Flathub gnucash 4.9-1 on Linux Mint 20
Today I tried to edit a scheduled transaction with splits that has one line
for selling part of a mutual fund. All of the other lines refer to accounts
in dollars. When I tried to save changes I received a pop-up that the
transaction could not be automatically
GnuCash Developers & Maintainers:
Hello! This is the attachment which I originally planned
to send.
Yours,
Bite Gao
Feb 17th, 2022
On Thu, February 17, 2022 9:08 am, Derek Atkins wrote:
HI,
On Thu, February 17, 2022 9:08 am, Gao Bite wrote:
GnuCash Developers & Maintainers:
David Carlson wrote:
You are very close! Yes, you do need to create a new security and
security account under your broker account for AMD first. Then you
could re enter or possibly just edit your split transaction to output in
AMD instead of XLNX.
Thanks David. I ended up editing the splits
"scum buster",
If you can't get the info to download from the bank correctly to the proper
credit card, you can change that in the bank tab itself. If you only have 2 or
3 cards from the same bank you only have to change 1 or 2 records in the bank
register. Just click on the liability:credit c
Mahon,
Just in case you don't know where to do this, it is in the view tab/filter by.
There you can select a date range and on the status tab you can select
reconciled or other attributes.
Thank You,
Gyle McCollam
Gyle McCollam
609.680.2326 Mobile
gmccol...@live.com
It would also help to explain how to reproduce the problem and what to look
for.
On Thu, Feb 17, 2022, 9:16 AM Derek Atkins wrote:
> HI,
>
> On Thu, February 17, 2022 9:08 am, Gao Bite wrote:
> > GnuCash Developers & Maintainers:
> >
> > Hello! I have recently found a mismatch computation r
It is very easy to adjust the register display settings to show only
reconciled or unreconciled transactions dated within a certain range.
That should help.
On Thu, Feb 17, 2022, 9:02 AM Mahon Finbar wrote:
> True, but since I don't know where the error is, I thought of doing it
> per month, an
HI,
On Thu, February 17, 2022 9:08 am, Gao Bite wrote:
> GnuCash Developers & Maintainers:
>
> Hello! I have recently found a mismatch computation result from
> your software.
>
> It may be a computational mistake, or a special accounting standard. I
> would like to know
>
> whether it is.
>
True, but since I don't know where the error is, I thought of doing it
per month, and that way finding it.
That is why I need to find a way to display the reconciled transactions
on a month by month basis.
It is usually a transaction in the wrong column.
Thanks Barry
On 16/02/2022 17:54,
GnuCash Developers & Maintainers:
Hello! I have recently found a mismatch computation result from
your software.
It may be a computational mistake, or a special accounting standard. I
would like to know
whether it is.
Yours,
Bite Gao
Feb 17th, 2021
Attachment:
Image which
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