Hi David,

 

In 3.9, it was changed so that changing 1 split for the bank account (or it’s 
subaccounts) changed all splits for the bank account (and it’s subaccounts) to 
the new status, rather than toggling the status of the other splits. Toggling 
means: c to n and n to c.

In 3.11 it was changed so that other splits are NOT modified so that the status 
of each split can be individually maintained in the reconcile window.

 

Regards,

Chris Good

 

From: David Carlson <[email protected]> 
Sent: Monday, 13 June 2022 11:59 AM
To: Chris Good <[email protected]>
Cc: Gnucash Users <[email protected]>; Top Cat <[email protected]>
Subject: Re: [GNC] questions on 4.1

 

Chris,

 

Thank you for your input.  However, your reference to a bug that was created in 
release 3.9 and reverted in 3.11 may not be identical to the behavior that Top 
Cat saw in release 3.7 which seems to be different in release 4.1.

 

Is it possible that the reversion in 3.11 did not exactly return to the 
behavior of releases prior to release 3.9?  If so, which is correct or at least 
preferable?

 

On Sun, Jun 12, 2022, 8:21 PM Chris Good <[email protected] 
<mailto:[email protected]> > wrote:

From: gnucash-user <[email protected] 
<mailto:[email protected]> 
<mailto:[email protected] <mailto:[email protected]> > 
<mailto:gnucash-user-bounces+gylemc <mailto:gnucash-user-bounces%2Bgylemc>  
<mailto:gnucash-user-bounces%2Bgylemc <mailto:gnucash-user-bounces%252Bgylemc> >
[email protected] <mailto:[email protected]>  
<mailto:[email protected] <mailto:[email protected]> > > > on
behalf of Top Cat <[email protected] <mailto:[email protected]>  
<mailto:[email protected] <mailto:[email protected]> >
<mailto:[email protected] <mailto:[email protected]>  
<mailto:[email protected] <mailto:[email protected]> > > >
Sent: Saturday, June 11, 2022 12:44 PM
To: [email protected] <mailto:[email protected]>  
<mailto:[email protected] <mailto:[email protected]> >
<mailto:[email protected] <mailto:[email protected]>  
<mailto:[email protected] <mailto:[email protected]> > >
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<mailto:[email protected] <mailto:[email protected]> > > >
Subject: [GNC] questions on 4.1

I have been using gnucash since 2.x with a MySQL database


I recently build a new machine and updated to 4.1, and have run into several
issues

1.      On the accounts page, I can no longer show the account numbers, or
sort by them
2.      On reconciliations, paired transactions (like transfers from one
subaccount to another) no longer clear "both sides" when one is checked - it
requires manually marking both sides separately.


Is this correct behavior? Are there settings I am missing? do I need to
reinstall/save and restore data?

Any help would be appreciated

_______________________________________________

Hi Top Cat,

Re 2.:
This behaviour changed in 3.9. and again in 3.11 as detailed in  Bug 797648
https://bugs.gnucash.org/show_bug.cgi?id=797648.

BTW,  The changes in each release are listed at 
https://www.gnucash.org/news.phtml.

Regards,
Chris Good

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