and remember whether to use or not use the
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\f[C]\-\-date2\f[] flag for your reports.
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They are included in hledger for Ledger compatibility, but posting dates
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are a more powerful and less confusing alternative.
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.SS Posting dates
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.PP
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You can give individual postings a different date from their parent
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transaction, by adding a posting comment containing a tag (see below)
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like \f[C]date:DATE\f[].
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This is probably the best way to control posting dates precisely.
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Eg in this example the expense should appear in May reports, and the
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deduction from checking should be reported on 6/1 for easy bank
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reconciliation:
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.IP
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.nf
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\f[C]
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2015/5/30
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\ \ \ \ expenses:food\ \ \ \ \ $10\ \ \ ;\ food\ purchased\ on\ saturday\ 5/30
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\ \ \ \ assets:checking\ \ \ \ \ \ \ \ \ ;\ bank\ cleared\ it\ on\ monday,\ date:6/1
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\f[]
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.fi
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.IP
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.nf
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\f[C]
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$\ hledger\ \-f\ t.j\ register\ food
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2015/05/30\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ expenses:food\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ $10\ \ \ \ \ \ \ \ \ \ \ $10
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\f[]
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.fi
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.IP
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.nf
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\f[C]
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$\ hledger\ \-f\ t.j\ register\ checking
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2015/06/01\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ assets:checking\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ $\-10\ \ \ \ \ \ \ \ \ \ $\-10
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\f[]
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.fi
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.PP
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DATE should be a simple date; if the year is not specified it will use
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the year of the transaction\[aq]s date.
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You can set the secondary date similarly, with \f[C]date2:DATE2\f[].
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The \f[C]date:\f[] or \f[C]date2:\f[] tags must have a valid simple date
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value if they are present, eg a \f[C]date:\f[] tag with no value is not
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allowed.
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.PP
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Ledger\[aq]s earlier, more compact bracketed date syntax is also
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supported: \f[C][DATE]\f[], \f[C][DATE=DATE2]\f[] or \f[C][=DATE2]\f[].
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hledger will attempt to parse any square\-bracketed sequence of the
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\f[C]0123456789/\-.=\f[] characters in this way.
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With this syntax, DATE infers its year from the transaction and DATE2
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infers its year from DATE.
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.SS Account names
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.PP
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Account names typically have several parts separated by a full colon,
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from which hledger derives a hierarchical chart of accounts.
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They can be anything you like, but in finance there are traditionally
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five top\-level accounts: \f[C]assets\f[], \f[C]liabilities\f[],
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\f[C]income\f[], \f[C]expenses\f[], and \f[C]equity\f[].
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.PP
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Account names may contain single spaces, eg:
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\f[C]assets:accounts\ receivable\f[].
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Because of this, they must always be followed by \f[B]two or more
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spaces\f[] (or newline).
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.PP
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Account names can be aliased.
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.SS Amounts
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.PP
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After the account name, there is usually an amount.
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Important: between account name and amount, there must be \f[B]two or
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more spaces\f[].
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.PP
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Amounts consist of a number and (usually) a currency symbol or commodity
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name.
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Some examples:
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.PP
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\f[C]2.00001\f[]
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.PD 0
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.P
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.PD
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\f[C]$1\f[]
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.PD 0
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.P
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.PD
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\f[C]4000\ AAPL\f[]
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.PD 0
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.P
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.PD
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\f[C]3\ "green\ apples"\f[]
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.PD 0
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.P
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.PD
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\f[C]\-$1,000,000.00\f[]
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.PD 0
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.P
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.PD
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\f[C]INR\ 9,99,99,999.00\f[]
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.PD 0
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.P
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.PD
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\f[C]EUR\ \-2.000.000,00\f[]
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.PP
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As you can see, the amount format is somewhat flexible:
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.IP \[bu] 2
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amounts are a number (the "quantity") and optionally a currency
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symbol/commodity name (the "commodity").
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.IP \[bu] 2
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the commodity is a symbol, word, or double\-quoted phrase, on the left
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or right, with or without a separating space
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.IP \[bu] 2
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negative amounts with a commodity on the left can have the minus sign
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before or after it
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.IP \[bu] 2
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digit groups (thousands, or any other grouping) can be separated by
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commas (in which case period is used for decimal point) or periods (in
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which case comma is used for decimal point)
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.PP
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You can use any of these variations when recording data, but when
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hledger displays amounts, it will choose a consistent format for each
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commodity.
