If you set an account to Hidden, it will be... hidden in the chart of accounts.
Assuming that your messed up account is a catch-all account from which you hope
to move transactions, I'd actually keep that account visible, and change the
messed up transactions to reflect my current intention-- f
most
>likely anyway.
>
>Regards,
>Adrien
>
>On 7/19/22 1:41 PM, David T. via gnucash-user wrote:
>> Adrien,
>>
>> Thanks for the suggestions.
>>
>> It would seem to me that Finish/Ctrl-S is pretty reduced.
>>
>> I currently have ab
ve a backup, or recall at what point your file didn't crash?
>
>Anything holding you back from 4.11? I don't see anything particularly noted
>for solving a crash of this type in the release notes, but perhaps programming
>fixes were made that *might* avoid this issue.
>
Hello,
I'm running GC4.10 on Win10, and I've been running into numerous crashes
in the last few days while trying to catch up on my finances.
Ironically, many of these crashes happen when I attempt to save my file.
My usual workflow when catching up is to open the pdf bank statement and
work
Norbert,
Further to Paul's comments: managing multiple currency accounts can be
confusing at first, but it begins to make sense after a while. If your need to
track funds in the alternate currency is limited to occasional transactions
(for example, you go on vacation and take out a chunk of mon
Glad that worked.
The Transaction Report has a lot of tricks hidden away that can be very useful.
David
On July 4, 2022 12:48:27 PM EDT, rmom...@gmail.com wrote:
>David,
>
>
>
>Both worked, thanks. Did not know about the account report from the search
>results register. The Transaction repor
You can either use a generic Transaction Report and set the search parameters
as you need (presumably, date, account, and description). Or you can use the
Account Report from the search results register. I suspect you'll have more
configuration options using the former approach.
David T.
On J
Abe,
It's preferable to start a new thread, honestly.
You should look at https://wiki.gnucash.org/wiki/Flatpak especially the section
on installation, and see whether it addresses your issue.
David T.
On July 3, 2022 9:25:43 AM EDT, Abe Sternberg wrote:
>I'd like to take this discussion in
I remember this bug. I submitted it. As noted in the bug, I found problems with
the option, but was informed that it was behaving as expected. I didn't agree,
but never could determine how it actually was behaving in order to explain how
it ought to behave instead. That's why I marked it NOTABUG
The concept of capital gains is the same, whether you're talking about a
painting or a stock. The difference between your purchase and your sale price
is the gain or loss. The only trick to consider for stocks is that different
lots of stock purchases can have different cost bases, which obvious
I agree. I apologize for responding as I did.
On June 21, 2022 12:55:15 AM EDT, Liz wrote:
>On Sun, 19 Jun 2022 10:57:19 -0400
>"David T. via gnucash-user" wrote:
>
>> I made my comment from that perspective; your snarky comment just
>> underscores for me the k
You're welcome. You seem to have sent it with a mysterious subtext that is
impossible to decipher.
For the record, improperly-used terminology on this list has resulted in epic
misunderstandings that confuse newcomers when they attempt to understand the
complexities of both gnucash AND double
Chapter 11 of the Guide.
On June 19, 2022 9:56:31 AM EDT, Gao Bite wrote:
>GnuCash developers & Maintainers:
>
> Hello! I would like to record the unrealized profit & loss from security
>investment directly into an income account. Could you please tell me whether I
>am possible to do as abo
The confusion arises when you use "entry" for both splits and transactions in
the same paragraph, as you did here.
On June 18, 2022 4:57:57 PM EDT, Gyle McCollam wrote:
>When I say entry, I refer to the entire transaction, but I get your point.
>
>
>
>Sent from Samsung Galaxy smartphone.
