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Between 2.4.9 and 2.4.10, the following bugfixes were included:
[Bug #667900] no clipboard editing in Release 2.4.9 Update Gtk+ to 2.24.8 for Windows, to pick up da756d51 (win32: fix gdk clipboard).
Turn on AQBAnking 5 in 2.4 branch.
[Bug 666849] Non-privileged user first run trouble The problem is that the first run was creating the slib catalog. This introduces a script to do that as part of installation, guaranteed to be run as an admin user.
Update xml file backend to recognize a newer version file on load attempt, not load, and alert user of need to upgrade Gnucash.
Reports: Make report Budget Flow 100% translatable
Update txf.scm in stable branch to reflect changes to US Income Tax Forms and Schedules for 2011.
[r21867]Reverse the test for HAVE_DBI ac_cv_header_dbi_dbi_h is set only if want_dbi is true, so testing for != no succeeds if dbi isn't enabled -- which is not what we want.
[21860]Bug #667417 - Fix build with glib 2.31.x Patch by Vincent Untz
[21840] Add dependency on qofbook.h for swig generated file. Otherwise the old generated file complains about a missing declaration from r21832.
In 2.4.10, the following languages had their translations updated: Lithuanian, Finnish, German.
Between 2.4.8 and 2.4.9, the following bugfixes were included:
Bug #666329 Empty database after a little while Separate the two uses of QofBook::dirty -- indicating that the book object itself has been edited and indicating that some object in the dataset has been changed -- into two separate variables with separate getters & setters. Use gnc_dbi_safe_sync_all (which doesn't lose data if the save partion errors out) for all be->sync. Reverse qof_book_mark_saved and qof_instance_mark_clean so that the book is dirty for qof_book_mark_saved when it's the instance. Original commit by jralls
Bug #667105: Fix grammatical error in some accounts file.
Bug #667276 : Fiix Korean accounts files. Patch submitted by Eulgyoon Lim.
Bug #457401 - Print invoice should not be disabled for unposted invoices. Enable printing for unposted invoices.
Add a "features" table to the KVP frame, and pop up an error message if we find a feature we don't know about. Currently there are no known features, so essentially we will error out if we see anything.
Bug #665998 Replace no-op function force_account_dirty with qof_book_mark_dirty.
Bug #658247 - First time setup should prompt to save file. Fix supplied by Bob referenced in bug #665996.
Bug #642276 Bayesian association with Sqlite Wraps the kvp_frame_set_slot_path with xaccAccountBeginEdit()/xaccAccountCommitEdit(). Also clean up some other cases where KVP was set without committing an edit.
Fix table number alignment.
Fix number alignment in table.
Bug #649362 - Transfer Funds Window Exchange Rate and Decimal Points Rounding in Bill/Invoices This patch fixes the rounding by showing the actual value to convert. As a result the exchange rate direction had to be swapped as well to avoid lots of confusion.
Abort posting if not all required exchange rates are given. Note that any exchange rate successfully entered before the posting is aborted are still saved with the invoice.
Bug #665202 - Improve python-finding code. Patch by Pacho Ramos
Bug #661383 - GnuCash segfault on Linux (Fedora 16 beta) because of shared library load / unload weirdness
Fix right align for number cells in table.
Added user settable line width and data point markers to net worth line chart.
Commented line width. This value really should be passed from .scm file
Fix setting of line color for line charts.
Bug #664862 - New report showing net assets over time Added new line chart report for assets, net-linechart.scm. Distantly related to Bug #570011
Add missing Root Account part. Original commit by mikee.
Bug #664764 - Account setup for Swedish small business Added Swedish chart of accounts for small businesses. Original commit by mikee.
Bug #663368 When importing CSV files, the word 'Deposit' appears in Num/Action column
Bug #630804 - make check failure in business module
Don't install a script that is only used for building and testing. This fixes Secunia Advisory SA42048
Bug #663638 - Posting Invoices asks for curency conversion for blank lines
Bug #639082 - General Journal report reports an error
Bug #662477 - Desktop file not compliant with FreeDesktop spec and GNOME goal Patch by Sébastien Villemot
In 2.4.9, the following languages had their translations updated: French, German, Lithuanian .
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a) tiff update to 4.0 (shlib major change)
b) glib2 update 2.30.2 (adds libffi dependency to buildlink3.mk)
Enjoy.
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Between 2.4.7 and 2.4.8, the following bugfixes were included:
* Bug #655901 - Fix build with guile 2.0
* Fix handling a directory as a dataset file.
* Bug #626970 - Crash when saving a transaction whose destination account
was deleted in the meantime
* Bug #661721 - Exposed Password
* Bug #651522 - crash in query_free_compiled, gnc_query_list_reset_query
* Use "Nimbus" gtk theme on Windows. A previous attempt failed to set this
in the installer.
* Bug #644977 - Add new Quicken Check 21 format. Thanks to Steve Holland
<sholland@napervillegi.com>
* Update Mac customizations for gtk-mac-integration-1.0.0. Mac integration
has had a name and api change from ige-mac-integration as part of
migration from Sourceforge to Gnome.
* Bug #553432 - Status line of edit invoice page mixes invoice currency
amount with default currency symbol
* Bug #365928 - Jobs do not stick in Expense Vouchers
* Find the python libraries and includes even if the path to them includes a
symlink. When python is installed using MacPorts there is a symlink in the
path.
* Bug #612562 - Transfer Funds dialog - 'Show Income/Expense' checkboxes are
not working. Subaccounts of income and expense are not always shown.
* Make sure that exiting conn_test_dbi_library on a failure doesn't leave
the locale at "C".
* Bug #645216 - Fix wrong permissions on server result in bogus error
message.
