Version History
---------------
 3.4    - 30 December 2018
        o Convert help documents to use XInclude instead of SYSTEM entities
        o Convert Guide and its translations to use XInclude instead of
          SYSTEM entities
        o Drop old DocBook xsl 1.75.2 stylesheet
        o Base gnucash custom style sheet on DocBook xsl 1.79.2
        o Add DocBook xsl v1.79.2
        o Extract common entity declarations into a custom DTD
          This custom DTD is based on the DocBook V4.5 DTD and is intended
          to be used by all our documentation xml files.
        o Update to DocBook XML spec 4.5
 3.3    - 30 September 2018
        o Bug 791169 - Add Reconciliation definition to glossary.
        o Bug 796800 - None of the "GnuCash Tutorial and Concepts Guide"
          graphics (.png files) display.
        o Bug 796820 - References to "Gnome Bugzilla" should be changed
          to "GnuCash Bugzilla".
        o Bug 777893 - Add information to Guide about file formats, esp. SQL.
        o Add travis continuous integration to docs.
        o Add tax tables to documentation.
        o Document Filter/Closing transactions feature.
 3.2    - 24 June 2018
        o Bug 796098 - V 3.1 Missing images in Tutorial and Concepts Guide in
          PDF and Online Help pages.
        o Bug 795980 - Void Reason Has No Visible Purpose.
 3.1    - 28 April 2018
        o Update supported platforms for version 3.x.
 3.0    - 1 April 2018
        o Correct field format in python-import-fields.
        o German translation of Transactions chapter.
        o Bug 122895 - general ledger should be named journal
        o Bug 634181 - Inserting Part designations overall
        o Bug 608098 - Document Transaction Rpt, including how to handle splits
        o Clarify that creating a postponed SX will use the original date.
        o Remove 'Remainder To' from loan assistant page 2.
        o Bug 760407 - Note account separator isn't always a colon.
        o Update partial date entry documentation based on new default behaviour
        o Bug 762088 - Remove Section 9.4.3 From Guide
        o New Russian translation o fthe guide.
        o Fix chm mapfile target and cleanfiles.
             The mapfile target would fail if the directory was already built,
             apparently not recognizing that its target was complete.
             Cleanfiles was missing several build targets.
        o New Transaction Report section in Guide
        o Replace some screenshots with new ones reflecting Gtk3.
 2.6.20 - 1 April 2018
        o Bug 793844 - GnuCash Tutorial and Concepts Guide 13.4.5. Process
                       Payment says Accounts Receivable, should be Payable
        o Link the referenced 'Simple Transaction Example' in Transactions
             'Opening Balances'
        o Add a link from '8.5.1. Loan Specifications' to '8.3. Calculations'
        o Add required F::Q version for Bug 770132 - Price editor does not
              find ASX:XRO
        o Add note from bugzilla to ASX in appendix
              https://bugzilla.gnome.org/show_bug.cgi?id=770132#c12
        o Add Preference Online Quotes
        o Bug 792756 - Help Manual 8.10 incorrect lin

 2.6.19 - 16 December 2017
         o Bug 782423 - Help 10.2. Setting Preferences is outdated #105
         o Changing text in Help to reflect changes in Preferences dialogs.
         o Translation of the german guides metafile

 2.6.18 - 24 September 2017
         o The Italian Help translation, which uniquely uses a PO file, is
           frozen at commit 78cfa76 because of lack of a translator to
           maintain it.
         o Bug 120940 - Document how automatic decimal points work.
         o Begin a Russian translation of the Guide by Dimitry Mangul.
         o Some spelling corrections in the German Guide.

