{ "firefly": { "welcome_back": "Was ist gerade los?", "flash_error": "Fehler!", "flash_success": "Geschafft!", "close": "Schlie\u00dfen", "split_transaction_title": "Beschreibung der Splittbuchung", "errors_submission": "There was something wrong with your submission. Please check out the errors below.", "split": "Teilen", "transaction_journal_information": "Transaktionsinformationen", "source_account": "Quellkonto", "destination_account": "Zielkonto", "add_another_split": "Eine weitere Aufteilung hinzuf\u00fcgen", "submission": "Submission", "create_another": "After storing, return here to create another one.", "reset_after": "Reset form after submission", "submit": "Absenden", "amount": "Betrag", "date": "Datum", "tags": "Schlagw\u00f6rter", "no_budget": "(kein Budget)", "category": "Kategorie", "attachments": "Anh\u00e4nge", "notes": "Notizen", "update_transaction": "Update transaction", "after_update_create_another": "After updating, return here to continue editing.", "store_as_new": "Store as a new transaction instead of updating.", "foreign_amount": "", "split_title_help": "Wenn Sie eine Splittbuchung anlegen, muss es eine eindeutige Beschreibung f\u00fcr alle Aufteilungen der Buchhaltung geben.", "none_in_select_list": "(Keine)", "no_piggy_bank": "(no piggy bank)", "description": "Beschreibung" }, "form": { "interest_date": "Zinstermin", "book_date": "Buchungsdatum", "process_date": "Bearbeitungsdatum", "due_date": "F\u00e4lligkeitstermin", "payment_date": "Zahlungsdatum", "invoice_date": "Rechnungsdatum", "internal_reference": "Interner Verweis" }, "config": { "html_language": "de" } }