gnucash/NEWS
2020-09-26 15:43:54 -07:00

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Version history:
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4.2 - 27 September 2020
The third release of the 4.x stable series.
Between 4.1 and 4.2, the following bugfixes were accomplished:
Bug 102787 - Currency selection should do autocompletion
Bug 476114 - Goto register by date feature req
Adds ability to jump to arbitrary date.
Bug 554391 - Tax Options dialog - can only assign one TXF category at a time
If the Tax options dialog is opened from the Chart of Accounts
and an account is selected then the tax dialog will preselect
that account.
Bug 787295 - Allow UI jump from Business accounts to their relevant
invoice/bill/voucher
Bug 797514 - Changing transaction unreconciles a split inconsistently
Partial: This make sure that the split's reconcile status
gets updated before the transaction is committed.
Bug 797730 - Transaction matching can match multiple imported transactions
to the same existing one
Bug 797839 - Auto-complete prevents entering non-ASCII transaction
descriptions
Bug 797852 - Error in Accounts Payable Aging re cut off dates
Bug 797857 - Edit->Preferences: Help/Close buttons unreachable
Bug 797874 - Errors in register and new-account UI
Bug 797878 - Pie chart displays fractions and long decimal representations
Ensure amounts rendering is rounded to report-currency SCU
Bug 797880 - [gnucash-cli] encoding and font differing from manually
exported reports (Win10, German locale).
Bug 797883 - [Transaction Report] non-localized string
Bug 797889 - editing amounts in dr / cr behaving oddly
Bug 797893 - Unable to change font size in charts
Use the stylesheet font values instead of hard-coded ones.
Bug 797895 - Hang for a long time (9 minutes per account) importing a QFX
file.
Bug 797896 - [HBCI] crash when downloading transactions.
Bug 797897 - Cannot select multiple accounts in Tax Report Options
Bug 797898 - [reconciliation] calculated balance amount per reconcilation
date depending on actual time.
Bug 797900 - Crash caused by Quitting while Check and Repair All is running
Bug 797923 - Running employee report results in "Unbound variable: txn"
Bug 797924 - Crash when searching for customer to process payment.
Bug 797935 - Strange formal register headers
In languages other than English because of poorly constructed
translatable strings.
Bug 797936 - Lot viewer notes field too narrow
Bug 797945 - Tools -> Import Map Editor causes GnuCash to lock up
The following fixes and improvements were not associated with bug reports:
Update version in README, add Boost::program_options to dependencies.
[report-utilities] compact functions
Small fixes for various translation issues:
Deduplicate translatable strings
Add context to one-letter strings in guile code
Fix typo in linked document gui Align translatable strings
Expose C_ function (gettext with context string) to guile code, first use
is for the document link short code (L)
Improve and repair progress bar display on a variety of reports and
windows, improving performance on several by reducing the number of
progressbar calls.
[gnc-main-window] enable show_text for progressbar, allowing
gtk_progress_bar_set_text to actually display the progress text.
Fix help_label of dialog-doclink.glade, remove question mark from
Available, and insert missing spaces into the Business Item variant.
Rename all Transaction and Invoice Association identifiers to DocLink to
better reflect the purpose and for consistency with other software
(e.g. Libre Office).
Rename Transaction and Invoice Associations to Document Links. More clearly
describes the actions and is more consistent with other software
(e.g. Libre Office).
Remove the Remove Linked Document context menu item because that can
be done in the Manage dialog box.
Fix the horizontal scrollbar in the linked docs window.
I18n - deduplicate translatable strings
macOS: Give GnuCash time to shut down gracefully instead of letting macOS
pull the rug out.
I18N: Align glossary to gnucash.pot. Create a similar copyright header.
Add missing Report-Msgid-Bugs-To.
[report-utilities] More dump data functions:
gnc:dump-book - splits grouped by account
gnc:dump-all-transactions - splits grouped by transaction
gnc:dump-split - dumps single split
[business-urls] link to owner report with enddate
[dialog-invoice] gnc_business_call_owner_report_with_enddate
[new-owner-report][api] owner-report-create-with-enddate; accepts enddate
argument like owner-report-create.
Enable exporting the tables in charts and some reports as CSV.
Tweak a few strings to reuse translations
Exported gnc:cmdline-template-export and gnc:cmdline-get-report-id.
Handle ambiguous reportnames by returning #f.
[price-quotes.scm] ensure missing-alphavantage message can show on console
[budget.scm] Fix report crash on books with unreversed budgets
[gnucash-cli] -R show should accept & try to load datafile
Speed up computation of import match lists by running query only once,
committing accounts only once, and doing a bulk insert into the
GtkTreeview.
Add Python example export_account_totals.py. Exports acount totals of all
accounts into a CSV file.
Updated Translations: Dutch, German, Italian, Ukrainian
New Translations: Estonian, Indonesian
4.1 - 26 July 2020
The second release of the 4.x stable series.
Between 4.0 and 4.1, the following bugfixes were accomplished:
Bug 775582 - Change "Petrol" (or Gas if seen in USA) to "Fuel".
Bug 797759 - Some transactions are not highlighted in the matching window
Bug 797787 - Feature request: preference setting to open new tabs adjacent
to currently active tab (as opposed to at the end of the tab
list).
Bug 797825 - OFX import crashes on import of investment transaction
Bug 797827 - 4.0.1 gnucash-cli seg faults on macOS Catalina
Bug 797828 - Budget Barchart was not upgraded
Upgrade to html-chart: Use period start/end instead of
date start/end
Bug 797830 - Expense over time has extra empty row
Bug 797831 - Printer not found
Bug 797834 - Ctrl+A in account register fields chimes after any element
newly focussed.
Bug 797835 - Zero Crossing in 4.0 that wasn't in 3.10
Bug 797842 - Windows: Insertion cursor invisible in Edit Account or New
Account windows until text fields have content.
Bug 797843 - Quickfill broken with Cyrillic input language
Bug 797844 - Typing account number to select account fails
Bug 797845 - Backspace key produces incorrect result
Bug 797847 - Best match probability calculation on import is too
pessimistic.
Lowering the minimum value for the auto-clear preference.
This is to allow user to still auto clear even when date
doesn't match exactly.
Bug 797850 - Account register credit/debit column headings untranslated
Bug 797853 - Crash on "Save As" in MacOS Mojave and Gnucash 4
Bug 797854 - Global Register Preference to prompt for interest payment is
not being honored.
Replace the global preference item with a per-account option,
enabled only on those account types where interest might be
paid or charged.
Bug 797858 - Transaction date is one day too early from SWIFT MT940 import.
Bug 797861 - Yearly / Monthly average reporting displays zeros
Bug 797873 - New Account Hierarchy selects en_US
The following fixes and improvements were not associated with bug reports:
Accommodate Guile-3.0 in Scheme code.
[html-style-info] Display fractional amounts as decimal in price-render
Warn against using xaccTransGetSplit for iteration instead of encouraging it.
Quickfill cells: Remove the selection after a delete.
Accommodate AQBanking < 6 use of GWEN_TIME instead of GWEN_DATE.
ensure averaging-multipler returns exact numbers rather than floats
[gnucash-cli] improve "-R show" to describe report
Don't leak the libofx contexts in gnc_file_ofx_import_process_file/
Make the edit dialog refresh the auto-interest flag display based on pref
Remove global preference for auto-interest-transfer
[Reports] Use SRFI-9 records for HTML styling.
[html-style-sheet] combine 2 similar functions
Let environment override AppleLanguages on Macs.
[balsheet-eg] remove unused functions
[balsheet-eg] modernize accrec to use srfi-9 record
[account.cpp] prevent crash in gnc_account_get_currency_or_parent.
CMakeLists: mark deprecation of .scm files
[eguile-utilities] Ensure that fmtnumeric renders numbers as decimals instead of exact fractions.
[Python Bindings] Implement keyword paramters to selected functions.
[Python Bindings] Adapt to use of sessionOpenMode in qof_session_begin
introduce python submodule deprecation.
Link with libm.so on those platforms that require it.
[account-piecharts] round account->balance to report-currency SCU
[report-utilities] ensure commodity-collector doesn't round amounts
[advanced-portfolio] simplify basis functions
[advanced-portfolio] simplify basis-builderand use scheme division which is more accurate than gnc_numeric_div. tests need to change slightly.
[git-release-notes.pl] html-escape strings in the html output.
Updated Translations: Croatian, Hebrew, Italian, Japanese, Romanian, Ukrainian
4.0 - 28 June 2020
The first release of the 4.x stable series.
Between 3.906 and 4.0 the following bugfixes were accomplished:
Bug 787295 - Allow UI jump from Business accounts to their relevant
invoice/bill/voucher
Bug 797815 - Obsolete gnucash-launcher.cmd still shipped
Other fixes and improvements were not associated with bug reports:
Revert the changes made to save Register default layouts as discussed
in PR #743
Setting a sheet column width to 1 when resizing by dragging
Column widths of 0 are not saved by the table and so revert back to
calculated widths when reloaded.
Disable showing glyphs for associations on MacOS
i18n: Fix missing context in single-character translated strings
[advanced-portfolio] move helper functions to toplevel for testing
[html-utilities] use ice-9 match
deprecations: remove functions deprecated in 3.x
deprecations: clarify functions deprecated in 4.x.
Updated Translations: Dutch, German
3.11 - 28 June 2020
The twelfth and final release of the 3.x stable series.
Between 3.10 and 3.11, the following bugfixes were accomplished:
Bug 782455 - Modify Add Reversing Transaction feature.
Bug 797114 - Fixing an SX due to deleted account stuck in an error loop
Bug 797351 - General ledger register transaction becomes "zombie" after
deletion.
Bug 797648 - Cannot reconcile both splits of a transaction with 2 splits
for bank account subaccounts if only 1 is cleared.
Bug 797659 - Liabilities in budget report no longer calculate correctly.
Restores budget-3.7 behaviour for current budgets. Fixes
future budget behaviour. Restore budget-3.7 headings
"Income/Expense/Transfer" Renamed budget-3.7 heading Total
to "Remaining".
Bug 797670 - scheduled transaction editor can remain open when switching
file, which causes seg fault when later closed
Bug 797677 - Price Database Saving Wrong Price for Foreign Currency.
Bug 797684 - GTK_DEBUG=interactive - Bail out -
gdk_window_set_cursor_internal.
Bug 797697 - Enable DEP and ASLR for the Windows build.
Bug 797707 - CSV Transaction Export: custom dates should be insensitive
by default.
Bug 797717 - Summary bar changes height when opening a menu or scrolling
over an option.
Bug 797737 - Import matching can match an imported transaction to an
existing, previously matched transaction.
Bug 797748 - missing header "algorithm".
Bug 797750 - SIGSEV in swig-engine.c
Bug 797761 - Customer report beta: opening balance tax column shows garbage
string.
Bug 797799 - Add Tip of the Day for "Notes" field
Bug 797811 - GnuCash crashes with segfault when saving to mysql when
database already exists.
Other fixes and improvements were not associated with bug reports:
[eguile-utilities] fmtnumeric displays decimal instead of fraction.
L12N: merge recent messages into all po files.
Add missing std c++ #includes into gnc-imp-settings-csv-price.cpp.
I18N: Improve tooltip about double-line-mode.
Update description of gnc_gnome_help and gnc_launch_assoc
Remove obsolete documentation files.
Move the Windows README files to gnucash-on-windows where they belong.
I18N: Fix several issuse with 'Help not found' strings.
Fix the crash that occurs when opening a new book when the
transaction-matching dialog has been opened then closed.
Display report zoom factor with one decimal space to match the paramter.
Invoices were setting the transaction post date to midnight local instead
of 10:59 UTC normalized time.
Add a tip about announcements and other mailing lists to the Tip of the
Day list.
Fix three problems with setting dates in the Scheduled Transaction editor:
* If the recurrence date is before the start date in the current month
the SX summary dialog would show the next occurrence in the current
month, before the start date.
* If the recurrence date is one day before the start date the calendar
control would incorrectly mark the first instance in the starting
month.
* Set a monthly recurrence on the 18th, with a start date on the 20th
and an end date on the 17 of the following month. The calendar should
show no mark, but fails to erase the marks that were present.
Improve python shell output and explanatory comments.
Ensure that python help displays help.
[fin.scm] return #f instead of -1 if n is out of range
Add a "Delete Budget" menu item to Actions>Budgets.
[gnc-exp-parser] If gnc:fn returns anything other than a number, abort
rather than crash.
[window-reconcile] Refactor common actions into WidgetSetAmount.
Force WITH_PYTHON=YES for distcheck to ensure that it works from the
tarball.
Updated Translations: Croatian, Finnish, German, Hebrew, Ukrainian
3.906 - 21 June 2020
The fifth unstable release leading to the new 4.x stable series. This is the release-candidate: Barring any serious bugs it's what we'll release as 4.0.
Between 3.905 and 3.906, the following bugfixes were accomplished. Some of these will also be fixed in GnuCash 3.11, some are for 4.0 only.
Bug 797808 - Caps Lock Breaks Almost Everything
Bug 797811 - GnuCash crashes with segfault when saving to mysql when
database already exists.
The following fixes and improvements were not associated with bug reports or new features:
Add missing #includes into gnc-imp-settings-csv-price.cpp
Found in failed win maint nightlies.
[business-core] string-hash doesn't guarantee unique hash, use guid
string instead.
Updated Translations: Ukrainian
3.905 - 14 June 2020
The fourth unstable release leading to the new 4.x stable series. See 3.902 and 3.903 below for additional requirements and features.
Between 3.904 and 3.905, the following bugfixes were accomplished. Some of
these will also be fixed in GnuCash 3.11, some are for 4.0 only.
Bug 796993 - Gnucash should warn the user in case of missing Alphavantage
API key instead of silently failing
Bug 797531 - Improve behaviour when following a hyperlink to a split that's
filtered in the register. Currently if a jump to a filtered
register is made, this could be from a report, other register,
reconcile window and transaction associations and the
destination split is not shown the jump will end up at the
last active cell. This could be confusing so add a test for
the destination split being visible and warn the user with an
option to temporarily clear the filter.
Bug 797746 - [reports] German umlauts not escaped
Bug 797790 - [Transaction Association] Change dialogue: use existing
information to determine the default folder. When there is no
association set, if the file option is chosen set the default
folder for the file chooser to that of the path head
preference.
Bug 797791 - [Windows] list of command line options after
'gnucash.exe --help'? Make gnucash-cli a console application
on Windows so that its output will be redirected to the
connected console.
Bug 797799 - Add Tip of the Day for "Notes" field
Bug 797804 - Date entry field is glitchy (v3.904 regression)
The following fixes and improvements were not associated with bug reports or new features:
Ensure balance-sheet balances do not ignore closing entries, including
them in closing balances from profit&loss.
[balsheet-pnl] value-collector doesn't need to ignore closing.
The value-collector is only used to tally account balances for
asset&liability accounts. These accounts never have closing entries.
No need to test closing property.
[trep-engine] don't create intermediate cells object.
From cell-calculators (a list of column-info), the cells object (list
of column-data) was created unnecessarily. use cell-calculators
directly.
[gnucash-cli] --report show/list outputs to stdout and their error messages
output to stderr.
I18N: Improve tooltip about double-line-mode.
Suggestion by Adrien Monteleone.
Drop unused boost::locale::generator instantiations.
We now have one single case in gnc-locale-utils and all code uses
gnc_get_boost_locale to get the proper locale.
Fix translations using boost::locale::translate
Fix report dependencies that caused Xcode build failure.
Update Schedule Transaction Template dialog status bar.
Copy the functions from gnc_main_window that updates the status bar
with the action tooltips to gnc_window so that both GncMainWindow
and GncEmbeddedWindow can use without duplicating code.
Add the Register width menu options to the Scheduled Transaction Template
dialog.
[balance-sheet] hide trading-accounts if use-trading-accts? is unset.
Fix a null parent error in the New Account Hierarchy Assistant.
Updated Translations: German
3.904 - 7 June 2020
The third unstable release leading to the new 4.x stable series. See 3.902 and 3.903 below for additional requirements and features.
3.903 was the feature-freeze release. However, the command-line arguments for both gnucash and gnucash-cli have been adjusted as follows:
--add-price-quotes is changed to --quotes get
--run-reports is changed to --report run --name <report name>
Added --report list to produce a list of available reports.
Added --report show --name to describe the options changed from the default values in the named report.
The intent is to have command categories with subcommands to better enable a richer command line capability as illustrated with the new report commands list and show.
Between 3.903 and 3.904, the following bugfixes were accomplished. Some of these will also be fixed in GnuCash 3.11, some are for 4.0 only.
Bug 797739 - Tweak Transaction Report Column Defaults
Bug 797774 - Add tooltips to abreviated header columns for all table like
GUI elements
The Bill/Invoice due reminder has a column header of 'CN?' which
was unclear of meaning which is 'Is this xxx a Credit Note'. A
tooltip was suggested but a better fix is to change the column
to display the 'Type' so you would see Bill, Invoice or
'Credit Note' just like you see in the find dialog.
Bug 797775 - Rate/Price displayed as fractional in CSV Export
Change the CSV transaction exporter to follow the Preference
setting of 'General->Force Prices to display as decimals'.
Bug 797781 - Num Field Regression - characters in wrong order when typed.
The following fixes and improvements were not associated with bug reports or new features:
Add a tooltip for the 'C' column in the Chart of Accounts
To match existing one character headings for 'Place Holder' and 'Hidden'
columns.
Add first version of gnucash-cli manpage
Rework command line option parsing to store values directly in class member
variables
[cli-reports] modify to open session readonly
3.903 - 1 June 2020
The second unstable release leading to the new 4.x stable series. See 3.902
below for additional requirements and features.
New Dependency: Boost program_options.
New Features:
A new separate executable, gnucash-cli (gnucash-cli.exe on Microsoft Windows)
for doing command-line things like updating the prices in your book.
gnucash-cli gains the ability to run reports from the command line. Specify
reports to run by name or guid. It also provides an export format and an
output file name without which it will output the report to stdout.
Report Synopsis:
gnucash --run-report=[reportname/guid] datafile.gnucash
gnucash --run-report=[reportname/guid] --output-file=x.html datafile.gnucash
gnucash --run-report=[reportname/guid] --output-file=x.html --export-type=TYPE datafile.gnucash
When deleting accounts the destination accounts of moved splits will be
checked to ensure that they're the same as the source. If they're not
you'll get a warning and the opportunity to pick another account or to
carry on regardless.
New type-ahead search added to sequential search when selecting an account in
the register: Instead of typing the first few characters of a top level
account, the separator, the first few characters of the next level account
and so on you may instead type a few characters of any part of a full
account name and the drop-list will be filtered to contain only matching
accounts. Once you have a small enough list you can use the arrow keys to
select the account that you want.
Python bindings are now localized and their strings available for translation.
The new reports introduced in the Experimental Reports menu are moved to the
main menu and the old reports hidden; the old reports can be unhidded by
running GnuCash from the commandline with the --extra argument. That will
cause the old reports to appear in their regular locations on the menu
labeled legacy. Note that new reports use different options and layouts and
you may need to adjust your saved report configurations.
A new Transaction Association dialog, available from the new Update
Transaction Association item in the register context menu, provides the
ability to have multiple associations for a single transaction. Associations
may now be easily removed.
Allow Associations to be added to invoices. The actual association when
present is added as a link button which is shown below the notes.
A symbol is now displayed on transactions in the register when they have an
attachment and the selected font supports the symbol.
The OFX file importer can now import more than one file at a time.
A new report menu supbmenu Multicolumn contains the old custom-multicolumn
report and a new Dashboard report containing Account reports for expenses
and income, an income-expense chart, and an account summary.
When importing, the matcher will no longer offer to match a transaction to
one that has already matched in a previous import, nor will it offer to
match more than one imported transaction to a single existing transaction.
When no file is open don't ask to save it when opening another file or
quitting GnuCash.
Support for UK VAT and Australian GST added to the Income-GST report. The
reports options are changed from source accounts to source sales and
purchase accounts to permit proper reporting of capital purchases.
N.B. This is incompatible with previous versions of the report and will
require regenerating saved configurations.
Add option to save Layout for Business items.
Add two menu items under windows, one to save an existing layout for
Invoices, Bills and Vouchers to there respective default layouts so the
user set column widths will be used. The second menu item will reset the
column widths to defaults and remove the default layout. Open Business
items will also save there column widths to the page section so these can
temporarily have different widths.
Newly Revised Reports
Income GST
Significant Code Changes:
gnucash-bin.c has been split into 4 parts, mostly C++:
* gnucash.cpp, the GUI executable.
* gnucash-cli.cpp, the command-line executable.
* gnucash-commands.cpp, implementation for the commands that can be run
from the command-line.
* gnucash-app-core.cpp, common code required by both the command line and
gui programs.
* There's also an auxiliarty file, gnucash-windows-locale.c because the
localization code proved resistant to compiling as C++. We're planning
another auxiliary file for the MacOS localization.
A new mock facility for several engine classes to permit better-isolated
unit testing of components that depend on those classes.
Register filter and sort values are saved in the book's state file (book.gcm)
in the user's configdir instead of in the book.
QofSession no longer creates its book, instead one must create a book first
and pass that to qof_session_new()/QofSession::QofSession().
Add option to save Layout for Register itemsAdd two menu items under
windows, one to save an existing register layout based on the register type
to there respective default layouts so the user set column widths will be
used when opening registers. The second menu item will reset the column
widths to defaults and remove the associated default layout. Open registers
will also save there column widths to the page section so these could can
temporarily have different widths.
Add option to save Layout for Business items.
Add two menu items under windows, one to save an existing layout for
Invoices, Bills and Vouchers to there respective default layouts so the
user set column widths will be used. The second menu item will reset the
column widths to defaults and remove the default layout. Open Business
items will also save there column widths to the page section so these can
temporarily have different widths.
Input Method handling in the register is moved to the GtkEntry where it
belongs.
Between 3.10 and 3.901, the following bugfixes were accomplished:
Bug 796531 - transaction report: export file/location associated with
transaction.
Displays the Transaction Association link in the Transaction
Report and when selected will open the association outside of
Gnucash as it currently does when opened from the register.
Bug 796932 - Invoices order when assigning paymentssorts documents in
dialog-payment.c by date, then by document ID.
Bug 797052 - Autofill Selection is Corrupted After Clicking Description
Bug 797185 - [transaction association window] sorting by column.
Bug 797185 - Allow sorting on all Transaction Association columns
Bug 797220 - delete account allows move of all transactions to account having
non-matching currency
Bug 797236 - Regression: Reconcile window transaction list resets to top
when new transaction created in account.
Bug 797264 - 3.5 can't use Chinese IME input.
Bug 797329 - Using Japanese IME to enter transactions results in unexpected
field jumps
Bug 797388 - GnuCash 3.6 segfaults regularly.
Bug 797648 - Cannot reconcile both splits of a transaction with 2 splits for
bank account subaccounts if only 1 is cleared
Bug 797659 - Liabilities in budget report no longer calculate correctly
Bug 797689 - Child dialog windows are demoted behind parent window when task
switching.
Bug 797707 - CSV Transaction Export: custom dates should be insensitive by
default
Bug 797717 - Summary bar changes height when opening a menu or scrolling over
an option
Bug 797737 - Import matching can match an imported transaction to an existing,
previously matched transaction
Bug 797743 - Monetary amounts are occasionally rendered in fractions
Bug 797745 - Unable to change default report currency
Bug 797748 - missing header "algorithm"
Bug 797750 - SIGSEV in swig-engine.c
Bug 797754 - In an account register, scrolling stops working when the mouse
pointer re-enters the scrollbar after leaving it.
Bug 797760 - Broken register split activity--cannot delete splits, unable to
tab complete account name.
Bug 797761 - Customer report beta: opening balance tax column shows garbage
string
Bug 797768 - View Lots sorting numbers not right.
Bug 797770 - Reconciliation report does not consider credit transactions
The following fixes and improvements were not associated with bug reports or new features:
Add an Invoice section to dialog-utils for when the path head changes.
Change the position the register pop up so it aligns better.
Fix the alignment of the Notes label in Transfer dialog.
Set the initial Split horizontal paned position to be half way when the
window is realized.
Set the expanding columns in the lot viewer to be the 'Title' and the
'Description'. Also ellipsize the description to help with long
transaction descriptions.
Change the alignment of the numeric values in the lot viewer to be right
aligned so the numbers line up.
[new-aging] speed up split->ownerseveral speed ups
1. split->owner will now cache results, bypassing gncOwnerGetOwnerFromLot
and gncInvoiceGetInvoiceFromLot for repeated calls to the same split.
2. previously each call to split->owner would allocate a new gncOwner. Now
a new gncOwner is only allocated during a cache miss. the list of
gncOwners is maintained and is purged when split->owner is called with
#f. There is no need to maintain a to-free list of gncOwners anymore.
3. instead of slow gncOwnerReturnGUID to test equality, use gncOwnerEqual.
Fix crash in case filter is less than 4 parameters.
Change the Options GtkCheckBox to use its own built-in label and remove the
label in the first column.
widgets.
Enable the Options Checkbox label to be used to toggle values.
Add enum SplitRegisterTypeGroup to group registers.
Change state_section parameter for gnc_table_save_state
Fix clang error about type mismatch GtkWidget* != void* aka gpointer.
HIG, I18N: Improve Budget menu entries
I18N: fix translator comments in window-reconcile.c
I18N: Fix several issuse with 'Help not found' strings
[QofLog] Replace hashtable with tree of vectors: 16x speedup.
Make qof_log_set_file static. Used only internally.
Move QofLogModule typedef to qoflog.h where it belongs.
[balsheet-eg] don't use safe-cadr and safe-cdr
They are safety hacks which indicate inability to deal with lists. Use
lists properly.
[eguile-utilities] deprecate single-use function used only by balsheet-eg.scm
[balsheet-eg] use "foreign" css class correctly.
[eguile-gnc] don't catch errors in eguile-gnc
Initially select the last account chosen in the account picker dialogs.
Separately keeps track of last investment account, security account, and
income account. One issue is that gnc_import_select_account doesn't tell
the caller if it put up a dialog or found the online ID on an existing
account. This means the last account may be one the user didn't manually
select.
Transaction matcher dialogue was not closing when changing book.
Correct parent widget for import new account dialog.
No Selection on load for Bill Terms.
Change the selection process so it selects the first entry if present on
load and also selects a newly created entry when completed.
Change the Tax Table dialogue to be based on a GtkWindow.
When using Gnucash on Microsoft Windows and a dialog opens a further dialog
when you switch away from the application and back the last dialog that has
the focus is behind the parent and it appears like the application has
frozen.
Fix LIBDBI_DRIVERS_DIR generation.
L10N:de: "Für" klein in "Ergebnisrechnung für Periode" etc.
I18N: Msgmerge recent changes
I18N: Hotfix for bug 797725Add a translator comment
L10N:de_CH: Ein weiterer Tippfehler im Kontenrahmen KMU
[test-stress-options] fix combinatorics testing
Premise: pairwise combinatorics testing is only possible when all options
have at least 2 options. The "General Journal" report is unique because
it starts with the Transaction Report options generator, and adds a few
hidden options. Unfortunately the Transaction Report receives the
"General/Stylesheet" option, with only 1 default stylesheet. The General
Journal report therefore has 1 stylesheet option with only 1 choice, and
is not acceptable to jenny for pairwise testing. It would fail the
combinatorics testing. Adding other stylesheets did not successfully allow
pairwise testing. Therefore the simplest way to test General Journal is to
disable multichoice testing whereby num(choices) is only 1.
[Account.cpp] more xaccAccountTypeGetFundamental types
Fix the crash that occurs when opening a new book when the
transaction-matching dialog has been opened then closed.
Display report zoom factor with one decimal space.
Fix transaction post_date being set to midnight local.
Respect the environment LD_LIBRARY_PATH for loading Scheme modules and tests.
Add a tip about announcements and other mailing lists.
Change occurrences of gdk_display_get_default to gdk_window_get_display()
Remove some Gtk version checks in code
Remove some Gtk version checks for CSS
Fix libgnc-app-utils.dylib install_name_dir. The install location changed as
part of expunging libgnc-module.
Updated Translations: German, Swiss German, Ukrainian
Known Problems:
Bug 797708 - Reconcile Dialog on Import
Bug 797746 - [reports] German umlauts not escaped
3.902 - 27 April 2020
The first unstable release leading to the new 4.x stable series.
3.901 should have been the first release but it had build problems after tagging.
Baseline requirements
Operating Systems:
Linux: Ubuntu 18.04LTS
MacOS: 10.13
Windows: 8.1
Software Dependencies:
C++ standard is now C++17, requires gcc 8.0 or clang 6.0.
Cmake 3.10
boost 1.67.0
gettext 0.19.6 for general use, 0.20 to generate gnucash.pot.
glib-2.0 2.56.1, gtk 3.22.30
googletest 1.8.0
ICU, any version.
libdbi 0.8.3
libxml2 2.9.4
swig 3.0.12 Now required for building from tarballs as well as from git.
Webkit 2.4.11 Mac & Win32, 2.14.1 Linux/BSD
New Features
The matcher window columns are changed from R to C and from U+R to U+C, reflecting that the matcher marks transactions cleared but doesn't reconcile them.
OFX imports having balance information will now offer to immediately reconcile, passing the balance information in the file to the reconcile info.
Improve quickfill in the account pickers to filter the choices based on any part of the name.
The GnuCash widget hierarchy for CSS has been revised to be more consistent with Gtk practice. You may need to spend some time with the GtkInspector to get your custom CSS back the way you like it.
New Account - Online Account match list to the Import Map Editor.
New invalid maps dialog in the Import Map Editor
Optionally include the account code option in budget view.
Account matcher will decline to match accounts with a different commodity from the imported split if the import information includes the commodity.
Ellipsize the Description and Memo fields in the account matcher.
Enable adding notes to budgets. (Bug 693180)
Support for AQBanking Version 6. This is required to support new FinTS protocols and the European Privacy Directive.
GnuCash 4.x will not migrate old gconf settings from GnuCash 2.4.x.
New/Revised Reports
Owner Report
Significant Code Changes
The source directories have been rearranged and most of the loadable modules (e.g. libgncmod-engine.so) are now normal dynamic libraries (libgnc-engine.so), shorn of their gnc-module adapters. Make sure that you clean and rebuild your build directory.
All functions marked as deprecated in 3.x are now removed. If you have custom reports be sure to examine gnucash.trace for deprecation warnings and update your reports before trying them in GnuCash 3.91.
libgncmod-generic-import is now libgnc-generic-import.
Scheme no longer uses libgncmodule, always do (use-modules (gnucash foo))
Autocompletion improvements for the transfer-account field.
New test for invalid mappings for online accounts and a dialog to fix them.
jqplot is replaced by chartjs.
Separate most Guile binding code from the code that it wraps. It's now located in bindings/guile.
Improve Google test integration in cmake. CMake now requires only GTEST_ROOT and only when cmake isn't able to find Google test without help.Unit tests for Scheme code with SRFI64.
Deprecations (will be removed in GnuCash 5.0)
gnc:substring-replace-from-to
Between 3.10 and 3.901, the following bugfixes were accomplished:
Bug 693180 - Add notes to budgeting values
Bug 773198 - Move several reports to Example directory/menu
Bug 773199 - Rename and rebuild Welcome to GnuCash Report
Bug 773200 - Rename Sample & Custom Report Group
Bug 782455 - Modify Add Reversing Transaction feature
Bug 797114 - Fixing an SX due to deleted account stuck in an error loop
Bug 797270 - Budget Chart report - translation of header and dates
Bug 797338 - Change "U+R" and "R" labels to "U+C" and "C" in Import matcher
Bug 797351 - General ledger register transaction becomes "zombie" after
deletion
Bug 797415 - cannot build without libsecret-1-dev
Bug 797472 - Add option to choose account templates
Bug 797485 - Show account hidden column on CoA.
Bug 797486 - Add dialog to cascade placeholder and hidden
Make changes to the existing cascade colour dialog to allow
the selection of cascading colour, placeholder and hidden
account properties
Bug 797489 - No option to use account codes in Budget View - Part2
Add option to allow the account code column to be shown in
the budget tree view and as such the account tree view can
be sorted by this column
Bug 797605 - RFE: Customer/Vendor/Employee Overview should also have
"Process Payment" toolbar
Bug 797612 - Add a dialog to the imap_dialog to show invalid maps
Bug 797670 - scheduled transaction editor can remain open when switching
file, which causes seg fault when later closed
Bug 797677 - Price Database Saving Wrong Price for Foreign Currency
Bug 797684 - GTK_DEBUG=interactive - Bail out -
gdk_window_set_cursor_internal
Bug 797697 - Enable DEP and ASLR for the Windows build
Added hardening flags.
The following fixes and improvements were not associated with bug reports:
Fix 3 problems with the scheduled transactions calculations
* Set a monthly recurrence on the 10th with a start date on the 20th of
this month. The editor correctly shows the next occurrence to be on
the 10th of the following month. The schedule transaction summary
dialog incorrectly shows the next occurrence to be on the 10th of this
month (before the start date!)
* Set a monthly recurrence on the 19th, with a start date on the 20th
of this month. The editor's calendar marks incorrectly show the next
occurrence to be on the 19th of this month (before the start date).
* Set a monthly recurrence on the 18th, with a start date on the 20th
and an end date on the 17 of the following month. The calendar should
show no mark, but fails to erase the marks that were present.
Fix issue when editing the account tree view notes field
When you try to edit a multiline account notes field in the account tree
view you end up with just one line with control characters as it is being
edited with a GtkCellRenderText cell. To fix this I have added a new cell
renderer based on a text view.
Fix failed build of python tests and failed test in 3.10 tarball.
Updated Translations: Croatian, Hebrew, Ukrainian
3.10 - 10 April 2020
The eleventh release of the 3.x stable series.
This is a snap release to reverse the changes to the reconcile
window's filtering reconciled transactions with a reconcile date after
the current statement date when computing the starting balance. It
seems that many users' books have accounts with reconcile dates in the
future that were suddenly filtered out, creating an incorrect starting
balance and making it impossible to reconcile the book.
The following bugs have been fixed:
Bug 620848 - Transfer Funds window - add Notes field
Bug 797006 - Balance is misleading in open subaccounts when different
currencies are involved
Bug 797318 - Amounts ending in zero displayed as fractions
Bug 797659 - Liabilities in budget report no longer calculate correctly
candidate fix.
Bug 797666 - libgnucash/engine/test/test-recurrence.c: In function
'check_valid': 'result' may be used uninitialized
Bug 797676 - Register displays amount in transaction currency...
instead of register currency.
Other repairs or enhancements not marked as bugs:
[window-reconcile] when reconciling, warn on splits having a
reconcile date > statement_date
[window-reconcile] when inputing statement_date, warn if it's after today
[find-transactions] add search for reconciled date
Show transaction value, not amount, for registers with subaccounts.
If the register has subaccounts in different currencies and a
transaction has splits in more than one, the transaction will
incorrectly appear to be unbalanced if we total amounts because the
balancing logic works on split values.
Revert "Bug 797659 - Liabilities in budget report no longer calculate
correctly"
Reverted for snap release. Not tested thoroughly yet.
Add instance argument to Session constructor in python bindings.
Enables a python console to connect to the running GnuCash's session.
Make python console less noisy without --debug.
Provide locals and globals of calling context to the python console's
shell on shell init
Make pycons/ishell.py compatible with Python 3 and current IPython
[eguile-utilities] prevent crash in balsheet-eg.scm
[eguile] escape-html -> gnc:html-string-sanitize
[qif-to-gnc] Properly mark intra-QIF internal transfers.
Translations Updated: Ukrainian.
3.8 - 29 December 2019
The ninth release of the 3.x stable series.
Note for German FinTS users: This release includes the latest fixes
in support of the PSD2 changes. The Mac and Windows bundles include
the current beta releases of AQBanking and its support library needed
to work with most German banks' implementations of FinTS.
Translators, Note Well: The obsolete "disambiguation prefix" translator
comments are removed in favor of three-parameter gettext(). See
https://lists.gnucash.org/pipermail/gnucash-devel/2019-September/044199.html
The following bugs have been fixed:
Bug 412151 - Not handling exception when guile is compiled w/o regexp
support
Disable qif-import and make-regexp if guile is compiled
without regex.
Bug 724219 - Customer Summary includes Closing Entries when reporting
across the end of year
Bug 743943 - "Edit->Post Invoice" is ambiguous.
Bug 759005 - Print negatives in red.
Bug 787295 - Allow UI jump from Business accounts to their relevant
invoice/bill/voucher
Bug 796530 - [txn csv importer] usability suggestions
Bug 796736 - Register cell pop up columns width to narrow
Bug 796945 - Find Transaction Split Search Search Criteria window does
not scroll when added criteria exceed a certain amount
Bug 797078 - "Automatic decimal point" Should Not Cause 2 Different
Behaviors
Bug 797086 - Import customer dialog headers not translated
Bug 797279 - Reports RTL do not support RTL
Bug 797326 - Enhancement: budget's Estimate tool should ignore Closing
Entries
Bug 797356 - ninja check fails with GCC-9
Bug 797390 - xaccAccountRecomputeBalance also tallies no-closing
balances
Bug 797397 - Import Map Editor - Deletion not limited by current filter.
Bug 797401 - Invoice Reports need an overall page width set
Bug 797405 - HBCI Import PIN entry window is hidden behind log window,
program stuck
Bug 797408 - Find Transaction Window -> Search Criteria Section -> Add
Search Criteria -> Section does not expand to new size to
include a newly added Search Criteria
Bug 797416 - Enter key does not move to blank tx or next line
Bug 797418 - In budget report, column with Actual Totals for
Liabilities and Income are reversed
Bug 797430 - SEPA transfers are not executed
Avoid double init of gui Patch by Mike Pieper. Thanks!
Bug 797453 - Chart of Accounts is slow to update / redraw
Bug 797459 - Installation (for 3.7) Readme Version number shows 2.2.x
Bug 797462 - gnc:strify reports the amount and value incorrectly
Bug 797473 - UTF8 characters not processed correctly with aqbanking6
Bug 797481 - crash on close of unsaved tabs by pressing [X]
Bug 797482 - Can't edit date when using Edit Payment function
Bug 797492 - Lock up on 'Find Account'
Bug 797500 - valgrind errors - new/delete vs malloc/free
Bug 797506 - New Aging errors out with guile backtrace in case of a few
uncommon transactions
Bug 797519 - Budget Viewer Totals do not redraw upon to Sign-Reversal
changes
Bug 797520 - Balance Sheet (Multicolumn) the retained earnings amount
in the equity section has its sign reversed
Bug 797521 - Receivable Aging (beta): include earliest split
Bug 797521 - Receivable Aging (beta): prepayments logic doesn't work,
appears to use incorrect absolute value logic
Bug 797532 - Crash/Coredump Lots
Other repairs or enhancements not marked as bugs:
The Customer/Employee/Vendor reports have been rewritten. The new
versions may be found in Reports>Experimental.
[stylesheet-css] a user-customisable CSS based stylesheet
New stylesheet. Exposes a single text box for full CSS
customisability.
Allow account selection by typing into the post-to field of the payment
window
When sizing some register columns take account of 'Tot' being added.
Take account for the pop up button border in the register.
Change the date sample so it has the maximum text width possible
[new-owner-report] bugfix: balance row needs variable linked cols
Improve translations by scriptedly removing the removed colon suffix.
[report-utilities] bugfix: aging-list was incorrect. off-by-1 error.
[report-utilities] bugfix: overpayment works for AP accounts.
Swap the buttons around on the Budget Open dialogue
Swap the OK and Cancel buttons so they conform to the normal layout.