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(Except for price amounts, which are always formatted as written).
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The display format is chosen as follows:
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.IP \[bu] 2
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if there is a commodity directive specifying the format, that is used
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.IP \[bu] 2
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otherwise the format is inferred from the first posting amount in that
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commodity in the journal, and the precision (number of decimal places)
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will be the maximum from all posting amounts in that commmodity
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.IP \[bu] 2
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or if there are no such amounts in the journal, a default format is used
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(like \f[C]$1000.00\f[]).
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.PP
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Price amounts and amounts in D directives usually don\[aq]t affect
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amount format inference, but in some situations they can do so
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indirectly.
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(Eg when D\[aq]s default commodity is applied to a commodity\-less
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amount, or when an amountless posting is balanced using a price\[aq]s
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commodity, or when \-V is used.) If you find this causing problems, set
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the desired format with a commodity directive.
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.SS Virtual Postings
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.PP
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When you parenthesise the account name in a posting, we call that a
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\f[I]virtual posting\f[], which means:
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.IP \[bu] 2
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it is ignored when checking that the transaction is balanced
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.IP \[bu] 2
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it is excluded from reports when the \f[C]\-\-real/\-R\f[] flag is used,
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or the \f[C]real:1\f[] query.
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.PP
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You could use this, eg, to set an account\[aq]s opening balance without
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needing to use the \f[C]equity:opening\ balances\f[] account:
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.IP
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.nf
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\f[C]
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1/1\ special\ unbalanced\ posting\ to\ set\ initial\ balance
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\ \ (assets:checking)\ \ \ $1000
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\f[]
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.fi
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.PP
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When the account name is bracketed, we call it a \f[I]balanced virtual
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posting\f[].
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This is like an ordinary virtual posting except the balanced virtual
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postings in a transaction must balance to 0, like the real postings (but
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separately from them).
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Balanced virtual postings are also excluded by \f[C]\-\-real/\-R\f[] or
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\f[C]real:1\f[].
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.IP
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.nf
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\f[C]
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1/1\ buy\ food\ with\ cash,\ and\ update\ some\ budget\-tracking\ subaccounts\ elsewhere
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\ \ expenses:food\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ $10
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\ \ assets:cash\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ $\-10
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\ \ [assets:checking:available]\ \ \ \ \ $10
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\ \ [assets:checking:budget:food]\ \ $\-10
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\f[]
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.fi
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.PP
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Virtual postings have some legitimate uses, but those are few.
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You can usually find an equivalent journal entry using real postings,
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which is more correct and provides better error checking.
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.SS Balance Assertions
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.PP
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hledger supports ledger\-style balance assertions in journal files.
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These look like \f[C]=EXPECTEDBALANCE\f[] following a posting\[aq]s
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amount.
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Eg in this example we assert the expected dollar balance in accounts a
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and b after each posting:
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.IP
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.nf
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\f[C]
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2013/1/1
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\ \ a\ \ \ $1\ \ =$1
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\ \ b\ \ \ \ \ \ \ =$\-1
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2013/1/2
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\ \ a\ \ \ $1\ \ =$2
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\ \ b\ \ $\-1\ \ =$\-2
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\f[]
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.fi
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.PP
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After reading a journal file, hledger will check all balance assertions
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and report an error if any of them fail.
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Balance assertions can protect you from, eg, inadvertently disrupting
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reconciled balances while cleaning up old entries.
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You can disable them temporarily with the
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\f[C]\-\-ignore\-assertions\f[] flag, which can be useful for
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troubleshooting or for reading Ledger files.
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.SS Assertions and ordering
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.PP
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hledger sorts an account\[aq]s postings and assertions first by date and
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then (for postings on the same day) by parse order.
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Note this is different from Ledger, which sorts assertions only by parse
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order.
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(Also, Ledger assertions do not see the accumulated effect of repeated
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postings to the same account within a transaction.)
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.PP
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So, hledger balance assertions keep working if you reorder
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differently\-dated transactions within the journal.
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But if you reorder same\-dated transactions or postings, assertions
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might break and require updating.
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This order dependence does bring an advantage: precise control over the
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order of postings and assertions within a day, so you can assert
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intra\-day balances.