* Change default post date:
* customer invoices: post at the current date
* bills/vouchers: post at the last date on the bill/voucher
* Bug #658244 - Custom css stylesheet and logo in Tax Invoice report require
protocol in exported HTML
* Bug #655901 - Fix build with guile 2.0 Patch by Petr Gajdos
* Fix critical error regarding the color tabs when trying to display the
search results and also on the scheduled transactions template.
* Patch by Robert Fewell
In 2.4.8, the following languages had their translations updated: Japanese,
Lithuanian, Latvian, Russian, Hungarian.
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Between 2.4.6 and 2.4.7, the following bugfixes were included:
[20804] Bug #653056: Fix menu accelerators not working, crash
on save-while-quitting.
[20800] Bug #646541: new invoice line items default to invoice
open date instead of current date This commit partially reverts
the changes in r19134 so that customer invoices and employee
vouchers default to the current date. Vendor bills still default
to the invoice open date.
[20798] Fix report reload and options change that got broken
by the previous commit.
[20796] Force custom url handlers to lowercase to deal with
Webkit 1.4's case sensitivity. For more details, consult this
Fedora bugreport: https://bugzilla.redhat.com/show_bug.cgi?id=712268
[20792] Bug #652257 - Memory leak in gnc-file.c Patch by Tim
M
[20786] Bug #652435 - Fancy invoice export has <generic> tags
in it preventing html validation Patch by Bert Claesen
[20785] Bug #652377 - XHTML 1.0 Transitional compliance for
reports Patch by Tim M
[20784] Bug #632931 - Advanced Portfolio: new income column
shows negative amount Patch by Sebastien Alborini
[20783] Bug #651889 - Using trading accounts, new non-expanded
trading transaction shows inverted rates in exchange dialog
When using trading accounts, the exchange rate dialog has a
slightly different behavior. This patch fixes the behavior for
transactions that are created in-line and are not expanded
(single-line). It does not affect the expanded transactions or
transactions created in the new transaction dialog. Patch by
Mathieu De Zutter
[20782] Bug #651992 - Exported invoices do not render correctly
in Firefox Patch by Bert Claesen
[20760] Bug #612562 - Transfer Funds dialog - 'Show Income/Expense'
checkboxes are not working
[20750] Windows build: change default gtk theme to work around
a number of problems in the Ms-Windows theme we used before.
Particularly, this prevents the crash caused by bug #614636
and fixes the black notebook tabs that appeared after Phil
upgraded webkit and many related gnome dependencies. The new
default theme is "Nimbus" following a suggestion by Kim Wood
on the mailing list.
[20746] Bug #652193 - Upcoming Scheduled Transactions Calendar
Starting Month Error. Patch by Rich
[20745] Replace deprecated xml tag in chart of accounts templates
Between 2.4.5 and 2.4.6, the following bugfixes were included:
Preserve selection around the call to gtk_editable_set_position.
This lets us drop the racy gnucash_sheet_select_data_cb, which
fixes problems with lost input.
Add a gnc_quartz_set_menu call to main_window_new() so that
newly created windows get their menus on the mac menu.
Fix up the Mac shutdown process to give Gnucash a chance to
clean up without spewing critical errors about the main loop
already running (because of calling gnc_shutdown in an event
handler).
Bug #650241: Fix style for aging table in owner reports that
has changed (after defining doctype) Prevent inheriting the
parent tablestyle for aging table in owner-report.
Bug #650757: Fix Easy & footer styles output wrong tags </btd>
iso </b></td> preventing HTML 4.01 Transitional validation This
patch removes the wrong </btd> tags and closes the center tag
in the footer and easy stylesheets.
Bug #645221: Patch to show the headline as an h3 across all
stylesheets The attached patch makes sure that the title fonts
set through the options menu behaves consistently across all
style sheets.
Bug #620123: Patch to make account name a header cell, iso td
in trial-balance
Bug #648554: SQL backend doesn't correctly save taxable flag
on bills.
Bug #650163: Fix Technicolor style that outputs wrong tags
<btd> instead of <b><td>
Bug #650139: Fix missing doctype preventing HTML 4.01 transitional
validation Exported reports lack a document type, preventing
HTML validation. When exporting this may lead browsers to
incorrectly read the reports generated by GnuCash.
Bug #650138: Style plain: Fix incorrect <p> tag around <h3>
preventing HTML 4.01 transitional validation
Bug #649992: Let owner-report aging table include due date /
post date options in aging. The attached patch patches the
owner report to: *Allow a choice between the use of Due Date
and Date Posted *Report with the current bucket
Bug #649608: Skip non-enabled Scheduled Transactions for Future
Txn report
Update Slovak translation, copied from the Translation Project.
Bug #646729: Create the lockfile with at least read write user
permissions
Bug #647945: Add sanity check to hopefully fix crash when
running custom reports
Bug #644897: Correctly link in libgncmod-report-gnome.la to
avoid linking against an installed version.
Bug #646268: Fix missing GWEN_SYNCIO initialization.
Bug #644762: Deprecated __new__() call in function_class.py
Bug #647360: Invoice entries in expense voucher are created in
old voucher, not in new one. It worked fine for customer
invoices, and vendor bills, but not expense vouchers, where
the feature was broken all along.
Bug #647242: Fix broken averaging for quarter or half-year step
size
Bug #647316: Fix crash when deleting custom report if no backup
file existed. Before deleting the backup file by (delete-file),
it must be checked whether the to-be-deleted file exists,
otherwise the guile procedure will crash.
Fix warning about NULL guid_list in xaccQueryAddAccountGUIDMatch,
which caused some total amounts in reports to disappear.
Apparently gnc:account-get-trans-type-splits-interval didn't
watch out for empty lists of accounts, and the resulting split
list somehow was bogus. Now that we check for empty account
list, all is fine again. This was broken for some months by
now, maybe since r20404?
Bug #628342 - Quick open on File menu deleted if failed
Bug #629156 Recently Used Filenames incorrectly displayed
In 2.4.6, translations for Japanese language were updated.