[report-utilities] bugfix: fix overpayment detection
For 1 payment to >1 invoices, previously would miscalculate
overpayment.
[budgets.scm] Budget reports handle both natural & reversed budgets.
This change is protected by a Feature: Using it will prevent the file
from being opened by earlier versions of GnuCash.
[gnc-budget-view.c] totals - 5 fundamental types
previous showed income/expense/transfers/totals budget totals, of
uncertain meaning. now shows income/expense/asset/liability/equity
budget totals. The 5 lines also become sensitive to the global
sign-reverse property.
bindings-python - drop references to gnucash-env
We no longer ship a gnucash-env script, directly use python(3)
instead
[balsheet-pnl] fix: single-date balsheet missed printing date
[balsheet-pnl] fix: hide Equity sections when not needed
* If currencies are not converted, Unrealized Gains are meaningless.
Hide them. * If there are no income/expense accounts, retained
earnings will be nil. Remove row.
Ignore trailing noise on imported transaction account numbers.
AQBanking6 uses a separate method for retrieving account numbers for
account info and transactions, where the transactions method can have
additional characters, most often the ISO4217 currency code. That
results in match failures when importing. As a work-around, compare
only the length of the account-info-generated online id when
comparing it to the transaction-generated one. Note that this is only
a partial solution: At least one German bank also appends characters
to the transaction-generated bank id and that will still cause the
match to fail.
[dialog-payment] Add warning label if payment is unattached
Completing a payment for a customer without associating with an open
invoice is allowable and is used for prepayments. Enable a warning to
inform that the payment does not have an invoice/bill document attached.
[aging] update error reporting
This error handling was for transactions in APAR accounts whereby
Transaction Currency != Owner Currency. An example is a manually
entered transaction, then assigned as payment to a customer with a
different currency. Update to modern API calls. Show the culprit
split details. Fixed example output: IGNORING TRANSACTION! Invoice
Owner: [None:] Transaction:Txn<d:28/10/19> Splits are:
Split<d:28/10/19,acc:Current,amt:$150.00,val:£150.00>
Split<d:28/10/19,acc:AR,amt:$0.00,val:-£150.00> Transaction
Currency:GBP Client Currency:AUD
Fixed German IBAN error message
Allow edit of some fields for posted invoice
Allow editing of some fields for posted invoice. For reasons, see bug
report: https://bugs.gnucash.org/show_bug.cgi?id=797400
[average-balance] show monetaries instead of numbers in data table
UK VAT template: replace obsolete EEC and EC by EU
Implements the presentation of static optical TAN challenges (photoTAN
and QR) inside the enter TAN dialogue.
[budget] fixcrash: fix crasher for some periods
eg. the following combo would previously crash: - periods from next
to current - use accumulated amounts
[budget] fixcrash: prevent crash if periods start > end
It's silly to input start-period > end-period. Nevertheless handle it
by swapping them instead of crashing. i.e. report budget periods from
end to start.
[budget-flow] fixcrash: exchange-fn needs to specify exchange date
because some exchange-fn *do* require date eg. pricedb-nearest. use
the period end-date for the exchange date.
[portfolio report] There's no report-currency. Use currency.
[window-report] show backtrace when report crashes
* exposes a SCM string last-captured-error containing last backtrace
* when rendering report-crash window, include it
New Scheme Functions:
gnc:html-markup-ol: creates an HTML ordered list.
gnc:multiline-to-html-textt: creates html-text with <br/> elements.
gnc:make-html-table-cell/min-width: Create a table-cell with min-width
style attribute
gnc:collector+ and gnc:collector-
New Deprecations:
gnc:html-table-append-ruler/at!
gnc:html-table-remove-last-row!
Translations Updated: Chinese(Simplified), Croatian, German, Hebrew, Ukrainian
3.7 - 8 September 2019
The eighth release of the 3.x stable series.
Note for German FinTS users: This release in concert with AQBanking
5.8.0 is the first release to support the new product registration
requirement that goes into effect 15 September 2019.
The following bugs have been fixed:
Bug 605602 - precision of Financial Calculator seems to depend on
locale
Bug 746937 - Template transaction splits are loaded in reverse order
and then not sorted before saving. Actually not sorted
after loading because the template accounts weren't being
committed.
Bug 752395 - Start Day of weekly report doesn't respond to change in
locale
Redefines some functions to ensure weekly grouping in
transaction report obeys locale's start-of-week.
Bug 784623 - GNUCash does not work with sql backend, I can open
in read only mode. Upgrade the splits table as well, an
oversight from the original fix.
Bug 793018 - Balance (with >>eguile<<) - Report Title can't be changed
Bug 795251 - googletest detection cannot be overridden
Bug 796819 - bad icon with Spanish localization
Temporary fix for Farsi, which was afffected, too. As it
is maintained by TP, the final fix has to come from them.
Bug 796952 - Report formatting (justify) is broken
Previous patch reverted and replaced with a more correct one.
Bug 797085 - Import Bills & Invoices headers not translated.
Make strings translatable. Translators: This adds 22 new
translatable strings.
Bug 797158 - gnc:make-account-sel-limited-option is not working
Option was being deliberately reset to default_value every
time.
Bug 797171 - Allow multiple credit/debit columns to be selected
Bug 797279 - Reports RTL do not support RTL - fix reports
Bug 797279 - Reports RTL do not support RTL - fix string
fix guile-2.0 string handling to prevent munging unicode
in report-titles etc. while loading/saving reports
Bug 797295 - problems with entering swedish åäö in company address
Bug 797297 - GNUCash is in English even though MacOS is set-up to
French.
Bug 797301 - Register Menu View > Refresh doesn't work in 'with
sub-accounts' window
Bug 797306 - "URL cannot be shown" when one clicks an account line
link in report.
Bug 797316 - New Mauritanian ouguiya MRU not supported
Bug 797319 - Mauritanian ouguiya MRO shows too few decimals
Bug 797339 - Online banking frame to small
Bug 797349 - "A"ssociate header badly translated.
Note to translators: This is about msgids of the form
"Associate:A". The correct msgstr includes the part up to
the ':' verbatim with only the part to the right of it
tranlated, e.g. "Associate:П" from uk.po. Each such msgstr
has a comment explaining this.
Bug 797353 - Add copyright and release info in appdata file
Bug 797355 - General Journal report seems to be off balance
Previously, for general-journal, each split was being
analyzed, and only the source split was counted for
totals. This change will means the source split *and* its
peers are accounted for.
Bug 797377 - cmake fails on debian-8 and ubuntu-14.04 with
gnucash.appdata.xml.in does not exist
Bug 797378 - QIF file import fails: Loading gives wrong type argument
in position 2
Bug 797389 - Random Crashes while attaching a document.
Other repairs or enhancements not marked as bugs:
New feature: Multiselection in the import transaction matcher. Use
control-left-click, shift-left-click, or click-and-drag to select
multiple unmatched transactions to match them with a single account,
then right-click to bring up a single-item context menu sith
"Assign Transfer Account".
Set a FinTS product version key when the installed AQBanking supports it.
Reworking of many translatable strings with context to use the modern
gettext three-parameter function instead of the ':' hack noted in
bug 797349.
Stop duplicate entries for the invoice taxtable cell
Do not log an error when no default tax tables are set.
Fix cmake dependency tree so that make/ninja check works without having
to first run make/ninja.
Remove the accelerator for the Clear buttons on the Loan Calculator
because they were all the same and also the same as the Close button's
accelerator.
Change the transfer account notation for single-split transactions in
basic view from "--Split Transaction--" (they're obviously not) to "None".
Correctly parse decimal values between 0 and -1 (e.g. -0.5) in register
caclulations: The negative sign was being stripped.
Require CMake 3.5 or later for all platforms.
Rework the building of libgtest.a from source when the builder sets
GTEST_ROOT or the distro doesn't provide a pre-build one.
Fix crash when trying to display a tooltip in the register split view
when a split has focus.
Fix repeated requests to create a new account when you click No.
Suppress bogus error when creating a new account from register split view.
Fix price conversion report crashes in Balance Sheet PNL and all
average balance calculations.
Upgrade the Budget reports to support accumulated accounts.
Redefine gnc:debug to use QofLog instead of writing to stdout.
Change the Balance Sheet PNL account depth to mean the deepest *selected*
account rather than the deepest account.
Set the Owner Report date option to default to today.
Much Scheme cleanup and more testing.
Deprecated API:
gnc:html-acct-table-cell - Unused.
gnc:make-general-journal-report - Unused.
gnc:easy-invoice-report-create-internal - Unused.
gnc:fancy-invoice-report-create-internal - Unused.
make-simple-class - Use make-record-type
simple-obj-getter - Use record-accessor
simple-obj-setter - Use record-modifier
simple-obj-print - Use write
simple-obj-to-list - Use record-type->list
simple=obj-from-list-obj - Use list-record-type
make-simple-obj - Use construct
gnc:time64-le-date - Unused
gnc:time64-ge-date - Unused
gnc:make-reldate-hash - Unused
gnc:get-relative-date-strings - Unused
gnc:entry-type-percent-p
gnc:make-customer-option - Unused
gnc:make-vendor-option - Unused
gnc:make-employee-option - Unused
gnc:html-build-acct-table - Unused
gnc:html-acct-table-comm-row-helper - Unused
gnc:sum-collector-stocks - Unreachable
Updated Translations: German, Hebrew, Ukrainian,
New Account Templates: Hebrew-Israel
3.6 - 30 June 2019
The seventh release of the 3.x stable series.
The following bugs have been fixed:
Bug 397927 - QIF Import: Usability: Remember window position and size
Bug 577968 - Values are not stored by pressing <TAB> in budget page
Bug 583277 - Cancel button closes QIF importer without confirmation
Bug 624176 - budget report - option for showing sum is ignored
Bug 642824 - Different actions like QIF import, other imports and...
closing book allow to assign transactions to placeholder...
accounts
Placeholder accounts do not allow transactions so when the
account picker dialog is presented, add an error dialog
for placeholder selection and a column to display that the
account is a placeholder.
Bug 646361 - Estimate budget should give option to have same amount...
in each budget period
Bug 668349 - Select Account does not return user to correct location...
in "Match payee/memos to GNUCash Accounts" screen
Bug 676810 - Wrong accounting in multi-currency budget report
Bug 679800 - Shortcut to allow population of all budgeting periods
Bug 689753 - Budget Report: Negative Numbers Not Colored Red
Bug 728873 - Account name does not focus automatically in QIF import...
assistant
Bug 751290 - Rethinking the invoice ledger view
Bug 754710 - Add column sorting to Qif import Match views
Bug 781345 - Equity disregarded by budget totals
Bug 788157 - Open Budget Menu Item Doesn't Select Default Budget
Bug 796949 - Incorrect conversion of 0,01 USD to EUR
Bug 797051 - Price Database Add Overwrites Data Without Confirmation
Bug 797089 - In the main Account Register window, the value shown...
under 'Total (Period)' excludes any transaction with date...
equal to the end date of the reporting period.
Bug 797104 - Translations not showing in receipt options
Bug 797123 - File->Export Transactions to CSV doesn't output...
transaction data
Bug 797126 - It is annoying to run cmake to get an updated mo file
Bug 797127 - Company name and address in reports not display properly
Bug 797134 - Decimal separator: Windows configured as dot,...
Gnucash shows comma.
Bug 797165 - Deleting an old quote from Price Database Core Dumps Gnucash
Bug 797169 - GnuCash hangs loading XML file
Bug 797170 - gnucash-3.5 fails to compile with GTK+3-3.20.x
Bug 797175 - Gnucash will not open from UNC paths.
Bug 797175 - Opening a file from a gvfs mount point fails
Bug 797183 - association head path with spaces displayed wrong
Bug 797185 - Correct the sorting for the Transaction Association Dialog
Bug 797186 - gtk crash closing parent window edit->stylesheets
Bug 797188 - Default invoice prints credit note as invoice
Bug 797196 - Allow for per-payment rounding in amortization calculations.
Bug 797197 - Transaction report: Error message when sorting on month
Bug 797204 - qif import: commodities throw blocking dialog in symbol...
field on every commodity
Bug 797207 - Chart reports show blank when run from the build directory
Bug 797215 - qif import: review duplicates - allow sorting candidates...
on all columns
Bug 797223 - Missing Tooltip on Edit->Preferences->Register:Actions:Tab...
order includes Transfer on Memorised Transaction
Bug 797230 - Use after free in gnucash_sheet_style_destroy.
Bug 797232 - dialog-ab.glade was written for gtk 2.16.
Bug 797233 - Balance Sheet, Chart of Accounts, and other reports...
crash when involving foreign currency stocks.
Bug 797240 - Multicolumn report not showing each report name
reportname was not correctly applied as the chart-title
Bug 797241 - Some reports skip transactions of the last day of the
selected period
Bug 797244 - Remove the invert prices for less than 1
Bug 797246 - Cleared Balance Remains Red After Turning Positive
Bug 797249 - Cutting home account causes transaction to disappear
Bug 797262 - Change "Today date format"
Bug 797266 - Missing translation settings
Bug 797277 - Assets over time ignores nested liabilities
Bug 797278 - Create an option for type of commodity for Price import
Currently when you use the 'Commodity From' column for
Price imports it can match against the wrong commodity
like COP (Conoco Philips) would match against the currency
COP (Columbian Peso). To fix this add a new column type
'From Namespace' and rename 'Commodity From' to 'From
Symbol' so they match the Security Editor.
Bug 797281 - Gnucash crashes when attempting to match online accounts
Other repairs or enhancements not marked as bugs:
Rewrite the Customer Summary Report to correctly handle multiple currencies.
Improve the Owner Report's find-first function to consider currency when
selecting the account.
Prevent cutting the "anchor" split or pasting another split on top of
it in account registers so that the transaction won't suddenly
disappear from the register page. Displays an explanatory dialog just
like trying to delete the anchor split does. Allow deleting, cutting,
and pasting over all splits in Journal View registers which don't have
anchor splits because they're not associated with any account.
Disable editing the "blank split" (the new split at the bottom of a
transaction in split view) if the transaction itself is read-only.
Use the customer and vendor currency instead of the default currency from
preferences when generating bills, invoices, or credit notes.
Allow assigning a single target account to more than one transaction in
the import matcher. To do this select the new transactions and
right-click to open a single-item context menu. Click the menu item
to open the account selection dialog box. Note that imported
transactions that match transactions already in the eriger,
i.e. those marked "update" or "reconcile and update" are not eligible
for inclusion.
This feature still has some rough edges that are being addressed for
the next release.
Use the default currency from Properties>Accounts for the summary bar
currency to make it configurable.
Allow CSV export of grand total amounts from reports using the trep-engine.
Fix XML file import failures into GnuCash for Android.
Raise minimum CMake version to 3.5 for all platforms.
Prevent crash in Aging Report when the book has no AP or AR accounts.
Fix operation of the "default budget" option.
Change the account-picker dialog to disable the OK button instead of
raising a warning dialog if the selected account is a placeholder.
Fix crash after unloading all files from the QIF import assistant.
Disable the Next button in the QIF import assistant if no files are
selected for import.
New report "Balance Sheet-PNL" combines a Balance Sheet and an Income
Statement in a single report.
Rework localization in C++ on Win32 builds, fixing several crashes and
speeding up file loading by 10x.
Create a console window for displaying stdout/stderr. Define
__MSWIN_CONSOLE__ and recompile to enable.
Keep the selection in the Securities Editor on the commodity after
editing it.
Allow the Securities Editor to stack separately from the main window.
Much more Scheme cleanup and refactoring.
Python console improvements, including switching to Python3 and not
killing GnuCash when quitting the console.
New API:
The following functions can now be used in scheduled transaction
credit/debit calculations:
gnc:amort_pmt
gnc:amort_ppmt
gnc:amort_ipmt
API Deprecations:
gnc:html-table-prepend-column!
gnc:html-acct-table-num-cols
gnc:html-acct-table-append-row!
gnc:html-acct-table-prepend-row!
gnc:html-acct-table-append-col!
gnc:html-acct-table-prepend-col!
gnc:html-acct-table-remove-last-row!
gnc:html-acct-table-render
gnc:second-html-build-acct-table
Updated Translations: Croatian, Farsi, German, Romanian, and Ukrainian
Known Issues:
Bug 787813 - Regression: Price database should allow multiple buy/sell prices on the same date
Bug 791825 - Accounting Period dates (among others) stored with a TZ-sensitive time.
Bug 792975 - missing hellip in menus
Bug 792986 - Connecting with Bank server is very slow
Bug 793306 - Price is not imported from CSV
Bug 794584 - Register not updated when scheduled transactions created
Bug 794644 - Remove Old Prices is very slow
Bug 794807 - Calendar widget current month shown as (null)
Bug 795071 - new account entry screen keeps on disappearing and coming back
Bug 795251 - googletest detection cannot be overridden
Bug 795383 - Gnucash crashes on import of a 1400-transaction (or more) CSV file
Bug 795384 - GnuCash 3 is tremendously memory hungry on macOs
Bug 795393 - Do not create .log files when using sqlite backend
Bug 795614 - Unicode handling in amount fields [resubmission]
Bug 795753 - Initial save into MySQL should use bulk inserts
Bug 796100 - Autosave Doesn't Work if Preferences Changed During Data Entry
Bug 796122 - Poor Performance Scanning Old Files During Autosave
Bug 796492 - Wrong calculation of the first occurrence
Bug 796496 - CSV Importer: Column Selectors invisible on Windows.
Bug 796500 - Scalability issue - importing large CSV to large book won't finish
Bug 796520 - Layout overlapping in Income & Expense Chart
Bug 796688 - "Next" Button Moves Repeatedly During New File Wizard
Bug 796736 - Column Widths calculator need to allow more padding
Bug 796740 - Selecting register value with mouse fails
Bug 796746 - Cannot copy and paste anything into the amount field (both credit and debit)
Bug 796750 - qof_query_search_for stores pointer of type string argument
Bug 796758 - Improve error messages, why one can not remove a tax table
Bug 796761 - Newline (char(10) is inserted into the end of the string if copy & paste text from excel into the description field of transaction
Bug 796764 - make check: hardcoded filenames in /tmp, vulnerable to symlink attacks
Bug 796767 - The importer shows read-only and placeholder accounts
Bug 796769 - Exposing new variables via swig sometimes results in an error "Undefined variable : <something>" while building
Bug 796773 - Display of Negative numbers
Bug 796774 - Investment account QIF Import does not import transaction
Bug 796775 - Auto fill not working correctly (only match the first char you type ...)
Bug 796779 - Window size in SEPA transaction
Bug 796782 - Cannot import OFX file in new 3.2
Bug 796783 - handling invalid date range in "get transaction..."
Bug 796787 - report options - default plot size too big
Bug 796788 - strange behavior in options of multicolumn report
Bug 796799 - After Deleting Transaction Price, Enter Required 2x
Bug 796810 - Account creation and editing dialogs do not allow entering umlaut-u
Bug 796824 - took more than 2 hours to import 220 transactions
Bug 796836 - Credit note wrong, database inconsistency
Bug 796844 - Amount column of Customer Report should net Credits and Debits
Bug 796850 - Auto-decimal-point causes incorrect price to display when amount is edited.
Bug 796852 - Context sensitive Help broken
Bug 796857 - Import of QIF duplicates transfer transactions
Bug 796861 - Report HTML Pie Chart - default value #f for colors makes the pie chart renderer crash
Bug 796862 - Report HTML Scatter Chart - default value #f for makercolor makes the scatter chart renderer crash
Bug 796870 - Cannot (occasionally) undo invoice billing
Bug 796878 - test-qofsession fails on x86_32
Bug 796882 - Entering an amount as a calculation fails the first time in bills
Bug 796885 - SX Editor Calendar Sometimes Shows Wrong Year, Wrong Next Date
Bug 796890 - CSV import of multi-split transactions marks reconciliation status of first line as cleared
Bug 796892 - Startup warning: undefined symbol PyOS_getsig
Bug 796894 - Edit -> Preferences results in gnucash.exe- No Disk error box
Bug 796895 - Report end and start dates not obeyed
Bug 796896 - Button to complete an export not intuitively placed or discoverable
Bug 796899 - FTBFS on [mips]: segfault; test-backend-dbi; endianness
Bug 796900 - Problems in Description Editing. Select all implemented with the Caps Key (plus no Ctrl Z Undo, grrr)
Bug 796905 - GNUcash does not start after windows 10 update
Bug 796907 - After a series of actions to the window of GnuCash, some of or all of the contents will dispear and could not get them back
Bug 796909 - Can't enter different notes and memos for an AR payment transaction
Bug 796911 - Minimum window width is too large, so it may not be possible to maximise the window
Bug 796925 - Database connections not closed by session.end()/session.destroy() when is_new=True
Bug 796933 - Backspace key doesn't work, sometimes.
Bug 796934 - Menu and message characters display as boxes
Bug 796935 - Scrollbar indicator does not move while scrolling
Bug 796936 - Saving XML-formatted file to CryFS volume crashes GNUCash
Bug 796942 - Make Auto-Split Optional or Undo-Able for Data Entry
Bug 796945 - Find Transaction Split Search Search Criteria window does not scroll when added criteria exceed a certain amount
Bug 796948 - Scheduled Transactions Entered Since Last Run Are not Visible
Bug 796954 - No scroll in invoice/billing and all columns not visible. Column resizing is disastrous
Bug 796955 - Import CSV - Single-line two-currency transactions can't be imported
Bug 796958 - GnuCash tries to lock the database even when opened read-only.
Bug 796959 - GnuCash complains about saving on close when read-only.
Bug 796966 - Underscore showing in german translation strings in the gui - business - search invoice
Bug 796970 - Disable editing of currency retrieval settings for currencies.
Bug 796974 - Feature Request - Headings for the Matcher column Deposit/Withdrawal do not change to Debit/Credit when formal accounting labels are preferenced
Bug 796977 - No amounts displaying after upgrade from 2.6.19 to 3.3
Bug 796979 - GnuCash segfaults on first startup when run from remote X session
Bug 796983 - fails when importing QIF exported by Quicken 2015 Deluxe
Bug 796984 - Import Bills & Invoices: date of line item is not validated; can lead to unexpected results
Bug 796985 - Import Bills & Invoices: option 'open not yet posted docs in tab' does not open tab if invoice could not be posted
Bug 796986 - Import Bills & Invoices: in case of invalid posting date in import file, invoice is posted with unexpected date
Bug 796987 - Import Bills & Invoices: fixing import items only works in special case
Bug 796992 - gnucash --add-price-quotes always fails
Bug 796995 - Income and GST Statement: wrong grouping of invoices with multiple tax rates
Bug 796997 - Currency Conversion Dialog appears when recording transactions between same currency accounts.
Bug 797003 - Number widget changes values by more than one
Bug 797006 - Balance is misleading in "open subaccounts" when different currencies are involved
Bug 797009 - Database error on split transaction
Bug 797010 - Install v3.4 failure
Bug 797016 - modifying existing entry don't allow to input zero price or zero stocks
Bug 797022 - Import Bills & Invoices: expense/income account is not validated - leads to one-sided posting if account is invalid
Bug 797023 - Import Bills & Invoices: no user confirmation requested for update of invoices, if new invoices is created first.
Bug 797024 - Import Bills & Invoices: import matches csv data rows with too few separators, messing up the import data
Bug 797025 - Import Bills & Invoices: the type of the post to account is not validated - enabling A/P and A/R postings on regular accounts
Bug 797026 - Reimport of account structure not working
Bug 797033 - The CSV Importer should not obey with the "automatic digital point" setting
Bug 797035 - Date selection via calender
Bug 797036 - Runtime Error During 3.4 Upgrade
Bug 797037 - Counter formats not saving
Bug 797038 - GnuCash hangs loading under XWindows
Bug 797043 - Rouble Symbol missing in Windows.
Bug 797045 - Improve error reporting for bad credentials with MySQL backend ("bad or corrupt data" => "access denied")
Bug 797048 - GnuCash in English doesn't show dates in register when book contains Polish characters
Bug 797049 - Typing in lists does no longer initiate text search
Bug 797050 - Encoding problem at MT940 Import
Bug 797052 - Unable to Use Shift Key After Autofill or Paste
Bug 797053 - Window state isn't saved
Bug 797054 - Reports are rendered in Greek glyphs
Bug 797057 - gnc-gwen-gui.c is still based on the deprecated GtkTable
Bug 797060 - When importing QFX transactions all dates are current date
Bug 797063 - gncEntryGetDocValue is modifying the invoice or entry
Bug 797064 - crash when try print report
Bug 797065 - character is broken when display report
Bug 797070 - With multiple monitors, menus only open in one monitor, regardless of which monitor GnuCash window is located
Bug 797073 - Tax Schedule Report off by one year
Bug 797076 - Net worth, Assets and Liabilities report wrong period
Bug 797077 - Wrong Balance Displayed in Related Registers
Bug 797078 - "Automatic decimal point" Should Not Cause 2 Different Behaviors
Bug 797080 - "Rate of Gain" and "Rate of Return" Seem to be Mislabeled
Bug 797083 - Gnucash crashes when trying to rename budget
Bug 797084 - Provide an option to leave edited transactions reconciled
Bug 797085 - Import Bills & Invoices headers not translated
Bug 797088 - Encoding problem with CSV-formated account tree import
Bug 797092 - Save As fails: tries to save to reserved directory if path contains spaces
Bug 797093 - Miscalculation in cashflow reports
Bug 797096 - Bad display in dialog window
Bug 797101 - repeated pop-up "confirm creation of" some mangled account name
Bug 797102 - Advanced Portfolio Ignores Capital Gain Splits
Bug 797106 - Advanced Portfolio Report shows too many decimals in security unit prices newly imported from Finance::Quote
Bug 797110 - Column alignment on Trial Balance using a Stylesheet
Bug 797112 - Unable to Close Period due to reconcile_date falling before 1970-01-01 00:00:00 UTC
Bug 797113 - Scrubbing crashes when creating small splits that round to value 0.
Bug 797114 - Fixing an SX due to deleted account stuck in an error loop
Bug 797115 - Can't 're-activate' an expired SX
Bug 797116 - request for review: gnc doesn't understand the chars it allows to be stored in a file and should
Bug 797118 - Date entered incorrectly if entered as yyyy with some Date Time Local Settings
Bug 797119 - Duplicating transaction produces blocked edit
Bug 797121 - Unable to save to database
Bug 797124 - Request for Enhancement: Preferences and Saved Reports should be per-book not per-user
Bug 797133 - CSV Import of multicurrency transaction export in multiline form
Bug 797137 - Advanced portfolio for currency accounts
Bug 797142 - txf export report outputs incorrect values in schedule c
Bug 797145 - QIF Importer CP1252->UTF-8 transcoding fails
Bug 797147 - invoice.GetDatePosted() returns 1970-01-01 for unposted invoices in MySQL backend rather than Null
Bug 797158 - gnc:make-account-sel-limited-option is not working
Bug 797161 - first transaction with trn:date-posted on 1st day of month counted to previous month by graphs (due to timezone)
Bug 797163 - qof_book_get_option segfaults when retrieving a non-leaf frame
Bug 797164 - QFX import dialog creates Floppy Drive Not Ready error on a computer with no floppy drive
Bug 797166 - Stock scrubbing does not handle Return of Capital Transactions
Bug 797167 - Paste from clipboard to invoice editing window fails
Bug 797171 - Allow multiple credit/debit columns to be selected
Bug 797172 - Allow accounting terms in drop down list.
Bug 797173 - Allow user to specify a debit/credit column needs to be negated.
Bug 797182 - Doesn't respond correctly when using Windows Snap feature
Bug 797184 - chargeback customer invoicing
Bug 797187 - Payment processing falsely initialized with order list in the customer entry field (workaround described)
Bug 797188 - Default invoice prints credit note as invoice
Bug 797190 - When Translations Not Selected, 75 MB of Help Files Installed
Bug 797191 - Gnu Cash does not save certificates permanently
Bug 797194 - Hebrew fonts are not shown correctly
Bug 797199 - AqBanking HBCI import Visa Card (comdirect bank) without line result: from to dates switched
Bug 797200 - closing window in python console should trigger regular shutdown or none at all
Bug 797201 - ipython shell broken
Bug 797203 - autofill value is incorrect in split tx across currencies with trading accounts enabled
Bug 797205 - Python Shell startup message: PyGTKDeprecationWarning: Using positional arguments with the GObject constructor has been deprecated
Bug 797206 - qif import: investment accounts with cash transactions that are transfers cause import to fail with bug detected
Bug 797211 - Very slow UI - dependent on window size
Bug 797213 - import map editor shows no maps, takes ~22 seconds to display nothing, yet QIF importer remembers maps somehow
Bug 797214 - enhancement: gnucash file anonymizer, great for providing sample errant data to dev/test
Bug 797216 - The order of multi-split journal entries in the CSV-importfile is blocking a valid import
Bug 797218 - qif import: Quicken exported QIF files do not import diacritic extended characters, they are replaced with ?
Bug 797220 - delete account allows move of all transactions to account having non-matching currency
Bug 797222 - Resetting the "change reconciled split" warning doesn't take effect until GnuCash is restarted.
Bug 797226 - Minor Issues in GnuCash Export Format
Bug 797227 - Feature Request: Use trading accounts only for currency conversion
Bug 797229 - Two Finger Horizontal Scroll in Register Broken
Bug 797231 - Split transaction doesn't complete in future
Bug 797232 - dialog-ab.glade was written for gtk 2.16.
Bug 797234 - gnucash closes when trying to open new file
Bug 797235 - 'Memorised' is british English
Bug 797236 - Regression: Reconcile window transaction list resets to top when new transaction created in account
Bug 797237 - Default currency is USD no matter what you choose
Bug 797243 - Slow XML load/save on OS X 10.11
Bug 797244 - Commodity categories are inconsistent
Bug 797245 - Smallest fraction of Vietnam Dong VND should be 1
Bug 797251 - File choosers have lost the ability to type file names and paths
Bug 797256 - AR/AP: placeholder accounts are selectable in the Posting menu for invoices and bills
Bug 797260 - msys2 setup incomplete with current setup-mingw64.ps1 bootstrap
Bug 797263 - Tax Schedule Report fails to generate
Bug 797264 - 3.5 can't use Chinese IME input
Bug 797268 - Stock Split Assistant can create nonsense transactions
Bug 797270 - Budget Chart report - translation of header and dates
Bug 797275 - Multiselection contains matched transactions
Bug 797276 - Hitting the cancel button when editing a scheduled transaction does not undo changes
Bug 797279 - Reports RTL do not support RTL
Bug 797280 - Balance Sheet and P&L Reports use different rounding.
Bug 797282 - Bills Due Reminder does not update document count message after processing payment
Bug 797283 - Permanent hang on clicking on report tabs
Bug 797284 - A column of an account can be too small (width 1), so that it is not possible to get it back with a double-click on it
Bug 797285 - QIF import fails and then crashes
Bug 797287 - summary bar is wonky
Bug 797290 - out-of-memory during register dropdown for income account
Bug 797292 - Amounts are displayed and stored with fractions smaller than the commodity's SCU
Bug 797293 - Crash when import "U+R" or "R"
Bug 797294 - Billing functions freezing
Bug 797295 - problems with entering swedish åäö in company address
3.5 - 31 March 2019
The sixth release of the 3.x stable series.
Note for Windows and MacOS users: The Gtk GUI framework has fixed
several substantial bugs in the Windows and MacOS backends, some of
which are so recent that they are not included in the latest
release. In order to ensure that the GnuCash all-in-one bundles have
those important fixes we are departing from normal practice and
shipping builds from the Gtk repository instead of from release
tarballs.
The following bugs have been fixed:
Bug 639049 - Asset Barchart Report includes also the first day of next month transactions
If the original date is an end-of-month date, we take it as an
indicator they always want monthdelta dates to be end-of-months.
This works for monthly/quarterly/halfyearly/annual.
Bug 748431 - Wrong average balance for transactions during DST
Replace average-splits with custom loop, cycling through the
balancelist and splitlist, creating interval summaries along the way.
Bug 787401 - Test for the report system - HTML Tests.
Bug 795729 - Advanced Portfolio Report - Percentage rates not displaying leading zeros.
Bug 796498 - Incorrect starting balance in TXF Report calculations.
Bug 796530 - TxnCsvImport - fix loading of saved preset with update of seperator selection. Previously this would cause all but the first column to lose its assigned types.
Bug 796687 - Tax Entity name and type for an account won't work under "Tax Reporting Options" in Gnucash 3.2
Bug 796826 - Report HTML - not possible to suppress the document header.
Bug 796827 - Report HTML - it is not possible to suppress the document title.
Bug 796829 - Report HTML - HTML table rows are prepended not as list elements
Bug 796831 - Report-HTML - append table column correctly.
Bug 796877 - test-stress-options fails.
Bug 796946 - Mortgage and Loan Repayment Setup tool crashes when exiting "Loan Repayment Options" page.
Because libstdc++ on Windows doesn't support any C++ locales besides "C" and throws an exception if you try.
Bug 796952 - Report formatting (justify) is broken.
Bug 796956 - Aqbanking 6 will drop DTAUS
Adds support for the upcoming AQBanking 6 and removes support for AQBanking earlier than 5.3.4.
Bug 796965 - Change the default to show unused accounts.
Bug 796989 - some date/time does not honor user locale.
Bug 797002 - Program crashes when exporting tax data in txf format.
Bug 797011 - GnuCash 3.4 Crashes When Printing Checks with Custom Format.
Bug 797013 - Import Customers & Vendors: error in CMakeLists.txt - causes incomplete project in Xcode.
Bug 797029 - Import Customer & Vendors: blank name and company in import data row crashes GnuCash
Bug 797030 - Import Customer & Vendors: several issues with the matching of data rows.
Bug 797031 - Import customer & Vendors: import can create customer and vendors without address data
Bug 797041 - enum confusion in qoflog.
Bug 797046 - Tools / Price Database / Currencies UI not working since 3.4.
Bug 797067 - Date displayed incorrectly in register.
Bug 797074 - Reports with averages are displaying fractions
Convert amounts to decimal prior to adding to html-table. Also adds tests to make sure averages are displayed in 2 decimal places.
Bug 797098 - Quitting Gnucash shortly after clicking Save may abort file save.
Bug 797105 - Incorrect local-symbol for SZL currency
Bug 797136 - Balance sheet report "Show Exchange rate" broken when foreign currency is sold completely
For cases where total(amount)/total(value) = 0/0, the price is reported as 0.
Other repairs or enhancements not marked as bugs:
API: Add dedicated api to query build-time, version related compile constants and use it in several location in the code for consistent behaviour.
Budget: Save and restore the Account filter settings.
Build: Fix deprecation warnings for g_type_class_add_private.
CSV Tokenizer: Add additional test to guard against quote parsing regressions.
GUI: Replace ambiguous mnemonic for File>Export>Export Active Register...
GUI: Rearrange menu accelerators for Actions>Online Actions menu items
GUI: Add mnemonic for File>Import>Import Bills...
GUI: Move Balance-Forecast report to Reports>Assets & Liabilities
GUI: Move Void Transactions item in Report Options from the Accounts tab to the Filter tab.
I18N: Fix erratic localization of dates on Windows.
Date format selection on Windows relies on Windows National Language functions and those are unaffected by the POSIX setlocale(). We have in the past relied upon gtk initialization to handle this but it has not been reliable since the move to Gtk3. Note that this applies only when the locale is set via a Unix-style environment variable (typically LANG) or in the environment file; it's unnecessary and ignored when using the localization settings in Region & Language.
I18N: Unify phrases to remove untranslated msgids.
I18N: Restore the global locale after Guile munges it.
There's no way to change the environment locale on Windows so calling setlocale(LC_ALL, ""), as guile does in its init routine, reads the user's Language and Region settings instead of the environment variables. We save the discovered environment locale and call setlocale with it again after Guile has initialized.
Importing: Remove old (non-SEPA) online transaction code, because now in 2019 the banks will only offer SEPA transactions and no others. This in turn means we don't need the old ktoblzcheck checking functions at all so also remove the dependency.
Importing: Usability improvements for Bayes editor window
Remove the "Are you sure" question as it is simply annoying but does not help. Fix some string wordings to be more understandable.
Online Banking: No longer force existence of local BIC code.
Online Banking: Entering of TAN must use normal visibility
The visibility of the entered content was set to FALSE (=invisible) always, which was wrong for certain types of input as indicated by the GUI_INPUT_FLAGS. This should now be honored and visibility set to TRUE (=visible) for the correct flags.
Online Banking: Fix reconcile timestamps when importing balances.
Used to be start-of-day, but needs to be day-neutral.
Performance: Provide a single static instance of C++ locale.
We can't use std::locale::global because all streams imbue it by default and if it's not 'C' (aka std::locale::classic) then we must imbue all the streams that we don't want localized, and that's most of them.
Performance: Add GncDateTime::timestamp().
To provide a C++ implementation of gnc_date_timestamp and to avoid using the expensive and localized GncDateTime::format().
Performance: Implement a faster date-time serialization function.
Has the side effect of recording all date-times in XML files in UTC instead of local time with a timezone. This will help users who like to keep their files under version control because the time strings won't shift every time Daylight time begins or ends.
Performance: >Fix XML load CPU hotspot: Scrub.c xaccTransScrubPostedDate
The refactoring provides roughly 10% reduction in user CPU use for XML file load by moving an expensive function to within an if-clause where the result is used.
Performance: Speed-up of txn match dialog: Suspend GUI refresh during deletion of selected lines.
Performance: Sorting speed-up: Cache the bool value of Transaction's is_closing property.
Register: Accept URLs or file paths for files associated with transactions. File paths can be relative or absolute. A preference is provided.
Reports: Speed up the budget and cash flow report calculation by iterating over accounts only once.
Reports: Heavy scrubbing for code readability and performance.
Reports: New Report by Ryan Turner: Balance Forecast Report
This report forecasts the combined balances of the selected accounts based on the scheduled transactions and plots them on a line graph. You can set a "reserve" amount, which will draw a red line on the graph, so you can easily see if your forecast dips below a given value. There is also a "future minimum" line which shows what the lowest future balance will be at a given point. I find this useful in conjunction with the "target" line for planning.
Reports: Fix crash when loading saved-report with unknown choices.
If a saved-report with e.g. relative date, multichoice option is unknown, the report would crash, and the Report-Options would segfault. This commit fixes both: report-date defaults to 'today', multichoice-options defaults to default-value. Following this commit, if a report loads a saved-report or .gcm from a future version, a gnc:warn will be emitted and the report will not crash; it will use relative-date today. Multichoice will remain the default value. Report Options will not segfault. The user will be notified via a gnc:gui-warn dialog
Reports: Date intervals at end-of-month:
Instead of recursing the date, we calculate the next month using an index-based multiplier, and apply modulo/remainder as appropriate to determine the next month/year. Then we attempt to create new mktime, and if the resulting mktime's month is not as expected, reduce the mday by 1 until resulting month is correct. This fixes monthly intervals for end-of-month days. Test via monthly/quarterly deltas, and also includes leapyear calculation.
Reports: Date-grouping must allow indenting.
Indenting checkbox was erroneously disabled when: sortkey = date, date-subtotal = not 'none.
Reports: Table display
It is intuitive that if the user wishes to show the subtotal-table, and hide the transactions, then both the main (hidden) transactions and subtotals must be hidden as well.
Reports: Update US Income Tax information for 2018.
