Performing substitutions during post-patch breaks tools such as mkpatches,
making it very difficult to regenerate correct patches after making changes,
and often leading to substituted string replacements being committed.
Documentation changes:
• Bug 796098 - V 3.1 Missing images in Tutorial and Concepts Guide in PDF and Online Help pages.
• Bug 795980 - Void Reason Has No Visible Purpose.
Between 3.0 and 3.2, the following bugfixes were accomplished:
• 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.
The Following fixes and improvemts were not associated with bug reports:
• 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.
The following translations are updated: Dutch
3.46.0:
Allow payee ID to be passed in options params for transaction create
Add merchant_id alias to ConnectedMerchantStatusTransitioned and ConnectedMerchantPayPalStatusChanged Auth webhooks
The QuantLib project is aimed at providing a comprehensive software
framework for quantitative finance. QuantLib is a free/open-source
library for modeling, trading, and risk management in real-life.
QuantLib is written in C++ with a clean object model, and is then
exported to different languages such as C#, Objective Caml, Java,
Perl, Python, GNU R, Ruby, and Scheme. An AAD-enabled version is also
available. The reposit project facilitates deployment of object
libraries to end user platforms and is used to generate QuantLibXL, an
Excel addin for QuantLib, and QuantLibAddin, QuantLib addins for other
platforms such as LibreOffice Calc. Bindings to other languages and
porting to Gnumeric, Matlab/Octave, S-PLUS/R, Mathematica,
COM/CORBA/SOAP architectures, FpML, are under consideration.
Backtrader is a feature-rich Python framework for backtesting and
trading. It allows you to focus on writing reusable trading
strategies, indicators and analyzers instead of having to spend time
building infrastructure.
3.1 - 29 April 2018
The second release of the 3.0 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.
Notable changes since 1.8.0:
* From version 1.9.0 onwards, the urllib was substituted by pythons
request library that is thread safe. If you have any error, post an
issue.
3.0 - 1 April 2018
o Correct field format in python-import-fields.
o German translation of Transactions chapter.
o Bug 122895 - general ledger should be named journal
o Bug 634181 - Inserting Part designations overall
o Bug 608098 - Document Transaction Rpt, including how to handle splits
o Clarify that creating a postponed SX will use the original date.
o Remove 'Remainder To' from loan assistant page 2.
o Bug 760407 - Note account separator isn't always a colon.
o Update partial date entry documentation based on new default behaviour
o Bug 762088 - Remove Section 9.4.3 From Guide
o New Russian translation o fthe guide.
o Fix chm mapfile target and cleanfiles.
The mapfile target would fail if the directory was already built,
apparently not recognizing that its target was complete.
Cleanfiles was missing several build targets.
o New Transaction Report section in Guide
o Replace some screenshots with new ones reflecting Gtk3.
The GnuCash development team announces GnuCash 2.6.21, the twenty-second and final, final maintenance release in the 2.6-stable series.
Between 2.6.19 and 2.6.21, the following bugfixes were accomplished:
* Bug 795049 - GnuCash 2.6.20-1 (Fedora Linux package) is unable to open MariaDB database.
* Bug 795068 - src/optional/python-bindings missing several files.
* Bug 795078 - missing _inflateValidate symbol has recurred in 2.6.20 on MacOS.
Between 2.6.19 and 2.6.20, the following bugfixes were accomplished:
* 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.
Some other fixes not associated with reported 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.
The GnuCash development team proudly announces GnuCash 3.0, the
first release in our new 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
MacOS: $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 http://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
From finance/gnucash, to make space for new major version 3.
GnuCash is a personal finance manager. A check-book like register
GUI allows you to enter and track bank accounts, stocks, income
and even currency trades. A full set of reports allow you to see
the state of your finances. The interface is designed to be simple
and easy to use, but is backed with double-entry accounting principles
to ensure balanced books. Features include:
- Scheduled Transactions
- Small Business Accounting Features
- OFX and Quicken File Import and HBCI Support
- Reconcile window with running reconciled and cleared balances
- Stock/Mutual Fund Portfolios
- Get Stock & Mutual Fund quotes from various web sites, update
portfolio automatically (more funds being added regularly).
- Reports
- Multiple Currencies & Currency Trading
- New Multi-Currency Transaction Handling
- Chart of Accounts
- Split Transactions
- Double Entry
- Income/Expense Account Types (Categories)
- General Ledger
- International date handling, many different translations.
This package contains the old major version 2 of gnucash.
3.43.0
Add oauth_access_revocation to WebhookNotifications
Add support for customer_id, disbursement_date and history_event_effective_date in DisputeSearch
Remove sepa_mandate_type and sepa_mandate_acceptance_location params from ClientToken
Add support for VCR compelling evidence dispute representment
This package provides a collection of functions to valuate basic
options. This includes the generalized Black-Scholes option, options
on futures and options on commodity futures.
