turn on auto numbering of transactions?
Regards
John C Simpson
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Please
Try clicking on the leftmost "Accounts" tab and then select "View >
Refresh" from the menu bar.
If that doesn't work, select "View > Filter by > Other" and put a check
mark in the boxes for "show hidden accounts" and "show zero total accounts".
On 4/14/2019 4:16 PM, wendiallen via gnucash-us
Please tell the reader the default file format right after installation.
regards,
John
On 8/16/2018 5:06 PM, Adrien Monteleone wrote:
Looks good to me.
Regards,
Adrien
On Aug 16, 2018, at 3:00 PM, David T. via gnucash-user
wrote:
I’ve attempted to incorporate the suggestions that others h
Assuming you're transferring shares from one brokerage account to
another, I found it best to enter the shares and their original purchase
dates in the destination stock account and the cash used for the
purchase comes from Equity: Opening Balances. This way maintains the
lot purchase dates an
How can I use Guile in an interactive window outside of Gnucash?
I'm using Windoze 10 and Gnucash 2.6.17
I want refresh my scheme programming knowledge with small experimental code.
John C
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Gnucash v2.6.17 on Windows 10 doesn't handle Return-of-Capital
transactions on a lot-by-lot basis. I'm not sure about v3.0.
The total basis can be reduced in a transaction but the gains/losses
won't be calculated correctly.
On 4/14/2018 1:14 PM, Alton Brantley wrote:
I am trying to deal with
If you're talking about the Advanced Portfolio report, try this:
Select Reports->Assets & Liabilities->Advanced Portfolio from the menu bar,
after the report appears, select Options from the menu icons,
in the window that pops up, select the 'Accounts' tab,
click the 'Reset Defaults' button,
You can use the Edit->Find menu item to search for entries by their
reconcile status.
It might help you find an accidentally-inserted transaction.
On 3/22/2018 8:43 AM, Colin Law wrote:
On 21 March 2018 at 19:22, darrylctx wrote:
I am trying to reconcile a Bank account.
Everything has been