Scheme Deprecations:
account-assoc
account-hash
account-hashtable-ref
account-hashtable-set!
account-in-alist
account-in-list-pred
account-in-list?
account-same?
gnc-commodity-collector-commodity-count
gnc-commodity-collector-contains-commodity?
gnc:commodity-collectorlist-get-merged
gnc:exchange-by-pricedb-helper
gnc:exhange-by-pricevalue-helper
gnc:get-commoditylist-inst-prices
gnc:hook-run-danglers
gnc:make-drcr-collector
gnc:make-stats-collector
gnc:report-template-menu-name/name
gnc:report-template-name-to-id
gnc:report-template-new-options/name
gnc:report-template-renderer/name
gnc:restore-report
gnc:save-options
split-assoc
split-hash
split-hashtable-ref
split-hashtable-set!
split-in-list?
split-same?
Scheme: Replace account and split utility functions with SRFI-1 functions.
Scheme: Testing (create-transaction) adds price trading commodities/currency this will modify a test which was calibrated to record purchase price only. fix transaction creation to add prices for both purchase and sales, and also fix test which was assuming no sale price was bring recorded.
Scheme: Testing (env-create-multisplit-transaction) This is the general case for any transaction creation. Rewrite other transaction creation routines to use it. All tests still work unchanged, which confirms this function works well. This will allow tests to create multisplit transactions, of an arbitrary number of splits. If the list-of-split's values are not balanced (i.e. total 0), the engine will create an Imbalance-CUR split.
The motivation is to allow creation of complex multisplit multicommodity transactions eg USD50 + GBP20 (USD25) = EUR66 (USD75) as well as their prices GBP/USD = 25/20 and EUR/USD = 75/66.
* USD -50
* USD -25 = GBP -20
* USD +75 = EUR +66
This will be useful in creating tests for stock-based reports, whereby stock sales need splits in STOCK/ASSET/INCOME accounts.
Scheme: Redesign gnc:account-get-balances-at-dates, replacing the ignore-closing? parameter with a split->amount function parameter having a default value of xaccSplitgetAmount. (split->amount split) should return the amount of the split or #f; in the latter case the split is skipped. This allows for a more general account balance list accumulator with novel balance strategies. For example a split->amount function could test void status and return xaccSplitVoidForerAmount on void splits; test description/memo for some content and vary the returned amount accoridingly; or test the split and return 1 or 0 creating a counter. To recreate the ignore-closing use case pass (lambda (s) (and not (xaccTransGetIsClosingTxn (xaccSplitGetParent s))) (xaccSplitGetAcmount s)))
Scheme: Replace some option names. Automatically convert usage of the old names and issue a warning.
Updated Translations: Arabic, Croatian (New!), Farsi, French, German, Spanis, Ukrainian
Updated Account Templates: Belgium (French) (New!), Frsnce, Croatia (New!), Germany. Switzerland (French)
Known Issues:
Bug 795384 - GnuCash 3 is tremendously memory hungry on macOs
Bug 795393 - Do not create .log files when using sqlite backend
Bug 795614 - Unicode handling in amount fields [resubmission]
Bug 796100 - Autosave Doesn't Always Work
Bug 796122 - Poor Performance Scanning Old Files During Autosave
Bug 796492 - Wrong calculation of the first occurrence
Bug 796496 - CSV Importer: Column Selectors invisible on Windows.
Bug 796500 - Scalability issue - importing large CSV to large book won't finish
Bug 796520 - Layout overlapping in Income & Expense Chart
Bug 796688 - "Next" Button Moves Repeatedly During New File Wizard
Bug 796728 - GnuCash 3.0-3.4 crashes when starting up under Windows
Bug 796736 - Column Widths calculator need to allow more padding
Bug 796740 - Selecting register value with mouse fails
Bug 796746 - Cannot copy and paste anything into the amount field (both credit and debit)
Bug 796750 - qof_query_search_for stores pointer of type string argument
Bug 796754 - Guile encoding certain strings not as UTF-8
Bug 796758 - Improve error messages, why one can not remove a tax table
Bug 796761 - Newline (char(10) is inserted into the end of the string if copy & paste text from excel into the description field of transaction
Bug 796767 - The importer shows read-only and placeholder accounts
Bug 796774 - Investment account QIF Import does not import transaction
Bug 796775 - Auto fill not working correctly (only match the first char you type ...)
Bug 796779 - Window size in SEPA transaction
Bug 796782 - Cannot import OFX file in new 3.2
Bug 796799 - After Deleting Transaction Price, Enter Required 2x
Bug 796810 - Account creation and editing dialogs do not allow entering umlaut-u
Bug 796824 - took more than 2 hours to import 220 transactions
Bug 796844 - Amount column of Customer Report should net Credits and Debits
Bug 796850 - Auto-decimal-point causes incorrect price to display when amount is edited.
Bug 796852 - Context sensitive Help broken
Bug 796857 - Import of QIF duplicates transfer transactions
Bug 796871 - GtkFileChooser Name Field and Sidebar Ignore UNC Paths
Bug 796880 - Menu Tooltips Interfere with All Dialogs
Bug 796885 - SX Editor Calendar Sometimes Shows Wrong Year, Wrong Next Date
Bug 796890 - CSV import of multi-split transactions marks reconciliation status of first line as cleared
Bug 796892 - Startup warning: undefined symbol PyOS_getsig
Bug 796894 - Edit -> Preferences results in gnucash.exe- No Disk error box
Bug 796895 - Report end and start dates not obeyed
Bug 796896 - Button to complete an export not intuitively placed or discoverable
Bug 796899 - FTBFS on [mips]: segfault; test-backend-dbi; endianness
Bug 796905 - GNUcash does not start after windows 10 update
Bug 796909 - Can't enter different notes and memos for an AR payment transaction
Bug 796911 - Minimum window width is too large, so it may not be possible to maximise the window
Bug 796935 - Scrollbar indicator does not move while scrolling
Bug 796942 - Make Auto-Split Optional or Undo-Able for Data Entry
Bug 796954 - No scroll in invoice/billing and all columns not visible. Column resizing is disastrous
Bug 796955 - Import CSV - Single-line two-currency transactions can't be imported
Bug 796970 - Disable editing of currency retrieval settings for currencies.
Bug 796973 - Blocking problem when importing QIF - trading commodities enter Information
Bug 796974 - Feature Request - Headings for the Matcher column Deposit/Withdrawal do not change to Debit/Credit when formal accounting labels are preferenced
Bug 796979 - GnuCash segfaults on first startup when run from remote X session
Bug 796983 - fails when importing QIF exported by Quicken 2015 Deluxe
Bug 796995 - Income and GST Statement: wrong grouping of invoices with multiple tax rates
Bug 796997 - Currency Conversion Dialog appears when recording transactions between same currency accounts.
Bug 797003 - Number widget changes values by more than one
Bug 797006 - Balance is misleading in "open subaccounts" when different currencies are involved
Bug 797009 - Database error on split transaction
Bug 797010 - Install v3.4 failure
Bug 797016 - modifying existing entry don't allow to input zero price or zero stocks
Bug 797022 - Import Bills & Invoices: expense/income account is not validated - leads to one-sided posting if account is invalid
Bug 797023 - Import Bills & Invoices: no user confirmation requested for update of invoices, if new invoices is created first.
Bug 797024 - Import Bills & Invoices: import matches csv data rows with too few separators, messing up the import data
Bug 797025 - Import Bills & Invoices: the type of the post to account is not validated - enabling A/P and A/R postings on regular accounts
Bug 797026 - Reimport of account structure not working
Bug 797027 - After Upgrade to 3.4, File is Always Unsaved
Bug 797033 - The CSV Importer should not obey with the "automatic digital point" setting
Bug 797035 - Date selection via calender
Bug 797036 - Runtime Error During 3.4 Upgrade
Bug 797037 - Counter formats not saving
Bug 797038 - GnuCash hangs loading under XWindows
Bug 797043 - Rouble Symbol missing in Windows.
Bug 797045 - Improve error reporting for bad credentials with MySQL backend ("bad or corrupt data" => "access denied")
Bug 797048 - GnuCash in English doesn't show dates in register when book contains Polish characters
Bug 797049 - Typing in lists does no longer initiate text search
Bug 797050 - Encoding problem at MT940 Import
Bug 797051 - Price Database Add Overwrites Data Without Confirmation
Bug 797052 - Unable to Use Shift Key After Pasting Text
Bug 797053 - Window state isn't saved
Bug 797054 - Reports are rendered in Greek glyphs
Bug 797057 - gnc-gwen-gui.c is still based on the deprecated GtkTable
Bug 797060 - When importing QFX transactions all dates are current date
Bug 797063 - gncEntryGetDocValue is modifying the invoice or entry
Bug 797069 - Unicode symbols are treated as ASCII / Latin-1 in some fields
Bug 797070 - With multiple monitors, menus only open in one monitor, regardless of which monitor GnuCash window is located
Bug 797073 - Tax Schedule Report off by one year
Bug 797077 - Wrong Balance Displayed in Related Registers
Bug 797078 - "Automatic decimal point" Should Not Cause 2 Different Behaviors
Bug 797080 - "Rate of Gain" and "Rate of Return" Seem to be Mislabeled
Bug 797083 - Gnucash crashes when trying to rename budget
Bug 797084 - Provide an option to leave edited transactions reconciled
Bug 797088 - Encoding problem with CSV-formated account tree import
Bug 797092 - Save As fails: tries to save to reserved directory if path contains spaces
Bug 797093 - Miscalculation in cashflow reports
Bug 797096 - Bad display in dialog window
Bug 797101 - repeated pop-up "confirm creation of" some mangled account name
Bug 797102 - Advanced Portfolio Ignores Capital Gain Splits
Bug 797106 - Advanced Portfolio Report shows too many decimals in security unit prices newly imported from Finance::Quote
Bug 797107 - off-by-1 error in gnc_pricedb_nth_price
Bug 797110 - Column alignment on Trial Balance using a Stylesheet
Bug 797112 - Unable to Close Period due to reconcile_date falling before 1970-01-01 00:00:00 UTC
Bug 797113 - Scrubbing crashes when creating small splits that round to value 0.
Bug 797114 - Fixing an SX due to deleted account stuck in an error loop
Bug 797115 - Can't 're-activate' an expired SX
Bug 797116 - request for review: gnc doesn't understand the chars it allows to be stored in a file and should
Bug 797118 - Date entered incorrectly if entered as yyyy with some Date Time Local Settings
Bug 797119 - Duplicating transaction produces blocked edit
Bug 797121 - Unable to save to database
Bug 797123 - File->Export Transactions to CSV doesn't output transaction data
Bug 797124 - Request for Enhancement: Preferences and Saved Reports should be per-book not per-user
Bug 797127 - Company name and address in reports not display properly, all Traditional Chinese (zh_tw) characters will GARBLED
Bug 797133 - CSV Import of multicurrency transaction export in multiline form
Bug 797137 - Advanced portfolio for currency accounts
Bug 797139 - test-report-utilities failure after 10-march in travis
Bug 797142 - txf export report outputs incorrect values in schedule c
Bug 797145 - QIF Importer CP1252->UTF-8 transcoding fails
Bug 797147 - invoice.GetDatePosted() returns 1970-01-01 for unposted invoices in MySQL backend rather than Null
Bug 797148 - Custom Count fields won't save
Bug 797157 - Crash on Start
Bug 797158 - gnc:make-account-sel-limited-option is not working
3.4 - 30 December 2018
The fifth release of the 3.x stable series.
The following bugs have been fixed:
Bug 498072 - GnuCash show taxes on invoice when individual taxes is
not checked
Bug 760825 - On duplicating a bill, the entry dates should be set to
the bill date, not to the current date - followup:
Use neutral time on entry post dates instead of canonical time
Bug 767772 - Associated file with transaction is lost when moving entry
between accounts
Bug 775580 - Inaccurate information provided for "Common Accounts" when
using "New Account Hierarchy Setup"
Bug 779565 - Treeview header combos do not work at first load
Bug 788332 - Last Reconcile Date column sorts by day of month not date
Bug 789674 - Close Book tool regression
Bug 793156 - Incorrect date sort order in Generic import matcher window
Bug 795080 - Some dates reset to 01/01/1970
Bug 795237 - Update of "wohnungsw" template
Bug 795425 - Version 2018 of german account template SKR49
Bug 796772 - Receivable Ageing Report invalid URL for Totals column
Bug 796806 - Crash after OFX import if line item dragged
Bug 796842 - Add new employee window may not fit on screen
Bug 796849 - Load another QIF file causes "that file already loaded" dialog
Bug 796875 - Unable to use arrow keys to advance past pre-filled text
in register
Bug 796878 - test-qofsession fails on x86_32.
Bug 796883 - Register text oddities
HOME and END need to be treated like right and left arrow
keys.
Bug 796886 - OFX Import does not show source account in the transaction
matching window
Bug 796887 - Remove account slot key color if there is no valid color
Bug 796893 - invoice.GetDatePosted() and other date related functions
returns strange values for uninitalised dates.
Bug 796896 - Button to complete an export not intuitively placed or
discoverable
Bug 796903 - Crash when searching invoice by Invoice Owner
Bug 796914 - Customer Summary is giving error
Bug 796915 - Update Account colour background
Bug 796940 - Invalid transaction date-posted KVP causes date-posted to
not be saved.
Bug 796944 - Tab navigation From Company Address field in New Book Options
Bug 796945 - Search Search Criteria window does not scroll when added
criteria exceed a certain amount
Bug 796948 - Scheduled Transactions Entered Since Last Run Are not Visible
Bug 796949 - Incorrect conversion of 0,01 USD to EUR
Bug 796960 - Incorrect amount sort order in Generic import matcher window
Bug 796961 - Can't overwrite existing MYSQL database, V3.3.
Bug 796967 - gnclock table not removed when using PostgreSQL.
Bug 796978 - Deleting a split of same account as register cancels the
transaction without warning
Bug 796981 - Gnucash crashes with critical error when selecting another
file
Bug 796982 - Import Bills & Invoices: change in un_escape() routine
causes description and notes fields to be mangled.
Bug 796988 - Untranslated string in CSV transaction importer
Bug 796989 - some date/time does not honor user locale
Bug 796994 - Unable to generate Tax Report because of pricedb error
Other repairs or enhancements not marked as bugs:
Set up filepath utils to determine the GNC_CONFIG_HOME in the same way
as GNC_DATA_HOME
Until now GNC_CONFIG_HOME was more or less hard-coded. Now it can be
set via environment variable GNC_CONFIG_HOME. In addition it will
automatically be created to avoid potential user confusion.
Redesign gnc-uri-utils
gnc_uri_get_components will now return NULL as protocol if the input
is a normal file system path instead of a uri (it used to
return 'file')
gnc_uri_get_protocol will now return NULL if the input is a normal
file system path instead of a uri (it used to return 'file')
gnc_uri_is_file_protocol now returns FALSE if protocol is NULL
(it used to return TRUE)
gnc_uri_is_file_uri now returns FALSE if input is a normal file
system path instead of a uri (it used to return TRUE)
a new function gnc_uri_targets_local_fs will return TRUE only if
its input is either a file uri or a normal file system path.
This function is now mostly used instead of
gnc_uri_is_file_uri in the current code base
a new function gnc_uri_is_uri is added to check whether its input
is a valid uri (has protocol, path and hostname for non-file
uris)
refer to 'scheme' instead of 'protocol' as that's the more formal
term used in uris
This involves renaming 3 functions:
gnc_uri_get_protocol -> gnc_uri_get_scheme
gnc_uri_is_known_protocol -> gnc_uri_is_known_scheme
gnc_uri_is_file_protocol -> gnc_uri_is_file_scheme
The *_protocol variants are marked as deprecated.
Additionally a number of local variables have been renamed from
protocol to scheme to support this change.
Show warnings for deprecated declarations
We're about to announce our own set of deprecated functions in
libgnucash. That would be pretty pointless if we also would silence
all deprecation warnings at the same time...
More report code-cleanup by Chris Lam, including deprecating the
following functions:
gnc:account-get-balance-at-date
gnc:account-get-total-flow
gnc-commodity-numeric-string
gnc-commodity-value->string
gnc:double-col
gnc:options-add-include-subaccounts
gnc:options-add-group-accounts
gnc:options-add-currency-selection
The following modules are deprecated:
report-system/collectors
report-system/report-collectors
Invoice: Remove H1 title and superflous option.
Printing the title twice is silly, so remove the option and the
H1 display of the title. Note that the remaining title is in a
div named "invoice-title" so it can be styled with CSS as the user
pleases from the Report Options Layout tab.
The preference, use formal accounting labels does not update the header
With a register open and you change preference 'use formal
accounting labels' it does not update the register header so add
a call back for the preference.
Make the grid lines of totals Budget tree view track the preferences
Make the grid lines of the totals tree view track the preferences
to match the account tree view above it.
Add routine to fix Account Color being set to "Not Set"
Previously the account color slot has been populated with
"Not Set" when any field for the account has been edited and
saved. This routine should run once and remove all such entries.
Performance fix in dom_chars_handler: use g_strndup instead of g_strdup
In the appdata/metadata file, rename the ID from org.gnucash.Gnucash
to org.gnucash.GnuCash to match flathub, and add a launchable ID
to link it to the desktop file.
Added double-click-on-file for the CSV transaction, price, and account
importers and exporters.
Cleaned up a variety of issues reported by the clang static analyzer.
Allow the text options widget to use all remaining space
The text option widget used for report options has only about 3
lines visible currently and will not use any available space in
the dialogue. Change the packing for this widget to expand and
fill the remaining dialogue space. If there are more than one text
option widget on a page then the available space will be shared
equally.
Add short_labels for a few toolbar buttons with long names. That should
fit a few more buttons on the toolbar.
Update iso-4217-currencies.xml, adddding VES - Bolivar Soberano, minor
updates of other VE currencies.
Python 3 bindings fixes and improvements from Christoph Holterman and
Sumit Bhardwaj.
Updated Translations: Chinese (Simplified), Farsi, German, Japanese, Portuguese (Portugal), Ukrainian
Updated Account Templates: English (US), English (UK), German (Austria), German (Germany), Portuguese (Portugal)
Known Issues:
Bug 795251 - googletest detection cannot be overridden
Bug 795614 - Unicode handling in amount fields [resubmission]
Bug 795729 - Advanced Portfolio Report - Percentage rates not displaying
leadinga zeroes
Bug 795071 - new account entry screen keeps on disappearing and coming back
Bug 796122 - Poor Performance Scanning Old Files During Autosave
Bug 796492 - Wrong calculation of the first occurrence
Bug 796520 - Layout overlapping in Income & Expense Chart
Bug 795362 - Special variable "i" not parsed in function calls
Bug 796687 - Tax Entity name and type for an account won't work under
"Tax Reporting Options" in Gnucash 3.2
Bug 796728 - GnuCash 3.0-3.2 crashes when starting up under Windows
Bug 796740 - Selecting register value with mouse fails
Bug 796746 - Cannot copy and paste anything into the amount field
(both credit and debit)
Bug 796496 - CSV Importer: Column Selectors invisible on Windows.
Bug 796767 - The importer shows read-only and placeholder accounts
Bug 796779 - Window size in SEPA transaction
Bug 796761 - Newline (char(10) is inserted into the end of the string if
copy & paste text from excel into the description field of
transaction
Bug 796656 - GnuCash frequently crashes, usually involving unsaved
transactions.
Bug 796799 - After Deleting Transaction Price, Enter Required 2x
Bug 796774 - Investment account QIF Import does not import transaction
Bug 796758 - Improve error messages, why one can not remove a tax table
Bug 796773 - Display of Negative numbers
Bug 796782 - Cannot import OFX file in new 3.2
Bug 796810 - Account creation and editing dialogs do not allow entering
umlaut-u
Bug 796824 - took more than 2 hours to import 220 transactions
Bug 796844 - Amount column of Customer Report should net Credits and Debits
Bug 796750 - qof_query_search_for stores pointer of type string argument
Bug 795393 - Do not create .log files when using sqlite backend
Bug 796857 - Import of QIF duplicates transfer transactions
Bug 796852 - Context sensitive Help broken
Bug 796850 - Auto-decimal-point causes incorrect price to display when
amount is edited.
Bug 796100 - Autosave Doesn't Always Work
Bug 796754 - Guile encoding certain strings not as UTF-8
Bug 796847 - Error trying to do CSV import doesn't recognize account
specification
Bug 796877 - test-stress-options fails
Bug 796871 - GtkFileChooser Name Field and Sidebar Ignore UNC Paths
Bug 796736 - Column Widths calculator need to allow more padding
Bug 796885 - SX Editor Calendar Sometimes Shows Wrong Year, Wrong Next Date
Bug 796909 - Can't enter different notes and memos for an AR payment
transaction
Bug 796880 - Menu Tooltips Interfere with All Dialogs
Bug 796688 - "Next" Button Moves Repeatedly During New File Wizard
Bug 796911 - Minimum window width is too large, so it may not be possible
to maximise the window
Bug 796892 - Startup warning: undefined symbol PyOS_getsig
Bug 796907 - After a series of actions to the window of GnuCash, some of
or all of the contents will dispear and could not get them
back
Bug 796896 - Button to complete an export not intuitively placed or
discoverable
Bug 775368 - "Average cost" price source problem
Bug 796926 - Scrolling Fails if Mouse Leaves Window
Bug 796900 - Problems in Description Editing. Select all implemented with
the Caps Key (plus no Ctrl Z Undo, grrr)
Bug 796500 - Scalability issue - importing large CSV to large book won't
finish
Bug 796775 - Auto fill not working correctly (only match the first char
you type ...)
Bug 796899 - FTBFS on [mips]: segfault; test-backend-dbi; endianness
Bug 796933 - Backspace key doesn't work, sometimes.
Bug 796934 - Menu and message characters display as boxes
Bug 796895 - Report end and start dates not obeyed
Bug 796935 - Scrollbar indicator does not move while scrolling
Bug 796938 - Typing account name no longer navigates to account
Bug 796942 - Make Auto-Split Optional or Undo-Able for Data Entry
Bug 796890 - CSV import of multi-split transactions marks reconciliation
status of first line as cleared
Bug 796882 - Entering an amount as a calculation fails the first time in
bills
Bug 796867 - GNUCash crashes on startup with Mac Mojave 10.14 in Dark mode.
Bug 796953 - Attempting to enter loan causes 3.3 to crash
Bug 796870 - Cannot (occasionally) undo invoice billing
Bug 796954 - No scroll in invoice/billing and all columns not visible.
Column resizing is disastrous
Bug 796955 - Import CSV - Single-line two-currency transactions can't be
imported
Bug 795804 - Extremely slow save
Bug 795383 - Gnucash crashes on import of a 1400-transaction (or more)
CSV file
Bug 796946 - Mortgage and Loan Repayment Setup tool crashes when exiting
"Loan Repayment Options" page
Bug 796970 - Disable editing of currency retrieval settings for currencies.
Bug 796973 - Blocking problem when importing QIF - trading commodities
enter Information
Bug 796968 - Screen display gets corrupted in some circumstances when
multiple windows stacked on top of each other
Bug 796971 - Keys "Home" and "End" do not work after popup is displayed
Bug 796879 - GnuCash crashes on startup
Bug 796894 - Edit -> Preferences results in gnucash.exe- No Disk error box
Bug 796979 - GnuCash segfaults on first startup when run from remote
X session
Bug 796983 - fails when importing QIF exported by Quicken 2015 Deluxe
Bug 796905 - GNUcash does not start after windows 10 update
Bug 796976 - saving file with scheduled transaction hangs: copy of
scheduled transactions missing in tmp file?
Bug 796974 - Feature Request - Headings for the Matcher column
Deposit/Withdrawal do not change to Debit/Credit when formal
accounting labels are preferenced
Bug 796990 - Budget : Newly created account and account with zero
transaction cannot be shown in Budget
Bug 796989 - some date/time does not honor user locale
Bug 796936 - Saving XML-formatted file to CryFS volume crashes GNUCash
Bug 796965 - Show Unused Accounts
Bug 796977 - No amounts displaying after upgrade from 2.6.19 to 3.3
Bug 795384 - GnuCash 3 is tremendously memory hungry on macOs
Bug 796878 - test-qofsession fails on x86_32
Bug 796992 - gnucash --add-price-quotes always fails
3.3 - 30 September 2018
The fourth release of the 3.x stable series.
The following bugs have been fixed:
Bug 771667 - Different warnings when changing reconciled splits vs. splits
linked to reconciled splits.
Bug 784420 - "Save changes on closing" window waits 2^32 seconds when
"Time to wait for answer" is set 0.
Bug 786708 - GnuCash won't load currency fractions larger than 1000000.
Also create larger fractions for the account dialog.
Bug 787439 - Segmentation Fault in Transfer dialog after clearing Date field
and pressing escape.
Bug 789594 - Unable to overwrite sqlite3 database file.
Bug 792446 - Mixed languages in error dialog.
Bug 794526 - Python bindings can't find loadable modules.
Bug 794755 - Commodity Register displays fractional prices.
Prices will now be displayed in decimal, rounded to two more
places than the currency's smallest unit.
Bug 794870 - If no book is opened, gnucash still asks if the user wants
to save changes when opening a file.
Bug 795821 - GnuCash could not obtain the lock for
file://C:\Users\username\Documents\GnuCash\2.6.21\xxxx\xxxx.gnucash
Bug 796054 - Unposting and reposting invoice doubles amounts.
Add scrub function to unblock the double post transaction
Bug 796137 - query.search_for outputs critical qof.object errors and
prevents queries being run.
Bug 796248 - Editing Scheduled Transaction.
In addition to not begining to edit already-loaded
transactions, don't try to load splits that are already
loaded. It shouldn't be possible to load a transaction
without also loading its splits.
Bug 796474 - Segmentation fault while setting up online banking.
Allow only a single instance of the assistant.
Bug 796509 - Saved reports don't respect *some* 'Edit report options'.
Bug 796579 - Cannot go forward with empty duplicates screen.
Bug 796665 - Backspace Key Inoperable After Ctrl+V.
Bug 796669 - Dark Theme Text Colors Hard to Read.
Only add the register-foreground class when using Gnucash built
in colours. When this setting not used, the foreground colour
by default will be what ever the theme has set and will be
down to the user to over ride along with the other register
colours.
Bug 796724 - Can't overwrite gnucash DB on MariaDB.
Bug 796725 - 4 of 6 Date Posted options fail to return matching
transactions.
Bug 796734 - Auto-complete entry not highlighting to allow for incremental
entry.
Bug 796737 - Patch to restore gncmod-python.c.
Bug 796739 - Toolbar buttons have no labels.
Bug 796751 - reconcile window usability - R column should be next to Amount.
Bug 796755 - buggy window handling at startup.
Bug 796756 - OFX import fails to recognize associated income accounts.
Bug 796759 - --add-price-quotes <sql file> leaves a lock on the file.
Bug 796762 - Scrollbar partially hides the delete button in the Saved
Report Configurations window.
The vertical scrollbar obscures the delete button in the tree
view so add a dummy blank column to the end and set it to the
width of the vertical scrollbar.
Bug 796766 - Credit note creating 'imbalance' with wrong entries
Bug 796777 - CVE-2008-1391: Integer overflow in included strfmon function.
Bug 796788 - Strange behaviour in options of multicolumn report.
Bug 796792 - SaveAs Overwrite dialogue in background and not visible.
Bug 796812 - gnc_date_cell_get_date and gnc_date_cell_get_date_gdate have
different date validation behaviour.
Bug 796813 - Date validation inconsistent.
Bug 796814 - Changing a book's read-only threshold doesn't immediately
affect open registers.
Bug 796816 - Notes field in Duplicate Invoice dialogue is 'read-only'.
Bug 796819 - Bad icon with Spanish localization.
Drop translations of the 'gnucash-icon' string from our po
files and add a note for translators to not translate this
string or use the literal 'gnucash-icon' as translation.
Bug 796820 - References to 'Gnome Bugzilla' should be changed to
'GnuCash Bugzilla'.
Bug 796833 - Excel csv Format misprocessed.
Convert all line ending styles to the one expected by the C++
standard library before starting to parse a csv file.
Bug 796839 - Find transaction won't filter on Date Posted.
Bug 796858 - TypeError: in method 'qof_query_int32_predicate', argument 2 of
type 'gint32' on gnucash.gnucash_core.QueryInt32Predicate.
Other repairs or enhancements not marked as bugs:
Set toolbar buttons to show both icon and text.
And make the icon small to recover some vertical screen estate. The
motivation for this is that Gtk has dropped the ability for users
to change a toolbar's appearance. And as our icons are often less than
descriptive many users benefit from having textual descriptions as
well. This is the best compromise we can make until the gui gets an
in-depth redesign.
Add preference for forcing prices to decimal display.
Anticipating that some users might prefer to see exact prices, add
a preference to General>Numbers to configure whether prices are
rounded to decimals or are displayed as exact fractions.
Revert the "Average Cost" pricing changes made in 2.6.17.
These changes broke trial balances in many books.
Allow saving to xml over an existing sqlite3 file and the other way around.
Add customer/vendor ID in client section of invoices.
Partly fixes bugs 430259 and 742086; full fixes would require
not-backward-compatible data model changes.
Change the default filter for General Ledger.
The General Ledger default for the number of days shown is 30 but
for the Register it is 0, meaning show all. So change the default
filter based on ledger type and use this when determining if the
setting should be saved or removed.
Fix gtk accelerator mixups by explicitly disabling actions that are not
relevant. For example, File->Print and its variants for various page
types all use the same '<primary>p' as global accelerator. It was
possible to have gnucash invoke the 'Print Report...' action instead
of the 'Print Invoice...' action when hitting <primary>p on an invoice
page. If no report page was open at this point, gnucash would crash.
If a report was open, gnucash would invoke the print action on that
report instead of opening an invoice report for the invoice.
[job-report] Prevent Crash if there is no AR account
Add the ability to cascade account colours in account tree.
The colour on an account that has sub-accounts can be applied to its
sub-accounts; by default only those sub-accounts that don't have a
colour set are affected, but there's a preference to override that.
Speed up loading the preference dialog by blocking register updates until
the dialog is fully loaded.
Update change_tax_code.py, add basic test for python query.
Simplify GNCQueryView's data model: It was managing a number of redudant
parameters which were leaking memory all over the place. The information
that was tracked could easily be extracted from the underlying
GtkTreeView, GtkTreeModel or GtkTreeSelection when needed.
Open customer/vendor/employee report when double-clicking an the
respective owner the cust/vend/empl overview page.
Update Overview of README based on https://lists.gnucash.org/pipermail/gnucash-devel/2018-September/042748.html
Many new tests for reports.
Some substantial speedups when loading large amounts of business
transactions from a SQL backend.
Clean up a lot of memory leaks.
Remove all use of Timespec in the program. Provide deprecated wrapper
functions supporting timespecs for custom reports; users should update
the reports as soonas possible.
Updated Translations: Farsi, Ukrainian
3.2 - 25 June 2018
The third release of the 3.x stable series.
The following bugs have been fixed:
Bug 787401 - Test Report System - Report Definition.
Bug 794617 - Can't compile with -DWITH_GNUCASH=NO due to scm-gnome-utils.
Bug 795101 - Scroll Bar in Reconcile Window Floats in and covers the check
boxes.
Bug 795247 - datepicker broken in Persian.
GnuCash passes dates as integer y/m/d without using locale-specific
formats, so we need to strip out 'E' and 'O' from the format when
scanning dates or determining separators in gnc-date. None of '-',
'E', or 'O' are supported by boost (and '-' causes errors), so
strip them out from formatters in gnc-datetime as well.
Bug 795253 - Have problems input Chinese.
Bug 795272 - QIF importer causes application crash if action is invalid.
Bug 795276 - Invalid date on price stops file from being parsed.
Bug 795362 - Special variable "i" not parsed in function calls.
Due to balance tests with insane random values.
Bug 795471 - Impossible to Edit Budget Unless Maximized.
Bug 795519 - Credit card payment after reconciliation.
Bug 795666 - Backslash '\' in Description field spoils CSV Import without
helpful error message.
Bug 795831 - When read only threshold set, dates are silently changed.
Display a message box informing the user of the change.
Bug 795944 - Cannot store change to Business Suppliers data.
Bug 796079 - Repeatable Crash in Tax Report Options.
Bug 796081 - Tax Schedule Report - An error occurred while running the report.
Bug 796083 - Reconcile Selection Doesn't Work Anymore.
Bug 796117 - Connecting 3.1 to an existing mysql db drops all data
Provide a backup recovery function that instead of dropping
primaries and restoring backups merges the primaries and
backups. This should handle a worst-case safe-save failure where
the backup tables don't have a complete set of rows for some
reason.
Bug 796256 - Main Window stays hidden when starting after closing main
window while minimized.
Bug 796369 - Notes lost or perhaps just not displaying when using SQLite
backend.
This bug caused data loss if you saved your SQLite3 database to a
different file or database. The problem is that in SQLite3 (though
not in MySQL or PgSQL) the subquery ((SELECT DISTINCT guid FROM
transactions)) (note the double parentheses) returns only the first
guid in the subquery's results. Some transactions are loaded by
special queries and those queries are also used to retrieve the
transaction's slots so they weren't affected.
Bug 796398 - Restrict accelerator keys to valid date range.
Bug 796409 - Incorrect Current Value for Stocks.
Missed calculating the value in the register summary bar.
Bug 796423 - Cannot Input Chinese, seems does not work with other IME too.
Toggles not in view with all rows selected weren't being redrawn.
Bug 796484 - csv import: iostream error
Unfortunately it turns out that we can't use filestreams because
they can't take path arguments containing Unicode on Windows.
Bug 796527 - invalid currency on scheduled transactions.
* Don't even check for price/exchange rate on template
transactions, there's no point.
* Check all split commodities are valid, abort transaction
creation if not.
* If the template transaction's currency isn't used by any of the
splits set the new transaction's currency to the first-found
currency if there is one, otherwise to the first-found commodity.
Bug 796537 - Transaction Report cannot sort by "num".
Bug 796586 - QIF import incorrectly converts unicode characters from UTF8
encoded file.
Bug 796595 - QIF Import Select Account button to add a new account is
labled gnc-account-new but should be New.
Bug 796600 - stock split cash-in-lieu income/asset labels backwards.
Bug 796614 - Reconciliation report contains incorrect transactions.
Bug 796638 - configuration not properly saved for CSV transactions import
form.
Other repairs or enhancements not marked as bugs:
Transaction report improvements:
* Performance: Do all filtering ops before sorting.
* Move the options summary before the subtotals table.
* New unit tests
* Enable computing averages in subtotal grid.
* Generate the subtotal grid only if the primary sort key enables
subtotals.
* Fix subtotal grid to support multiple commodities.
* New filters.
* Much cleaning and refactoring of the internals.
Cache the num-split-action book option to avoid thousands of KVP queries
for the same value when loading a register.
Create a static string for book option KVPs to save an extra malloc/free
on old compilers without small-string optimization.
Add tooltip support for register cells.
New unit tests for the balance sheet report and invoices.
Consolidate charting code into a single module.
Removed an incomplete and abandoned C implementation of QIF import.
Restored libsecret support that had been left out of CMake.
Replace old-style html style attributes with css.
Modify emitted html to be parseable by the Guile SXML module for testing.
Remove support for long-gone gtkhtml renderer.
Clean up code generating html tables.
Ensure full precision of doubles is saved to SQL.
std::iostream's operator<<(double) uses only 6 digits of precision by
default.
Make float database operations more consistent, working around dbd-sqlite3's
failure to support doubles (dbd-sqlite3, not sqlite3 itself).
Prevent crash in gnc-tree-view.c: When getting information from the state
file, protect against the key not having a '_' which is used to split the
string.
Add the full account name to the saved register settings
If you need to delete the layout for a register in the settings file,
the only thing identifying it is the account guid. To make it easier
for humans, add the full account name also.
When register pages are restored it uses the full account name.
When register pages are restored, the account is found from the full
name so if the separator changes it will fail. Instead, also save the
account guid and use that as default to find the account falling back
to the full name.
Fix misplaced try block that caused unhandled exception if year out of
range.
Fix permanent storage of vendor details: Since the data types did not match
for the billterms and taxtable, those references/guids were not saved to
the database.
Update invoice reports to use totals calculate by gncInvoice. This should
give a consistent representation of invoice data across the application.
Ensure gncEntry rounding is consistent. Internally calculated values in the
entry are never rounded. Consumers of gncEntry's calculated values can
request them either rounded or not. Next use a pragmatical approach for
calculating values on invoices based on the entry values: do the rounding
such that we never create an unbalanced transaction while posting.
That means:
* round each entry's net value before summing them in net total
* accumulate all tax totals on invoice level per tax account before
rounding
and round before before summing them in a global tax total
Hopefully this will catch a few more rounding issues in this area.
A complete solution can only offered if we allow users to manually correct
tax entries. This requires changes to user interface and data format so
that's not going to happen in gnucash 3.x.
Use Scheme SRFI-64 test framework for new Scheme unit tests.
New compilers (gcc-8.0 and Xcode 9) bring new warnings, so several fixups to
mollify them.
Lowercase all cmake commands for better readability.
Metadate migration (2.6.x->3.x) fixes for Windows.
Ensure timezone is set correctly in FreeBSD.
Updated Translations: Dutch
3.1 - 29 April 2018
The second release of the 3.x stable series.
The following bugs have been fixed:
Bug 118391 - Long currency names untranslated
Bug 769686 - Notes not imported when using update and reconcile in
import transactions from CSV
Bug 772776 - VERY large queries (over 11000 fields in IN clause) slow
down GnuCash
Bug 782144 - git-master - Save Corrupts Data File / Not Open Data File
Bug 792105 - Startup takes several minutes
Bug 793461 - Transaction matcher window blank when importing QFX
Bug 794767 - Dates default to 01/01/1970
Bug 794916 - Fails to find environment file at startup when installation
prefix is '/opt'
Bug 794936 - 3.0 does not open previously saved sqlite3 files properly
- corrupted business data
Bug 794941 - Both print icons export to pdf
Bug 794953 - Ellipsize on short tab labels
Correct error on when to ellipsize tab labels. Also as this
is used in two places separate out this to new function so
it is not duplicated.
Bug 794990 - Double click does not work on saved reports
When you double click on the saved report description nothing
happens. This was down to a conflict on a couple of call
backs and one of them was incorrectly setup.
Bug 794994 - Display Alphavantage key in full
Set the entry to expand so all the space is used to display.
Bug 795031 - 3.0 Crashes on loading when opening 2.6.19 file
Bug 795039 - Crash on startup using Technicolor Style sheet in report
Bug 795040 - GnuCash crashes when searching for a newly created bill
Bug 795049 - GnuCash 2.6.20-1 (Fedora Linux package) is unable to open
MariaDB.
Bug 795064 - Enable subtotal-only if either sortkeys are dates
This will allow 'show subtotals only' if sortkeys are
date-types. This allows, for example, prime-sortkey=date,
yearly. sec-sortkey=date, monthly.
Bug 795068 - src/optional/python-bindings missing several files
Bug 795080 - Some dates reset to 01/01/1970
An odd corner case: BST apparently came off of DST at 23:00
26 Oct 2014, so midnight that day was ambiguous about being
DST or not; that causes the local_date_time constructor to
throw in spite of the tm.is_dst element being 0 (meaning pick
standard time). Instead of just failing in that case, try
constructing a local_date_time three hours later then adjust
it back three hours. If *that* doesn't work then throw a
std::invalid argument.
Bug 795082 - CSV import crashes if a transaction's 'Account' field is
empty and no default Account set
Bug 795101 - Scrollbar floats and covers toggle buttons
When the scrollbar appears for the reconcile windows it can
float above the reconcile toggle button which make it
difficult to toggle. Move this column to the start which has
the advantage of aligning the amount column above the Total
value.
Bug 795142 - Unable to enter account codes in business sheets
In Bills, Invoices and Expense vouchers you can not enter an
account code in an account field like you can on a normal
register, enable this.
