Replying to an old thread I found with a search.
Using GnuCash version 4.11 on Windows 11. I've been using GnuCash for a
few years and very happy with it. I haven't seen this problem until
recently when I switched my scheduled transactions from no automatic
entry with reminders, to automatic
The last time this occurred would be the first run on the 10th. Here is
the contents of the trace file with the earliest time on that date:
* 07:53:46 WARN [gnc_spawn_process_async()] Could not spawn
perl: Failed to execute child process (No such file or directory)
* 07:53:46 ERROR <> gnc_pr
Thanks John! Installed the nightly this morning and did some simple
testing. Seems to be working now.
Tom
On 8/12/2022 3:11 PM, John Ralls wrote:
That was it: The registers weren't refreshed unless the SLR dialog runs and the
user clicks OK. I've pushed a fix that will be in tomorrow's nigh
Many thanks to the development team for your hard work on GnuCash.
I installed V5.0 and am having trouble getting the Balance Forecast
report to work. Do I need to do something with (use-modules
(sw_expressions)?
Reports - Assets & Liabilities - Balance Forecast
Windows 11
GnuCash V5.0 Bui
I have a question about the dates used for Balance Forecast.
Start Date allows me to use today, that works well for me. But for End
Date, I'd like to use Today + 2 months. The selections available don't
allow that.
Are there any options available that would allow me to add an item to
that
Alphavantage is having issues, completely separate from GnuCash. I did
some experimenting today with queries for one mutual fund. GnuCash is
not involved at all in this test.
Here are responses to several identical queries I made. One line has
the date/time of the query, followed by the resp
I always reconcile my accounts to the penny and it has always worked
well for me in the past except today. In my credit card account. I
some how ended up with two extra charge transactions in my account that
shouldn't have been there. Both had amounts equal to two other valid
charge transact