>
>
>
Gyle,
Whether you delete the imbalance account or not once it is empty is a user
preference. Some dislike seeing the imbalance account in their books, and
delete it if it is empty. Others (like myself and you) leave that account in
place. I leave it because it just reappears again later anyways
[image: image.png]
>
>On Sat, 18 Jun 2022 at 12:54, David T. via gnucash-user <
>gnucash-user@gnucash.org> wrote:
>
>> I'll note that Julie's first attachment stated that quotes were not
>> returned for certain entries. Finance::Quote is returning that erro
I'll note that Julie's first attachment stated that quotes were not returned
for certain entries. Finance::Quote is returning that error, so it is
installed.
I see in Julie's attachment that her bitcoin entry is assigned to "Digital
Cash". The screen shot for the Yahoo! suggests that their sit
You might take a look at section 2.4 of the Guide, which is titled "Storing
Your Financial Data." It goes into some detail about the different "back end"
storage options. It certainly is unfortunate that the documentation uses two
words, while the error uses one.
Regardless, the problem wasn't
I use account codes in my file, and like it quite a bit. You can add
the Code to the Chart of Accounts (CoA) page and quickly sort on it as
one would with any other displayed column. I'll note that the tree
aspect of the CoA means that the sorting will still be
hierarchical--that is, accounts
Fred,
Technically, these are not price entries, which implies the PriceDB in
GnuCash. They are transaction entries in a register. I am not sure
whether Gyle's solution would work, since I'm not sure how you'd search
for those entries; from your screenshot, it looks as if the entries have
a nu
recaite the insight.
David T.
On 5/31/2022 11:57 AM, john wrote:
On May 31, 2022, at 7:59 AM, David T. via gnucash-user
wrote:
Hello,
I'm a long time user, running 4.10 on Windows 10. All of a sudden, I am finding
significant lag (2-4 seconds) on every action I take, whet
Indeed. My rule of thumb in writing documentation (gnucash as well as others)
has always been to include things that are specific to the application/product
being described. Otherwise, it never ends.
David T.
On June 3, 2022 12:43:26 PM EDT, Adrien Monteleone
wrote:
>I suppose they could b
Hello,
I'm a long time user, running 4.10 on Windows 10. All of a sudden, I am finding
significant lag (2-4 seconds) on every action I take, whether it is changing a
field or entering a transaction.
I've tried killing all other applications and rebooting, but the lag remains.
Has anyone else
I guess the wiki page that suggests that sql drivers might not be available for
Windows could be updated...
On May 28, 2022 2:44:14 PM EDT, "David T. via gnucash-user"
wrote:
>Oh. Okay. Thanks for the correction.
>
>On May 28, 2022 10:42:43 AM EDT, John Ralls wrote:
>
Oh. Okay. Thanks for the correction.
On May 28, 2022 10:42:43 AM EDT, John Ralls wrote:
>You are mistaken. The Windows bundle includes everything necessary to connect
>to Postgres and MySQL.
>
>Regards,
>John Ralls
>
>
>> On May 28, 2022, at 5:17 AM, David T.
Gustavo,
The image didn't come through, and you didn't give the version of Gnucash
you're using, but the mail client tag line suggests that you are on Windows,
and I'll assume it's a recent version of Gnucash.
Most likely, you're using the standard download of Gnucash for Windows, which I
bel
If you copy the last date (Ctrl-C), you can paste it in. It's not Ctrl-G, but
it *is* Ctrl-V...
On May 21, 2022 7:06:24 PM EDT, Fred Tydeman wrote:
>It appears that when I do Ctrl-G Go to Date,
>that today's date is automatically filled in.
>Is there a way to have it use the last date I entered?
I know what NFT stands for; I don't see how they have any effect on the concept
of gains. You buy something at one price. You sell it at a different price. The
difference is your gain (loss). Whether it's a painting, a stock, an NFT, or a
parcel of land doesn't affect the idea of a gain.
