What steps will reproduce the problem?
1. Added money on the equipment tab
2. Exported sheet to PDF
3.
What is the expected output? What do you see instead?
Money on the PDF sheet, blank spaces left.
What version of the product are you using? On what operating system?
3.6 on XP SP3
Please provide any additional information below.
It's not really as big of a deal since it's something that you'll want to
change on a regular basis, but it would be nice to put over there in the first
place since I just update between sessions so I can read where we're starting.
Original issue reported on code.google.com by electroc...@gmail.com on 7 Mar 2013 at 9:17
Original issue reported on code.google.com by
electroc...@gmail.com
on 7 Mar 2013 at 9:17