Using 5.5 built from bz2 file on debian and freebsd. Scheduled transactions
since last run. Three transactions with reminder label. Select compose for
transaction #2. Transaction #1 switches to compose, transaction #2 stays
reminder. Quit gnucash-5.5. Start gnucash-5.4. Works as expected
Just as an update, I tried a gnucash-5.5 package on arch. Trying to change
from reminder to to-create has no effect; stays reminder. Same computer, same
database, but different install. Mike
On Monday, December 25, 2023 at 10:52:57 AM PST, mjchurchil--- via
gnucash-user wrote
Is there a work around for this other than csv download?
| | Virus-free.www.avast.com |
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Thanks John didn't see that one. Also, thanks to the whole team for a great
application. Mike
Sent from AOL on Android
On Wed, Dec 27, 2023 at 6:48 PM, john wrote:
On Dec 25, 2023, at 11:07, mjchurchil--- via gnucash-user
wrote:
Just as an update, I tried a gnucash-5.5 packa
Dec 28, 2023 14:28:59 Eric Hammond :
> I would very much appreciate if you would show somehow how much of this email
> you would like included in my replies?
Only the part you're replying to.
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Hi,
I am looking for details of the GnuCash log file structure. In
particular, I see that some entries begin with a "C" and others begin
with a "B". What does that mean.
I also see entries in the log file that do not appear in the data file.
I think that they might have be
Hi,
My GnuCash data file somehow got corrupted and I cannot open it. I have
found earlier data file from a certain date that I can open I am trying
to use the log files to discover which entries were made into GnuCash
after the date of the data file that I can use. Most of the log fiel I
have
Yes. These topics are all covered in the documentation and the wiki.
David T.
On Jan 7, 2024, 4:50 AM, at 4:50 AM, barry milliken
wrote:
>I've been frustrated using Quicken for years. Maybe GNUcash will do
>what I want.
>
>My list of functions is small:
>I use
y, it may be that some note on the wiki
advising of that GnuCash interpretation *might* be in order.
David T.
On Jan 8, 2024, 5:21 AM, at 5:21 AM, Geoff wrote:
>Wikipedia has a confusing explanation here:
>
>When editing the QIF file, check for any transaction Category (the
>fiel
For the record, the US tax features in GnuCash function by assigning accounts
to specific tax lines, much like your approach.
It's helpful insofar as it guides your accounting decisions (what types of
entries I need to track for tax purposes, etc.), but it doesn't make your
decisio
this
>list,
>> I definitely see some repeated questions, including this end-of-year
>> question that I created, and therefore may have errors in it.
>>
>> ---
>> Question: "How do I start a new year in GnuCash?" Alternatively, "How
>do I
>> close out the old year
e the
rounding:
Assets:Bank1:Checking €
Income:Salary
Expenses:Taxes:State €
Expenses:Taxes:Regional €
Expenses:Taxes:Municipal €
Expenses:Taxes:Social Security €
Assets:Bank1:Checking
Thank you,
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To update
--> 1501€ (amount credited to my bank account)
2nd Month
Gross Pay = €1800.30
Taxes = €300
1st Month Rounding = €0.50
Netpay = 1499.80 --> 1500€ (amount credited to my bank account)
Thank you
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ot;, and transfer into and out of that each cycle. HTH, Maf. On
> Saturday, 27 January 2024 08:17:03 GMT Oleander via gnucash-user wrote: >
> Hello everyone, > > how do you record the rounding of your netpay? > > After
> subtracting taxes from my gross pay, if the result of
representation.
Thank you in advance.
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Please remember to CC this list on a
I use spreadsheets for budgeting and I usually map out the expenses over the
year to visualize financial health in the future and I am able to tweak this
with ease. How can you do something similar on gnucash?
regards
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t;
>>
>>> On Sat, 3 Feb 2024 at 13:40, Adrien Monteleone <
>>> adrien.montele...@lusfiber.net> wrote:
>>>
>>> That's a fairly broad question, and I'm not clear *exactly* what you
>>> mean by 'visualize' 'map out
ere.
