(thanks for creating Bullet, it’s incredibly useful).
In money out, I Add Bill/Expense, mark it as paid, assign it to a category and write a description. Later when I export transactions to Excel for the bank account neither the category nor the description are exported.
Similarly when I export all the transactions for the account the description field is not there.
Is there any way to add fields to the Excel exports? In general I’d like as much data as possible to be in the Excel exports, I can always delete columns I don’t need.
Thanks for using Bullet.
We’ll be looking again at the exports this summer and reviewing them. It’s a balance between creating export that people will use and exports that might overload people.
You just mentioned bank statements, you can you can import your bank statement to reconcile your accounts.