This package provides a collection of functions to explore and to
investigate basic properties of financial returns and related
quantities. The covered fields include techniques of explorative data
analysis and the investigation of distributional properties, including
parameter estimation and hypothesis testing. Even more there are
several utility functions for data handling and management.
This package provides a class and various tools for financial time
series. This includes basic functions such as scaling and sorting,
subsetting, mathematical operations and statistical functions.
3.41.0
Deprecated LineItem/DiscountAmountMustBeGreaterThanZero error in favor of DiscountAmountCannotBeNegative
Deprecated LineItem/UnitTaxAmountMustBeGreaterThanZero error in favor of UnitTaxAmountCannotBeNegative
Add support for tax_amount field on transaction line_items
Add support for source_merchant_id on webhooks
Add find_all static method to TransactionLineItem class
New features since 0.1.0:
- Added event study analysis: an event study is a statistical method
to assess the impact of a particular event on the value of equities
and it is now possible to perform this analysis through the API
alphalens.tears.create_event_study_tear_sheet. Check out the
relative NoteBook in the example folder.
- Added support for group neutral factor analysis (group_neutral
argument): this affects the return analysis that is now able to
compute returns statistics for each group independently and
aggregate them together assuming a portfolio where each group has
equal weight.
- utils.get_clean_factor_and_forward_returns has a new parameter
max_loss that controls how much data the function is allowed to drop
due to not having enough price data or due to binning errors
(pandas.qcut). This gives the users more control on what is
happening and also avoid the function to raise an exception if the
binning doesn't go well on some values.
- Greatly improved API documentation
Alpha Vantage delivers a free API for real time financial data and
most used finance indicators in a simple json or pandas format. This
module implements a python interface to the free API provided by Alpha
Vantage (http://www.alphavantage.co/). It requires a free API key,
which can be requested on http://www.alphavantage.co/support/#api-key.
3.40.0
Add level 3 fields to Transactions:
discount_amount
shipping_amount
ships_from_postal_code
Add support for transaction line items
Add support for tagged evidence in DisputeGateway#add_text_evidence (Beta release)
Update https certificate bundle
Unsorted entries in PLIST files have generated a pkglint warning for at
least 12 years. Somewhat more recently, pkglint has learned to sort
PLIST files automatically. Since pkglint 5.4.23, the sorting is only
done in obvious, simple cases. These have been applied by running:
pkglint -Cnone,PLIST -Wnone,plist-sort -r -F
2.6.19 - 16 December 2017
o Bug 782423 - Help 10.2. Setting Preferences is outdated #105
o Changing text in Help to reflect changes in Preferences dialogs.
o Translation of the german guides metafile
2.6.18 - 24 September 2017
o The Italian Help translation, which uniquely uses a PO file, is
frozen at commit 78cfa76 because of lack of a translator to
maintain it.
o Bug 120940 - Document how automatic decimal points work.
o Begin a Russian translation of the Guide by Dimitry Mangul.
o Some spelling corrections in the German Guide.
2.6.17 - 2 July 2017
o Improve internationalization of the Tutorial and Concepts Guide.
o Bug 781711: Add reversing transaction definition
o Bug 781714: Add Reversing Transaction text for Help document
2.6.16 - 26 March 2017
o Remove section "Changing the Register View" as better handled in Guide
section 4.2
o Bug 755174 - How to handle commission when buying and selling securities
o Bug 769457 - More info re register views
o Bug 774658 - Add warning to delete lot before deleting a cap gain/loss
transaction
o Glossary: Transactions have at least 2 splits
o Bug 777318 - Restructure Business Features Chapters.
o Bug 777287 - add tips on changing reconcile status of all transactions
in reconcile window panes
2.6.15 - 18 December 2016
o Bug 397135 - Hidden Accounts Show in ComboBox.
o Bug 633590 - Add a Reports Chapter to the Tutorial and
Guide.
o Bug 743671 - Add glossary to Tutorial and Guide.
o Bug 755174 - Document using Lots to create investment
capital gains transactions.
o Bug 770371 - Add note to documentation regarding Sort order
options.
o Bug 775592 - General Rewrite of Guide Chapter on Multiple
Currencies.
o Bug 775919 - Change Documentation of contributors
o Update German Translation (Mechtilde Stehmann)
o Fix resolution of screenshots.
Between 2.6.18 and 2.6.19, the following bugfixes were accomplished:
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
Failed to create file
"/usr/share/glib-2.0/schemas/gschemas.compiled.XY789Y".
Some other fixes not associated with reported bugs:
A better way to handle MySQL's 0000-00-00 invalid date indicator.
Fix python build and test errors on Mac.
Add translator hint comments to C and glade files.
