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ChangeLog.2009
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ChangeLog.2009
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2009-12-31 23:15 mta
* [r18542] src/report/utility-reports/hello-world.scm: Load
gnc-build-url from the correct file so the accounts list option
works again.
2009-12-31 14:41 gjanssens
* [r18541] src/app-utils/app-utils.i, src/app-utils/file-utils.c,
src/app-utils/gfec.c, src/app-utils/gnc-exp-parser.c,
src/app-utils/gnc-helpers.c, src/app-utils/gnc-ui-util.c,
src/app-utils/guile-util.c, src/app-utils/option-util.c,
src/app-utils/test/test-print-queries.c,
src/app-utils/test/test-scm-query-string.c, src/base-typemaps.i,
src/bin/gnucash-bin.c,
src/business/business-core/business-core.i,
src/business/business-core/gncBusGuile.c,
src/business/business-gnome/dialog-invoice.c,
src/engine/engine-helpers.c, src/engine/engine.i,
src/engine/glib-helpers.c, src/engine/gnc-hooks.c,
src/engine/kvp-scm.c, src/gnome-utils/dialog-options.c,
src/gnome-utils/dialog-transfer.c,
src/gnome-utils/gnc-main-window.c,
src/gnome-utils/gnc-menu-extensions.c,
src/gnome/dialog-price-edit-db.c, src/gnome/dialog-progress.c,
src/gnome/dialog-tax-info.c,
src/gnome/gnc-plugin-page-register.c, src/guile-mappings.h,
src/import-export/qif-import/dialog-account-picker.c,
src/import-export/qif-import/druid-qif-import.c,
src/report/report-gnome/dialog-column-view.c,
src/report/report-gnome/dialog-custom-report.c,
src/report/report-gnome/dialog-style-sheet.c,
src/report/report-gnome/gnc-plugin-page-report.c,
src/report/report-gnome/window-report.c,
src/report/report-system/gnc-report.c: Fix bug #582325 by
refactoring some deprecated guile functions: SCM_BOOLP ->
scm_is_bool SCM_NULLP -> scm_is_null SCM_FALSEP -> scm_is_false
SCM_NFALSEP -> scm_is_true SCM_VECTORP -> scm_is_vector
SCM_NUMBERP -> scm_is_number SCM_CONSP -> scm_is_pair
SCM_STRING_CHARS -> scm_to_locale_string Specifically the
replacement of SCM_STRING_CHARS with scm_to_locale_string fixes
Bug #582325 Additionally, I have renamed these internal
functions for global consistency: SCM_PROCEDUREP ->
scm_is_procedure SCM_LISTP -> scm_is_list SCM_EXACTP ->
scm_is_exact SCM_EQUALP -> scm_is_equal
2009-12-30 16:49 plongstaff
* [r18540] src/gnome-utils/dialog-transfer.c: Don't show hidden
accounts in the transfer dialog. This should be connected to the
UI, but my ubuntu has glade 3 which mucks up the .glade files.
2009-12-29 21:18 cstim
* [r18539] po/POTFILES.in, po/de.po: Updated German translation
2009-12-29 20:20 cstim
* [r18538] doc/tip_of_the_day.list.in: Bug #605414: Clarify
Quick-fill tip of the day Patch by James Raehl: Patch adds Tab
key step to the Quick Fill tip. New users do not know about this
step.
* [r18537] src/gnome/glade/sched-xact.glade: Bug #605415: Relax
limit on scheduled days in the future Patch by James Raehl:
Expand scheduled transaction date limit by 366 days Usually,
scheduled transactions are limited to 365 days in the future.
This patch doubles that limit plus adds a day for leap years.
The patch supports a method for separating transactions that are
not yet posted at the bank, by assigning an initial date one
year in the future. Under this method, scheduled transactions
and their reminders are one year in the future, since they have
not happened yet.
2009-12-29 20:13 cstim
* [r18536] configure.in: Remove unneeded information lines about
"qof" - we're using our internal code always anyway.
