Re: [GNC] editing reconciled transactions changes reconcile status

2019-01-07 Thread Liz
I was going to say "irrelevant, I have all warnings set"
but on checking I find that "change contents of reconciled split" was
unset.

However, there is no sane reason for changing the Payee or description
of a reconciled split and unreconciling the transaction. 
Yes, it is an Asset account.

Liz
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Re: [GNC] editing reconciled transactions changes reconcile status

2019-01-07 Thread Christopher Lam
https://bugs.gnucash.org/show_bug.cgi?id=771667

On Tue., 8 Jan. 2019, 13:01 Adrien Monteleone <
adrien.montele...@lusfiber.net wrote:

> If I read Liz’s latest reply correctly, the issue is with an asset
> account. (bank)
>
> The status changed when she changed the description.
>
> The status did not change when she changed the debit split to a different
> expense account.
>
> So GnuCash seems to care if you change who the money was paid to, but not
> why.
>
> As the reconciliation is of the asset account (based on how much you paid
> to whom and when, the why being immaterial to the balance) this is probably
> acceptable behavior.
>
> I would suppose the payee is also immaterial to the balance. I recall long
> ago reconciling check#s, dates and amounts. The bank rarely had the payee
> listed on my statement for all checks.
>
> I should think then the only things that should unset the flag are
> changing:
>
> Date
> Amount (for the split(s) for *this* account)
> NUM (maybe)
>
> Everything else can be changed without altering the balance as of the
> reconciliation date.
>
> Regards,
> Adrien
>
> > On Jan 7, 2019, at 6:14 PM, David Carlson 
> wrote:
> >
> > I wonder if GnuCash follows exactly the same rules for income and expense
> > accounts that it does for asset and liability accounts.  I know that I
> > never bother with reconciling income or expense accounts.
> >
> > David C
> >
> > On Mon, Jan 7, 2019 at 5:22 PM Liz  wrote:
> >
> >> On Sun, 6 Jan 2019 07:34:35 -0800
> >> John Ralls  wrote:
> >>
> >>> If you edit reconciled transactions GnuCash marks them unreconciled.
> >>> The warning dialog told you that it would.
> >>>
> >>> I don’t see any crashes in the open bugs for the QIF importer, so if
> >>> the crash was with GnuCash 3.4 please do file a bug report.
> >>
> >> This morning I have Gnucash 3.4+ (2018-12-30) from Debian Sid.
> >>
> >> I edited the Description of a Reconciled transaction and it became
> >> unreconciled.
> >> I did this from the relevant (bank) account.
> >>
> >> From the same account I edited the transfer account (from one expense
> >> to another) and the reconcilation status did not change.
> >>
> >> I checked that re-reconciling the account would have the correct effect
> >> - it was simply the transaction status which was changed.
> >>
> >> Liz
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[GNC] Crash at Scheduled Mortgage and Loan Repayment setup

2019-01-07 Thread Mike Commissaris
New release install of 3.4 under Windows 10, obtained by following
recent link in this forum. To set up a scheduled mortgage payment -
entered amounts, interest, accounts, loan length, remaining etc,  I
progress as far as loan repayment in the setup and click OK. GNU seems
to be calculating results then it crashes/quits.

gnucash.trace shows:
* 17:54:26  WARN  Could not spawn perl: Failed to
execute child process (No such file or directory)

Did not think that Perl would be required for a Windows program, but
installed Strawberry Perl anyway and retried.

gnucash.trace then output:
* 20:58:06  WARN  Could not kill child process: Access
is denied.

Looks to me like something other than lack of Perl is going on. Any help?
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Re: [GNC] Deb 3.4.0.1 not working for me in ubuntu 18.04

2019-01-07 Thread Adrien Monteleone
> On Jan 7, 2019, at 5:41 PM, DaveW  wrote: 
> 
> Thank you Stephen and Colin,
> 
> I am going around and around.  I am a little confused as to whether the
> instructions in the above thread apply to 18.04 or 18.10??
> Nevertheless, I followed the commands line by line,  (Although I
> note that when it gets to the: "libboost-locale1.65.1
> libboost-regex1.65.1" line it say it does not recognise the command.)
> However, I always land up where I started.  I should note here that
> Synaptic sees the 3.4 version but it's greyed out and there is an !
> mark.