Improve type of bank accounts in SKR03
Stop testing GObject's handling of invalid parameters
braintree 3.39.1
Fix spec to expect PayPal transactions to move to settling rather than settled
Fix AchMandate.acceptedAt attribute parsing
Fix regression for http_strategy.http_do
3.39.0
Add support for upgrading a PayPal future payment refresh token to a billing agreement
Fix braintree.Dispute.search to take a list of search criteria
Add logic to remove deprecation warnings for encodestring and decodestring when used with python 3
Fix spec to expect PayPal transaction to settle immediately after successful capture
Add GrantedPaymentInstrumentUpdate webhook support
Add ability to create a transaction from a shared nonce
Add options -> paypal -> shipping for creating & updating customers as well as creating payment methods
Do not convert to Decimal if amount is None in AuthorizationAdjustement
Add device_data_captured field to risk_data
Add bin_data to payment_method_nonce
1.44 2017-11-07 21:57:57+01:00 Europe/Brussels
* Added currencies for .SA (Brazil) and .TO (Canada/Toronto) markets
* Setup a pause of .7s between queries in AlphaVantage.pm to limit queries
1.43 2017-11-06 23:41:47+01:00 Europe/Brussels
* Added currency for .DE market
* BUGFIX in currency determination regex
1.42 2017-11-06 19:04:25+01:00 Europe/Brussels
* more tests in alphavantage.t
* BUG resolved: removed time from $last_refresh when markets are open
1.41 2017-11-06 16:06:41+01:00 Europe/Brussels
* return symbol for AlphaVantage data
1.39
* added AlphaVantage module (Matthew Patterson)
* some other module changes: yahoojson, Morningstar, Bourso, TSX (not working)
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
Alphalens is a Python Library for performance analysis of predictive
(alpha) stock factors. Alphalens works great with the Zipline open
source backtesting library, and Pyfolio which provides performance and
risk analysis of financial portfolios.
HomeBank is the free software you have always wanted to manage your
personal accounts at home. The main concept is to be light, simple and
very easy to use. It brings you many features that allows you to analyze
your finances in adetailed way instantly and dynamically with powerfull
report tools based on filtering and graphical charts
fecon235 is a free open source project for software tools in financial
economics. It provides code for research notebooks which are
executable scripts capable of statistical computations, as well as,
collection of raw data in real-time. This serves to verify theoretical
ideas and practical methods interactively.
2.11.0 (2017-08-23)
Avoid duplicate logging to both stderr and NSLog. [cocoa] #476
Improve build process on Mac OS. [cocoa] #474
Fixed year handling in macOS date formats. [cocoa] #477
Fixed currency fetching for ranges greater than 30 days. #479
Add an option to enter date elements from left to right instead of the default d -> m -> y order. #480
Fix crash during pane drag & drop. [qt]
Fix Bank of Canada currency fetching. It was broken.
Fix quirks with edition mode during transaction addition. [qt]
Add UTF-16 support to CSV imports. #486
Improve autofill by allowing it to autofill more often.
Improve build process.
Add iDEAL webhook support
Add AuthorizationAdjustment class and authorization_adjustments to Transaction
Coinbase is no longer a supported payment method. PaymentMethodNoLongerSupported will be returned for Coinbase operations
Add facilitated details to Transaction if present
Add submit_for_settlement option to Subscription.retry_charge
Add options -> paypal -> description for creating and updating subscriptions
Add Braintree.Dispute.find
Add braintree.Dispute.accept
Add braintree.Dispute.add_file_evidence
Add braintree.Dispute.add_text_evidence
Add braintree.Dispute.finalize
Add braintree.Dispute.find
Add braintree.Dispute.remove_evidence
Add braintree.Dispute.search
Add braintree.DocumentUpload
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.
GnuCash 2.6.15 Release 2016-12-18
The GnuCash development team proudly announces GnuCash 2.6.15, the
fifteenth maintenance release in the 2.6-stable series.
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
new packages. Most of which are the remaining modules of the Tryton
platform which weren't packaged. The others are dependencies of the new
modules. This was tested on FreeBSD and is based in large part on Richard
Palo's (richard@) work. This is the most recent release of the Tryton
platform, version 4.2. There's a very large list of changes from the 3.8
series we have in pkgsrc. If you're interested, those functional changes
can be found here:
http://www.tryton.org/posts/new-tryton-release-42.htmlhttp://www.tryton.org/posts/new-tryton-release-40.html
2.10.2 (2016-08-28)
Fix crash when opening panels on some versions of PyQt. [qt] #456
Fix misalignment of bold figures in networth/profit sheets. [cocoa] #459
The GnuCash development team announces GnuCash 2.6.14, the fourteenth maintenance release in the 2.6-stable series.
Changes
Between 2.6.13 and 2.6.14, the following bugfixes were accomplished:
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 - [PATCH] 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.
Some other fixes not associated with reported bugs:
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
Concurrent with the release of Gnucash 2.6.14 we're pleased to also release a new version 2.6.14 of the companion Help and Tutorial and Concepts Guide.
Bug 115461 - Highlight need to select Account Type when adding new stock account.
Bug 687290 - Add new chapter for expense type accounts.
Bug 769457 - Add note to 4.3 of Guide.
