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Subject: CVS commit: pkgsrc/finance/gnucash-docs
From: Thomas Klausner
Date: 2014-04-03 12:55:53
Message id: 20140403105553.DD25A96@cvs.netbsd.org
Log Message:
Update to 2.6.3:
Version History
---------------
2.6.3 - 30 March 2014
o There have been no documentation changes since 2.6.2
2.6.2 - 2 March 2014
o Bug 547386 - Help text for Employee section missing.
o Bug 723173 - One error and some typos in documentation. Thanks to
Imat for the patch.
o Bug 725013 - dividends reinvested example text doesn't match
graphic. Also remove a useless figure and improve text.
o Assorted typos and version number corrections.
2.6.1 - 1 January 2014
o First documention updates for credit notes
o Adapt migration documentation to gsettings introduction
o Move most of the text regarding business features from guide
to help, correct links and wording and many small improvements.
o Add information about the Business tab in book options window.
o Enable building Japanese PDF without requiring Debian or
downloading fonts from anywhere.
o Add Fedora font paths
o Adjust image after [23668] update.
o Doc/guide/C: add cash account to accts-examples-organization2
o Docs/guide/de: minor corrections of spelling and an
extension by Martin Mainka
o Update Italian translation of guide.
o Update instructions for Italian translation to adapt them
to new generic langcode.
2.6.0 - 29 December 2013
o Updated documentation for new GnuCash stable version 2.6.0
o Update Preferences section
o Menu and Toolbar references
o Update Business Documentation: Bobby Ratliff
o Budget Features: Bobby Ratliff
o Update Copyrights, Author lists, and metadata
o Add facility to publish docs as e-pubs
o Bug 513122 - Documentation doesn't explain how to import
account tree.
o Bug 604519 - Explain scope of Find Transaction tool.
o Bug 608932 - The documentation provided for opening a new
stock account is not appropriate
o Bug 633524 - Guide: introduce some splits concepts to help
with understanding transactions.
o Bug 638955 - Add documentation for book closing
o Bug 639264 - Add information in Concepts 4.5 to Explain
Starting Balance in Reconcile window
o Bug 661705 - OMF files not installed at the right place:
Yelp doesn't see them
o Bug 670354 - [PATCH] Outdated Docs - Assign Starting Invoice Number
o Bug 672668 - Add section explaining how to migrate data.
o Bug 684709 - Some rearrangement of text and chapters.
o Bug 687476 - Document Customer/Vendor overview feature
o Bug 688425 - Fix steps in putting it all together section.
o Bug 688579 - Run xmllint or variant in make distcheck
o Bug 688968 - Investment documentation improvements for
chapter about selling shares.
o Bug 691762 - Clarify behaviour of Find Transaction dialog
box's `Reconcile' criteria buttons.
o Bug 692917 - Note for keys when entering transactions.
o Bug 693493 - Add text to Tutorial 2.2.3 to explain
Debit/Credit Columns in register
o Bug 699430 - Describe the Assets over Time barchart Report
o Bug 700656 - Tutorial does not explain type of security
o Bug 702039 - Canadian stocks are fetched in USD by Finance-Quote
o Bug 712308: Double click on parent account doesn't open the
register - new behaviour not documented.
o Bug 715161 - File structure csv import customers and vendors
o Updated Translations: German, Italian
Files: