gnucash stable: Bug 799565 - Reconcile date default doesn't update to reflect previous reconciliation.
Christopher Lam
clam at code.gnucash.org
Fri Mar 7 19:29:03 EST 2025
Updated via https://github.com/Gnucash/gnucash/commit/99506779 (commit)
from https://github.com/Gnucash/gnucash/commit/56254cb2 (commit)
commit 99506779e32c452bced0aa7652070982430f2479
Author: Christopher Lam <christopher.lck at gmail.com>
Date: Sat Mar 8 08:27:38 2025 +0800
Bug 799565 - Reconcile date default doesn't update to reflect previous reconciliation.
A one-word path error in xaccAccountClearReconcilePostpone.
The commit 9172d1dd23 accidentally reverted in 90662d72a2, reapply
diff --git a/libgnucash/engine/Account.cpp b/libgnucash/engine/Account.cpp
index 1228dec8ab..3ad3ee5150 100644
--- a/libgnucash/engine/Account.cpp
+++ b/libgnucash/engine/Account.cpp
@@ -4628,7 +4628,7 @@ xaccAccountSetReconcilePostponeBalance (Account *acc, gnc_numeric balance)
void
xaccAccountClearReconcilePostpone (Account *acc)
{
- set_kvp_gnc_numeric_path (acc, {KEY_RECONCILE_INFO, KEY_POSTPONE, "balance"}, {});
+ set_kvp_gnc_numeric_path (acc, {KEY_RECONCILE_INFO, KEY_POSTPONE}, {});
}
/********************************************************************\
Summary of changes:
libgnucash/engine/Account.cpp | 2 +-
1 file changed, 1 insertion(+), 1 deletion(-)
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