Bug 769746 - Zero interest loan formula fails.
Bug 771230 - Modify Windows portion of 8.6.3 of Guide.
Bug 769663 - Link update on Tutorial and concepts guide
Updated german translation of the F::Q appendix.
Update the list of Finance::Quote methods to 1.38.
p5-DBI in that it provides a database independent interface that
can be use to access a variety of different types of database
servers.
Approved By: wiz
Upstream changes:
1.02 2014-06-30 NEILB
- Updated github repo URL after changing my github username
- Added Algorithm::Damm and Math::CheckDigits to SEE ALSO
- Fixed errors in pod: using c<...> instead of C<...> and
not escaping the > character.
- Added [MetaJSON] to dist.ini so META.json is included in releases
1.01 2014-06-30 NEILB
- Added SEE ALSO section with links to other LUHN modules.
- Renamed CHANGES to Changes and reformatted as per CPAN::Changes::Spec
- Moved LUHN.pm to lib/Algorithm/LUHN.pm, as per convention
- Switched to Dist::Zilla and set min perl version to 5.006
- Improved doc for is_valid(), in response to RT#43842
2.10.0 (2016-03-13)
From now on, the changelog is going to be a bit more developer-oriented.
Drop Windows support, maybe temporarily. Details
Add plugin management view. #451
Refuse to load moneyguru files with unsupported currencies. #451
Add “inactive” flag to accounts. #412
Fix transaction duplication bug on undo. #438
Fix crash on CSV import [qt]. #440
Fix debit/credit preference so it’s properly restored on startup. #421
Fix “Show Account” for transactions having multiple splits to the same account.
Make all panels instantiate on-the-fly rather than on startup. #434
Various minor refactorings. See git log.
Improve build process, notably on OS X. See git log.
Convert to Qt5.
Remove dependency on sgmllib3k.
Bump Python requirement to 3.4+.
Concurrent with the release of Gnucash 2.6.13 we're pleased to also release a new version 2.6.13 of the companion Help and Tutorial and Concepts Guide.
Fix the very stale Release Schedule link in the Guide.
Bug 637004 - Document Payable/Receivable Aging Rpts and new options for allowing customer and vendor address info to display.
Fix unclear statement re docbook stylesheets in README.
Bug 712764 - Clarify Account type designations in the Tutorial.
Bug 751686 - Explain how to use Find Transaction to report per-employee.
Bug 754239 - Fix order of Report menu items.
Bug 754239 - Update Report menu item names to Save Report Configuration.
Bug 765131 - Document Investment Return of Capital in the Guide.
Between 2.6.12 and 2.6.13, the following bugfixes were accomplished:
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
Some other fixes not associated with reported bugs:
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.
Concurrent with the release of Gnucash 2.6.12 we're pleased to also release a new version 2.6.12 of the companion Help and Tutorial and Concepts Guide.
New Portuguese Translations from Pedro Albuquerque!
Bug 639776 - Update instructions for updating quote prices by cron.
Bug 649283 - Add links to where common report preferences are set.
Bug 728722 - Setting number format details appear wrong in Help, section 10.3.4. Counters Book Options Tab
Bug 729265 - Update documentation for Invoice and Bill payments to reflect the new features.
Bug 761025 - Add missing sect Guide ch2.8: New book options in New Acct Hierarchy.
Bug 762088 - Remove Section 9.4.3 From Guide that offered simplistic advice about money and life that does nothing to explain GnuCash functionality or use.
Bug 762656 - Add note to Guide section 2.3.3 For Column Widths
GnuCash 2.6.12 released
The GnuCash development team announces GnuCash 2.6.12, the twelfth maintenance release in the 2.6-stable series. Please take the tour of all the new features.
Changes
Between 2.6.11 and 2.6.12, the following bugfixes were accomplished:
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 doesn't 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 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 2.6.12
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.
Some other fixes not associated with reported bugs:
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.
Translations Updated:Azeri, Basque, Catalan, Chinese (Simplified), Czech, Danish, Dutch, Farsi, Japanese, Kinyarwandan, Portuguese, Slovak, Serbian, Swedish, Turkish, Ukrainian.
Important update notification
More German Translation work from Mechtilde Stehmann.
New German illustrations from Mechtilde Stehmann.
Use letter size paper only in US or C locales. The rest of the
world uses metric A4 paper. The locale detection is done at configure.
Clarify that creating a postponed SX will use the original date.
Bug 759859 - Reconcilation does not convert transactions' currency
to the main one making reconcilation impossible.
Bug 760016 - 2.6.10 and master dump script error while running configure.
Bug 760407 - Note account separator isn't always a colon.
Between 2.6.10 and 2.6.11, the following bugfixes were accomplished:
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
Some other fixes not associated with reported bugs:
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.
Translations Updated: German.
2.6.10 - 20 December 2015
Announcement: GnuCash 2.6.10 Release 2015-12-20
GnuCash 2.6.10 released
The GnuCash development team proudly announces GnuCash 2.6.10, the
tenth maintenance release in the 2.6-stable series.