Bug 795155 - CSV import does not distinguish between deposit and withdrawal
Bug 795347 - Australian (GMT+10) OFX transactions imported have previous
days date
Bug 795377 - Reads and saves Gnucash 2.6.19 XML file, then can't reread
it, due to bad date in old file
Bug 795389 - Hard to see figures in the budget window
The budget view had hard coded black for normal values and
dark grey for other values. Changed this so normal values
are reset to default color and adjusted the grey based on
default color for theme.
Bug 795405 - All Dates in Price Database Off-By-One After 3.0 Upgrade
Bug 795446 - On Windows there is a blank tip of the day
When the tip_of_the_day.list is created a new line is
appended to the list file and on Windows this causes a blank
tip so remove the adding of the extra line.
Bug 795471 - Budget window scrolls edited cell out of site
When editing cells that have been revealed on the right by
scrolling the window snaps back to the left hiding the cell
being edited. This may be due to an underlying gtk issue
but these changes fix the issue visually.
Other repairs or enhancements not marked as bugs:
On Windows the tooltip for saved reports was incorrect
When the mouse was placed over a saved report description on Windows an
empty tooltip was displayed. Setup the query tooltip callback so it does
not display a tooltip for description column.
Fix crash when loading sql book with posted transactions
Add ability to recognize and use a pre-compiled libgmock.so.
html-font: add default font family
Windows ships with GTK2 in which the default font styles are named
"Sans" "Sans Bold" "Sans Normal" etc. There is no "Sans" font in
Windows; I vote to add a default "Sans-Serif" font-family which is
valid CSS. This ensures exported reports are shown as intended.
Several improvements to the Transaction and GST reports.
csv-impport - Allow empty amount fields
Treat empty amount fields as 0. This is necessary for example in
the case the csv import file has both a deposit and a withdrawal
column.
Remove the set transient parent setting for Reconcile window
The Reconcile option is already a window so it is not necessary to set
this value which allows the jump to transaction to work properly.
Date Format dialog flashes up when file/properties used
When you select the File/Properties dialog, in the construction of that
a 'Date Format' dialog flashes up while the date component is moved to
the properties dialog. Can mainly be seen on Windows so remove the
visible setting in glade file.
Prevent throw in gnc-pricedb.
If a price lookup is given an invalid time64/timespec (i.e. INT64_MAX)
then just return NULL instead of trying to find the nearest price.
Set GNC_VCS at build time instead of when making the tarball.
Because the tarball is always made from a VCS repo.
If there are no prices in the db, critical errors are flagged
When dialog transfer is used between two commodities and there are no
prices in the db a critical error is logged. Test for price object
being NULL before retrieving the price for the error message.
The following translations are updated: Slovak, Spanish
Known Problems:
It is not possible to overwrite SQL Databases from within GnuCash, even
though GnuCash will ask if you want to. Bug 789594
Several dates, including Accounting Period, are subject to change with
time zone and daylight-time changes. Bug 791825
Some HBCI information is not loaded correctly so the first transaction
download will re-retrieve transactions unless the beginning date is
set explicitly. Bug 792397.
The new CSV importer's Price of Shares column doesn't work. Bug 793306
The new CSV importer's numeric parser can't parse numbers of the form
x + y/z. Bug 793556.
Python bindings may not work in some installations because the bindings
are unable to find the backend modules (libgncmod-backend-dbi and
libgncmod-backend-xml). Bug 794526
Get Quotes can be slow if one has a large number of saved prices.
Bug 794644.
The Mac localization code can set the wrong encoding for strftime causing
the register's date picker to label months "Null" in some locales.
Bug 794807
On Mac, the File Open dialog will crash if one types anything.
(This is a Gtk+ bug). Bug 794809
An open register is not immediately updated when the Since Last Run
dialog creates transaction splits in the register's account. Bug 794854
GnuCash asks if one wants to save changes when quitting or opening a file
even if there's no book open. Bug 794870
Windows Defender falsly identifies the GnuCash installer as a Trojan.
Bug 794967
Some Windows users have trouble using Chinese input methods on the
Register; other controls work. Bug 795253
On Microsoft Windows the Tab key does not work in the register if the
caps-lock key is on. Bug 795294
GnuCash will crash if one attempts to import a CSV file with more than
1400 transactions. Bug 795383
Invalid input into a formula (Debit/Credit) field is inconsistent
depending on the input. Bug 795614.
3.0 - 1 April 2018
The first release of the 3.x stable series.
New Features for Users:
The headline item for this release is that GnuCash now uses the
Gtk+-3.0 Toolkit and the WebKit2Gtk API. This change was forced
on us by some major Linux distributions dropping support for
the WebKit1 API. Unfortunately the Webkit project doesn't
support Microsoft Windows so that platform will continue to use
the WebKit1 API, though with Gtk3. We've selected Gtk+-3.14.0
as the minimum version because it fully supports CSS
theming.
New editors to remove outdated or incorrect match data from the
import maps, a new user interfacs for managing files associated with
transactions, an improved facility for removing old prices from the
price database, and a way to remove deleted files from the history
list in the file menu.
New Reports: A Reconciliation Report based on the Transaction Report,a
Income GST Report, and a Cashflow Barchart report.
A new CSV importer largely rewritten in C++, adding new
features including the ability to re-import CSV files exported
from GnuCash, along with a separate CSV price importer.
A new preference panel for the Alphavantage API key so that Finance::Quote
users need not edit /etc/gnucash/environment. We've removed all
references to the various Yahoo! quote sources and made Alphavantage
the default.
Data file directories are now located appropriately to the
operating system's conventions by default:
- Windows: CSIDL_APPDATA/Gnucash
- OS X: $HOME/Application Support/Gnucash
- Linux: $XDG_CONFIG_HOME/gnucash (or the default $HOME/.config/gnucash)
It's still possible to overried with the environment variable
GNC_DOC_PATH, which replaces GNC_DOT_DIR in earlier versions of
GnuCash.
Accounts in the Bayes import map are now linked by GUID instead
of names so that the matcher won't have to be retrained if you
rename an account. The Bayesian import maps are also stored in a
flatter structure to allow faster access, especially in SQL. These
changes mean that if you have Bayesian mapping data, once converted
your database will be loadable only by GnuCash 2.6.20 and later.
MySQL and SQLite3 date storage has changed a bit. Once converted, MySQL
and SQLite3 database will be loadable only by GnuCash 2.6.19 and later.
Numerics are rewritten to allow for more significant digits. The old
6-digit-maximum fraction is now 9-digits, and prices may have up
to 18 digit precision.
Chart Reports appearance is improved, including more modern chart colours
as suggested by https://clrs.cc/.
Transaction Report improvements, including regular expression filtering
and many more options and features including a "Subtotal Summary Grid"
The subtotal summary-grid will tabulate subtotals - prime-sortkey
vertically, sec-sortkey horizontally. For example, with
prime-sortkey = accounts, sec-sortkey = date, sec-subtotal = monthly
will produce a monthly time series table.
The About dialog box layout is improved and now includes the detected
Finance::Quote version.
GnuCash will always build the locale-specific tax modules. This
was optional when building with autotools and never enabled when
building with cmake. Note that the only supported tax locales are
en_US and de_DE.
On Macs the Reconcile Window's menu moved to the menubar.
GnuCash no longer supports Guile-1.8 and now does support Guile-2.2
New Features for Developers:
Several parts of the engine and the SQL backend are rewritten
in C++, an effort that will continue in the next development
cycle. KVP is now private to libgncmod-engine and accessible
outside via qof_instance_set and qof_instance_get. KVP and GUID are
reimplemnted in C++ using boost::variant and boost::UUID respectively.
C++ unit tests require GoogleTest. While it's possible to use prebuilt
libgtest and libgmock on some distros, building static libraries for
GnuCash is preferred. It may be necessary to provide the paths to
the googletest and googlemock source with CMake parameters
GTEST_ROOT and GMOCK_ROOT respectively.
The date implementation is migrated to boost::date-time,
replacing a Glib GDateTime implementation. This makes the
earliest date recordable 1 January 1400CE instead of 1 January 1CE.
We doubt any users will be affected.
Distribution tarballs can now be built with CMake as well as
Autotools. (Rob Gowin)
We've reorganized the code into a core library directory, libgnucash, and
application-specific directory, gnucash. The python bindings are now
in a top-level directory, bindings; code pinched from other projects
is in borrowed, the account templates, check templates, and pixmaps
are consolidated in data, and common holds the cmake modules and test
framework code. The bin directory's contents have moved to the top
level gnucash directory and bin is removed.
There are now directories for gschema, gtkbuilder and ui files directly
in gnucash. In principle all files of each type should go into these
global directories. The only exception is if such a file belongs
to an optional module. In that case the file remains located inside
that module's directory. Currently we have ui, glade and gschema file
exceptions in aqb and ofx importers.
The build system is changed from Autotools to CMake. All options except
python bindings and the python console demo are enabled by default.
Highly parallel builds with Ninja are possible and recommended,
except on Microsoft Windows.
The Windows build system is rewritten to use MSYS2, Mingw-w64, Powershell,
and jhbuild.
Add a "pot" target to the build system so that translators can easily
generate a new gnucash.pot from a git repository.
Detect presence or absence of libxml2 and makeinfo during configuration;
abort if the first is missing and don't build the (mostly
obsolete) texinfo documentation if the latter is. Document
both in README.dependencies.
Replaced Timespec with time64 in the Scheme and Python bindings,
introducing many new C time64 functions to accomodate the
replacement. Timespec will eventually be removed from the C API
as well.
Some cruft removal in libgnucash/scm plus moving some code to its
only use location. "main.scm" is renamed to "utilities.scm".
The "printf" family of Scheme custom functions is replaced with
the built-in "format" facility.
Change a generally unnecessary warning about being unable to open
a module (usually because the file is still being created) to a
debug message. It appears mostly during highly parallel builds and
was distracting.
Appstream configuration is updated to the latest spec.
Added two functions to the Scheme option API:
* gnc:option-make-internal! will hide an existing option. e.g. a
derived report can set the value for a Display/* option and hide
it from the user.
* gnc:unregister-option will unregister option. This is primarily
useful for derived options e.g. another report copies from
transaction.scm and removes some options and recreates them with
different parameters.
For example, unregister existing option from section "Accounts"
name "Accounts", and recreate with different parameters
e.g. limited account types.
Drop intltool in favour or using modern gettext.
By default we require gettext 0.19.6 as this is needed to generate a
translated version of gnucash.desktop and gnucash.appdata.xml.
For platforms where this isn't available, setting ALLOW_OLD_GETTEXT=ON
will allow building but some strings will not be extracted to
gnucash.pot
Pass GTEST_ROOT and GMOCK_ROOT through to distcheck.
So that they don't have to be exported in the environment if they're
needed.
The Python Bindings and Console are now for Python 3, and enahanced to
expose more GnuCash API.
Compilation of GLib Schemas during build and installation can be
disabled by setting -DCOMPILE_GSCHEMAS=OFF. This is intended
*only* for distribution packaging scripts that run
glib-compile-schemas themselves. Otherwise note that if you install
to a DESTDIR you'll need to re-run glib-compile-scemas after moving
the contents of $DESTDIR$PREFIX/share/glib-2.0/schemas to $PREFIX.
The CuteCash front end has been removed. The code we need from
GOffice has been brought into the GnuCash code base so GOffice
is no longer a dependency. The register drawing code has been
upgraded to draw directly on a cairo surface, removing the dependency
on libgnomecanvas.
GnuCash 3.0 adds the following dependencies: Boost, ICU, Googletest.
Known Problems:
It is not possible to overwrite SQL Databases from within GnuCash, even
though GnuCash will ask if you want to. Bug 789594
There is no theming tool for Windows or Macs so users of those platforms
must apply theming by hand. Bug 791823
Accounting Period dates are subject to change with time zone and
daylight-time changes. Bug 791825
Opening a large SQL database on Windows is very slow on some machines,
merely slow on others. Bugs 792105, 794482.
Some HBCI information is not loaded correctly so the first transaction
download will re-retrieve transactions unless the beginning date is
set explicitly. Bug 792397.
The new CSV importer's Price of Shares column doesn't work. Bug 793306
Importing an OFX file on Windows fails with an empty matcher window.
Bug 793461.
The Bayes account matcher can take a long time to convert the accounts
from name string to guids. This is a one-off, happening only the
first time one imports into an account on GnuCash 3.0. Bug 794334.
The new CSV importer's numeric parser can't parse numbers of the form
x + y/z. Bug 793556.
Python bindings may not work in some installations because the bindings
are unable to find the backend modules (libgncmod-backend-dbi and
libgncmod-backend-xml). Bug 794526
Get Quotes can be slow if one has a large number of saved prices.
Bug 794644.
Some users see 1 January 1970 instead of the default date in the New
Invoice or New Bill dialog and on the unposted bill and invoice.
Bug 794767.
The Mac localization code can set the wrong encoding for strftime causing
the register's date picker to label months "Null" in some locales.
Bug 794807
On Mac, the File Open dialog will crash if one types anything. Bug 794809
An open register is not immediately updated when the Since Last Run
dialog creates transaction splits in the register's account. Bug 794854
GnuCash asks if one wants to save changes when quitting or opening a file
even if there's no book open. Bug 794870
The Online Actions menu includes some obsolete and non-functional
selections. Bug 794880.
2.6.20 - 1 April 2018
This is the final release in the 2.6 stable series.
The following bugs are fixed:
Bug 765846 - Expense Over Time for subaccounts: An error occurred while
running the report: Fix crash if acc-depth too low.
Bug 791848 - GC 2.6.x does not handle ISO dates introduced with GC 2.7
Enable reading ISO-formatted dates, recognize
GNC_FEATURE_SQLITE3_ISO_DATES.
Bug 792008 - gnucash 2.6.19 fails to build
Replace g_assert_true with g_assert for now
Bug 793278 - wrong data in charts with accumulated values (like
"net-linechart", "net-barchart" and "liabilities barchart")
Bug 794030 - relative date functions compute wrong day of month
Bug 790526 - Mathematical bug
This change will fix 'num-of-weeks-since-1/jan/1970' which
formerly used quotient to remove the fractional part of the
division. For negative values of num-of-weeks, the number is
truncated in the wrong direction (i.e. towards 0). This
change uses floor instead to ensure the num-of-weeks found
is the nearest integer LESS than the fractional number.
Other repairs or enhancements not marked as bugs:
Online HBCI actions: Remove outdated non-SEPA menu items.
Add XML namespaces for all Account Hierarchy Templates.
General cleanup of Account Hierarchy Templates.
Fix auto-selection of splits in reconcile
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.
Properly detect git in case of linked worktree
Account Hierarchy for India: Set LANGUAGE=hi and LANG=en_IN to access it.
Improve Import menu entries Customer & vendors...
use same menu label as others, replace template by tooltip, add ellipsis
to entry, add comments to distinguish "Import" as verb and substantive.
Provide preference panel to set the Alpha Vantage API key needed for
Finance::Quote.
Correct the appstream definition to match the current spec.
Fix collectors and min-date handling in reports.
Updated Translations: Dutch, German, Spanish, Russian
2.7.8 - 25 March 2018
The Gnucash Development Team is pleased to release Gnucash 2.7.8,
the ninth release of an unstable series leading to Gnucash 3.0. This
release is a Release Candidate: If no bugs requiring major work are
reported the next release will be 3.0.
This release changes file locations, binding APIs, report options,
and can make your data file no longer compatible with previous
versions. See https://wiki.gnucash.org/wiki/UpdateNotes for
details.
The following bugs are fixed only in unstable/master:
Bug 787439 - Segmentation Fault in Transfer dialog after clearing
Date field and pressing escape.
Bug 794242 - Remove keep above setting for assistant hierarchy
Other repairs not marked as bugs in git:
When doing a file save from the a new start we have no key file
Test for Key_file not being NULL before trying to free it.
Stop critical error due to testing null filename
g_filename_from_uri returns NULL if it is not a file uri so test
for the file:// prefix before doing g_file_test
More transient-parent fixes.
Add missing response section to the account picker dialog.
Glade 3.20 adds surplus padding option to action area
When glade files are saved which have GtkAssistants defined a packing
section is added to the assistant action area which then causes a
warning so remove them.
Add XML namespaces for all Account Hierarchy Templates.
Increase default options dialog size: The old 400x400 was woefully
inadequate for most options especially options involving account trees.
Updated Translations: None.
2.7.7 - 18 March 2018
The Gnucash Development Team is pleased to release Gnucash 2.7.7,
the eighth release of an unstable series leading to Gnucash 3.0.
Notice that we've decided that beginning with the upcoming major
release we will use two-digit release numbers and that the next
stable release will be 3.0. Mainenance releases will be 3.1, 3.2,
etc. The next unstable release will be 3.900 and will lead to 4.0.
This release is UNSTABLE and SHOULD NOT BE USED in production.
See the KNOWN PROBLEMS list at the bottom of the announcement.
This release changes file locations, binding APIs, report options,
and can make your data file no longer compatible with previous
versions. See https://wiki.gnucash.org/wiki/UpdateNotes for
details.
New Features For Users:
For Developers and Distro packagers:
The Python Bindings and Console are now for Python 3.
It's now possible to create a GncPrice from the Python bindings
with "gnc_price_create(book)", removing the need to clone an existing
GncPrice object and modify it.
Compilation of GLib Schemas during build and installation can be
disabled by setting -DCOMPILE_GSCHEMAS=OFF. This is intended
*only* for distribution packaging scripts that run
glib-compile-schemas themselves.
The following bugs are fixed only in unstable/master:
Bug 787439 - Segmentation Fault in Transfer dialog after clearing
Date field and pressing escape.
Bug 791831 - Add python3 support.
Bug 794242 - Remove keep above setting for assistant hierarchy
Other repairs not marked as bugs in git:
Fix date corruption in SQL load. Four date elements were affected:
GncEntry::date, GncEntry::date_entered, GncInvoice::opened, and
GncInvoice::posted. This does not affect the stored values of the dates.
Fix lost Bayesian matches in SQL backend. The import-map-bayes uses a
three-part key that uses the same delimiter as a path and the SQL
backend was throwing away everything except the account guid.
More transient-window fixes and other Gtk3 cleanups.
Add xmlns namespace declarations to all of the accounts templates that
lacked it and remove the emacs mode-setting comments at the end of them.
Updated Translations: Spanish
2.7.6 - 12 March 2018
The Gnucash Development Team is pleased to release Gnucash 2.7.6,
the seventh release of an unstable series leading to Gnucash 3.0.
Notice that we've decided that beginning with the upcoming major
release we will use two-digit release numbers and that the next
stable release will be 3.0. Mainenance releases will be 3.1, 3.2,
etc. The next unstable release will be 3.900 and will lead to 4.0.
This release is UNSTABLE and SHOULD NOT BE USED in production.
See the KNOWN PROBLEMS list at the bottom of the announcement.
This release changes file locations, binding APIs, report options,
and can make your data file no longer compatible with previous
versions. See https://wiki.gnucash.org/wiki/UpdateNotes for
details.
New Features For Users:
Modernise chart colours from the dated CSS defaults to
modern colours as suggested by https://clrs.cc/.
Add "Subtotal Summary Grid" to the Transaction Report.
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.
For Developers and Distro packagers:
Rework source directory structure for gschema, gtkbuilder and ui files.
There is now a directory for each respective file type directly in
<srcdir>/gnucash as was already the case for gschema files.
In principle all files of each type should go into these global
directories. The only exception is if such a file belongs
to an optional module. In that case the file remains located inside
that module's directory. Currently we have ui, glade and gschema file
exceptions in aqb and ofx importers.
Drop intltool in favour or using modern gettext.
By default we require gettext 0.19.6 as this is needed to generate a
translated version of gnucash.desktop and gnucash.appdata.xml.
For platforms where this isn't available, setting ALLOW_OLD_GETTEXT=ON
will allow building but some strings will not be extracted to
gnucash.pot
Pass GTEST_ROOT and GMOCK_ROOT through to distcheck.
So that they don't have to be exported in the environment if they're
needed.
The following bugs are fixed only in unstable/master:
Bug 764245 - multi-column reports include incorrect sub-reports
Bug 793460 - gnucash/import-export/csv-imp/assistant-csv-trans-import.cpp:1941
is impossible to translate.
Bug 793467 - GnuCash crashes when trying to open a binary file
instead of a CSV.
Bug 793699 - start_spath could be used uninitialised.
Bug 793900 - 2.7.5: test failure: 105 - python-bindings.
Bug 793941 - 2.7.4: test failure on i686: 59 - test-gnc-timezone
Don't test before 1916, that's not a common GnuCash use-case.
Bug 793947 - Impossible to render printable invoice
Bug 794031 - The checkbox "Placeholder" cann't be changed in dialog
"Setup selected accounts". Enable placeholder toggle and
provide callback. The text for this account tree view
specifies "If you would like an account to be a placeholder
account, click the checkbox for that account." but they were
not enabled and no call back was defined so enabled the
toggle button and provide callback.
Bug 794083 - gnucash-2.7.5: cmake+make build installs Makefile.
Bug 794137 - 2.7.5: test failure: 60 - test-gnc-numeric.
Fixed by overloading operator<<(std::ostream&, GncNumeric) to
call operator<<(std::wostream&, GncNumeric) and convert the
result to utf8.
Other repairs not marked as bugs in git:
Csv imp settings - internalize prefix handling
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.
Csv import - improve memory handling in the assistant class.
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++
Add some background info on memory management in CSV importers.
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
Lots of transient parent warnings fixed.
Fix Segmentation fault when going to File->New.
When selecting the File->New with existing register pages open a crash
can happen as the register pages get closed forcing a page-changed
signal to queue the page focus function when there is no page. Add a
call to remove the page focus function in the ..destroy_widget function.
Also with the addition of g_idle_remove before the add when page-changed
is emitted the page focus function only gets run once.
Speed up GUID equality comparison.
Fix CPack package version number.
Currently running "ninja-build package" produces a file with an
incorrect version number. This patch passes the CMake version
variables into CPack to get the correct filename. Note, however, that
there's more work to do to get CPack to actually be useful and the
current CPack settings may be removed unless that other work is done.
Add spacing between border and text in dialog "New Accounts Hierarchy
Setup".
With register obscured the sheet kept being redrawn
When the register is obscured by another window, the sheet would get
lot of draw events. This was tracked down to getting the foreground
colour for the item-edit widget for the state GTK_STATE_FLAG_NORMAL.
Changed this to use the value obtained from gtk_widget_get_state_flags.
Use the gnc_prefs_get_bool values to update cache values.
This way is a safer way to update the cache values in case the settings
changed signal fails to trigger or there is a double trigger and the
cached value gets out of sync with the preference value.
Updated Translations: German, Norwegian, Spanish
KNOWN PROBLEMS:
Bug 789594 - Unable to overwrite splite3 database file
Bug 791823 - There is no Gtk3 theme-setting tool for Windows.
Bug 791825 - Accounting period dates off-by-1
2.7.5 - 25 February 2018
The Gnucash Development Team is pleased to release Gnucash 2.7.5,
the sixth release of an unstable series leading to Gnucash 3.0.
Notice that we've decided that beginning with the upcoming major
release we will use two-digit release numbers and that the next
stable release will be 3.0. Mainenance releases will be 3.1, 3.2,
etc. The next unstable release will be 3.900 and will lead to 4.0.
This release is UNSTABLE and SHOULD NOT BE USED in production.
See the KNOWN PROBLEMS list at the bottom of the announcement.
This release changes file locations, binding APIs, report options,
and can make your data file no longer compatible with previous
versions. See https://wiki.gnucash.org/wiki/UpdateNotes for
details.
New Features For Users:
Locate all user data and configuration files to platform-dependent
standard locations:
- Windows: CSIDL_APPDATA/Gnucash
- OS X: $HOME/Application Support/Gnucash
- Linux: $XDG_CONFIG_HOME/gnucash (or the default $HOME/.config/gnucash)
Further improvements to the Transaction and Income-GST-statement reports.
Transaction Report: omit display of $0 in subtotals in other currencies.
Previously in dual-subtotal columns, the dual-subtotal would
attempt to print all commodities in the row. This meant if user
chose common-currency thereby triggering additional commodities,
the dual-subtotal would attempt to add amounts in other
commodities which would be 0, and display the 0 amount.
For Developers and Distro packagers:
Some cruft removal in libgnucash/scm plus moving some code to its
only use location. "main.scm" is renamed to "utilities.scm".
The "printf" family of Scheme custom functions is replaced with
the built-in "format" facility.
Change a generally unnecessary warning about being unable to open
a module (usually because the file is still being created) to a
debug message. It appears mostly during highly parallel builds and
was distracting.
Added dependency information to all CMake targets, replacing a
dependency on build order that was carried over from
autotools. Highly parallel builds in ninja now complete without
interuption.
Ensure that all GtkBuilder and GtkUIManager files are correctly
installed and that no configuration of build products in those
directories are..
Appstream configuration is updated to the latest spec.
Fix installation of a gnucash-only gschemas.compiled overwriting
the system one. Note that if you install to a DESTDIR you'll need
to re-run glib-compile-scemas after moving the contents of
$DESTDIR$PREFIX/share/glib-2.0/schemas to $PREFIX.
Added two functions to the Scheme option API:
* gnc:option-make-internal! will hide an existing option. e.g. a
derived report can set the value for a Display/* option and hide
it from the user.
* gnc:unregister-option will unregister option. This is primarily
useful for derived options e.g. another report copies from
transaction.scm and removes some options and recreates them with
different parameters.
For example, unregister existing option from section "Accounts"
name "Accounts", and recreate with different parameters
e.g. limited account types.
The following bugs are fixed only in unstable/master:
Bug 787095 - Gnucash Crashes when opening old XML file.
Bug 792157 - Cannot create account with different currency
Bug 792833 - User specifies source of 'num' field'; either transaction
number or split action (requires at least GnuCash
2.5.0) Strip leading delimiters from KVP keys when
reading them from the database. Leading delimiters
are incorrectly included in databases created with
GnuCash 2.6.x.
Bug 792883 - cmake: no way to turn off -Werror
Prepend settings to CMAKE_C_FLAGS and CMAKE_CXX_FLAGS
so that values supplied on the command line can
override the fixed settings.
Bug 792884 - cmake: gschemas.compiled missing
Bug 793122 - 2.7.3: ninja build fails.
Bug 793155 - Gnucash 2.7.4 crashes on launch MacOS 10.13.4 PB1
Bug 793278 - wrong data in charts with accumulated values (like
"net-linechart", "net-barchart" and "liabilities barchart")
Bug 793568 - "Cash Flow" report crashes
Other repairs not marked as bugs in git:
An optimization in the GncDateTime string constructor provides
substantial speed up of loading SQL databases, and one in
Scheduled Transaction creation will speed up creation of large
numbers of scheduled transactions.
More dialogs have transient-for set so that they pop up over the
window instead of in the upper left-hand corner of the monitor.
Updated Translations: German, Greek, Slovak, Spanish
A new set of business account templates for India's new GST; use
locale en_IN to enable them.
KNOWN PROBLEMS:
Bug 789594 - Unable to overwrite splite3 database file
Bug 791823 - There is no Gtk3 theme-setting tool for Windows.
Bug 791825 - Accounting period dates off-by-1
2.7.3 - 31 December 2017
The Gnucash Development Team is pleased to release Gnucash 2.7.3,
the fourth release of an unstable series leading to Gnucash 3.0.
Notice that we've decided that beginning with the upcoming major
release we will use two-digit release numbers and that the next
stable release will be 3.0. Mainenance releases will be 3.1, 3.2,
etc. The next unstable release will be 3.900 and will lead to 4.0.
This release is UNSTABLE and SHOULD NOT BE USED in production.
See the KNOWN PROBLEMS list at the bottom of the announcement.
This release changes file locations, binding APIs, report options,
and can make your data file no longer compatible with previous
versions. See https://wiki.gnucash.org/wiki/UpdateNotes for
details.
New Features For Users:
A greatly enhanced Transaction report with many new options and features
including a reconciliation report thanks to Chris Lam.
Removed 6-figure rounding from price calculations, allowing prices to
have up to 18 digit precision.
A flatter storage scheme for Bayes account-matching scores, thanks
to Aaron Laws. This is a compatibility change guarded by a feature.
GnuCash no longer supports Guile-1.8 and now does support Guile-2.2
A CSV Price importer, thanks to Bob Fewell.
Enhanced python bindings exposing more GnuCash API thanks to Guy Taylor
The following bugs are fixed only in unstable/master:
Bug 616709 - Pressing delete key while editing account name offers to
delete account.
Bug 771667 - Change reconciled splits warning
This patch displays two distinct warnings when changing
protected fields of a transaction that contains reconciled
splits. If the fields date, num and description are changed,
then the warning list the accounts that have reconciled
splits and also advises that they will be unreconciled after
editing the transaction. If the fields account, transfer,
debit or credit are changed then the warning advises that the
split will be unreconciled after editing the transaction.
There is still just one warning preference as it is all to do
with fields protected by reconciliation.
Bug 787497 - Disabling options cripples dist package PARTIAL FIX:
WITH_OFX, WITH_SQL and WITH_AQBANKING handling is fixed. The
dist files for these features are always included in the
dist tarball.
Bug 790526 - Mathematical bug
Bug 791848 - GC 2.6.x does not handle ISO dates introduced with GC 2.7.
Set a feature to prevent versions older that 2.6.20 from
loading a database from which they cannot read the
dates. Ideally we would do this only if the database is
written to, but the current persistence design includes
committing back to the database during the load so the net
effect is that the flag would be set anyway.
This is a compatibility change guarded by a feature.
Other repairs not marked as bugs in git:
Tests now pass in all timezones.
More dialogs are made "transient for" so that they pop up centered on
the main Gnucash window instead of somewhere on the left edge of the
screen.
A lot of Gtk3 issues and errors are fixed, thanks to Bob Fewell.
Test struct tm* returns from gnc_gmtime and gnc_localtime to ensure that
we don't crash for dereffing a nullptr.
Removed the gnc:numeric type from Scheme code in favor of Scheme's own
rational numbers. This allows direct conversion between
Scheme numbers and gnc_numeric without the performance or
accuracy penalties arising from using doubles as an
intermediary.
Pass KVP paths as a collection of elements instead of a delimited string.
This allows keys to contain '/'. Thanks to Aaron Laws.
Added a frameowrk for migrating preferences.
Made separate functions for finding a widget's parent window:
gnc_ui_get_gtk_window tries to find the immediate parent and
gnc_ui_get_main_window tries to find the widget's parent
toplevel, returning the first-mapped window.
Make the splash/lock screen the transient parent for dialog boxes if the
main window is not yet mapped.
Rework directory determination in CMake builds.
Sets paths for finding componenents depending on the state
of ENABLE_BINRELOC, GNC_UNINSTALLED, GNC_BUILDDIR and
whether any install paths have been set outside of
CMAKE_INSTALL_PREFIX. GNUInstallDirs changes the name of
CMAKE_INSTALL_LIBDIR depending on the operating system and
distro. When CMAKE_INSTALL_PREFIX is /usr, /usr/local, or
any subdirectory of /opt it also changes
CMAKE_INSTALL_FULL_SYSCONFDIR to /etc. An earlier commit by
Aaron Laws mirrors the name of CMAKE_INSTALL_LIBDIR to the
build library directory. It's possible for builders to set
any of the install directories anywhere they please.
Setting any directory outside of CMAKE_INSTALL_PREFIX breaks
Binreloc so the toplevel CMakeLists.txt now detects that and
disables Binreloc. If Binreloc is enabled then all path
queries use it to find paths. This works in the build
directory because the gnucash executable and all of the test
programs are in build_directory/bin and LIBDIR, DATADIR, and
SYSCONFDIR can be found in the same root path. If Binreloc
is disabled then in order to build or run programs from the
build directory one must set GNC_UNINSTALLED and set
GNC_BUILDDIR to the absolute path of the build
directory. When those are set GNC_BUILDDIR replaces
CMAKE_INSTALL_PREFIX in all paths that are subdirectories of
CMAKE_INSTALL_PREFIX; paths that are not in
CMAKE_INSTALL_PREFIX are appended whole to
GNC_BUILDDIR. This process is constent between CMake and
gnc_path_get_foo. GnuCash is unlikely to run from a DESTDIR
without Binreloc.
KNOWN PROBLEMS:
On Microsoft Windows starting the AQBanking Setup Wizard crashes GnuCash.
Bug 789594 - Unable to overwrite splite3 database file
Bug 791823 - There is no Gtk3 theme-setting tool for Windows.
Bug 791825 - Accounting period dates off-by-1
2.7.4 - 3 February 2018
The Gnucash Development Team is pleased to release Gnucash 2.7.4,
the fifth release of an unstable series leading to Gnucash 3.0.
Notice that we've decided that beginning with the upcoming major
release we will use two-digit release numbers and that the next
stable release will be 3.0. Mainenance releases will be 3.1, 3.2,
etc. The next unstable release will be 3.900 and will lead to 4.0.
This release is UNSTABLE and SHOULD NOT BE USED in production.
See the KNOWN PROBLEMS list at the bottom of the announcement.
This release changes file locations, binding APIs, report options,
and can make your data file no longer compatible with previous
versions. See https://wiki.gnucash.org/wiki/UpdateNotes for
details.
New Features For Users:
A new preference panel for the Alphavantage API key so that Finance::Quote
users need not edit /etc/gnucash/environment.
On Macs the Reconcile Window's menu moved to the menubar.
The detected Finance::Quote version is displayed in the About box.
Removed all references to the various Yahoo! quote sources and made
Alphavantage the default.
For Developers and Distro packagers:
The autotools build system has been removed.
Add a "pot" target to the build system so that translators can easily
generate a new gnucash.pot from a git repository.
Improve handling of generated distributable files
Fix make dist on a clean checkout
cmake with unix makefiles fails to resolve dist dependencies
added from COPY_FROM_BUILD if these dependencies aren't built
yet. This commit replaces the COPY_FROM_BUILD based logic with
two new functions 'dist_add_configured' and
'dist_add_generated' to indicate which files should be
included in the dist tarball. The latter also adds a target
level dependency to the dist tarball custom command. Hence the
former should be used for files that get generated during a
cmake run while the latter should be used for files generated
as the result of a 'make/ninja-build' run (like files for
which an add_custom_command rule exists). Note: this commit
also temporarily disables the dist target when building from a
tarball (and hence it won't be tested in distcheck
either). This will be handled in a future commit.
Add DL_LIBS to gncmod-gnome-utils target. Fixes a build problem in FreeBSD.
Detect presence or absence of libxml2 and makeinfo during configuration;
abort if the first is missing and don't build the (mostly
obsolete) texinfo documentation if the latter is. Document
both in README.dependencies.
Replaced Timespec with time64 in the Scheme and Python bindings,
introducing many new C time64 functions to accomodate the
replacement. Timespec will eventually be removed from the C API
as well.
The following bugs are fixed only in unstable/master:
Bug 787497 - Disabling OFX, AqBanking or python-bindings support cripples
the dist build target
Bug 790526 - Mathematical bug
Actually about the number of weeks from/to 1 Jan 1970.
Bug 790845 - 2.7.3: massive test failures on some architectures
Bug 792106 - Wrong dates displayed
Bug 792809 - Register text difficult to read with GTK 3.0 dark themes
Add a foreground css class to override the theme value.
Bug 792947 - Missing translatable strings
Other repairs not marked as bugs in git:
The long-standing known problem, AQBanking setup crashing on Windows.
Webkit crashing the MacOS Gnucash.app.
Some Guile 2.2 issues are resolved.
Some bugs in the new Transaction Report.
Correct setting of WebKit version during configuration when the version
is cached.
The change to the Average Cost calulation introduced in 2.6.12 is reverted.
See the extensive discussion in Bug 775368 for mor information.
Fix our appstream id as per the appstream recommendation
Fix incorrect minimum dates in the net-linechart and net-barchart reports.
Fix a report crash if the Account Depth is too low.
Updated Translations: Dutch, German, Russian, Spanish, and Turkish.
The translations from goffice for the small piece of it that we use have
been copied into the corresponding gnucash translations.
KNOWN PROBLEMS:
Bug 789594 - Unable to overwrite splite3 database file
Bug 791823 - There is no Gtk3 theme-setting tool for Windows.
Bug 791825 - Accounting period dates off-by-1I was
2.7.3 - 31 December 2017
The Gnucash Development Team is pleased to release Gnucash 2.7.3,
the fourth release of an unstable series leading to Gnucash 3.0.
Notice that we've decided that beginning with the upcoming major
release we will use two-digit release numbers and that the next
stable release will be 3.0. Mainenance releases will be 3.1, 3.2,
etc. The next unstable release will be 3.900 and will lead to 4.0.
This release is UNSTABLE and SHOULD NOT BE USED in production.
See the KNOWN PROBLEMS list at the bottom of the announcement.
This release changes file locations, binding APIs, report options,
and can make your data file no longer compatible with previous
versions. See https://wiki.gnucash.org/wiki/UpdateNotes for
details.
New Features For Users:
A greatly enhanced Transaction report with many new options and features
including a reconciliation report thanks to Chris Lam.
Removed 6-figure rounding from price calculations, allowing prices to
have up to 18 digit precision.
A flatter storage scheme for Bayes account-matching scores, thanks
to Aaron Laws. This is a compatibility change guarded by a feature.
GnuCash no longer supports Guile-1.8 and now does support Guile-2.2
A CSV Price importer, thanks to Bob Fewell.
Enhanced python bindings exposing more GnuCash API thanks to Guy Taylor
The following bugs are fixed only in unstable/master:
Bug 616709 - Pressing delete key while editing account name offers to
delete account.
Bug 771667 - Change reconciled splits warning
This patch displays two distinct warnings when changing
protected fields of a transaction that contains reconciled
splits. If the fields date, num and description are changed,
then the warning list the accounts that have reconciled
splits and also advises that they will be unreconciled after
editing the transaction. If the fields account, transfer,
debit or credit are changed then the warning advises that the
split will be unreconciled after editing the transaction.
There is still just one warning preference as it is all to do
with fields protected by reconciliation.
Bug 787497 - Disabling options cripples dist package PARTIAL FIX:
WITH_OFX, WITH_SQL and WITH_AQBANKING handling is fixed. The
dist files for these features are always included in the
dist tarball.
Bug 790526 - Mathematical bug
Bug 791848 - GC 2.6.x does not handle ISO dates introduced with GC 2.7.
Set a feature to prevent versions older that 2.6.20 from
loading a database from which they cannot read the
dates. Ideally we would do this only if the database is
written to, but the current persistence design includes
committing back to the database during the load so the net
effect is that the flag would be set anyway.
This is a compatibility change guarded by a feature.
Other repairs not marked as bugs in git:
Tests now pass in all timezones.
More dialogs are made "transient for" so that they pop up centered on
the main Gnucash window instead of somewhere on the left edge of the
screen.
A lot of Gtk3 issues and errors are fixed, thanks to Bob Fewell.
Test struct tm* returns from gnc_gmtime and gnc_localtime to ensure that
we don't crash for dereffing a nullptr.
Removed the gnc:numeric type from Scheme code in favor of Scheme's own
rational numbers. This allows direct conversion between
Scheme numbers and gnc_numeric without the performance or
accuracy penalties arising from using doubles as an
intermediary.
Pass KVP paths as a collection of elements instead of a delimited string.
This allows keys to contain '/'. Thanks to Aaron Laws.
Added a frameowrk for migrating preferences.
Made separate functions for finding a widget's parent window:
gnc_ui_get_gtk_window tries to find the immediate parent and
gnc_ui_get_main_window tries to find the widget's parent
toplevel, returning the first-mapped window.
Make the splash/lock screen the transient parent for dialog boxes if the
main window is not yet mapped.
