The GnuCash development team announces GnuCash 4.0

Changes

Baseline requirements

Operating Systems:

        • Linux: Ubuntu 18.04LTS
        • MacOS: 10.13
        • Windows: 8.1
Software Dependencies:

        • C++ standard is now C++17, requires gcc 8.0 or clang 6.0.
        • Cmake 3.10
        • boost 1.67.0
        • gettext 0.19.6 for general use, 0.20 to generate gnucash.pot.
        • glib-2.0 2.56.1, gtk 3.22.30
        • googletest 1.8.0
        • ICU, any version.
        • libdbi 0.8.3
        • libxml2 2.9.4
        • swig 3.0.12 Now required for building from tarballs as well as from 
git.
        • Webkit 2.4.11 Mac & Win32, 2.14.1 Linux/BSD
New Features

        • A new separate executable, gnucash-cli (gnucash-cli.exe on Microsoft 
Windows) for doing command-line things like updating the prices in your book. 
gnucash-cli gains the ability to run reports from the command line. Specify 
reports to run by name or guid. It also provides an export format and an output 
file name without which it will output the report to stdout.
                • gnucash-cli --report run --name=[reportname/guid] 
datafile.gnucash
                • gnucash-cli --report run --name=[reportname/guid] 
--output-file=x.html datafile.gnucash
                • gnucash-cli --report run --name=[reportname/guid] 
--output-file=x.html --export-type=TYPE datafile.gnucash
        • Register Column Widths
Register column widths are no longer saved per-account except for open tabs and 
even widths for open tabs will be reset after upgrading from 3.x or earlier. 
Instead widths are saved by register type group. The type groups are:

                • Currency: Ledgers that display amount in debit and credit 
columns.
                • APAR: Accounts Payable and Accounts Receivable accounts.
                • Stock: Ledgers that display amount in a single column with 
additional columns for Price and Value, the last in Debit and Credit columns.
                • Journal: Ledgers displaying transactions from multiple 
accounts where all accounts would be displayed with a Currency type ledger.
                • Portfolio: Ledgers displaying transactions from multiple 
accounts where one or more accounts would be displayed with a Stock type ledger.
                • Customer: Ledgers embedded in invoices.
                • Employee: Ledgers embedded in expense vouchers.
                • Vendor: Ledgers embedded in bills.
Two menu items are added to the Windows menu when a Register, Bill, Invoice, or 
Voucher tab has focus:

