Quoting Phil Longstaff <[EMAIL PROTECTED]>: > I'm working on saving/restoring scheduled transactions, and have some > questions: > > 1) Accounts - The only difference I can see between regular accounts and > the accounts created for scheduled transactions is in the currency - the > currency for scheduled transactions is in the "template" namespace. > Anything else? Could we have a new account type called TEMPLATE so that > I wouldn't need a really complex query to load just the regular > accounts?
The main difference is the root.. SXes all live in their own AccountGroup, separate from the CoA. Why do you need anything special? Why can't you load the SXes too? > 2) SXRegister() registers the class with qof using GNC_SX_ID rather than > GNC_ID_SCHEDXACTION (which would agree with how every other object is > registered). I don't think it will break anything to change this, but > want to know if there is anywhere else I should check i.e. where else > are getters/setters used? Maybe jsled can answer. > Phil -derek -- Derek Atkins, SB '93 MIT EE, SM '95 MIT Media Laboratory Member, MIT Student Information Processing Board (SIPB) URL: http://web.mit.edu/warlord/ PP-ASEL-IA N1NWH [EMAIL PROTECTED] PGP key available _______________________________________________ gnucash-devel mailing list gnucash-devel@gnucash.org https://lists.gnucash.org/mailman/listinfo/gnucash-devel