2009-12-29 20:12 cstim
* [r18535] src/app-utils/file-utils.c, src/app-utils/file-utils.h,
src/app-utils/gfec.c, src/app-utils/gnc-account-merge.c,
src/app-utils/gnc-account-merge.h,
src/app-utils/gnc-accounting-period.c,
src/app-utils/gnc-accounting-period.h,
src/app-utils/gnc-component-manager.c,
src/app-utils/gnc-component-manager.h,
src/app-utils/gnc-druid-cb.c, src/app-utils/gnc-druid-cb.h,
src/app-utils/gnc-druid-provider-desc-edge.c,
src/app-utils/gnc-druid-provider-desc-edge.h,
src/app-utils/gnc-druid-provider-desc-file.c,
src/app-utils/gnc-druid-provider-desc-file.h,
src/app-utils/gnc-druid-provider-desc-multifile.c,
src/app-utils/gnc-druid-provider-desc-multifile.h,
src/app-utils/gnc-druid-provider-desc.c,
src/app-utils/gnc-druid-provider-desc.h,
src/app-utils/gnc-druid-provider-file-cb.c,
src/app-utils/gnc-druid-provider-file-cb.h,
src/app-utils/gnc-druid-provider.c,
src/app-utils/gnc-druid-provider.h, src/app-utils/gnc-druid.c,
src/app-utils/gnc-druid.h, src/app-utils/gnc-euro.c,
src/app-utils/gnc-exp-parser.c, src/app-utils/gnc-exp-parser.h,
src/app-utils/gnc-gettext-util.c,
src/app-utils/gnc-gettext-util.h,
src/app-utils/gnc-help-utils.c, src/app-utils/gnc-help-utils.h,
src/app-utils/gnc-helpers.c,
src/app-utils/gnc-sx-instance-model.c,
src/app-utils/gnc-sx-instance-model.h,
src/app-utils/gnc-ui-common.h, src/app-utils/gnc-ui-util.c,
src/app-utils/gnc-ui-util.h, src/app-utils/gncmod-app-utils.c,
src/app-utils/guile-util.c, src/app-utils/guile-util.h,
src/app-utils/option-util.c, src/app-utils/option-util.h,
src/app-utils/test/test-exp-parser.c,
src/app-utils/test/test-link-module.c,
src/app-utils/test/test-print-parse-amount.c,
src/app-utils/test/test-print-queries.c,
src/app-utils/test/test-scm-query-string.c,
src/app-utils/test/test-sx.c,
src/backend/postgres/PostgresBackend.c,
src/backend/postgres/PostgresBackend.h,
src/backend/postgres/account.c, src/backend/postgres/account.h,
src/backend/postgres/book.c, src/backend/postgres/builder.c,
src/backend/postgres/builder.h,
src/backend/postgres/checkpoint.c,
src/backend/postgres/checkpoint.h, src/backend/postgres/demo.c,
src/backend/postgres/escape.c, src/backend/postgres/events.c,
src/backend/postgres/events.h, src/backend/postgres/gncquery.c,
src/backend/postgres/gncquery.h, src/backend/postgres/kvp-sql.c,
src/backend/postgres/kvp-sql.h,
src/backend/postgres/newtables.h, src/backend/postgres/price.c,
src/backend/postgres/putil.c, src/backend/postgres/putil.h,
src/backend/postgres/test/test-db.c,
src/backend/postgres/test/test-escape.c,
src/backend/postgres/test/test-load-backend.c,
src/backend/postgres/test/test-period.c,
src/backend/postgres/txn.c, src/backend/postgres/txn.h,
src/backend/postgres/txnmass.c, src/backend/postgres/upgrade.c,
src/backend/postgres/upgrade.h,
src/backend/xml/gnc-account-xml-v2.c,
src/backend/xml/gnc-backend-xml.c,
src/backend/xml/gnc-backend-xml.h,
src/backend/xml/gnc-book-xml-v2.c,
src/backend/xml/gnc-budget-xml-v2.c,
src/backend/xml/gnc-commodity-xml-v2.c,
src/backend/xml/gnc-freqspec-xml-v2.c,
src/backend/xml/gnc-lot-xml-v2.c,
src/backend/xml/gnc-pricedb-xml-v2.c,
src/backend/xml/gnc-recurrence-xml-v2.c,
src/backend/xml/gnc-schedxaction-xml-v2.c,
src/backend/xml/gnc-transaction-xml-v2.c,
src/backend/xml/gnc-xml.h, src/backend/xml/gncmod-backend-xml.c,
src/backend/xml/io-example-account.c,
src/backend/xml/io-gncxml-gen.c, src/backend/xml/io-gncxml-v1.c,
src/backend/xml/io-gncxml-v2.c, src/backend/xml/io-gncxml-v2.h,
src/backend/xml/io-gncxml.h, src/backend/xml/io-utils.c,
src/backend/xml/io-utils.h,
src/backend/xml/sixtp-dom-generators.c,
src/backend/xml/sixtp-dom-parsers.c,
src/backend/xml/sixtp-parsers.h, src/backend/xml/sixtp-stack.c,
src/backend/xml/sixtp-stack.h,
src/backend/xml/sixtp-to-dom-parser.c,
src/backend/xml/sixtp-utils.c, src/backend/xml/sixtp-utils.h,
src/backend/xml/sixtp.c, src/backend/xml/sixtp.h,
src/backend/xml/test/test-date-converting.c,
src/backend/xml/test/test-dom-converters1.c,
src/backend/xml/test/test-dom-parser1.c,
src/backend/xml/test/test-file-stuff.c,
src/backend/xml/test/test-kvp-frames.c,
src/backend/xml/test/test-load-backend.c,
src/backend/xml/test/test-load-example-account.c,
src/backend/xml/test/test-load-xml2.c,
src/backend/xml/test/test-save-in-lang.c,
src/backend/xml/test/test-string-converters.c,
src/backend/xml/test/test-xml-account.c,
src/backend/xml/test/test-xml-commodity.c,
src/backend/xml/test/test-xml-pricedb.c,
src/backend/xml/test/test-xml-transaction.c,
src/calculation/amort_opt.c, src/calculation/amort_prt.c,
src/calculation/expression_parser.c,
src/calculation/fin-interactive.c, src/calculation/fin-main.c,
src/calculation/fin.c, src/calculation/fin_spl_protos.h,
src/calculation/fin_static_proto.h, src/calculation/finproto.h,
src/calculation/finvar.h, src/calculation/gncmod-calculation.c,
src/calculation/numeric_ops.c, src/calculation/test/test-link.c,
src/core-utils/gnc-gconf-utils.c,
src/core-utils/gnc-gconf-utils.h,
src/core-utils/gnc-gdate-utils.c,
