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GnuCash Help Manual

About This Document

Table of Contents

1. Introduction to GnuCash
2. Using This Document & Getting Help
3. Getting Started
4. GnuCash Windows & Menus Options Overview
5. Setting Up, Editing & Working with Accounts
6. Common Transaction Operations
7. Tools & Assistants
8. Reports And Charts
9. Customizing GnuCash
A. GnuCash Tips and tidbits
B. GNU Free Documentation License

List of Figures

4.1. The Main GnuCash Window
4.2. The Account Tree Display.
4.3. The Account Register Display.
4.4. The Report Window
9.1. The Preferences — Accounting Period tab
9.2. The Preferences — Accounts tab
9.3. The Preferences — Business tab
9.4. The Preferences — Date/Time tab
9.5. The Preferences — General tab
9.6. The Preferences — Online Banking tab
9.7. The Preferences — Printing tab
9.8. The Preferences — Register tab
9.9. The Preferences — Register Defaults tab
9.10. The Preferences — Reports tab
9.11. The Preferences — Scheduled Transactions tab
9.12. The Preferences — Windows tab

List of Tables

4.1. Account Tree - File Menu - Access to file, account operations and printing.
4.2. Account Tree - Edit Menu - Access to file and account editing operations and preferences.
4.3. Account Tree - View Menu - Changes display window view.
4.4. Account Tree - Actions Menu - Setup scheduled transactions, repair accounts, perform stock splits, transfer and reconcile transactions.
4.5. Account Tree - Business Menu - Access small business features of GnuCash.
4.6. Account Tree - Reports Menu - Access GnuCash Reports and Charts.
4.7. Account Tree - Tools Menu - Access to miscellaneous tools and editors
4.8. Account Tree - Windows Menu
4.9. Account Tree - Help Menu - Access to this help and the Tutorial and Concepts Guide.
4.10. Account Tree - Window Toolbar
4.11. Account Register - File Menu - Access to file and account operations and printing.
4.12. Account Register - Edit Menu - Access to file and account editing operations and preferences.
4.13. Account Register - View Menu - Changes GnuCash display window characteristics.
4.14. Account Register - Transaction Menu - access to transaction tools.
4.15. Account Register - Actions Menu - Setup scheduled transactions, repair accounts, perform stock splits, transfer and reconcile transactions.
4.16. Account Register (Transaction Register) Window Toolbar
4.17. Report - File Menu - Access to file and account operations and printing.
4.18. Reports - Edit Menu - Access to file and account editing operations and preferences.
4.19. Reports - Actions Menu - Setup scheduled transactions.
4.20. Reports - Toolbar Buttons
4.21. Components of the Reconcile Window.
4.22. Reconcile Menu - Access to Reconcile Information and finishing or postponing.
4.23. Account Menu - Access to account operations.
4.24. Transaction Menu - Access to transaction editing operations.
4.25. Help Menu - Access to help.
4.26. Reconcile Window Toolbar
4.27. Components of the Schedule Transactions Window.
4.28. Scheduled Menu - Access to scheduled transaction editing operations.
4.29. Scheduled Transactions Window Toolbar
5.1. Types of GnuCash Accounts.
5.2. Starting account numbers.
5.3. Renumbered account numbers
5.4. Final account numbers.
7.1. Search criteria buttons.
9.1. Detailed TXF Category Descriptions
A.1. Exchange Codes List for European Markets
A.2. Pseudo-symbols that can be used for TIAA-CREF quotes
A.3. Individual sources for quotes
A.4. Multiple sources for quotes