>
>I’m using the Advanced Portfolio report and want to include a GnuCash
>account for certificates of deposit. The account is set up as an Asset
>and the Security/Currency is set to USD.
>
>When I run the Advanced Portfolio report, however, instead of using a
>price of $1.00
Hi Gnucash Users,
Does anyone on this mailing list have a method for importing
transactions from Interactive Brokers (IBKR) to GnuCash? (Especially
multi-currency users.)
I currently enter all transactions manually but would like to explore
ways of importing transactions.
Please share your
Hi Kalpesh,
Thanks for your reply. IBKR offers these "Third-party Downloads":
1. Quicken Web Connect -> which generate a QFX file
2. GainsKeeper
3. TradeLog
4. MS Money -> which generates a OFX file
Do you know whether GnuCash prefers OFX or QFX?
I have downloaded both and
Thanks.
Upon importing the OFX I am prompted to match the different bonds in the
statement with the relevant asset in GnuCash:
This is quite a manual process having to match these manually
one-by-one. Do you know whether there is a way for me to define the
assets in GnuCash so this mapping is
that it will learn the matches
you make and only ask for new ones.
On Tue, Feb 6, 2024, 16:35 km22 via gnucash-user
<[1]gnucash-user@gnucash.org> wrote:
Thanks.
Upon importing the OFX I am prompted to match the different bonds in
the
statement with the relevant as
Understood. My point was more around whether there is a specific field in the
GnuCash securities setup which if matched with a specific field in the OFX xml
would result in the manual click-based becoming unnecessary?
I have dozens of bonds in the portfolio which are painful to manually match
Also, you need to read the manual to understand double entry accounting and its
implementation in GnuCash. (Stephen's previous reply to your question about
Equity applies here as well.)
And GnuCash list etiquette.
David T.
On Feb 7, 2024, 5:27 PM, at 5:27 PM, accounting Billing
($20)
GnuCash is recording *that* transaction, which is what you told it to do.
You say you've read the manual, but I'd recommend reviewing 2.2.3 and 5.3 in
the Guide, and section 6.2 in Help.
David T.
On Feb 7, 2024, 5:43 PM, at 5:43 PM, accounting Billing
wrote:
>I did r
pocket, and then
>put
>> $20 into your right pocket. Assuming your right pocket started with
>$20,
>> how much is left after this transaction? ($20)
>>
>> GnuCash is recording *that* transaction, which is what you told it to
>do.
>>
>> You say y
On 02/07/2024 10:50 AM PST sunfish62--- via gnucash-user
> wrote:
>>
>>
>> Your register shows transactions. They add up to zero (as I and
>others have noted) and so don't show in the Chart of Accounts.
>>
>> RTFM
>>
>> David T.
>>
ut six
>levels deep featuring the whole of a messaage digest.
>
>Please trim
>
>
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>To update your subscription preferences or to unsubscribe:
>https://lists.gnucas
have different margin
>
>
>
>
>Saludos Cordiales
>
>
>Murugan
>
>____
>From: gnucash-user
> on behalf
>of Eric Beversluis via gnucash-user
>Sent: Thursday, February 29, 2024 7:25 PM
>To: gnucash-user@gnucash.org
>Subject:
So,
If you think it's theme related; naming the theme might help. Also, to me, the
theme you choose is beyond the GnuCash scope.
And you don't explicitly say, but it appears you're running GnuCash 5.5 on
Fedora 39, based on the package name.
As I happen to have Fedora 39
#x27;m not adept enough at accounting,
to put it mildly, to know if there's something analogous I should be doing
in this case. Can you explain it in a way that a newbie would understand?
Thank you
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gnucash-user
ments from me as
an individual.
