Re: [GNC] Change a batch of transactions from income to Expe

2019-07-06 Thread David Cousens
David , I added an expanded sections on debits and credits after the Double Entry section linking the explanation directly to the accounting equation to explain why some accounts are debited to increase their balance and some are credited. It's in 2.1.3 of the v3.6 of the guide. The information

Re: [GNC] Change a batch of transactions from income to Expe

2019-07-05 Thread David T. via gnucash-user
I guess I don't know what part of it you're referring to. In 2.4 I see notes about the meaning of debit and credit, as well as general discussion about double entry accounting. It seemed to me that would have addressed OP's needs, but I defer to your perspective.  On Fri, Jul 5, 2019 at

Re: [GNC] Change a batch of transactions from income to Expe

2019-07-05 Thread David Cousens
David It hasn't been in the documentation in that form since 2.4 as it was only inserted in commit 007ab9 on the 30th May and Frank merged into maint a couple of weeks ago then when John did the V3.6 release it was included in that. This is par tof the ToC from the pdf version of the 2.4 docs

Re: [GNC] Change a batch of transactions from income to Expe

2019-07-05 Thread David T. via gnucash-user
That information has been in the documentation since 2.4. Not sure what edits you are referring to... On Fri, Jul 5, 2019 at 13:11, David Cousens wrote: David, Sorry I hadn't realized the section i put in on that had made it into the current version of the docs. Thanks for pointing that