product and support – and
LOVE the product
Thanks for all the hard work from all of y’all
From: David Carlson
Sent: Sunday, June 12, 2022 4:12 PM
To: Top Cat
Cc: Gyle McCollam ; Gnucash Users
Subject: Re: [GNC] questions on 4.1
TopCat,
Sorry for my seemingly dismissive reply earlier
, and I am required to reconcile both sides
separately
From: Top Cat
Sent: Sunday, June 12, 2022 12:47 PM
To: 'gnucash-user@gnucash.org'
Subject: RE: [GNC] questions on 4.1
To clarify the situation I am having issues with:
* I have Account A
* I have two Subaccounts u
quot; transfer) it still
requires clearing both sides
It's not killing me; I just don't understand why it used to work and does
not now
From: Top Cat
Sent: Sunday, June 12, 2022 11:18 AM
To: 'Gyle McCollam' ; 'Top Cat' ;
'gnucash-user@gnucash.org'
Su
0:38 AM
To: Top Cat ; gnucash-user@gnucash.org
Subject: Re: [GNC] questions on 4.1
I only initially responded to the 1st question you raised. However, as for
the 2nd question, I feel, that the software is operating correctly. When
you are reconciling an account, say Bank A, you are reconciling
I have been using gnucash since 2.x with a MySQL database
I recently build a new machine and updated to 4.1, and have run into several
issues
1. On the accounts page, I can no longer show the account numbers, or
sort by them
2. On reconciliations, paired transactions (like transfers