18.04, I’ve tested them on 18.10, but there is a larger dependency mess.


> 
> Here's some additional information which may point to my dilemma:-
> 
> I have available in my Software Centre 2 versions of Gnucash: 
>   1. ver 1.2.6.19-1.
>   2. ver Version: 3.2 Build ID: 3.2+ (2018-06-24).  I notice that
>   the source is dl.flathub.org.  Futhermore, I discover, in my
>   frenzy, that Synaptic does not see this version - even though
>   it is installed?  So I guess "flathub" is outside the Ubuntu
>   relm? It seems to work okay, although I have not thoroughly
>   tested it.
> I discover that I can install each of the above versions and they can
> run independently.

Flatpaks are installed via a separate system. See here: 
https://flatpak.org/setup/Ubuntu/

You can then search for and install via flathub.org, or cli with ‘flatpak 
install’

If I recall correctly, one of the devs now officially maintains the flatpak of 
GnuCash. Unfortunately, flathub.org does not say which version is available, 
though I’d suspect the cli search feature to report it correctly.


> 
> All of that said, I simply want to install the latest version and keep
> the system and myself happy.

For that I’ve always built from source, but that was before the flatpak and now 
this .deb file were available.

Regards,
Adrien

> 
> Dave W
> 
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Re: [GNC] editing reconciled transactions changes reconcile status

2019-01-07 Thread Adrien Monteleone
If I read Liz’s latest reply correctly, the issue is with an asset account. 
(bank)

The status changed when she changed the description.

The status did not change when she changed the debit split to a different 
expense account.

So GnuCash seems to care if you change who the money was paid to, but not why.

As the reconciliation is of the asset account (based on how much you paid to 
whom and when, the why being immaterial to the balance) this is probably 
acceptable behavior.

I would suppose the payee is also immaterial to the balance. I recall long ago 
reconciling check#s, dates and amounts. The bank rarely had the payee listed on 
my statement for all checks.

I should think then the only things that should unset the flag are changing:

Date
Amount (for the split(s) for *this* account)
NUM (maybe)

Everything else can be changed without altering the balance as of the 
reconciliation date.

Regards,
Adrien

> On Jan 7, 2019, at 6:14 PM, David Carlson  wrote:
> 
> I wonder if GnuCash follows exactly the same rules for income and expense
> accounts that it does for asset and liability accounts.  I know that I
> never bother with reconciling income or expense accounts.
> 
> David C
> 
> On Mon, Jan 7, 2019 at 5:22 PM Liz  wrote:
> 
>> On Sun, 6 Jan 2019 07:34:35 -0800
>> John Ralls  wrote:
>> 
>>> If you edit reconciled transactions GnuCash marks them unreconciled.
>>> The warning dialog told you that it would.
>>> 
>>> I don’t see any crashes in the open bugs for the QIF importer, so if
>>> the crash was with GnuCash 3.4 please do file a bug report.
>> 
>> This morning I have Gnucash 3.4+ (2018-12-30) from Debian Sid.
>> 
>> I edited the Description of a Reconciled transaction and it became
>> unreconciled.
>> I did this from the relevant (bank) account.
>> 
>> From the same account I edited the transfer account (from one expense
>> to another) and the reconcilation status did not change.
>> 
>> I checked that re-reconciling the account would have the correct effect
>> - it was simply the transaction status which was changed.
>> 
>> Liz
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Re: [GNC] Loan Mortgage repayment assistant problem

2019-01-07 Thread John Ralls


> On Jan 7, 2019, at 3:14 PM, David Carlson  wrote:
> 
> I just had a scheduled transaction that was set up by the loan/mortgage
> repayment assistant appear with 0.01 Imbalance-USD.
> 
> I would think that GnuCash should have an accuracy method that would
> prevent this from happening.  Is this a bug?
> 
> I am using GnuCash 2.6.17 in Ubuntu 16.04 today.

The accuracy method is what created the imbalance entry. ;-)

There’s nothing in the SX system to pre-instantiate future scheduled 
transactions and ensure that they’re balanced. What would you have the check 
function do if it found an imbalanced case? How would you handle variables 
whose values are set by the user in the SLR dialog?