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Shorten DESCR.
Fix warning in buildlink3.mk.
Install config files properly.
Bump PKGREVISION for last.
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Changes between 2.4.4 and 2.4.5 include:
* User-visible changes
* [20457] Improve message printed on screen
* Note last stable version number
* Updated translations or translation-related changes
* [20507] Various spelling fixes in comments and
translatable strings.
* Updated Dutch translation, copied from the translation
project.
* Updated Italian translation.
* Bugs fixed
* [20496] Bug #645518: Partly revert r20378, "Correct
memory leaks found with valgrind" The original author
(Alex) asked to have this part reverted as it seems to
cause the crash explained in the bugreport, but he
doesn't have time to investigate this in detail right
now.
* [20481] Bug #645640: Online transfer must not allow to
change amount in second window
* Bug #642176: Add four decimals to CLF (Chilean Unidades
de fomento) Oops, I forgot 1 digit
* Bug #642176: Add four decimals to CLF (Chilean Unidades
de fomento) While we could not find a document, which
defines the decimals, they are indispensable for the
conversion of payments in "real" CLP.
* Bug #645173 - [PATCH] Configure check uses hardcoded
webkit library name Patch by Andy Clayton.
* Bug #641645 - Support ActivePerl 5.12 for Finance:Quote
on Windows
* Bug #644688: Account edit fails to detect that no
changes have been made and marks the account 'dirty'.
* Other code/build changes
* [20501] During win32 build, if a component is already
installed, print the installation path Original patch by
plongstaff.
* [20491] Fix glade message with unintended whitespaces.
* [20487]Windows nightly build: fix webserver directory
creation hack
* [20475] Windows build: fix weekly 2.4 build and move log
files into separate directory
* [20461] Windows build: allow reset.sh to remove mingw
* [20460] Windows build: fix upload code
* [20456] Some additional Windows nightly build fixes: -
restore the original mingw/msys link, even when the
build script abort (due to a die command) - only restore
the mingw/msys link if it was saved before - weekly
builds should be on Monday, not Tuesday - upload tag
rebuilds to a directory named 'releases' instead of
'tags'
* [20455] Build server: automatically create directories
on webserver for new branches
* [20454] Rework the Windows weekly 2.4 build to avoid
parallel builds (which would fail)
* [20452] Adapt the windows build system to deal with
swapping mingw installations on one build machine
* Start the 2.4 stable branch so that trunk is now
experimental again
* Add some convenience getter functions to gncOwner.
* Whitespace and spelling corrections
* Make error message on missing <dbi/dbi.h> more verbose.
Also mention the infamous dbi database drivers here,
https://lists.gnucash.org/pipermail/gnucash-devel/2011-February/031171.html
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Changes between 2.4.3 and 2.4.4 include:
* User-visible changes
* Update rev to 2.4.4
* Implement automatic creation of stock account for newly
imported OFX stocks. Only active if "auto-create
commodity" is switched on in the preferences from
r20376.
* When setting the report print name, check whether this
exact name has been used before. Append an increasing
number if that was the case.
* When setting a printer job name, remove slashes because
they are not allowes in filenames.
* Add the invoice number in the output printer job name,
if an invoice report is printed.
* Add option in OFX import to have newly encountered
commodities automatically created.
* Modify Tax Info on Account Page to display or not
display sub-account info based on whether row is
expanded. Re-apply changes reverted in r20251. The only
difference between this commit and r20207 is that,
contrary to the recommendation given in gnc-tree-view.h,
"Use GNC_TREE_VIEW_COLUMN_DATA_NONE if you plan on using
a non-model data source for this column", it cobtinues
to use "GNC_TREE_MODEL_ACCOUNT_COL_TAX_INFO". Using
"GNC_TREE_VIEW_COLUMN_DATA_NONE" generates problems
later in the "gnc_tree_view_add_text_column" routine
when it tries to set up sorting for the column ("CRIT
<Gtk> gtk_tree_sortable_set_sort_func: assertion
`sort_column_id >= 0' failed"). Define a new column,
GNC_TREE_MODEL_ACCOUNT_COL_TAX_INFO_SUB_ACCT, in
gnc-tree-model-account.c filled with
gnc_ui_account_get_tax_info_sub_acct_string. Modify
gnc-tree-view-account.c to define a tax_info_data_func
that displays only the the data in the
GNC_TREE_MODEL_ACCOUNT_COL_TAX_INFO model column if the
row is expanded; otherwise it combines it with the data
in the GNC_TREE_MODEL_ACCOUNT_COL_TAX_INFO_SUB_ACCT
model column. Modily the view creation function to use
the new tax_info_data_func for the text after having
first set it to GNC_TREE_MODEL_ACCOUNT_COL_TAX_INFO to
prevent the problem mentioned above, thereby overriding
it.
* Update page name if invoice/bill is renamed.
* Present already open budget page if the user tries to
open a budget more than once
* Update page name if budget is renamed.
* Updated translations or translation-related changes
* Bugs fixed
* Bug #570042: Better default for book-closing entries in
Income Statement Report Options Patch by Tristan
Faujour: Proposed patch: make reports ignore
book-closing entries I chose to: - Change the reports'
default behavior to have them ignore the book-closing
entries. - Do not change anything in reports that deal
explicitly with them. Here is the content of this patch
(everything is under gnucash/src/report): - In function
gnc:account-get-trans-type-balance-interval, depending
on an argument, closing entries can be ignored (they are
identified by xaccTransGetIsClosingTxn). - Some report
utility functions are duplicated (with a "-with closing"
suffix) to provide the legacy feature. - Equity
statement and Profit & Loss reports are modified to call
the *-with-closing functions.
* Bug #644556: Running the test as root happened to
remove /dev/null. Check for this and also fix the
respective test. Additionally, it turned out the log
system never gave notice about a log output file that
was unwritable. Added an appropriate CRITICAL error
message.
