Bug #118954 -derek
Jon Lapham <[EMAIL PROTECTED]> writes: > I figured out how to get the "split transactions make account totals > not update correctly" bug to be reproducible with a simple account > structure. (in the past, I would only see this bug with complex > account structures). > > Build an account structure like this: > -Assets > -Checking > -Liabilities > -Expenses > -Equity > -Opening balances > > steps to reproduce: > 1) Give yourself a wad of cash, E:Opening Balances -> A:Checking. > 2) Open the register window of A:Checking, add a new split tranaction > like this: > > Account Deposit Withdrawal > A:Checking --- 100 > Liabilities --- 100 > Expenses 200 --- > > 3) Click "enter" when finished entering the split, check out the main > account tree window, it will show total balance in both Liabilities > and Expenses as "0". > > 4) Edit any account, immediately upon opening the edit account window, > the balances of Liabilies and Expenses will be updated correctly. > > Should I bugzilla this? > > -- > -**-*-*---*-*---*-*---*-----*-*-----*---*-*---*-----*-----*-*-----*--- > Jon Lapham <[EMAIL PROTECTED]> Rio de Janeiro, Brasil > Work: Extracta Moléculas Naturais SA http://www.extracta.com.br/ > Web: http://www.jandr.org/ > ***-*--*----*-------*------------*--------------------*--------------- > > > _______________________________________________ > gnucash-devel mailing list > [EMAIL PROTECTED] > http://www.gnucash.org/cgi-bin/mailman/listinfo/gnucash-devel -- Derek Atkins, SB '93 MIT EE, SM '95 MIT Media Laboratory Member, MIT Student Information Processing Board (SIPB) URL: http://web.mit.edu/warlord/ PP-ASEL-IA N1NWH [EMAIL PROTECTED] PGP key available _______________________________________________ gnucash-devel mailing list [EMAIL PROTECTED] http://www.gnucash.org/cgi-bin/mailman/listinfo/gnucash-devel