Regards,
John Ralls

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Re: [GNC] editing reconciled transactions changes reconcile status

2019-01-07 Thread David Cousens
David

It should and as far as I know it does .There are no account type specific
rules for a reconciliation that I am aware of other than the meaning
associated with debits and credits re increases and decreases in the account
balance. 

I.e., if the account is a debit balance account 

( Assets and Expense) 
Closing Balance= Opening Balance + Debits - Credits

or a credit balance account ( Liabilities, Equity or Income)
Closing Balance  = Opening Balance + Credits -Debits

I have reconciled both Asset and Liability accounts and an Income account
where I had an external statement. The main criteria is having a statement
against which you can reconcile it.

David Cousens



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--
Sent from: http://gnucash.1415818.n4.nabble.com/GnuCash-User-f1415819.html
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Re: [GNC] ERROR MESSAGE - NO SUITABLE BACKEND FOUND

2019-01-07 Thread David Carlson
Tom,

Be sure to direct your messages to the Gnucash user list.  Usually reply
all works, but sometimes you need to manually add the address from the
footer of the message.

I am not sure how to help you myself, but others will be able to help after
they know which version of Gnucash you upgraded from, ie the last version
that actually worked.

David C

On Mon, Jan 7, 2019, 6:38 PM Tom Murphy  I opened an earlier file OK, I’ll just have to re-enter the latest
> transactions.
>
> I am not sure how the data is stored, in what format, I always thought it
> was Excel, But I really don’t know.
>
> I am using Windows 10, home.
>
>
>
> Thx Tom.
>
>
>
> *From:* David Carlson [mailto:david.carlson@gmail.com]
> *Sent:* Monday, January 7, 2019 3:01 PM
> *To:* Tom Murphy
> *Cc:* Gnucash Users
> *Subject:* Re: [GNC] ERROR MESSAGE - NO SUITABLE BACKEND FOUND
>
>
>
> That normally means that your data is in a database format but GnuCash
> does not have the correct tools to open it.  This can happen after an
> update.
>
>
>
> Alas, I do not use a database format but I do know that there are
> differences depending on which operating system you are using.  Let us know
> which OS you are using.
>
>
>
> David C
>
>
>
> On Mon, Jan 7, 2019 at 4:52 PM Tom Murphy  wrote:
>
> After updating to version 3.4 my file won't open and I get an error message
> "no suitable backed was found for my account"
>
>
>
> I don't know what this means and help is non-existent.
>
>
>
> Does anyone know what this means?
>
>
>
>
>
> Tom Murphy
>
> NT Designs
>
> tommurp...@gmail.com
>
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Re: [GNC] ERROR MESSAGE - NO SUITABLE BACKEND FOUND

2019-01-07 Thread David Carlson
Tom,

What version of GnuCash did you update from?

David C

On Mon, Jan 7, 2019, 6:30 PM Tom Murphy  I am using Windows 10 with the latest updates installed.  In the
> instructions it says the file is saved automatically so I am using whatever
> the default is.
>
> -Original Message-
> From: gnucash-user
> [mailto:gnucash-user-bounces+tommurph52=gmail@gnucash.org] On Behalf
> Of
> Liz
> Sent: Monday, January 7, 2019 3:04 PM
> To: gnucash-user@gnucash.org
> Subject: Re: [GNC] ERROR MESSAGE - NO SUITABLE BACKEND FOUND
>
> On Mon, 7 Jan 2019 14:49:58 -0800
> "Tom Murphy"  wrote:
>
> > After updating to version 3.4 my file won't open and I get an error
> > message "no suitable backed was found for my account"
> >
> >
> >
> > I don't know what this means and help is non-existent.
> >
> >
> >
> > Does anyone know what this means?
> >
> >
>
> Yes
>
>
> What OS are you using?
> Did you save your file as sqlite / mysql ?
>
> Liz
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Re: [GNC] ERROR MESSAGE - NO SUITABLE BACKEND FOUND

2019-01-07 Thread Tom Murphy
I am using Windows 10 with the latest updates installed.  In the
instructions it says the file is saved automatically so I am using whatever
the default is.

