User:Bengtt
From GnuCash
								
												
				This page is just a temporary page to keep track of the progress of the concept guide, as well as what needs to be done with it.
Contents
Sections marked TODO
-  Chapter 8
- Recording Stock Splits and Mergers (How-To)
 - Recording Employee Stock Plans (Discussion)
 - Stock Options (How-To)
 - Reconciling with the Brokerage Statement (How-To)
 
 
Chapters that are ok
Ongoing work
- 8. Investments
 
Remaning work
General
- 1. Overview
 - 2. The Basics
 - 3. Accounts
 - 4. Transactions
 
Personal
- 5. Checkbook
 - 6. Credit Cards
 - 7. Loans
 - 9. Capital Gains
 - 10. Multiple Currencies
 
Business
- 11. Depreciation
 - 12. Accounts Receivable
 - 13. Accounts Payable
 - 14. Payroll
 - A. Migration Guide
 
Thoughts and comments
- Make examples with separate accounts for each stocks/brokearage income/expense, so we can track each stocks costs
 - One datafile perchapter, and the chapter has to explain how to create the datafile with all its entries.
 -  If you have multiple bank accounts with one bank the following should be an example?
- Asset:Bank:CitiBank:Saving
 - Asset:Bank:CitiBank:ATM
 
 -  Multiple currencies
- Equity:Opening Balance:USD
 - Equity:Opening Balance:AUD
 - Income:Saving:CitiBank:Interest (where CitiBank is all in USD)
 - Expenses:Bank:CitiBank:Interest (where CitiBank is all in USD)
 - Income:Saving:Boom:Interest:HKD (boom has one USD and one HKD account)
 - Income:Saving:Boom:Interest:USD (boom has one USD and one HKD account)
 
 - When you create a commodity, you should also directly create the Dividend account