* Bug #644557 - gnucash-2.4.3: downstream patches to fix
tests linking Patches kindly provided by Gilles
Dartiguelongue <eva@gentoo.org> of the Gentoo project.
* Bug #642739 - Translog files being created in Gnucash
program installation directory Translog files for
databases are now created in a directory "translog"
inside the .gnucash dir. The files will be named
following this scheme:
<dbtype>_<hostname>_<user>_<dbname>.<timestamp>.log
* Bug #644036: Counter format validation fails on Windows
because the number format is I64i there. Note: Users
will run into a problem when copying a windows file to
linux and vice versa because the counter format will
have to be changed on the other operating system each
time.
* Bug #521817 - Guid_init causes very long startup delay
if Novell Network active P_tmpdir is set to "\" by
mingw. The way P_tmpdir is used by GnuCash, this seems
to trigger unwanted network activity. So on Windows, I'm
replacing it with "C:/temp" for now, based on
suggestions found on the internet regarding this issue.
* Bug #347265 - budget column resizing/options applies to
all budget windows
* Other code/build changes
* Tag 2.4.4
* Add some more sanity checking in common importer module.
* Refactor KVP-related functions of OFX into separate
file.
* Revert r20405, "Correct memory leaks..." - does not
compile with guile-1.6 The patch will be re-applied once
trunk requires guile-1.8, which will be done right after
the oncoming branching.
* Code cleanup in ofx importer; refactoring to get away
from the single giant long function.
* Add some more const-correctness.
* Configure simplification: Use pkg-config for libofx.
Remove obsolete external qof detection. (Somehow the
argument --with-qt3-wizard-package was writting right
inside the qof code stuff. This has been moved to the
aqbanking section now.)
* Win32: Tweak cross compiling script for webkit so that
is seems to almost compile.
* Correct memory leaks found with valgrind
* Remove unused functions for wall clock timing.
Facilities such as this should be used from external
expert libraries. Also, this is in the way when cleaning
up some log system problems in subsequent commits.
* Fix r20394: Output string clean-up was missing the date
part.
* Move business-options.[hc] from business-utils to
app-utils. As "business-core" has been dissolved, the
"business-utils" code has no more requirements than
app-utils and can be moved there because of this.
* Add ChangeLog.2010.
* Fix missing timestamp in trace files on Windows
* Additional svn:ignore settings
* Add yet more gitignores.
* Add more gitignore entries.
* Add comments to warn about lack of Windows support in
the guid_init function.
* Fix an accelerator.
* Correct memory leaks found with valgrind
* Add more debug logging.
* Minor code cleanup: Move gconf section name into header;
clarify argument name.
* Minor code cleanup in ofx importer; improve
const-correctness.
* Use qualified include path for cmake/automake
simplification
* Add additional debug markers
* Correct memory leak found with valgrind
* Remove some obsolete files These files were once copied
from gtk 2.8 to work around pre-2.8 gtk bugs when that
was still our baseline. Our baseline is currently 2.10,
so these files are no longer needed/used.
* Fix Gtk CRIT warnings introduced in r20351
* Small spelling corrections in comments and some
whitespace adjustments
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Changes between 2.4.2 and 2.4.3 include:
* User-visible changes
o Only show the Save As dialog at the end of the Hierarchy
druid if it was called at the beginning of a new book,
not when a hierarchy is added to from the actions menu.
o Set a printer job name when printing reports and cheques
o Update revision to 2.4.3
o Fix invoice line ordering mismatch between register
window and reports. The new code was missing the call to
gncInvoiceSortEntries.
o Add extra toolbar buttons as shortcuts for some business
functions, "New Invoice" for now. The extra toolbar
buttons are disabled until the user enables them manually
in Preferences -> Business -> Extra buttons.
o Implement command for changing the ordering of invoice
entries by moving them up or down one row. Turned out
this is rather easy: Just swap the "date-entered" of both
items.
o Fix r20272: The text selection after auto-completion
should work correctly now.
o Extend the addr2/addr3 auto-completion also to the
shipping addr2/addr3 lines.
o Implement auto-completion on the addr2/addr3 lines of
the "New Customer" dialog box.
o Fix missing copying of invoice currency on "Copy
Invoice". Unfortunately this feature has been creating
invoices with no currency set. This leads to weird amounts
that have more digits than expected and don't sum up
correctly, and it also triggers the warning dialog "One
or more of the entries are for accounts different from
the invoice/bill currency. (...)"
o Minor tweaking of icon for duplicate invoice so that
it doesn't look grayed out
* Translation updates
* Bugs fixed
o Bug #635552: Rename "Financial Calculator" into "Loan
Repayment Calculator" I've been told (by users who know
the subject well enough) the "Financial Calculator" should
rather be called a "Loan Repayment Calculator" or a
"Mortgage Payment Calculator", as this is what is being
offered there. So I finally made this renaming.
o Bug #640357: Adding very limited Perl-Support for
doxygen Adding Doxygen commands to the Perl-scripts in
the sources I searched for every *.pl file in the GnuCash
source and added Doxygen commands like @file, @brief,
@author to better include them in doxygen. Patch by
Christoph Holtermann.
o Bug #640357: Adding very limited Perl-Support for
doxygen There are a few Perl-scripts scattered through
the GnuCash sources. This patch enables doxygen to
interpret them so that they can be provided with information
about author, date and so on. This is done by telling
doxygen that their python-files. So python-comments can
be used. The actual Perl-source is commented out by using
@cond Perl ...PERL-CODE... @endcond Perl Patch by Christoph
Holtermann
o Bug #640347: Adding Example Skripts for historic Stock
Quotes This patch adds the example skripts from
http://wiki.gnucash.org/wiki/Stocks/get_prices to the
directory python-bindings/example_scripts. Patch by
Christoph Holtermann.
o Bug #640328: This patch makes Transaction.GetSplitList
and Account.GetSplitList return Split instances I changed
gnucash_core.py so that GetSplitList methods of Transaction
and Account return Split-instances so that the user
doesn't need to call Split(instance=GetSplitList()[n]).