Rework directory determination in CMake builds.
Sets paths for finding componenents depending on the state
of ENABLE_BINRELOC, GNC_UNINSTALLED, GNC_BUILDDIR and
whether any install paths have been set outside of
CMAKE_INSTALL_PREFIX. GNUInstallDirs changes the name of
CMAKE_INSTALL_LIBDIR depending on the operating system and
distro. When CMAKE_INSTALL_PREFIX is /usr, /usr/local, or
any subdirectory of /opt it also changes
CMAKE_INSTALL_FULL_SYSCONFDIR to /etc. An earlier commit by
Aaron Laws mirrors the name of CMAKE_INSTALL_LIBDIR to the
build library directory. It's possible for builders to set
any of the install directories anywhere they please.
Setting any directory outside of CMAKE_INSTALL_PREFIX breaks
Binreloc so the toplevel CMakeLists.txt now detects that and
disables Binreloc. If Binreloc is enabled then all path
queries use it to find paths. This works in the build
directory because the gnucash executable and all of the test
programs are in build_directory/bin and LIBDIR, DATADIR, and
SYSCONFDIR can be found in the same root path. If Binreloc
is disabled then in order to build or run programs from the
build directory one must set GNC_UNINSTALLED and set
GNC_BUILDDIR to the absolute path of the build
directory. When those are set GNC_BUILDDIR replaces
CMAKE_INSTALL_PREFIX in all paths that are subdirectories of
CMAKE_INSTALL_PREFIX; paths that are not in
CMAKE_INSTALL_PREFIX are appended whole to
GNC_BUILDDIR. This process is constent between CMake and
gnc_path_get_foo. GnuCash is unlikely to run from a DESTDIR
without Binreloc.
KNOWN PROBLEMS:
On Microsoft Windows starting the AQBanking Setup Wizard crashes GnuCash.
test-import-bayes built with autotools intermittently fails at
line 381, where the returned value is 1 instead of the expected 6.
Bug 789594 - Unable to overwrite splite3 database file
Bug 791823 - There is no Gtk3 theme-setting tool for Windows.
Bug 791825 - Accounting period dates off-by-1
2.6.19 - 16 December 2017
The following bugs are fixed:
Bug 787497 - Disabling OFX, AqBanking or python-bindings support cripples
the dist build target. (Partial: The requisite files for AQB
and OFX are provided. There remain ways to break the
distribution.)
Bug 789928 - FTBFS with libdbi 0.9.0-5 on Debian
Bug 790620 - Failed to create file
"/usr/share/glib-2.0/schemas/gschemas.compiled.XY789Y".
Other repairs not marked as bugs in git:
Adapter for new flat KVP scheme for bayes import maps to be introduced in 2.8.0.
A better way to handle MySQL's 0000-00-00 invalid date indicator.
Fix python build and test errors on Mac.
Don't try to unref a NULL GDateTime*.
Add translator hint comments to C and glade files.
Improve type of bank accounts in SKR03
Stop testing GObject's handling of invalid parameters
Updated Translations: Dutch, German, Russian, Serbian
2.7.2 - 26 November 2017
The Gnucash Development Team is pleased to release Gnucash 2.7.2,
the third release of an unstable series leading to Gnucash 2.8.0.
This release is UNSTABLE and SHOULD NOT BE USED in production.
See the KNOWN PROBLEMS list at the bottom of the announcement.
This release changes file locations, binding APIs, report options,
and can make your data file no longer compatible with previous
versions. See https://wiki.gnucash.org/wiki/UpdateNotes for
details.
New Features For Users:
No new features this time, but a raft of fixes and improvements!
The following bugs are fixed only in unstable/master:
Bug 734865 - Assign as Payment... can silently 'unpay' a payed invoice
* if the selected transaction is already linked to an existing
payment, the payment dialog will present this payment again
(same partner, post-to account, same selected document(s), same
amount, memo, and transfer account).
* if the selected transaction is not linked to an existing business
transaction the logic will make a best guess as to whether the
payment should be for a customer or vendor.
* in both situations if the existing transaction has multiple splits
that can be considered as transfer (or 'payment') splits the payment
dialog can't work with it (it can only deal with one transfer split).
In this case the user will be informed that only one valid transfer
split will be retained and the others ignored.
* the other thing the payment dialog can't handle are APAR type splits
that are not associated to a lot at all. In case of transactions not
part of a business transaction they will be silently ignored on the
assumptions these were manually entered transactions with the
intention to be linked to business transactions. On the other hand
if such a split is part of a transaction that is also linked to a
business payment already, a warning will be issued these splits will
be removed from the new payment.
Bug 778692 - Assign as payment should work for employee expense vouchers
* if gnucash can deduce a partner from the transaction
that partner will be proposed this works for all transactions
that are part of a business transaction already and will
correctly detect pre-existing customer, vendor and employee
payments
* if no partner can be deduced gnucash will assume the
transaction to be a vendor or customer payment based on
the sign
* in all cases the user can change the partner type in the
payment window that's presented to any of customer, vendor
or employee to correct gnucash' suggestion.
Bug 784623 - GNUCash does not work with sql backend.
Wherin the problem is that MySQL's TIMESTAMP has a date range of
1970-01-01 00:00:01 to 2038-01-19 03:14:07 and is unable to handle
time_t of 0. MySQL's TIMESTAMP also assumes that input is in the
server's timezone and adjusts it to UTC. GnuCash has already done
that conversion.
Bug 789608 - Compilation problems when linking libraries.
Bug 789928 - FTBFS with libdbi 0.9.0-5 on Debian.
This one required handling a new error condition.
Bug 790550 - FTBFS: missing __init__.py
Other repairs not marked as bugs in git:
SQL parameter quoting is corrected in the backend so that only string
parameters are quoted. This caused trouble when trying to store SQL NULL;
the string 'NULL' is different from the value NULL.
SQL table versions weren't set consistently and a bogus version test could
cause some tables to be not loaded.
Better, more targeted handling of MySQL's penchant for setting
date-time fields to "0000-00-00 00:00:00" if it doesn't like the
input. This should be much less common thanks to fixing Bug
784623.
Major repairs to the "Dense Calendar" date selector.
Fix colors on graph reports so that the selections work and the defaults
are no longer transparent.
Two large batches of styling fixes for Gtk3 from Bob Fewell.
Fix the guile-compiled path in the environment file so that
GnuCash can start on Windows.
Convert the graphical reports to use GnuCash's rational numbers instead of
doubles for better accuracy.
KNOWN PROBLEMS:
On Microsoft Windows starting the AQBanking Setup Wizard crashes GnuCash.
test-import-bayes built with autotools intermittently fails at
line 381, where the returned value is 1 instead of the expected 6.
2.7.1 - 29 October 2017
The Gnucash Development Team is pleased to release Gnucash 2.7.1,
the second release of an unstable series leading to Gnucash 2.8.0.
This release is UNSTABLE and SHOULD NOT BE USED in production.
See the KNOWN PROBLEMS list at the bottom of the announcement.
New Features For Users:
A new Cashflow Barchart report from Jose Marino
Transaction Report improvements, including regular expression filtering,
from Chrostopher Lam.
The About dialog box layout is improved.
GnuCash will always build the locale-specific tax modules. This
was optional when building with autotools and never enabled when
building with cmake. Note that the only supported tax locales are
en_US and de_DE.
The following bugs are fixed only in unstable/master:
Bug 789298 - Prompt for file history update leads to crash during startup.
Other repairs not marked as bugs in git:
GnuCash no longer crashes on startup on Windows.
GnuCash no longer crashes when loading price data.
The Options Dialogs will appear over the application window
instead of wherever Gdk decides is coordinates 0, 0 on the
display.
Owners were not correctly linked to invoices in the SQL backend.
Building from a tarball with python enabled now works.
Fix Reconcile dialog always showing a 0 ending balance.
Fix the book being always marked dirty at startup if it contained
any scheduled transactions.
KNOWN PROBLEMS:
On Microsoft Windows starting the AQBanking Setup Wizard crashes GnuCash.
test-import-bayes built with autotools intermittently fails at
line 381, where the returned value is 1 instead of the expected 6.
2.7.0 - 17 October 2017
The Gnucash Development Team is pleased to release Gnucash 2.7.0,
the first release of an unstable series leading to Gnucash 2.8.0.
This release is UNSTABLE and SHOULD NOT BE USED in production.
See the KNOWN PROBLEMS list at the bottom of the announcement.
Note: Version information in the splash screen and About dialog
will now reflect the date of the last commit used to build
GnuCash rather than the date it was compiled. This is to assist
quality assurance and debugging efforts by Linux distribution
maintainers.
New Features For Users:
The headline item for this release is that GnuCash now uses the
Gtk+-3.0 Toolkit and the WebKit2Gtk API. This change was forced
on us by some major Linux distributions dropping support for
the WebKit1 API. Unfortunately the Webkit project doesn't
support Microsoft Windows so that platform will continue to use
the WebKit1 API, though with Gtk3. We've selected Gtk+-3.14.0
as the minimum version because it fully supports CSS
theming. (Geert Janssens and Robert Fewell)
There's a new CSV importer largely rewritten in C++, adding new
features including the ability to re-import CSV files exported
from GnuCash. (Geert Janssens)
Data file directories are now located appropriately to the
operating system's conventions by default. It's still possible
to overried with the environment variable GNC_DOC_PATH, which
replaces GNC_DOT_DIR in earlier versions of GnuCash. (Geert
Janssens)
Accounts in the Bayes import map are now linked by GUID instead
of names so that the matcher won't have to be retrained if you
rename an account. THIS WILL MAKE YOUR FILE UNREADABLE BY
PREVIOUS VERSIONS OF GNUCASH. There's a new editor to remove
outdated or incorrect match data from the import maps, a new
user interfacs for managing files associated with transactions,
an improved facility for removing old prices from the price
database, and a way to remove deleted files from the history
list in the file menu. (All from Robert Fewell!)
Numerics are rewritten to allow for more significant
digits. The old 6-digit-maximum fraction will be a 9-digit
maximum by 2.8. there is still some cleanup required before the
limit can actually change. (John Ralls)
New Income GST Report and some improvements to the Transaction
report. (Christopher Lam)
Chart Reports appearance is improved (Carsten Rinke)
New Features For Developers
Several parts of the engine and the SQL backend are rewritten
in C++, an effort that will continue in the next development
cycle. KVP is now private to libgncmod-engine and accessible
outside via qof_instance_set and qof_instance_get. (John Ralls
and Aaron Laws)
KVP and GUID are reimplemnted in C++ using boost::variant and
boost::UUID respectively (Aaron Laws).
The date implementation is migrated to boost::date-time,
replacing a Glib GDateTime implementation. This makes the
earliest date recordable 1 January 1400CE instead of 1 January
1CE. We doubt any users will be affected. (John Ralls)
Distribution tarballs can now be built with CMake as well as
Autotools. (Rob Gowin)
The CuteCash front end has been removed. The code we need from
GOffice has been brought into the GnuCash code base so GOffice
is no longer a dependency.
Of interest mostly to developers, we've reorganized the code
into a core library directory, libgnucash, and
applications-specific directory, gnucash.
A new Russian translation of the Guide has been started by
Dmitriy Mandel. Downloads in the usual formats are available at
https://code.gnucash.org/docs/ru/; the HTML is at
https://code.gnucash.org/docs/ru/gnucash-guide/.
There will be no unstable documentation release at this
time. There have been very few relatively minor changes to the
master documentation branch; those documents may be viewed in
the nightly builds at https://www.gnucash.org/docs.phtml.
The following bugs are fixed only in unstable/master:
Bug 87652 - KVP modification does not change 'dirty' flag.
Bug 120250 - KVP XML loader ignores '0' timestamps?
Bug 122895 - general ledger should be named journal
Bug 343227 - Summary bar alignment patch.
Bug 388500 - Add option to remove deleted files from the history list.
Allows removing files from the MRU list if they no longer exist.
Bug 541541 - RFE: auto-hide unused accounts
Bug 608098 - Option is hard to find: Change Transaction Report to show
account names in multirow txn
On the Transaction report the General->Style option
has been replaced with a similar Display->Detail Level
option. This was done in order to make the display of
some columns dependent on the value of this option.
When upgrading from 2.6.x or earlier to 2.8.x and you
had saved or open reports that had set General->Style
to 'Multi-line' you will have to update these reports
to set 'Multi-line' on the Display->Detail Level
option instead and optionally resave your report.
Bug 639401 - Invoices Due Reminder
Bug 645786 - Fancy invoice report still doesn't use fancy date format
preference
Bug 647230 - Display the blank split after the "now" line instead of at the
end
Bug 679791 - Import Template for importing CSV files - part2
Bug 684719 - Man pages for gnc-fq-* perl scripts
Bug 689489 - Be able to show file location
The file location is now visible in the status bar
while hovering over the recent file list of the File
menu. The currently open file is the top-most file in
this list so its location can be seen by hovering over
it with the mouse.
Bug 695610 - GnuCash Tax Invoice for Australia
Bug 706021 - Test match text for valid account path
Bug 726535 - Budget BarChart Report - add option to change to a line chart
Bug 728136 - Rate in Job
Bug 729001 - Fix a minor typo affecting the profile option in the previous
commit
Bug 731589 - Add account level selection on accounts option tab
Bug 733186 - [PATCH] Extend account tree view search function
Bug 734168 - Tax invoice can be a bill too.
Bug 737171 - After account creation wizard and saving, empty account window
is shown
Bug 738462 - CSV Transaction Import should be able to import CSV files
generated by GnuCash export
Bug 738477 - WebKit is broken on Win32.
Bug 741810 - Compilation fails because of creating .gnucash
Bug 747377 - Fix overly restrictive input validation for IBAN of SEPA
transfer.
Bug 752686 - Initialize temp GValues in xaccAccountGetReconcileLastInterval.
Bug 754530 - Add CSV Export Simple Layout
Bug 754533 - Add the option to do a CSV export of a Register view
Bug 756373 - Typos in Transaction Rpt options mouse-over text
Bug 757532 - [PATCH] Make start and end rows editable by keyboard
Bug 759674 - GNUCash crashes when importing invoices or bills with
delimited import
Bug 760107 - Change default date completion to sliding window
The default date completion when entering partial
dates has been changed from "always complete in
current calendar year" to "complete to a sliding
window starting 11 months before current month". For
example if you enter "1/23" (January 23rd) while today
is December 10th 2015, the date will be expanded to
January 23rd 2016 rather than 2015. If you prefer to
keep the old behaviour, you can restore to it via
Edit->Preferences->Date/Time->Date Completion. In
addition if you were already using the sliding window
before, but didn't change the previous 6 months before
default, you will now also get the new default 11
months before. Again if you prefer the old behaviour
it can be restored via the same Preference.
Bug 764268 - MT940 import select account based on transaction info
Bug 769115 - db name isn't escaped well
Bug 769576 - Seg Fault on Editing Scheduled Transaction's Amount
Bug 778042 - These are the script changes for jqplot reports.
Adds resize function to graphical reports.
Bug 780845 - link in github repo README file needs correction/editing
KNOWN PROBLEMS:
On Microsoft Windows starting the AQBanking Setup Wizard crashes GnuCash.
test-import-bayes built with autotools intermittently fails at
line 381, where the returned value is 1 instead of the expected 6.
2.6.18 - 24 September 2017
The following bugs are fixed:
Bug 644898 - Calendar of upcoming SXes has various display issues
Bug 647805 - Interdependent report options fail to change state after
using apply for a limited number of times.
Bug 771246 - Set Invoice/Bill items date correctly from imported CSV.
Bug 784284 - unifying "Clear the entry." tooltip on Loan Repayment
Calculator
Bug 787479 - Persian currency symbol is doubled.
Other repairs not marked as bugs in git:
Added Catalan Accounts for the New Account Assistant
Fixed errors from loading init.py.
Run the python bindings tests in a CMake build.
Implement dist, distcheck, and uninstall targets for CMake build.
Updated Translations: Farsi, German, Japanese, Latvian, Serbian, Spanish
2.6.17 - 2 July 2017
The following bugs are fixed:
Bug 603379 - Prevent changing some Account Options if it has transactions
Followup: Relax the account type change restrictions again.
In the new implementation account types can'tz be changed
for an account with splits:
- if the change woud force a commodity change
(to/from normal accounts from/to stock related accounts)
- for immutable accounts
At the time of this commit the following account types are
considered immutable:
- Accounts Receivable
- Accounts Payable
- Trading accounts
Bug 776396 - Foreign currency reports, amounts are not aligned correctly
Improve the styling of the table element used for foreign
currencies in the Balance sheet report so they end up
aligned with the other currencies.
Bug 780845 - link in github repo README file needs correction/editing
Bug 780889 - Split-register transactions result in invalid price:type
"transaction": Add 'transaction' to the schema and document
it in gnc-pricedb.h.
Bug 781634 - Alert on missing account currency when opening account
Also separate translatable commodity namespace strings
from those used in storage:
There is now a separate GNC_COMMODITY_NS_ISO_GUI
label to be used everywhere the user needs to read
'Currency namespace'. It's currently set to
'Currencies' and can be translated.
Bug 782274 - Transactions produced by Transfer Funds or Process Payment
dialogs sort to beginning of day and do not honor NUM field
for custom sorting.
Bug 782897 - Stock Split Assistant crashes GnuCash if you enter a New
Price and that already exists in the Price DB
Bug 783095 - gnucash-2.6.16 segfaults on startup
Bug 784317 - typo in 'import customers or vendors from text file' dialog
Other repairs not marked as bugs in git:
Properly define the template namespace rather than using a local string
everywhere
Correctly store time64 0 in the SQL backend: The SQL backend ignored
time64 0 when saving dates. time64 is a perfectly valid timestamp
(1970-01-01 00:00:00) and should be stored.
Clamp time64 values passed to GDateTime functions to the valid range.
Fixes a bug reported on the mailing list wherein a date of 0000-00-00
in a MySql database would crash GnuCash. Such dates may come from a bad
conversion of 1970-01-01 or from a crash.
Add XSU to iso-4217-currencies
Some banks include additional purpose information for a transaction in
non-swift-section 17 (aka transaction text). If available, this
transaction text is put in front of the other purpose texts to provide
full transaction information. Adds a preference to control import
behaivour of transaction text.
Updated Translations: Arabic, Turkish
2.6.16 - 26 March 2017
The following bugs are fixed:
Bug 516920 - Calendar Pop up disappears of the left side.
Bug 603379 - Prevent changing some Account Options if it has transactions
Bug 670731 - Future Value not working with Loan Scheduled transaction
Bug 739571 - Matching imported transactions doesn't indicate previously
matched entries
Bug 759934 - Tiny reports in HiDPI (workaround).
Bug 766630 - gui dialog for sorting transactions to accounts after aqbanking
import broken
Bug 767032 - Bad invoices from importing "posted" needing currency conversion
Only auto-post if the posted_to account name is valid, there's
no currency conversion, or the invoice customer's currency
matches the A/R account currency. Tell the user what happened
with a dialog.
Bug 773945 - Select Security Dialog Not User Friendly:
Add a new namespace “ALL NON-CURRENCY” to the namespace (type)
selector lists on the security picker and price editor which
causes the commodity list to include all non-security
commodities.
Bug 776247 - PriceEditor thinks Currency XXX is an actual currency and
tries to retrieve prices for it.
Bug 776380 - Gross value of bills charged back instead of net value
Bug 776494 - Wrong menu entry in Tip of the day
Bug 776517 - Trial Balance Report: Total Debits Issue re $0 Commodity
Accounts and Price Source Mode Set to "Nearest in Time" or
"Most Recent"
Bug 776564 - Creating a scheduled transaction from an existing transaction
does not include the notes field.
Bug 778208 - Scheduling 2nd, 3rd or 4th Wed doesn't seem to work.
Bug 779217 - Transactions rounded to 5 decimal places when opening file.
Bug 779411 - jqplot fixes for piechart and syntax error.
Bug 777875 - Reports with charts are flickering in certain circumstances
Bug 777949 - Accounts implicitly created in ledger attempt creation twice
Other repairs not marked as bugs in git:
Use "Billing Information" as in other biz modules
Update local symbol for MUR.
Online banking: Add output of bank messages that might occasionally be
received.
Allow only date entry for opening balances on new accounts.
Enable taxinvoice to show net price: Add gncEntryGetNetPrice. Create an
option in taxinvoice to either use gncEntryGetNetPrice or
gncEntryGetPrice
Make SQL full-DB sync safer and clean up automatically if it's interrupted
by a system or network failure.
Extend account color to all columns in the account hierarchy page
Localize the word “CURRENCY” used in the commodity namespace selectors.
The following translations have been updated: Catalan, Dutch, Finnish, German. Portuguese, Russian, Serbian.
2.6.15 - 18 December 2016
The following bugs are fixed:
Bug 340991 - Default price source for reports not good.
Bug 516920 - Scheduled trasaction calendar popup off screen.
Bug 685329 - Crashes on non-existent date.
Bug 769124 - Australian (GMT-10) OFX transactions imported have
previous day's date.
Bug 770364 - Sign of Value in Lots in Account window seems inconsistent.
Bug 771246 - Set Invoice/Bill items date correctly from imported CSV.
Bug 771617 - Build fails because test test-report-utilities is
sensitive to time of day/timezone.
Bug 772313 - Invalid DOCTYPE in report generation.
Bug 772369 - Replace use of guile's internal date/time functions.
Bug 772382 - Date off-by-one after DST change.
Bug 772484 - Segfault on Transaction edit.
Bug 773808 - Export Report Crash.
Bug 774237 - FTBFS under some timezones (eg. GMT-14).
Bug 775368 - "Average cost" price source problem.
Bug 775385 - Confusing error message which includes the text "file file".
Bug 775567 - Importing QIF file from PayPal crashes GnuCash 2.6.14
on Windows XP service pack 3/
Bug 775912 - Tips of the Day shows content only once very 3 times.
Other repairs that weren't marked as bugs in git:
Fix report html header
Changed the default value for date format in Business Options
Change report resizing when not in view
Add an image for the report tab
Show empty business splits in lot viewer
Business check & repair - correct lot invoice state
When juggling business splits while scrubbing set both value and amount
Update progress bar while running Check & Repair
Remove lot from account while deleting the lot
Ensure that the Namespace combo box is initialized to a valid iter.
Fix CSV importer to handle GMT + 13 Timezone (New Zealand Daylight
Fix broken german account template 'Kontenrahmen für
Wohnungswirtschaft'.Time).
Translation Updates: Danish, German, Serbian
2.6.14 - 17 September 2016
The following bugs are fixed:
Bug 643025 - RFE: Ability to select and open multiple invoices.
Bug 733153 - Ambiguous view of buttons in search dialog Linux version.
Bug 742461 - SQL backend doesn't update customer info.
Bug 756416 - CSV data with Posted information will always have last
invoice not posted.
Bug 761667 - Crash opening associated location that has no scheme.
Bug 762901 - Fix saving Account Treeview sort order.
Bug 769730 - Investments: Lots in This Account, Closed column shows
date 25/11/1833 instead of Open.
Bug 769746 - Zero interest loan formula fails.
Bug 770113 - compiling issue with libdbi.
Bug 770136 - 'Reverse Order' in 'View'->'Sort by' is not saved.
Bug 770181 - gnc-fq-dump incorrectly says "quote cannot be used...
Bug 770196 - cppcheck va_list not closed.
Bug 770303 - Incorrect commodity match during import OFX and possible
solution.
Bug 771246 - Set Invoice/Bill items date correctly from imported CSV.
Bug 771379 - GnuCash doesn't support Russian Ruble Symbol.
Other repairs that weren't marked as bugs in git:
Build improvements with CMake, accomodation for Guile-2.0.12 on Gentoo.
Change the date_posted timestamp from midnight local to 11:00 AM GMT,
which will be the same date in nearly all timezones.
SX - Recalculate all occurrences of all SX if the calendar is updated
to start on another month
SX Window: correctly show first sx on calendar when it is moved to next
weekday.
Work around libofx bug which caused OFX imports to have the wrong
date_posted when in an eastern-hemisphere timezone and not
daylight time.
Indicate in the register when a transaction has an associated file or
URI. The indicator will appear in the "reconciled" column in the
second transaction line (enable double-line view to see it).
Translation Updates: Dutch, German, Serbian, Spanish
2.6.13 - 28 June 2016
The following bugs are fixed:
Bug 637004 - Optionally allow customer and vendor address info to display.
Bug 736352 - Expense Voucher adds tax automatically
Bug 748983 - Crash after opening money transfer dialog twice.
Bug 760021 - File "Save As" to an existing file...overwrites without
warning.
Bug 761672 - Transfer made to placeholder account.
Bug 764248 - saved-reports-2.4-backup line endings unconventional
Bug 764871 - Crash starting gnu cash.
Bug 765859 - The budget reports missing in Hungarian edition
Bug 766028 - crash on manual addition of price entry in Price Editor.
Bug 766200 - Three-up printing does not position the third check
properly. A few bugs in the calculation of check
positions while printing checks have been
corrected. If you manually edited the check formats
to compensate for these positioning errors in
previous versions of gnucash, you may have to undo
these changes. Please check this before printing your
next check.
Bug 766688 - Minimal fraction of BYN should be 1/100
Bug 766960 - gnucash-make-guids fails to run due to hardcoded paths.
Bug 767824 - Some UTC timezones incorrectly recognized on Windows 7
Other repairs that weren't marked as bugs in git:
The gnc_gui_refresh_all statement in gnc_book_options_dialog_apply_cb
causes the 'apply' and 'OK' buttons to be set to
sensitive on the open Book Options dialog in some
circumstances; this commit causes them to be reset to
insensitive, as they should be.
Check printing: make logic easier to follow.
Fix adjust_sql_option_string test on Windows.
Don't try to compile test_adjust_sql_options on windows, it won't link.
Fix the CMake build by linking gnc-backend-dbi for test-backend-dbi.
Improved adjust_sql_options_string, added tests.
Improve quickfill performance on huge registers.
Mac Localization: Prefer the country to the language for
fall-back locales. On the theory that in countries
where multiple languages are in use similar date and
number formats will apply regardless of language, and
especially that the default currency will be the same
regardless of language. Also ensure that the specified
language is in the list passed to gettext; the net
effect of which is that the user will effectively get
the requested localization behavior.
Update README to refer to wiki Submitting_Patches and regarding pull
request policy.
Translation Updates: Dutch, Russian, Serbian
Standard Chart-of-Accounts Localizations Updates: Finnish, Sweden_Finnish, and Åland Islands Finnish.
2.6.12 - 26 March 2016
The following bugs are fixed:
Bug 482186 - Customer and vendor report for partners who get invoiced/paid
in foreign currency show total labeled with the symbol of the
default currency
Bug 620281 - Adding reversing transaction to bill transactions creates
undeleteable transactions
Bug 642292 - General Ledger report - 'Primary Sort Key' value is not
persistent
Bug 687504 - Not possible to reset an invoice/bill counter format
Bug 693342 - Print (bottom) prints to middle for 3-check pages
Bug 719904 - Decide payment type only based on the account type involved
Bug 720934 - Barcharts with many data points have overlapping x-axis labels
Bug 722996 - Cannot add stock price on Price Editor
Bug 723689 - Splash screen doesnt set the floating hint.
Bug 728074 - Posting bill converts currency to itself using 0 rate
Bug 728722 - Setting number format details appear wrong in Help,
section 10.3.4. Counters Book Options Tab
Bug 733164 - {MacOSX] Command-H Invokes Help->Help Contents
Bug 742352 - Budget Summary section does not show expense totals
Bug 744157 - Tip about subaccount is confusing
Bug 754209 - Bills can be posted from "find bill" search results even if
bill is already posted and results in extra $ posted to A/P
Bug 754856 - scheduled transaction <gnc.app-utils.sx> fails without warning
Bug 756469 - CSV Invoice Import - Items with double quote escape not
imported.
Bug 760015 - guile support is automagic
Bug 760529 - Get Quotes updates value just once per day
Bug 760711 - Non-ASCII characters not shown in Report Name when a report
is created with 2.6.11
Bug 762971 - Duplicating multiple invoices results in invoices without an
ID number
Bug 763111 - commodities prices editor creates hidden db entries
Bug 763146 - Invalid exchange rate is recorded when entering multi-currency
transaction
Bug 763279 - GnuCash has empty reports in recent Gentoo builds.
Other repairs that weren't marked as bugs in git:
Various memory leaks.
More multi-currency fixes related to bug 763146.
Be more liberal in accepting business counter custom formats: li, lli, I64i,
and whatever is defined to G_GINT_64 or PRIx64 on the system on which
GnuCash is compiled.
Correctly re-value splits when the transaction currency is changed.
Reset the transaction currency to match the currently open account when
auto-completing.
Refine the MacOS X localization when the system-generated POSIX locale
isn't a supported locale: Prefer the country to language when selecting
an alternate locale, but still pass the original language to gettext.
Check printing: extract address from invoice/bill for payment transactions
Robert Fewell has contributed changes needed to allow the 2.6 series
to read files from future major versions which use GUIDs instead of
names to identify matched accounts with the Bayesian import matcher.
Translation Updates: Azeri, Basque, Catalan, Chinese (Simplified), Czech,
Danish, Dutch, Farsi, Japanese, Kinyarwandan, Portuguese,
Slovak, Serbian, Swedish, Turkish, Ukrainian.
2.6.11 - 11 January 2016
This is a snap release to correct a QIF import regression.
The following bugs are fixed:
Bug 680104 - Scheduled Tranaction formula not calculated when variables
are mixed with constants.
Bug 756335 - When importing, date selection causes exit crash.
Bug 759570 - Postponing a repeating SX skips over the instance.
Bug 759674 - GNUCash crashes when importing invoices or bills with
delimited import.
Bug 759859 - Reconcilation does not convert transactions' currency to
the main one making reconcilation impossible.
Bug 760052 - missing flag translatable in Custom Report.
Bug 760079 - Translations comments: Remove translatable flag from
placeholder labels in dialog date-close.
Bug 760398 - Cancelling the creation of a duplicate bill or invoice
doesn't reset the invoice number counter
Other repairs that weren't marked as bugs in git:
Add Account.AssignLots to python bindings.
Allow panel that provides information about TXF categories to be adjusted by the user in the Income Tax Information dialog under Edit->Tax Report Options.
Minor improvement to information provided about TXF categories in the Income Tax Information dialog under Edit->Tax Report Options.
Updated Translations: German
2.6.10 - 20 December 2015
The following bugs are fixed:
Bug 627692 - Report options, Account Selection, "select all" => not all
accounts selected, only visible ones
Bug 646129 - Account selection in reports: 'Select Children' doesn't
actually select children if they are collapsed.
Bug 662126 - Cannot create scheduled transaction for dividend reinvestment
Bug 742321 - Reset temporary prefs on application startup
Bug 745101 - No warning when quitting with unsaved file.
When the file was first created without the New File Assistant.
Bug 746155 - Reports: html-acct-table prepend-row! & prepend-col!
unknown variables Fixed following the suggestions by
Tony Kerns.
Bug 754192 - Since Last Run Dialog asks for security price even if not
needed.
Bug 754533 - No Account Templates Error Patch
Bug 755781 - Files with copyright but no grant of license.
Bug 756335 - When importing, date selection causes exit crash
Bug 756339 - Prices table not updated
Bug 756720 - configure fails to find libgoffice 0.10-10 (0.10.18-1)
While we can't support libgoffice 0.10 because that would
require gtk3 we can improve the error message if no libgoffice
0.8.x version is found.
Bug 757378 - Display the user-defined display symbol for non-currency
commodities.
Bug 759224 - illegal dates in stock transactions cause corrupt file.
Bug 759294 - New the billing term are not saved during invoice editing.
Prevent editing the terms from the invoice view.
Other repairs that weren't marked as bugs in git:
Revert the automatic inversion of prices whose value is less than 1.0.
This corrects several regressions from 2.6.8 and 2.6.9; it proved to
be to big a change for a maintenance branch and will re-appear in the
next major release.
Fix test failure due to trying to parse nanoseconds, which we don't
actually use.
Use @SHELL@ instead of hardcode /bin/sh in test shell scripts.
This is a workaround for MacOS X 10.11's System Integrity Protection.
Improve the revert action: Ask user confirmation and don't ask to save
before reverting
Have a more generic mechanism to set Save action's sensitivity and use it
for Revert action as well
Avoid assert in gnc_split_register_balance_trans if default_account is null.
Performance improvements in the Cash Flow report.
Add new account chart for Duch small businesses.
Add some developer documentation.
New Translations:
Portugal Portuguese
Updated Translations:
Arabic, German
2.6.9 - 5 October 2015
The following bugs are fixed:
Bug 755920 - Crash (Freeze) when using File Save As.. in Windows OS
Fix termination of the loop so that it's not dependent
upon Linux paths.
Bug 755778 - Test failure: test-engine: duplicate test case paths
Bug 755781 - Files with copyright but no grant of license.
Updated Translations:
German
2.6.8 - 27 September 2015
The following bugs are fixed:
Bug 724738 - Value in "Display Symbol" field not saved.
Bug 746998 - "Months Remaining" spinbox in Loan Assistant is
non-obvious. Provide a tool tip explaining what it's for.
Bug 747795 - Attached file not found. MSWin only. ShellExecuteW("open")
doesn't decode http escapes on file: IRIs.
Bug 749077 - wrongfully invalidating any account save
location/path starting with ".gnucash"
Bug 752035 - Transaction Report "Filter By" Not Always Working.
Bug 752204 - .gml2 files are modified during build. Since there's
no real benefit to saving the files most of the time, don't,
but leave the save line in, commented out, to make it easy to
write new files if necessary.
Bug 752879 - Finance::Quote TZ Date::Manip config variable is
deprecated.
Bug 753146 - free(): invalid pointer on duplicate transaction
when Use Split Action Field for Number is set.
Bug 754617 - Gnucash should use PKG_PROG_PKG_CONFIG
Bug 754764 Budget Doxygen documentation - gnc-budget-view.c.
Other repairs that weren't marked as bugs in git:
Clean up deprecated Gtk functions to make eventual migration to
Gtk3 easier.
Improve storage of prices in the price db so that there is only
one per day and a preference list determines what sources can
overwrite existing prices. Prices are stored in the direction
that the price is greater than one to preserve precision for
large prices that would be small in the other direction.
Correct the Stock, Bond, Market Index, and Mutual Fund account
types to ASSET in the template accounts. STOCK and MUTUAL are
not compatible with currency.
Clean up some non-fatal asserts.
Developer documentation improvements.
Fix backend Sync errors not being reported.
Restore Date::Manip as an explicit dependency in gnc-fq-update;
it's required for gnc-fq-helper, not Finance::Quote.
Updated Translations:
Danish, Dutch, French, German
2.6.7 - 28 June 2015
The following bugs are fixed:
681225 - income statement displays blank base currency entries when
trading account transactions are present during the report period.
734183 - Set value to zero before calling gnc_exp_parser_parse.
739271 - pt_BR translation wrong word "limpesa". Should be "limpeza".
740955 - Correct general journal and general ledger reports to properly.
handle Use-Split-Action-For-Num option in File->Properties.
744858 - Update exchange rate on bill only possible once per session
(after unpost/repost).
746163 - Custom register colors (table rows) not recognized from
.gtkrc-2.0.gnucash file.
746792 - process payment in foreign currency leads to broken equation.
746873 - Gnucash asks sql passwords before wallet password.
746977 - scm ccache files should be in pkglibdir not pkgdatadir.
747300 - SQL backend missing from most recent DMG?
747377 - Fix overly restrictive input validation for IBAN of SEPA transfer.
747812 - unset LDFLAGS when unsetting CFLAGS.
Other repairs that weren't marked with bugs in git:
Fix hidden panes in lot viewer.
Fix some abs() errors from new clang and gcc versions.
Fix dbi driver detection on linux and similar.
Improve "Auto pay on posting" message.
Enable travis continuous integration tests on the gnucash repository.
Updated Translations:
Azerbaijani, Basque, Catalan, Chinese (Simplified), Czech, Danish, Dutch,
German, Kinyarwanda, Persian (Farsi), Portuguese, Slovak, Swedish,
Turkish, Ukrainian.
New Translations: Serbian
2.6.6 - 29 March 2015
The following bugs are fixed:
619899 - Use normal gettext or intltool toolchain also for scm files
649933 - Creating cash flow report takes a long tim
672760 - Postponed transaction applied invalid date
721196 - CSV. Cannot import lines with empty fields for deposit or withdrawal in bank transaction download.
723409 - Incorrect symbol for Turkish lira
727466 - The symbol of CNY changed to 元
727647 - "gncInvoiceGetTotal" is not read-only function?
731889 - guile 2 exports different autoconf macros than what is expected
733685 - Fancy Date Format doesn't stick
738749 - Broken account template en_GB/uk-vat.gnucash-xea.
739228 - Advanced Portfolio report: wrong calculation of Value Correctly convert the value into the report's currency.
739584 - gnucash-2.6.4 segfaults regularly on transfer .
740471 - Applying payment to invoice Segmentation fault
741228 - "Red line" threshold applies to Template scheduled transactions
741810 - Compilation fails because of creating .gnucash
742089 - Decimal places. Set the debit and credit cells' print_info to the account so that the decimal places are correct for the commodity.
742332 - German tax report uses US tax quarters and not real quarters.
742624 - Scheduled Transaction Editor results in immediate segfault
743609 - Add configure options to disable libsecret detection
743807 - Stops critical error messages.
745265 - Segfault in generate_statusbar_lastmodified_message on Windows. Actually change the default date format without AM/PM
745354 - Enhance the Find Transactions dialog. Make it possible to define search criteria that consist of multiple terms anded or ored together. Use this to define a new criterion to look for specified text in any of the Description, Notes, or Memo fields
746517 - gnc-sql-backend.c compile fails with -Werror=format-nonliteral. Use GCC pragma to disable the warning in the one place that trips it
746977 - scm ccache files should be in pkglibdir not pkgdatadir.
Other repairs that weren't reported in bugs:
Let CPAN and ActiveState package managers take care of dependencies instead of explicitly installing a few of them directly.
Correct the number field displayed in the reconcile window to correspond with the source specified in File->Options
Fix some bugs found by SWIG version 3.0.5. Prior to version 3.0.3 SWIG silently ignored invalid preprocessor directives
Scrubbing Improvements, including avoiding a potential infinite loop.
Remove build and run of no-longer-existant intl-scm/guile-strings.
Rewrite gnc-test-env in perl. This eliminates another guile dependency in the build chain.
Switch from guile to xml to manage our iso-currencies source file
Numeric values with more than commodity smallest fraction get silently dropped.
Update US Income Tax data to reflect minor changes for 2014
Advanced portfolio should respect report date when looking for other income/expense
Improve income and expense reporting in advanced portfolio report
Accept prices of the form n.nnne[+-]nn, i.e. with an exponent. An example requiring this is currency conversion from IDR to USD
Added Lithuanian language business accounts
Fix crash when running check & repair on an open AP/AR register
Updated Translations: Danish, Dutch, German, Spanish
New Translations: Maithili, Manipuri-Bengali Script, Manipuri-Meetei Mayek Script.
2.6.5 - 16 December 2014
The primary reason for this release is that the problems which plagued 2.6.4 on Microsoft Windows have been resolved.
We've also fixed the following bugs:
736359 - Date of 0000-00-00 in MySQL backend crashes GnuCash.
737815 - Graphs Cannot Be Generated Correctly.
738113 - Crash on reload budget report.
738477 - WebKit is broken on Win32.
741418 - Freeze unposting bill, 100% cpu usage.
Other fixes that weren't reported as bugs:
Pre-compile scm files when building with guile 2.