src/core-utils/gnc-gkeyfile-utils.c,
src/core-utils/gnc-gkeyfile-utils.h,
src/core-utils/gnc-glib-utils.c,
src/core-utils/gnc-glib-utils.h,
src/core-utils/gnc-gobject-utils.c,
src/core-utils/gnc-gobject-utils.h,
src/core-utils/gnc-gtk-utils.c, src/core-utils/gnc-gtk-utils.h,
src/core-utils/gnc-main.c, src/doc/doxygen_main_page.c,
src/gnc-module/gnc-module.c, src/gnc-module/gnc-module.h,
src/gnc-module/test/misc-mods/agedver.c,
src/gnc-module/test/misc-mods/futuremodsys.c,
src/gnc-module/test/misc-mods/incompatdep.c,
src/gnc-module/test/mod-bar/bar.c,
src/gnc-module/test/mod-bar/gnc-mod-bar.c,
src/gnc-module/test/mod-baz/baz.c,
src/gnc-module/test/mod-baz/gnc-mod-baz.c,
src/gnc-module/test/mod-foo/foo.c,
src/gnc-module/test/mod-foo/gnc-mod-foo.c,
src/gnc-module/test/test-agedver.c,
src/gnc-module/test/test-dynload.c,
src/gnc-module/test/test-incompatdep.c,
src/gnc-module/test/test-load-c.c,
src/gnc-module/test/test-modsysver.c,
src/libqof/backend/file/qof-backend-qsf.h,
src/libqof/backend/file/qsf-backend.c,
src/libqof/backend/file/qsf-xml-map.c,
src/libqof/backend/file/qsf-xml.c,
src/libqof/backend/file/qsf-xml.h, src/libqof/qof/gnc-date.c,
src/libqof/qof/qofbackend.c, src/libqof/qof/qofbook.c,
src/libqof/qof/qofbookslots.h, src/libqof/qof/qofutil.c,
src/tax/us/gncmod-tax-us.c, src/tax/us/test/test-link-module.c,
src/test-core/gncmod-test.c, src/test-core/test-stuff.c,
src/test-core/test-stuff.h: Re-indentation of source code, next
batch. This also strips trailing whitespaces from lines where
they existed. This re-indentation was done using astyle-1.23
using the following options: astyle --indent=spaces=4
--brackets=break --pad-oper Discussed at
http://lists.gnucash.org/pipermail/gnucash-devel/2009-August/026121.html
2009-12-29 06:13 mta
* [r18534] src/gnome-utils/gnc-menu-extensions.c: Allow digits in
Gtk action names created in gnc_create_extension_info. This
should fix bug 447339 as long as all report names are unique
considering only alphanumeric characters.
2009-12-28 19:50 cstim
* [r18533] po/nl.po: Updated Dutch translation, by Mark Haanen and
Jos, copied from the Translation Project.
2009-12-27 20:51 cstim
* [r18532] packaging/win32/defaults.sh: Updated aqbanking version
numbers for win32 build
2009-12-27 20:46 cstim
* [r18531] po/ja.po: Updated Japanese translation, by Yasuaki
Taniguchi, copied from the Translation Project.
2009-12-23 21:04 cstim
* [r18530] src/gnome/druid-loan.c: I18n fix of concatenated
expression. We must not concatenate a word expression from
different strings. Instead, we must translate each expression
separately. Pointed out by Mark Haanen.
2009-12-23 20:54 cstim
* [r18529] po/nl.po: Updated Dutch translation, by Mark Haanen,
copied from the Translation Project.
2009-12-20 00:25 plongstaff
* [r18528] src/app-utils/options.scm: Fix bug #603215 - Custom
report from Budget Report does not save selected Budget Problem
was how budget option tried to create the lambda function to
restore the value.
2009-12-18 19:45 plongstaff
* [r18527] src/engine/Account.c, src/engine/Split.c,
src/engine/Transaction.c, src/engine/gnc-lot.c: Free
accounts/lots/splits/transactions when closing a book
2009-12-18 12:39 gjanssens
* [r18526] src/gnome-utils/gnc-main-window.c: Bug #479581 gnucash
--nofile hasn't application name in window title When no file is
selected, the title now becomes "Unsaved Book - GnuCash". The
first part is following Gnome HIG guidelines, the latter part is
a preference of several GnuCash developers. Furthermore, the "-
GnuCash" suffix will always be appended, not only when no file
is open.
2009-12-17 08:04 mta
* [r18524] src/report/standard-reports/advanced-portfolio.scm:
Watch out for a missing pricing transaction when looking for
price data.
2009-12-17 08:03 mta
* [r18523] src/engine/gnc-commodity.c: Add a comment about
GNC_COMMODITY_NS_ISO and GNC_COMMODITY_NS_CURRENCY.
2009-12-17 07:56 mta
* [r18522] src/report/standard-reports/register.scm: Add new
columns for the name of the lot each split is part of and for
the value of the split. Both are optional and default to off.
2009-12-17 07:41 mta
* [r18521] src/engine/gnc-commodity.c,
src/register/register-core/table-allgui.c: Fix some incorrect
ENTER() and LEAVE() calls.
2009-12-17 07:40 mta
* [r18520] src/backend/dbi/gnc-backend-dbi.c,
src/gnome-utils/dialog-file-access.c: Fix a couple of
initialized variable warnings.
2009-12-17 07:39 mta
* [r18519] src/gnome-utils/dialog-book-close.c,
src/gnome/lot-viewer.c: Call gnc_{suspend|resume}_gui_refresh
while closing accounts and scrubbing lots to make them go much
faster and avoid flicker.
2009-12-17 07:37 mta
* [r18518] src/report/report-system/commodity-utilities.scm,
src/report/standard-reports/advanced-portfolio.scm,
src/scm/price-quotes.scm: Fix up some gnc:debug calls (and one
comment).
2009-12-17 07:35 mta
* [r18517] src/report/standard-reports/transaction.scm: Watch out
for a null account in render-corresponding-account-subheading,
it happened to me once.
