Sorry, I meant to include it and forgot.
It is in Chapter 9: Investments, specifically:
https://www.gnucash.org/docs/v3/C/gnucash-guide/invest_accounts1.html
Section 9.2.2 covers the currency issues, including multi-currency, and 9.2.3
gives an example of an intricate custom tree. (not necessar
considerations which might move me to
adopt a different structure, but I couldn't find the part of the guide
you were referring to. Can you provide a link?
Date: Tue, 11 Feb 2020 14:39:01 -0600
From: Adrien Monteleone
To: Gnucash Users
Subject: Re: [GNC] Account Currency Screwed Up Again!
Messa
Thanks for the explanation.
Regards,
Adrien
> On Feb 11, 2020 w7d42, at 1:20 PM, John Ralls wrote:
>
> The transaction currency in which the value field of every split is
> denominated is determined by the account in whose register one creates the
> transaction. If that account is in a non-cu
The transaction currency in which the value field of every split is denominated
is determined by the account in whose register one creates the transaction. If
that account is in a non-currency commodity then the currency of first parent
account denominated in a currency is used. So in rsbrux's c
My understanding is that the controlling factor is the currency of the parent,
not where you enter the transaction. But I could be mistaken.
The tree organization is really user dependent.
I think the Guide uses a slightly different organization where bank/brokerage
lies below with a separate
s way to fix such problems.
Date: Mon, 3 Feb 2020 10:31:58 -0600
From: Adrien Monteleone
To: Gnucash Users
Subject: Re: [GNC] Account Currency Screwed Up Again!
Message-ID: <821d9637-24ee-4c33-a1bf-792fe55e8...@lusfiber.net>
Content-Type: text/plain; charset=utf-8
Would creating a new du
n Monteleone
To: Gnucash Users
Subject: Re: [GNC] Account Currency Screwed Up Again!
Message-ID: <821d9637-24ee-4c33-a1bf-792fe55e8...@lusfiber.net>
Content-Type: text/plain; charset=utf-8
Would creating a new duplicate account with the proper assigned currency, then
deleting the old a
ut the data structure, this looks like the easiest way to
> provide a less dangerous way to fix such problems.
>
>> Date: Mon, 3 Feb 2020 10:31:58 -0600
>> From: Adrien Monteleone
>> To: Gnucash Users
>> Subject: Re: [GNC] Account Currency Screwed Up Again!
>&
each transaction to change or select the
> currency? From what I have learned about the data structure, this looks
> like the easiest way to provide a less dangerous way to fix such problems.
>
> > Date: Mon, 3 Feb 2020 10:31:58 -0600
> > From: Adrien Monteleone
> > To
Glad to hear you managed to fix the data, but that raises the question why
retrieving prices is grabbing CHF instead of AUD.
Is the parent of the affected securities set for AUD? This is usually an
account representing the brokerage that handles the individual securities for
you.
Note, at this
ix such problems.
Date: Mon, 3 Feb 2020 10:31:58 -0600
From: Adrien Monteleone
To: Gnucash Users
Subject: Re: [GNC] Account Currency Screwed Up Again!
Message-ID: <821d9637-24ee-4c33-a1bf-792fe55e8...@lusfiber.net>
Content-Type: text/plain; charset=utf-8
Would creating a new du
Would creating a new duplicate account with the proper assigned currency, then
deleting the old account and choosing to transfer all transactions to the new
currency work?
That would be significantly easier than manual editing.
I’m not sure how the use of Trading Accounts affects this, or if it
Have you checked the default currency used Edit->Preferences, Accounts tab,
Default Currency. It is normally set to locale. I guess you are in Australia
so it should be AUD. If not, diid you possibly create the book originally
while overseas or the locale on your computer was not set to Australia.
I haven't see an answer to this on the distribution list, nor on Nabble
<http://gnucash.1415818.n4.nabble.com/GNC-Account-Currency-Screwed-Up-Again-td4715785.html>.
Can I fix this by editing the XML file?
I am using GC v2.6.19 under Ubuntu Studio 18.04. Is there a function to
Many years ago I set up in GC a bank account denominated in AUD to buy
and sell securities in that currency. While reconciling my end-of-year
statements I only just noticed while attempting to enter a new price for
one of the securities that all transactions in that account (not just
securitie
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