                • Use as Default Layout for this Register Group
                • Reset Default Layout for this Register Group
The first saves the currently focused register's column widths and saves them 
for use by all registers in the same type group. Note that currently open 
registers will not be affected until they are closed and reopened, and that 
open registers widths will persist through quitting and restarting GnuCash. The 
second menu item removes the customization and registers of that type group 
will therafter use the computed default widths.
        • When deleting accounts the destination accounts of moved splits will 
be checked to ensure that they have the same commodity as the source account. 
If they don't you'll get a warning and the opportunity to pick another account 
or to carry on regardless.
        • New type-ahead search added to sequential search when selecting an 
account in the register: Instead of typing the first few characters of a top 
level account, the separator, the first few characters of the next level 
account and so on you may instead type a few characters of any part of a full 
account name and the drop-list will be filtered to contain only matching 
accounts. Once you have a small enough list you can use the arrow keys to 
select the account that you want.
        • Python bindings are now localized and their strings available for 
translation.
        • A new Transaction Association dialog, available from the Update 
Association for Transaction menu item that has replaced the two association 
items in 3.x, allows setting, changing, and deleting associations.
        • Allow Associations to be added to invoices. The actual association 
when present is added as a link button which is shown below the notes.
        • A symbol is now displayed on transactions in the register when they 
have an attachment and the selected font supports the symbol.
        • The OFX file importer can now import more than one file at a time.
        • A new report menu supbmenu Multicolumn contains the old 
custom-multicolumn report and a new Dashboard report containing Account reports 
for expenses and income, an income-expense chart, and an account summary.
        • Support for UK VAT and Australian GST added to the Income-GST report. 
The reports options are changed from source accounts to source sales and 
purchase accounts to permit proper reporting of capital purchases. N.B. This is 
incompatible with previous versions of the report and will require regenerating 
saved configurations.
        • The matcher window columns are changed from R to C and from U+R to 
U+C, reflecting that the matcher marks transactions cleared but doesn't 
reconcile them. (Bug 797338)
        • OFX imports having balance information will now offer to immediately 
reconcile, passing the balance information in the file to the reconcile info.
        • Improve quickfill in the account pickers to filter the choices based 
on any part of the name.
        • The GnuCash widget hierarchy for CSS has been revised to be more 
consistent with Gtk practice. You may need to spend some time with the 
GtkInspector to get your custom CSS back the way you like it.
        • When creating a new account hierarchy it's now possible to load 
account templates from locales other than the one set for the user interface. 
(Bug 797472)
        • New Account - Online Account match list to the Import Map Editor.
        • New invalid maps dialog in the Import Map Editor. (Bug 797612)
        • Optionally include the account code option in budget view.
        • Account matcher will decline to match accounts with a different 
commodity from the imported split if the import information includes the 
commodity.
        • Ellipsize the Description and Memo fields in the account matcher.
        • Enable adding notes to budgets. (Bug 693180)
        • Support for AQBanking Version 6. This is required to support new 
FinTS protocols for the European Payment Services Directive (PSD2).
        • GnuCash 4.x will not migrate old gconf settings from GnuCash 2.4.x.
        • Reversing transactions will now pop a dialog box to request a posting 
date. (Bug 782455)
        • The Accounts page has a new optional column for the hidden property 
to make it easier to toggle it. Note that in order to see hidden accounts you 
must still enable that in the Filter by... dialog. (Bug 797486)
        • The Customer, Vendor, and Employee overviews have a process-payment 
toolbar. (Bug 797605).
        • Account codes may now optionally be displayed in the Budget Tree 
View. (Bug 797489).
New/Revised Reports

        • Income-GST
        • Owner Report

Significant Code Changes

        • The signature for qof_session_begin(), QofSession::begin(), and 
QofBackend::begin() are changed to use an enum SessionOpenMode instead of three 
booleans.
        • gnucash-bin.c has been split into 4 parts, mostly C++:
                • gnucash.cpp, the GUI executable.
                • gnucash-cli.cpp, the command-line executable.
                • gnucash-commands.cpp, implementation for the commands that 
can be run from the command-line.
                • gnucash-app-core.cpp, common code required by both the 
command line and gui programs.
                • There's also an auxiliary file, gnucash-windows-locale.c 
because the localization code proved resistant to compiling as C++. We're 
planning another auxiliary file for the MacOS localization.
        • A new mock facility for several engine classes to permit 
better-isolated unit testing of components that depend on those classes.
        • Register filter and sort values are saved in the book's state file 
(book.gcm) in the user's configdir instead of in the book.
        • QofSession no longer creates its book, instead one must create a book 
first and pass that to qof_session_new()/QofSession::QofSession().
        • Input Method handling in the register is moved to the GtkEntry where 
it belongs.
        • gnc_get_current_session() no longer creates an empty session if there 
isn't one already open.
        • The source directories have been rearranged and most of the loadable 
modules (e.g. libgncmod-engine.so) are now normal dynamic libraries 
(libgnc-engine.so), shorn of their gnc-module adapters. Make sure that you 
clean and rebuild your build directory.
        • All functions marked as deprecated in 3.x are now removed. If you 
have custom reports be sure to examine gnucash.trace for deprecation warnings 
and update your reports before trying them in GnuCash 4.0.
        • libgncmod-generic-import is now libgnc-generic-import.
        • Scheme no longer uses libgncmodule, always do (use-modules (gnucash 
foo))
        • Autocompletion improvements for the transfer-account field.
        • New test for invalid mappings for online accounts and a dialog to fix 
them.
        • jqplot is replaced by chartjs.
        • Separate most Guile binding code from the code that it wraps. It's 
now located in bindings/guile.
        • Improve Google test integration in cmake. CMake now requires only 
GTEST_ROOT and only when cmake isn't able to find Google test without help.
        • Unit tests for Scheme code with SRFI64.
Deprecations (will be removed in GnuCash 5.0

        • gnc:substring-replace-from-to
Known Problems

Complete list of all open bugs.

