Hello,
Having read this thread I wondered if there could be some sort
of interface to export data from gnucash so that any kind of
external report generator could work on it.
Exporting the selected data to i.e. an xml file.
The external program would then handle the data it's way and could
be
On Jan 3, 2015, at 8:35 AM, Christoph Holtermann c.holterm...@gmx.de wrote:
Am 03.01.2015 um 16:37 schrieb John Ralls:
On Jan 3, 2015, at 2:44 AM, Christoph Holtermann c.holterm...@gmx.de
wrote:
Hello,
Having read this thread I wondered if there could be some sort
of interface to
On Sat, January 3, 2015 2:10 pm, Wm wrote:
Sat, 3 Jan 2015 09:52:56 20150103145300.748d9e2...@mail2.ihtfp.org
Derek Atkins de...@ihtfp.com
To hold all the transactions in the schedule. That's what accounts do:
hold transactions. It was a way to reuse the data structures.
you really don't
I just found out that I've accidentally pushed some gnucash-on-windows commit
to the wrong remote repository, namely the github one instead of the one on
gnucash.org. Subsequently, my change seems to be dropped the next time someone
committed to gnucash.org.
Now I wanted to check whether I'm
On Jan 3, 2015, at 2:44 AM, Christoph Holtermann c.holterm...@gmx.de wrote:
Hello,
Having read this thread I wondered if there could be some sort
of interface to export data from gnucash so that any kind of
external report generator could work on it.
Exporting the selected data to i.e.
To hold all the transactions in the schedule. That's what accounts do: hold
transactions. It was a way to reuse the data structures.
-derek
Sent on my mobile. Please forgive any typos.
- Reply message -
From: Sébastien de Menten sdemen...@gmail.com
To: gnucash-devel@gnucash.org
Hey folks,
I accidentally power cycled the UPS that powers the VM server hosting
Code et al. It took a couple hours for everything to fsck and come
back. It appears to be running properly now. Sorry for any
inconvenience.
-derek
--
Derek Atkins, SB '93 MIT EE, SM '95 MIT Media
Sat, 3 Jan 2015 09:52:56 20150103145300.748d9e2...@mail2.ihtfp.org
Derek Atkins de...@ihtfp.com
To hold all the transactions in the schedule. That's what accounts do:
hold transactions. It was a way to reuse the data structures.
you really don't like Sebastien and it shows :(
I can
For each scheduled transaction, I can see that a BANK account is created
as a child of the root_template, with as name the guid of the scheduled
transaction. This account does not have a lot of valuable information
(field or slots) at first sight.
What would be the role of this account ?
kr
Am 03.01.2015 um 16:37 schrieb John Ralls:
On Jan 3, 2015, at 2:44 AM, Christoph Holtermann c.holterm...@gmx.de wrote:
Hello,
Having read this thread I wondered if there could be some sort
of interface to export data from gnucash so that any kind of
external report generator could work on
Sat, 3 Jan 2015 14:34:19
07cf268b523f823bd1bd4af2cf05e5db.squir...@mail2.ihtfp.org Derek
Atkins de...@ihtfp.com
On Sat, January 3, 2015 2:10 pm, Wm wrote:
Sat, 3 Jan 2015 09:52:56 20150103145300.748d9e2...@mail2.ihtfp.org
Derek Atkins de...@ihtfp.com
To hold all the transactions in the
On Jan 3, 2015, at 1:35 PM, Christian Stimming christ...@cstimming.de wrote:
I just found out that I've accidentally pushed some gnucash-on-windows commit
to the wrong remote repository, namely the github one instead of the one on
gnucash.org. Subsequently, my change seems to be dropped
Wm,
Please do not make any personal comments on the mailing lists.
Liz, the moderator.
--
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http://gnucash.1415818.n4.nabble.com/understanding-scheduled-transactions-sql-table-tp4674820p4674840.html
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