I checked the examples and changed one either. Patch by
Christoph Holtermann
o Bug #639906: Changing the way __format__ works for
Split and Transaction Patch by Christoph Holtermann
o Bug #641832: Workaround to avoid the current crashes
on windows. On win32 the queryf() calls below seem to
crash. On the other hand, we know the used libdbi on
windows is fine, so as a first workaround, we assume
libdbi is safe.
o Bug #642445 [PATCH] Segfault when tip_of_the_day.list
is empty
o Bug #642284: Fails to build on Ubuntu Natty Patch by
Ahmed El-Mahmoudy.
o Bug #641832: Use g_strdup_printf() instead of
dbi_conn_queryf() to format the query; the latter crashed
msvcrt. Also reverts r20287 because the root bug is fixed.
o Bug #641909: Fix broken price scatter plot The report
was unknowingly broken by the move of one function in
r20209 namely gnc-locale-default-iso-currency-code from
app-utils to core-utils, and somehow this needs a re-export
in the core-utils.scm declaration. (I don't know why.
For me, this confirms again this whole scheme plugin
stuff sucks, royally.)
* Other code/build changes
o Tag 2.4.3
o Re-indentation of source code.
o Really fix conditional configure test for gtkmm.
o Add optional module that compiles with gtkmm, i.e. in
C++. This was just a crazy idea, but it turns out to be
extremely easy. This can be used as a place for new GUI
elements which people prefer to write in gtkmm/C++ instead
of C. It's disabled by default. Use configure --enable-gtkmm
to enable it.
o Fix const-correctness of gnc-module interface.
o Add missing run-time typechecks in new code.
o Fix CRIT gtk warning if the old_page_long_name was NULL
but still passed to g_strrstr.
o Add accessor of GtkUIManager in GncMainWindow.
o QofSession: Don't push a new generic error if there's
already one available that might be more descriptive.
o Remove no-longer-correct warning about the aqbanking5
setup wizard not being implemented: It is.
o Add a Timespec constructor for the current clock time.
o Fix potential parsing of NULL strings by correctly use
an empty non-NULL string instead.
o Another error message somewhat more verbose.
o Make log warning about bad gnc_numeric print the actual
error code.
o Add address auto-completion of r20272 also for address
line 4.
o Add a common shared quickfill object for the addr2/addr3
lines of a GncAddress.
o Minor code cleanup - remove includes from header if
not necessary.
o Fix CRIT error message on program quit in the aqbanking
module.
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Changes between 2.4.0 and 2.4.2 include:
* User-visible changes
* Partly revert r20207, "Modify Tax Info on Account
Page..." The changes in the tree-model-account caused
CRITICAL gtk warnings, so we revert that part for now.
The changes in gnc-ui-utils.[hc] have been kept.
* Do not modify the entry's DateEntered when duplicating
invoice to keep the entry ordering. Follow-up to r20115.
* Modify Tax Info on Account Page to display or not
display sub-account info based on whether row is
expanded. Revert changes made in gnc-ui-util.c in rev
20039 and instead put those changes in new function:
gnc_ui_account_get_tax_info_sub_acct_string. Define a
new column,
GNC_TREE_MODEL_ACCOUNT_COL_TAX_INFO_SUB_ACCT, in
gnc-tree-model-account.c filled with
gnc_ui_account_get_tax_info_sub_acct_string. Modify
gnc-tree-view-account.c to define a tax_info_data_func
that displays only the the data in the
GNC_TREE_MODEL_ACCOUNT_COL_TAX_INFO model column if the
row is expanded; otherwise it combines it with the data
in the GNC_TREE_MODEL_ACCOUNT_COL_TAX_INFO_SUB_ACCT
model column. Modily the view creation function to use
the new tax_info_data_func.
* Open the newly created invoices for editing after
import.
* Make the splash screen stack as a regular window instead
of stacking in front of everything else.
* SQL Backend Version Control: The final part. New error
dialog boxes for ERR_SQL_DB_TOO_OLD and
ERR_SQL_DB_TOO_NEW Marks the book read-only if the user
doesn't upgrade a too-old db and when the user tries to
load a too-new db.
* Provide more detail in commit error when it's caused by
a read-only book. Mark error message for translation.
* Throw an error and return if if the book is marked
readonly.
* Add icons for Duplicate Invoice functionality
* This patch adds a new option under Edit -> Preferences
-> Date/Time that looks like this: Date Completion When
a date is entered without year, it should be taken: (*)
In the current calendar year ( ) In a sliding 12-month
window starting this many months before the current
month: [ 6 ] Patch by Peter Selinger with minor
modifications
* Fix a bug introduced in 20042 which caused lists of
Scheme strings passed to C code to be garbage. This
caused online price quotes to fail for anything other
than a currency.
* Make it possible to include trading accounts in the
Income Statement and Profit and Loss reports.
* Additionally, make the "Duplicate Invoice" feature
available as menu item and toolbar button when viewing
an invoice.
* Implement "Duplicate Invoice" feature, where a new
invoice is created as a copy of an old one with new date
and new ID. This patch makes this feature available as
button "Duplicate" in the search window.
* Make reconcile+update import action of r20021 bug#373415
enabled by default because it's so useful.
* Fix version number in welcome report.
* Set sort order for GncEntry quickfill to LIFO by-date.
Previously, the insertion order was random instead of
by-date.
* Activate balance averaging in account piechart report,
introduced in r19253.
* Add budget name to budget tab
* Add info about sub-accounts to Tax Info column on
Accounts page.
