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Hi, I have a ledger file where most transactions have a balance assertion. After conversion, there may be multiple assertions for the same day which causes some trouble.
The following is an example…
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This would include:
starting balance of all member accounts; starting balance of cash registers; sales by department; member equity; miscellaneous transactions; A: the sum of all of these things; cred…
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Using the `=*` balance assignment on an account with subaccounts sets all other commodities balance to 0. According to the documentation, other commodities should be unaffected as long as I'm using `=…
wgslr updated
11 months ago
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### Describe the issue:
When calculating the payment required to end with a remaining open balance, aka with a final_value, the calculated payments are larger than the payments required for a achie…
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If a user has a positive cash balance, they can make 1 purchase of an unlimited number of shares. This results in a negative cash balance. (After that, subsequent purchase attempts will fail.)
Th…
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In my opinion, balance mean to cash. So when open a new order, the balance should minus cash used in orders. But in _create_hedged_order function, not update balance. It's a bug or I have misunderst…
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Impacted versions: 16
Steps to reproduce: open accounting dashboard
Current behavior: shows wrong balances in GL
Expected behavior: show correct balance
Video/Screenshot link (optional):
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The goal is to provide support for managing multiple trading accounts. In
the first phase account manager just collects all trades and allows the
application to get the list of the open positions …
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**Dashboards** feature allows customising your reports homepage. With widgets and layout defined by you.
To enable the feature - head over to _experimental features_ and toggle the **dashboards** f…
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```
The goal is to provide support for managing multiple trading accounts. In
the first phase account manager just collects all trades and allows the
application to get the list of the open positions …