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
ofxparse is a parser for Open Financial Exchange (.ofx) format files.
OFX files are available from almost any online banking site, so they work
well if you want to pull together your finances from multiple sources.
Online trading accounts also provide account statements in OFX files.
http://www.tryton.org/news/index.html
Major changes for the developer
The progress bar widget works with float between 0 and 1 to ease usage as
percentage.
The rich text widget uses now a subset of HTML to allow its implementation
in sao.
The Many2One has a new option target_search which define the kind of query
to use for dereferenced search. The options are subquery and the new join
(which is the default). The join method generate a faster query in most
cases.
The SQL constraints use a similar syntax to python-sql. This gives more
flexibility to implement backend for other databases.
Trying to create/write/delete on a Model based on a table_query raises an
exception instead of a silent error.
The table name of a ModelSQL can be overridden with a configuration file.
This allows to work around database limitations on the length of table
names.
The new StateReport has been added to wizards, to simplify the code of
wizards that run a report.
The style on reports has been removed, experience show that this feature
was not used.
The PostgreSQL backend manages now schema. This allows different instances
of Tryton sharing the same database.
The generic foreign key to create/write user on all ModelSQL has been
replaced by a rule that prevent to delete users. This greatly improves
scalability in some circumstances.
The Property field supports now float and integer values.
A subdirectory locale/override is supported for modules that override
translations of other modules.
Accounting
The charts of account are no longer translatable. Instead we provide
translated charts via a template using XSLT.
The invoice doesn't set a unit price on the line. For this feature the
purchase or sale module must be used.
Some fields of the invoice like the note and the origin are editable after
posting the invoice.
Product
Conversion between units no longer results in silent failures but an
explicit error is risen.
The volume property has been added to the products.
Project
The tree structure of the project and the time sheet have been separated,
each object has its own one.
The price list uses the same decimal precision as the product.
The cost price of the employee is stored on the time sheet line for the
date of the line. This allows to sum the costs of time sheet faster
Purchase
The state of the purchase request is now searchable.
The purchase requests are generated even if the rounded quantity is zero
to allow the user to still decide to purchase more.
Stock
Many unnecessary restrictions on the edition of move fields have been
removed.
The expected quantity of the inventory lines is always computed even if
they are added manually.
It is possible to create staging and draft moves using view locations.
Those locations will have to be changed to really do the move.
The inventory uses the grouping feature to create the moves. This allows
to easily support the lot (or any other extra field).
Existing SHA1 digests verified, all found to be the same on the
machine holding the existing distfiles (morden). Existing SHA1
digests retained for now as an audit trail.
Announcement: GnuCash 2.6.9 Release 2015-09-27
The GnuCash development team humbly announces GnuCash 2.6.9, the
eighth maintenance release in the 2.6-stable series, a snap release
to repair a serious bug on Microsoft Windows. Please take the tour
of all the new features.
Changes
Between 2.6.8 and 2.6.9, the following bugfixes were accomplished:
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.
Translations Updated: German.
2.6.8 - 27 September 2015
Announcement: GnuCash 2.6.8 Release 2015-09-27
GnuCash 2.6.8 released
The GnuCash development team proudly announces GnuCash 2.6.8, the
eighth maintenance release in the 2.6-stable series.
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
details found here (http://www.tryton.org/posts/new-tryton-release-36.html)
Major changes for the developer
It is now allowed to have many times the same field in list/tree view.
There is no more a datetime widget for list/tree, two columns with one
widget date and one widget time should be used instead.
A new field TimeDelta appears in this release to represent a duration. It
replace the float_time widget which had some rounding issue. This new
field is already used in the timesheet and project modules.
The One2Many widget can be configured to use a Cartesian product with the
selections of many values for Many2One or Reference fields.
A method restore_history_before is added to ModelSQL which behaves like
the existing restore_history but restore the records just before the datetime.
The on_change methods have been migrated to a behaviour more consistent
with the Active Record Pattern used in Tryton. Instead of returning a
dictionary with the values to change, now the instance is directly changed.
This allow to chain easily the on_change methods or reuse them in other
methods reducing the duplication.
The method save on ModelStorage is now a dualmethod which means that it
can be called as usual as an instance method but also as a class method
with a list of records. Saving many records at once this way improves the
performance as the method will minimize the number of queries to the
database and will validate the result by bunch.
The Dict field received a translated method to create descriptors which
translate the values or the keys like the same method on Selection field.
It is now allowed to use the dotted notation in the order clause of a search.
The ORM will automatically generate the needed joins.
The API of the Report class has been reworked to improve the customization
of the engine. The formatting methods are now more strict to prevent silent
failure.
The safe_eval (which was not sure to be safe) has been completely removed.
In the places where the evaluated code was any way safe, the standard eval
is used. For evaluated code from outside, a JSON notation is now used. Some
utilities have been developed to ease the creation of JSON from XMl or in
the views.