If I were to pervert the gnucash vendor bill payment system to detail the work
my part-time employees do, would I be able to assign line items on an invoice
to different GNU cash expense accounts associated with the different properties
people worked on? And wou
al of
all invoices instead of the difference between one invoice and one payment.
Is exporting into excel my only option?
Thanks
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gnucash
I want to start tracking the cash payments that I make for drugs. I have been
searching about making a journal entry in Gnucash but haven't found anything
yet. Where do I find how to enter a journal entry in Gnucash using Linux?
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I have looked but didn't see an explanation that I could understand.
On Aug 11, 2019, 5:15 PM, at 5:15 PM, John Ralls wrote:
>
>
>> On Aug 11, 2019, at 11:56 AM, Harold via gnucash-user
> wrote:
>>
>> I want to start tracking the cash payments that I make for dru
x27;t understand how
to do it in GC. Can anyone nudge me in the right direction?Thanks,Harold
On Sunday, August 11, 2019, 5:15:41 PM CDT, John Ralls
wrote:
> On Aug 11, 2019, at 11:56 AM, Harold via gnucash-user
> wrote:
>
> I want to start tracking the cash payment
ficient in GnuCash? Does anyone know
someone that'd be interested in this work?
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To update your subscription pr
minister is, however,
allowed in some countries.
HTH
Wm
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If you are using Nabble or Gm
eople with appropriate access let us know if the German / French
/ Italian / Scandinavian / etc versions of morningstar are similarly
affected.
--
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Hello.
I suggest an option for the acceptance by GnuCash of the international notation
of numbers, as defined by ISO 31-0 standard and the 22nd General Conference on
Weights and Measures, which declared in 2003 that "the symbol for the decimal
marker shall be either the point on the line o
remember to clear the filter
from the account after my query, which you have to do in the first method.
David
On September 9, 2019, at 8:50 PM, Rich Shepard wrote:
On Mon, 9 Sep 2019, mrtibbsabq wrote:
> Hi. I have been using GnuCash for awhile now but I cannot see a way to
> tunnel down
e yahoo is
> > blocking us).
> >
> > Unfortunately, this appears to be a "due to user complaints" blockage,
> > and Yahoo is pretty tight-lipped about why it actually is blocking.
> > This could be due to people flagging gnucash email as spam (which might
&g
crew.?? Mike
On 9/21/19 10:39 AM, wheelercsg-lists--- via gnucash-user wrote:
This Yahoo user has seen your email!
I hadn't received any emails from the list since Sept 13. I started to
receive them again on Sept 20 at around 5:15 PM Eastern. Hopefully,
it's not just me and the bl
Start with chapter 9.7 in the Tutorial
https://www.gnucash.org/docs/v3/C/gnucash-guide/invest-sell1.html
On September 22, 2019, at 9:26 AM, TAKASHI KANAMORI
wrote:
Hello.
In addition to entering the number of shares, the stock price, and the
total amount when posting the gain on sale of
Maybe not, but Adrien hypothesized that users may report Gnucash mail as spam
because they ask us to unsubscribe, when they are subscribed to nabble. I was
responding to that, prematurely.
David
On September 23, 2019, at 10:13 PM, Derek Atkins wrote:
HI,
D via gnucash-user writes
/Checking $10.00
Thanks for any help.
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If you are using Nabble or Gmane, please see
appropriate
display options
Transaction_Report_001.png
<http://gnucash.1415818.n4.nabble.com/file/t375329/Transaction_Report_001.png>
gives the settings which should produce what you want. You can vary the
setting to get the deatil you need.
David Cousens
-
David Cousens
--
Sent from
:58 am, Fran_3 via gnucash-user wrote:
> That helped but how can I run a transaction report for a single
> customer... in order to see all postings relative to that customer?
> Thanks.
Nope, just run a Customer Report and it will show you all invoices and
payments for that customer.
inv-01 ?
In other words... in the
On Sunday, September 29, 2019, 6:56:43 PM EDT, David Cousens
wrote:
The Transaction report should do what you want if you select the appropriate
display options
Transaction_Report_001.png
<http://gnucash.1415818.n4.nabble.com/file/t375
rt but this will need much testing
> before it's ready.