* A plugin to import CSV data as a new invoice or bill.
Based on code written by Sebastian Held. Also includes a
python script to massage a downloaded order form into
the correct format for import. See
contrib/rapid2gnucash.py This works with Rapid
Electronics (UK) and can be used as a basis for other
vendors. Users need to add a line in their
~/.gnucash/config.user for the module to be loaded:
(gnc:module-load "gnucash/plugins/bi_import" 0) See bug
#624911 for more details.
* Add "copy budget" command to menu. Works like "open
budget" except that a copy of the budget is made with
the name "Copy of "+name of old budget. This command
will allow you to easily create a copy of your 2010
budget and change its name to "2011". I also plan to add
UI capabilities to more easily manipulate budget
numbers.
* Fully implement auto-completion in the invoice entries
on the description field, separately for bills or
invoices. The quickfill is obtained from the global
cache of the GncEntry's descriptions, one for invoices,
one for the rest. The auto-completion is a simple query
to get the newest entry with the same description, but
limited to invoices or bills, respectively.
* Add a new report: Customer Summary. This report shows a
table of all customers and the sales, profit, and markup
in that table.
* Add a new report: Future Scheduled Transaction Summary.
* Improve GncEntry quickfill to create separate quickfills
for invoices and bills
As well as lots of bug and translation fixes.
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The GnuCash development team proudly announces GnuCash 2.4.0, the
latest stable release of the GnuCash Free Accounting Software. With
this new release series, GnuCash can use an SQL database using
SQLite3, MySQL or PostgreSQL. It runs on GNU/Linux, *BSD, Solaris,
Microsoft Windows and Mac OSX.
WARNING: You should uninstall any earlier GnuCash version from your
system prior to installing 2.4.0.
Failing to do so may result in startup errors. In particular on
Windows this may cause "Parse error: entry point not found" errors.
Major changes in the 2.4.0 release include;
* In addition to the XML backend, Gnucash can now use a SQLite3,
MySQL or PostgreSQL database to store the data. This is a new
implementation using libdbi. It supports all features including
the business features. In order to build with this, add
--enable-dbi to the configure command. In addition to the
libdbi-dev package for your distribution, you will also need
the appropriate DBD (libdbi driver) package for sqlite3, mysql
or postgresql.
(not enabled in pkgsrc due to lack of recent libdbi)
* As a replacement for the current GtkHTML HTML engine used to
display reports and graphs, Gnucash can use WebKit. WebKit is
the engine used by Google Chrome on Windows and Safari on Apple.
(enabled in pkgsrc)
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changed.
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and it's not needed except for testing. Bump PKGREVISION.
While here, include desktopdb.mk.
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version, and bump all depends.
Per discussion on pkgsrc-changes.
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to trigger/signal a rebuild for the transition 5.10.1 -> 5.12.1.
The list of packages is computed by finding all packages which end
up having either of PERL5_USE_PACKLIST, BUILDLINK_API_DEPENDS.perl,
or PERL5_PACKLIST defined in their make setup (tested via
"make show-vars VARNAMES=..."), minus the packages updated after
the perl package update.
sno@ was right after all, obache@ kindly asked and he@ led the
way. Thanks!
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Also add some patches to remove use of deprecated symbols and fix other
problems when looking for or compiling against libpng-1.4.x.
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Shared directories can now be created independently by the pacakges
needing them and will be removed automatically by pkg_delete when empty.
Packages needing empty directories can use the @pkgdir command in PLIST.
Discussed and ok'd in thread starting at
http://mail-index.netbsd.org/tech-pkg/2009/06/30/msg003546.html
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major change.
Reported by Robert Elz in PR 41345.
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This changes the buildlink3.mk files to use an include guard for the
recursive include. The use of BUILDLINK_DEPTH, BUILDLINK_DEPENDS,
BUILDLINK_PACKAGES and BUILDLINK_ORDER is handled by a single new
variable BUILDLINK_TREE. Each buildlink3.mk file adds a pair of
enter/exit marker, which can be used to reconstruct the tree and
to determine first level includes. Avoiding := for large variables
(BUILDLINK_ORDER) speeds up parse time as += has linear complexity.
The include guard reduces system time by avoiding reading files over and
over again. For complex packages this reduces both %user and %sys time to
half of the former time.
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2.2.9 - 23 February 2009
Welcome to the GnuCash 2.2.9 Release.
Fixed Bugs:
o #339027: Reconcile window should display the date
o #435642: Crash editing results of a find
o #438132: Warning about commodity being NULL for root account on save
o #462148: Report output is vertically inverted and bottom up
printed (mirror, reverse, &c.)
o #514455: Dutch (Netherlands) translation of account templates
o #526775: Win32: Crashes when importing brokerage account data
o #542382: Assign GnuCash to file name extension .gnucash
o #564209: Improved debuggability for module loading
o #564450: HUF currency handling incorrect as 1HUF divided into
100FILLERs
o #564928: Segfault when closing a invoice tab
o #565421: gnc-date-edit.c did not compile with Gtk < 2.10
o #565721: Multicolumn report options: Report names are not translated
o #566198: Slovakia joined the Euro
o #566352: Crash during OFX import under Win 2000 / SP4
o #566567: Scheme modifications are not built on windows
o #567174: Files with NIS stocks fail to open
o #568327: Using most "budget" reports, without a budget
defined crashes gnucash
o #568653: Add SKR49 template
o #568945: The gnc_pricedb_convert_balance_... methods should
look for the reciprocal of the exchange rate
o #569734: Give the template root account a name
o #570166: Weird text entry box when typing on Account Tree page
o #570894: Use of symbol t, which is not defined in all guile versions
o #571220: Program won't start if SCHEME_LIBRARY_PATH is set
Other Changes:
o Added German account template for a Wohnungswirtschaft business
o Fixed french business account templates
o Updated translations: Catalan, Chinese, German, Italian
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2.2.8 - 14 December 2008
Welcome to the GnuCash 2.2.8 Release.
