count splits that aren't really in the transaction.
The rewrite left out one test. This was most obvious in the dummy
transaction used to enter a new transaction into an account.
xaccSplitGetOtherSplit never returned an "other split" for this
transaction. It turns out the old code was broken too, but
it worked for this case by coincidence.
When g_object_new() is used, the strings that default to "" are added to
the string cache. These are then not correctly removed when updating them
with new values when cloning a Transaction/Split.
Use CACHE_REPLACE instead of CACHE_INSERT.
Same as xaccSplitListGetUniqueTransactions but doesn't reverse the
list prior to returning. To be used by gnc-tree-model-split-reg.c
Several optimizations
* doesn't call g_list_find and g_list_append for every iteration
* uses g_hash_table to cache list of txns already added instead of g_list_find
* does not reverse the result, thereby returning a reversed list.
Splits were not marked for deletion if the transaction is read-only
and the account is not marked for deletion yet. The net result is
that split will not be freed later on.
However xaccSplitDestroy is also called from a Transaction's do_destroy.
At that point accounts are not necessarily marked for deletion yet (like
is the case when a datafile is closed). This turned out to be a problem
for invoice post transactions (which are also read only) and hence
would cause memory to leak.
This will avoid a ninja-build from picking up a config.h generated by the autotools build
(in the root build directory). Picking up the wrong config.h may lead to all kinds of
subtle issues if the autotools run was done with different options than the cmake run.
It is split into
- /libgnucash (for the non-gui bits)
- /gnucash (for the gui)
- /common (misc source files used by both)
- /bindings (currently only holds python bindings)
This is the first step in restructuring the code. It will need much
more fine tuning later on.