Oh, I get the markup formula, it was where GnuCash is supposed to get those 
numbers that was throwing me off.

Reading the manual a bit more seems to indicate this was designed to only be 
useful with the chargeback function, which is still confusing to me and I think 
is very limited to how it can be used. (confusing in that it never seems to 
work as I think it would, but it has been some time since I visited it) I think 
it is also tied to the ‘jobs’ feature, which is also very limited and misnamed. 
(I have a bug report on that one) ‘Jobs’ are really more like ‘purchase orders’ 
they are *not* really a way to aggregate expenses or revenues by what most 
people would consider as a ‘job’ or ‘project’.

The manual even notes that the report really relies on the user creating 
artificial account layers/hierarchy for this tracking and analysis purpose, 
something that would better be handled by some sort of category or tag/label 
method instead.

Indeed, running the report on my book assigns everything to “No Customer” which 
the manual notes is indicative of not having something set up properly with 
respect to chargebacks and special accounts.

I wonder if anyone is using this report (or the associated chargeback 
functions) and if so, how are they setup to utilize it properly? Such examples 
might be useful to generalize and add to the docs as the current state of the 
section leaves a new user a bit unsure exactly how to proceed.


Regards,
Adrien

> On Jan 14, 2020 w3d14, at 5:04 PM, Christopher Lam 
> <[email protected]> wrote:
> 
> On Tue, 14 Jan 2020 at 22:03, Adrien Monteleone 
> <[email protected]> wrote:
> The Customer Overview *does* show a balance, though maybe not by default. 
> There is a down arrow with a drop-down menu to the far right of the header. 
> From there you can select visible columns, where you will find ‘balance’ as 
> an option.
> 
> The Customer Summary is not designed to show balances owed, but rather 
> profitability. However, it appears it doesn’t presently work properly. (and 
> some columns I can’t seem to figure out how to influence, that is, how does 
> the report calculate markup or expenses if those associated figures have no 
> place to be entered in the app?)
> 
> A customer's "markup" is defined by "profit / sales". Profit is defined by 
> "sales - expense".  Expenses are supposed to be retrieved by checking 
> Customer's Expenses; I can't find mechanism to assign expense-transactions to 
> a customer either. I think this report is an anachronism, reporting things 
> that may have been possible in a previous generation.


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