e any way to...
- delete all the appropriate payments at once
- and then delete all the appropriate posted bills at once
- without having to do each and every one individually?
Thanks for any help - Fran3
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d? Description, Memo, Notes, Value, or what or all fields in a
transaction entry?
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ran3
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Christopher,
It's a saved report configuration, not a custom report. I did not and do not
code Scheme. Any value saved is based on what I was given by the UI. If I saved
'6', it's because Gnucash gave me that option. So, someone changed the
definition somewhere along the
Further, is there some magical aspect to the number 5 that would suggest it to
be the 'ideal' maximum depth for this setting? Why have a maximum at all?
On November 9, 2019, at 10:34 PM, D via gnucash-user
wrote:
Christopher,
It's a saved report configuration, not a custom re
trying to find and then crafting a Find or Report that gets you there from
within GnuCash.
Regards,
Adrien
> On Nov 9, 2019 w45d313, at 8:53 AM, Fran_3 via gnucash-user
> wrote:
>
> I want to compare Transaction Report A to Transaction Report B
> and find transactions that ap
se: Yes, I am a longtime user of NP++ but for a number of reasons it
didn't do the trick in this particular case.
In this case I ended up having to use a spreadsheet ... I won't go through the
blow by blow but I (finally) got it done :-)
Fran3
_______
day-to-day operation than www, but we might as well do both if
we're going to the effort.
Regards,
John Ralls
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r you if you need it. Fran3
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y visually compare them. I'm
not at my computer now but I think the options to do this are under the Window
or View menus.
Regards,
Chris Good
---
>
> Message: 8
> Date: Sat, 9 Nov 2019 18:17:02 + (UTC)
> From: Fran_3
> To: Gnucash Users , Adrien Monteleone
>
made this morning would some
kind soul just tell me how to do this...
And note... the entity name has two words in it... "Vendor X" in this
example... both of which are necessary for unique identification.
Thanks for any help. Fran3
_______
gnuca
Adrian, Thanks for the response.
I have to admit I have done regular expressions... but I often tire of the
fight... as I ultimately did in this case.
My solution in this particular case was to port the gnuCash check register into
a spreadsheet and manipulate it from there to exclude the target
enlighten me :-)
Thanks, Fran3
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9720 7685
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sorting.)
Regards,
Adrien
> On Nov 10, 2019 w46d314, at 7:31 PM, Fran_3 via gnucash-user
> wrote:
>
> I can't seem to create a report on checking (or another asset account) that
> only shows goes-outta's... aka withdrawals... aka credits.
> I tried running a Transac
-X\AppData\Roaming\GnuCash
Will gnuCash recreate a new "saved-report-2.8" file when I re-launch the
gnuCash App?
Question 2: If months down the road I need to recover the saved-report-2.8 file
that I stashed elsewhere...
Can I swap the current saved-report-2.8 file with the one I stashed..
To be clear on your answer to question 1...
If I delete or move the file "saved-reports-2.8" gnuCash will recreate it WHEN
I create a new report and save the report configuration... right?
Thanks for the help John.
Fran3
On Monday, November 11, 2019, 10:58:29 PM EST, John Ral
Sounds like the window is on a phantom screen, still running but not visible.
Have you used a second monitor on this system? I don't recall the fix for this
problem...
David
BTW, operating system and Gnucash version number usually help list users help
you.
On November 15, 2019, at 2:
;
> Op vrijdag 15 november 2019 18:14:50 CET schreef Adrien Monteleone via
> gnucash-user:
>> Maybe that should be relabeled as ‘file associations’ or ‘file attachments’
>> or something similar.
>>
>> Thanks for the clarification and sorry for the noise.
>>
&g
Thanks,
Louis
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-
Ple
Rizwan,
I am intrigued. You say you're a new user, but you have 500,000 transactions.
Wow!
You've been getting the usual kinds of responses to your question: how fast is
your computer, how many reports are you running, be patient, don't close
Gnucash, etc.
But it sounds as if
19 at 4:35 PM Frank H. Ellenberger
> mailto:frank.h.ellenber...@gmail.com>>
> wrote:
>
> Hello Stan et al.
>
> I like the idea. A short grep delivers 5 occurrences of likewise
> texts: 4 at
>
> https://github.com/Gnucash/gnucash/blob/de09259f13e8e3
How can I assign a recorded Payment in gnuCash written to a vendor...
As a payment for the Bill that was posted after the payment was made?
