I ran into this while trying to load a utf-16 encoded file
and loading a saved preset using utf-8. By applying the preset
the columns in the utf-16 file were no longer detected, but
the importer was still trying to read from a preset account column.
This information is not relevant outside of the settings code
The way it's implemented now each settings module defines its
own unique prefix and the generic code can just use it when
needed.
Make it more RAII, in that whatever the class allocates, it should
also deallocate. This simplifies a couple of memory handling cases.
The only exception is the generic import matcher that for some reason
has chosen to deallocate itself. To be fixed when more importers are
converted to c++
As the assistant code combines multiple memory management models care should be taken
not to mix them up. The notes should give some insights in how to do this.
Also fix a few minor issues
- delete default copy and move constructor/assignment for the assistant gui class
- nullify a freed pointer
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This comments are to help emacs recognize that the files are xml
since they don't have 'xml' as an extension
Currently running "ninja-build package" produces a file with and incorrect
version number. This patch passes the CMake version variables into CPack to get
the correct filename.
Old "gnucash-0.1.1-Linux.tar.gz" new "gnucash-2.7.5-Linux.tar.gz"
This was producing a date corresponding to 01-01-1970. make-zdate was
being used in aging.scm as a hack to search all splits prior to
end-date. fix the date query logic to set begin-date match to #f.
There is no spacing between the text and the frame in the dialog
"New File" > "New Accounts Hierarchy Setup". In some cases - when
changing the window size - the text appears next to the frame.
It does not look very clean. As a solution, I have defined here a small spacing: 5px.
Really use all splits of any given day. Up to now usually the splits
of the given date were not or not all included, as the time comparison
didn't correctly ignore any given time-of-day of the splits. Instead,
all possible time-of-days should be included.
The subtotal summary-grid will tabulate subtotals - prime-sortkey
vertically, sec-sortkey horizontally. This will be useful, for
example, with prime-sortkey = accounts, sec-sortkey = date,
sec-subtotal = monthly... will produce a monthly time series
spreadsheet.
Introduces grid datastructure.
This is a simple list, each element is a vector
(vector row col data).
In the Transaction Report, row and col are defined
as a pair (cons sortvalue subtotal-heading), whereas:
- sortvalue = string/number used to sort the grid headers,
- subtotal-heading = string used as grid header row/col
- data = the gnc-monetary collector.