2009-12-17 07:34 mta
* [r18516] src/report/standard-reports/income-statement.scm: Pass
the correct report name to income-statement-renderer-internal
when rendering a profit and loss report.
2009-12-17 07:33 mta
* [r18515] src/report/report-system/report.scm: Don't leak a file
port when saving reports.
2009-12-17 07:28 mta
* [r18514] src/register/ledger-core/split-register-util.c: Reset
found_trans_split when the transaction being considered in
gnc_split_register_find_split turns out to be the wrong one.
2009-12-17 07:26 mta
* [r18513] src/register/ledger-core/split-register-model.c: Add
missing PORTFOLIO_LEDGER register type to switch statement in
gnc_split_register_get_debcred_entry.
2009-12-17 07:21 mta
* [r18512] src/gnome/druid-loan.c: Fix an off by one error in
gnc_ui_sx_loan_druid_create.
2009-12-17 07:17 mta
* [r18511] configure.in, src/bin/gnucash-bin.c: Increase the size
of the Guile stack to avoid stack overflow errors.
2009-12-17 07:15 mta
* [r18510] autogen.sh: Fix a couple of echo commands and set
warnings=no-portability when running automake.
2009-12-17 07:10 mta
* [r18509] src/engine/Split.c, src/engine/Split.h,
src/engine/Transaction.h: Make xaccSplitDump and xaccTransDump
work for debugging.
2009-12-17 06:30 mta
* [r18508] src/engine/Split.c: Teach xaccSplitConvertAmount that
0*x = 0. Avoids looking up non-existant exchange rate.
2009-12-17 06:25 mta
* [r18507] src/engine/Split.c: Add some missing Leave() calls.
2009-12-16 20:37 cstim
* [r18506] po/nl.po: Updated Dutch translation, by Mark Haanen,
copied from the Translation Project.
2009-12-16 12:23 gjanssens
* [r18505] packaging/win32/dist.sh: Fix gwenhywfar version lookup
by tightening the RE used
2009-12-16 00:17 plongstaff
* [r18504] src/bin/gnucash-valgrind.in: Need to export the
variables for glib to see them
2009-12-15 21:27 cstim
* [r18503] packaging/win32/dist.sh: temporarily disable the
gwenhywfar version lookup - there are multiple lines matching
GWENHYWFAR_SO_EFFECTIVE
2009-12-15 20:30 cstim
* [r18502] packaging/win32/dist.sh: Really fix r18495 (#586122) to
look up the so-name of gwenhywfar correctly.
2009-12-14 22:25 gjanssens
* [r18501] configure.in: Require gtk+ >= 2.8
2009-12-14 22:24 gjanssens
* [r18500] src/gnome-utils/dialog-file-access.c: Some usability
improvements to the Save As.../Open dialog (part 2) Forgot to
add the changes in c code...
2009-12-14 21:35 gjanssens
* [r18499] src/gnome-utils/glade/dialog-file-access.glade: Some
usability improvements to the Save As.../Open dialog * The
dialog gets a proper title * Only show the File frame or the
Database frame, as relevant to the chosen data format * Set a
minimum width. Without it the dialog comes up too narrow. * Some
minor layout changes (spacing, justification,...) to harmonize
with other GnuCash dialogs.
2009-12-14 05:52 mta
* [r18498] src/report/standard-reports/Makefile.am: Symlink the
reports to the build directory to make it easier to use them
when running in place after a build without installing GnuCash.
2009-12-14 05:50 mta
* [r18497] src/report/standard-reports/standard-reports.scm: Use
resolve-interface instead of resolve-module when loading reports
fo only the exported interface gets imported instead of
everything defined in the file.
2009-12-14 05:48 mta
* [r18496] src/backend/dbi/test/Makefile.am: Make the dbi backend
tests work correctly if dbd is installed in a nonstandard
location. Supply a GNC_DBD_DIR environment variable to the tests
so it knows where to find the database modules. This is needed
if libdbi is installed via MacPorts on OS X.
2009-12-13 21:16 cstim
* [r18495] packaging/win32/dist.sh,
packaging/win32/gnucash.iss.in: Fix #586122 (follow-up to
r18488) by using aqbanking/version.h from its installation path.
Also look up the gwenhywfar so-name accordingly.
2009-12-13 19:22 plongstaff
* [r18494] src/backend/xml, src/backend/xml/gnc-backend-xml.c,
src/backend/xml/gnc-backend-xml.h,
src/business/business-core/xml, src/gnome-utils/Makefile.am,
src/gnome-utils/gnc-tree-model-account-drag.c,
src/gnome-utils/gnc-tree-model-account-drag.h,
src/gnome-utils/gnc-tree-view-account.c,
src/gnome/gnc-plugin-page-account-tree.c,
src/report/report-system/eguile-gnc.scm: Revert r18426 - "Bug
#121695: Support account reparenting through drag and drop"
Causing CRIT messages when you change accounts in a report
options dialog.
