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Sync between 2 pda's

 
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intwtl



Joined: 03 Oct 2008
Posts: 4

PostPosted: Fri Oct 03, 2008 4:01 am    Post subject: Sync between 2 pda's Reply with quote

My wife and I both use separate Ipaq pda's for business purposes.

Is it possible to have Cash Organizer installed on both pda's and input data on both then sync to one at the end of each month ?

This will put all data on one pda for our monthly analysis.

Thanks
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Wasyl
Inesoft Team


Joined: 20 Nov 2006
Posts: 395
Location: Gdansk, Poland <-> Moscow, Russia

PostPosted: Sat Oct 25, 2008 9:00 am    Post subject: Re: Sync between 2 pda's Reply with quote

intwtl wrote:
My wife and I both use separate Ipaq pda's for business purposes.

Is it possible to have Cash Organizer installed on both pda's and input data on both then sync to one at the end of each month ?

This will put all data on one pda for our monthly analysis.

Thanks
Cash Organizer offers family mode synchronization with MS Money. More information is available in the user's manual.
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intwtl



Joined: 03 Oct 2008
Posts: 4

PostPosted: Sat Oct 25, 2008 1:32 pm    Post subject: Sync between 2 pda's Reply with quote

Hi,

Thanks for the reply.

We don't use Money or Quicken.

My wife and I both have Cash Organizer on our PDAs.

For purposes of this :

Wife - PDA A
Me - PDA B

Our ideal solution would be to transfer the data files from one of our PDA's to the other and merge the files. That would give us the expense information we require without having to read the information from PDA B and manually input it into PDA A.

We could then transfer the merged file to PDA B so both would have the complete file.

Is there any chance of this ?

Thanks
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Atomic2Mod



Joined: 06 Jul 2007
Posts: 10

PostPosted: Sun Mar 21, 2010 5:34 pm    Post subject: syncing creates ficticious accounts on PPC Reply with quote

Hi,

I am again evaluating the finance software and need some help before the trial runs out:

I am trying to sync between two Touch Pro2s and MSMoney on the PC. For some reason however, as soon as changes are made to sync, the software creates a second "checking" account, the balances are all wrong and the new "cloned" account does not have any transactions in it.

Am I doing something wrong?

Thank you!
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