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.PP
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With included files, things are a little more complicated.
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Including preserves the ordering of postings and assertions.
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If you have multiple postings to an account on the same day, split
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across different files, and you also want to assert the account\[aq]s
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balance on the same day, you\[aq]ll have to put the assertion in the
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right file.
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.SS Assertions and commodities
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.PP
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The asserted balance must be a simple single\-commodity amount, and in
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fact the assertion checks only this commodity\[aq]s balance within the
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(possibly multi\-commodity) account balance.
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We could call this a partial balance assertion.
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This is compatible with Ledger, and makes it possible to make assertions
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about accounts containing multiple commodities.
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.PP
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To assert each commodity\[aq]s balance in such a multi\-commodity
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account, you can add multiple postings (with amount 0 if necessary).
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But note that no matter how many assertions you add, you can\[aq]t be
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sure the account does not contain some unexpected commodity.
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(We\[aq]ll add support for this kind of total balance assertion if
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there\[aq]s demand.)
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.SS Assertions and subaccounts
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.PP
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Balance assertions do not count the balance from subaccounts; they check
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the posted account\[aq]s exclusive balance.
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For example:
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.IP
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.nf
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\f[C]
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1/1
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\ \ checking:fund\ \ \ 1\ =\ 1\ \ ;\ post\ to\ this\ subaccount,\ its\ balance\ is\ now\ 1
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\ \ checking\ \ \ \ \ \ \ \ 1\ =\ 1\ \ ;\ post\ to\ the\ parent\ account,\ its\ exclusive\ balance\ is\ now\ 1
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\ \ equity
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\f[]
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.fi
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.PP
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The balance report\[aq]s flat mode shows these exclusive balances more
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clearly:
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.IP
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.nf
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\f[C]
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$\ hledger\ bal\ checking\ \-\-flat
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\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ 1\ \ checking
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\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ 1\ \ checking:fund
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\-\-\-\-\-\-\-\-\-\-\-\-\-\-\-\-\-\-\-\-
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\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ 2
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\f[]
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.fi
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.SS Assertions and virtual postings
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.PP
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Balance assertions are checked against all postings, both real and
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virtual.
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They are not affected by the \f[C]\-\-real/\-R\f[] flag or
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\f[C]real:\f[] query.
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.SS Prices
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.SS Transaction prices
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.PP
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|
When recording a transaction, you can also record an amount\[aq]s price
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in another commodity.
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This documents the exchange rate, cost (of a purchase), or selling price
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(of a sale) that was in effect within this particular transaction (or
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more precisely, within the particular posting).
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These transaction prices are fixed, and do not change.
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.PP
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|
Such priced amounts can be displayed in their transaction price\[aq]s
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commodity, by using the \f[C]\-\-cost/\-B\f[] flag (B for "cost Basis"),
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|
supported by most hledger commands.
|
|
.PP
|
|
There are three ways to specify a transaction price:
|
|
.IP "1." 3
|
|
Write the unit price (aka exchange rate), as \f[C]\@\ UNITPRICE\f[]
|
|
after the amount:
|
|
.RS 4
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
2009/1/1
|
|
\ \ assets:foreign\ currency\ \ \ €100\ \@\ $1.35\ \ ;\ one\ hundred\ euros\ at\ $1.35\ each
|
|
\ \ assets:cash
|
|
\f[]
|
|
.fi
|
|
.RE
|
|
.IP "2." 3
|
|
Or write the total price, as \f[C]\@\@\ TOTALPRICE\f[] after the amount:
|
|
.RS 4
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
2009/1/1
|
|
\ \ assets:foreign\ currency\ \ \ €100\ \@\@\ $135\ \ ;\ one\ hundred\ euros\ at\ $135\ for\ the\ lot
|
|
\ \ assets:cash
|
|
\f[]
|
|
.fi
|
|
.RE
|
|
.IP "3." 3
|
|
Or let hledger infer the price so as to balance the transaction.