2009-12-13 19:19 plongstaff
* [r18493] src/bin/gnucash-valgrind.in: Add flags to help with
valgrind on glib
2009-12-13 19:18 plongstaff
* [r18492] src/backend/sql/gnc-price-sql.c: Free prices so that
they can be deleted when the book is closed
2009-12-13 00:42 plongstaff
* [r18491] src/engine/gnc-budget.c: Free budgets when closing a
book
2009-12-12 20:05 plongstaff
* [r18490] src/engine/gnc-lot.c: When closing the book, destroy
all lots (found by valgrind)
2009-12-12 00:15 plongstaff
* [r18489] src/backend/dbi/gnc-backend-dbi.c,
src/backend/sql/gnc-backend-sql.c,
src/backend/sql/gnc-slots-sql.c, src/engine/SX-book.c,
src/libqof/backend/file/qsf-xml-map.c,
src/libqof/backend/file/qsf-xml.c, src/libqof/qof/qofbook.c:
Free memory leaks
2009-12-11 19:57 gjanssens
* [r18488] packaging/win32/dist.sh,
packaging/win32/gnucash.iss.in: Bug 586122 - The AqBanking
Wizard can't be loaded: plugins\20 folder to be renamed into
plugins\16 The patch evaluates and configures the proper paths
at build time, retrieving the required info directly from the
aqbanking source
2009-12-11 19:41 cstim
* [r18487] po/nl.po: Updated Dutch translation, by Mark Haanen and
Jos, copied from the Translation Project.
2009-12-11 17:32 plongstaff
* [r18486] src/backend/dbi/gnc-backend-dbi.c,
src/backend/dbi/gnc-backend-dbi.h: Add
qof_backend_module_finalize() routine to call dbi_shutdown() to
free allocated resources.
2009-12-11 17:31 plongstaff
* [r18485] src/libqof/qof/qofbackend.c,
src/libqof/qof/qofbackend.h, src/libqof/qof/qofutil.c: Add
qof_finalize_backend_libraries() which is called during
shutdown. This routine checks each backend library for an
exported qof_backend_module_finalize() routine, and if it
exists, calls it so that the backend can free any resources
which have been allocated.
2009-12-11 02:28 plongstaff
* [r18483] src/backend/dbi/gnc-backend-dbi.c,
src/backend/dbi/test/test-dbi-stuff.c,
src/backend/dbi/test/test-dbi.c,
src/backend/sql/gnc-backend-sql.c,
src/backend/sql/gnc-backend-sql.h,
src/backend/sql/gnc-transaction-sql.c: Fix some memory leaks
found by valgrinding tests
2009-12-10 22:39 jralls
* [r18482] configure.in, src/quotes/gnc-fq-check.in,
src/quotes/gnc-fq-helper.in, src/quotes/gnc-fq-update.in: Remove
erroneous use lib from gnc-fq-*, along with PERLINC setup in
configure.in
2009-12-09 21:30 cstim
* [r18479] src/gnome/glade/account.glade: Small UI string
corrections related to the recent tax enhancements. Patch by J.
Alex Aycinena.
2009-12-09 20:56 cstim
* [r18477] src/app-utils/gnc-ui-util.c: Small UI string
corrections related to the recent tax enhancements. Patch by J.
Alex Aycinena.
2009-12-09 15:14 gjanssens
* [r18474] src/business/business-gnome/dialog-payment.c,
src/business/business-gnome/glade/payment.glade: Payment dialog
layout improvements - Rearrange the frames so that the Transfer
Account frame gets more space - Add tooltips to (owner),
(invoice) and amount related widgets. - Properly align the
invoice_label widget
2009-12-08 20:42 cstim
* [r18473] packaging/win32/dist.sh, packaging/win32/install.sh:
Decrease verbosity during win32 packaging: Inno, gconftool-2,
htmlhelp compiler (hhc) with less output.
2009-12-06 18:58 plongstaff
* [r18470] packaging/win32/install.sh: Disable it_IT help in the
win32 binary
2009-12-04 21:09 cstim
* [r18465] src/app-utils/gnc-ui-util.c, src/tax/us/txf-de_DE.scm,
src/tax/us/txf.scm: Bug #603186: Fix crash with txf.scm on win32
Patch by J. Alex Aycinena: In further testing I discovered that
I omitted some codes in txf-de_DE.scm and txf.scm that need to
be there. Without them gnucash crashes under certain
circumstances.
2009-12-04 20:26 cstim
* [r18464] src/app-utils/app-utils.scm,
src/business/business-utils/business-utils.scm,
src/engine/engine.i, src/libqof/qof/Makefile.am,
src/libqof/qof/qofbook.c, src/libqof/qof/qofbookslots.h: Bug
#537476: Fix currency trading account preference lookup Patch by
Mike Alexander: There are a few values related to the trading
accounts preference that are needed in both Scheme and C code.
Since one of them was already defined in Scheme before I
started, I defined all of them there and tried to import them to
C. This is obviously not a good idea, especially since the make
check tests don't even fire up Guile so Scheme code isn't
available. This patch changes things around to define the values
in C and import them to Scheme.
2009-12-03 21:12 cstim
* [r18460] po/nl.po: Updated Durch translation by Mark Haanen,
copied from Translation Project.
2009-12-02 00:41 plongstaff
* [r18456] configure.in: Update revision number to 2.3.8
2009-12-01 05:15 mta
* [r18455] src/report/report-system/html-acct-table.scm,
src/report/standard-reports/balance-sheet.scm: Fix the bug
described in comment 19 of bug 537476, balance sheet wrong
without trading accounts. The problems is that
xaccQueryAddAccountMatch and xaccQueryAddAccountGUIDMatch match
all accounts rather than no accounts when given a null account
list. This means that gnc:accountlist-get-comm-balance-at-date
returns a balance for all accounts when given no accounts. This
caused the balance sheet report to fail if there were no trading
accounts. There is a similar problem with
gnc:account-get-trans-type-splits-interval in
gnc:html-acct-table-add-accounts! in html-acct-table.scm that is
also fixed.