And w
A couple of points here:
First, the analogy of a painting's unrealized gains to those of any other asset
is perfectly valid. The only difference is that there is only one "share" of
the painting, while there are many shares of a stock or mutual fund. Their
change in value is going to be the unr
her example that demonstrates why I gave up trying to
>> help manage the documentation: the fact that when push comes to shove, it's
>> Frank's way that holds final sway on how the documentation turns out. I
>> thank you, Frank, for reminding me of that. I'll drop out
gt;me so much that I will just leave it a mess.
>
>One of the buttons that change is the delete line/transaction button.
>
>I would ask for a developer to make the program behavior generally more
>consistent, naming as many examples of inconsistency as possible.
>
>On Wed, May
I haven't tested this today, but my recollection is that the Finish button is
inactive until the difference is zero. In older versions of Gnucash, this
difference was clearer, but more recent gui toolkits seem to have altered how
it looks, so that it isn't as obvious.
My point in mentioning th
::Q.
>
>Regards,
>Adrien
>
>On 5/9/22 9:49 PM, David T. via gnucash-user wrote:
>> Your reply strongly suggests that you were getting throttled by Alphavantage
>> retrieval limits. The fact that one Alphavantage quote was quick, but 10
>> took much longer supports my
Your reply strongly suggests that you were getting throttled by Alphavantage
retrieval limits. The fact that one Alphavantage quote was quick, but 10 took
much longer supports my hypothesis. The fact that yahoo_json appears to have
fixed the time lag also supports it.
On May 9, 2022 2:12:07 PM
Adrien,
Your experience suggests the Alphavantage throttle I mentioned in my post. I
seem to recall that being an issue specifically with currencies on that source.
David
On May 9, 2022 12:45:04 PM EDT, Adrien Monteleone
wrote:
>Fred,
>
>See my reply in your 'Hang' thread.
>
>As soon as I g
Fred,
To answer this question, the security editor screen can be configured to show
both the Get Quotes toggle, as well as the price source. Resizing the default
tiny screen bigger will show you the drop down button on the far right, which
includes a number of fields for display.
For the rec
>good with computers and the list of dependencies looks daunting to me. Thank
>you for your suggestions none the less.
>
>On 3/25/22 4:25 AM, David T. via gnucash-user wrote:
>> I think it would be helpful to know a bit more about the versions of Gnucash
>> on the
If it's typing characters that has you bothered, rename "building.gnucash"
"bldg.xgc", and associate xgc with GnuCash in your OS (xgc appears to only
be used by one gaming platform). You'll save hundreds of keystrokes...
On May 5, 2022 4:09:17 AM EDT, Chris Green wrote:
>On Wed, May 04, 202
ssion now. Good luck, Phillip; I hope it goes well.
David T.
On 4/30/2022 10:16 AM, Frank H. Ellenberger wrote:
Hi together,
Am 23.04.22 um 20:04 schrieb David T. via gnucash-user:
Phillip,
Good to hear that someone is interested in working on the documentation!
Christian Wehling is permanently w
That's an interesting idea. I can't imagine it would involve too much--
swapping the slash with a line feed and the appropriate account strings. I
don't recall the QIF format that exactly, though, to be sure.
David
On April 27, 2022 9:56:29 PM EDT, Fred Tydeman wrote:
>Has someone written a p
You could always link those files to transactions in GnuCash, and they'd be
accessible from within gnucash...
On April 27, 2022 4:02:24 AM EDT, Chris Green wrote:
>On Tue, Apr 26, 2022 at 03:58:06PM -0600, Bruce Irving wrote:
>> I have 3 separate gnucash data files. I never open gnucash rather
That was exactly what I meant. As I said, it wasn't clear what your issue was.
It sounded like you were concerned that other files showed inside the app; my
suggestion was based on that.
Gnucash is hard coded to open the last file. You can rewrite the code if you
like, or you could do as anoth
I'm not certain what has you confused, but if you need each file to have its
own existence, you might have to create separate OS logins for each.
On April 26, 2022 11:25:02 AM EDT, Chris Green wrote:
>I have several gnucash accounts files (sqlite databases in my case)
>spread around my system.