-Original Message-
From: gnucash-user
[mailto:gnucash-user-bounces+tommurph52=gmail@gnucash.org] On Behalf Of
Liz
Sent: Monday, January 7, 2019 3:04 PM
To: gnucash-user@gnucash.org
Subject: Re: [GNC] ERROR MESSAGE - NO SUITABLE BACKEND FOUND

On Mon, 7 Jan 2019 14:49:58 -0800
"Tom Murphy"  wrote:

> After updating to version 3.4 my file won't open and I get an error
> message "no suitable backed was found for my account"
> 
>  
> 
> I don't know what this means and help is non-existent.
> 
>  
> 
> Does anyone know what this means?
> 
>  

Yes


What OS are you using?
Did you save your file as sqlite / mysql ?

Liz
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Re: [GNC] editing reconciled transactions changes reconcile status

2019-01-07 Thread David Carlson
I wonder if GnuCash follows exactly the same rules for income and expense
accounts that it does for asset and liability accounts.  I know that I
never bother with reconciling income or expense accounts.

David C

On Mon, Jan 7, 2019 at 5:22 PM Liz  wrote:

> On Sun, 6 Jan 2019 07:34:35 -0800
> John Ralls  wrote:
>
> > If you edit reconciled transactions GnuCash marks them unreconciled.
> > The warning dialog told you that it would.
> >
> > I don’t see any crashes in the open bugs for the QIF importer, so if
> > the crash was with GnuCash 3.4 please do file a bug report.
>
> This morning I have Gnucash 3.4+ (2018-12-30) from Debian Sid.
>
> I edited the Description of a Reconciled transaction and it became
> unreconciled.
> I did this from the relevant (bank) account.
>
> From the same account I edited the transfer account (from one expense
> to another) and the reconcilation status did not change.
>
> I checked that re-reconciling the account would have the correct effect
> - it was simply the transaction status which was changed.
>
> Liz
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Re: [GNC] Deb 3.4.0.1 not working for me in ubuntu 18.04

2019-01-07 Thread DaveW
On Mon, 7 Jan 2019 07:31:47 +
Colin Law  wrote:

> Just to clarify a bit, after installing you have to tell the update
> manager not to replace it with the original version again, as
> described in that thread,
> 
> Colin
> 
> On Mon, 7 Jan 2019 at 00:04, Stephen M. Butler  wrote:
> >
> > On 1/6/19 3:40 PM, DaveW wrote:  
> > > Ubuntu 18.04.  I am hoping to upgrade from GNC 3.2 to 3.4.
> > >
> > > The 3.4.0.1 Deb recently announced bombs out.
> > > That is to say it appears to be installing via the Software
> > > Centre. >> Gets 100% installed. >> Offers to "Launch"(or "Remove")
> > > Press "Launch" and it generates a "New Software Available"
> > > message.
> > > Software Updater shows Gnucash available.  When run it loads
> > > version 2.16.x Gnucash.
> > >
> > > Need some guidance please.
> > >
> > > Dave W  
> >
> >
> > This thread
> > https://lists.gnucash.org/pipermail/gnucash-user/2019-January/081700.html
> >
> >  
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> > --
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> > stephen.m.butle...@gmail.com
> > kg...@arrl.net
> > 253-350-0166
> > ---
> > GnuPG Fingerprint:  8A25 9726 D439 758D D846 E5D4 282A 5477 0385
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Thank you Stephen and Colin,

I am going around and around.  I am a little confused as to whether the
instructions in the above thread apply to 18.04 or 18.10??
Nevertheless, I followed the commands line by line,  (Although I
note that when it gets to the: "libboost-locale1.65.1
libboost-regex1.65.1" line it say it does not recognise the command.)
However, I always land up where I started.  I should note here that
Synaptic sees the 3.4 version but it's greyed out and there is an !
mark.

Here's some additional information which may point to my dilemma:-

I have available in my Software Centre 2 versions of Gnucash: 
1. ver 1.2.6.19-1.
2. ver Version: 3.2 Build ID: 3.2+ (2018-06-24).  I notice that
the source is dl.flathub.org.  Futhermore, I discover, in my
frenzy, that Synaptic does not see this version - even though
it is installed?  So I guess "flathub" is outside the Ubuntu
relm? It seems to work okay, although I have not thoroughly
tested it.
I discover that I can install each of the above versions and they can
run independently.