2009-11-30 23:21 plongstaff
* [r18454] src/backend/sql/gnc-slots-sql.c,
src/backend/sql/gnc-transaction-sql.c: Recreate index after
updating table
2009-11-29 20:22 cstim
* [r18450] src/gnome/ui/gnc-plugin-page-register-ui.xml: Bug
#310567: Disable newly introduced "shift txn forward" feature
again because it is unfinished. The behaviour of the menu item
is not yet clear: After clicking on it, nothing changes in the
transaction, only after I additionally pressed "enter". After
this, the running balance currently isn't updated, which is
additionally confusing. These two points would need to be fixed
before we can recommend this feature for the next stable version
2.4.0. I disable it for now so that we can release something.
2009-11-29 19:48 plongstaff
* [r18449] src/libqof/qof/qofbook.c: Temporarily disable currency
trading accounts so that 'make check' will pass so that 2.3.8
can be released.
2009-11-29 19:47 plongstaff
* [r18448] src/engine/test/test-resolve-file-path.c: Fix
test-resolve-file-path - results have changed now that
resolve_file_path uses '_' instead of ',' for special characters.
2009-11-29 19:45 plongstaff
* [r18447] src/backend/xml/test/test-dom-converters1.c: Fix
compilation problem in test - I'm not really sure why this is
now a problem. Perhaps libxml include files have changed between
ubuntu 9.04 and 9.10.
2009-11-29 19:43 plongstaff
* [r18446] po/POTFILES.in: Add
src/gnome-utils/gnc-tree-model-account-drag.c to po/POTFILES.in
2009-11-28 15:51 plongstaff
* [r18444] src/backend/sql/gnc-transaction-sql.c: Fix bug 600486 -
Unable to open sqllite file on Win7 64 bit Unposted invoice has
NULL tx guid, which wasn't being handled correctly. Doesn't
crash on linux but does on windows.
2009-11-27 03:13 plongstaff
* [r18443] src/gnome-utils/dialog-file-access.c: Fix Bug 591573 -
"File|Save As" with xml option and no file name crashes With no
file name, entered, filename returned from file_chooser is NULL,
which led to the crash. If NULL is returned, just ignore the
button press. Proper UI would not allow Save As to be clicked
unless conditions were right, but I'm not sure how to make that
happen. There is a signal emitted when a file is selected, but
not when characters are typed into the name text field.
2009-11-24 00:09 plongstaff
* [r18441] src/backend/dbi/gnc-backend-dbi.c: Set debug level for
gnc.backend.dbi automatically to DEBUG. This will ensure that
all SQL statements are logged into the gnucash.trace file. This
can provide vital information in case of problems.
2009-11-24 00:07 plongstaff
* [r18440] src/engine/gnc-filepath-utils.c: Fix bug 602603 - State
file cannot be saved with MySQL because of colon in filename
When creating file names for the "books" or "data" directory
under ".gnucash", convert '/' and ':' to '_'. This may mean
state is lost for cases with a full url including type (since
the previous conversion was '/' to ','), but this will only
happen once.
2009-11-23 19:58 cstim
* [r18439] src/report/report-system/html-utilities.scm,
src/report/report-system/report-system.scm,
src/report/standard-reports/budget-income-statement.scm: Bug
#570895: Allow reporting for single budget periods in budget
income statement Patch by Forest Bond: The budget income
statement would be more useful if it allowed reporting for
single budget periods, rather than always reporting for the
entire budget at once. This patch implements the requested
feature.
2009-11-23 19:46 cstim
* [r18438] doc/Makefile.am: Bug #602744: Fix broken tip_of_the_day
list creation. Patch in r18417 from bug #602062 was buggy -
removing the "-x c" argument.
2009-11-22 20:39 cstim
* [r18437] src/html/gnc-html-graph-gog.c: Fix memory leak: Let the
pixbuf renderer for goffice plots be unreferenced upon plot
destruction. Pointed out by Jean Bréfort.
2009-11-22 20:16 cstim
* [r18435] configure.in, po/lv_LV.po: Add Latvian translation by
Valdis Vitolins <[email protected]>
2009-11-22 20:11 cstim
* [r18434] src/libqof/qof/Makefile.am: Add libguile CFLAGS and
LIBADD because since r18429, qofbook.c wants to use libguile
functions.
2009-11-22 20:05 cstim
* [r18433] src/gnome/dialog-tax-info.c: Fix too-new
gtk_dialog_get_content_area function of r18413: Patch by J. Alex
Aycinena: ‘gtk_dialog_get_content_area’ is from GTK version
2.14. The attached patch uses the prior
'(GTK_DIALOG(dialog)->vbox)' in place of
'gtk_dialog_get_content_area (GTK_DIALOG (dialog))' and compiled
successfully on my GTK version 2.16 and the application operated
properly.
2009-11-21 19:53 plongstaff
* [r18432] src/backend/sql/gnc-transaction-sql.c: Transaction post
date also needs to allow NULL values.
2009-11-21 04:32 plongstaff
* [r18431] src/backend/sql/gnc-transaction-sql.c: Fix bug 591098 -
when starting Gnucash, "Present" and all other collumns exept
TOTAL are zero until you open the account Fix bug 598618 - does
not calculate account balances correctly Both of these are
happening because not all transactions are being loaded at
startup. Bug 591098 happens because the account assumes it has
all splits loaded, and looks for the first one after the
requested date to get the present balance. The second happens
because then the splits associated with an invoice transaction
are being loaded, the balance cannot be updated properly. This
change reverts back to loading all transactions on startup. Once
gnucash is a proper database app, we can change back to loading
transactions only when needed.