Fix build-time hard-coded path introduced by the guile2 compile changes
Prevent crash when standards-report dir doesn't exist.
QIF Import crashes when closing via the 'X' button on the last page
Omit extension on calls to load-extension.
Use one common base directory to store all scheme files and modules.
Guile module structure cleanup.
Harmonize variable names used to refer to guile modules in all makefiles.
Add missing comma in call to gtk_tree_store_set(). Thanks to Frédéric Bière for finding and fixing the problem.
Revert to using numerical indexes for the x-axis on bar charts.
Aqbanking: Add display of aqbanking subaccountid in initial correspondence setup.
Aqbanking online SEPA transfer: Allow transfers without BIC, only IBAN. Also add IBAN checking.
Aqbanking transfer: Make IBAN and BIC text entry fields filter digits or alphas correctly as needed.
Adapt german SKR03 account template to updated tax rate.
Allow GUILE1_PROGS as m4 name. Patch by dimstar@opensuse.org.
Add sv_AX, sv_FI, zh_HK, and zh_TW to Makefiles & configure.
Updated Translations: Assamese Indic, Danish, German, Gujarati Indic, Italian, Kannada Indic, Konkani Latin,
2.6.4 - 28 September 2014
Between 2.6.3 and 2.6.4, the following bugfixes were accomplished:
120199 - Incorrect sort order in "Sort by Statement Date".
434462 - register color don't work correct with system theme color.
509263 - Since Last Run dialog won't allow resizing of Status column.
610202 - gnucash silently closes when no X11/$DISPLAY is present.
630638 - 'Process payment' should allow to select equity accounts for
payment
671615 - French: 'New Customer' button in Find Customer dialog is
translated to 'Nouvel onglet'
688965 - Page Up, Page Down keys cause GnuCash to hang.
692249 - Add Help button in Custom Reports dialog box,
695240 - mortgage wizard empty table.
707243 - Hard-coded font colors in account tree?
711440 - Tab labels have different background colour than containing gui
element.
711567 - Cannot save a custom report if a path contain diacritic chars
719457 - Template for Home Mortgage Loan isn't properly nested.
719457 - Template for Home Mortgage Loan isn't properly nested.
720427 - Review of french account templates
720934 - Barcharts with many data points have overlapping x-axis labels.
722140 - Add option to control inclusion of trading accounts in cash flow
report.
722200 - configure script does not pick the correct am_cv_scanf version.
723145 - Currency display does not respect locale.
723442 - Report Options - Report Name too short.
725054 - Re-numbering sub accounts crashes the program.
725366 - Formula Parsing Error with Scheduled Mortgage Transactions
726449 - Budget Barchart does not show up if running sum is selected.
726888 - cancel button is available on all pages of assistant.
727130 - Crash when newline in Report Title
727338 - Translation and Account file updates for Latvian.
728103 - Invoice opened does not contain the Job under circumstances.
728717 - Ubuntu 14.04 - GNUcash crashes on close.
728841 - XML backend does not always store KVP slots.
729157 - Bill Term discount days are allowed to be more than due days.
729497 - Saved Report Configuration selection window resize.
730255 - Python bindings: Assigns bill entries to non-existant invoice.
731519 - The fix sets the upper limit before it sets the value of the end
row spin button.
733107 - Search for reconcile status doesn't work right.
733283 - [PATCH] Loss of fractions when importing OFX investment
transactions.
733506 - (ForwadDisableQIF) The forward button is not active even though
a file is selected.
734183 - Set all of the denominators correctly on the currency values.
736703 - Scheduled transaction are registered without credit/debit.
732545 - gnucash-2.6.3 segfaults when started.
Some other fixes not associated with reported bugs were accomplished:
Add business lot scrubbing to Check & Repair->All/This transaction(s).
Add context to generic translatable string. This was suggested in
Bug 671615 by Jérôme Rapinat.
Add scrub function to reduce the amount of lot links used. Only lot links
between two or more document lots must remain. All lot links between
document and payment lots can be scrubbed.
Add some date format checking and make sure generated dates are the correct
user selected format, not always locale format.
Allow the ability to skip rows when importing transactions.
Always use the price we display to calculate the current value of an
account.
Better period totals formatting in Invoices.
CSV Export: factor out function to generate regular expression.
CSV Import transform macro into function.
Convert ISO-8859-1 account chart templates to UTF-8.
Correct txf output to use a minus sign, rather than parenthesis.
Fix document type dispay for credit notes on owner report.
Fix test-backend-dbi segfault with libdbi-0.9.0.
Handle the case of scrubbing a lot link between two non-document lots.
Make scrub in lot viewer scrub business lots using the new scrub functions.
Move account type checking functions into the engine.
Prevent older gnucash versions from opening a data file if previously
unhandled kvps are used.
Python bindings. Add function gncVendorNextID, complementary to
gncCustomerNextID.
Re-enable loading and saving gnucashdotdir/accelerator-home on OSX.
Refactor OS-specific ifdef to reduce code duplication, which results
in reduced risk on typos in either branch
Refactor get_pay_split into gncOwnerFindOffsettingSplit. In this form it
can be used both for scrubbing lot links and for adding new payments
Refactor gncOwnerReduceSplitTo out of reduce_biggest_split. It can now be
used both for scrubbing and when applying payments
Refactor gnc_doc_doc_link into gncOwnerSetLotLinkMemo and move it. It can
now be used both for scrubbing and when applying payments
Refactor scrub_doc_pay_link into scrub_other_link and make it more generic.
It can now be used both to:
* move a payment to a document lot (its original use case)
* move a refund to a payment lot or the other way around
Relax requirements for booleans in invoice line, accepting 'y' as well as
'yes', 't' as well as 'true'.
Replace C++ reserved words for future compatibility with C++.
Rework assistant csv import regex code to eliminate the mandatory dummy
field.
Rewrite invoice payment logic to fix lot link proliferation.
SQL: Save commodity namespace changes from template.
Set default currency for French account chart templates.
Tweak the get_pay_split function to prefer the best possible match.
Use libsecret if available since gnome-keyring has been deprecated.
Use more significant digits for SX function returns.
Use same default setting for quotes in csv import and export.
Widen the scope of the subsplit merge scrub function. When used in a
strict sense it will only merge splits that are marked as subsplits
of each other. In relaxed mode it will merge any split two splits
that are both in the same lot and the same transaction.
double_to_gnc_numeric: Return overflow error immediately on invalid input.
Ensure that the root account is saved to the SQL backend.
Chart-of-Account Templates Updated: Latvian, French, Swedish
Translations Updated: Brazilian Portuguese, Dutch, Konkani (includes replacing Raman character set with Devangari) ,Latvian, Marathi, Tamil,
New Translations: Bodo, Hindi, Kashmiri, Telugu, Urdu. Thanks to The Centre for Development of Advanced Computing (C-DAC), Pune, India. Translation Team Leader: Chandrakant Dhutadmal
Documentation
Concurrent with the release of Gnucash 2.6.4 we're pleased to also release a new version 2.6.4 of the companion Help and Tutorial and Concepts Guide.
2.6.3 - 30 March 2014
Bugs Fixed:
721196 - Cannot import lines with empty fields for deposit or withdrawal
in bank transaction download.
721654 - Style sheet preference is not saved for a Preconfigured Report
723975 - Dialog box displayed during QIF import has placeholder text
724995 - Gnucash crashes due to assertion failed when opening sqlite file
711567 - Cannot save a custom report if a path contain diacritic chars
726430 - Python: account.getName() raises TypeError
726891 - segmentation fault on session.end()
Other Changes:
Fix resizing of columns in budget view
Fix guile 2 stack overflow errors for large reports
Fix basis calculation for FIFO or LIFO when less than one lot is sold.
Update Window and Menu item from "Preconfigured-" to "Saved-" Report
and add lables to the dialog with help texts
Aqbanking: SEPA transfer improvements - fix origin labels and add
possibility to edit sender's name.
Prevent crash reported in Bug 711567.
Translations Updated: Catalan, Danish, Italian
2.6.2 - 2 March 2014
This is a maintenance release; there are no new features, but
Mike Alexander has extensively reworked the Advanced Portfolio
Report.
Bugs Fixed:
497831 - Can't change the date of a transaction with certain locales
721472 - Fix Reconcile description column.
721677 - Customer Summary does not include inactive customers
722123 - Zero price entry added to price database on stock purchase
722903 - Poor performance of account hierarchy, budgets, reconcile
window,...
723051 Implement gncCustomerNextID in Python bindings.
723373 - Don't create any sx in the since-last-run dialog if this is
a read-only file
723644 - Make sure that gnc_search_invoice_on_id() returns the
correct type of object.
724211 - Can't select march 6 date on register
724426 - Errors in account plan
724427 - New account plan for Sweden
724578 - Problems clearing incompletely paid invoices
724753 - Saved Multicolumn Report Error
725131 - Adding Payments to Fancy Invoice
Translations Updated: Catalan, Italian
2.6.1 - 1 January 2014
Bugs Fixed:
454827 - Reports: Incorrect share value of stocks in foreign currency
553020 - Reports: Incorrect share value of stocks in foreign currency
555182 - Security Type template hidden
605991 - Help button on New and Edit Job dialogs brings up wrong
help page.
677489 - Critical error reported when initializing an Invoice
721211 - Reconciliation checkboxes fail to sync for split
transactions across sub-accounts
721251 - Incorrect Transaction Dates
721260 - Crash on startup: gnucash cannot handle default locale
721290 - SX Editor: Pressing "Enter" too soon hides transaction
721306 - Account hierarchy column widths are reset when restarting
a second time without changing the widths
721447 - Entries with values of ,50 are imported as ,51
721464 - Program wont open the website link
721576 - Gnucash can not work with files, that have russian symbols
in path.
721600 - Segmentation fault on startup if report Income/Expense Chart
was opened since last running
721607 - fix GnuCash version numbers and remove/update links.
721667 - Accelerator key map loaded from one file and saved
721770 - "Choose accounts to create" has no effect
721791 - Segmentation fault when correcting invalid date
721825 - Online prices displayed as unreadable fractions in 2.6.0
721913 - Fetch Rate crashes application
721929 - Importing a customer list causes a crash.
721954 - Multiple Scheduled Transaction Editors
721966 - --add-price-quotes ignoring compress files preference
722035 - Missing space in the Spanish translation of msgid "Total For "
722123 - Zero price entry added to price database on stock purchase
Translations updated: Catalan, Danish, German, Italian
2.6.0 - 29 Dec 2013
The GnuCash development team proudly announces GnuCash 2.6.0,
the latest stable release of the GnuCash Free Accounting
Software. GnuCash Users can experience the following new features:
* Preferences have been migrated from GConf to GSettings. This
is a simpler and more robust backend which writes to the OS's
native prefs -- defaults on OS X and the Registry on
MSWindows -- and allows us to remove several troublesome
dependencies including GConf, ORBit, and DBus. The change
includes a migration script that will run at Gnucash startup.
* New date handling which allows GnuCash to use dates after March 2038.
* Guile-2 compatibility: GnuCash now requires either Guile-1.8
or Guile-2.0
* Documents outside of GnuCash, images of receipts for example,
can now be linked to transactions, with the facility of
opening them in the default application for the document
type.
* Cutsom Reports can now be saved without renaming the report,
and modifications can overwrite an existing report.
* The import assistant now finishes much more quickly after
assigning contra-accounts.
* GnuCash now requires Gtk+-2.24.0 and GLib-2.26.0. Most of the
dependencies on obsolete libraries have been removed; only
libgnomecanvas remains. Unfortunately the effort to rewrite
the register code to use GtkTreeModel wasn't completed in
time, so GnuCash is not on the cusp of converting to Gtk3.
* The Business Module has been substantially revamped,
including support for Credit Notes and import of customers
and vendors from a CSV file.
* The Num field in the register display is now optionally
per-split, so for example a check number can be entered for
the checking account split and an invoice number for the
expense account split.
* GnuCash can now open locked books read-only so that more than
one user can view a file. GnuCash still does not support
multiple simultaneous writers.
* By agreement of all authors, GnuCash is now licensed under
the GNU General Public License Version 2 or later rather than
simply Version 2. This allows derivative works to be licensed
under the GPL Version 3 if the author of such a work so
desires.
* Fixed more than 500 bugs.
For those keeping score, the following changes have occurred
since 2.5.10:
Bug Fixes:
157247 - Asset account's "total" value should use most
recent transaction prices
710823 - libofx can supply broken UTF-8 for account id
710824 - GnuCash should sanitise UTF-8 before serialising files
to avoid writing broken unparseable XML.
720555 - General Ledger - Can't Enter Transaction Amounts
720556 - The Tip of the Day preference isn't getting saved
720646 - New Book Tabs on Windows
Other Changes:
* Don't create a second account hierarchy page when cancelling
the Hierarchy Assistant or when using Actions->New Account
Hierarchy on an already open book.
* Reset Warnings dialog: show translated warnings
* The locale-names for Help and the Tutorial and Concepts Guide
have been renamed to language-only so that, for example,
someone using the Swiss-German locale will be shown help in
German instead of English.
Translations Updated: British, Dutch, French, Italian, Lithuanian.
2.5.10 - 15 December 2013
This is the eleventh and final release in the UNSTABLE 2.5 series.
It is the second beta release. Barring any surprises, we will release
a STABLE 2.6.0 on 29 December.
Changes since the last release have been entirely bug fixes
and translation updates, though not all bug fixes had
associated bug reports. Note that WebKit 1.2 is now tested
for in configure; it had been 1.0, but GnuCash wouldn't
actually compile with versions earlier than 1.1.5.
Bug Fixes:
336843 - Attach images/files/urls to transactions:
Disable the "show attachment" menu item if the transaction
has no attached file.
619478 - Build warning in html/gnc-html-webkit.c
627575 - Stylesheet names with non-alphanumeric characters
and saved-reports
630578 - current date instead of posting date in exchange rate,
when posting a bill
632588 - Scrub doesn't fix missing currency
639371 - Welcome Sample Report reports wrong version and
has a broken report
653594 - wrong amount printed on checks
705714 - QIF Import - File selection pop-up is not on top
during qif import
708526 - GnuCash Crashes when opening About page:
Downgrade the error to a critical warning.
711317 - Indian Rupee Symbol appears as "?" marks
715123 - Post invoice problem, cannot unpost
719481 - GnuCash report crashes with Guile2
719521 - Missing radio button in "Edit security" dialog
719726 - Click on File -> Open seg-faults
720235 - Python bindings should load environment file just
like gnucash does
Fix Python tests to no longer require gsettings schemas installed.
Fix the CuteCash (Qt GUI based) build
Multi-currency "Post invoice" improvements
Protect gnc_mktime against bad dates.
Protect against null account pointers in a couple of place to
avoid asserts.
Qif Import Assistant: Don't disable the whole dialog, just the
Forward button
QifImport: Fix crash from attempting to import an empty file.
Add the ability to search for transactions that are, or are not,
book closing entries.
Move customer, bill, and invoice importers form the business menu
to the file menu.
Rename some directories in src/import-export so that the
gschema.xml.in.in files within them don't have pathnames that
are too long for tar when the GnuCash version exceeds 5 digits
(e.g., 2.5.10).
Translation Updates: Italian, German, French
New Translations: Arabic!
2.5.9 - 1 December 2013
This is the tenth release in the UNSTABLE 2.5 series.
It is the first beta release.
Barring any surprises, there will be one more beta release in
two weeks, followed by the release of 2.6.0 on 29 December.
Changes since the last release have principally been code
cleanup, including KVP storage in the SQL Backend, Python
testing in out-of-source builds, test failures when using
Guile-2, ensure that saved state (especially KVP) is deleted
along with the primary object, use the progress bar when
loading the PriceDB.
Translator note: We found it advisable to correct some typos
and to add two translatable strings "Bill Information" and
"Voucher Information".
Bug Fixes:
644044 - Lots: SQL backend loses link to Gain/Loss Txn
704506 - Connection loss to mysql after resume from hibernation
707311 - Tax Invoice fails to open when using guile 2
710871 - Python site-packages not found when not installed to
default location using --prefix
710905 - Column withs, visibility, order and sort order not saved
and restored
711289 - time zone handling is inconsistent between 2.4 and 2.5
712299 - Tax Invoice with guile 2 doesn't display currency symbols
715041 - Crash opening a file when a file is already open.
715184 - Bill or Invoice; a new Bill gives a new Invoice
719471 - Unused commodities saved to XML file
Translations updated: German, Italian
2.5.8 - 17 November 2013
This is the ninth release in the UNSTABLE 2.5 series. This
release is the last alpha release.
String and feature freeze are now in effect: Only bug fixes
which have no effect on UI, API, or translatable strings
should be committed to trunk until after the release of
GnuCash 2.6, currently scheduled for 29 December 2013.
Translators: Please use the tarballs from this release to
prepare your translations.
New contributor Patrick has provided a beginning
implementation of linking attachments to transactions. This
is accessed through the Transaction menu and the transaction
context menu. In this initial version, linked files are
displayed in the default viewer for the file type. E.g., html
files will open in a browser and jpegs will open in the
default picture viewer.
Bug Fixes:
707311 - Tax Invoice fails to open when using guile 2
709589 - make check fails with guile 2
711289 - Time Zone Handling is Inconsistent between 2.4 and 2.5
Partial fix that may also correct 699997
711294 - Gnucash repeatedly ask associated income account
when import qfx file. Patch by Kuang-che Wu <kcwu@csie.org>
711493 - Fix unselected account that is NULL
Translations Updated: German
2.5.7 - 3 November 2013
This is the eighth release in the UNSTABLE 2.5 series.
Register2 is now a configure option. Default builds,
including the Windows and Mac All-in-one packages, will use
only the old register. We've decided that it isn't ready for
general use and the principal author doesn't have time to
make it ready in time for a 2.6 release.
Frédéric Perrin has contributed a change to display currency
symbols whenever they are known and unambiguous.
Geert Janssens has cleaned up most of the issues from the
initial GSettings preference changes. There's a new
configure option, --with-xdg-data-dirs to overide the
environment and defaults if necessary.
Building Gnucash now requires Automake version 1.11 or later.
Configure will abort if --enable-ofx is set but no libofx
configuration files are found. Budget periods may no longer
set to values greater than the budget's num_periods, and the
budget options descriptions will wrap. Contributed by Robert
Ratliff.
Bug Fixes:
668530 - In budget flow report options, change the maximum
value for period to 60 (Note the FIXMEs) Author: Robert
Ratliff
687478 - Bills due reminder doesn't work well with credit notes
687479 - Automatic invoice/payment matching on posting an
invoice should be an optional feature
693244 - View Lots window enhancements
708659 - Totals column moves to right hand side when periods are added
Remove unneeded gnc_plugin_page_budget_refresh_cb
Author: R Ratliff
710055 - advanced portfolio report counts capital gains split
as dividend. Author: Jason McCarty <jmccarty@sent.com>
710311 - Missing ChangeLogs
710739 - Fill in field for remote bank account information
also for SEPA transfers.
710871 - Fix for Python site-packages not found when not
installed to default location
710979 - Crash in gnc_plugin_page_invoice_summarybar_position_changed
Translations Updated: None
2.5.6 - 7 October 2013
This is the seventh release in the UNSTABLE 2.5 series.
Geert Janssens has rewritten the preferences system to use
GSettings from GIO (GLib) instead of GConf. This is a simpler
and more robust backend which writes to the OS's native prefs
-- defaults on OS X and the Registry on MSWindows -- and
allows us to remove several troublesome dependencies
including GConf, ORBit, and DBus. The change includes a
migration script that will run at Gnucash startup.
WARNING: the saved settings in gconf are not (yet) migrated
to gsettings ! running gnucash as of this commit will start
you with default values for all preferences ! You can of
course change your preferences, your changes will be saved
properly in gsettings and restored when you restart
gnucash. But what has been set in GConf before will basically
be ignored.
Bug Fixes:
Bug 632362 - Unable to create "reversing transaction" again
after it is removed
Bug 654196 - "make check" fails when built with --enable-dbi
Bug 674862 - 2038 bug in libdbi
Bug 682280 - bill/invoice importer fails to save imported bills/invoice
Bug 684670 - Interest amount calculation is wrong in Sqlite3 format
Bug 699450- New budgets cause Account Name column to expand
until display bigger than screen. -- Robert Ratliff
<ratliff.bobby@gmail.com>
Bug 708700 - "make check" fails (missing glib bits)--
Frédéric Perrin <fred+gnome@resel.fr>
Bug 704039 - time zone is not respected in Windows -- Thanks
to Kuang-che Wu <kcwu@csie.org>
Translations Updated: Dutch
2.5.5 - 10 September 2013
This is the sixth release in the UNSTABLE 2.5 series.
No new features are added in this release.
Bug Fixes:
334939 - Account Report and Account Transaction Report are
apparently the same, but different. Change menu entry for the single
transaction Account Report from "Accout Transaction Report" to
"Account Report - Single Transaction" Author: Carsten Rinke
603183 - Equity statement shows incorrect changes
Add function gnc:account-get-total-flow to report-utilities.scm
This function filters the splits from the source to the target accounts
and returns a commodity collector.
It does NOT do currency exchanges. Export the new function
gnc:account-get-total-flow from report-utilities.scm. Apply the new
function gnc:account-get-total-flow for the "Withdrawal" calculation.
Author: Carsten Rinke
629136 - Move the code that updates the sensitivity
of immutable page actions from gnc_main_window_switch_page to
gnc_main_window_generate_title. Patch by Guilherme Salgado.
696492 - Change report name in menu or in report output to be
consistent Change the register name to "Accout Transaction Report"
when the register type is GENERAL_LEDGER, INCOME_LEDGER, or default
in function gnc_reg_get_name(). Patch by Carsten Rinke.
704039 - time zone is not respected on windows Author: Kuang-che Wu
704056 - Online Banking (Online Actions) does not appear in Action menu
Ensure that all functions are exported to the dll.
704525 - When you have a mix of chart types (bar charts and pie
charts). Add new procedure gnc:substring-replace-from-to
Similar to gnc:substring-replace, but offers the possibility to
replace substrings in a range of occurances. Add calls to
gnc:substring-replace-from-to to procedure gnc:report-run.
Filter out all occurances of jquery.min.js and jquery.jqplot.js
except for the first occurances. Author: Carsten Rinke
Translations updated: Lithuatnian
2.5.4 - 4 August 2013
This is the fifth release in the UNSTABLE 2.5 series.
New Features:
Register2 work: Restore the delete-transaction-up/down
feature, replace the filter-and-sort model with a qof query
which loads only a subset of transactions to improve speed,
and some date and cursor changes.
Aurimas Fišeras contribued patches to make CSV Account import
table header translatable, to fix translation of table
headers, fix dash marker usage, and some other translation
issues.
Revert the Bitcoin support until the patch is rewritten with
a better UI.
Bug Fixes:
703897: Functions which can return null always return a Python
object, Tom Lofts.
704183: ofx file import tries to match online_id against
ACCTID[space]ACCTKEY even when ACCTKEY is empty, G. Paul Ziemba
704185: GnuCash 2.5 doesn't build on FreeBSD
Translations Updated: Catalan, Danish, Italian, and Lithuanian
2.5.3 - 7 July 2013
This is the fourth release in the UNSTABLE 2.5 series.
New Features:
Save and Save As for custom report templates (Geert Jansens)
Customized report settings can now be saved without renaming
the report, and updates saved directly replacing the previously
saved report or "saved as" to a new name.
It's now possible to post multiple invoices from the find
dialog. GnuCash was crashing if you searched for all unposted
invoices, selected two or more of them, and posted them.
This was because the list of invoices to be posted changed
while it was being processed. As part of fixing this the
prompt for post date, due date, etc. will only be given once,
not once per invoice.
Register2 work: Better commodity/currency handling, sanity checks
when converting TreePaths, Posted Dates now work like the old Register,
PostedDate is now recorded only as a date, with no time.
Peter Broadberry contributed faster versions of several reports.
Bug Fixes:
703272: list of windows in OSX Windows menu
699686: Startup dialog windows should be top level (Simon Arlot)
701670: (OSX)Command-V in reconcile window pastes data in register
702899: Fix crash in scrubbing code
703305: Fix crash on entering a non-valid date
The crash that occurs when duplicating multiple invoices from Find
results.
691587: Catch scheme exceptions when converting error messages
669964: Fix txn creation that forgot to set a txn currency.
672595: After creation of a new book, make sure to set it to dirty
700582: Enable online actions in Register2
Now works with automake 1.13
Translations Updated: Catalan, Italian, Lithuanian
2.5.2 - 27 May 2013
This is the third release in the UNSTABLE 2.5 series.
Robert Fewell continues his work on the GtkTreeModel register,
including better transaction editing without using the mouse and
some display issues.
Sam Morris contributed a patch supporting retrieving Bitcoin and
Litecoin exchange rates from Mt. Gox with Finance::Quote
Fix Bug 700197, backend errors when creating Customers with the
Python bindings. Patch by Tom Lofts
Carsten Rinke provided several patches:
682800 Generated balances on Report different than calculated
balances on Ledger when using "open subaccounts"
622778 Miscalculation in cashflow reports
584869 net change line in general journal report
589865 - Budget flow period doesn't work. Patches by Carsten
Rinke and Mikhail Tsaplin
The translation files have been copied from the 2.4 branch.
Translators may start working on the new strings, though string
freeze is scheduled for 2.5.5 in early September.
Translations Updated: Danish, German, Italian
2.5.1 - 5 May 2013
This is the second release in the UNSTABLE 2.5 series.
Robert Fewell has continued his work on the GtkTreeModel register.
It is now the default for account registers.
Geert Janssens has begun work on replacing the GConf configuration
management tool with the newer GSettings API from recent versions
of GLib.
Tom Lofts contributed the beginning of a RESTful Python API
to enable access to minimal account, invoice, and customer
information in a JSON format.
Christian Stimming fixed the very long wait time for the UI to
become responsive when running the import matcher.
Also some bug fixes, package upgrades, and minor improvements.
2.5.0 - 30 Mar 2013
The Gnucash Development Team is pleased to release Gnucash 2.5.0,
the first release of an unstable series leading to Gnucash 2.6.0.
This release is UNSTABLE and SHOULD NOT BE USED in production.
Robert Fewell has contributed a rewrite of the ledger
(Gnucash's primary interface window) to use the GtkTreeModel
(select "register 2" from the menu) as well as a new CSV
import/export facility for account trees.
Gnucash now requires Gtk+-2.24 and GLib-2.26. We've removed
most of the dependencies on libraries obsoleted by project
Ridley and will be in position to move to Gtk+-3.x once the
GtkTreeModel register window work is complete. This means
that Gnucash 2.5 requires Debian 6, RHEL 6, or one of the
more aggressive distributions like Ubuntu.
Gnucash now works with Guile-2.0.
The business module has been revamped and we introduce a new
feature, Credit Notes. It is now possible to import customers
and vendors from a CSV file as well.
The "Num" field is now optionally per-split rather than
per-transaction.
When opening a locked "book" one now has the option of
opening it read-only. Note that Gnucash is still a
single-user program and that the database backends are still
used only as a data store.
Gnucash is no longer subject to the "2038" bug, so that
30-year mortgages can now be entered correctly.
By agreement of all authors we have relicensed Gnucash to the
Gnu Public License Version 2 or later from just Version 2.
2.4.12 30 Mar 2013
2.4.12 is a bugfix release. Please see the Changelog for details
2.4.11 14 Jul 2012
2.4.11 is a bugfix release. Please see the Changelog for details
2.4.10 10 Feb 2012
2.4.10 is a bugfix release. Please see the Changelog for details
2.4.9 - 10 Jan 2012
2.4.9 is a bugfix release. Please see the Changelog for details
2.4.8 - 20 Oct 2011
2.4.8 is a bugfix release. Please see the Changelog for details
2.4.7 - 01 Jul 2011
2.4.7 is a bugfix release. Please see the Changelog for details
2.4.6 - 28 May 2011
2.4.6 is a bugfix release. Please see the Changelog for details
2.4.5 - 04 Apr 2011
2.4.5 is a bugfix release. Please see the Changelog for details
2.4.4 - 13 Mar 2011
2.4.4 is a bugfix release. Please see the Changelog for details
2.4.3 - 26 Feb 2011
2.4.3 is a bugfix release. Please see the Changelog for details
2.4.2 - 06 Feb 2011
2.4.2 is a bugfix release. Please see the Changelog for details
2.4.1 - 04 Feb 2011
2.4.1 Had to be pulled before the release was completed because
some critical problems would have resulted in severe data loss
for users.
2.4.0 - 20 Dec 2010
The GnuCash development team proudly announces GnuCash 2.4.0,
the latest stable release of the GnuCash Free Accounting
Software. With this new release series, GnuCash can use an SQL
database using SQLite3, MySQL or PostgreSQL. It runs on
GNU/Linux, *BSD, Solaris, Microsoft Windows and Mac OSX.
Major changes in the 2.4.0 release include
* In addition to the XML backend, Gnucash can now use a
SQLite3, MySQL or PostgreSQL database to store the data. This
is a new implementation using libdbi. It supports all
features including the business features. In order to build
with this, add --enable-dbi to the configure command. In
addition to the libdbi-dev package for your distribution, you
will also need the appropriate DBD (libdbi driver) package
for sqlite3, mysql or postgresql.
* As a replacement for the current GtkHTML HTML engine used to
display reports and graphs, Gnucash can use WebKit. WebKit is
the engine used by Google Chrome on Windows and Safari on
Apple. In order to build with this, add
--with-html-engine=webkit to the configure command. You will
need an appropriate webkit-dev package. On win32, you will
need to download the webkit-1.1.90-win32.zip file from the
source repository and put it into the downloads directory of
your gnucash build area.
* Updated AqBanking on Win32.</li>
2.3.0 - 14 May 2009
o Welcome to GnuCash 2.3.0 the first of several unstable releases of
the GnuCash Open Source Accounting Software which will eventually lead
to the stable version 2.4.0. This release is the very first to use an
SQLite3 database as the default data store. It is intended for
developers and adventurous testers who want to help tracking down bugs.
o WARNING WARNING WARNING - Make sure you make backups of any files
used in testing versions of GnuCash in the 2.3.x series. Although the
developers go to great lengths to ensure that no data will be lost we
cannot guarentee that your data will not be affected if for some
reason GnuCash crashes in testing these releases.
o PLEASE TEST TEST AND TEST SOME MORE any and all features important
to you. Then post any bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o If you have the urge to help beyond testing please get involved in
the discussions on the GnuCash mailing lists which you will find at
https://www.gnucash.org. Please see https://wiki.gnucash.org/wiki/Development
on how to get involved.
o Major new features:
* All features, including business features, are supported by a new
SQL datastore, which can use SQLite3 (default), MySQL or PostgreSQL.
The legacy XML data format is still supported
* Replacement of the aging GtkHTML engine used for reports/charts
with the WebKit engine used by Apple's Safari and Google's Chrome
web browsers.
o PS I'm not going to list the many minor features changed or updated in
this release because obviously there is so much that has changed.
2.2.9 - 23 February 2009
Welcome to the GnuCash 2.2.9 Release.
Fixed Bugs:
o #339027: Reconcile window should display the date
o #435642: Crash editing results of a find
o #438132: Warning about commodity being NULL for root account on save
o #462148: Report output is vertically inverted and bottom up
printed (mirror, reverse, &c.)
o #514455: Dutch (Netherlands) translation of account templates
o #526775: Win32: Crashes when importing brokerage account data
o #542382: Assign GnuCash to file name extension .gnucash
o #564209: Improved debuggability for module loading
o #564450: HUF currency handling incorrect as 1HUF divided into
100FILLERs
o #564928: Segfault when closing a invoice tab
o #565421: gnc-date-edit.c did not compile with Gtk < 2.10
o #565721: Multicolumn report options: Report names are not translated
o #566198: Slovakia joined the Euro
o #566352: Crash during OFX import under Win 2000 / SP4
o #566567: Scheme modifications are not built on windows
o #567174: Files with NIS stocks fail to open
o #568327: Using most "budget" reports, without a budget
defined crashes gnucash
o #568653: Add SKR49 template
o #568945: The gnc_pricedb_convert_balance_... methods should
look for the reciprocal of the exchange rate
o #569734: Give the template root account a name
o #570166: Weird text entry box when typing on Account Tree page
o #570894: Use of symbol t, which is not defined in all guile versions
o #571220: Program won't start if SCHEME_LIBRARY_PATH is set
Other Changes:
o Added German account template for a Wohnungswirtschaft business
o Fixed french business account templates
o Updated translations: Catalan, Chinese, German, Italian
2.2.8 - 14 December 2008
Welcome to the GnuCash 2.2.8 Release.
Fixed Bugs:
o #115066: "Search For" dialog shows all when criteria is left as
default
o #128774: "Edit exchange rate" context menu item disfunctional often
o #137017: date of transaction change with time zone change
o #339433: TiaaCref price quote dates off by one day
o #340041: 0 as an amount should be allowed in Exchange Editor
o #345980: changing Stylesheet doesn't commit
o #347274: to track the difference between budgeted and actual amounts
in the budget report
o #348860: Error with saved multicolumn reports
o #405472: Unable to save changes on files opened over FUSE and sshfs
o #432457: Security/stock import should follow tutorial regarding
Account Name
o #435427: "Generic import transaction matcher" dialog does not sort by
date
o #436342: Currency exchange druid does not show on changed
o #436920: crash on loading OFX data for a commodity that exists
without cusip field
o #492417: currency mapping of New Israeli Shekel
o #529494: Wrong fractional precision in register with multi-currency
transactions
o #532889: Monthly scheduled payments preview shows wrong dates
o #536299: Fix two underlinking issues
o #539947: OpenSolaris:__FUNCTION__ not defined in sun cc
o #543332: Severe performance regression in Average Balance report
o #548218: OpenSolaris: $(expression) cause configure error on solaris
o #554042: OpenSolaris: configure fail on checking 'unsigned long is at
least as big as guint32'
o #557604: date-utilities.scm typos
o #557374: MT940 import does not work
o #563160: Multicolumn report: Confusing order of "Column span" and
"Row span"
o #563273: crash in GnuCash Finance Management: Starting GnuCash
o #564033: aqbanking plugin: g_module_open failed: WEXITSTATUS undefined
Other Changes:
o Fix account defaulting for posting vendor bill
o Fix tax-related inconsistency in UI
o Fix the average cost price source computation for a certain case
o Add account templates: Dutch, Finnish
o Update account templates: Italian, Slovak
o Update translations: Finnish, German, Hebrew, Italian, Japanese,
Russian, Slovak, Simplified Chinese
2.2.7 - 26 September 2008
Welcome to the GnuCash 2.2.7 Release.
Fixed Bugs:
o #139651: Register: Split transaction with multiple currencies fails
o #309863: Balance Sheet: Rounding errors with prices from pricedb
o #341362: Price Editor: Price is displayed as fraction instead
of decimal
o #376298: Price Editor: Window Contents Corrupted After
Manually Adding a Price
o #378734: Drop down calendar only works once
o #430121: Incorrect Sign Symbol for Fractional Commodity/Security Sale
o #454340: Security Editor: duplicate rows after editing a security
o #454827: Reports: Incorrect share value of stocks in foreign currency
o #464771: Investment Portfolio: Report crashes without price data
o #483393: Reports: Allow mixed denominators in numeric collectors
o #504935: Add currencies XDR and XXX
o #506873: Win32: Cannot install online price retrieval with
ActivePerl 5.10
o #520570: Drop-down calendar for "reconcile information" non-responsive
o #522095: Updating stock prices does not update totals shown in windows
o #526313: GnuCash does not support the new currency in Venezuela
o #529816: Supplement "CUSIP" by "ISIN", to give people outside
USA a hint
o #539640: Price Editor: Security disappears from price list
o #539962: Void function cannot return value with sun cc
o #540148: GnuCash cannot be built with libgoffice-0.8
o #541970: Balance Sheet: "Nearest in time" exchange rate not correct
o #543061: Fractional not working in IDR (rupiah) currency
o #543780: Transfer Dialog: CRIT messages in gnucash.trace from
exchange rate dialog
o #545316: Drop-down calendar is not clickable when posting invoice
o #545722: Can't change date in dialog boxes
o #546064: gnucash.desktop file does not comply with
desktop-file-validate
o #548601: AqBanking Import: Obscuring zero balance windows
after getting transactions
o #548891: QIF Import: GnuCash crashes when
.gnucash/qif-accounts-map is readonly
o #549115: Popup calendar unresponsive in modal dialogs
o #549595: Silently removes main files while trying to save without lock
o #549738: Reports: Default date on aging and customer reports
is too far in the future
o #551038: Reports: Alt-O shortcut in report options dialog crashes app
o #552306: Fails to save file when using a network filesystem on Mac
Other Changes:
o New Finnish translation
o Complete Romanian translation
o Usability improvements in the price and the security editor
o Lower number of false positives when checking aqbanking
results for failures
o Correct import of remote names, zero balances from aqbanking3
o Update translations: Catalan, Dutch, German, Italian, Polish
2.2.6 - 27 July 2008
Welcome to the GnuCash 2.2.6 Release.
Fixed Bugs:
o #129099: Register: Optionally show leaf names instead of full names
o #144669: Register: Shortcut to filter accounts by account number
o #313660: QIF Import: Can't stop progress on long importing process
o #336192: QIF Import: Allow new namespaces when defining new securities
o #353880: Reports: Options dialog violates HIG, add borders.
o #309359: QIF Import: "unknown Action '..'" shown many times
o #452354: Average Balance Report: Translate account type option names
o #454305: Trial Balance Report: Wrong after negative Stock Split
o #460721: Balance Sheet: Should have a "value at cost" option
o #463320: Trial Balance Report: Does not add up correctly
o #470656: Preferences, Win32: Crash when setting accounting period
o #475980: QIF Import: Forward and Back don't follow same path
o #489502: Register: Account autocompletion ignores new
separator until restart
o #501490: Balance Sheet: Incorrect in presence of stock sale
o #502646: Win32: Crash entering dates before 1/1/1970 in dialogs
o #506499: Win32: Crash after online banking transfer
o #512991: Invoices: Do not allow posting to placeholder accounts
o #514210: QIF Import: Allow multiple selections for account mapping
o #515163: QIF Import: Eliminate pointless mappings
o #521403: Reports: One more option in "Price Source" in Stock
Value Reports
o #526883: Transaction Report: Question marks instead of month
in cyrillic locale
o #528835: Crash when creating SKR04 accounts with German locale
o #530924: Customer Report: Honor the used column list
o #531662: Budget report: Crash on #f in budget->guid
o #532405: Win32: Guile crashes on strftime formats containing %e
o #535407: QIF Import: Crash on invalid or unsupported date format
o #538800: Balance Sheet: Gives wrong results
o #539654: Reports: html-table-append-column! in html-table.scm crashes
o #539829: Build Process: qofsession.c compile warning
o #540207: Reports: Show a table of data beneath barcharts
o #542472: Reports: Period does not default to Accounting Period
o #542967: Reports: Options dialog title shows GUID
Other Changes:
o New Hebrew translation
o Add support for aqbanking3
o Correct quickfill directions in transfer dialogs
o Add QIF importer support for importing to A/R and A/P account types
o QIF importer loading speedup and visual feedback, further improvements
o Avoid crashing if a report's option generating procedure
causes a Scheme exception
o Make the new option Average Cost the default for several
reports
o Make weighted average price source computations ignore zero
amount splits
o Support calculation of unrealized gains/losses on liabilities
in balance sheet
o Allow creating new accounts from the general ledger
o Fix some compiler warnings, minor build system improvements
o Update translations: Catalan, German, Russian, Traditional Chinese
2.2.5 - 27 April 2008
Welcome to the GnuCash 2.2.5 Release.
