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Greetings all,
Non-production release 1.56_03 is available for evaluation/testing.
https://www.cpan.org/modules/by-authors/id/B/BP/BPSCHUCK/Finance-Quote-1.56_03.tar.gz
It can be installed via cpan/cpanm as
'BPSCHUCK/Finance-Quote-1.56_03.tar.gz'.
I hope you can help me unwind an error I made after not following one of
the steps in a busybee post video on youtube: I transposed a couple of
numbers on one transaction, this resulted in there being a difference of a
few dollars. Rather than hitting "postpone," I hit "finished" with the plan
of
Hello
I use V5.1 & Win11
My Standard Report - 'Equity Statement' does not show any amount for
'Investments for Period'.
I am sure that I have made investments and recorded them in the respective
Asset account (Stock).
Gnucash HELP is not really helpful for 10.3.5.2. Equity Statement.
Any idea
Hi,
Is there is a way to maintain two accounts and _reports_ in same
machine.
Thanks,
N.Srinivasan
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Gregory,
If you've corrected your txn you don't need to reverse anything, you can
run a reconciliation as many times as you want, ignore the starting
balance, it's the closing balance that matters and what you are reconciling
to.
Cheers David H.
On Sun, 25 Jun 2023 at 09:03, Gregory Donavon
wro
On 6/24/2023 8:43 AM, N Srinivasan via gnucash-user wrote:
Hi,
Is there is a way to maintain two accounts and _reports_ in same
machine.
Thanks,
N.Srinivasan
a) Yes, of course. But this should be obvious from the simple fact that
almost any OS now in use supports multiple sequential use
On Sat, 24 Jun 2023 20:22:28 -0400
Michael or Penny Novack wrote:
> On 6/24/2023 8:43 AM, N Srinivasan via gnucash-user wrote:
> > Hi,
> > Is there is a way to maintain two accounts and _reports_ in same
> > machine.
> > Thanks,
> >
> > N.Srinivasan
>
> a) Yes, of course. But this should
Oooops!
Make that 1.56_04. I forgot to merge one pull request.
https://www.cpan.org/modules/by-authors/id/B/BP/BPSCHUCK/Finance-Quote-1.56_04.tar.gz
It can be installed via cpan/cpanm as
'BPSCHUCK/Finance-Quote-1.56_04.tar.gz'.
Bruce S.
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Hi List,
This is more a general accounting question than specifically a GnuCash
one, but thought there might be better help on the list for it.
Background:
I use GnuCash for business use, and track the purchase of inventory.
This goes into an Inventory Account
When sold, the sale gets recorded