.
Documentation

Concurrent with the release of GnuCash 4.0 we're pleased to also release a new 
version of the companion Help and Tutorial and Concepts Guide

Getting GnuCash for Windows and MacOS

GnuCash is provided for both Microsoft Windows 8.1® and later and MacOS 10.13 
(High Sierra)® and later in pre-built, all-in-one packages. An installer is 
provided for Microsoft Windows® while the MacOS® package is a disk image 
containing a drag-and-drop application bundle.

The SHA256 Hashes for the downloadable files are:

        • aa523c4f1721b19ff51ac534c049644f175e3c3c01139555eb3d9cfa50949bb7  
gnucash-4.0.tar.bz2
        • 956da4f9e0301f02291d0b840c2ef2027c5b65a03bd42cf8df966d2407eb5330  
gnucash-4.0.tar.gz
        • 66dae273935f57714ee36e0b761f00f63f3802598752b9cc02b568a0a07d2032  
gnucash-4.0.setup.exe
        • f49fbcca3766104d7dcf5ef6d65bf9b6deceee3afc9f472c64cfc62e67b32e22  
Gnucash-Intel-4.0-1.dmg
        • 519f4e83d964be92b0cfcda93b8322eb38d3e3626e52070505c4a28b65302ce0  
gnucash-docs-4.0.tar.gz

Windows:
https://github.com/Gnucash/gnucash/releases/download/4.0/gnucash-4.0.setup.exe  
 
https://downloads.sourceforge.net/gnucash/gnucash%20%28stable%29/gnucash-4.0.setup.exe

MacOS:
https://github.com/Gnucash/gnucash/releases/download/4.0/Gnucash-Intel-4.0-1.dmg
https://downloads.sourceforge.net/gnucash/gnucash%20%28stable%29/Gnucash-Intel-4.0-1.dmg

GnuCash is now available as a flatpak from Flathub.org. Instructions for 
installing and running.

Getting GnuCash as source code
If you want to compile GnuCash 4.0 for yourself, the source code can be 
downloaded from:
https://github.com/Gnucash/gnucash/releases/download/4.0/gnucash-4.0.tar.bz2
https://github.com/Gnucash/gnucash/releases/download/4.0/gnucash-4.0.tar.gz
https://downloads.sourceforge.net/gnucash/gnucash%20%28stable%29/gnucash-4.0.tar.bz2
https://downloads.sourceforge.net/gnucash/gnucash%20%28stable%29/gnucash-4.0.tar.gz

You can also checkout the sources directly from the git repository, see
https://wiki.gnucash.org/wiki/Git for instructions.

To compile GnuCash from the source code by yourself, you will need at least 
Gtk+ 3.22.29, Guile 2.0, Boost 1.67, WebKitGtk 2.4, GoogleTest 1.8.0, cmake 
3.10 and SWIG 2.0.12 if compiling from git. Please consult the 
README.dependencies file in the sources for the exact list of dependencies and 
versions.

Getting the documentation

If you want to compile the GnuCash Documentation 4.0 for yourself, the source 
code can be downloaded from:
https://github.com/Gnucash/gnucash/releases/download/4.0/gnucash-docs-4.0.tar.gz
https://downloads.sourceforge.net/gnucash/gnucash%20%28stable%29/gnucash-docs-4.0-1.tar.gz

Note that the documentation for stable releases is not on the GnuCash website. 
It is built daily and may be found on the development server under the locale 
directory; "C" is English, "de" is German, and so on.

The documentation is included in the MacOS and Windows application bundles.
About the Program

GnuCash is a free, open source accounting program released under the GNU 
General Public License (GPL) and available for GNU/Linux, *BSD, Solaris, MacOS, 
and Microsoft Windows. Programming on GnuCash began in 1997, and its first 
stable release was in 1998.
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