2009-11-20 21:12 cstim
* [r18430] src/libqof/qof/qofbook.c: Temporary workaround for
crash at startup after r18429. Before this change, gnucash
crashes on start-up with Backtrace: In unknown file: ?: 0*
gnc:*book-label* <unnamed port>: In expression gnc:*book-label*:
<unnamed port>: Unbound variable: gnc:*book-label*
2009-11-20 20:11 cstim
* [r18429] src/app-utils/prefs.scm,
src/business/business-ledger/gncEntryLedgerLoad.c,
src/business/business-utils/business-prefs.scm,
src/business/business-utils/business-utils.scm,
src/engine/Account.c, src/engine/Account.h, src/engine/Period.c,
src/engine/Period.h, src/engine/Scrub.c, src/engine/ScrubP.h,
src/engine/Split.c, src/engine/Transaction.c,
src/engine/Transaction.h, src/engine/engine.i,
src/engine/gnc-commodity.c, src/engine/gnc-commodity.h,
src/gnome-utils/dialog-account.c,
src/gnome-utils/dialog-transfer.c,
src/gnome-utils/window-main-summarybar.c,
src/gnome/druid-hierarchy.c, src/import-export/import-backend.c,
src/import-export/import-main-matcher.c,
src/import-export/import-match-picker.c,
src/libqof/qof/qofbook.c, src/libqof/qof/qofbook.h,
src/register/ledger-core/gnc-ledger-display.c,
src/register/ledger-core/split-register-control.c,
src/register/ledger-core/split-register-layout.c,
src/register/ledger-core/split-register-model-save.c,
src/register/ledger-core/split-register-model.c,
src/register/ledger-core/split-register.c,
src/register/ledger-core/split-register.h,
src/report/report-system/report-utilities.scm,
src/report/standard-reports/advanced-portfolio.scm,
src/report/standard-reports/balance-sheet.scm,
src/report/standard-reports/equity-statement.scm,
src/report/standard-reports/transaction.scm,
src/report/standard-reports/trial-balance.scm: Bug #537476:
Implement currency trading accounts optionally, to be enabled
per-book. Patch by Mike Alexander: This patch implements trading
accounts somewhat as described in Peter Selinger's document at
<http://www.mathstat.dal.ca/~selinger/accounting/gnucash.html>.
Although he describes it as a multiple currency problem, it
really applies to any transactions involving multiple
commodities (for example buying or selling a stock) Hence I've
called the trading accounts "commodity exchange accounts" which
seems more descriptive. In summary these patches add an option
to use commodity exchange accounts and if it is on a transaction
must be balanced both in value (in the transaction currency) and
in each commodity or currency used in any split in the
transaction. If a transaction only contains splits in the
transaction currency then this is the same rule as Gnucash has
always enforced. In this patch, the option to use trading
accounts has been moved from Edit->Preferences to
File->Properties and is now associated with the active book
instead of being a global option. If you have set the global
value on in a previous version you will need to set it on again
in each file for which you want trading accounts, the previous
global setting will be ignored. A more detailed list of changes
follows: 1. Added a "Use commodity exchange accounts" per-book
option. 2. Added gnc_monetary and MonetaryList data types. 3.
Renamed xaccTransGetImbalance to xaccTransGetImbalanceValue and
added a new xaccTransGetImbalance that returns a MonetaryList.
Also added xaccTransIsBalanced to see if the transaction is
balanced without returning a GList that needs to be freed. It
calls both xaccTransGetImbalance and xaccTransGetImbalanceValue
since a transaction may be unbalanced with regard to either
without being unbalanced with regard to the other. 4. Changed
gnc_split_register_get_debcred_bg_color to use
xaccTransIsBalanced. 5. Changed gnc_split_register_balance_trans
to not offer to adjust an existing split if there imbalances in
multiple currencies. Because of bugs in the register code this
is rarely called. 6. Changed importers to use
xaccTransGetImbalanceValue to check for imbalance, assuming that
they won't create multiple currency trasactions. 7. Changed
xaccTransScrubImbalance to create a balancing split for each
imbalanced commodity in the transaction. Also balances the
transaction value. The commodity balancing splits go into
accounts in the hierarchy Trading:NAMESPACE:COMMODITY. The value
balancing splits go into Imbalance-CURRENCY as before. 8.
Changed xaccSplitConvertAmount to use xaccTransIsBalanced
instead of xaccTransGetImbalance. 9. Changed
gnc_split_register_get_debcred_entry to sometimes use the split
amount instead of value if using currency accounts. If the
register is a stock register (i.e., shows shares and prices), it
uses the value if the split is in the register commodity (i.e.
is for the stock) and the amount otherwise. It shows the
currency symbol unless the commodity is the default currency. If
the register is not a stock register it always uses the amount
and shows the currency symbol if the split is not in the
register commodity. Also changed it to not return a value for a
null split unless the transaction is unbalanced in exactly one
currency. This is what goes in a blank split as the proposed
value. 10. Changed refresh_model_row to use
xaccTransGetImbalanceValue to get the imbalance, assuming that
importers don't create transactions in multiple currencies. Also
same change in gnc_import_process_trans_item,
downloaded_transaction_append, and
gnc_import_TransInfo_is_balanced. 11. Changed the
TRANS_IMBALANCE accessor method in xaccTransRegister to use
xaccTransGetImbalanceValue. As far as I can tell this is only
used by the "pd-balance" query type in
gnc_scm2query_term_query_v1() defined in engine-helpers.c. This
query type only tests the result for zero/non-zero. 12. Changed
xaccTransGetAccountConvRate to accept any split into the correct
commodity instead of insisting on one into the provided account.
