you read both together as it might be difficult to recover the
accounts later on. I have tested it and it removes the account from view
in 5.9, Windows 11, so just check it.
I hope this helps.
Thanking you.
Regards,
Maria Inmaculada de la Torre Ruiz
On Fri, 10 Jan 2025 at 19:45, Heide Wang
Hello Gnucash team,
Happy Thanksgiving and thank you for all you do for the software. It is
very much appreciated.
Regards,
Inma de la Torre
On Thu, 28 Nov 2024 at 14:49, Glenn Fowler wrote:
>
> Yes I hope the team takes some deserved R&R!
>
> From: gnucash-
Hello Robin,
A couple of times when I changed computers, I completely lost the files and
could not open them (I tried opening them but there were no transactions).
The solution that worked at the time was replaying the GnuCash .log file as
per screenshot below. Have you tried that? There should be
Hello Flavio,
Yes, it is normal behaviour you must have created the original transaction
with splits in the VT account I assume. When I create split transactions in
an account, for instance bank account and two splits for things I want to
keep separate in Repairs and Maintenance, they are going to
Hello Chris,
If you are taking over from someone else's accounting work in the church
it would be better if you get a trial balance from them and set up a new
file in Gnucash following the structure they had set up previously. If you
need an Opening balance when you are creating the accounts there
Hello Jason,
Glad to hear that everything was sorted out. I might have not seen the
comment about the issue with the principal figures, the important thing is
that it is working for you now.
Thank you
Regards,
Inma
Maria Inmaculada de la Torre
On Mon, 4 Nov 2024 at 22:45, Jason Seegers
check them yourself if you
are adding something that should not be there.
Thanking you.
Regards,
Inma
Maria Inmaculada de la Torre
On Mon, 4 Nov 2024 at 21:17, Jason Seegers wrote:
> Good to know that it works.
>
> In response to Stephens email, the main formula is pmt( 0.0669
Hello Phyllis,
If I am not mistaken, that has come up several times. That column is the
only one that works a little differently than the rest. The best help is
from the guide
2.9.2.3. Setting Column Widths
As with most spreadsheet-like displays the columns in the register can be
resized by left
rrect, and that
> makes sense, but I don’t want to do something like that without some
> understanding of what happened.
> Can anybody tell me what might have happened and point me to a
> resource on how to fix it? Thank you, John.
I hope this helps.
Regards,
Maria Inmaculada
Hello All,
I have never received any emails from Jira when using this email list, but
I have never opened a bug report. I have asked for help a couple of times
and read what others are doing to learn more about Gnucash.
In any case, I have checked the subdomain that appears in them and it is a
le
Hello,
Maybe you had an issue during the installation. I have 5.6 in Windows and
all those options are present in my right click menu in the registers and
several of them are present as icons underneath the menus (show splits,
jump, schedule a transaction.
Try a clean reinstall removing old regis
Hello All,
I am running Windows 11 with 16Gb of RAM and Gnucash Build ID: 5.6+. The
only time I notice some delays during data entry is when it is doing
autosaves and in this version I'd say it is more like 1 or 2 seconds at
most (older versions in Windows 10 had maybe a 3 or 4 seconds delay at
mo
Hello David,
I do the same for my reports but paste it into Excel and whenever I had
that issue I either use powerquery for the clean up or more quick and dirty
approach of using functions to extract the correct figures, some MID/RIGHT
function, within the CLEAN one wrapping the result and if you
technical difficulty. Because none of the
> transactions are showing at all.
>
> On Wed, Feb 7, 2024 at 1:19 PM Maria Inmaculada de la Torre
> wrote:
> >
> > Hello,
> >
> > The reason there are no balances is because you have a debit and a
> credit in the same
Hello Nens,
As far as I know there are no off-the-self accounts tree based in the "Plan
General Contable" but you should be able to recreate it entirely quite
easily, I have adapted my system to an accounts plan that is used by a
major accounting software provider in the country where I live and t
Hello,
The reason there are no balances is because you have a debit and a credit
in the same account. If your opening balance is 10k and that opening
balance is in a bank account it should be
- DR Bank10k
- CR Opening Balances 10k
If those opening balances were from a loan from the ban
Jan 2024 at 16:07, Adrien Monteleone <
adrien.montele...@lusfiber.net> wrote:
> Please remember to copy the list on all replies. That way others can
> benefit from the discussion.
>
> Glad to hear 5.4 is working fine for you.
>
> Regards,
> Adrien
>
> On 1/11/2
Hello All,
Since the most recent update to the program I am having an issue with the
Expense reports. It doesn't really matter how I try to generate my expense:
both from the Main Menu > Reports > Income & Expense > and my Saved
Configuration Reports lead to the program immediately crashing witho
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