|
|
To permit this, you must fully specify all posting amounts, and their
|
|
sum must have a non\-zero amount in exactly two commodities:
|
|
.RS 4
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
2009/1/1
|
|
\ \ assets:foreign\ currency\ \ \ €100\ \ \ \ \ \ \ \ \ \ ;\ one\ hundred\ euros
|
|
\ \ assets:cash\ \ \ \ \ \ \ \ \ \ \ \ \ \ $\-135\ \ \ \ \ \ \ \ \ \ ;\ exchanged\ for\ $135
|
|
\f[]
|
|
.fi
|
|
.RE
|
|
.PP
|
|
With any of the above examples we get:
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
$\ hledger\ print\ \-B
|
|
2009/01/01
|
|
\ \ \ \ assets:foreign\ currency\ \ \ \ \ \ \ $135.00
|
|
\ \ \ \ assets:cash\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ $\-135.00
|
|
\f[]
|
|
.fi
|
|
.PP
|
|
Example use for transaction prices: recording the effective conversion
|
|
rate of purchases made in a foreign currency.
|
|
.SS Market prices
|
|
.PP
|
|
Market prices are not tied to a particular transaction; they represent
|
|
historical exchange rates between two commodities, usually from some
|
|
public market which publishes such rates.
|
|
.PP
|
|
When market prices are known, the \f[C]\-V/\-\-value\f[] option will use
|
|
them to convert reported amounts to their market value as of the report
|
|
end date.
|
|
This option is currently available only with the balance command.
|
|
.PP
|
|
You record market prices (Ledger calls them historical prices) with a P
|
|
directive, in the journal or perhaps in a separate included file.
|
|
Market price directives have the format:
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
P\ DATE\ COMMODITYSYMBOL\ UNITPRICE
|
|
\f[]
|
|
.fi
|
|
.PP
|
|
For example, the following directives say that the euro\[aq]s exchange
|
|
rate was 1.35 US dollars during 2009, and $1.40 from 2010 onward (and
|
|
unknown before 2009).
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
P\ 2009/1/1\ €\ $1.35
|
|
P\ 2010/1/1\ €\ $1.40
|
|
\f[]
|
|
.fi
|
|
.PP
|
|
Example use for market prices: tracking the value of stocks.
|
|
.SS Comments
|
|
.PP
|
|
Lines in the journal beginning with a semicolon (\f[C];\f[]) or hash
|
|
(\f[C]#\f[]) or asterisk (\f[C]*\f[]) are comments, and will be ignored.
|
|
(Asterisk comments make it easy to treat your journal like an org\-mode
|
|
outline in emacs.)
|
|
.PP
|
|
Also, anything between \f[C]comment\f[] and \f[C]end\ comment\f[]
|
|
directives is a (multi\-line) comment.
|
|
If there is no \f[C]end\ comment\f[], the comment extends to the end of
|
|
the file.
|
|
.PP
|
|
You can attach comments to a transaction by writing them after the
|
|
description and/or indented on the following lines (before the
|
|
postings).
|
|
Similarly, you can attach comments to an individual posting by writing
|
|
them after the amount and/or indented on the following lines.
|
|
.PP
|
|
Some examples:
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
#\ a\ journal\ comment
|
|
|
|
;\ also\ a\ journal\ comment
|
|
|
|
comment
|
|
This\ is\ a\ multiline\ comment,
|
|
which\ continues\ until\ a\ line
|
|
where\ the\ "end\ comment"\ string
|
|
appears\ on\ its\ own.
|
|
end\ comment
|
|
|
|
2012/5/14\ something\ \ ;\ a\ transaction\ comment
|
|
\ \ \ \ ;\ the\ transaction\ comment,\ continued
|
|
\ \ \ \ posting1\ \ 1\ \ ;\ a\ comment\ for\ posting\ 1
|
|
\ \ \ \ posting2
|
|
\ \ \ \ ;\ a\ comment\ for\ posting\ 2
|
|
\ \ \ \ ;\ another\ comment\ line\ for\ posting\ 2
|
|
;\ a\ journal\ comment\ (because\ not\ indented)
|
|
\f[]
|
|
.fi
|
|
.SS Tags
|
|
.PP
|
|
A \f[I]tag\f[] is a word followed by a full colon inside a transaction
|
|
or posting comment.
|
|
You can write multiple tags, comma separated.
|
|
Eg: \f[C];\ a\ comment\ containing\ sometag:,\ anothertag:\f[].
|
|
You can search for tags with the \f[C]tag:\f[] query.
|
|
.PP
|
|
A tag can also have a value, which is any text between the colon and the
|
|
next comma or newline, excluding leading/trailing whitespace.