>
> You are very welcome to help beta test...
> https://user-images.githubusercontent.com/1975870/60812797-d7823a80-a181-11e9-8cc2-b2f1e53145d1.png
>
> On Mon, 30 Sep 2019 at 15:01, Fran_3 via gnucash-user <
> gnucash-us
Is there anyway in gnuCash to create a report that list all transactions in
chronological order... aka "general journal" or "book of original entry"
Thanks for any help.
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To upda
that from last years sales to get total paid sales last
yearor is their a more simple way to do this?
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Thanks John, that seems to be it.
On Tuesday, October 1, 2019, 11:17:21 AM EDT, John Ralls
wrote:
> On Oct 1, 2019, at 6:16 AM, Fran_3 via gnucash-user
> wrote:
>
> Is there anyway in gnuCash to create a report that list all transactions in
> chronological order.
for
the period.
Any suggestions?
Thanks for the help.
fyi, I'm running gnuCash v2.6.19...
On Tuesday, October 1, 2019, 11:25:29 AM EDT, Christopher Lam
wrote:
Try transaction report, originating from a/receivable account, filtered to
bank account only. Business reports typ
What is the proceedure to update gnuCash?a - uninstall oldb - install new
or what?
and, will the old v2.6.19 gnucash files still work properly?
Thanks
On Tuesday, October 1, 2019, 1:57:50 PM EDT, Adrien Monteleone
wrote:
I’m not seeing anything like that. However, I’m on 3.7. There
th other "To" dates for the Receivable Aging Report but
nothing seems to pickup the unpaid amount from the customer.
I guess I don't understand the Aging Report and/or the "To" field so please
tell me the error of my ways.
Thanks.
__________
Moreover, when next you go to reconcile, that entry for 2010 will display up at
the very top of the reconcile window, and one might wonder at that, see the
incorrect date and fix it.
[Technically, Gnucash doesn't store the reconciled amount, it calculates it at
each reconcile fo
I have many accounts in several different currencies.?? I would like to
have a pie chart showing what percentage of assets are held in each
currency, but haven't found a way to do this.
I am using GnuCash v2.6.19 running under Ubuntu Studio 18.04. Any tips
would be most we
Running the latest gnuCash on Windows 7 Pro machine.
When I click Edit > PreferencesorWhen I have a Transaction Report up and
attempt to export it as a PDFI get...
There is no disk in the drive. Please insert a disk into drive
\Device\Harddisk8\DR8
\Device\Harddisk8\DR9
\Device\Harddisk8\DR
endor A acct-2 and post them
from scratch into Vendor A acct-1 but I thought there may be a better way.
I did try to un-post one of the bills hoping I could change the account there
but that doesn't seem to work.
Thanks for any help.
_______
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eated two accounts for the same vendor and posted bills and
payments to both.-Is there an easy way in GC to "merge" them into one vendor
account? Like merge VenB into VenA...
-Hopefully this question is articulated more clearly.-Thanks for any help
_____
re out how to adapt it to group accounts by currency.
Scheme hacking is beyond me (at least at present ;-)
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Derek, OK, That did it! Thanks.
Hi,
On Sat, October 5, 2019 9:38 am, Fran_3 via gnucash-user wrote:
> Apologize for re-posting this but I decided my earlier question was not
> clear.-
> The Question: How to merge 2 vendors... merge VenB into VenA...
> -
> Explanation: Actual
ment I was hoping there was a way to see all bills and associated
payments for a particular vendor.
.
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nks
again.
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to recall this issue in previous threads, perhaps a list search might
turn up something. There may also be a bug report.
If memory serves, this is a problem with webkit which renders the page, and
which version of webkit has to be included with GnuCash.