Phillip,
Good to hear that someone is interested in working on the documentation!
Gnucash uses Bugzilla (bugs.gnucash.org) to suggest enhancements and fix bugs,
and the documentation has its own section there. You will find that there are
numerous documentation bugs and enhancements outstandi
I don't know what the tip currently says. The full information is placed in
https://cvs.gnucash.org/docs/C/gnucash-guide/txns-shortcuts1.html. Honestly, I
think tips are meant to suggest possibilities, rather than give exhaustive
guidance. But that is just my opinion.
I believe there's a place
On 4/21/2022 8:07 AM, Derek Atkins wrote:
HI,
On Thu, April 21, 2022 7:57 am, Chris Green wrote:
On Thu, Apr 21, 2022 at 07:20:51PM +1000,davidcousen...@gmail.com wrote:
Chris,
[snip]
If I look in (one of) my Gnucash directories I see:-
chris@esprimo$ ls
building2022.gnucash
g
Jean,
Your assessment is about right, although I wouldn't characterize it as a
shortcoming, just an area that requires manual intervention.
Jeff,
While it may seem onerous to consider, it turns out that creating and deleting
transactions is not that great an effort, given auto completion. If
Reconciled entries *are* marked read only. If you aren't getting a notice on
editing, it's because you told gnucash not to notify you any more. That can be
reset somewhere in the preferences.
David
On April 12, 2022 5:25:51 AM PDT, "R. Victor Klassen"
wrote:
>I run into such issues once in
Further to this: you care about how much money something cost (the amount you
have spent), and how much you got for it (the amount of shares you purchased).
The first affects how much money you have in your bank account, the second
affects how many shares show in your mutual fund.
On April 11,
To answer the main question:
https://wiki.gnucash.org/wiki/Configuration_Locations#Files
To answer the underlying question: you say "another gnucash." Do you mean
another set of books on your computer? The same set of books on a different
computer?
If the former, saved reports are in a single
I would imagine the down payment would go into an asset account. I.e., transfer
from Assets:Savings into Assets: HouseValue? A down payment doesn't go into the
liability. It is still your asset...
On March 29, 2022 7:05:07 PM EDT, davidcousen...@gmail.com wrote:
>Karin
>It is not an expense but
I think it would be helpful to know a bit more about the versions of Gnucash on
the two machines. The message he got was that he needed *at least* 2.6.19, not
that he needed to use it.
Jonathan, does this imply that your older machine is running Ubuntu 16.04? The
Gnucash wiki says that 16.04 h
My experience matches that of George, and I don't see how changing the levels
could gather a new account into the report.
The issue has been raised before recently, although I couldn't track it down.
Short of rewriting the report code to re-evaluate the account set every time a
report is run,
Another option would be to create a multicolumn report with two Account Summary
reports side by side-- one set to the start date, the second to the end date.
On March 21, 2022 9:24:14 PM EDT, Adrien Monteleone
wrote:
>The Account Summary is a snapshot, that's why it doesn't let you select
>a
Well, I see that you put a note in that section saying it didn't work in 4.6
last September, so you are already aware of this fact.
Since in my 17 years (!) of using gnucash I have never succeeded in creating or
even loading a custom report-- and believe me, there were times when I really
trie
What are you talking about? What's broken? The page? A link? Custom reports?
On March 20, 2022 12:34:01 AM EDT, flywire wrote:
>https://wiki.gnucash.org/wiki/Custom_Reports - it's broken when you get
>down into it.
>
>There are two basic reports, the transaction report, and most of the
>others a
I use something like Michael's approach with paychecks, but my simple
workaround is that I enter the correct amount deposited to my checking
account (that *is* what I'm most interested in!), using a previous pay
transaction as the template. Inevitably, IT DOES NOT BALANCE, and I end
up with an
Hello,
In recent days, I've been tinkering around (again) with GnuCash's budget
features, and I thought I'd share a couple of things that were not
obvious to me from the interface or the documentation with regards to
setting budget values.