|
|
(So hledger tag values can not contain commas or newlines).
|
|
.PP
|
|
Tags in a transaction comment affect the transaction and all of its
|
|
postings, while tags in a posting comment affect only that posting.
|
|
For example, the following transaction has three tags (A, TAG2,
|
|
third\-tag) and the posting has four (A, TAG2, third\-tag,
|
|
posting\-tag):
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
1/1\ a\ transaction\ \ ;\ A:,\ TAG2:
|
|
\ \ \ \ ;\ third\-tag:\ a\ third\ transaction\ tag,\ this\ time\ with\ a\ value
|
|
\ \ \ \ (a)\ \ $1\ \ ;\ posting\-tag:
|
|
\f[]
|
|
.fi
|
|
.PP
|
|
Tags are like Ledger\[aq]s metadata feature, except hledger\[aq]s tag
|
|
values are simple strings.
|
|
.SS Directives
|
|
.SS Account aliases
|
|
.PP
|
|
You can define aliases which rewrite your account names (after reading
|
|
the journal, before generating reports).
|
|
hledger\[aq]s account aliases can be useful for:
|
|
.IP \[bu] 2
|
|
expanding shorthand account names to their full form, allowing easier
|
|
data entry and a less verbose journal
|
|
.IP \[bu] 2
|
|
adapting old journals to your current chart of accounts
|
|
.IP \[bu] 2
|
|
experimenting with new account organisations, like a new hierarchy or
|
|
combining two accounts into one
|
|
.IP \[bu] 2
|
|
customising reports
|
|
.PP
|
|
See also How to use account aliases.
|
|
.SS Basic aliases
|
|
.PP
|
|
To set an account alias, use the \f[C]alias\f[] directive in your
|
|
journal file.
|
|
This affects all subsequent journal entries in the current file or its
|
|
included files.
|
|
The spaces around the = are optional:
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
alias\ OLD\ =\ NEW
|
|
\f[]
|
|
.fi
|
|
.PP
|
|
Or, you can use the \f[C]\-\-alias\ \[aq]OLD=NEW\[aq]\f[] option on the
|
|
command line.
|
|
This affects all entries.
|
|
It\[aq]s useful for trying out aliases interactively.
|
|
.PP
|
|
OLD and NEW are full account names.
|
|
hledger will replace any occurrence of the old account name with the new
|
|
one.
|
|
Subaccounts are also affected.
|
|
Eg:
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
alias\ checking\ =\ assets:bank:wells\ fargo:checking
|
|
#\ rewrites\ "checking"\ to\ "assets:bank:wells\ fargo:checking",\ or\ "checking:a"\ to\ "assets:bank:wells\ fargo:checking:a"
|
|
\f[]
|
|
.fi
|
|
.SS Regex aliases
|
|
.PP
|
|
There is also a more powerful variant that uses a regular expression,
|
|
indicated by the forward slashes.
|
|
(This was the default behaviour in hledger 0.24\-0.25):
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
alias\ /REGEX/\ =\ REPLACEMENT
|
|
\f[]
|
|
.fi
|
|
.PP
|
|
or \f[C]\-\-alias\ \[aq]/REGEX/=REPLACEMENT\[aq]\f[].
|
|
.PP
|
|
REGEX is a case\-insensitive regular expression.
|
|
Anywhere it matches inside an account name, the matched part will be
|
|
replaced by REPLACEMENT.
|
|
If REGEX contains parenthesised match groups, these can be referenced by
|
|
the usual numeric backreferences in REPLACEMENT.
|
|
Note, currently regular expression aliases may cause noticeable
|
|
slow\-downs.
|
|
(And if you use Ledger on your hledger file, they will be ignored.) Eg:
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
alias\ /^(.+):bank:([^:]+)(.*)/\ =\ \\1:\\2\ \\3
|
|
#\ rewrites\ "assets:bank:wells\ fargo:checking"\ to\ \ "assets:wells\ fargo\ checking"
|
|
\f[]
|
|
.fi
|
|
.SS Multiple aliases
|
|
.PP
|
|
You can define as many aliases as you like using directives or
|
|
command\-line options.
|
|
Aliases are recursive \- each alias sees the result of applying previous
|
|
ones.
