4.2. Account Tree

To simplify navigation the following are the topics covered in this section; Account Tree - Menus, Account Tree - Tool Bar Icons/Buttons, Account Tree - Display.

Figure 4.1. An "Account Tree" Window.

Account Tree screen

This is an screen image of the "Accounts" tab after creating a new file and "select all" of the accounts.

4.2.1. Account Tree - Menus

The Menu bar for the Accounts Tree window contains the following options;

4.2.1.1. Account Tree - File Menu

The following table describes the options in the File Menu.

Clicking on the File option of the Menu bar will "pull down" a menu of options described in the File Menu table.

Table 4.2. Access to file and account operations and printing.

Menu Item

Description

New ->

Selects the New Account, Budget and file options sub-menu

New File

Creates a new data file (Starts with new Accounts and data.)

New Accounts Page

Creates an copy of the Account tree

New Budget

Starts the Creates a New budget druid.

New Account...

Creates a New Account and opens the account properties.

New Account Hierarchy ...

Starts the Creates a New Account Hierarchy sequence.

Open ->

Selects the Open sub-menu options described below

Open ...

Starts the "Open another data file" process.

Open Budget

Opens an existing budget.

Open Account

When an account is selected in the Account Tree opens the register for that account. Menu Shortcut Ctrl-O

Open Sub-Accounts

When an account is selected in the Account Tree opens a General Ledger register for that account and all sub-accounts

Import ->

Opens the Import sub-menu to import files from other financial programs.

Import QIF ...

Starts the QIF file Import process.

Import OFX/QFX ...

Starts the OFX/QFX file Import process.

Replay GnuCash .log file...

Starts the replaying of a GnuCash log file. Used for data recovery from "crashes".

Save (Ctrl-S)

Saves the currently open file. Menu shortcut Ctrl-S

Save As ... (Shift+Ctrl+S)

Saves the currently opened file with a different name. Menu shortcut Shift+Ctrl+S

Export ->

Exports ...

Export Accounts

Exports your account hierarchy to a new file. Does not export data.

Properties (Alt+Return)

Sets options for this GnuCash data file.

Recently opened files

Numbered list of most recently opened GnuCash data files.

Quit (Ctrl+Q)

Exits GnuCash. Menu shortcut Ctrl-Q

4.2.1.2. Account Tree - Edit Menu

Table 4.3. Account Tree - Edit Menu - Access to file and account editing operations and preferences.

Menu Item

Description

Edit Account Ctrl+E

Modify name or characteristic of selected account.

Delete Account ...

Remove an account.

Renumber Sub-account ...

Starts the Renumber Account druid. See To Renumber Subaccounts.

Find ... Ctrl+F

Set criteria for a search for a specific transaction. See Find Transactions for specifics on searches.

Preferences

Customize GnuCash for location, style, and numerous other preferences. See Setting Your Preferences.

Style Sheets

Modify/customize Style Sheets. See Changing Style Sheets.

Tax Options

Set tax characteristics on account(s) (US). Assign tax form and line to account.

4.2.1.3. Account Tree - View Menu

Table 4.4. Account Tree - View Menu - Changes display window view.

Menu Item

Description

Toolbar

Check-box to Enable/Disable display of Toolbar.

Summary Bar

Check-box to Enable/Disable display of Summary Bar.

Status Bar

Check-box to Enable/Disable display of Status Bar.

Filter by ...

Set filter for accounts displayed in the Account Tree display.

Refresh Ctrl+R

Repaint the display screen.

4.2.1.4. Account Tree - Actions Menu

Table 4.5. Actions Menu - Setup scheduled transactions, repair accounts, perform stock splits, transfer and reconcile transactions.

Menu Item

Description

Scheduled Transactions ->

Scheduled Transactions sub-menus

Scheduled Transaction Editor

Invoke tool to edit scheduled transactions. See Scheduled Transaction Editor

Since Last Run...

Display Scheduled transactions since last running of GnuCash

Mortgage & Loan Repayment Setup

Starts the Mortgage & Loan Repayment druid for setting up repayments. Mortgage & Loan Repayment Druid

Transfer...

Starts the Transfer druid for transfer between accounts.

Reconcile...

Starts the Account Reconcile druid

Stock Split...

Starts the Stock Split druid. Additional details To Perform a Stock Split

View Lots...

Opens the "Lots in Account" form.

Check & Repair ->

Check & Repair Submenus

Check & Repair Account

Check for and repair unbalanced transactions and orphan splits in this account.

Check & Repair Sub-accounts

Check for and repair unbalanced transactions and orphan splits in this account and its subaccounts.

Check & Repair All

Check for and repair unbalanced transactions and orphan splits in all accounts.

Reset Warnings...

GnuCash gives warnings when certain operations are attempted, such as removing a transaction or removing the splits of a transaction. The warning message gives you the option to not give you these warnings when attempting the operation. Checkboxes labeled "Remember and don't ask me again" and "Remember and don't ask me again this session" allow disabling the warnings. This option resets the warning's to the default, IE make all the warning's happen.

Rename Page

Open the form to rename the current page/tab.

4.2.1.5. Account Tree - Business Menu

Table 4.6. Business Menu - Access small business features of GnuCash.

Menu Item

Description

Customer ->

Select customer related activities.

New Customer...

Start the form to create a new customer.

Find Customer...

Start the druid to search for a customer.

New Invoice...

Start the form to create a new invoice.

Find Invoice...

Start the druid to search for a invoice.

New Job...

Start the form to create a new job.

Find Job...

Start the druid to search for a job.

Process Payment...

Starts the Process Payment druid. Requires an account of type "A/Payable" before running druid.