Then can use it in xaccTransScrubImbalance to set the value of
the imbalance split from its amount, however later changed
xaccTransScrubImbalance to not use it. Instead it sets the value
for the new split correctly to keep the value of the whole
transaction balanced. 13. Changed the balance sheet report to
include a new option to not compute unrealized gains and losses.
14. Related to 9 above, changed gnc_split_register_auto_calc to
not do anything if given a stock register where the value cell
doesn't contain the value. 15. Also related to 9, changed
gnc_split_register_save_amount_values to set the amount and
value fields in the split correctly when using trading accounts.
16. Changed the new account and edit account dialogs to allow
any commodity or currency for an income account if using trading
accounts. It would be better to add a new account type for
trading accounts, but that's a big deal and I'll leave that for
later after we see whether this set of changes is going to be
accepted or rejected. 17. Change
gnc_xfer_dialog_run_exchange_dialog to understand that the new
value is really the split's amount if using trading accounts.
18. Changed xaccSplitGetOtherSplit to ignore trading splits if
using commodity exchange accounts.
2009-11-20 19:57 cstim
* [r18428] src/register/ledger-core/split-register-layout.c,
src/register/ledger-core/split-register-model-save.c,
src/register/ledger-core/split-register-model.c,
src/register/ledger-core/split-register.h: Bug #600374: Add
editable transaction field in the register for bank accounts
Patch by James Raehl: Currently, the only editable date in the
register is the bank posting date. This patch implements a
second editable date in the first field of the second line of a
double-line mode register. The entry date is borrowed in this
implementation. I understand the entry date is used for such as
stock transactions, but to me is mostly useless for those
keeping track of personal finances. This feature has been
requested on occasion, such as at
https://lists.gnucash.org/pipermail/gnucash-devel/2003-August/010279.html
and https://bugs.gnucash.org/show_bug.cgi?id=92274 and
http://lists.gnucash.org/pipermail/gnucash-user/2009-October/031839.html
"Transaction date" refers to such as the date the purchase was
rung up in the store cash register, payment mailed or possibly
received by the recipient, payment received by you, date you
walked into the bank to make a deposit, or even the date the
expense was scheduled. Your intent to expend the money is
definitely determined. "Bank posting date" is when the bank has
finally debited or credited your account. "Date entered" in
Gnucash would be identical to "transaction date", if you always
without fail entered the transaction into Gnucash on the same
date as the purchase, bank deposit, etc. Bug #92274 describes it
better. That mentions 3 dates, date mailed, date gas company
posts the payment, and date the bank debits the payment. I track
even more dates on credit card transactions: statement date,
date bill received, payment mailing date, card payment received
(card transaction) date, card posting date, and bank posting
date. These are currently entered into my transaction Notes
field, which is one reason for my multi-line up/down Notes field
scroll patch, but Notes dates are not sortable. Obviously, the
use of sortable dates is flexible. I use one date as a budget
date (group budgeted expenses with paychecks), and the second as
bank posting date. I could obviously use a third date, the
"transaction date", but haven't implemented that yet (much more
work).
* [r18427] src/gnome/gnc-plugin-page-register.c,
src/gnome/ui/gnc-plugin-page-register-ui.xml: Bug #310567: Add
menu item to shift transaction forward in sorting order Patch by
Steven N. Severinghaus: For me, it would be sufficient to have
keyboard shortcuts to increment and decrement the entry time of
the transaction by one second. This is essentially what I have
to do when I edit the XAC file manually. If hidden functionality
isn't acceptable, we could add "Shift forward" and "Shift
backward" items under the "Transaction" menu.
* [r18426] src/gnome-utils/Makefile.am,
src/gnome-utils/gnc-tree-model-account-drag.c,
src/gnome-utils/gnc-tree-model-account-drag.h,
src/gnome-utils/gnc-tree-view-account.c,
src/gnome/gnc-plugin-page-account-tree.c: Bug #121695: Support
account reparenting through drag and drop in the account tree
view Patch by Matt Lavin: Here is a patch that implements drag
and drop reparenting in the accounts page. The function works
for me, and I can't think of anything more that needs to be
done, but I'm new to the Gnucash codebase so a thorough review
would be great.
2009-11-20 02:10 plongstaff
* [r18425] src/gnome-utils/gnc-tree-model-account.c,
src/gnome-utils/gnc-tree-model-account.h,
src/gnome-utils/gnc-tree-view-account.c: Fix bug 492865 - Add
Last Reconcile Date as an Option in the Chart of Accounts Patch
by David Hampton
2009-11-20 01:20 plongstaff
* [r18424] src/backend/sql/gnc-backend-sql.c,
src/backend/sql/gnc-transaction-sql.c,
src/business/business-core/sql/gnc-entry-sql.c,
src/business/business-core/sql/gnc-invoice-sql.c: Fix bug 593581
- 2.3.5: Save to MySQL still fails with date error After the
change storing date-time values as a TIMESTAMP, a Timespec value
of 0 could be stored in mysql (I'm in EST timezone) because it
converted to "19700101000000" which is "19700101050000" UTC
which is in the valid TIMESTAMP range of >= "19700101000001".
However, someone in UTC couldn't store that value because it is
treated as in the local timezone, and for someone in UK, it is
out of range. This change changes 0 Timespec values to NULL db
values. Slots already allow NULL TIMESPEC values. There are a
few places where the db schema needs to be changed to allow NULL
values.
2009-11-17 21:15 cstim
* [r18420] src/import-export/aqbanking/gnc-ab-utils.c,
src/import-export/aqbanking/gnc-ab-utils.h: Decrease verbosity
of aqbanking plugin: Debug output only if preference was
selected.