Fixed Bugs:
o #166101: Register: Topmost splits' accounts are rewritten confusingly
o #341414: QIF Import: Changing account separator breaks saved account
mappings
o #341608: Transaction Report: Filtering void/non-void doesn't work
o #347474: Register: Tab goes to wrong split
o #396665: QIF Import: Detect and convert non-ascii character encoding
of QIF files
o #450354: QIF Import, Win32: Can only load files from ascii paths
o #475960: Reconciliation: Postponed balances of liability accounts are
not reversed correctly
o #467529: Check Printing: Align_n not working in custom check
definitions
o #509089: QIF Import: Duplicates windows shown after Scheme error
o #511182: QIF Import: Saved commodity mappings lost after import to
new GnuCash file
o #511231: QIF Import: Use QIF security type to provide better default
namespace
o #512208: QIF Import: New commodities remain if import canceled
o #512841: Register: Crash in expression parser on nullary functions,
like pmt()
o #514027: QIF Import: Commodities page is skipped if you go back to
currency page
o #519988: QIF Import: Error reporting doesn't follow GnuCash guidelines
o #520606: QIF import: Memo mappings for non-split, non-investment
transactions are ignored
o #521957: Auto-save not canceled on opening other files
o #522795: QIF Import: Does not support "ShtSell" or "CvrShrt"
transactions
o #523194: QIF Import: Existing commodities can cause import failure
o #523922: GnuCash ships the wrong scalable icon and no small (22²,
24²) sizes
o #527459: QIF Import: Support voided transactions
o #527886: QIF Import: Support QIF numeric formats of 12'345.67 as
produced by Quicken 4
o #529232: Average Balance Report: Reversing the starting balance
distorts the numbers
Other Changes:
o Add a new Liberty(tm) check format
o Show QIF import documentation by default
o Improve cancel behavior in reconciliation window
o Fix a few memory leaks
o Update translations: Brazilian Portuguese, German, Romanian, Russian,
Swiss German
2.2.4 - 02 March 2008
Welcome to the GnuCash 2.2.4 Release.
Fixed Bugs:
o #106242: qif Importer should warn users about dates before 1970
o #106383: feature request: close year end
o #123312: QIF Import: Autoselection of Stock Exchange during import
o #336211: QIF Import generates spurious duplicate transactions
o #360058: GnuCash crashes on QIF-import after changing
account's separator to * (asterisk)
o #373584: Rounding error in QIF import of commodity transactions
o #454834: Memo Incorrect or missing in Transaction Report
o #457591: QIF import does not handle tabs at top of file
o #481528: QIF importer should show imported transaction as
possible duplicate if original transaction is split
o #503166: QIF Import Druid Flow incorrect
o #506798: Custom Reports don't allow sorting by Account Code
o #506873: 'Install Online Price Retrieval' fails with ActivePerl 5.10
o #506810: QIF Import can mismatch account transfers
o #510221: Include Mexican Accounts
o #510630: typo in description of BUYMF transaction (OFX import)
o #510725: crash importing a .OFX file
o #510940: Unrecognized date format causes crash
o #510962: QIF transactions without dates are silently ignored
o #511006: Commodity creation skipped due to saved mappings
o #512166: doesn't build with glib-2.15.3
o #512173: Empty "match payees/memos" druid step shown
o #512497: Investment transactions ignore payee/memo mappings
o #513088: "Find" immediately unmaps window
o #513829: Investment account may be created with Stock account type
o #516178: Scheme error during progress dialog causes freeze
Other Changes:
o Recognize 401k/403b in QIF import
o Remove superfluous trailing colons of de_DE SKR04 account names
o Add russian account templates
o Add Swiss German translation
o Update translations: Brazilian Portugese, German, Greek, Russian,
Simplified Chinese, Slovak, Spanish
2.2.3 - 06 January 2008
Welcome to the GnuCash 2.2.3 Release.
Fixed Bugs:
o #114724: QIF importer drops split details for transfers with
identical amount
o #463678: xfer dialog from CC auto-payment from reconcile doesn't
display accounts
o #495219: QIF-Importer handles memo from transactions wrong
o #497517: Transactions set to 'c' in the R(econciled) field of the
register are incorrectly set to 'n' when postponing a
reconciliation
o #503889: Should install icons into expected locations
o #504007: QIF Import Druid does not allow selecting currency
o #504257: Need to replace old Afghanistan Afghani (AFA) with new
Afghanistan Afghani (AFN)
o #504261: Start on W2K fails with Entry Point Not Found (KERNEL32.dll)
o #505386: Gnucash looses transactions if the file contains special
characters
o #505972: SX-related segfaults in 2.2.2
o #506074: Fractional timezone offsets not always handled correctly
o #506429: "Last Day of Month" SXes saved on wrong day of week
o #506671: Add cyprus, maltese and slovenian currencies to EURO support
o #506714: progress bar during launching
Other Changes:
o New Vietnamese translation
o Improve several minor strings
o Update translations: Dutch, German
o Some business report improvements regarding date parameters
o Fix gcc 4.2.x compiler warnings
o Use aqbanking pkg-config file and require < v2.9, allow goffice v0.6
2.2.2 - 16 December 2007
Welcome to the GnuCash 2.2.2 Release.
Fixed Bugs:
o #336240: advanced portfolio - the basis calculation is not
working properly in funds
o #343245: Advanced Portfolio gets basis wrong with stock split
o #343448: Hide unused horizontal scrollbar
o #344566: Advance Portfolio has wrong Realized Gain
o #347739: Advanced Portfolio calculates values incorrectly
when it involves a capital loss
o #438360: Case-insensitive search for non-ascii characters broken
o #460232: advanced portfolio report fails
o #467521: Persistent splash screen blocks "could not obtain
lock" warning
o #467532: Clipping check fields in gtkprint is not consistent
with clipping in gnomeprint
o #468681: RFE: Customizable summary bar position
o #470750: src/design/*.texinfo refers to non-existent GncBooks API
o #470801: Tip Of The Day says 2.2.1 is development version
o #473827: chinese translate for gnucash account
o #475666: Missing national currency CUC
o #476189: Configure script should fail when gettext is not installed
o #481110: Win32: Crash when opening SX Editor
o #482177: Customer report shows no invoices or detail with 2nd
A/Receivable
o #483796: Fancy Invoice - Report Error
o #484576: Configuration error with goffice 0.5
o #487317: QIF import druid crash when stepping back and forth
from the "loaded files page" without selection
o #487326: Preferences dialog does not remove all its gconf callbacks
o #487572: advanced portfolio breaks on "Most Recent to Report"
o #488001: speed up several reports that rely on html-acct-table.scm
o #488004: provide a two-column income-statement
o #490679: GnuCash doesn't honor the GNOME toolbar settings
o #491581: Import 'Cash' Action (in Investment Accounts)
o #492137: Lot scrubber doesn't add splits to existing lots correctly
o #496023: Pressing ESC Cancels modifications whether you
choose yes or no.
o #496178: gnucash segfaults with troublesome automatic transactions
o #499360: Crash when editing a commodity whose quote source
timezone is set to local time
o #499788: gnucash-make-guids does not work, fails with
"Unbound variable: gnc:guid-new"
o #500026: [PATCH] Report correct package for qt3-wizard
o #500427: SX creation doesn't include template transaction "Notes"
o #501059: GnuCash leaks since last run dialogs
o #502755: GnuCash hangs after modifying SX
o #503579: win32 packaging fails installing mingw
Other Changes:
o Many changes to the german SKR03 and SKR04 account templates
o Include updated GNOME libraries and a patched ORBit2 in Win32 build
o Improve resizing of search and invoice posting dialogs
o Add MimeType directive for GnuCash data files
o Fix some new compiler warnings
o Add AZN [Azerbaijani Manat]
o Add COU [Colombian Unidad de Valor Real]
o Add MZN [Mozambique Metical]
o Some occurrences of "Open Source" were changed to "Free"
o Update translations: Brazilian Portugese, Czech, German,
Japanese, Traditional Chinese
2.2.1 - 19 August 2007
Welcome to the GnuCash 2.2.1 Release.
Fixed Bugs:
o #170729: locale-specific delimiters in scheduled transactions
templates and mortgage druid
o #339260: Right-click doesn't select txn but works on the previously
selected in the register
o #361604: Balance sheet report shows incorrect prices for commodities
when using "nearest in time" option
o #445917: Dialog says, Click "Next"..., Button says "Forward"
o #452496: Dirtying a split does not dirty the parent txn or book
o #457027: About dialog shows wrong year in Copyright string
o #457213: Resizing SLR window causes it to show up as blank next time
o #457228: AqBanking Wizard QtCore4.dll error on WinXP, procedure entry
point not found
o #457944: startup delay, keep splash screen during file loading
o #458080: RPM .spec file still depends on g-wrap
o #458567: Ship with windows gtkrc
o #458783: Doesn't start if installed into a directory with an "umlaut"
o #459259: Unshortened column-title in Scheduled Transactions editor
for some locales
o #460432: Crash when running Account Report or Account Transaction
Report against A/R account
o #460924: Fox for warning: the address of '*' will always evaluate as
'true'
o #462567: win32: GnuCash improperly interprets filenames as URLs and
fails
o #465338: hbci module init fails on FreeBSD due to change 15799
o #468115: Save Account Tree Sort Preference
Other Changes:
o Fix XPF [CFP Franc Pacifique] to not use cents, add YER [Yemeni Riyal]
o Update gnome libraries in Win32 build
o Avoid a few critical warnings and improve logging
o Completely remove FreqSpec
o Disable Close books and QSF Import again
o Update translations: British English, Catalan, French, German,
Hungarian, Japanese, Ukrainian
2.2.0 - 14 July 2007
o Welcome to the GnuCash 2.2.0 Release.
o With this new release series, GnuCash is available on Microsoft
Windows for the first time, and it also runs on GNU/Linux, *BSD,
Solaris and Mac OSX.
o This release has only a few user-visible new features, except for
the completed port to the Microsoft Windows operating system. In
summary, the following features are new, compared to the older 2.0.x
series:
o Port to Microsoft Windows completed. Note that Windows 2000, XP, or
Vista is required; GnuCash does not run on Windows 98 or 95.
o Data file notice: In version 2.1.2 the format for scheduled
transactions in the data file was changed. Files using the old format
will be read without problems by this new version, but the new
version of GnuCash only writes the new format. The new file format
cannot be loaded by older versions of GnuCash. (If you try, the file
will fail to be loaded with an error message.) As a result, if you
begin using the new Gnucash, and you have data files with scheduled
transactions, then these files will not be readable by older
versions. If you have to make a new data file readable by older
versions of GnuCash, this can be achived by deleting all records of
scheduled transactions in the scheduled transaction editor.
o SWIG is now used instead of g-wrap for providing language bindings.
o The Scheduled Transaction list view is now improved and summarized
more compactly. The Since-Last-Run dialog has been simplified.
o Check printing has been improved, with new formats and simpler
format descriptions.
o Automatic saving of the data file was added.
o Bugfixes and improvements since the last version 2.1.5 include:
o Updated translations.
o Improved handling of Online Banking wizard on Windows.
2.1.5 - 02 July 2007
o Welcome to GnuCash 2.1.5 aka "Release Candidate 2", the fifth of
several unstable 2.1.x releases of the GnuCash Open Source Accounting
Software which will eventually lead to the stable version 2.2.0.
With this new release series, GnuCash is available on Microsoft
Windows for the first time, and it also runs on GNU/Linux, *BSD,
Solaris and Mac OSX.
This release is intended for developers and testers who want to help
tracking down bugs.
o WARNING: Make sure you make backups of any files used in testing
versions of GnuCash in the 2.1.x series. Although the developers go
to great lengths to ensure that no data will be lost we cannot
guarantee that your data will not be affected if for some reason
GnuCash crashes in testing these releases.
o Please test any and all features important to you. Then post any
bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o Compared to the 2.0.x series, there are only very few user-visible
new features, except for the completed port to the Microsoft Windows
operating system. Minor new features compared to the 2.0.x series
are;
o Port to Microsoft Windows completed. Note that Windows 2000 or newer
is required; GnuCash does not run on Windows 98 or 95.
o The Scheduled Transaction list view is now improved and summarized
more compactly. The Since-Last-Run dialog has been simplified.
o SWIG is now used instead of g-wrap for providing language bindings.
o Check printing has been improved, with new formats and simpler
format descriptions.
o Automatic saving of the data file was added.
o DATA FILE NOTICE: In version 2.1.2 the format for scheduled
transactions in the data file was changed. Files using the old format
will be read without problems by this new version, but the new
version of GnuCash only writes the new format. The new file format
cannot be loaded by older versions of GnuCash. (If you try, the file
will fail to be loaded with an error message.) As a result, if you
begin using the new Gnucash, and you have data files with scheduled
transactions, then these files will not be readable by older
versions. If you have to make a new data file readable by older
versions of GnuCash, this can be achived by deleting all records of
scheduled transactions in the scheduled transaction editor.
o Bugfixes and improvements since the last version 2.1.4 include:
o Updated translations.
o German translation of Online Banking wizard is activated on
Windows.
o Improvements to Windows packaging.
o When adding custom reports to the menu, appropriate user feedback
will be given.
o Automatic saving of the data file was added.
2.1.4 - 16 June 2007
o Welcome to GnuCash 2.1.4 aka "Release Candidate 1", the fourth of
several unstable 2.1.x releases of the GnuCash Open Source Accounting
Software which will eventually lead to the stable version 2.2.0.
With this new release series, GnuCash is available on Microsoft
Windows for the first time, and it also runs on GNU/Linux, *BSD,
Solaris and Mac OSX.
This release is intended for developers and testers who want to help
tracking down bugs.
o WARNING: Make sure you make backups of any files used in testing
versions of GnuCash in the 2.1.x series. Although the developers go
to great lengths to ensure that no data will be lost we cannot
guarantee that your data will not be affected if for some reason
GnuCash crashes in testing these releases.
o Please test any and all features important to you. Then post any
bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o Compared to the 2.0.x series, there are only very few user-visible
new features, except for the completed port to the Microsoft Windows
operating system. Minor new features compared to the 2.0.x series
are;
o Port to Microsoft Windows completed. Note that Windows 2000 or newer
is required; GnuCash does not run on Windows 98 or 95.
o The Scheduled Transaction code has been refactored. The Scheduled
Transaction list view is now integrated into the main window, the
Editor has been re-designed for compactness, and the Since-Last-Run
dialog has been simplified.
o SWIG is now used instead of g-wrap for providing language bindings.
o Check printing has been improved, with new formats and simpler
format descriptions.
o DATA FILE NOTICE If you are using Scheduled Transactions, the data
file saved by GnuCash 2.1.2 and higher is NOT backward-compatible
with GnuCash 2.0 anymore because of extensions in the file format.
Please make a safe backup of your 2.0 data before upgrading to 2.1.4.
o Bugfixes and improvements since the last version 2.1.3 include:
o Bugfixes with the graphical reports
o Fixing the Online Banking wizard
o Updated translations
o Improvements to Windows packaging
2.1.3 - 02 June 2007
o Welcome to GnuCash 2.1.3 aka "at last!", the fourth of several
unstable 2.1.x releases of the GnuCash Open Source Accounting
Software which will eventually lead to the stable version 2.2.0.
With this new release series, GnuCash is available on Microsoft
Windows for the first time, and it also runs on GNU/Linux, *BSD,
Solaris and Mac OSX.
This release is intended for developers and testers who want to help
tracking down bugs.
o WARNING: Make sure you make backups of any files used in testing
versions of GnuCash in the 2.1.x series. Although the developers go
to great lengths to ensure that no data will be lost we cannot
guarantee that your data will not be affected if for some reason
GnuCash crashes in testing these releases.
o Please test any and all features important to you. Then post any
bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o Compared to the 2.0.x series, there are only very few user-visible
new features, except for the completed port to the Microsoft Windows
operating system. Minor new features compared to the 2.0.x series
are;
o The Scheduled Transaction code has been refactored. The Scheduled
Transaction list view is now integrated into the main window, the
Editor has been re-designed for compactness, and the Since-Last-Run
dialog has been simplified.
o SWIG is now used instead of g-wrap for providing language bindings.
o Check printing has been improved, with new formats and simpler
format descriptions.
o DATA FILE NOTICE If you are using Scheduled Transactions, the data
file saved by GnuCash 2.1.2 and higher is NOT backward-compatible
with GnuCash 2.0 anymore because of extensions in the file format.
Please make a safe backup of your 2.0 data before upgrading to 2.1.3.
o Bugfixes and improvements since the last version 2.1.2 include:
o Fixes to crashes and slowness in Scheduled Transaction Editor.
o Fix to crash when editing style sheets and selecting images using
Windows version.
o Fix crash on QIF import with german umlaut.
o Updated translations.
o Improvements to Windows packaging.
2.1.2 - 19 May 2007
o Welcome to GnuCash 2.1.2 aka "Financially secure yet?"the third of
several unstable releases of the GnuCash Open Source Accounting
Software which will eventually lead to the stable version 2.2.0.
With this new release series, GnuCash is available on Microsoft
Windows for the first time, and it also runs on GNU/Linux, *BSD,
Solaris and Mac OSX.
This release is intended for developers and testers who want to help
tracking down bugs.
o WARNING: Make sure you make backups of any files used in testing
versions of GnuCash in the 2.1.x series. Although the developers go
to great lengths to ensure that no data will be lost we cannot
guarantee that your data will not be affected if for some reason
GnuCash crashes in testing these releases.
o Please test any and all features important to you. Then post any
bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o Compared to the 2.0.x series, there are only very few user-visible
new features, except for the completed port to the Microsoft Windows
operating system. Minor new features compared to the 2.0.x series
are;
o The Scheduled Transaction Editor and Management dialogs have been
integrated into the overall GnuCash User Interface to give the user a
more consistent experience in creating scheduled transactions.
o Internally, the programming language wrappers are no longer being
generated by the not-so-well-maintained package "g-wrap" but instead
by the well-established wrapper generator "SWIG". In effect, gnucash
does no longer depend on g-wrap anymore but uses SWIG now.
o New printing formats for check printing
o Bugfixes and improvements since the last version 2.1.0 include:
o Internal GObject integration is much more advanced by now
o Crash on OFX import crashing has been fixed
o Windows timezone problems fixed
o Some memory leaks have been fixed
2.1.1 - 28 Apr 2007
o Welcome to GnuCash 2.1.1 aka "Bug-begone" the second of several
unstable releasese releases of the GnuCash Open Source Accounting
Software which will eventually lead to the stable version 2.2.0. With
this new release series, GnuCash is available on Microsoft Windows
for the first time, and it also runs on GNU/Linux, *BSD, Solaris and
Mac OSX. This release is intended for developers and testers who want
to help tracking down bugs.
o WARNING: Make sure you make backups of any files used in testing
versions of GnuCash in the 2.1.x series. Although the developers go
to great lengths to ensure that no data will be lost we cannot
guarantee that your data will not be affected if for some reason
GnuCash crashes in testing these releases.
o Please test any and all features important to you. Then post any
bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o Compared to the 2.0.x series, there are only very few user-visible
new features, except for the completed port to the Microsoft Windows
operating system. Minor new features compared to the 2.0.x series
are;
o The Scheduled Transaction Editor and Management dialogs have been
integrated into the overall GnuCash User Interface to give the user a
more consistent experience in creating scheduled transactions.
o Internally, the programming language wrappers are no longer being
generated by the not-so-well-maintained package "g-wrap" but instead
by the well-established wrapper generator "SWIG". In effect, gnucash
does no longer depend on g-wrap anymore but uses SWIG now.
o New printing formats for check printing
o Bugfixes and improvements since the last version 2.1.0 include:
o Start-up behaviour has been improved: Windows size is better,
splash screen can be clicked away
o OFX DirectConnect import uses correct ID fields for transaction
matching
o More Scheduled Transactions bugs have been fixed
o Windows: Reading/writing to compressed data files has been tested
more thoroughly and fixed in various places
o Windows: Crash on changing default currencies fixed
2.1.0 - 14 Apr 2007
o Welcome to GnuCash 2.1.0 aka "Opening Windows" the first of
several unstable releases of the GnuCash Open Source Accounting
Software which will eventually lead to the stable version 2.2.0. This
release is the very first of to support Windows as a platform and is
intended for developers and adventurous testers who want to help
tracking down bugs.
o WARNING WARNING WARNING - Make sure you make backups of any files
used in testing versions of GnuCash in the 2.1.x series. Although the
developers go to great lengths to ensure that no data will be lost we
cannot guarentee that your data will not be affected if for some
reason GnuCash crashes in testing these releases.
o PLEASE TEST TEST AND TEST SOME MORE any and all features important
to you. Then post any bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o If you have the urge to help beyond testing please get involved in
the discussions on the GnuCash mailing lists which you will find at
https://www.gnucash.org. We especially need people to help with
updating the documentation as all texts refer currently to the 1.8.x
series. Please see https://wiki.gnucash.org/wiki/Development on how to
get involved.
o PS I'm not going to list the many features changed or updated in
this release because obviously there is so much that has changed.
2.0.5 - 18 February 2007
o Release of new stable version 2.0.5.
o Fix some strings not being translated.
o Use guiles native sort and record.
o Adjust how payment dialog resizes.
o Don't abort when F::Q fails to return a quote.
o Change Russian Ruble from RUR to RUB.
o Fix security problem with tmp filesystem and symlink attack.
o Add French and Canadian French translation updates.
o Do not crash on delete_event in new user dialog.
o Add sanity checks when accessing GncPluginPage.
o Make new windows the same size as the active one.
o The New Turkish Lira changed from TRL to TRY in 2005.
2.0.4 - 1 January 2007
o Release of new stable version 2.0.4.
o Correct account compatibility check with top level account.
o Check for potentially failed utf8 conversion of locale strings.
o Fix crash when accessing the File Properties Menu.
o Avoid crash when renaming page in a page-less window.
o Save and restore the visibility of the toolbar, statusbar, and
summarybar.
2.0.3 - 10 December 2006
o Release of new stable version 2.0.3.
o Core changes;
- Fix for crashes on Solaris and Windows.
- Fix for crash on quit during save.
- Fix a bug so that blank transactions are marked as pending.
- When progress bar is showing, do not make menus and toolbars
insensitive, but rather the underlying action groups.
- Save window size and position of the transfer dialog.
o Scheduled Transactions changes;
- Fix for UTF-8 bug in month name.
o Import changes;
- Fix missing date when reconciling from HBCI.
o Reports changes;
- Fix some scheme inexact errors.
o Help changes;
- Inform the user about 'gnucash-docs' package when Help is selected
with no content.
o Translations;
- Updated British English, French, German translation.
2.0.2 - 08 October 2006
o Release of new stable version 2.0.2
o Configure changes;
- Find absolute path of gconftool-2 during configure. Make gconftool
rules to fail if gconftool-2 could not be found.
- Fix Makefiles for .schemas file installation.
o Core changes;
- various: String fixes that have been delayed due to the string
freeze.
- Update so that bug-buddy 2.16 will still allow you to file bugs
against gnucash.
- Add a tip for raising the accounts menu in a register page.
- Maintain the accounthierarchy when reparenting the descendants of a
deleted account.
- If the file type wasn't recognized, check whether this failed
because of no read permission and give appropriate user feedback.
- Avoid crash from opening transaction in more than one register.
- Add the ability to override the default sort.
o Import Changes;
- Improve wording for XML data file import druid.
- Replace exact comparison of doubles by checking for a small enough
difference.
- Double-check really every string from aqbanking for valid utf-8
characters.
o Translations;
- Updated Hungarian translation
- Updated complete Nepali translation
- Updated French translation
2.0.1 - 30 July 2006
o Release of new stable version 2.0.1
o Configure changes;
- Check for (g-wrap) module, apparently some distributions ship
g-wrap-config separately from the g-wrap.scm guile module.
- Check for SLIB.
o Core changes;
- Correctly set column sort orders from gconf.
- Allow proper compile/install from tarball using separate builddir.
o Import Changes;
- Fixed bug where OFX/HBCI imports loose spaces in descriptions
- Ignore any unknown !Option in QIF files that are being imported.
- Allow comma-radix numbers without a radix. I.e., allow "17.500" to
be parsed either as "seventeen and a half" or as "seventeen thousand
five hundred". Note that numbers STILL default to decimal-radix
instead of asking the user to choose.
- Replace the hbox separating debits from credits in the
reconciliation window by a homogeneous table.
- Remove obsolete buttons for aqbanking/hbci setup that are unneeded.
o Business changes;
- Fixed problem when booking an invoice with account name using
account separator character.
- Set the summary bar values when the invoice window is first opened.
- Properly round invoice entries and totals.
o Scheduled Transactions changes;
- Changed Since-Last-Run default to automatically run at GnuCash
start.
o Reports changes;
- Change cmdline warning into an actual user's error dialog when user
attempts to save a report with the same name as an existing report.
2.0.0 - 9 July 2006
o Release of new stable version 2.0.0.
o GnuCash 2.0 is based on state-of-the-art gtk2 GUI technology.
o GnuCash 2.0 follows the Gnome Human Interface Guidelines (HIG) for
a consistent behaviour and look-and-feel for the whole Desktop.
o New tabbed window.
o New importing feature: OFX DirectConnect can directly retrieve and
import account statements over the Internet.
o Implemented a "Hide account" feature to keep a better overview of
your current accounts.
o Implemented the ability to create budgets within GnuCash using
your account data.
o New importing feature: MT940 files can be imported (in addition to
QIF files and OFX files).
o The data file format has been improved with respect to
international characters. Data files with international characters
can be transferred to other countries flawlessly.
o Support for Accounting Periods.
o GnuCash Help and Guide are now fully integrated with the GNOME Help
system (Yelp).
o New releases of Finance::Quote and LibOFX will be coming soon to
update support for GnuCash 2.0.0.
1.9.8 - 18 June 2006
o Welcome to GnuCash 1.9.8 aka "Grab that cash with both hands and
make a stash" the first release candidate of the GnuCash Open Source
Accounting Software which will eventually lead to the stable version
2.0.0. This release contains many bugfixes since the second beta
release.
o PLEASE TEST any and all features important to you. Then post any
bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o We would like to encourage people to test this and any further
releases as much as possible and submit bug reports in order that we
can polish GnuCash to be as stable as possible for the 2.0.0 release
in a few weeks.
o Major bugfixes include -
o More Register fixes.
o Restore the business reports menu.
o QIF import and HBCI fixes.
o Fixes for currencies.
o Fixes to business invoices.
o General UI fixes.
1.9.7 - 04 June 2006
o Welcome to GnuCash 1.9.7 aka "Banking on Gnu Cash!" the second
beta release of the GnuCash Open Source Accounting Software which will
eventually lead to the stable version 2.0.0. This release contains
many bugfixes since the first beta release.
o PLEASE TEST any and all features important to you. Then post any
bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o We would like to encourage people to test this and any further
releases as much as possible and submit bug reports in order that we
can polish GnuCash to be as stable as possible for the 2.0.0 release
in a few weeks.
o Major bugfixes include -
o Hide not finished funtionality for the 2.0 release
o Fixes to lots functionality
o Fixes to XML import
o Patches to work with guile 1.8
o HBCI fixes
o Many updated translations.
o New splash screen from Joshua Facemyer / Impressus Art
o Fix the help file names now the docs are xml instead of html.
o Fixes for MacOS and Windows builds
o Fixes to progress bar.
o UTF8 fixes
o Fixes for glib 2.6
1.9.6 - 14 May 2006
o Welcome to GnuCash 1.9.6 aka "Time to make a difference" the first
beta release of the GnuCash Open Source Accounting Software which will
eventually lead to the stable version 2.0.0. This release contains
many bugfixes since the sixth unstable release.
o PLEASE TEST any and all features important to you. Then post any
bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o We would like to encourage people to test this and any further
releases as much as possible and submit bug reports in order that we
can polish GnuCash to be as stable as possible for the 2.0.0 release
in a few weeks.
o Major bugfixes include -
o More Register fixes.
o Fixes to Scheduled Transactions.
o Many Report fixes.
o Many updated translations.
o New icons
o Fixes to lots functionality
o Fixes to logging
o Many Qof fixes
o Fixes to budgeting
o HBCI fixes
1.9.5 - 16 Apr 2006
o Welcome to GnuCash 1.9.5 aka "The final countdown begins" the sixth
of several unstable releases of the GnuCash Open Source Accounting
Software which will eventually lead to the stable version 2.0.0. This
release contains many bugfixes since the fifth release but is still
only intended for developers and adventurous testers who want to help
tracking down bugs.
o WARNING WARNING WARNING - Make sure you make backups of any files
used in testing versions of GnuCash in the 1.9.x series. Although the
developers go to great lengths to ensure that no data will be lost we
cannot guarentee that your data will not be affected if for some
reason GnuCash crashes in testing these releases.
o PLEASE TEST TEST AND TEST SOME MORE any and all features important
to you. Then post any bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o Major bugfixes include -
o More Register fixes.
o Fixes to Scheduled Transactions.
o Report fixes.
o Make the entire UI insensitive when the progress bar is showing.
o Fixes for currencies and currency quote retrievals.
o Lots of Qof fixes.
o Profiling fixes to improve speed and response.
o Memory leak fixes.
o Fixes for 64-bit compiles.
o Add a per-account "hidden" flag.
o Fixes to compile with gcc4.
o Fixes to xml file format.
1.9.4 - 05 Apr 2006
o Welcome to GnuCash 1.9.4 aka "Better late than never" the fifth of
several unstable releases of the GnuCash Open Source Accounting
Software which will eventually lead to the stable version 2.0.0. This
release contains many bugfixes since the fourth release but is still
only intended for developers and adventurous testers who want to help
tracking down bugs.
o WARNING WARNING WARNING - Make sure you make backups of any files
used in testing versions of GnuCash in the 1.9.x series. Although the
developers go to great lengths to ensure that no data will be lost we
cannot guarentee that your data will not be affected if for some
reason GnuCash crashes in testing these releases.
o PLEASE TEST TEST AND TEST SOME MORE any and all features important
to you. Then post any bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o Major bugfixes include -
o More Register fixes.
o Fixes to Scheduled Transactions.
o Report fixes.
o Add support for renumbering the account codes for all the children
of a given account.
o Fixes to the hierarchy druid.
o Regularize capitalization of the word 'GnuCash' where its user
visible.
o Fixes for Scheduled Transactions.
o Added new toolbar icons and buttons.
o Fix the lack of action strings in the popup menu.
o Add a context menu to the reconcile window.
o Fix the dialog so that the 'Cancel' button cancels all changes made
since the dialog was opened.
o Fixes for currencies and currency quote retrievals.
1.9.3 - 19 Mar 2006
o Welcome to GnuCash 1.9.3 aka "Mo money, mo problems" the fourth of
several unstable releases of the GnuCash Open Source Accounting
Software which will eventually lead to the stable version 2.0.0. This
release contains many bugfixes since the third release but is still
only intended for developers and adventurous testers who want to help
tracking down bugs.
o WARNING WARNING WARNING - Make sure you make backups of any files
used in testing versions of GnuCash in the 1.9.x series. Although the
developers go to great lengths to ensure that no data will be lost we
cannot guarentee that your data will not be affected if for some
reason GnuCash crashes in testing these releases.
o PLEASE TEST TEST AND TEST SOME MORE any and all features important
to you. Then post any bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o Major bugfixes include -
o More Register fixes.
o Fixes for OFX importer.
o Add printing support for the graphs.
o Add multi-commodity SX support.
o Fixes for windows/mingw32 porting.
o Fixes for currency settings.
o Add support for XSL.
o Recode all po files into UTF-8 character encoding.
o Lots of Qof fixes.
o Fix the build-order (and install order) of the engine libs.
o Fix a problem where account cell contents disappear when focusing
in/out of an account cell.
o Report fixes
o More Qof fixes
o More fixes for UTF-8 support
o Fixes to Scheduled Transactions
1.9.2 - 05 Mar 2006
o Welcome to GnuCash 1.9.2 aka "With extra flavor enhancements" the
third of several unstable releases of the GnuCash Open Source
Accounting Software which will eventually lead to the stable version
2.0.0. This release contains many bugfixes since the second release
but is still only intended for developers and adventurous testers who
want to help tracking down bugs.
o WARNING WARNING WARNING - Make sure you make backups of any files
used in testing versions of GnuCash in the 1.9.x series. Although the
developers go to great lengths to ensure that no data will be lost we
cannot guarentee that your data will not be affected if for some
reason GnuCash crashes in testing these releases.
o PLEASE TEST TEST AND TEST SOME MORE any and all features important
to you. Then post any bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o Major bugfixes include -
o More Register fixes.
o HIGify the scheduled transaction dialogs.
o Fix the qof configure test for OSX.
o Compile cleanly with when _FORTIFY_SOURCE is defined. This
definition is forced when building RPMs on FC4.
o Catch and defer the quit command if a file save is in progress.
o Disable quote related functionality when F::Q isn't installed.
o Lots of Qof fixes.
o Add ebuild for gnucash 1.9/2.0 series.
o Fix x-axis labeling and other barchart improvements.
o Get MT940 importer to compile again (experimental; requires
aqbanking-1.9.7). It is not yet tested with actual files.
o Menu and toolbar fixes.
o Remember the order in which the notebook tabs are referenced.
o Updates to business invoicing functionality.
o Fix Chart of Accounts export so it works again.
o Add support for using multi-byte unicode thousands separator and
decimal point characters when printing numbers.
o Lots of fixes to splits and transaction editing.
o Added new icons.
1.9.1 - 19 Feb 2006
o Welcome to GnuCash 1.9.1 aka "So we meet again" the second of
several unstable releases of the GnuCash Open Source Accounting
Software which will eventually lead to the stable version 2.0.0. This
release contains many bugfixes since the first release but is still
only intended for developers and adventurous testers who want to help
tracking down bugs.
o WARNING WARNING WARNING - Make sure you make backups of any files
used in testing versions of GnuCash in the 1.9.x series. Although the
developers go to great lengths to ensure that no data will be lost we
cannot guarentee that your data will not be affected if for some
reason GnuCash crashes in testing these releases.
o PLEASE TEST TEST AND TEST SOME MORE any and all features important
to you. Then post any bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o Major bugfixes include -
o Register fixes
o Finance::Quote issues
o Correctly open an account and its sub-accounts.
o Change the reports from using a hard-coded fiscal year to using the
global accounting period set in the preferences. Both the start date
and the end date are used, so the user is free to choose any arbitrary
period.
o Use the price nearest to midday to get the value in the default
currency.
o Make the desktop more HIG-compliant.
o Patch to prevent crash when voiding a transaction.
o Aqbanking updates
o Report fixes
o Autodetect OFX and use it if we find it.
o Qof fixes
1.9.0 - 08 Feb 2006
o Welcome to GnuCash 1.9.0 aka "We're gonna make it!" the first of
several unstable releases of the GnuCash Open Source Accounting
Software which will eventuall lead to the stable version 2.0.0. This
release is the very first of the gtk2-based GnuCash series and is
intended for developers and adventurous testers who want to help
tracking down bugs.
o WARNING WARNING WARNING - Make sure you make backups of any files
used in testing versions of GnuCash in the 1.9.x series. Although the
developers go to great lengths to ensure that no data will be lost we
cannot guarentee that your data will not be affected if for some
reason GnuCash crashes in testing these releases.
o PLEASE TEST TEST AND TEST SOME MORE any and all features important
to you. Then post any bugs you find to bugzilla
https://bugs.gnucash.org/enter_bug.cgi
o If you have the urge to help beyond testing please get involved in
the discussions on the GnuCash mailing lists which you will find at
https://www.gnucash.org. We especially need people to help with
updating the documentation as all texts refer currently to the 1.8.x
series. Please see https://wiki.gnucash.org/wiki/Development on how to
get involved.
o PS I'm not going to list the many features changed or updated in
this release because obviously there is so much that has changed.
1.8.12 - 19 Oct 2005
o Online Banking/HBCI improvements: Debit notes are fixed
again; Bank-internal money transfers are now supported, if
the HBCI bank offers them; Setup wizard can now works with
HBCI, OFX-Connect, and other AqBanking backends; Fix
character encoding issues in utf-8 locales; Fix date interval
in the import transaction matcher for OFX and HBCI import;
Fix PIN entry bug.
o New currencies added: Romanian Leu, Bulgarian Lev, Malagasy Ariary
o Fix problem with long date formats in some locales (bug#170444)
o Add configure macros for mips, mipsel, arm, and m68k; Fix
compilation on OpenBSD 64bit architectures
o Updated translations: German, Italian, Kinyarwanda
1.8.11 - 06 Feb 2005
o Add extra sanity checks and verbose error message if the setup
wizard of aqhbci cannot be found.
o Fix potentially missing initialization of gwenhywfar library, as
reported by Peter O'Gorman on Max OS X.
o Properly accumulate splits (bug #165053). Also fixes a (related)
memory leak
o Add explicit dependency on business-utils.
o Adapt to latest changes in aqbanking; external wizard name is no
longer hard-coded here but is asked from aqbanking.
o Enable debit notes again in HBCI.
o Update German translation.
o Thomas Bushnell's patch to protect non-backup pruning (#164875)
o Add the transaction guid to some error warning messages.
o Fix HBCI date range for statement download.
o Fix the last-day-of-month computation for leap years.
1.8.10 - 11 Dec 2004
o Don't use C++/C99 declarations. Declare variables at the top of
the function.
o Updated British English, Czech, Italian, Russian, German,
Brazilian Portugese, Dutch, French, Spanish, translations.
o Fabien COELHO's zero-balance patch to remove accounts of zero
balance from the report.
o Fix a broken recursion problem. Don't call show-acct? from
use-acct? so we don't recurse ad flictum. This recursive call isn't
necessary, just have use-acct? recurse unto itself.
o look in ${srcdir} for build-config.scm.in
o Work around problems with libltdl3.
o don't automatically try to (require 'format), so gnucash will build
on an slib-3 system.
o Added quote sources for Indian Mutual Funds.
o Skip the case when a token is the empty string. This caused many
warnings about a NULL kvp_frame lookup.
o Luigi Ballabio's automake patch to gnucash.m4
o guile-1.6 complains about string->symbol when passed a symbol.
o applied Vasil's patch to improve the transaction report for HTML
export purposes.
o Backport of CVS-head changes to improve register open performance
when working with large account trees (>500 accounts). The new code
caches the quickfill tree so that it is shared by all register
windows.
o create gnc:current-saved-reports, as the file to store saved
reports from cstim. Autoload the saved-reports file at startup
(after config.user/config.auto is loaded).
o Added gnc:report-generate-saved-forms that will generate the scheme
code necessary to create a new report from the saved options of an
old report.
o Added example Menu item "File -> Save all reports" that will call
the new report saving function for all reports. This would need more
work so that not all reports are saved but only the currently
selected one -- any volunteer may feel free to add that.
o Fix saving of report: It now appends to
~/.gnucash/saved-reports-1.8 Statusbar tip is now more verbose.
o Add toolbar element for saving the current report.
o Add function for saving one particular report to the
~/.gnucash/saved-reports-1.8 file. Add extra menu only for customized
reports.
o Remove the previous function for saving all reports since it is no
longer necessary.
o Apply David Reiser's patch for Quicken(tm) cheques with stub.
o Apply David Grant's patch to add TD Efunds.
o make the desktop file HIG compliant.
o change the gtkhtml order to search for >= 1.1 before < 1.1, in
order to try to fix #84707 on systems with multiple versions of
gtkhtml.
o Perry Smith's Null Account Patch. Make sure the security is a real
string before appending an account separator, so we don't try to
create a "null" account.
o Add option to include zero-amount splits in computations.
o fix xaccAccountGetBalanceAsOfDate() to properly compute the balance
at the end of the split list.
o Major change for HBCI, back-ported from HEAD. The HBCI online
banking is no longer based on the openhbci library but instead on the
aqbanking library https://sf.net/projects/aqbanking which is Martin
Preuss' successor of openhbci. This means that now aqbanking-0.9.5 is
required instead of any openhbci package.
o Fixes for x86_64
o Update for new LibOfx, this among other things, gives gnucash
Microsoft OFC support.
o Duplicate match tweaks in import code
o Andreas Rottmann's patch to support g-wrap 1.9.
o provide a default account name so we don't crash when someone
imports a broken QIF that has a !Account without an account name.
o Daniel Lindenaar's patch to implement a check-box in the Invoice
Post Dialog (with a default in the File Preferences) to choose to
accumulate splits when posting an invoice, or post a 1:1 mapping.
o Phil Longstaff's patch to prevent duplicate pricedb entries.
o Heath Martin's x86_64 patch
o Mark search criteria for translation -- somehow this had been
missed all the time.
o Change currency mnemonic for "New Israeli Shekel" from "ILS" to
"NIS".
o Identified and fixed several places with untranslated strings.
o Add configure check for libofx version 0.7.0 and respective error
message. Update docs.
o Improve importer performance by matching imported transactions only
against transactions in the proper time interval.
o send an event when a payment is processed so the invoice gets
updated as "paid" in the search window.
o Make sure we set the proper search-type when we create the query,
otherwise the search will fail later.