A new kind of button has been added which works on non-saved record. They
are quite similar to on_change but they are triggered by a click on a
button instead of a change of field.
Accounting
A new method reverse_compute has been added to Tax which allow to compute
the base amount from the taxed amount.
The sign of the second currency amount is enforced to be the same as
debit - credit.
The analytic account management has been reworked to use a really One2Many
instead of the pseudo-field. This simplification was possible thanks to the
recent new features like the usage of Reference field on One2Many.
Party
The vat number is now stored in its compact format.
Product
The number of decimal for internal price calculations is now a configuration
parameter price_decimal. This parameter is used everywhere to ensure
consistency between all modules.
Purchase/Sale
Their lines support both mixed invoice type (Invoice vs Credit Note) per
line when computing the invoiced quantity.
Stock
A new state staging is added to the move. Such state doesn't impact at all
the computation of the stock level. It is used for supply on sale, to
create moves in advance.
Inactive products are still computed for the stock level.
The computation of assigned move has been improved to take only in
consideration outgoing move assigned not the incoming. This result in a
less optimistic for the stock level and thus prevent to assign a move with
an incoming one that is just assigned but not yet done.
Forecasts are now automatically deactivated when their period is in the past.
pkgsrc related updates:
update to tryton-3.6.0
update to trytond-3.6.0 including UTC check patch for SunOS
update trytond modules to latest 3.6
add meta-pkgs/py-tryton-platform
add misc/py-trytond-party-relationship
add misc/py-trytond-product-attribute
add misc/py-trytond-production
add misc/py-trytond-stock-inventory-location
add misc/py-trytond-stock-product-location
add finance/py-trytond-account-invoice-line-standalone
add finance/py-trytond-account-invoice-history
add finance/py-trytond-account-invoice-stock
add finance/py-trytond-account-payment-clearing
add finance/py-trytond-account-stock-continental
add finance/py-trytond-analytic-invoice
add finance/py-trytond-analytic-purchase
add finance/py-trytond-analytic-sale
add finance/py-trytond-product-price-list
add finance/py-trytond-product-cost-fifo
add finance/py-trytond-product-cost-history
add finance/py-trytond-purchase
add finance/py-trytond-purchase-invoice-line-standalone
add finance/py-trytond-sale
add finance/py-trytond-stock-supply
add time/py-trytond-company-work-time
{perl>=5.16.6,p5-ExtUtils-ParseXS>=3.15}:../../devel/p5-ExtUtils-ParseXS
since pkgsrc enforces the newest perl version anyway, so they
should always pick perl, but sometimes (pkg_add) don't due to the
design of the {,} syntax.
No effective change for the above reason.
Ok joerg
2.6.7 - 28 June 2015
GnuCash 2.6.7 released
The GnuCash development team proudly announces GnuCash 2.6.7, the
seventh maintenance release in the 2.6-stable series.
The following bugs are fixed:
681225 - income statement displays blank base currency entries
when trading account transactions are present during
the report period
739271 - pt_BR translation wrong word "limpesa". Should be "limpeza"
744858 - Update exchange rate on bill only possible once per session
(after unpost/repost)
746792 - process payment in foreign currency leads to broken equation
734183 - Set value to zero before calling gnc_exp_parser_parse.
746163 - Custom register colors (table rows) not recognized from
.gtkrc-2.0.gnucash file
746873 - Gnucash asks sql passwords before wallet password
747812 - unset LDFLAGS when unsetting CFLAGS
747377 - Fix overly restrictive input validation for IBAN of SEPA transfer.
740955 - Correct general journal and general ledger reports to properly
handle Use-Split-Action-For-Num option in File->Properties.
747300 - SQL backend missing from most recent DMG?
746977 - scm ccache files should be in pkglibdir not pkgdatadir
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
Changes in 1.9.1.1:
- Fix for SUPEE-5344 (previously patched with an upstream patch in pkgsrc)
pkgsrc changes:
- Patch for multiple vulnerabilities (SUPEE-5994) with an upstream patch.
- Cache upstream patches on ftp.netbsd.org due to unreliable upstream.
2.8.2 (2015-01-02)
Fix amount cell painting which didn’t work properly. [Windows] (#407)
Fix import window’s checkbox cell which would sometimes wrongly go in edit mode. [Linux, Windows] (#406)
Fix chart visibility glitch in account view. [Mac] (#357)
Add a --no-ext build option. (#408)
2.8.1 (2014-12-14)
Fix amount deletion bug on drag & drop transaction re-ordering. [Linux, Windows] (#402)
Fix bug where clicking account-jumping arrows would lead to the wrong place. [Linux, Windows] (#404)
2.8.0 (2014-11-09)
Make amount fields prettier. Thanks Nelson Brown! [Windows, Linux] (#14#15)
In sheets, make totals’ currency explicit when in multi-currency context. (#392)
Add “Assign imbalance” button to the Transaction panel. (#398)
Fix glitch in sheets expanded nodes restoration. [Mac] (#388)
Fix a QIF transaction matching bug.