First, it was not clear to me how the Estimate funct
Given how easy it is to correct these problems (i.e., change the Account
in the erroneous entry from Imbalance-XXX to some other account and
press enter), I don't see why we continue to beat upon this subject.
On 6/3/2021 10:12 AM, Adam Funk wrote:
On 2021-06-01, DaveC49 wrote:
Laura,
The r
@Derek:
Please re-read my email. In it you will see that I am NOT/NOT asking
about how to handle entries that are automatically added to
Imbalance-USD. I am fully aware of Gnucash behaviors in regard to the
creation of entries into Imbalance-USD, and I have a long-established
workflow in plac
Hi,
GnuCash 4.4 under Windows 10. Long time user.
Recent releases have included an update to the Autofill feature, which
generally is a good thing. However, others have reported strange hitches
using the new feature under Windows--situations where the register hangs
and the application appear
Hello,
I thought I saw something about this not too long ago, but cannot put my
finger on the thread.
I am using GC4.4 on Windows 10, and have been using GnuCash since 2005.
Basically, I recently purchased shares of a new stock, and I followed my
usual procedure in GnuCash: I created a new a
Hello,
I'm using GnuCash 4.4 under Windows 10, and I am wondering how GnuCash
sorts accounts in the Chart of Accounts window. My chosen sort order is
by Account Code; however, I choose not to assign account codes for a
large number of accounts (such as individual commodities in a brokerage
ac
, Derek Atkins wrote:
David,
I will just suggest that it is Mac tht is the oddity here.
Linux packages also remove older versions when upgrading.
-derek
On Thu, January 21, 2021 8:53 am, David T. via gnucash-user wrote:
Hello,
I've used GnuCash for a very long time, under different oper
Hello,
I've used GnuCash for a very long time, under different operating
systems (currently GC4.4 on WIndows 10), and I have a minor question
about the upgrade process under Windows.
When I updated under MacOS, I was able to install multiple versions in
parallel simply by renaming the app bu
David T.
On 12/7/2020 2:59 PM, David H wrote:
You mean this error :-)
Running on Gnucash 4.2 on Win 10 Pro. If I click the error it
re-displays, click again and it shows the chart but only levels 4 & 6 ??
Cheers David H.
On Tue, 8 Dec 2020 at 04:47, David T. via gnucash-user
mailt
Odd.
I don't think it has to do with the account type, since I replicated the
problem for both assets and liabilities accounts.
I don't believe my accounts have something in them that could generate
this error. I've been able to create a brand new file with an account
structure and just a fe
Hello,
I am on Windows 10, using Version: 4.2
Build ID: git 4.2-213-g562b4be22+(2020-11-21)
Back in June 2019
(https://lists.gnucash.org/pipermail/gnucash-user/2019-June/085636.html),
I reported a problem with an odd error in a saved report. After some
back and forth, I don't believe that any
Not an accountant, but I'd probably go with Assets:Cash
How you handle the subsequent procedures will better be addressed by others.
On 9/29/2020 4:16 PM, Roderick A. Anderson wrote:
Good day to all.
I have a question that may require me contacting an accountant but
this is my first pass.
F
I am not an expert, but perhaps if you're writing the format yourself,
maybe you could adopt an existing standard (e.g., QIF, QFX, CSV) and
import that into GnuCash?
Also, Chapter 18 in the Guide is all about importing business data.
Perhaps that might lead somewhere?
On 9/29/2020 4:20 PM, T
Hello,
I know no one wants to hear from me these days, but I've noticed strange
behavior with reconciled transaction entries in GnuCash 4.1 under
Windows 10.
Specifically, when I edit the amount of a reconciled transaction entry
(a.k.a. "split"), I receive a notice that I am attempting to ed
If someone could advise on further steps for the following...
