Re: [GNC-dev] Reports -- Cleanup

2019-01-07 Thread David T. via gnucash-devel
Stephen, I'm sure I would welcome improvement in the reports.  I don't have many concrete points here, except to suggest that the ideal UI point for a reconciliation report would be at the end of the reconciliation process. A check box on the reconcile window would trigger the report,

Re: [GNC-dev] Reports -- Cleanup

2019-01-07 Thread Adrien Monteleone
Stephen, while I agree in principle that the reports need cleanup, as a user, I don’t want to see functionality removed, just moved. Consider the following: For example on your #1, Why do I need to see the credit split for every transaction when running the report for an expense account? Maybe

[GNC-dev] Reports -- Cleanup

2019-01-07 Thread Stephen M. Butler
I think one of the developers here mentioned that there is a lot of duplication in the reports arena.  I concur.  At first it was very confusing as to which was the "correct" one.  Finally figured out none where -- according to the in house SME (pronounced "smee" and standing for Subject Matter

Re: [GNC-dev] Bug # 796687

2019-01-07 Thread Alex Aycinena
Geert, On Sun, Jan 6, 2019 at 9:17 AM Alex Aycinena wrote: > Geert, > > On Sun, Jan 6, 2019 at 8:11 AM Geert Janssens > wrote: > >> On Sunday, January 6, 2019 4:55:09 AM CET Alex Aycinena wrote: >> > Geert, >> > >> > I have been investigating bug # 796687 (Tax Entity name and type for an >> >