Em Dom, 2009-01-18 às 18:10 -0200, Marco Túlio Gontijo e Silva escreveu: > I've made a patch that include some options in the Trial Balance Report. > I searched for a behaviour like this in all reports, and I thought the > easier way was to change trial-balance.
I noticed that this patch contains an error. It generates two tables: thre first contains the expected result, and the last one the result I had before making the patch. I don't know what's is causing this, but I think that it's the call to the function gnc:html-table-add-account-balances . What I really wanted with this is just to be able to show the subtotals of each parent account. I made this patch based on the code from account-summary.scm, but it seems to have some errors. Can someone help me with this? Thanks. -- marcot http://marcot.iaaeee.org/ _______________________________________________ gnucash-devel mailing list gnucash-devel@gnucash.org https://lists.gnucash.org/mailman/listinfo/gnucash-devel