 2.6.17 - 2 July 2017
         o Improve internationalization of the Tutorial and Concepts Guide.
	 o Bug 781711: Add reversing transaction definition
	 o Bug 781714: Add Reversing Transaction text for Help document

 2.6.16 - 26 March 2017
         o Remove section "Changing the Register View" as better handled in Guide
	          section 4.2
	 o Bug 755174 - How to handle commission when buying and selling securities
	 o Bug 769457 - More info re register views
	 o Bug 774658 - Add warning to delete lot before deleting a cap gain/loss
	                transaction
	 o Glossary: Transactions have at least 2 splits
	 o Bug 777318 - Restructure Business Features Chapters.
	 o Bug 777287 - add tips on changing reconcile status of all transactions
	                in reconcile window panes
 2.6.15 - 18 December 2016
        o Bug 397135 - Hidden Accounts Show in ComboBox.
	o Bug 633590 - Add a Reports Chapter to the Tutorial and
	               Guide.
	o Bug 743671 - Add glossary to Tutorial and Guide.
	o Bug 755174 - Document using Lots to create investment
	               capital gains transactions.
	o Bug 770371 - Add note to documentation regarding Sort order
	               options.
	o Bug 775592 - General Rewrite of Guide Chapter on Multiple
	               Currencies.
 	o Bug 775919 - Change Documentation of contributors
	o Update German Translation (Mechtilde Stehmann)
	o Fix resolution of screenshots.
 2.6.14 - 17 September 2016
        o Bug 115461 - Highlight need to select Account Type when adding
	               new stock account.
        o Bug 687290 - Add new chapter for expense type accounts.
        o Bug 769457 - Add note to 4.3 of Guide.
        o Bug 769746 - Zero interest loan formula fails.
        o Bug 771230 - Modify Windows portion of 8.6.3 of Guide.
        o Bug 769663 - Link update on Tutorial and concepts guide
	o Updated german translation of the F::Q appendix.
	o Update the list of Finance::Quote methods to 1.38.

 2.6.13 - 26 June 2016
        o Fix the very stale Release Schedule link in the Guide.
        o Bug 637004 - Document Payable/Receivable Aging Rpts and new options
	               for  allowing customer and vendor address info to
		       display.
	o Fix unclear statement re docbook stylesheets in README.
	o Bug 712764 - Clarify Account type designations in the Tutorial.
	o Bug 751686 - Explain how to use Find Transaction to report
	               per-employee.
	o Bug 754239 - Fix order of Report menu items.
	o Bug 754239 - Update Report menu item names to Save Report
	               Configuration.
	o Bug 765131 - Document Investment Return of Capital in the Guide.

 2.6.12 - 26 March 2016
        o New Portuguese Translations from Pedro Albuquerque!
	o Bug 639776 - Update instructions for updating quote prices by cron.
        o Bug 649283 - Add links to where common report preferences are set.
	o Bug 728722 - Setting number format details appear wrong in Help,
	               section 10.3.4. Counters Book Options Tab
	o Bug 729265 - Update documentation for Invoice and Bill payments to
	               reflect the new features.
        o Bug 761025 - Add missing sect Guide ch2.8: New book options in
	               New Acct Hierarchy.
	o Bug 762088 - Remove Section 9.4.3 From Guide that offered simplistic
	               advice about money and life that does nothing to explain
		       GnuCash functionality or use.
        o Bug 762656 - Add note to Guide section 2.3.3 For Column Widths

