Versie 5.17 van GnuCash is uitgekomen. GnuCash is een crossplatform en opensource boekhoudprogramma voor particulieren en kleine bedrijven. Het maakt gebruik van het dubbelboekhoudsysteem en is in staat om eenvoudig bijvoorbeeld bankrekeningen, beleggingen, inkomsten en uitgaven, budgetten, hypotheken en leningen bij te houden en kan natuurlijk rapportages en grafieken maken. De changelog voor deze uitgave maakt melding van de volgende veranderingen en verbeteringen:
Between 5.16 and 5.17, the following bugfixes were accomplished:The following fixes and improvements were not associated with bug reports:
- Bug 797872 - Multiple check printing results in nothing sent to print queue after first check
- Bug 799753 - Reconciliation error when reconciling transactions posted after the reconcile date
- Bug 799772 - Invoice layout: footer should span both columns and header tables should be easier to align/style
- Bug 799774 - Import transaction from CSV skips fields if CSV file has backslash just before final quote in a quoted field
- Bug 799790 - RFE: Always put Debits before Credits for CSV register export (order transaction splits as shown on screen)
- Bug 799791 - Unvoid is not available (Bug from the mailing lists): Use the existence of void timestamp instead of void reason to determine if a transaction is voided. A user can void a transaction without providing a reason.
- Bug 799798 - bringing back the previous tooltip (from 4.x) as a configurable choice: Enable tooltips on line and bar charts to represent individual points as well as all the points on a particular date.
- Bug 799799 - Enhancement - making the tooltip more readable
- Bug 899803 - Split context/category to msgctxt field in gnc-glossary.txt to provide better translation experience Translations aren't changed but are marked fuzzy. Keywords that aren't proper nouns are lower cased, consistent with how words appear in a dictionary.
- Bug 799806 - Locale "C.UTF-8" crashes the Mortgage and Loan Repayment Assistant
- Bug 799813 - gnucash-cli issue for price updates using Postgressql back-end
The following functions are deprecated:
- Better handling of stocks that have split in the Show Lots dialog: Lot split transactions are hidden and the changes in the amount of the stock are tracked so that the capital gains calculation can determine the correct basis.
- Reformat chart tooltips to improve readability.
- Charts: Add global preferences for marker style and size.
- Charts: Add global preferences for engagement radius, tooltip pointer size, and the position of grouped tooltips.
- Charts: Add option to show only non-zero values in tooltips.
- Cash Flow report: Add option to hide the list of involved accounts at the top of the report
- Multicolumn Reports: Saving the configuration (and this includes quitting GnuCash with a multicolumn report tab open) now saves the multicolumn report even when the user has clicked through to a subreport.
- Removed MorningstarUK and MorningstarCH from quote sources, no longer supported by Finance::Quote.
- AqBanking Import: Add option to import pending transactions
- Qif Import: Fix YDM date parsing.
- Edit Exchange Rate: Improve the message and comment explaining why the Transfer Dialog isn't shown when Edit Exchange Rate is selected from the context menu in a stock-type register.
- Sort Id columns in tree views and QofQuery results naturally, meaning that alpha parts of an id are sorted lexically while numeric parts are sorted numerically, instead of always lexically. For example abc1, abc2, abc15 instead of abc1, abc15, abc2.
- Windows: Force path strings to UTF-8 instead of the locale's DOS code page to ensure non-ASCII paths are handled correctly.
- Doxygen: Set header version to VCS version if building from VCS
- C/C++ API Documentation is now built on every push and uploaded to https://gnucash.github.io/gnucash/Documentation/
- [import-export/test] add tests for gnc_import_parse_date|numeric
- [import-parse.cpp] compile regex before trying to parse dates
- [assistant-stock-transaction] After the stock transaction assistant finishes, open the stock account register and jump to the transaction just created.
- [stylesheets/footer.scm] add markup "stylesheet-footer" to footer to allow easier css styling
- [html-chart.scm] Multi-column reports: Isolate each sub-reports variables to eliminate cross-talk between subreports.
- Replace removed Python 2 C API macros for SWIG 4.5.0 compatibility
- [gnc-euro.cpp] use GncNumeric.convert() instead of gnc_numeric_convert
- Update supported platforms in README.
- [engine] qof_session_end: Ensure the backend lock is removed in all cases.
- [backend/dbi] skip the libdbi integrity probe for read-only sessions
- [gnc-euro.cpp] store euro rates as GncNumeric instead of floating point numbers to speed up euro conversion and ensure accuracy
- [report-utilities.scm] convert account value accumulator to c++
- [test-report-utilities.scm] add test at date boundaries
- Python: GncPrice.set_source_string
- Guile: gnc-price-set-source-string
In both cases code should use the set_source function that takes an enum instead. The functions will be removed in GnuCash 6.0
New and Updated Translations:
- Chinese (Simplified Han script)
- Czech
- Dutch
- English (Australia)
- English (New Zealand)
- English (United Kingdom)
- German
- Hungarian
- Italian
- Norwegian Bokmål
- Portuguese
- Portuguese (Brazil)
- Russian
- Spanish
- Swedish