Fixed Bugs:
o #115066: "Search For" dialog shows all when criteria is left as
default
o #128774: "Edit exchange rate" context menu item disfunctional often
o #137017: date of transaction change with time zone change
o #339433: TiaaCref price quote dates off by one day
o #340041: 0 as an amount should be allowed in Exchange Editor
o #345980: changing Stylesheet doesn't commit
o #347274: to track the difference between budgeted and actual amounts
in the budget report
o #348860: Error with saved multicolumn reports
o #405472: Unable to save changes on files opened over FUSE and sshfs
o #432457: Security/stock import should follow tutorial regarding
Account Name
o #435427: "Generic import transaction matcher" dialog does not sort by
date
o #436342: Currency exchange druid does not show on changed
o #436920: crash on loading OFX data for a commodity that exists
without cusip field
o #492417: currency mapping of New Israeli Shekel
o #529494: Wrong fractional precision in register with multi-currency
transactions
o #532889: Monthly scheduled payments preview shows wrong dates
o #536299: Fix two underlinking issues
o #539947: OpenSolaris:__FUNCTION__ not defined in sun cc
o #543332: Severe performance regression in Average Balance report
o #548218: OpenSolaris: $(expression) cause configure error on solaris
o #554042: OpenSolaris: configure fail on checking 'unsigned long is at
least as big as guint32'
o #557604: date-utilities.scm typos
o #557374: MT940 import does not work
o #563160: Multicolumn report: Confusing order of "Column span" and
"Row span"
o #563273: crash in GnuCash Finance Management: Starting GnuCash
o #564033: aqbanking plugin: g_module_open failed: WEXITSTATUS undefined
Other Changes:
o Fix account defaulting for posting vendor bill
o Fix tax-related inconsistency in UI
o Fix the average cost price source computation for a certain case
o Add account templates: Dutch, Finnish
o Update account templates: Italian, Slovak
o Update translations: Finnish, German, Hebrew, Italian, Japanese,
Russian, Slovak, Simplified Chinese
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to trigger/signal a rebuild for the transition 5.8.8 -> 5.10.0.
The list of packages is computed by finding all packages which end
up having either of PERL5_USE_PACKLIST, BUILDLINK_API_DEPENDS.perl,
or PERL5_PACKLIST defined in their make setup (tested via
"make show-vars VARNAMES=...").
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2.2.7 - 26 September 2008
Welcome to the GnuCash 2.2.7 Release.
Fixed Bugs:
o #139651: Register: Split transaction with multiple currencies fails
o #309863: Balance Sheet: Rounding errors with prices from pricedb
o #341362: Price Editor: Price is displayed as fraction instead
of decimal
o #376298: Price Editor: Window Contents Corrupted After
Manually Adding a Price
o #378734: Drop down calendar only works once
o #430121: Incorrect Sign Symbol for Fractional Commodity/Security Sale
o #454340: Security Editor: duplicate rows after editing a security
o #454827: Reports: Incorrect share value of stocks in foreign currency
o #464771: Investment Portfolio: Report crashes without price data
o #483393: Reports: Allow mixed denominators in numeric collectors
o #504935: Add currencies XDR and XXX
o #506873: Win32: Cannot install online price retrieval with
ActivePerl 5.10
o #520570: Drop-down calendar for "reconcile information" non-responsive
o #522095: Updating stock prices does not update totals shown in windows
o #526313: GnuCash does not support the new currency in Venezuela
o #529816: Supplement "CUSIP" by "ISIN", to give people outside
USA a hint
o #539640: Price Editor: Security disappears from price list
o #539962: Void function cannot return value with sun cc
o #540148: GnuCash cannot be built with libgoffice-0.8
o #541970: Balance Sheet: "Nearest in time" exchange rate not correct
o #543061: Fractional not working in IDR (rupiah) currency
o #543780: Transfer Dialog: CRIT messages in gnucash.trace from
exchange rate dialog
o #545316: Drop-down calendar is not clickable when posting invoice
o #545722: Can't change date in dialog boxes
o #546064: gnucash.desktop file does not comply with
desktop-file-validate
o #548601: AqBanking Import: Obscuring zero balance windows
after getting transactions
o #548891: QIF Import: GnuCash crashes when
.gnucash/qif-accounts-map is readonly
o #549115: Popup calendar unresponsive in modal dialogs
o #549595: Silently removes main files while trying to save without lock
o #549738: Reports: Default date on aging and customer reports
is too far in the future
o #551038: Reports: Alt-O shortcut in report options dialog crashes app
o #552306: Fails to save file when using a network filesystem on Mac
Other Changes:
o New Finnish translation
o Complete Romanian translation
o Usability improvements in the price and the security editor
o Lower number of false positives when checking aqbanking
results for failures
o Correct import of remote names, zero balances from aqbanking3
o Update translations: Catalan, Dutch, German, Italian, Polish
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2.2.6 - 27 July 2008
Welcome to the GnuCash 2.2.6 Release.