All of that said, I simply want to install the latest version and keep
the system and myself happy.

Dave W

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Re: [GNC] editing reconciled transactions changes reconcile status

2019-01-07 Thread Liz
On Sun, 6 Jan 2019 07:34:35 -0800
John Ralls  wrote:

> If you edit reconciled transactions GnuCash marks them unreconciled.
> The warning dialog told you that it would.
> 
> I don’t see any crashes in the open bugs for the QIF importer, so if
> the crash was with GnuCash 3.4 please do file a bug report.

This morning I have Gnucash 3.4+ (2018-12-30) from Debian Sid.

I edited the Description of a Reconciled transaction and it became
unreconciled.
I did this from the relevant (bank) account.

From the same account I edited the transfer account (from one expense
to another) and the reconcilation status did not change.

I checked that re-reconciling the account would have the correct effect
- it was simply the transaction status which was changed.

Liz
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[GNC] Loan Mortgage repayment assistant problem

2019-01-07 Thread David Carlson
I just had a scheduled transaction that was set up by the loan/mortgage
repayment assistant appear with 0.01 Imbalance-USD.

I would think that GnuCash should have an accuracy method that would
prevent this from happening.  Is this a bug?

I am using GnuCash 2.6.17 in Ubuntu 16.04 today.

David C
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Re: [GNC] ERROR MESSAGE - NO SUITABLE BACKEND FOUND

2019-01-07 Thread Liz
On Mon, 7 Jan 2019 14:49:58 -0800
"Tom Murphy"  wrote:

> After updating to version 3.4 my file won't open and I get an error
> message "no suitable backed was found for my account"
> 
>  
> 
> I don't know what this means and help is non-existent.
> 
>  
> 
> Does anyone know what this means?
> 
>  

Yes


What OS are you using?
Did you save your file as sqlite / mysql ?

Liz
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[GNC] AlphaVantage

2019-01-07 Thread Les
Over the weekend, I upgraded Linux Mint from 18.2 to 19.1.  With the 
upgrade, GC upgraded from 2.6.17 to 2.6.21.


After updating prices, I no longer was obtaining any quotes for 
currencies.  If I remember correctly, currencies are being served by 
AlphaVantage.  I guess that the configuration of AlphaVantage did not 
follow the upgrade.


Questions:  Does GC 2.6.21 have a location in the Preferences or is that 
only for the 3.0 version?


If I need to configure AlphaVantage manually, can someone point me to 
the instructions for this?


Thanks,

Les


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Re: [GNC] ERROR MESSAGE - NO SUITABLE BACKEND FOUND

2019-01-07 Thread David Carlson
That normally means that your data is in a database format but GnuCash does
not have the correct tools to open it.  This can happen after an update.

Alas, I do not use a database format but I do know that there are
differences depending on which operating system you are using.  Let us know
which OS you are using.

David C

On Mon, Jan 7, 2019 at 4:52 PM Tom Murphy  wrote:

> After updating to version 3.4 my file won't open and I get an error message
> "no suitable backed was found for my account"
>
>
>
> I don't know what this means and help is non-existent.
>
>
>
> Does anyone know what this means?
>
>
>
>
>
> Tom Murphy
>
> NT Designs
>
> tommurp...@gmail.com
>
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[GNC] ERROR MESSAGE - NO SUITABLE BACKEND FOUND

2019-01-07 Thread Tom Murphy
After updating to version 3.4 my file won't open and I get an error message
"no suitable backed was found for my account"

 

I don't know what this means and help is non-existent.

 

Does anyone know what this means?

 

 

Tom Murphy

NT Designs

tommurp...@gmail.com

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Re: [GNC] Does CSV importer work with foreign currencies?

2019-01-07 Thread David Cousens
John,

I've had a bit of a break from looking at that in detail over Christmas-New
Year. I started a systematic examination of the importer multiline
functionality functionality but did not look at foreign currency
transactions. I will continue that next week once visitors depart and try
and get a detailed report together.  I'll add any comment to existing bugs
and raise any new ones from that then maybe have a look at how to fix them.