Fix account selection glitch causing the account to lose focus. [Windows, Linux]
Fix IndexError on file switching. [Windows, Linux] (#393)
Remove Cashculator integration. It was broken anyway. [Mac]
Greatly improve developer documentation.
Minimum OS X version is now Lion (10.7).
Minimum Windows version is now Windows 7. 64-bit required.
Minimum Ubuntu version is now 14.04.
2.6.6 - 29 March 2015
GnuCash 2.6.6 released
The GnuCash development team proudly announces GnuCash 2.6.6, the
sixth maintenance release in the 2.6-stable series.
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.
managers to love. From the repo:
Merge pull request #59
Merge pull request #50
Encourage running unittests on py3 as well
Fix release notes __all__ formatting
1.37 2015-02-01 20:24:32+01:00 Europe/Brussels
* modified 00-use.t to show more info
* Remove Crypt::SSLeay dependency in favor of LWP::Protocol::https (Geert Janssens)
* Updated HU.pm and test file to current website (Kristof Marussy)
building.
2.6.5 - 16 December 2014
o Fix a path of freshly added XML files
o Add some comments about translation to the German documents where the translation wasn't updated to match the English version.
o Apply &untranslated property in German translations
o Fix path of newly-added XML files.
o Bug 739380 - Release tarball build fails. Git builds OK.
2.6.4 - 28 September 2014
o Add sentence about manually editing payment information for customers.
o Add warning and tip about account separator character.
o Correct field format in python-import-fields.
o Currency movements .. remain fully balanced if "Trading Accounts"
is enabled; "double entry" was not sufficient.
o Ersetze umgangssprachliches "Passiva" durch "Fremdkapital" und
zugehöriges Bild
o German translation of Transactions chapter.
o Guide C oview: update processor architecture: "backport" from de
o Guide C txns: Add a warning about dummy transactions and auditors.
o Guide C txns: Thinking is not enough for the cleared state of a
transaction
o Guide C txns: Upgrade note to warning "It is important to understand
that reconciliation..."
o Guide C txns: explain reconcilation state "cleared"; improved
wording by lmat
o Guide de ch_accts: Several minor corrections.
o Guide de ch_basics: several corrections.
o Guide de ch_oview: orthography and processor architecture update.
o Guide de ch_txns: several improvements, txns-sxn1 complete.
o Help Documentation: Add Advanced Portfolio Rpt details, Thanks to
Chris Good
o Improve explanation that Credit does NOT decrease equity accounts
o Improve readability of "Credit does NOT decrease ...".
o New chapters in the German translation: Overview, Basics, and
Accounts. Thanks to Mechtilde.
o Reduced proportional width of description column to increase overall
font size for a 510 pixel width image.
o Remove a few discrepancies between the german guide overview and
other components.
o Update of translators in gnucash-guide-de.omf
o Updated documentation to explain how to tie dividends received in
cash to the appropriate stock holding.
GStreamer core:
* 736969 : queue2: dead lock when buffering
* 738092 : basesink: clamp reported position based on direction
* 740001 : task: race condition when pausing and stopping
GStreamer Plugins Base:
* 741420 : video pools: should update size in configuration after applying alignment
* 715050 : add typefinder for audio/x-audible
* 739544 : tcp: Add test and fix memory leak in tcp elements
* 739840 : typefind should recognize Apple Core Audio Format (CAF)
* 740556 : videodecoder: don't complain when DTS != PTS on keyframes
* 740675 : playsink: continues playback, reset mute property
* 740730 : rtspconnection: don't remove child source if parent source is already destroyed
* 740853 : audiodecoder: Push pending events before sending EOS.