 2.6.11 - 11 January 2016
        o More German Translations and screenshots from Mechtilde Stehmann
	o Bug 759859 - Reconcilation does not convert transactions' currency
	               to the main one making reconcilation impossible.
	o Bug 760016 - 2.6.10 and master dump script error while running
	               configure.
 	o Bug 760407 - Note account separator isn't always a colon.
	o Use letter size paper only in US or C locales. The rest of the world
	  uses metric A4 paper. The locale detection is done at configure.
	o Clarify that creating a postponed SX will use the original date.
 2.6.10 - 20 December 2015
        o More German Translation work from Mechtilde Stehmann.
	o New German illustrations from Mechtilde Stehmann.
	o Change paper size to A4 for European (i.e., German and Italian) PDFs.
	o Replace remaining references to "General Ledger" with
	  "General Journal".
	o Remove e-mail from AUTHORS file, trying to reduce support requests
	  directly to developers instead of to the list.
	o Bug 608098 - Document Transaction Rpt, including how to handle splits
	o Bug 744151 - Remove Top 10 Reasons and outdated What's New
	o Bug 757174 - FTBFS: /tmp/buildd/gnucash-docs-2.6.7/mincho.xml
 2.6.9  - 06 October 2015
        o More German Translations from Mechtilde Stehmann
 2.6.8  - 27 September 2015
        o Extensive German Translation improvements -- Mechtilde Stehmann
	o Bug 705309 - A/R & A/P Need Warnings, Sales Tax Table and
 	  Billing Terms Editor need documentation -- Chris Good
	o Expand Help for Transfer Dialog, Multicurrency, and Price Editor --
	  John Ralls, David Carlson, Geert Janssens
 2.6.7  - 28 June 2015
        o No significant changes.
 2.6.6  - 29 March 2015
 	o Explain sorting by TXF code within Tax Form Sections -- Mark Simpson
	o Insert Part designations and update the Basics Chapter -- David T.
	o Document latest changes to the Advanced Portfolio Report -- Chris Good
	o Remove obolete sections about "Cannot find default values" left over
	  from gconf. -- Geert Janssens
 2.6.5  - 16 December 2014
        o Fix a path of freshly added XML files
        o Add some comments about translation to the German documents where the
	  translation wasn't updated to match the English version.
	o Apply &untranslated property in German translations
        o Fix path of newly-added XML files.
	o Bug 739380 - Release tarball build fails. Git builds OK.

 2.6.4  - 28 September 2014
 	o Add sentence about manually editing payment information for customers.
    	o Add warning and tip about account separator character.
    	o Correct field format in python-import-fields.
    	o Currency movements .. remain fully balanced if "Trading Accounts"
	  is enabled; "double entry" was not sufficient.
    	o Ersetze umgangssprachliches "Passiva" durch "Fremdkapital" und
	  zugehÃ¶riges Bild
    	o German translation of Transactions chapter.
    	o Guide C oview: update processor architecture: "backport" from de
    	o Guide C txns: Add a warning about dummy transactions and auditors.
    	o Guide C txns: Thinking is not enough for the cleared state of a
	  transaction
    	o Guide C txns: Upgrade note to warning "It is important to understand
	  that reconciliation..."
    	o Guide C txns: explain reconcilation state "cleared"; improved
	  wording by lmat
    	o Guide de ch_accts: Several minor corrections.
    	o Guide de ch_basics: several corrections.
    	o Guide de ch_oview: orthography and processor architecture update.
    	o Guide de ch_txns: several improvements, txns-sxn1 complete.
    	o Help Documentation: Add Advanced Portfolio Rpt details, Thanks to
	  Chris Good
    	o Improve explanation that Credit does NOT decrease equity accounts
    	o Improve readability of "Credit does NOT decrease ...".
    	o New chapters in the German translation: Overview, Basics, and
	  Accounts. Thanks to Mechtilde.
    	o Reduced proportional width of description column to increase overall
	  font size for a 510 pixel width image.
    	o Remove a few discrepancies between the german guide overview and
	  other components.
    	o Update of translators in gnucash-guide-de.omf
    	o Updated documentation to explain how to tie dividends received in
	  cash to the appropriate stock holding.

 2.6.3  - 30 March 2014
        o There have been no documentation changes since 2.6.2

 2.6.2  - 2 March 2014
	o Bug 547386 - Help text for Employee section missing.
	o Bug 723173 - One error and some typos in documentation. Thanks to
	  Imat for the patch.
 	o Bug 725013 - dividends reinvested example text doesn't match
	  graphic. Also remove a useless figure and improve text.
	o Assorted typos and version number corrections.

 2.6.1  - 1 January 2014
	o First documention updates for credit notes
	o Adapt migration documentation to gsettings introduction
	o Move most of the text regarding business features from guide
	  to help, correct links and wording and many small improvements.
	o Add information about the Business tab in book options window.
	o Enable building Japanese PDF without requiring Debian or
	  downloading fonts from anywhere.
	o Add Fedora font paths
	o Adjust image after [23668] update.
	o Doc/guide/C: add cash account to accts-examples-organization2
	o Docs/guide/de: minor corrections of spelling and an
	  extension by Martin Mainka
	o Update Italian translation of guide.
	o Update instructions for Italian translation to adapt them
	  to new generic langcode.


