Hi,

I'm trying to create a Python script with the GnuCash API. I started with the `simple_test.py` sample and extended that a bit (see below). However, I ran into a problem: after re-opening the session and getting the root account, it doesn't show any child accounts. I tried different ways, but no luck. I guess that I'm missing something, but I don't know what because all the examples I could find do it the same way, and things work when newly creating the file and accounts.

Any ideas?

Thanks,
    Eberhard

GnuCash 5.8 built from git

#!/usr/bin/env python3

from gnucash import (
        Session, Account, Transaction, Split, GncNumeric, SessionOpenMode)

FILE_1 = "/tmp/example3.gnucash"

def create_accounts():
    with Session("xml://%s" % FILE_1, SessionOpenMode.SESSION_NEW_OVERWRITE) as session:

        book = session.book
        root_acct = Account(book)
        expenses_acct = Account(book)
        savings_acct = Account(book)
        opening_acct = Account(book)
        trans1 = Transaction(book)
        trans1.BeginEdit()
        trans2 = Transaction(book)
        trans2.BeginEdit()

        split1 = Split(book)
        split3 = Split(book)
        comm_table = book.get_table()
        cad = comm_table.lookup("CURRENCY", "CAD")

        num1 = GncNumeric(4, 1)
        num2 = GncNumeric(100, 1)

        #Set new root account
        book.set_root_account(root_acct)

        #Set up root account and add sub-accounts
        root_acct.SetName("Root")
        root_acct.SetType(13) #ACCT_TYPE_ROOT = 13
        root_acct.append_child(expenses_acct)
        root_acct.append_child(savings_acct)
        root_acct.append_child(opening_acct)

        #Set up Expenses account
        expenses_acct.SetCommodity(cad)
        expenses_acct.SetName("Expenses")
        expenses_acct.SetType(9) #ACCT_TYPE_EXPENSE = 9

        #Set up Savings account
        savings_acct.SetCommodity(cad)
        savings_acct.SetName("Savings")
        savings_acct.SetType(0) #ACCT_TYPE_BANK = 0

        #Set up Opening Balance account
        opening_acct.SetCommodity(cad)
        opening_acct.SetName("Opening Balance")
        opening_acct.SetType(10) #ACCT_TYPE_EQUITY = 10

        split1.SetValue(num1)
        split1.SetAccount(expenses_acct)
        split1.SetParent(trans1)

        split3.SetValue(num2)
        split3.SetAccount(savings_acct)
        split3.SetParent(trans2)

        trans1.SetCurrency(cad)
        trans1.SetDate(14, 3, 2006)
        trans1.SetDescription("Groceries")

        trans2.SetCurrency(cad)
        trans2.SetDate(7, 11, 1995)
        trans2.SetDescription("Opening Savings Balance")

        split2 = Split(book)
        split2.SetAccount(savings_acct)
        split2.SetParent(trans1)
        split2.SetValue(num1.neg())

        split4 = Split(book)
        split4.SetAccount(opening_acct)
        split4.SetParent(trans2)
        split4.SetValue(num2.neg())

        trans1.CommitEdit()
        trans2.CommitEdit()
        session.save()
        session.end()


def read_accounts():
    with Session("xml://%s" % FILE_1, SessionOpenMode.SESSION_READ_ONLY) as session:
        book = session.book
        root_acct = book.get_root_account()
        print(root_acct.name)
        expenses_acct = root_acct.nth_child(0)
        print(expenses_acct.name)
        savings_acct = root_acct.lookup_by_name("Savings")


create_accounts()
read_accounts()


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