Must I delete the deposit/payment and then re-create it as a payment for that
particular Bill or what?
Also...
How can I assign a pre-existing deposit in
y:
There is a lock file in the system for the requested data file, which means
either that you are running another instance of Gnucash with this file, or that
the file was not properly closed previously (for example, due to a crash).
If you are sure that it is not currently in use by you or an
out by the end. The author of "The Design of Everyday Things"
said that signs explaining things to users are evidence of a failed system, and
that a properly-designed system has no need for them. I agree with that.
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ery new user runs up against.
I don't understand the objection to a link to the documentation. Why
make it harder for users who read the message and say "that doesn't
cover my situation"? The GnuCash learning curve is steep enough; why not
do what we can to ease the burden?
And
anchored to the account)
Regards,
Adrien
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Perfect. Thank you.
On Monday, November 18, 2019, 11:20:21 AM EST, Geert Janssens
wrote:
Op maandag 18 november 2019 15:10:55 CET schreef Fran_3 via gnucash-user:
> How can I assign a recorded Payment in gnuCash written to a vendor...
> As a payment for the Bill that was posted
Great. Thank you for the help Greg.
Fran3
On Monday, November 18, 2019, 11:28:12 AM EST, Greg Feneis
wrote:
What about right click transaction and select assign as payment?
Kind regards, Greg Feneis
(Pixel 3)
On Mon, Nov 18, 2019, 06:14 Fran_3 via gnucash-user <
gnucash-u
Source of information was:
https://money.stackexchange.com/questions/91861/how-to-delete-multiple-transaction-at-once-in-gnucash.
The user who gave the information was not named.
The only thing I changed was explaining where I used it compared to in the post
where the user said he/she
On 25/08/2019 00:06, Richard Ullger wrote:
On 23/08/2019 14:26, Wm via gnucash-user wrote:
heads up, folks
morningtstar.co.uk (and possibly other European versions) have changed
some stuff that mean some F::Q requests have stopped working.
This isn't gnc's fault.
If you use a qu
On 19/11/2019 16:27, Derek Robinson via gnucash-user wrote:
Vanguard investors using GnuCash may be frustrated that many Vanguard products (like
their 529 portfolios, any 401(k) / 403(b) products with the word "Trust" in the
title) do not have prices that are easily obtainable from
On 23/11/2019 20:12, Richard Ullger wrote:
I get (on Saturday evening)...
gnc-fq-dump -v mstaruk GB00B4PQW151
Finance::Quote fields Gnucash uses:
symbol: GB00B4PQW151 <=== required
date: 11/22/2019 <=== recommended
currency: GBP <===
Is anyone interested in resurrecting the possibility of gnc dealing with
restricted funds and other charitable / not-for-profit / whatever they
are called where you live accounting better?
--
Wm
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e to see easily. Either will work and either is
an improvement on leaving things in the Orphan account.
Leaving it in the Orphan is lazy thinking.
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On 24/11/2019 23:07, Richard Ullger wrote:
On Sunday, 24 November 2019 04:05:23 GMT Wm via gnucash-user wrote:
Which OS and perl version are you on? At the moment it is looking like
gnc might need a more recent version of strawberry perl on Win but I
can't quite work out why. If yo
That usually means that the currency you are using does not have a character in
the display font. Check your currency, try a different font, and report back.
David T.
P.s. When you report back, do let us know what OS you are using, what Gnucash
version you are using, and what your locale is
On 01/12/2019 15:36, John Ralls wrote:
On Nov 30, 2019, at 12:58 PM, Wm via gnucash-user
wrote:
On 24/11/2019 23:07, Richard Ullger wrote:
On Sunday, 24 November 2019 04:05:23 GMT Wm via gnucash-user wrote:
Which OS and perl version are you on? At the moment it is looking like
gnc
On 01/12/2019 15:36, John Ralls wrote:
On Nov 30, 2019, at 12:58 PM, Wm via gnucash-user
wrote:
On 24/11/2019 23:07, Richard Ullger wrote:
On Sunday, 24 November 2019 04:05:23 GMT Wm via gnucash-user wrote:
Which OS and perl version are you on? At the moment it is looking like
gnc
On 25/11/2019 18:33, Michael or Penny Novack wrote:
On 11/24/2019 6:17 AM, Wm via gnucash-user wrote:
Is anyone interested in resurrecting the possibility of gnc dealing
with restricted funds and other charitable / not-for-profit / whatever
they are called where you live accounting better
The short answer is: "No."