The only work around I can think of right
Paul,
I confirm the behavior you describe, and I can tell you that it's been in that
dialog for a very long time. I believe it has always behaved that way for me
(and I've been using Gnucash over a decade). It probably is a bug, but I just
used the same workaround that you found, an
#x27;ve ever had
> > has had the interest credited back to the savings account so I would
> > want this behaviour :-)..
> >
> > Cheers Dave H.
> >
>
> If it's not what you want, you might be happier turning off the
> interest dialogue and entering
ng v3.7 on Windows 10
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OK, I'll take a shot at this since I've been using the Transaction Report a
lot over the last two weeks.
If you run a Transaction Report on Checking and select...
Filter Type: Transactions To/From Filter Accounts...
Filter By: Expenses > Utilities
Then Click Apply...
then
check for errors.
Alan
armanschwarz wrote
> Suppose on July 1, 2019 I get a statement that my account balance is $100.
> Since I know this is true and won't change in the future, I should be able
> to tell GnuCash that this is the expected balance, and for some kind of
>
ement amount. That
way, I know both the statement amount and the balance amount on the date of
the statement. That should never change unless extra transactions are
inserted with earlier dates or others are deleted.
Alan
GnuCash - User mailing list wrote
> This is interesting. Let's say th
RICHARD YENTZER wrote:
each time i open gnucash i receive the following message before my user
data file loads:
Unknown account for guid [13f77f105c19b5a8b17edef872d7eed5], cancelling SX
[CHECKING STATEMENT] creation.
Unknown account for guid [13f77f105c19b5a8b17edef872d7eed5], cancelling SX
[CHE
Hi,
Please keep the list in the loop by copying Gnucash users.
I would look in the Scheduled Transaction Editor. There is some transaction
there, I believe, which is named CHECKING STATEMENT. This scheduled transaction
includes an entry that refers to an account by its (hidden) GUID*, which no
dashes on blank lines but I'm trying to find out how to force
line breaks so formatting can be retained. (I wonder if the html line break tag
would work?
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Thanks Adrien.
I'm running the latest version of gnuCash Version: 3.7Build ID:
3.7+(2019-09-07)on Windows 10.
In this case the PrePayments were left to accumulate until they were great
enough to cover an entire Monthly Bill.
Did not fill out the 'refund' portion of the payment w
When I run a search on checking and get the results listed in a new gnuCash Tab
named "Search Results"
How can I export those Search Results to a CSV file?
When I click on File > Export
I am unsure if any of the four options listed will do it.
Thanks
Given two gnuCash files.. Personal.gnuCash andBusiness.gnuCash
Questions:
1 - When I buy items for the business and pay for them using personal funds...
How do I create an "Expense Report" in Personal.gnuCash so that I can get
reimbursed?
I considered setting up the business as a c
keep the tax man happy. (The reverse if you expend business funds on a
personal item.)
David Cousens
-
David Cousens
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TB the expenses, income
>> etc will report the total for the entire period for which I've been using
>> GnuCash. What my accountant wants in my Trail Balance report is my total
>> expenses for the year, not forever. I gather that the "Close books" function
>>
Installation is covered in the wiki, and linked directly on www.gnucash.org on
the navigation menu (4th item under "Information")--"Installation".
David
On October 22, 2019, at 3:48 AM, David H wrote:
I copy everything to Applications/GnuCash and run it from there, you c
olumn width such as 10 pixels for all columns in the register display?
David Carlson
On Mon, Oct 21, 2019 at 2:43 PM James Gill via gnucash-user <
gnucash-user@gnucash.org> wrote:
> I am using Mint 19.1 and GnuCash 2.6.19.
> I could not get the columns to reappear by opening from the A
elect the search account every time...on the order of 30
> seconds /each/ time!
>
> Thanks,
> Steve
>
> GnuCash Version: 3.4
> Build ID: 3.4+ (2018-12-30)
> Finance::Quote: 1.47
>
> ___
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> gnuc
On a bill from a vendor I would typically find...
