I think I have a bug in gnucash.  When I save a new transaction it
 always gets saved on the line before the last transaction.  For
 example, a transaction dated 5/25 is the last one in the register.  A
 new transaction dated 6/6 is saved.  Instead of saving on the last
 line, after the 5/25 transaction, the new one gets saved on the line before
 the 5/25 transaction.  Then I have to delete the 5/25 transaction and
 re-enter it in order for it to save to the correct place.  I am
 sorting by date.

The other thing is that checks that are marked 'c' in the register are
automagically changed to 'y' when I go to reconcile.  This is
undesirable behaviour for me because I check with my bank several
times per month to see what checks have cleared.  In the last release,
the cleared checks stayed 'c' in the reconcile window so I could check
them against the statement.  Now, I have the harder task of figuring
out which checks have *not* been posted to the statement and
un-checking them.

GnuCash 1.4.11 from Ximian.  RedHat Linux 7.0, updated.  Kernel 2.2.16.
-- 
One friend in a lifetime is much; two are many; three are hardly possible.
Friendship needs a certain parallelism of life, a community of thought,
a rivalry of aim.     -- Henry Brook Adams
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