Recently, I’ve truly been educated by the matter of taxes/filing... Usually, trading charts are satisfying, but at the end of the year, reconciling accounts feels like flipping through a travel itinerary, missing even a small part can cause a meltdown. Now I simply save the exchange transaction records and on-chain transfer screenshots into the same folder every time I change positions, then export a spreadsheet backup at the end of the month—no more waiting until the last day to realize, “Why did I transfer to this address back then?” I’ve lowered my expectations: not aiming for perfect bookkeeping, just ensuring I can reconstruct the transaction path, which makes it much easier. By the way, I want to complain that recently, developers have been talking excitedly about modularization/DA layer, while users (like me) are completely confused, but no matter how the narrative drifts, recording this stuff still needs to be implemented; otherwise, when the wind blows hard, it really can’t land smoothly.

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