Gnucash 4.1, Windows 10
Attempt to open Advanced Portfolio report (Reports->Assets &
Liabilities->Advanced Portfolio) yields the following:
Report error
An error occurred while running the report.
In c-interface.scm:
24:4 19
Hello,
Today, I tried out the "Balance Sheet (Multicolumn)" report in the
Experimental reports section, and I'd like to share some observations.
1. When initially run, I receive an empty report. This is similar to the
initial result of the basic Transaction report, except in the latter
case,
Hello,
I'm running GNC4.1 on Windows 10, and I've noticed a couple of changes
in the tab interface in recent versions that are irksome to me. I have
my preferences set so that account tabs are placed on the left side of
the window.
The first issue I've noticed is that new tabs now open direc
Hi,
Could anyone tell me the current status on the storage of saved register
column widths? I was under the impression that there was a change made
somewhat recently to the the logic of how GNC stored column widths for
different registers.
Previously, register column widths were stored on an
t the temptation to click on the "Scrub" button.
Review all the "Realized Gain/Loss" transactions in the register.
Replace the default description with some details of the Sale (eg cut
and paste the description from the Sale transaction).
DELETE the "Orphaned Gains-XXX"
Thanks!
On 8/25/2020 9:48 AM, Stan Brown wrote:
On 2020-08-24 20:06, D. via gnucash-user wrote:
I'll have to figure out how I'd trigger the --extra flag in Windows
METHOD 1: a. Duplicate your GnuCash shortcut
b. Right-click the duplicate, select Properties
c. Add the flag in the Target box.
M
Hello,
Having now fiddled with the Lots features some more, I have encountered
some issues with its implementation.
First, if I open up the lots viewer to see what it is doing with lot
allocations, the interface appears to automatically recalculate the gain
in the entire account, and it does
Hi,
In the last couple of days, I have learned TONS about how to manage
capital gains with assorted lots in the GnuCash realm. The financial
institution I use has algorithms that adjust my accounts to minimize tax
implications. This results in sales against specific lots within
GnuCash, and I
I think it means that GnuCash-user will ride on highways as well
as it runs on ski slopes.
On 7/8/2020 11:01 AM, Derek Atkins wrote:
flywire writes:
This will change when (if) we migrate to mailman3, which includes the
"hyperkitty" forum-like interface, but at this point in time we do not
h
Stan,
It's true, I did write that. My point was more about *individuals*
signed up for Nabble; if an individual were get their GnuCash-users fix
directly from lists.gnucash.org, instead of getting it ad-ded up by the
lesser provider Nabble, then that individual would not have the
Nabble-rousi
If you search for these transactions or filter them in the (wrong,
problematic) register, it is simple enough to merely change the
erroneous Transfer account and tab off the specific line. This will
change the entry, which will instantly remove it from the current view,
since the split that anc
Hello,
I swear I reported troubles with this a long time ago, and I could have
sworn I added a bug about it. My recollection was that I was the only
person who could duplicate the issue, and so it never went anywhere
further. However, I find no evidence on Bugzilla or in the lists. Alas.
My s
Adrien,
Given that the dev team has discussed documentation formats since at
least 2013 (cf. https://bugs.gnucash.org/show_bug.cgi?id=722016), I
wouldn't expect a rapid transition to some other format just because
someone comes up with a fancy new tool.
David T.
On 5/6/2020 11:15 AM, Adrie
Thanks. Don't know why I couldn't see that before. I guess the
terminology didn't register in my mind.
On 4/29/2020 11:59 AM, David H wrote:
David T.,
Preferences >> General >> Path Head for Transaction Association Files
is probably the setting you're looking for :-)
Cheers David H.
On W
If the setting were per book and user-configurable, then a user could
choose to set each data file to use a different set of folders, by
changing the file default from "logs" to "logs-file1"
Does the Attachments functionality provide a blueprint for how this
could work for backups and logs? It
Adrien,
I included the link to the discussion in my previous reply. The wiki does not
include the tab padding commands.
