I was going to say "irrelevant, I have all warnings set"
but on checking I find that "change contents of reconciled split" was
unset.
However, there is no sane reason for changing the Payee or description
of a reconciled split and unreconciling the transaction.
Yes, it is an Asset account.
Liz
_
https://bugs.gnucash.org/show_bug.cgi?id=771667
On Tue., 8 Jan. 2019, 13:01 Adrien Monteleone <
adrien.montele...@lusfiber.net wrote:
> If I read Liz’s latest reply correctly, the issue is with an asset
> account. (bank)
>
> The status changed when she changed the description.
>
> The status did
New release install of 3.4 under Windows 10, obtained by following
recent link in this forum. To set up a scheduled mortgage payment -
entered amounts, interest, accounts, loan length, remaining etc, I
progress as far as loan repayment in the setup and click OK. GNU seems
to be calculating results
> On Jan 7, 2019, at 5:41 PM, DaveW wrote:
>
> Thank you Stephen and Colin,
>
> I am going around and around. I am a little confused as to whether the
> instructions in the above thread apply to 18.04 or 18.10??
> Nevertheless, I followed the commands line by line, (Although I
> note that whe
If I read Liz’s latest reply correctly, the issue is with an asset account.
(bank)
The status changed when she changed the description.
The status did not change when she changed the debit split to a different
expense account.
So GnuCash seems to care if you change who the money was paid to, b
> On Jan 7, 2019, at 3:14 PM, David Carlson wrote:
>
> I just had a scheduled transaction that was set up by the loan/mortgage
> repayment assistant appear with 0.01 Imbalance-USD.
>
> I would think that GnuCash should have an accuracy method that would
> prevent this from happening. Is this
David
It should and as far as I know it does .There are no account type specific
rules for a reconciliation that I am aware of other than the meaning
associated with debits and credits re increases and decreases in the account
balance.
I.e., if the account is a debit balance account
( Assets a
Tom,
Be sure to direct your messages to the Gnucash user list. Usually reply
all works, but sometimes you need to manually add the address from the
footer of the message.
I am not sure how to help you myself, but others will be able to help after
they know which version of Gnucash you upgraded f
Tom,
What version of GnuCash did you update from?
David C
On Mon, Jan 7, 2019, 6:30 PM Tom Murphy I am using Windows 10 with the latest updates installed. In the
> instructions it says the file is saved automatically so I am using whatever
> the default is.
>
> -Original Message-
> Fro
I am using Windows 10 with the latest updates installed. In the
instructions it says the file is saved automatically so I am using whatever
the default is.
-Original Message-
From: gnucash-user
[mailto:gnucash-user-bounces+tommurph52=gmail@gnucash.org] On Behalf Of
Liz
Sent: Monday, J
I wonder if GnuCash follows exactly the same rules for income and expense
accounts that it does for asset and liability accounts. I know that I
never bother with reconciling income or expense accounts.
David C
On Mon, Jan 7, 2019 at 5:22 PM Liz wrote:
> On Sun, 6 Jan 2019 07:34:35 -0800
> John
On Mon, 7 Jan 2019 07:31:47 +
Colin Law wrote:
> Just to clarify a bit, after installing you have to tell the update
> manager not to replace it with the original version again, as
> described in that thread,
>
> Colin
>
> On Mon, 7 Jan 2019 at 00:04, Stephen M. Butler wrote:
> >
> > On 1/
On Sun, 6 Jan 2019 07:34:35 -0800
John Ralls wrote:
> If you edit reconciled transactions GnuCash marks them unreconciled.
> The warning dialog told you that it would.
>
> I don’t see any crashes in the open bugs for the QIF importer, so if
> the crash was with GnuCash 3.4 please do file a bug r
I just had a scheduled transaction that was set up by the loan/mortgage
repayment assistant appear with 0.01 Imbalance-USD.
I would think that GnuCash should have an accuracy method that would
prevent this from happening. Is this a bug?
I am using GnuCash 2.6.17 in Ubuntu 16.04 today.
David C
_
On Mon, 7 Jan 2019 14:49:58 -0800
"Tom Murphy" wrote:
> After updating to version 3.4 my file won't open and I get an error
> message "no suitable backed was found for my account"
>
>
>
> I don't know what this means and help is non-existent.
>
>
>
> Does anyone know what this means?