Gnucash data files end with ".gnucash" Gnucash *settings* files use gcm.
Go back to the first machine and locate the file named {MYACCOUNTS}.gnucash
(usually in your home directory) and copy that. Note that you should not look
for MYACCOUNTS,
ot make it as far as my inbox, but your description is
>> very clear to me. However, I am not a developer, and I do not have any
>> experience to offer suggestions for your issue with GnuCash. I do not know
>> if it is an issue that is an artifact of the fact that your date f
he line with the widget) in the image?
> It appears to be 1.12.19 but it's actually 11.12.19 (the first "1" is
> chopped off and not visible).
>
> - Axel
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To upd
:17 AM Alan A Holmes
wrote:
> I'm currently closing a couple of Savings accounts and moving them to other
> banks to get a better rate on interest.
>
>
>
> In GnuCash I've created new accounts in Assets and transferred things
> across
> from the old accounts to t
want HTML, but Firefox stores the
javascript code in a folder that is 772 kB, compared to about 8 kB for the
platform-specific HTML and about 100 kB for a PDF.
I will study how to contribute to documentation, thank you.
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return the date.
Working on OS X (10.12.6, Sierra), by the way.
-
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oo as JSON"
for as long as that has been around, with no problems.
Maybe I'll need to install the latest Perl or something like that. How
tedious.
-
Ken Farley
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If I build it myself on Debian Buster--using instructions in the Gnucash
Wiki, 'Build for Linux'--will it solve the dependency issues for me?
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.
Now, time to delve into how to apply GTK3 themes - if that's possible on
MacOS.
Thanks, John.
-
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I think https://wiki.gnucash.org/wiki/GTK3 will help the OP adjust the tab
heights, as will (especially)
https://lists.gnucash.org/pipermail/gnucash-user/2018-June/077390.html
David T.
On January 1, 2020, at 8:10 AM, Greg Feneis via gnucash-user
wrote:
I think the items in that list are
elp
Kind regards, Greg Feneis
(Pixel 3)
On Tue, Dec 31, 2019, 15:15 Traveler12 wrote:
> Same problem here, and not getting any answers, either. gnucash won't work
> with Chase or Amex OFX downloads.
>
>
>
> --
> Sent from: http://
Finbar, I think the Gnucash developers do their due diligence in testing but
some things don't appear until a wider group start to use the new version.
If you depend on Gnucash, and you are using MacOS, I suggest you clone your
drive with SuperDuper! or similar software before installing
this whole transition phase I wonder if the
bank is the problem or if its a general Gnucash problem and it doesn't work
for many people?
So has anyone recently tried to make online import work with DKB?
Cheers
--
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William,
Did the discussion on css styling not work for you?
David T.
On January 2, 2020, at 4:05 AM, Colin Law wrote:
I see what you mean. On Ubuntu with Waterfox browser they are much tighter
packed (gnucash 3.6).
Colin
On Wed, 1 Jan 2020 at 17:00, William Marshall wrote:
> Co
there! The data file is fine, happily. What do I need to copy over
> from where in win7 to where in the linux file system to get my linux
> side working again? - Elmar
>
>
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To update your
transactions, you'll end up with uncontrollable dupes
that will have to be deleted one at a time (since there is no bulk delete
command within gnucash). The best you can do is just import the transactions
from PayPal and manually correct the bogus splits, and the transaction dates
(which are
are (or
were) multiple folders with similar names on the desktop?
David T.
On January 3, 2020, at 6:52 AM, Adrien Monteleone
wrote:
Per #3, on Jan 2, did you start GnuCash by:
A) Opening GnuCash and letting *it* open your most recently used file.
B) Double-clicking your intended file which will
Oh. Ok. I'm sorry it's not working for you; I'm pretty sure that, prior to my
leaving the Apple world, I was able to change the appearance of Gnucash by
following the css styling instructions. That included the tab height.
Unfortunately, for this discussion, I no longer have my
I have my mouse set for left handed use, i.e. the left and right clicks
are reversed. This works for everything on my Windows 10 system except
the GnuCash 3.8b+ program. Is there something I can do to correct
this?
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is empty).
Alan
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helps, let me know if you are still having trouble.
Note, you might have to restart GnuCash after making changes to your
gtk-3.0.css file to see the difference.
