> On Nov 29, 2017, at 7:26 PM, Brian Davis wrote:
>
> I attempted to run the script at:
>
> https://github.com/Gnucash/gnucash-on-windows
>
> To create a build environment for GnuCash on Windows where it failed at:
>
> Microsoft (R) Windows Script Host Version 5.812
>
I have been asked to produce a printed Reconciliation Report each month after
reconciling the checking account bank statement in the gnucash software. I have
been unable to find such a report included. Can you help me find it if it is
there and if not is it something that can be produced?
I attempted to run the script at:
https://github.com/Gnucash/gnucash-on-windows
To create a build environment for GnuCash on Windows where it failed at:
Microsoft (R) Windows Script Host Version 5.812
Copyright (C) Microsoft Corporation. All rights reserved.
Boostrap GnuCash Development on
Hi Mike,
someone reported this a week or so ago - have a look here and the reply from
John Ralls.
https://lists.gnucash.org/pipermail/gnucash-user/2017-November/073183.html
Good Luck!
Maf.
On Wednesday, 29 November 2017 13:24:00 GMT Mike Kobler wrote:
> Hi,
>
> First off, many thanks to the
A big thanks to everybody who tried to help me to recover from the
crash. It's fixed!
The trouble is that I don't have a good enough memory for the
half-million files on my hard drive.
I just spotted that I had two folders in my data folder (which doesn't
get wiped each time that Windows
I have a similar problem. I use F::Q to update currencies and a few ETFS that
trade on the LSE. Using Finance::Quote 1.47 my currencies update correctly
but the ETFS that trade on the LSE are updated with incorrect prices in the
wrong currencies.
For example:
WDSC.L trades on the LSE in USD and