>
>
Over the weekend, I upgraded Linux Mint from 18.2 to 19.1. With the
upgrade, GC upgraded from 2.6.17 to 2.6.21.
After updating prices, I no longer was obtaining any quotes for
currencies. If I remember correctly, currencies are being served by
AlphaVantage. I guess that the configuration of
That normally means that your data is in a database format but GnuCash does
not have the correct tools to open it. This can happen after an update.
Alas, I do not use a database format but I do know that there are
differences depending on which operating system you are using. Let us know
which O
After updating to version 3.4 my file won't open and I get an error message
"no suitable backed was found for my account"
I don't know what this means and help is non-existent.
Does anyone know what this means?
Tom Murphy
NT Designs
tommurp...@gmail.com
___
John,
I've had a bit of a break from looking at that in detail over Christmas-New
Year. I started a systematic examination of the importer multiline
functionality functionality but did not look at foreign currency
transactions. I will continue that next week once visitors depart and try
and get a
I have added my report to the bug report about the single line CSV issue
(above).
Converting my CSV files to a two-line format is probably more than I can do,
but I will look at it.
My workaround for now is to pre-convert the currency to my base currency in
a spreadsheet program, adding an extra
> On Jan 7, 2019, at 9:17 AM, boldstripe wrote:
>
> Is it me, or does the CSV importer fail to import a foreign-currency
> transaction file to a foreign-currency bank account with the exchange-rate
> conversion properly respected?
>
> Multiple currency accounting works for manual entries, bu
I am using Gnucash 3.4 on OSX 10.14.2.
I am creating a new book and trying to set up the invoice counter to use
I-%05li as the format.
If I add this definition, click Apply and switch to another tab and back, the
new format appears as it should in the Invoice Number Format text field.
But if
> On Jan 7, 2019, at 9:43 AM, boldstripe wrote:
>
> And is my problem the same as this Bug 796955 already reported?
> https://bugs.gnucash.org/show_bug.cgi?id=796955
I think so.
Regards,
John Ralls
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gnucash-user@gnucas
I am using Gnucash 3.4 on OSX 10.14.2.
I am creating a new book and trying to set up the invoice counter to use
I-%05li as the format.
If I click Apply and switch to another tab and back, the new format appears as
it should in the Invoice Number Format text field.
But if I click OK, the field
I posted this a month or 2 ago, didn't see any response, my apologies
if somebody responded.
I'm now using 3.4 Build ID: 3.4+ (2018-12-30)
When I reconcile an interest-bearing bank account, the interest
window pops up, but it doesn't remember the account to which
i posted the interest the previou
I’m pretty sure it was included in 3.4 that was released at the end of December.
Regards,
Adrien
> On Jan 7, 2019, at 11:24 AM, Jack Slater wrote:
>
> Any news on this fix?
>
> On Wed, Nov 28, 2018 at 2:07 PM Adrien Monteleone
> wrote:
> There is at least one bug filed on text selection issu
And is my problem the same as this Bug 796955 already reported?
https://bugs.gnucash.org/show_bug.cgi?id=796955
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gnucash-user@gnucash.org
To upda
Any news on this fix?
On Wed, Nov 28, 2018 at 2:07 PM Adrien Monteleone <
adrien.montele...@lusfiber.net> wrote:
> There is at least one bug filed on text selection issues. I’m not sure if
> this is part of the same problem.
>
> Regards,
> Adrien
>
> > On Nov 28, 2018, at 12:08 PM, Jack Slater
>
Is it me, or does the CSV importer fail to import a foreign-currency
transaction file to a foreign-currency bank account with the exchange-rate
conversion properly respected?
Multiple currency accounting works for manual entries, but imports from CSVs
show the same (ie unconverted) number on both
Just helps me make sure I put things in the right account type
-
David Cousens
--
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gnucash-user@gnucash.org
To update your subscription preferen
I did post that it worked for me by doing a copy and paste of the
original exported report but not copying the title!
On 06/01/2019 16:55, Geert Janssens wrote:
On Thursday, January 3, 2019 5:33:06 PM CET David Carlson wrote:
I was able to run a quick test using release 2.6.17 in Ubuntu 16.04
Wow, very comprehensive, love the colour scheme ;-)
On 06/01/2019 23:17, David Cousens wrote:
Steve,
The attached screenshot shows what I get and the Report Options setting I
used. Have you tried saving, closing GnuCash and Opening again? (I have
closed and reopened Gnucash since putting that d
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