On Tue, Dec 19, 2017 at 5:24 PM, Cliff McDiarmid
wrote:
> Just found this here 'https://lists.gnucash.org/wiki/Slackware'
>
> /usr/bin/glib-compile-schemas usr/share/glib-2.0/schemas >/dev/null 2>&1
>
>
> Please execute the last command after installation or you will
Hi,
Question about how Gnucash handles the foreign stocks. My Gnucah main
currency is dollar but I have some stocks in EUR.
Gnucash is updating the basis cost in dollar every time I update the EUR/$
exchange rate in the Advance Portfolio report.
However, IRS requires comparing the selling price
Just found this here 'https://lists.gnucash.org/wiki/Slackware'
/usr/bin/glib-compile-schemas usr/share/glib-2.0/schemas >/dev/null 2>&1
Please execute the last command after installation or you will receive error
like: Settings schema 'org.gnucash.general' is not installed
Maybe this is
Hi -- you must mean Ubuntu.
If you used dpkg you probably didn't install all the dependencies.
I suggest these two terminal commands first
sudo apt update
sudo apt upgrade
Watch the output of those for errors. If you see any, you'll want to
correct them.
Then to get all of gnucash installed,
> On Dec 19, 2017, at 11:20 AM, Cliff McDiarmid
> wrote:
>
>
> Hi
>
> Just joined. i have been using Quicken for 24years running under Wine! It's
> now time to change, problems with older versions of it.
>
> I'm running Gnome 16.04LTS. But I have problems
Using Linux with gnome see message for ver. Gnucash was installed with
dpkg.
Original Message
Subject: Re: gnucash coredump gnome
From: Colin Law
To: Cliff McDiarmid
CC: gnucash-user@gnucash.org
On 19 December 2017 at 19:20, Cliff McDiarmid wrote:
On Tue, 19 Dec 2017 20:20:06 +0100
"Cliff McDiarmid" wrote:
> Hi
>
> Just joined. i have been using Quicken for 24years running under
> Wine! It's now time to change, problems with older versions of it.
> I'm running Gnome 16.04LTS. But I have problems with my
Op dinsdag 19 december 2017 12:18:11 CET schreef Paul Neuwirth:
> Hi Geert,
>
> hartelijk bedankt. Thank you, that was exactly what I missed.
> Would be very nice If open bills would be shown after selecting vendor..
>
> groetjes
>
> Paul
Dag Paul,
(I readded your reply to the list as the
Op dinsdag 19 december 2017 16:09:59 CET schreef Adrien Monteleone:
> Thanks again Geert,
>
> Indeed, the type alone was the issue. I placed the desired accounts back
> under their A/R & A/P parents and everything still works the way I want.
>
> As far as I can tell, the customer and vendor
Op dinsdag 19 december 2017 15:58:38 CET schreef Adrien Monteleone:
> Thanks Geert,
>
> Good to know if I ever need this, export is not the way to go.
>
> Out of curiosity, could you shed light on why the limitation to export only
> one account type at a time?
>
> Regards,
> Adrien
I believe
Thanks again Geert,
Indeed, the type alone was the issue. I placed the desired accounts back under
their A/R & A/P parents and everything still works the way I want.
As far as I can tell, the customer and vendor reports still work properly
because I still use invoices and bills at some point
Thanks Geert,
Good to know if I ever need this, export is not the way to go.
Out of curiosity, could you shed light on why the limitation to export only one
account type at a time?
Regards,
Adrien
> On Dec 19, 2017, at 2:16 AM, Geert Janssens
> wrote:
>
> Op
Hi Paul,
You're almost there :)
The gnucash importers are not aware of the business features of gnucash
unfortunately. So for the importer there are only transactions. It won't be
able to offer bills for transaction matching.
So after the import (as you did correctly) you still have to
Hello list,
I am not sure, if I understood everything about book keeping and
gnucash's functionalities. I asked previously on German language list,
and got the tip to ask here.
What I already did:
imported extended accounts (according to German standard SKR03) and
laboriously typed in all
Adrien,
To clarify your experience: the limiting factor is indeed the account type.
A/R and A/P type accounts can only be used to post invoices/bills/vouchers to
and to assign payments to customers/vendors/employees. This is a limitation
embedded deeply into the design and can't be easily
Op dinsdag 19 december 2017 02:55:14 CET schreef Adrien Monteleone:
> Sorry if my understanding of the GC General Ledger was off.
>
> By combining the files, I meant the exported csv files. So a simple: “cat *
> > gnucash.csv” after those 4 exports would do the trick.
>
You'd probably end up
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