2019-07-16 GnuCash IRC logs
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07:00:23 <heyzeuss> Hello
07:00:39 <heyzeuss> Looking for a way to import a list of customers
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07:41:06 <heyzeuss> Never mind, I found a way to import customers. :)
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10:00:55 <chris> warlord/jralls: I wish to peek at the scrubs mechanism. is there a centralised list of book-scrubbing functions?
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10:02:08 <chris> eg I guess every txn with TXN-TYPE-INVOICE must have a lot... is this enforced by scrubbing?
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10:03:31 <warlord> chris, check out Scrub*
10:05:12 <warlord> But no, I don't think there is a scrub specifically for that because there shouldn't be a way to create a TXN-TYPE-INVOICE outside of the biz features.
10:06:36 <chris> ok I can assume then that all txn-type-invoice txns must have a lot, 1:1, enforced by the API rather than scrubbing :)
10:11:38 <warlord> THat should be the case.
10:14:30 <chris> thanks!
10:14:48 * chris trying to pry query away from old code replace with xacc and gnc calls
10:17:59 <warlord> What do you mean?
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10:19:23 <chris> during refactoring of owner-report there's repeated query->txns for each APAR acct, then query->lots... and we want to avoid too much qof-query; I hope to do 1 query->txns for all APAR accounts then txns->lots via API
10:26:31 <warlord> That makes sense.
10:29:03 <chris> (lots (map (compose gncInvoiceGetPostedLot gncInvoiceGetInvoiceFromTxn)
10:29:04 <chris> (filter txn-is-invoice? txns)))
10:29:14 <chris> better than repeating QueryGetLots...
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10:47:00 <warlord> Yeah, I'm not sure why there is that QueryGetLots call?
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10:58:30 <chris> warlord: you tell me :)
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11:09:51 <warlord> I didn't handle multiple APARs
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11:22:28 <chris> warlord formerly there'd be 1 query to get invoice-txns, and another query to get lots for the bottom aging-table. the refactored report should have 1 query to handle everything.
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11:34:28 <warlord> Hmm. Not sure why that was done.
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14:11:26 <Simon> bah. GnuCash is doing that transaction swap thing again
14:11:49 <Simon> every time the file is saved it swaps two transactions around in the file
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14:14:52 <Simon> I think I fixed this previously by deleting the [unused] SX
14:15:10 <Simon> but now it happens on an SX that I need
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14:43:41 <Simon> I can't work out how to get at the scheduled transactions using the Python bindings, to force it to sort them
14:44:57 <warlord> I dont know if there is a python wrapper around the SX
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14:49:31 <Simon> is there an easily found place in the code where I could just insert a sort then? I could split it into two SXes but I'd want them to be created in a consistent order
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14:54:00 <warlord> You could check out how it's done for Accounts and Splits and duplicate that logic.
14:59:07 <Simon> I don't really understand why it would sort normal accounts but not scheduled transactions anyway
14:59:47 <Simon> or maybe only SXes get loaded in reverse order
15:04:51 <warlord> I dont know. Sorry.
15:05:03 <warlord> This is 3.6? If so, file a bug report.
15:05:14 <warlord> I thought they had stabilized the XML output
15:05:51 <Simon> it's 2.6.19
15:12:56 <warlord> Simon, Oh.. That's REALLY REALLY old..
15:13:05 <warlord> Try 3.x first before filing a bug report.
15:13:43 <Simon> I already filed a bug report in 2015
15:14:50 <Simon> but I didn't note where in the code it reverses the splits on load, otherwise I would change that instead
15:24:04 <warlord> I dont know.
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