* 740952 : alsa: NetBSD fixes
* 741045 : audiorate can can lose timestamp precision in some cases
* 741198 : playbin: leaks GstPads
GStreamer Plugins Good:
* 711437 : apev2mux: should not put APEv2 tags at beginning of WavPack files
* 726194 : v4l2src does not cope well when a capture card is sometimes interlaced, sometimes progressive at the same resolution
* 736397 : flvdemux: Per-stream resyncing behavior causes A/V-desyncs
* 737603 : v4l2bufferpool: set buffer interlace flags when field is V4L2_FIELD_INTERLACED
* 739476 : vpx: fails to build against libvpx from git
* 739722 : matroskamux: Thread safe register GstMatroskamuxPad
* 739789 : v4l2allocator: fix error message if allocator is already active
* 739791 : v4l2bufferpool: unref pool when v4l2_allocator_new() fails
* 739792 : v4l2allocator: fix gst_v4l2_allocator_stop prototype
* 739996 : videomixer: Drops a lot of frames, if one of the sources is live
* 740040 : v4l2src: Fails in presence of V4L2_BUF_FLAG_ERROR
* 740392 : rtspsrc: mikey base64 decoded key-mgmt leak
* 740407 : qtmux limits capture to 4096x4096
* 740633 : v4l2src: RW io-mode is broken
* 740636 : v4l2src: framerate is not always set on driver
* 740671 : aspectratiocrop: crop needs to be reset when video size changes
* 740905 : v4l2: still has 1 include to linux/videodev.h
* 741271 : rtph264pay: Buffer leak in H.264 payloader when using SPS/PPS
* 741381 : rtph264pay: Race condition may cause crash when going from PAUSED- > READY
* 741407 : deinterlace: in query_caps return only supported formats if filter is interlaced
* 737579 : v4l2object: set colorspace for output devices
* 739754 : v4l2bufferpool: Should validate that all memories are writeable before queueing back
GStreamer Plugins Bad:
* 722764 : rawparse: fix SEEKING query handling
* 729768 : mpegtsbase: Raise limit to read more bytes initially to find PCR
* 739152 : gl/cocoa: build with GNUStep fails
* 740191 : dvbbasesink: segfaults on 32-bit (rpi)
* 740201 : gl/cocoa: Does not compile on OSX < 10.7 anymore
* 740451 : srtpdec: leaks rtp/rtcp sink events
* 740953 : configure.ac: unportable test(1) comparison operator
* 741321 : opusparse: fix header parsing esp. of encoded output of libopus
GStreamer RTSP Server:
* 739481 : rtsp-stream: leaks srtp decoder when leaving rtpbin
2.6.5 - 16 December 2014
Announcement: GnuCash 2.6.5 Release 2014-12-16
GnuCash 2.6.5 released
The GnuCash development team proudly announces GnuCash 2.6.5, the
fifth maintenance release in the 2.6-stable series.
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,
2014-09-12, LibOFX 0.9.10:
- Fix missing balance dates (ledger_balance_date, available_balance_date)
2013-09-09, LibOFX 0.9.9:
- Fix missing increment of SO_CURRENT number in libofx-0.9.6
to avoid crashes when mixing this with older applications
- bug#41: Fix a crash that occurs while importing a possibly
invalid OFX file. Patch by Cristian Onet.
2013-04-17, LibOFX 0.9.8:
- Fix errorneous reading of files with empty lines
- bug#24: Fix build error on solaris.
- bug#40: Fix compiler warnings of OFX clang
2013-04-11, LibOFX 0.9.7:
- Fix errorneous reading of files with long lines
2013-03-30, LibOFX 0.9.6:
- Extend buffer for TRANSACTION_NAME to 96 bytes due to UTF-8
multibyte characters.
- Patch by Geert Janssens to fix typo in info message
- Patch by Geert Janssens to allow lines longer than 1024
caracters
- Fix treatment of empty date strings: Must return a zero date
instead of a bogus one.
- Replace unlink() with remove() to fix compile problems with
gcc 4.7
- Make configure fail if gengetopt is missing and generated
files are not present (as is the case when we checkout from
git)
- Fix garbled character encoding for UTF-8 encoded OFX 2.0
(XML) files. Sadly, because of a bug in OpenSP with xml
decoding this currently means that iso-8859-1 OFX-2.0 files
will still not be properly decoded.
LibOFX 0.9.5:
Benoit Grégoire <benoitg@coeus.ca>
- Workaround OFX files specifying invalid encoding values
(specifically: UNICODE and CP1252). This should fix most encoding
problems reported.
- Look for DTD in source directory (simplifies developpement)
Christian Stimming <christian@cstimming.de>
- Add minor argument checking
- Expose field: OfxSecurityData::fiid in API
- Make string arguments a const reference where appropriate
- Add configure check for help2man tool
Ryan Donlan <bdonlan@gmail.com>
- Improve build system and autoconf 2.68 compatibility
- Improve generated man pages
- Use GCC's -fvisibility=hidden to hide internal symbols from external
users.
LibOFX 0.9.4:
- Patch to fix segfault on some malformed date formats. Inspired by Zach's patch on launchpad.
- Packages-oriented changes:
- LibOFX will now look for DTDs in env variable OFX_DTD_PATH (if present).
- Better handling of paths (tolerates trailing path separator, or lack thereof)
- No longer ignore return value of mkstemp()
- Integrate all changes in Ubuntu's package that weren't already upstream
- Move to LibXML++ 2.6, as 1.0 is deprecated
- Add generated man pages with html2man
LibOFX 0.9.3:
- Fix segfault on some files containing missing closing tags (bug #2969817)
LibOFX 0.9.2:
- Win32: Add gnucash patch that looks up the dtd installation directory from the current executable's location.
- Apply patch by Geert Janssens to fix a crash on invalid date format
- Apply patch by ajseward with some additional fixes to allow wraping the library in python.
- Apply patch by Thomas Baumgart which fixes bug #5 (Transaction posting date off by one)
- Apply patch by Bill Nottingham <notting@redhat.com> with various C++ include fixes for building with recent compilers.