Release of GnuCash stable version 1.8.5
Eneko Lacunza
listas at enlar.net
Wed Aug 20 12:47:50 CDT 2003
Spanish translation update wasn't released?
El mié, 20 de 08 de 2003 a las 05:36, Chris Lyttle escribió:
> What's New in GnuCash 1.8.5?
>
> o Add IS_PAID column and the ability to search for paid/not-paid
> invoices.
> o Add HBCI online transfer templates and make usable
> o Fix a bug where if you unpost an invoice and don't bring the
> TaxTables up to date, the total value shown in the register is
> different depending on whether the cursor is on the current line
> or not.
> o Don't constantly resize the invoice window every time we update
> ourselves.
> o Updated Italian, Brazilian Portugese, German, Czech, Dutch and
> British English translation.
> o Add Subtotal and Tax labels in the summary bar to print the
> Invoice's total amounts.
> o Change the log format to use GUID instead of C pointers, use
> ISO8601 instead of proprietary form and log the Notes field.
> o Port new log replay module from HEAD.
> o Re-enable reversed legend in stacked barcharts. Needs Guppi 0.40.4
> a.k.a. Guppi CVS, though, to actually work.
> o Update the Polish Zloty for its new ISO currency code.
> o Add ability to sort by Action and Notes.
> o Fix the vendor window title to use the company name, not the
> contact name. Change the message when the company name is left blank.
> o Create a new "date format" widget to let the user choose a date
> format (and see the results of what the date would look like).
> o Add "Deluxe Personal Check" type. Add support for printing to
> "deluxe" personal checks. This prints the check "sideways" on a
> US-Letter configuration.
> o Backport the QueryList widget and associated usage (this allows
> more places to have sortable column displays for query results)
> o Improve HBCI error handling. Add more user feedback functions.
> o Add support for KtoBlzCheck, a small checking package for
> destination account numbers for German banks. Very small, very useful
> http://sourceforge.net/projects/ktoblzcheck
> o TRANSLATION_HOWTO: Added, by Jon Lapham
> o Add API to the plugin modules to allow post-processing (scrubbing)
> of the book after it is loaded from XML. This allows a plug-in to
> post-process the complete book.
> o Create a scrub function to clear up bogus tax tables due to a bug
> which could cause tax tables to get created ad-nausium if you post
> and then unpost an invoice.
> o Create a scrub function to clear up bogus bill terms due to a bug
> which could cause bill terms to get created due to post/unpost of
> invoices.
> o Enable the exchange-rate dialog on "search ledger" registers.
> o Raise the import window after choosing a file.
> o Change dialog statements to allow for embedded percent signs in the
> messages. In other words, don't allow user input into the format
> string of a printf.
> o Change how the billterms option menu is used so it will change
> properly if you change the invoice's owner.
> o Don't use gnc:reverse-account-balance? to determine whether to
> reverse the balance -- base it purely on the report type.
> o Fix gncBillTermCopy() so it PROPERLY copies the bill term.
> o Tolerate some HBCI banks failure of the GetSystemId-job.
> o Don't allow selection of directory for save file.
> o Add fancy-invoice report, to show what else is possible. It's not
> really useful per se, but it is another example for users. To be
> useful it requires some custom editing.
> o Limit the commodity choices based upon the current account type.
> o Add a new argument to the dialog creation functions to specify what
> types of commodities should be presented.Also tweak the title of the
> dialog based upon this argument. Remove the "new" button when the
> dialog is limited strictly to currencies.
> o Show the running balance column by default in the register report.
> o Annotate the window title to indicate whether a register is for a
> single account or it includes all subaccounts.
> o Change the register close dialog to include a cancel option.
> o Don't close the register if the user cancelled.
> o If the user has manually entered an amount, then stop automatically
> updated the amount when the date is changed.
> o Refactor many HBCI functions to eventually enable queued processing
> of several HBCI jobs.
> o Add a "retained earnings" item under equity, and change the title
> to include the start date (Balance Sheet report).
> o Don't print the "handling-request" messages when getting stock
> quotes.
> o Display selected pixmap when opening an options window.
> o Fix 'Save As' so it can write to non-existing files.
> o New data file should have same uid/gids original file.
> o Added Italian account templates by Lorenzo Cappelletti
> o Change HBCI online transfer action so that first the gnucash
> Transaction is created and only after that the HBCI connection is
> started. Necessary for later implementation of offline queueing and
> multi-job execution.
> o Clarify the part of the HBCI setup about potentially adding HBCI
> accounts manually.
> o Add a couple of extra checks to prevent crashing if the commodity
> attached to a price quote has disappeared.
> o Provide a new warning message before deletion if a commodity has
> any price quotes. If the user deletes the commodity anyway, removed
> any quotes are based on the commodity
> o Enhance the get prices routine to handle a request with a NULL
> currency.
> o Fix a crash where removing items in the wrong order could cause
> "Bad Things" to happen
> o Sort the bills before displaying them, so they appear in a
> consistent order (by date due).
> o Fix a bunch more rounding errors, and add more precision to the
> price.
> o Change the description and action of Invoice and Payement
> Transactions/Splits, to make it easier to print a check off the
> posted transactions.
> o Add Debit and Credit totals to Register report.
> o Differentiate between "file is already locked" and "we can't create
> the lockfile" so we can let the user know.
> o Fix the message to be more appropriate when we hit a READONLY
> error.
> o Various Postgres backend fixes
> o Add button for manual adding of HBCI accounts. Requires latest
> OpenHBCI 0.9.13
> o Add saving of the HBCI_API so that bank's status changes will now
> be remembered immediately.
> o Add "(Report)" strings to the various columns displayed in the
> report currency.
> o Set the date-entered on invoice transactions to "now" instead of
> the post date. Thi lets us know when an invoice was actually posted,
> or a payment was actually made.
> o Support "gain/loss" balancing splits on stocks
> o Apply patch to fix a number of off-by-one bugs in the loan druid.
> o Adapted to latest gnucash-docs changes, by Jon Lapham
> o Add code to read XML files with real namespace declarations.
> o Make sure we define PWD, as not all shells define it properly.
> o Workaround for multi-currency importing bug.
>
> Available at the usual places!
>
> http://www.gnucash.org
>
> http://download.sourceforge.net/gnucash
>
>
> Chris
--
Eneko Lacunza <listas at enlar.net>
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