Regards,
Adrien
> On Jan 3, 2020 w1d3, at 10:45 AM, William Marshall via gnucash-user
> wrote:
>
> HI David,
>
&g
;> I am struggling with a stock account, where I am unable to enter any valid
>> transactions, and suspect the security information may be corrupted:
>>
>> Whenever I enter a trade from the account (declared as stock for an existing
>> security INTC) and press return, G
If this matter has been discussed previously, can you you share the link with
me, please? My searches didn't turn up what I was looking for.
System: MS Windows 10 Pro; Version 1903; OS Build 18362.535
GnuCash: Version 3.7; Build ID 3.7+(2019-09-07)
Question: Why does the GnuCash some
t route.
Regards,
Alan
>> On Jan 4, 2020 w1d4, at 5:33 PM, AEG via gnucash-user <
> gnucash-user@
> > wrote:
>>
>> Colin Law wrote
>>> By comparing the heights of the register lines and the tabs I see that
>>> I get 9 tabs in the height of 14 regist
I've worked on a one-year budget in GNUCash 2.6.19, and now have made a budget
flow report with two columns, but it has no column titles, nor is there
explanation of the columns in the help files - There is only the words 'Budget
Flow', under standard reports overview, beneath
I have a couple of managed securities accounts which typically have a lot of
transactions involving switching in and out of proprietary ETFs for which
public quotes are not readily available.
I am tired of trying to keep track of all of these transactions in GnuCash.
I would be grateful for any
d let me combine and split conversations at will
>when they come in wrong. (or are handled by the client improperly)
>
>Regards,
>Adrien
>
>> On Jan 7, 2020 w2d7, at 1:23 PM, Frank H. Ellenberger
> wrote:
>>
>> Hi,
>>
>> I anm using Thun
0nb.us
Projects: https://github.com/N0NB
GPG fingerprint: 82D6 4F6B 0E67 CD41 F689 BBA6 FB2C 5130 D55A 8819
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he standing/designated balances.
- Nate
--
"The optimist proclaims that we live in the best of all
possible worlds. The pessimist fears this is true."
Web: https://www.n0nb.us
Projects: https://github.com/N0NB
GPG fingerprint: 82D6 4F6B 0E67 CD41 F689 BBA6 FB2C 5130 D55A 8819
__
Bb
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r) and export/print.
>>
>
>This is way too time consuming.
>
>Thanks to all.
>
>Bill Dika CPA,CA Retired
>
>On Tue, Jan 7, 2020 at 10:57 AM Michael or Penny Novack <
>stepbystepf...@comcast.net> wrote:
>
>> On 1/6/2020 8:16 PM, Bill Dika wrote:
>>
>&g
of the old one
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Either it was connectivity issues, or I'm getting senile...
On January 10, 2020, at 11:32 AM, D via gnucash-user
wrote:
Bb
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iber.net> wrote:
> Bug number?
>
> Regards,
> Adrien
>
> > On Jan 9, 2020 w2d9, at 4:15 PM, Jack Slater
> wrote:
> >
> > Found it; bug since 2008. That seem really excessive!?
>
>
> _______
> gnucash-us
Dear Adrien,
Thanks for the tip, but I already tried that (several times). GC still
opens the old book/file
Regards,
rsbrux
Date: Fri, 10 Jan 2020 03:03:02 -0600
From: Adrien Monteleone
To: Gnucash Users
Subject: Re: [GNC] How to change default book/file to open in GC 2.6
under Ubuntu
P.S. The new file appears in the recently opened files list in GC, but in
position 2.
The old file is in position 1.
-Original Message-
From: rsbrux
Sent: Friday, January 10, 2020 11:46 AM
To: 'gnucash-user@gnucash.org'
Subject: Re: How to change default book/file to open
the old file?
Peter
--
Peter West
p...@pbw.id.au <mailto:p...@pbw.id.au>
But immediately he spoke to them and said, “Take heart; it is I. Do
not be afraid.”
On 10 Jan 2020, at 8:48 pm, rsbrux via gnucash-user
mailto:gnucash-user@gnucash.org>> wrote:
P.S. The new file appears in
I like your thinking!
On January 10, 2020, at 10:26 PM, John Ralls wrote:
A# ?
