Практическое руководство по GnuCash

Об этом документе

Содержание

Об авторах
I. Введение
1. Обзор
2. Основы
3. Счета
4. Транзакции
II. Организация личных финансов
5. Чековая книжка
6. Кредиты
7. Кредитные карты
8. Кредиты
9. Инвестиции
10. Отчеты
11. Доходы от прироста капитала
12. Мультивалютные операции
III. Организация бизнес финансов
13. Business Features
14. Budgets
15. Other Assets
16. Depreciation
17. Python Bindings
18. Importing Business Data
IV. Приложения
GnuCash Glossary
A. Migration Guide
B. Frequently Asked Questions
C. Contributed Account Trees
D. Auxiliary File Formats
E. GNU Free Documentation License

Список иллюстраций

2.1. Взаимосвязь основных типов счетов
2.2. Диалог сохранения данных при выборе XML или sqlite3.
2.3. Диалог сохранения данных при выборе mysql или postgres.
4.1. Entering a split transaction
9.1. Selling Shares - Capital Gains - Lots in Account window
9.2. Selling Shares - Capital Gains - Security register before scrubbing a single lot
9.3. Selling Shares - Capital Gains - Lots before scrubbing a single lot
9.4. Selling Shares - Capital Gains - Lots before scrubbing a single lot, after manual linking
9.5. Selling Shares - Capital Gains - Register after manual linking and scrubbing a single lot
9.6. Selling Shares - Capital Gains - Register before Scrub Account
9.7. Selling Shares - Capital Gains - Lots before Scrub Account
9.8. Selling Shares - Capital Gains - Lots after Scrub Account
9.9. Selling Shares - Capital Gains - Register after Scrub Account
9.10. Selling Shares - Capital Gains - Register after Scrub Account
9.11. Selling Shares - Capital Gains - Lot 0 after Scrub Account
9.12. Selling Shares - Capital Gains - Lot 1 after Scrub Account
9.13. Selling Shares - Capital Gains - Register after scrubbing a single lot
13.1. Tax Tables
13.2. New Sales Tax Table
13.3. Entering Company Information
13.4. Billing Terms Editor
13.5. New Billing Term

Список таблиц

2.1. Настройки GnuCash
2.2. Настройки отчетов
2.3. Настройки онлайн-банкинга
8.1. Buying a House Split Transaction
8.2. Personal loan to a Friend
8.3. Selling an asset (house) with a profit
8.4. Selling an asset (house) with a loss
8.5. Selling an asset (house) with a profit
8.6. Selling an asset (house) with a profit 2
9.1. Selling Shares Split Scheme, Sale and Capital Gain/Loss Are Combined, Gross Pricing
9.2. Selling Shares Split Scheme, Sale and Capital Gain/Loss Are Combined, Net Pricing
9.3. Selling Shares Split Scheme, Sale and Capital Gain/Loss Are Separate Transactions, Sale Transaction
9.4. Selling Shares Split Scheme, Sale and Capital Gain/Loss Are Separate Transactions, Capital Gain/Loss Transaction
9.5. Selling Shares Split Scheme, Sale and Capital Gain/Loss Are Separate Transactions, Sale Transaction
9.6. Selling Shares Split Scheme, Sale and Capital Gain/Loss Are Separate Transactions, Capital Gain/Loss Transaction
9.7. Selling Shares Split Scheme, Sale & Gain Combined, Gross Pricing
9.8. Selling Shares Split Scheme, Sale & Gain Combined, Net Pricing
9.9. Selling Shares Split Scheme, Sale Transaction, Gross Pricing
9.10. Selling Shares Split Scheme, Gain Transaction, Gross Pricing
9.11. Selling Shares Split Scheme, Sale Transaction, Net Pricing
9.12. Selling Shares Split Scheme, Gain Transaction, Net Pricing
9.13. Transaction 1 dealing with value received and the reduction of the number of shares
9.14. Transaction 2 capital gain/loss (loss in this example)
11.1. Turning an Accrued Gain into a Realized Gain
11.2. Turning an Accrued Gain into a Realized Gain
11.3. Turning an Accrued Gain into a Realized Gain
12.1. Selling a currency with a Split Transaction Scheme
13.1. Transaction Map
13.2. Transaction Map for Employee 1
16.1. Linear Depreciation Scheme Example
16.2. Geometric Depreciation Scheme Example
16.3. Sum of Digits Depreciation Scheme Example
D.1. Overall Page Description Fields
D.2. Multiple Checks Per Page Fields
D.3. Individual Check Item Fields
D.4. Individual Check Item Types