A - Bill Date
B - Due Date
Looking at a bill formerly entered into gnuCash I see 3 dates...
C - Date Opened
D - Date Posted
E - Date
There has been some confusion on which dates on the gnuCash (C, D, E) bill
would match up with A & B.
oup.
Brian
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r any help.
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-
Please reme
Fran,
First off, what version of Gnucash, on what OS?
On October 31, 2019, at 1:49 AM, Fran_3 via gnucash-user
wrote:
>1 - I began saving recent report configurations with a dash like in order to
>distinguish them from other reports...
>But, some of them disappear later on when I a
y.
Thanks again to all for their comments and suggestions.
Fran3
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If you are
Ah Ha ! Got it. Found it (saved-reports-2.8) on Win7 Pro machine in...
C:\Users\UserX\AppData\Roaming\GnuCash\
Filename = saved-reports-2.8
Made a copy and was able to open with NotePad++ and I can see the way the
report options are saved.
Regarding having that file automatically sync'd t
like and to have a report's first
line bold and 2nd line small for additional comments?
Thanks,
Fran3
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"the right way to do it" based on your answer.
Thanks,
Fran3
On Friday, November 1, 2019, 8:56:34 AM EDT, Adrien Monteleone
wrote:
> On Nov 1, 2019 w44d305, at 7:46 AM, Fran_3 via gnucash-user
> wrote:
>
> I think I know the answer to this but I wanted to dou
19 8:46 AM, Fran_3 via gnucash-user wrote:
> I think I know the answer to this but I wanted to double check.
> .
> 2 - Is there any way to add a comment to the report before you print it...
> other than making the title long?
> 3 - Can you include HTML tags like and to have
t; On Nov 1, 2019 w44d305, at 8:28 AM, Michael or Penny Novack
> wrote:
>
> On 11/1/2019 8:46 AM, Fran_3 via gnucash-user wrote:
>> I think I know the answer to this but I wanted to double check.
>> .
>> 2 - Is there any way to add a comment to the report
es Register for that then do your search of those
results for the Value greater than X.
I'm sure there may be a better way but maybe this will give you an idea of
something to try.
Good Luck,
Fran3
On Friday, November 1, 2019, 2:13:26 PM EDT, Gareth Davies via gnucash-user
wrote:
Adrien,
What is the CoA tab for all accounts? Where is it?
(This is what is so great about gnuCash, it is so rich in features that you can
almost learn something new abut it's capabilities every day :-)
Fran3
On Friday, November 1, 2019, 10:01:07 PM EDT, Adrien Monteleone
with KDE4.
I've backed out 3.7 and reinstalled 3.6 and the Find dialog works as
expected.
Alex
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If it helps
git bisect log
git bisect start
# good: [d42695e75a5b8865331694c9490c7446af7ebcc3] Release GnuCash 3.6
git bisect good d42695e75a5b8865331694c9490c7446af7ebcc3
# bad: [84cfc5743bc31160e338e6cb7c734548d9ef92a4] Release GnuCash 3.7
git bisect bad
PDF
I have five hard disk in this machine plus an external plugged into a USB port.
I've looked at Control Panel > Device Manager and I see my hard drives and USB
ports... but nothing identified as DR-9 or DR-10, etc. so I don't know what is
going on.
Any ideas? Thanks, Fran 3
_
et me actually enter a name for the report and then click Export.
C:\Users\UserMe\folder-x\folder-y\folder-z\gnuCash
That folder exist and the report will ultimately save there fine... but only
after clicking Continue 21 times:-(
Thanks for any more ideas or suggestions.
Fran3
On Wednesda
Thanks John
I'll keep an eye on the bug report and test when a fix becomes available.
Alex
On 07/11/2019 04:23, John Ralls wrote:
That's https://bugs.gnucash.org/show_bug.cgi?id=797460
Regards,
John Ralls
On Nov 6, 2019, at 7:05 AM, mcmurchy1917techy via gnucash-user
wro
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