Vendor ->

Select vendor related activities.

New Vendor...

Start the form to create a new vendor.

Find Vendor...

Start the druid to search for a vendor.

New Bill...

Start the form to create a new bill.

Find Bill...

Start the druid to search for a bill.

New Job...

Start the form to create a new job.

Find Job...

Start the druid to search for a job.

Process Payment...

Starts the Process Payment druid. Requires an account of type "A/Payable" before running druid.

Employee ->

Select employee related activities.

New Employee...

Start the form to create a new employee.

Find Employee...

Start the druid to search for a employee.

New Expense Voucher...

Start the form to create a new expense voucher.

Find Expense Voucher...

Start the druid to search for a expense voucher.

Process Payment...

Starts the Process Payment druid. Requires an account of type "A/Payable" before running druid.

Tax Table Editor

View and edit the list of tax tables.

Billing Terms Editor

View and edit the list of Billing Terms.

Bills Due Reminder

View and edit the list of Bills Due Reminder.

Export ->

QSF Invoice...

Export one or more Invoice(s) to QSF.

QSF Customer...

Export one or more Customer(s) to QSF.

QSF Vendor...

Export one or more Vendor(s) to QSF.

QSF Employee...

Export one or more Employee(s) to QSF.

4.2.1.6. Account Tree - Reports Menu

This is only a brief listing of each of the available reports and graphs. Each report or graph may be customized by the Options Icon and the "Stylesheet" used.

Table 4.7. Reports Menu - Access GnuCash Reports and Charts.

Menu Item

Description

Account Summary

Report showing the balance of selected accounts.

Assets & Liabilities ->

Advanced Portfolio

Asset Bar chart

Asset Pie chart

Average Balance

Balance Sheet

General Journal

General Ledger

See General Ledger

Investment Portfolio

Liability Bar chart

Liability Pie chart

Net Worth Bar chart

Price Scatter plot

Business Reports ->

Customer Report

Easy Invoice

Employee Report

Fancy Invoice

Payable Aging

Printable Invoice

Receivable Aging

Vendor Report

Income & Expense ->

Budget Report

Cash Flow

Equity Statement

Expense Bar chart

Expense Pie chart

Expense vs Day of Week

Income Bar chart

Income & Expense Chart

Income Pie chart

Income Statement

Income vs Day of Week

Trial Balance

Sample & Custom ->

Custom Multicolumn Report

Sample Graphs

Sample Report With Examples

Welcome Sample Report

Tax Report & TXF Export

Create a Tax report (US) and/or export data for tax preparation software. (TFX)

Transaction Report

4.2.1.7. Account Tree - Tools Menu

Table 4.8. Tools Menu - Access to miscellaneous tools and editors

Menu Item

Description

Price Editor

Tool to enter or modify Stock/Fund prices. Details at Price Editor

Security Editor

Tool to enter or modify Stock or commodities. Details at Security Editor

Financial Calculator

Details at Financial Calculator

General Ledger

See General Ledger

4.2.1.8. Account Tree - Windows Menu

Table 4.9. Account Tree - Windows Menu

Menu Item

Description

New Window

Opens a new GnuCash window, window is empty.

New Window with Page

Opens the current tab in a new window, moves the tab to the new window.

4.2.1.9. Help Menu

Table 4.10. Account Tree - Help Menu - Access to this help and the Tutorial and Concepts Guide.

Menu Item

Description

Tutorial & Concepts Guide

Detailed document "How to" in GnuCash

Tips Of The Day

Display Tip of Day.

Contents

Display this Help file

About

Display version, License and Credits

4.2.2. Account Tree - Tool Bar Icons/Buttons

The GnuCash main Window has a number of Icons/Buttons in tool bar to quickly access some common functions used with the specific active tab. The Tool Bar can be hidden or shown by selecting the Toolbar item on the View menu. The specific options displayed in the tool bar varies by the functions available to the "active tab".

A brief description of the function of an icon is displayed when the mouse pointer is placed over the icon for a couple of seconds.

Table 4.11. Account Tree - Window Tool Bar

Tool Bar Icons

Description

Save

Perform a save on the data file, commit all transactions to the data file.

Close

This icon is not available for the first Accounts tab, it is available for additional Account Tree displays.

Open

Open a transaction register of the selected account.

Edit

Edit the characteristics for the selected account.

New

Start the druid for creating a new account.

Delete

Remove the selected account.

4.2.3. Tab Bar

The Tab Bar displays "file/notebook folder" style tabs for open transaction registers, and reports.

4.2.4. Account Tree - Display

The Account Tree displays the list of your accounts in hierarchical format. This enables you to organize your accounts by account type.

The triangle shape beside the account name is used to open and close the account tree. When you click on the triangle, it changes from right pointing into a down pointing sign to indicate that the tree is opened. You will then see offset below the account name either a list of the sub account(s) or another triangle to the left of an account. This indicates another lower level of the account tree.

The default display for the Account Tree Window is in Notebook mode. This is indicated by the tab in the Tab row of the main window. Other tabs will appear beside this one when you open reports, Account Registers or additional Account Trees.

4.2.5. Summary Bar

The Summary Bar displays balances appropriate for the opened account type at a glance. Usually accounts display today's account balance, any balance for future dates, a balance for cleared items and a reconciled balance. Stock accounts, however, display shares totals and their value. The Summary Bar can be hidden or shown by selecting the Summary Bar item on the View menu.

4.2.6. Status Bar

The Status Bar displays tool-tips for the menus that give more explanation to a menu item. It also shows a progress bar when opening or saving a GnuCash data file or generating reports. The Status Bar can be hidden or shown by selecting the Status Bar item on the View menu.