David Cousens



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Re: [GNC] Does CSV importer work with foreign currencies?

2019-01-07 Thread boldstripe
I have added my report to the bug report about the single line CSV issue
(above).

Converting my CSV files to a two-line format is probably more than I can do,
but I will look at it.

My workaround for now is to pre-convert the currency to my base currency in
a spreadsheet program, adding an extra column for 'Deposit-base_currency'
where I multiply by the exchange rate. After importing on this new column, I
get a base-currency version of the foreign account in GnuCash and can
compile the expense reports I need. But this is inelegant and cannot easily
be checked against the bank statements in the foreign currency.



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Re: [GNC] Does CSV importer work with foreign currencies?

2019-01-07 Thread John Ralls



> On Jan 7, 2019, at 9:17 AM, boldstripe  wrote:
> 
> Is it me, or does the CSV importer fail to import a foreign-currency
> transaction file to a foreign-currency bank account with the exchange-rate
> conversion properly respected? 
> 
> Multiple currency accounting works for manual entries, but imports from CSVs
> show the same (ie unconverted) number on both the foreign and base currency
> sides of the transaction.
> 
> A thread here addresses the issue, but I am not sure I understand the
> conclusion:
> http://gnucash.1415818.n4.nabble.com/GNC-Import-CSV-Multi-currency-td4705312.html

The conclusion, detailed by David Cousens and confirmed by Geert, is that 
cross-currency CSV transfers are broken if you try to use a single line per 
transaction. It wasn't really detailed, but it might be possible to create 
multi-line transactions that import correctly because in that case one can 
specify a different amount for each split.

Regards,
John Ralls

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[GNC] Counter formats not saving

2019-01-07 Thread gnucash . dgr9z
I am using Gnucash 3.4 on OSX 10.14.2.

I am creating a new book and trying to set up the invoice counter to use 
I-%05li as the format. 

If I add this definition, click Apply and switch to another tab and back, the 
new format appears as it should in the Invoice Number Format text field.

But if I click OK and then reopen the Preferences dialog, the field is cleared. 
Saving the file after clicking Apply but before closing the dialog makes no 
difference. The format string disappears. 

None of the other counter formats (vendor, bill, order, employee etc) save 
either.

Any suggestions on how to get this working are greatly appreciated.

Thanks,
Ron
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Re: [GNC] Does CSV importer work with foreign currencies?

2019-01-07 Thread John Ralls



> On Jan 7, 2019, at 9:43 AM, boldstripe  wrote:
> 
> And is my problem the same as this Bug 796955 already reported?
> https://bugs.gnucash.org/show_bug.cgi?id=796955

I think so.

Regards,
John Ralls

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[GNC] Counter formats not saving

2019-01-07 Thread Ron Stone
I am using Gnucash 3.4 on OSX 10.14.2.

I am creating a new book and trying to set up the invoice counter to use 
I-%05li as the format. 

If I click Apply and switch to another tab and back, the new format appears as 
it should in the Invoice Number Format text field.

But if I click OK, the field is cleared. Saving the file after clicking OK 
makes no difference. The format string disappears. 

None of the other formats (vendor, bill, order, employee etc) save either.

Any suggestions on how to get this working are greatly appreciated.

Thanks,
Ron
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[GNC] reconcile - remembering the proper account for interest

2019-01-07 Thread Paul Kinzelman

I posted this a month or 2 ago, didn't see any response, my apologies
if somebody responded.
I'm now using 3.4 Build ID: 3.4+ (2018-12-30)

When I reconcile an interest-bearing bank account, the interest
window pops up, but it doesn't remember the account to which
i posted the interest the previous month.

The Payment From and the Reconcile Account accounts are both
the same so every month I have to change to the income account
for the interest.

Is there a way to get GC to remember this info? I seem to recall
that occasionally it does the right thing (remembers the account
from last month) but usually doesn't. This happened with 3.3
as well.

Thanks!

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Re: [GNC] Maybe a bug? Alt-Tab losing partial focus.

2019-01-07 Thread Adrien Monteleone
I’m pretty sure it was included in 3.4 that was released at the end of December.

