Package "gnucash-common"
Name: |
gnucash-common
|
Description: |
common files for the financial-accounting software Gnucash
Gnucash provides accounting functions suitable for use by small businesses and
individuals. It can track finances in multiple accounts, keeping running and
reconciled balances. There is support for customer, vendor and employee
processing. It has an X based graphical user interface, double entry, a
hierarchy of accounts, expense accounts (categories), and can import Quicken
QIF files and OFX files.
This package contains the architecture independent parts of Gnucash. It should
not be installed directly, but is pulled in automatically by the dependencies
of the Gnucash package.
|
Latest version: |
1:2.6.17-1~getdeb1 |
Release: |
xenial (16.04) |
Level: |
getdeb |
Repository: |
apps |
Head package: |
gnucash |
Homepage: |
http://www.gnucash.org/ |
Links
Download "gnucash-common"
Other versions of "gnucash-common" in Xenial
Changelog
gnucash (1:2.6.17-1~getdeb1) xenial; urgency=medium
* New upstream version
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
-- Christoph Korn Tue, 04 Jul 2017 15:09:12 +0200
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gnucash (1:2.6.16-1~getdeb1) xenial; urgency=medium
* New upstream version
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
-- Christoph Korn Mon, 27 Mar 2017 17:57:34 +0200
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gnucash (1:2.6.15-1~getdeb1) xenial; urgency=medium
* New upstream version
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).
-- Christoph Korn Mon, 19 Dec 2016 18:47:35 +0100
|
gnucash (1:2.6.14-1~getdeb1) xenial; urgency=medium
* New upstream version
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.
-- Christoph Korn Sun, 18 Sep 2016 01:54:41 +0200
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gnucash (1:2.6.13-1~getdeb1) xenial; urgency=medium
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
-- Christoph Korn Tue, 23 Aug 2016 22:31:52 +0200
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