|
|
(This is different from Ledger, where aliases are non\-recursive by
|
|
default).
|
|
Aliases are applied in the following order:
|
|
.IP "1." 3
|
|
alias directives, most recently seen first (recent directives take
|
|
precedence over earlier ones; directives not yet seen are ignored)
|
|
.IP "2." 3
|
|
alias options, in the order they appear on the command line
|
|
.SS end aliases
|
|
.PP
|
|
You can clear (forget) all currently defined aliases with the
|
|
\f[C]end\ aliases\f[] directive:
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
end\ aliases
|
|
\f[]
|
|
.fi
|
|
.SS account directive
|
|
.PP
|
|
The \f[C]account\f[] directive predefines account names, as in Ledger
|
|
and Beancount.
|
|
This may be useful for your own documentation; hledger doesn\[aq]t make
|
|
use of it yet.
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
;\ account\ ACCT
|
|
;\ \ \ OPTIONAL\ COMMENTS/TAGS...
|
|
|
|
account\ assets:bank:checking
|
|
\ a\ comment
|
|
\ acct\-no:12345
|
|
|
|
account\ expenses:food
|
|
|
|
;\ etc.
|
|
\f[]
|
|
.fi
|
|
.SS apply account directive
|
|
.PP
|
|
You can specify a parent account which will be prepended to all accounts
|
|
within a section of the journal.
|
|
Use the \f[C]apply\ account\f[] and \f[C]end\ apply\ account\f[]
|
|
directives like so:
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
apply\ account\ home
|
|
|
|
2010/1/1
|
|
\ \ \ \ food\ \ \ \ $10
|
|
\ \ \ \ cash
|
|
|
|
end\ apply\ account
|
|
\f[]
|
|
.fi
|
|
.PP
|
|
which is equivalent to:
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
2010/01/01
|
|
\ \ \ \ home:food\ \ \ \ \ \ \ \ \ \ \ $10
|
|
\ \ \ \ home:cash\ \ \ \ \ \ \ \ \ \ $\-10
|
|
\f[]
|
|
.fi
|
|
.PP
|
|
If \f[C]end\ apply\ account\f[] is omitted, the effect lasts to the end
|
|
of the file.
|
|
Included files are also affected, eg:
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
apply\ account\ business
|
|
include\ biz.journal
|
|
end\ apply\ account
|
|
apply\ account\ personal
|
|
include\ personal.journal
|
|
\f[]
|
|
.fi
|
|
.PP
|
|
Prior to hledger 0.28, legacy \f[C]account\f[] and \f[C]end\f[]
|
|
spellings were also supported.
|
|
.SS Multi\-line comments
|
|
.PP
|
|
A line containing just \f[C]comment\f[] starts a multi\-line comment,
|
|
and a line containing just \f[C]end\ comment\f[] ends it.
|
|
See comments.
|
|
.SS commodity directive
|
|
.PP
|
|
The \f[C]commodity\f[] directive predefines commodities (currently this
|
|
is just informational), and also it may define the display format for
|
|
amounts in this commodity (overriding the automatically inferred
|
|
format).
|
|
.PP
|
|
It may be written on a single line, like this:
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
;\ commodity\ EXAMPLEAMOUNT
|
|
|
|
;\ display\ AAAA\ amounts\ with\ the\ symbol\ on\ the\ right,\ space\-separated,
|
|
;\ using\ period\ as\ decimal\ point,\ with\ four\ decimal\ places,\ and
|
|
;\ separating\ thousands\ with\ comma.
|
|
commodity\ 1,000.0000\ AAAA
|
|
\f[]
|
|
.fi
|
|
.PP
|
|
or on multiple lines, using the "format" subdirective.
|
|
In this case the commodity symbol appears twice and should be the same
|
|
in both places:
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
;\ commodity\ SYMBOL
|
|
;\ \ \ format\ EXAMPLEAMOUNT
|
|
|
|
;\ display\ indian\ rupees\ with\ currency\ name\ on\ the\ left,
|
|
;\ thousands,\ lakhs\ and\ crores\ comma\-separated,
|
|
;\ period\ as\ decimal\ point,\ and\ two\ decimal\ places.
|
|
commodity\ INR
|
|
\ \ format\ INR\ 9,99,99,999.00
|
|
\f[]
|
|
.fi
|
|
.SS Default commodity
|
|
.PP
|
|
You can set a default commodity, to be used for amounts without one.