> On Jan 8, 2020, at 11:42 PM, D via gnucash-user
> wrote:
>
> Bb
> _______
> gnucash-user mailing list
> gnucash-user@gnucash.org
> To update your
>I have a rather general accounting question in regards to the Assets =
>Liabilities + Equity formula, and how it relates to the other GNUCash
>default accounts like Income and expenses. Those accounts are neither
>assets, liabilities, nor equity. So I'm not sure how to factor them in
&g
ansactions
should be linked to my 'Other' expense account.I have lots of manual work to
change the imported transactions
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beginning, TEST in my experiment)
and the Transfer_account was correct for all, Expenses:Other in my case.
Correcting the items of my interest is just a few minutes of work.
I am aware that this is not what GnuCash is intended for.
But I am just starting to use it and will see what level of
A few versions back, I pieced together a Perl script that rebuilt the price
history for a Gnucash SQL file, replacing the existing history table with
monthly prices for the duration that a given commodity was held. It worked fine
for me, and cleaned up years of erratic pricing info, although it
- Bruce S.
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risen.
On 26 Jan 2020, at 2:02 pm, D via gnucash-user wrote:
It might be worth asking why OP is using /opt for their data files in the first
place. It is more usual for users to place their personal files in the /users
hierarchy (i.e., ~/).
On January 26, 2020, at 8:33 AM, Bruce Schuck
wrote
t;> Peter West
>> p...@pbw.id.au
>> …he rebuked them for their unbelief and hardness of heart, because
>they had not believed those who saw him after he had risen.
>>
>>> On 26 Jan 2020, at 2:02 pm, D via gnucash-user
> wrote:
>>>
>>> It might b
ound this:
> https://apple.stackexchange.com/questions/367158/whats-system-volumes-data/367159#367159
> and https://nektony.com/duplicate-finder-free/folders-permission
>
> - Bruce S.
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in order to correct the erroneous currency (CHF)
attached to them. Please say it ain't so!
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If it were me, I'd simply record everything in HUF, unless one of the
aforementioned accounts is actually denominated in CAD.
David
On Jan 27, 2020, 14:50, at 14:50, Marcell Madar wrote:
>Hello everyone,
>
>Our family has one common GnuCash account in Hungarian Forints (HUF)
>
t for the
changes in exchange rate?
Marci
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If you are using Nabble or Gmane
, because by
default the filter is case sensitive !
Thanks to all who shared the experience and suggestions !
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To
ccounts
I tried removing the check box "Automatic interest transfer" in the GnuCash
Preferences/Register window. Then I restarted the program, then re-checked
the box, and restarted the program again. No Go! All of my bank accounts
show the button when I choose reconcile, except for th
Yes, the account is of type "BANK"
No, the Action - Reset Warnings did not correct the problem.
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To u
oks that show up
>in
>the File menu on OSX:
>
>[image: Menubar.png]
>Can I change that 4 to a 6 or more somehow?
>
>Thanks,
>Greg
>
>
>
>
>_______
&
Ok. Thanks.
On Jan 31, 2020, 08:53, at 08:53, John Ralls wrote:
>
>GnuCash pays no attention at all to that setting.
>
>Regards,
>John Ralls
>
>
>> On Jan 30, 2020, at 7:17 PM, D via gnucash-user
> wrote:
>>
>> Have you tried this:
>>
>&g
I haven't see an answer to this on the distribution list, nor on Nabble
<http://gnucash.1415818.n4.nabble.com/GNC-Account-Currency-Screwed-Up-Again-td4715785.html>.
Can I fix this by editing the XML file?
I am using GC v2.6.19 under Ubuntu Studio 18.04. Is there a function to
Can I 1 - import banking transactions
Then2 - Post Bills from vendors & Invoices to clients
Then
3 - Apply the previously imported bank transaction to the appropriate bill or
invoice?
Thanks for any help.
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sure your dates in the registers and on invoices/bills reflects the
real world transaction and not the date you happen to enter them in GnuCash or
else down the road you’ll have a hard time tracing an error or when otherwise
investigating something. You can certainly do the data entry out of
Ignore my "tried to test this" post. I think I have it figured out.. I'll
repost question otherwise. Thanks for the help.
On Monday, February 3, 2020, 12:32:27 PM EST, Fran_3 via gnucash-user
wrote:
Well I tried to test this via...- Creating an Exp Account named Unass
Its been quite awhile since I've used gnuCash & I'm trying to catch.
When I pay a vendor directly from checking... not paying a bill, just writing
a check & recording it in the check register...
For "Transfer"do I select "Libalities: Accounts Payable"orU
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