Fixed Bugs:
o #129099: Register: Optionally show leaf names instead of full names
o #144669: Register: Shortcut to filter accounts by account number
o #313660: QIF Import: Can't stop progress on long importing process
o #336192: QIF Import: Allow new namespaces when defining new securities
o #353880: Reports: Options dialog violates HIG, add borders.
o #309359: QIF Import: "unknown Action '..'" shown many times
o #452354: Average Balance Report: Translate account type option names
o #454305: Trial Balance Report: Wrong after negative Stock Split
o #460721: Balance Sheet: Should have a "value at cost" option
o #463320: Trial Balance Report: Does not add up correctly
o #470656: Preferences, Win32: Crash when setting accounting period
o #475980: QIF Import: Forward and Back don't follow same path
o #489502: Register: Account autocompletion ignores new
separator until restart
o #501490: Balance Sheet: Incorrect in presence of stock sale
o #502646: Win32: Crash entering dates before 1/1/1970 in dialogs
o #506499: Win32: Crash after online banking transfer
o #512991: Invoices: Do not allow posting to placeholder accounts
o #514210: QIF Import: Allow multiple selections for account mapping
o #515163: QIF Import: Eliminate pointless mappings
o #521403: Reports: One more option in "Price Source" in Stock
Value Reports
o #526883: Transaction Report: Question marks instead of month
in cyrillic locale
o #528835: Crash when creating SKR04 accounts with German locale
o #530924: Customer Report: Honor the used column list
o #531662: Budget report: Crash on #f in budget->guid
o #532405: Win32: Guile crashes on strftime formats containing %e
o #535407: QIF Import: Crash on invalid or unsupported date format
o #538800: Balance Sheet: Gives wrong results
o #539654: Reports: html-table-append-column! in html-table.scm crashes
o #539829: Build Process: qofsession.c compile warning
o #540207: Reports: Show a table of data beneath barcharts
o #542472: Reports: Period does not default to Accounting Period
o #542967: Reports: Options dialog title shows GUID
Other Changes:
o New Hebrew translation
o Add support for aqbanking3
o Correct quickfill directions in transfer dialogs
o Add QIF importer support for importing to A/R and A/P account types
o QIF importer loading speedup and visual feedback, further improvements
o Avoid crashing if a report's option generating procedure
causes a Scheme exception
o Make the new option Average Cost the default for several
reports
o Make weighted average price source computations ignore zero
amount splits
o Support calculation of unrealized gains/losses on liabilities
in balance sheet
o Allow creating new accounts from the general ledger
o Fix some compiler warnings, minor build system improvements
o Update translations: Catalan, German, Russian, Traditional Chinese
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2.2.5 - 27 April 2008
Welcome to the GnuCash 2.2.5 Release.
Fixed Bugs:
o #166101: Register: Topmost splits' accounts are rewritten confusingly
o #341414: QIF Import: Changing account separator breaks saved account
mappings
o #341608: Transaction Report: Filtering void/non-void doesn't work
o #347474: Register: Tab goes to wrong split
o #396665: QIF Import: Detect and convert non-ascii character encoding
of QIF files
o #450354: QIF Import, Win32: Can only load files from ascii paths
o #475960: Reconciliation: Postponed balances of liability accounts are
not reversed correctly
o #467529: Check Printing: Align_n not working in custom check
definitions
o #509089: QIF Import: Duplicates windows shown after Scheme error
o #511182: QIF Import: Saved commodity mappings lost after import to
new GnuCash file
o #511231: QIF Import: Use QIF security type to provide better default
namespace
o #512208: QIF Import: New commodities remain if import canceled
o #512841: Register: Crash in expression parser on nullary functions,
like pmt()
o #514027: QIF Import: Commodities page is skipped if you go back to
currency page
o #519988: QIF Import: Error reporting doesn't follow GnuCash guidelines
o #520606: QIF import: Memo mappings for non-split, non-investment
transactions are ignored
o #521957: Auto-save not canceled on opening other files
o #522795: QIF Import: Does not support "ShtSell" or "CvrShrt"
transactions
o #523194: QIF Import: Existing commodities can cause import failure
o #523922: GnuCash ships the wrong scalable icon and no small (22²,
24²) sizes
o #527459: QIF Import: Support voided transactions
o #527886: QIF Import: Support QIF numeric formats of 12'345.67 as
produced by Quicken 4
o #529232: Average Balance Report: Reversing the starting balance
distorts the numbers
Other Changes:
o Add a new Liberty(tm) check format
o Show QIF import documentation by default
o Improve cancel behavior in reconciliation window
o Fix a few memory leaks
o Update translations: Brazilian Portuguese, German, Romanian, Russian,
Swiss German
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2.2.4 - 02 March 2008
Welcome to the GnuCash 2.2.4 Release.
Fixed Bugs:
o #106242: qif Importer should warn users about dates before 1970
o #106383: feature request: close year end
o #123312: QIF Import: Autoselection of Stock Exchange during import
o #336211: QIF Import generates spurious duplicate transactions
o #360058: GnuCash crashes on QIF-import after changing
account's separator to * (asterisk)
o #373584: Rounding error in QIF import of commodity transactions
o #454834: Memo Incorrect or missing in Transaction Report
o #457591: QIF import does not handle tabs at top of file
o #481528: QIF importer should show imported transaction as
possible duplicate if original transaction is split
o #503166: QIF Import Druid Flow incorrect
o #506798: Custom Reports don't allow sorting by Account Code
o #506873: 'Install Online Price Retrieval' fails with ActivePerl 5.10
o #506810: QIF Import can mismatch account transfers
o #510221: Include Mexican Accounts
o #510630: typo in description of BUYMF transaction (OFX import)
o #510725: crash importing a .OFX file
o #510940: Unrecognized date format causes crash
o #510962: QIF transactions without dates are silently ignored
o #511006: Commodity creation skipped due to saved mappings
o #512166: doesn't build with glib-2.15.3
o #512173: Empty "match payees/memos" druid step shown
o #512497: Investment transactions ignore payee/memo mappings
o #513088: "Find" immediately unmaps window
o #513829: Investment account may be created with Stock account type
o #516178: Scheme error during progress dialog causes freeze
Other Changes:
o Recognize 401k/403b in QIF import
o Remove superfluous trailing colons of de_DE SKR04 account names
o Add russian account templates
o Add Swiss German translation
o Update translations: Brazilian Portugese, German, Greek, Russian,
Simplified Chinese, Slovak, Spanish
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on packages that are affected by the switch from the openssl 0.9.7
branch to the 0.9.8 branch. ok jlam@
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