|
|
Use the D directive with a sample amount.
|
|
The commodity (and the sample amount\[aq]s display format) will be
|
|
applied to all subsequent commodity\-less amounts, up to the next D
|
|
directive.
|
|
(Note this is different from Ledger\[aq]s default commodity directive.)
|
|
.SS Default year
|
|
.PP
|
|
You can set a default year to be used for subsequent dates which
|
|
don\[aq]t specify a year.
|
|
This is a line beginning with \f[C]Y\f[] followed by the year.
|
|
Eg:
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
Y2009\ \ \ \ \ \ ;\ set\ default\ year\ to\ 2009
|
|
|
|
12/15\ \ \ \ \ \ ;\ equivalent\ to\ 2009/12/15
|
|
\ \ expenses\ \ 1
|
|
\ \ assets
|
|
|
|
Y2010\ \ \ \ \ \ ;\ change\ default\ year\ to\ 2010
|
|
|
|
2009/1/30\ \ ;\ specifies\ the\ year,\ not\ affected
|
|
\ \ expenses\ \ 1
|
|
\ \ assets
|
|
|
|
1/31\ \ \ \ \ \ \ ;\ equivalent\ to\ 2010/1/31
|
|
\ \ expenses\ \ 1
|
|
\ \ assets
|
|
\f[]
|
|
.fi
|
|
.SS Including other files
|
|
.PP
|
|
You can pull in the content of additional journal files by writing an
|
|
include directive, like this:
|
|
.IP
|
|
.nf
|
|
\f[C]
|
|
include\ path/to/file.journal
|
|
\f[]
|
|
.fi
|
|
.PP
|
|
If the path does not begin with a slash, it is relative to the current
|
|
file.
|
|
Glob patterns (\f[C]*\f[]) are not currently supported.
|
|
.PP
|
|
The \f[C]include\f[] directive can only be used in journal files.
|
|
It can include journal, timeclock or timedot files, but not CSV files.
|
|
.SH EDITOR SUPPORT
|
|
.PP
|
|
Add\-on modes exist for various text editors, to make working with
|
|
journal files easier.
|
|
They add colour, navigation aids and helpful commands.
|
|
For hledger users who edit the journal file directly (the majority),
|
|
using one of these modes is quite recommended.
|
|
.PP
|
|
These were written with Ledger in mind, but also work with hledger
|
|
files:
|
|
.PP
|
|
.TS
|
|
tab(@);
|
|
lw(16.5n) lw(51.5n).
|
|
T{
|
|
Emacs
|
|
T}@T{
|
|
http://www.ledger\-cli.org/3.0/doc/ledger\-mode.html
|
|
T}
|
|
T{
|
|
Vim
|
|
T}@T{
|
|
https://github.com/ledger/ledger/wiki/Getting\-started
|
|
T}
|
|
T{
|
|
Sublime Text
|
|
T}@T{
|
|
https://github.com/ledger/ledger/wiki/Using\-Sublime\-Text
|
|
T}
|
|
T{
|
|
Textmate
|
|
T}@T{
|
|
https://github.com/ledger/ledger/wiki/Using\-TextMate\-2
|
|
T}
|
|
T{
|
|
Text Wrangler \
|
|
T}@T{
|
|
https://github.com/ledger/ledger/wiki/Editing\-Ledger\-files\-with\-TextWrangler
|
|
T}
|
|
.TE
|
|
|
|
|
|
.SH "REPORTING BUGS"
|
|
Report bugs at http://bugs.hledger.org
|
|
(or on the #hledger IRC channel or hledger mail list)
|
|
|
|
.SH AUTHORS
|
|
Simon Michael <simon@joyful.com> and contributors
|
|
|
|
.SH COPYRIGHT
|
|
|
|
Copyright (C) 2007-2016 Simon Michael.
|
|
.br
|
|
Released under GNU GPL v3 or later.
|
|
|
|
.SH SEE ALSO
|
|
hledger(1), hledger\-ui(1), hledger\-web(1), hledger\-api(1),
|
|
hledger_csv(5), hledger_journal(5), hledger_timeclock(5), hledger_timedot(5),
|
|
ledger(1)
|
|
|
|
http://hledger.org
|