David T.
On Thu, Jan 2, 2020 at 6:20, Adrien
Monteleone wrote: Bill,
There was a long thread last fall (2018) about css. I think the title makes it
appear to be d
Chris's,
Bug 780717?
On Thu, Dec 12, 2019 at 13:40, Christopher Lam
wrote: First, what is your global Reverse Balanced preference (Edit /
Preference /
Accounts / Reversed Balance)?
On Thu, 12 Dec 2019 at 07:07, Tommy Trussell
wrote:
> Does anyone use the Budget features in GnuCash? I
David,
It's one file: saved-reports-2.8.
You can easily parse the text that is contained in this file and isolate
individual report customizations. Cutting and pasting the complete content of
one of these segments, you can port them around (although the changes in data
files will render this
Comment three on three bug report includes instructions on fixing the problem
by editing a line in the report file.
On Thu, Nov 7, 2019 at 15:08, mcmurchy1917techy via
gnucash-user wrote: Thanks John
I'll keep an eye on the bug report and test when a fix becomes available.
Alex
On 0
7;2'.
I'm not sure why anyone would alter the Account Depth setting lower,
thus limiting the user's ability to manage this report. If anything, I'd
argue this setting should be allowed to go even higher.
David T.
On 11/6/2019 10:14 PM, David T. via gnucash-user wrote:
Hello,
Hello,
I am using GnuCash 3.5 on Windows 10. GnuCash 3.5 is the latest version
I have ever used.
I have a report that I customized and saved in an earlier version of
GnuCash (I can't tell you the version, but I know that it is an earlier
version). I can't be certain which base report I used,
Chris,
Any chance you have or had a second monitor on your system?
On Mon, Oct 28, 2019 at 8:42, John Ralls wrote: Chris,
Weird. With GnuCash (sort of) running, open /Applications/Utilities/Activity
Monitor. Find gnucash in the process list and select it. Click the gear icon at
the left
I'm curious what you did that didn't work, as well as what you mean by "removed
all references to earlier iterations." Would you elaborate?
David
On Thu, Oct 24, 2019 at 14:11, GJS wrote: On 22/10/2019
02:20, D wrote:
> /Installation is covered in the wiki, and linked directly on
> //ww
Hello,
I am using Gnucash 3.5 on Windows 10 (installed on a new Windows machine
June 2019), and I notice a couple of dot directories placed in my user
folder (C:\Users\sunfish): .cache and .dbus-keyrings
The cache folder has a fontconfig folder with a couple of subfolders in
it; the dbus fol
Adrien,
With regard to your assertion in #3, Paul's problem sounds entirely different
from the page rendering problem that you reference (most recently at
https://lists.gnucash.org/pipermail/gnucash-user/2019-October/087363.html). To
me, "bullet holes" suggests some sort of corrupted font defin
This is interesting. Let's say that at a later point, a transaction were added
prior to one of these entries. How will this transaction help in a way that
looking at the statements wouldn't?
You see, one of the basic truisms of reconciliation is that your balance as of
a given date will differ f
Adrien,
Under most circumstances in this situation, I'd agree with you that the problem
was an unsuccessful exit. However, Bob clearly notes that not only does he have
troubles with the load, but also with saving and backup creation. That sounds
very much like some sort of permissions problem.
And, yes, it would be more useful if it weren't set as either an
absolute date or "Previous Quarter"...
On 9/4/2019 8:08 PM, Christopher Lam wrote:
FWIW in the 4.x series it is planned to allow a book-specific
accounting-period, so, one can select (e.g. 30-June for Australia, 5-April
for UK, or
Of course, one can currently set the accounting period for the OS user
at Preferences->Accounting Period. ALthough not the same as per-book
settings, it is nonetheless a useful option for many.
On 9/4/2019 8:08 PM, Christopher Lam wrote:
FWIW in the 4.x series it is planned to allow a book-spe
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