Hello,

I'm currently using GnuCash 4.1. on Windows with a mysql Backend

Every year I have to create a so called "e-Bilanz" for the german finance
department after the annual statement of accounts .

Due to the mandatory Taxonomie I have to use among other things the
following acoounts:

Activ:
(Fixed Assets) de-gaap-ci:bs.ass.fixAss
(Current Assets) de-gaap-ci:bs.ass.currAss

Passiv:
(Equity) de-gaap-ci:bs.eqLiab.equity
(Accurals)de-gaap-ci:bs.eqLiab.accruals
(Liability) de-gaap-ci:bs.eqLiab.liab

[image: image.png]

Currently I programmed a workaround in python to get all the liabilities
from the db.
Still it would be nicer, if we would have an account_type "accurals" or
another field in the table accounts to distinguish between liability and
accurals.


>From a short check on the db model I would estimate that there would be no
harm on the db
Scheme, if a new account type or another field would be added.

Regards
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