Regards,
Adrien

> On Jan 7, 2019, at 11:24 AM, Jack Slater  wrote:
> 
> Any news on this fix?
> 
> On Wed, Nov 28, 2018 at 2:07 PM Adrien Monteleone 
>  wrote:
> There is at least one bug filed on text selection issues. I’m not sure if 
> this is part of the same problem.
> 
> Regards,
> Adrien
> 
> > On Nov 28, 2018, at 12:08 PM, Jack Slater  wrote:
> > 
> > Windows 10
> > GnuCash 3.3
> > 
> > If cursor focus is on the numeric total in the CHARGE field (Example: the
> > entire 15.22 is highlighted) and I Alt-Tab to a web browser to verify the
> > amount from an invoice and then Alt-Tab back, only the .22 of field hold
> > the focus.
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Re: [GNC] Does CSV importer work with foreign currencies?

2019-01-07 Thread boldstripe
And is my problem the same as this Bug 796955 already reported?
https://bugs.gnucash.org/show_bug.cgi?id=796955



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Re: [GNC] Maybe a bug? Alt-Tab losing partial focus.

2019-01-07 Thread Jack Slater
Any news on this fix?

On Wed, Nov 28, 2018 at 2:07 PM Adrien Monteleone <
adrien.montele...@lusfiber.net> wrote:

> There is at least one bug filed on text selection issues. I’m not sure if
> this is part of the same problem.
>
> Regards,
> Adrien
>
> > On Nov 28, 2018, at 12:08 PM, Jack Slater 
> wrote:
> >
> > Windows 10
> > GnuCash 3.3
> >
> > If cursor focus is on the numeric total in the CHARGE field (Example: the
> > entire 15.22 is highlighted) and I Alt-Tab to a web browser to verify the
> > amount from an invoice and then Alt-Tab back, only the .22 of field hold
> > the focus.
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[GNC] Does CSV importer work with foreign currencies?

2019-01-07 Thread boldstripe
Is it me, or does the CSV importer fail to import a foreign-currency
transaction file to a foreign-currency bank account with the exchange-rate
conversion properly respected? 

Multiple currency accounting works for manual entries, but imports from CSVs
show the same (ie unconverted) number on both the foreign and base currency
sides of the transaction.

A thread here addresses the issue, but I am not sure I understand the
conclusion:
http://gnucash.1415818.n4.nabble.com/GNC-Import-CSV-Multi-currency-td4705312.html



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Re: [GNC] Reconciliation Report -- Can't find transactions

2019-01-07 Thread David Cousens
Just helps me make sure I put things in the right account type



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Re: [GNC] GNU generated report in HTML to XL

2019-01-07 Thread Finbar Mahon
I did post that  it worked for me by doing a copy and paste of the 
original exported report but not copying the title!


On 06/01/2019 16:55, Geert Janssens wrote:

On Thursday, January 3, 2019 5:33:06 PM CET David Carlson wrote:

I was able to run a quick test using release 2.6.17 in Ubuntu 16.04 and
found that first, when I tried to save a P&L report in HTML format GnuCash
did not append a .html suffix.  In Linux this did not create a problem, but
Windows did not recognize the file as html.  Appending ".html" to the
filename solved that problem.

Once I had appended ".html" to the filename I could open it in Firefox or
whichever browser and I could get a nice printout directly or select all
[ctrl-A, ctrl-C] and paste [ctrl-V] into a waiting new LibreOffice 6.0.7.3
Calc doc in WIN 7.


It should even be possible to  copy and paste directly from gnucash to
libreoffice as far as I know. The detour via firefox or similar is not needed.
That's only needed for a printout that's not cutting lines in half.

Geert


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Re: [GNC] Reconciliation Report -- Can't find transactions

2019-01-07 Thread Finbar Mahon

Wow, very comprehensive, love the colour scheme ;-)

On 06/01/2019 23:17, David Cousens wrote:

Steve,

The attached screenshot shows what I get and the Report Options setting I
used. Have you tried saving, closing GnuCash and Opening again? (I have
closed and reopened Gnucash since putting that data in 2 days ago).

screen_20180107.jpg


David



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David Cousens
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