1.8.9 - 11 Apr 2004
o Updated Polish translation by GNOME PL Team, updated French, Czech,
Spanish, Russian, Dutch, German and Italian translations.
o dump-finance-quote - Be more explicit when a lookup fails.
o log-replay - Increase read buffer size.
o Make sure to verify that the items in the reconcile hash are still
around after a refresh.
o When the commodity is changed, then set the currency to the
currency of the last price entered for this commodity.
o Add Hungarian account templates by Sulyok Peter
o Patch by Geoff Kassel to work on OpenBSD (allow user to set
diffcmd).
o Don't test double KVPs, on the theory that they will soon be
deprecated.
o When computing the aging report, ignore splits that belong to
closed lots. This way we wont get the wrong values when the invoice
falls outside the 360-day window but its payment falls inside the
window.
o Add gnc_getline() function to read an unlimited line-length from a
file (so you're not limited to a buffer size with fgets() and the
like). It is similar to the getline(3) on Linux except the API is
different and it will always set the return string.
o Add workaround code for openhbci/chipcard problem.
o Add gnc_lookup_date_option() function.
o Add gnc_ui_account_get_balance_in_currency() function.
o Add preferences for summarybar.
o Add xaccAccountConvertBalanceToCurrencyAsOfDate() function
o Summarybar can now display a grand total of all commodities,
profits of a period of time and net assets at the end of the period;
summarybar can be configured with some options under
edit->preferences.
o Create two new functions to centralize date-selection option
creation.
o Export the new scheme functions.
o Modify Herbert's patch to centralize the date-selection option
code.
o Use the new centralized date-selection option-creation code.
o Fix a typo in the help (was --diable-gui).
o Add db-4.2 to the list of databases we search.
o Fix a problem with opt style installs.
o Rename from_xxx and to_xxx account tree widgets to left_xxx and
right_xxx.
o If in "accountant mode" call "transfer from" "credit account" and
"transfer to" "debit account" and interchange account trees.
o Remove the RECN cell from payable/receivable to stop confusing
people.
o Change Ukrainian "UAG" into "UAH"
o Commented out setting the memo always to "Auto-created split" due
to popular request.
o Fix for part of bug only allow auto-create SXes which have splits
to be created.
o HBCI transfer template management GUI added by Bernd Wagner.
o Added instructions about running under valgrind.
o Added a large set of valgrind suppressions for both guile and
gnucash.
o Change the reg_type to SEARCH_LEDGER so all the 'action' types
appear.
o Remove unused 'ledger_status' widget.
o At least be consistent about the background coloring of the month
labels, even if we're still not using GTK themeage correctly.
o Destroy the transient window when the widget is destroyed.
o Make the advance and remind spin-buttons editable.
o Change the upper bound on the advance and remind spins to 365
[days], with a page-size of 30 [days].
o Disallow the Scheduling of being-editing transactions in the
Register, preventing a class of unbalacned SX template transactions
from being entered and propogated through the system.
o Fix nasty memory-corruption issue; insufficent bounds checking on
array index.
o Better handling of various error cases in transaction-creation.
o When we have a problem parsing a credit/debit cell, indicate to the
user what occurred.
o Use the account-list filtering capability of the GncAccountSel to
only show/allow-creation-of valid account-types in the loan-druid.
o Add ':' to the token list of allowable characters in the formula
cell.
o Fix precedence bug screwing up loan review page.
o Don't need to require format; main.scm handles it, and the default
"format" (simple-format) is sufficient to handle everything we need.
This allows gnucash to work with slib3.
o Add code to remove "intl/Makefile po/Makefile" from AC_OUTPUT in
configure.in prior to calling gettextize to make sure that you can
build from CVS with recent versions of gettextize. Tested with both
RH9 and RH7.3 to make sure it works with both old and new.
o Move variable declaration to the top of the block.
o Make sure we always have intl and po Makefiles in the configure
script. Sometimes it was ripped out without being replaced.
1.8.8 - 17 Nov 2003
o HBCI - Improve error message when receiving zero balance from bank.
o Add account template for Swiss German businesses "KMU" by Tom
Winterhalder
o Add *big* account template for German businesses "SKR04" by Betina
Schmidt
o Add Catalan and Turkish translation, Updated German, Italian,
Czech, Greek and Dutch translations.
o Add Turkish account template. Updated Greek account templates.
o Remove debian scripts
o Add a comment about minimum string length
o Fix the ISO_DATELEN to be "long enough"
o Fix handling of HBCI direct debits (fix wrong textkey). Fix and
initially implement handling of multiple banks/users/customers.
o Fixed extremly stupid, old bug that causes weird HBCI errors.
Improved user messages.
o Refactor some GUI code. Improve user messages.
o BillTermDecRef should have been BillTermIncRef when setting new
bill term.
o Applied Frank Pavageau's patch regarding capital gains to handle
split transactions.
o Don't make a timespec with tv_sec == 0. Fixes some tests on the
alpha platform.
1.8.7 - 14 Sept 2003
o Use <libofx/libofx.h> instead of "libofx/libofx.h" as it's not part
of our system. Fixes a dependency problem in 1.8.6 release.
o Small fix from hawkfan to get tests to work when building outside
srcdir.
o Fix a bug introduced by Matthew -- ANSI C does not allow you to
declare a variable in the middle of an expression. Move the
declaration to the top of the function.
o We don't need the trailing semi-colon because the #include adds
one. The double semi-colon causes build failures in some cases.
1.8.6 - 11 Sept 2003
o Updated Spanish, Greek, French, Czech, Slovak translations
o Fixed extremely stupid bug in the import value setting workaround.
o Fixed problem with SX formula_cell calls
o Merge missing part of 2003-05-28 commit. The log format changes
didn't get commited for some reason, making the log replayer
completely unusable.
o Fixed crash during dialog startup on Solaris.
o Turn off scheme garbage collection during query->scm and scm->query
conversion. It shaves about 50% off the test-scm-query-string tests.
o Make test-scm-query-string test deterministic by seeding the RNG
with a known value.
o Add a "slots" parameter to allow for future expansion. Right now
this is completely ignored.
1.8.5 - 17 Aug 2003
o Add IS_PAID column and the ability to search for paid/not-paid
invoices.
o Add HBCI online transfer templates and make usable
o Fix a bug where if you unpost an invoice and don't bring the
TaxTables up to date, the total value shown in the register is
different depending on whether the cursor is on the current line
or not.
o Don't constantly resize the invoice window every time we update
ourselves.
o Updated Italian, Brazilian Portugese, German, Czech, Dutch and
British English translation.
o Add Subtotal and Tax labels in the summary bar to print the
Invoice's total amounts.
o Change the log format to use GUID instead of C pointers, use
ISO8601 instead of proprietary form and log the Notes field.
o Port new log replay module from HEAD.
o Re-enable reversed legend in stacked barcharts. Needs Guppi 0.40.4
a.k.a. Guppi CVS, though, to actually work.
o Update the Polish Zloty for its new ISO currency code.
o Add ability to sort by Action and Notes.
o Fix the vendor window title to use the company name, not the
contact name. Change the message when the company name is left blank.
o Create a new "date format" widget to let the user choose a date
format (and see the results of what the date would look like).
o Add "Deluxe Personal Check" type. Add support for printing to
"deluxe" personal checks. This prints the check "sideways" on a
US-Letter configuration.
o Backport the QueryList widget and associated usage (this allows
more places to have sortable column displays for query results)
o Improve HBCI error handling. Add more user feedback functions.
o Add support for KtoBlzCheck, a small checking package for
destination account numbers for German banks. Very small, very useful
https://sourceforge.net/projects/ktoblzcheck
o TRANSLATION_HOWTO: Added, by Jon Lapham
o Add API to the plugin modules to allow post-processing (scrubbing)
of the book after it is loaded from XML. This allows a plug-in to
post-process the complete book.
o Create a scrub function to clear up bogus tax tables due to a bug
which could cause tax tables to get created ad-nausium if you post
and then unpost an invoice.
o Create a scrub function to clear up bogus bill terms due to a bug
which could cause bill terms to get created due to post/unpost of
invoices.
o Enable the exchange-rate dialog on "search ledger" registers.
o Raise the import window after choosing a file.
o Change dialog statements to allow for embedded percent signs in the
messages. In other words, don't allow user input into the format
string of a printf.
o Change how the billterms option menu is used so it will change
properly if you change the invoice's owner.
o Don't use gnc:reverse-account-balance? to determine whether to
reverse the balance -- base it purely on the report type.
o Fix gncBillTermCopy() so it PROPERLY copies the bill term.
o Tolerate some HBCI banks failure of the GetSystemId-job.
o Don't allow selection of directory for save file.
o Add fancy-invoice report, to show what else is possible. It's not
really useful per se, but it is another example for users. To be
useful it requires some custom editing.
o Limit the commodity choices based upon the current account type.
o Add a new argument to the dialog creation functions to specify what
types of commodities should be presented.Also tweak the title of the
dialog based upon this argument. Remove the "new" button when the
dialog is limited strictly to currencies.
o Show the running balance column by default in the register report.
o Annotate the window title to indicate whether a register is for a
single account or it includes all subaccounts.
o Change the register close dialog to include a cancel option.
o Don't close the register if the user cancelled.
o If the user has manually entered an amount, then stop automatically
updated the amount when the date is changed.
o Refactor many HBCI functions to eventually enable queued processing
of several HBCI jobs.
o Add a "retained earnings" item under equity, and change the title
to include the start date (Balance Sheet report).
o Don't print the "handling-request" messages when getting stock
quotes.
o Display selected pixmap when opening an options window.
o Fix 'Save As' so it can write to non-existing files.
o New data file should have same uid/gids original file.
o Added Italian account templates by Lorenzo Cappelletti
o Change HBCI online transfer action so that first the gnucash
Transaction is created and only after that the HBCI connection is
started. Necessary for later implementation of offline queueing and
multi-job execution.
o Clarify the part of the HBCI setup about potentially adding HBCI
accounts manually.
o Add a couple of extra checks to prevent crashing if the commodity
attached to a price quote has disappeared.
o Provide a new warning message before deletion if a commodity has
any price quotes. If the user deletes the commodity anyway, removed
any quotes are based on the commodity
o Enhance the get prices routine to handle a request with a NULL
currency.
o Fix a crash where removing items in the wrong order could cause
"Bad Things" to happen
o Sort the bills before displaying them, so they appear in a
consistent order (by date due).
o Fix a bunch more rounding errors, and add more precision to the
price.
o Change the description and action of Invoice and Payement
Transactions/Splits, to make it easier to print a check off the
posted transactions.
o Add Debit and Credit totals to Register report.
o Differentiate between "file is already locked" and "we can't create
the lockfile" so we can let the user know.
o Fix the message to be more appropriate when we hit a READONLY
error.
o Various Postgres backend fixes
o Add button for manual adding of HBCI accounts. Requires latest
OpenHBCI 0.9.13
o Add saving of the HBCI_API so that bank's status changes will now
be remembered immediately.
o Add "(Report)" strings to the various columns displayed in the
report currency.
o Set the date-entered on invoice transactions to "now" instead of
the post date. Thi lets us know when an invoice was actually posted,
or a payment was actually made.
o Support "gain/loss" balancing splits on stocks
o Apply patch to fix a number of off-by-one bugs in the loan druid.
o Adapted to latest gnucash-docs changes, by Jon Lapham
o Add code to read XML files with real namespace declarations.
o Make sure we define PWD, as not all shells define it properly.
o Workaround for multi-currency importing bug.
1.8.4 - 25 May 2003
o Fix transfer dialog to nothang if OK button is clicked w/o filling
in dialog properly.
o Add HTML::Parser to the list of items checked/installed.
o Updated translations: Brazilian Portugese, Czech, Italian, German
o Fix the "View xxxbar" menu items to track properly when a new data
file is opened. Consolidate the code for manipulating the
View/Statusbar and View/Summarybar menu items. Work around a Gnome
MDI bug as best as possible.
o The numeric test regex was broken and would fail on ALL numerics,
causing all imports to be of value zero.
o Fix for creating new template transactions [from Scheduling
existing transactions], such that they have valid Posted dates.
o Fix for existing/old data without posted dates. If we encounter
the condition, fixup the transaction's Posted date to that of the
Entered date.
o Add LOT_IS_CLOSED and LOT_BALANCE query parameter methods
o Fixes for 64-bit architectures.
o Add gncQueryGetBooks() API to return list of books in a query.
o Add INVOICE_POST_LOT query parameter methods
o Add an api to force an event even when events are suspended.
Without such an API, events can be lost if the event system is
suspended when the event comes in.
o Added gnucash wrappers around gnome-print's rotate, translate,
gsave, and grestore APIs. All to allow sideways printing (by
rotating the image).
o Wrap the new print-session apis.
o Modify the AC_GWRAP_CHECK_GUILE() macro to take an argument, the
g-wrap module directory. Then actually test that the g-wrap module
loads. This should detect systems without slib installed.
o New gwrap check macro
o Deal properly when there are no prices for a commodity.
o Supply a start date (as well as an end date) and don't print
invoices that occur prior to the start date or after the end date.
The aging information ignores the start date, but not the end date.
This means the aging information will always be acurate through the
end date (even if all the invoices and payments are not displayed).
o Limit the itemized invoices/payments to the start/end date range,
but print out a "Balance" line if there is a non-zero balance as of
the start date.
o Nikos Charonitakis's account chart updates: added new carloan
account chart, updated account chart.
o Use the correct columns when printing the Gain column, don't reuse
the same column as profit; we want to report different values.
o Don't let the user do anything with the options dialog until
Apply() finishes.
o Had the wrong number of arguments in gnc:account-get-balance-at-date
o Add some (commented out) code to support a start date for computing
the Net Income (aka Net Profit) in the Balance Sheet.
o Move the instantiation of File -> Properties into main-window.scm
(out of business-gnome.scm) for future cases where we might decide to
ship the business modules separately.
o Fix the ofx test program to make sure it links on many weird
platforms.
o When we are asked to reload the report, queue the request, queue a
draw event, and then return immediately. When the draw event
happens, load the report then. This lets you hit Apply and then OK
before the report finishes loading.
o Make sure we can find libofx/libofx.h
o Include split transactions in the filtering of the transaction
report.
o Use a 'from' date to better compute the Net Income on the report.
o Change the default Search Operation for numerics from "less than"
to "equals" -- so by default you would search for an exact value.
o "eval" changed API on guile-1.6. Use the existing API to convert a
delta symbol to a delta time.
o Call eval with the right number of arguments based on early or late
versions.
o Change the date format string to be consistent with other places
(e.g. the check print dialog) and use '%' instead of '~'.
o Make the Bill Due Days option selectable based on the setting of
Notify Bills Due?
o Don't crash if you remove the last entry and then add another one.
o Deal with the case where the first transaction found for a
particular company is a payment
o Also print out any overpayment in the total column.
o Catch errors when running the child reports so we display the
failed report backtrace but also display an error and continue with
the multicolumn report.
1.8.3 - 03 May 2003
o Updated translations: Italian, Swedish, Danish, British,
Traditional Chinese, French, German, Tamil, Brazilian Portugese.
o Turn off the report-total by default
o The Euroland currency rates were inverted in the transfer dialog.
o Chris Morgan's Baysian Matching code, to match transactions based
on Bayesian filtering of previously matched transactions.
o Fix a bug in the account name list when you you filtered down to no
accounts it would ignore the filter.
o The Account Separator option was moved to the Accounts page,
reference correctly.
o Fix the keypress handlers so they work properly for both the text
entry widget and the calendar popup widget.
o Force the cursor to the first line of a transaction split before
disabling "double line" mode in the register. This prevents the
register refresh code from trying to update a cell that is no longer
visible.
o Fix HBCI close-on-finished checkbutton.
o Add descriptions of new HBCI actions.
o OpenBSD fixes by Todd T. Fries
o New report "income vs. day of week" by Andy Wingo
o Fix a couple strings to improve comments when owners and accounts
are missing. Direct the user to select them in the report options.
o When building the "name + address" string, check if the company
name and contact name are the same and, if so, only print one of
them.
o Fix the glade settings so resizing the window will properly resize
the widgets.
o Save the entry cells before adding an it to the invoice, otherwise
it wont get sorted properly.
o Add support in business code for the to-charge amount.
o Don't ask the user in the general case when making changes to
entries. Generally the user should be allowed to make whatever
changes they want without being pestered.
o Guile-1.6 requires empty lists to be quoted.
o Symbols are not strings in guile-1.6.
o Fix "WeekDelta" and add TwoWeekDelta.
o Pop up a dialog if the user tries to transfer from a non-currency
account, and don't let them do it.
o Evaluate the date during get_predicate() in case the user just "hit
return" (and the auto-evaluate didn't happen).
o Fix crash during import of investment accounts.
o Fixes for GCC 3.3 warnings
o Fix HBCI user messages where chip cards were confused with key
files.
o Adapt to latest changes in OpenHBCI CVS.
o Applied Tomas Pospisek's patch to the transaction report.
o Fix the description of gnc:mdi-show-progress.
o Enable changing the "ID" for different business objects.
o Fix the percentage calculations so we don't get GtkCritical
warnings.
o Disable the test-scm-query-import test, since it breaks on
guile-1.6
o Move currency conversion to gnc-pricedb.c
o Improve report for stocks and funds not denominated in report
currency.
o QIF imports don't assume that a date of the form XXXXXXXX is always
YYYYMMDD. Make sure a 4-digit year "makes sense"
o Fix hbci and ofx test for handling --disable correctly.
o Fix openhbci macro again so that it uses a C check program.
1.8.2 - 09 March 2003
o Updated translations: German, Slovak, Spanish
o Updated HBCI requirement to 0.9.6
o Postgres fix for PG-7.3.x
o More fixes for guile-1.6 support
o Fix QIF Import for split transactions (#105139)
o Remove "display balance in Euro" columns from the main window
o Add "display balance in Report Currency" columns to the main window
o Fix the transfer dialog / exchange-rate dialog so it doesn't round
the values input by the user. (#106332)
o Fix configure so tests wont fail on GCC 3.2.2
o HBCI: avoid sending online transfers twice
o Dont override the user's toolbar style (#102041)
o Import: don't punish transactions with an online ID
o Add engine support for employee expense vouchers
1.8.1 - 09 February 2003
o Release of new stable version 1.8.1
o Fixes for qif import crashes
o Update translation po/it.po by Lorenzo Cappelletti
o Remove the tip that says that this is a development version.
o Remove the "development version" string when running "gnucash
--version"
o Add heuristic for duplicate matching by check number.
o Various bug fixes, remove Finance::Quote requirement for rpms
built on RH 8.0
1.8.0 - 02 February 2003
o Release of new stable version 1.8.0
o Fix problem getting quotes from trustnet.
o Add new script that dumps all the data returned by F::Q for a
stock.
o Apply Bill Nottingham's patch to use db4/db_185.h
o Updated translations, po/en_GB.po by Nigel Titley, po/it.po by
Lorenzo Cappelletti
o Fix HBCI problem with negative account balances.
o Add preference (on advanced tab) to enable HBCI debug messages.
o Fix the Recurrence-Frequency example-calendar date calculation to
show upcoming instances correctly.
o Add HBCI user messages about what is supported by the bank.
o Fixes for gcc 3.x build problems with postgresql backend
o Many more fixes for the postgresql backend
o Fix the "bill reminder" so it doesn't create a query if there are
no payables accounts.
o Fix some of the accounts in the tree to be more accurate to the
real world.
o Only set ReadOnly status for Invoices, not Payments.
o Fix several bugs in QIF importer
o Recognize even more error codes from OpenHBCI.
o No longer assume that transaction with type OFX_OTHER are
investment transactions.
o Don't add income accounts to bills, or expense accounts to
invoices. This should help further reduce user confusion with what
to do when entering invoices.
1.7.8 - 20 January 2003
o Welcome to Release Canidate 3
o Fixed build issues introduced in last release
o Fix compile errors on SuSE 8.0 + 8.1
o Update translations, po/ru.po by Vitaly Lipatov, po/el.po by
ta_panta_rei@flashmail.com
o Ignore certain splits with an "amount" of zero.
o Convert from the old to new symbols for Russian Roubles.
o Invoices change a couple of columns. Enable viewing the "taxable"
entry. Enable viewing all the tax accounts individually.
o Scrub hbci include paths to prevent gcc 3.x compile errors.
o Default the OFX import directory to the directory of the last OFX
file imported, or the user's home dir for the first export.
Remembered across invocations of gnucash.
o Default the save directory to the directory of the last file used.
Default the exports directory to the directory of the last file
exported, or the user's home dir for the first export. Remembered
across invocations of gnucash.
o Correctly handle the case where no stocks have been defined and the
user asks gnucash to get price quotes.
o Work around bug in ghttp library so that intl users whose whole
units/fractions separator is a comma can request web pages.
o Add "Default Report Currency" preference.
o Set invoice currency based on owner's currency.
o Use invoice's currency for printing the invoice.
o Make the progress bar argument a double instead of an int. This
gets around an issue with guile 1.6.
o Add a checkbox to search-for-all
o Changes to make the build system work on multiple architectures and
with multiple versions of the autotools suite. Make generated g-wrap
sources depend on config.status.
o Remove restriction on guile versions > 1.4 Provide a version
dependant load path variable for the SRFI location. (Empty in 1.6
since they're bundled with guile.)
o Limit QIF matches against only the accounts in the old group, so we
don't match against ourselves. This should limit the matches to only
"reasonable" matches.
o Remove "user name" and "user address" preferences, as they are no
longer used by anything.
o Create a taxtable option type using the new generic optionmenu code
o Create a default customer and default vendor taxtable option for
the "File Properties" option menu.
o Reset the search-type to "New Search" if we end up displaying no
results.
o Use the "New Search Limit" pref to decide when to start a new
search vs. when refine the search.
o Create two new global preferences: "Notify Bills Due?" and "Bills
Due Days"
o Added sources needed for OS X to dist.
o Lots more bugfixes, see changelog.
1.7.7 - 05 January 2003
o Welcome to Release Canidate 2
o Give the user better feedback on exactly what the exchange rate
means.
o Better handling of corrupt XML data files. Print better error
messages for unknown tags, or mismatched start/end tags.
o When checking for gtkhtml-1.1, make the lack of pkg-config a fatal
error. Also check for pkgconfig
o Updated translations, po/de.po,
o Fix HBCI reparent warnings. Make the PIN dialog a bit nicer.
o Fixes to Postgresql backend.
o Changed the "ALTER TABLE table ADD COLUMN..." statements to conform
to the current Postgres implementation (and SQL 92) standard by
putting the DEFAULT modifier in a separate ALTER statement. This was
reported by Christopher B. Browne.
o Implement unpost function in invoices.
o Correctly open a help window when the initial URL contains a label
component to it.
o Make the reconciliation window respect the 'include subaccount'
flag any time it opens a register. Consolidate logic for opening a
new register. Enhance the reconciliation start window to update the
ending value when this flag is changed.
o If the amount is monetary, map the keypad decimal key to the
correct decimal character for the locale.
o Fix malformed URLs for bringing up a report options window.
o Add new option for specifying sort critera for piecharts and
barcharts.
o The report title should change when the report name field is
changed in the options.
o Add a smart function for going "back" from the "load a file" page.
If there are any files loaded it returns to the "loaded files" page
instead of the initial druid page.
o Add support for i18n of price source strings.
o Add icons to gtk only windows.
o Search on NOTES add code to prevent searching on template-txn
accounts so SXes don't show up in find results.
o Create a 'file compression' option and pass the data into the
backend. This is an option in the preferences.
o Provide a simple checkbook set of accounts
o When editing an exchange rate, always change the _VALUE_ of the
split, not the amount. This has the affect of keeping the visible
number the same and changing the "other" account.
o Add a set of business accounts to the account setup
o Give a much higher importance to the date heuristics in the OFX
import.
o Disable skipping transactions which already have an online id
during matching, untill a fix for the "transfer between two accounts"
bug is properly fixed.
o Large set of fixes to the build system by John H. Pierce
<john@killterm.org>
1.7.6 - 22 December 2002
o Welcome to Release Candidate 1
o Put the build date into the about box for development versions
o Deal with broken QIF files that give broken bang-fields. In
particular, handle the case where it supplies "!Type Bank"
instead of "!Type:Bank"
o Fix g-wrap test to fail properly if it cannot find g-wrap-config
o Add "Edit Exchange Rate" menu items to the Actions menu and the
context menu
o Fix the amount display so that the exchange dialog always shows the
"amount" in the the local (register) currency.
o Add an additional module to check for (LWP aka libwww-perl)
before attempting to call Finance::Quote.
o Updated translations, po/nl.po by Hendrik-Jan Heins <hjh@passys.nl>,
po/uk.po by Volodymyr M. Lisivka <lvm@mystery.lviv.net>, po/el.po,
accounts/el_GR by Nikos Charonitakis <charosn@her.forthnet.gr>
o Major update to generic import architecture/transaction matcher.
o Change HBCI to using new Transaction Matcher GUI
o Require openhbci 0.9.4 for HBCI version choosing.
o When not retrieving stock quotes for an account, dim the price
source labels as well as the option menus.
o Consolidate all knowledge about Finance::Quote sources into one
place. Functions to record whether or not F::Q is installed
properly, and if so, whether a particular source is available.
o Change default new SX frequency to monthly
o Filled in a long-thought of idea for a formula cell: can contain
text unlike a pricecell, but doesn't really want to do
auto-complete like a quickfill cell [what we had been using]. This
allows us to provide the gnome formula cell which can remap the
keypad '.' character based on locale
o Disallow the deletion of accounts with ReadOnly Transacation in
them. You must first "delete" the RO Txns before you delete the
account.
o NOTE: As of now you ABSOLUTELY REQUIRE G-WRAP >= 1.3.3
o Loan Druid re-written
o Add menu items and code so a user can limit transactions in a
register to any combination of the
Reconciled/Cleared/Voided/Unreconciled states.
o Give user feedback during the rendering of a report.
o Remove old user docs and tools that are now in gnucash-docs
o Fix for large accounts overflowing the data types used in the
register code which are causing crashes.
o Add support for new GnuCash icon made by Jakub Steiner
<jimmac@ximian.com>
o Connect up help buttons in dialog's to help files
o Lots more bugfixes
1.7.5 - 02 December 2002
o Fix for a problem with multi-currency that could result in data
corruption. Recommend to use this version over 1.7.4
1.7.4 - 01 December 2002
o Second beta release
o Problems with importing 1.6 data files fixed
o Updates to generic transaction matching
o More postgres backend fixes
o New progress bar when making reports
o Payment schedule review page added to loan druid
o Fixes to multi-currency support
o Added Brazilian Portugese account templates by Lucimar Moresco
o Added doxygen documentation support, and integrated it into the
build system. There is a new target, make doc, that can be used to
build the documentation if you have doxygen installed.
o Catch the condition gracefully when OpenHBCI config file does not
exist.
o Compute the implicit exchange rates for ALL transactions when
necessary. No longer requires the pricedb for printing split values.
This will display all transactions in the currency of the current
account, regardless of the number of splits in the transaction.
o First pass at getting multi-currency transactions to work from the
register.
o Lots more bugfixes
1.7.3 - 17 November 2002
o first beta release
o improved libofx configure support. Add --with-ofx-prefix
so users can define where to look for libofx.
o fixed missing ofx files in tarball
o updated gnucash.spec file to work with rh8
o added new cashflow report contributed by Herbert Thoma
o New functions to get/set read-only status on a transaction,
and to print a warning message if a transaction is read-only.
o Added a bunch of currencies.
o MAJOR improvement to OFX investment support. All transactions
created from an investment account are now already balanced.
Explicitely support Dividend Reinvestment transactions which
will now directly create a income account -> stock account
transaction, and Income transactions which will directly create
a income account -> cash account transaction. Support memorising
the income account association. Several stock account can use the
same income account if desired.
o Updated translations (merged from 1.6 branch plus updates from
the Translation Project).
o Matthew Vanecek added some bug fixes for the SQL back end.
o Add support for gtkhtml 1.1
o Added calculate the number of remaining payments based on the start
date, loan length and current date to Mortgage druid
o loads of bugfixes, keep those bugs coming!
o NOTE: Report bugs to https://bugs.gnucash.org
1.7.2 - 27 October 2002
o second alpha release
o you can now search by reconcile flag
o ability to set posted invoices and payments read-only
o New commodity matcher for OFX generic import
o latest libofx is needed for OFX support
o Investment transactions now create two accounts, one is for the
stock, the other is the account defined by the FI, where the
cash is swapped.
o Updated glossary
o HBCI improvements to transaction retrieval
o Add Direct Debit HBCI action and add caching of the
PIN to user preferences.
o HBCI suport requires OpenHBCI 0.9.3 or current OpenHBCI CVS
o loads of bugfixes, keep those bugs coming!
o NOTE: Report bugs to https://bugs.gnucash.org
1.7.1 - 13 October 2002
o first alpha release
o lots of new features, please test as much as you can
o esp Scheduled Transactions, Small Business and OFX/HBCI.
o please check Changelog for exact details
o NOTE: Report bugs to https://bugs.gnucash.org
1.5.98 - 04 June 2001
o second beta release
o updated documentation (English & Portuguese)
o updated German and Portuguese translations
o more work on sql backend
o fixes for FreeBSD
o bug fixes
1.5.97 - 27 May 2001
o first beta release
o feature freeze
o updated documentation
o updated Norwegian and Portuguese translations
o bug fixes
1.5.96 - 20 May 2001
o second alpha release
o updated user documentation
o updated api documentation
o bug fixes
1.5.95 - 13 May 2001
o alpha release, string freeze
o new user account hierarchy wizard
o account hierarchy export
o reporting improvements
o transfer dialog auto-completion
o many bug fixes
1.5.6 - 23 April 2001
o reporting improvements
o many misc GUI improvements
o updated German and Portuguese translations
o fixes for Solaris
o bug fixes
1.5.5 - 15 April 2001
o more new & improved reports
o use of gnome MDI for main window
o GUI improvements
o bug fixes
1.5.4 - 01 April 2001
o several new & improved reports/graphs
o online price quotes now work
o new main window display
o Spanish & Portuguese translations of the manual
o many bug fixes
1.5.3 - 25 February 2001
o new XML file format
o better support for importing qifs from online banks
o improved checking register
o support for charts & graphs
o financial calculator
o new user account hierarchy wizard
o many UI improvements
1.5.2 - 25 September 2000
o fixes for Solaris 8
o fixes for gnome-print 0.23
o misc bug fixes
1.5.1 - 18 September 2000
o new Spanish translation
o new Russion translation
o improved qif importing
o updated documentation
o lots of bug fixes
1.5.0 - 9 July 2000
o switch to gtkhtml widget
o updated French translations
o improved qif importing
o fix for g-wrap 0.9.4
o misc bug fixes
1.3.100 - 12 June 2000
o bug fixes
o updated documentation
o updated translations
1.3.99 - 05 June 2000
o transaction auto-completion
o improved qif importing
o fixes for 64-bit architectures
o updated translations
o automaked build system
o bug fixes and ui improvements
1.3.8 - 25 May 2000
o transaction cut/copy/paste
o new Japanese translations
o user interface improvements
o bug fixes
1.3.7 - 08 May 2000
o better printing of multiple currencies
o user interface improvements
o bug fixes
1.3.6 - 24 April 2000
o transaction finder dialog
o even better qif importing
o some support for the euro
o bug fixes
1.3.5 - 10 April 2000
o more work on reports and check-printing
o fixes to qif importing
o misc bug fixes
1.3.4 - 27 March 2000
o alpha code for check printing (requires gnome-print)
o more i18n of reports
o auto check numbering
o bug fixes and GUI improvements
1.3.3 - 20 March 2000
o new QIF importer
o new Swedish and Great Britain translations
o minor GUI improvements
1.3.2 - 12 March 2000
o new French and German translations
o new French documentation
o speed improvements in the register
o more work on reports
1.3.1 - 05 March 2000
o qif fixes
o French documentation
1.3.0 - 28 February 2000
o first gnome release of GnuCash
o many, many, many changes
1.1.22 - 3 November 1998
o build break fixes
o install break fixes
1.1.21 - 22 October 1998
o simple report generation infrastructure
1.1.19 - 5 October 1998
o fixes to QIF import incl MS-Money import
o implement rollback in engine; can now commit or reject (undo) edits.
1.1.17 - 13 Sept 1998
o working auto-expand register
o sort by date, num, amount, memo, descr.
o list all transactions between two dates.
1.1.16 - 13 Sept 1998
o busted.
1.1.15 - 9 Aug 1998
o Everybody's doin it: make xacc into a web server.
1.1.14 - 8 Aug 1998
o First drop of Qt code
o A split register that finally more or less works
o guile configuration code from Rob Browning
1.1.6 - 8 March 98
o First drop of GTK code from Jeremy Collins
o First stab at GTK plotting from Rob Browning
o German README from Henning Spruth
o Stock Ledger cleanup
o fixed up configure, gnome and motif makefile targets
1.1.5 - 6 March 1998
o perl scripts for parsing stock quotes from internet
from Chrostopher B. Browne
1.1.4 - 1 March 98
o gui-independent engine code moved to src/engine
o main motif app code moved to src/motif
o merged in bug fixes from 1.0.x branch
o ofx dtd's in lib/ofx/dtd
o misc raw info in raw (e.g. currency codes, country codes)
1.1.1 - 24 Jan 1998
o Alpha level code. Very broken.
All new register design -- modularized.
Many versin 1.0 ledger functions missing.
Splits added to engine.
May not compile, will probably core dump.
This is alpha level code, not for general use.
1.0.18 - 14 June 98
o Fix Quicken QIF import to recognize "transaction cleared" flag.
o Add RedHat RPM spec files.
o Fix a bug in configure.in re. motif flags.
o Enable European-style dates with --enable-eurodates
o Fix core dump reading QIF files
o Fix core dump closing certain windows
o enable prompt to save to file when WM closes window
o fix garbling to description field when cancel button hit
1.0.17 - 14 Feb 98
o Fix core dump when deleting account with open register windows.
o Fix core dump when transfering money to deleted (non-existant) account.
o Fix tabbing between ledger entry and record/cancel/close buttons.
o MS Money QIF import fixes.
o obscure fix to Xbae table widget that may fix some mystery core dumps.
o add CBB, MS-Money QIF export sample files
o add SCO UnixWare, OpenServer build files
o precompiled SCO UnixWare 7 and OpenServer 5 binaries
1.0.16 - 7 Jan 98
o Leap year fix
o Solaris compile patches
o precompiled AIX 4.1 for IBM RS/6000 binary
1.0.14 - 6 Jan 98
o Debian package version
o QIF File format patch for reading CBB-exported QIF's
o Date bug fix
1.0.11 - 11 Dec 97
o large variety of bug fixes, patches, enhancements.
1.0b1 - 29 Nov 97
o Many, many changes by Linas Vepstas to give double entry
bookkeeping, sub-accounts, income/expense account types, and
the beginnings of support for the QIF data format.
o All "non-standard" libraries needed for xacc (xbae, libhtmlw,
and libComboBox) are now part of the xacc distribution, to
make it easier to build xacc.
o Applied XbaeMatrixSetCursorPosition patch (needed for quickfill)
to Linas's modified xbae src. (So quickfill works again.)
o configure script to make it easier to build xacc.
o The environment variable XACC_HELP will tell xacc where to
find the files for the hypertext help. If XACC_HELP isn't
set, xacc will default to "./Docs" as the help path.
0.9 - 08 Sep 97
o Lots of code-cleanup.
o Adjust Balance window.
o Reconcile window! Makes it easy to reconcile your account
at the end of the month when you get your new bank statement.
o Hypertext, context sensitive help. A pretty nice add-on,
thanks to libhtmlw, from NCSA Mosaic. (Now someone just
has to write some decent help pages!)
o Fixed busy cursor. Previously the code the switched cursors
caused the program to crash, so it wasn't enabled. Now it
works, and is enabled.
0.7 - 14 Jul 97
o Started adding support for account types other than "BANK".
Still no support for Portfolio and Mutual accounts. (They
are greyed out in the "New Account" window for now.)
o Changed the balance field to use red/black text to denote
negative/positive balance (instead of using a sign... If you
define USE_NO_COLOR when compiling, it will revert to the
old method of displaying a '-' in front of negative balances)
o Fixed bug in automatic transfers that cause the "From"
account to always be the first account, and the "To" account
to possibly be incorrect. Also, added "[To: ]" "[From: ]"
(with to account name, and from account name) to the start
of the memo field, so you can keep track of where the money
comes from/goes to.
0.6 - 28 Jun 97
o Fixed balance/reconciled field (in bottom right corner
of register window. (It sorta works now, with lesstif.
I don't know about motif... you have to leave the current
transaction for the balances to be recalculated.)
o Rearranged directory structure... the source was growing
to too many files to have it all in one directory.
0.5 - 6 Jun 97 Mostly, minor bug fixes
o verifyDate -- affects when accelerator keys in the
register window cause the date to cross a year boundary
o Fixed handling of the date in the transfer window. Before
if the user pressed the "transfer" button with an incomplete
date in the date field, the resulting date would be
undefined.
o If the user doesn't enter data in the description field,
The number field, the memo field, or one of the amount
fields, the the new transaction isn't added when the
user leaves the new transaction, or presses "Record"
o Now user is prevented from entering more than one '.'
in the amount fields in the register and transfer windows.
Also, the user is prevented from entering more than two
'/' in the date field in the transfer window.
o Fixed a (very small) memory leak in the transfer window.
o Fixed a bug in the transfer window that resulted in a
different amount subtracted from the "from" account as was
added to the "to" account.
o Fixed bug that caused a segfault when deleting the last
transaction in the register window.
o Now if the user is in the last transaction (the empty
transaction) in the register window, the "Delete" button
does not do anything.
0.4 - 3 Jun 97
o Added "Balance" and "Reconciled" balance to the bottom
right corner of the register window.
o The main window uses an Xbae-Matrix widget now, instead
of a list, in order to line up the account names, types,
and balances in nice columns.
0.2 - First (mostly) functional release. Most of the buttons,
and menu bar choices actually do something now.
0.1 - First demo release. Lots of buttons, and menu bar choices
Don't do anything. The register window is still pretty
buggy.