Been using the software for years without issues in opening up after
downloading the update.
After installing Gnucash-Intel-4.1-2.dmg and clicking on the GNUCASH icon, I
get the warning from Mac about opening the file download using Firefox. Then I
select OPEN => nothing happens. GNU CASH do
Hi John
Thank you for your continued support.
This is the path displayed for Strawberry Perl.
PS C:\Users\User> [Environment]::GetEnvironmentVariable('PATH',
'MACHINE')
C:\Windows\system32;C:\Windows;C:\Windows\System32\Wbem;C:\Windows\Syst
em32\WindowsPowerShell\v1.0\;C:\Wi
How do I access the web version of the mailing list?
Kind regards, Greg Feneis
(Pixel 3)
On Sun, Aug 9, 2020, 23:37 Michael Hendry wrote:
>
> >>
> PS Found the links to the threads on the Web version of the mailing list,
> and have included these in the entries in Bugzilla.
> _
Samanta,
Am 10.08.20 um 12:53 schrieb Samantha Payn:
> But you lost me at the next bit.
>
>PS C:\Users\User> Get-ChildItem -Path
>$Env:USERPROFILE\AppData\Local\Temp -filter gnucash.trace.* |
>Sort-Object -Property Date
>Directory: C:\Users\User\AppData\Local\Temp
>Mode LastW
Hello Greg,
Am 10.08.20 um 13:21 schrieb Greg Feneis:
> How do I access the web version of the mailing list?
>
> Kind regards, Greg Feneis
> (Pixel 3)
https://lists.gnucash.org/pipermail/gnucash-user/
it is also mentioned in
https://wiki.gnucash.org/wiki/Mailing_Lists and
https://lists.gnucash.
LMGTFY
You *could* go to the non-sanctioned, flawed third party repackager Nabble at
http://gnucash.1415818.n4.nabble.com/
Or you could go to the official sources at
https://lists.gnucash.org/mailman/listinfo
Your choice.
David
Original Message
From: Greg Feneis
Sent: Mo
Odd that the list isn't properly sorted...
Original Message
From: "Frank H. Ellenberger"
Sent: Mon Aug 10 09:16:42 EDT 2020
To: Samantha Payn
Cc: gnucash-user@gnucash.org
Subject: Re: [GNC] Difficulty with online price retrieval
Samanta,
Am 10.08.20 um 12:53 schrieb Samantha
Did you try opening it a second time? I’ve always had the gatekeeper dialog go
away, and gnucash fails to open. Once gatekeeper has permission, it doesn’t
interfere any more, and all subsequent launches work as expected. My first
attempt in a certain unreleased version finally seems to have fix
From: Stan Brown
To: gnucash-user@gnucash.org
Subject: Re: [GNC] GnuCash and Swedish accounting legislation
Message-ID: <6a54ecab-ea17-d69d-9bc1-8f78db1fe...@fastmail.fm>
Content-Type: text/plain; charset=utf-8
On 2020-08-09 10:39, Bruce Irving via gnucash-user wrote:
> The idea of freezing a tr
> On Aug 10, 2020, at 6:16 AM, Frank H. Ellenberger
> wrote:
>
> Samanta,
>
> Am 10.08.20 um 12:53 schrieb Samantha Payn:
>> But you lost me at the next bit.
>>
>> PS C:\Users\User> Get-ChildItem -Path
>> $Env:USERPROFILE\AppData\Local\Temp -filter gnucash.trace.* |
>> Sort-Object -Pr
On 2020-08-09 20:24, John Ralls wrote:
> I think my proposal--using relative dates like beginning of the current
> month--fits your use case perfectly and would save you the annoyance of
> having to update the specified date every month and the risk of possibly
> forgetting.
Not so much. I ne
You can’t run it from the disk image. Drag it somewhere on your hard disk
(usually the Applications folder) and run it from there. Once on your hard
disk, try launching the app. If you don’t get the option to click an Open
button, then you’ll have to right click on the app and choose Open from t
I'm running my 1st OFX import since updating to 3.8 and the ofx import
is going to the wrong base (source) account. How do I change that??
I see this in the help
*|"GnuCash|* then opens an Account Selection dialog to select an account
in your CoA to match to an account name in the import file
Hi John
I did what you suggest and this is what I got:
PS C:\Users\User> Get-Content
$Env:USERPROFILE\AppData\Local\Temp\gnucash.trace.VEQEP0.log
* 11:46:06 DEBUG rpt-subdir=gnucash/reports/standard
* 11:46:06 DEBUG mod-dir=C:\Program Files
(x86)\gnucash\share/guile/site/2.
Hello,
I use QIF to import all my imports, including stocks and multi currency and
it just works, not sure why.
I use the latest GnuCash version that comes with CentOS.
I use trading accounts and when I have a currency exchange I only populate
the two entries and the two trading account transactio
We need to hear from the developers or users that have tried the new CSV
importer or QIF importer about this.
I know that the referenced bug report applies only to the old CSV importer,
not to the new CSV importer, and GnuCash has been able to handle multiple
accounts and presumably multiple curre
I tried to import an OFX from a different institution, a credit card
this time, it was a bank last time. It used the same account as the
Source Account.
I tried a trick I found on the list from a decade ago, delete the
account, and move all transaction to a new account. No go. Now it
seeme
I haven’t tried moving something from the HD to Applications recently. It
didn’t used to be a problem. If gnucash was running, I’d suspect the OS was
complaining about moving something into a protected place at a bad time.
Otherwise, I haven’t a clue. But next I’d try restarting the Mac and movi
Both fixed date and relative date locking are needed, let me chime in to
say, with reasons that may not have been considered so far. Relative (same
as number of days?) should be a mild locking, like just a notice that can
be over-ruled ("The transaction is more than 60 days in the past, are you
su
Good. It succeeded in finding Finance::Quote from the command line. That should
be sufficient to enable the Fetch Rate button. Was it enabled?
Regards,
John Ralls
> On Aug 10, 2020, at 12:06 PM, Samantha Payn
> wrote:
>
> Hi John
> I did what you suggest and this is what I got:
>
> PS C:\U
Thanks Adrien! My replies interspersed. Mainly it seems I use term
"closing" differently than you do.
On Sun, Aug 9, 2020 at 6:44 PM Adrien Monteleone <
adrien.montele...@lusfiber.net> wrote:
> On 8/9/20 5:51 PM, doncram wrote:
> > In the recent thread with Marilyn Graves, and also in previous
Argh, i misspoke i guess, "adjusting entries" is the more accurate term
than "closing entries" for these accruals. But implementing the adjusting
entries is in fact part of "closing the books", and I think my usage is not
so bad. However, in the language of intro accounting (the only place that
c
John
Thank you. I guess it was a read only.
I have reconcile my account. Do not know why the file was read only.
Thanks
Chris T
Sent: Sunday, August 09, 2020 at 9:19 PM
From: "John Ralls"
To: "Chris Tsuji"
Cc: gnucash-user@gnucash.org
Subject: Re: [GNC] reconcile
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