 2.6.0  - 29 December 2013
         o Updated documentation for new GnuCash stable version 2.6.0
	   o Update Preferences section
	   o Menu and Toolbar references
	   o Update Business Documentation: Bobby Ratliff
	   o Budget Features: Bobby Ratliff
         o Update Copyrights, Author lists, and metadata
	 o Add facility to publish docs as e-pubs
	 o Bug 513122 - Documentation doesn't explain how to import
	   account tree.
	 o Bug 604519 - Explain scope of Find Transaction tool.
	 o Bug 608932 - The documentation provided for opening a new
	   stock account is not appropriate
	 o Bug 633524 - Guide: introduce some splits concepts to help
	   with understanding transactions.
	 o Bug 638955 - Add documentation for book closing
	 o Bug 639264 - Add information in Concepts 4.5 to Explain
	   Starting Balance in Reconcile window
	 o Bug 661705 - OMF files not installed at the right place:
	   Yelp doesn't see them
	 o Bug 670354 - [PATCH] Outdated Docs - Assign Starting Invoice Number
	 o Bug 672668 - Add section explaining how to migrate data.
	 o Bug 684709 - Some rearrangement of text and chapters.
	 o Bug 687476 - Document Customer/Vendor overview feature
	 o Bug 688425 - Fix steps in putting it all together section.
	 o Bug 688579 - Run xmllint or variant in make distcheck
	 o Bug 688968 - Investment documentation improvements for
	   chapter about selling shares.
	 o Bug 691762 - Clarify behaviour of Find Transaction dialog
	   box's `Reconcile' criteria buttons.
	 o Bug 692917 - Note for keys when entering transactions.
	 o Bug 693493 - Add text to Tutorial 2.2.3 to explain
	   Debit/Credit Columns in register
	 o Bug 699430 - Describe the Assets over Time barchart Report
	 o Bug 700656 - Tutorial does not explain type of security
	 o Bug 702039 - Canadian stocks are fetched in USD by Finance-Quote
	 o Bug 712308: Double click on parent account doesn't open the
	   register - new behaviour not documented.
	 o Bug 715161 - File structure csv import customers and vendors
	 o Updated Translations: German, Italian
         
 2.4.2  - 17 Nov 2012
 	 o Updated to release 2.4.2.
	 o New or improved documentation for
	   o Data migration
	 o New documentation formats: epub and mobi
	 o Translation updates: Japanese, Italian
	 o Several small updates and fixes


 2.4.1  - 4 Aug 2010
 	 o Updated to release 2.4.1.
	 o New or improved documentation for
	   o Python invoice import plugin
	   o Scheduled transactions
	   o Style sheets
 	 o Translation updates: Italian
	 o Several small updates and fixes


 2.4.0  - 11 Feb 2012
 	 o Updated to release 2.4.0.
	 o Many changes to line up with the GnuCash 2.4 series
 	 o New Japanese translation of the concepts guide
	 o Initial German translation, still incomplete
	 o Lots of markup improvements
	 o Fix generation of pdf files
	 o Several small updates and fixes

 2.2.2  - 2 July 2011
 	 o Updated to release 2.2.2.
	 o This release contains improvements and fixes that got
	   backported from the 2.4 release


 2.2.1  - 4 Aug 2010
 	 o Updated to release 2.2.1.
	 o Several small updates and fixes

 2.2.0  - 14 July 2007
 	 o Updated to release 2.2.0.
	 o Several small updates and fixes

 2.0.1  - 8 Oct 2006
 	 o Updated to release 2.0.1.
	 o Updates to help by Dave Herman.
	 o Fixed author accreditation in files.

 2.0.0  - 9 July 2006
 	 o Updated to release 2.0.0
	 o Most of the text still needs work

 1.9.0  - 28 May 2006
	 o First release with screenshots updated for the 2.0.0 GnuCash
	 o Most of the text still needs work
	 o Build system is now updated to remove the html version
	   and doc-tools and only to use the GNOME help system.

 1.8.5  - 9  Mar 2005
         o Tweaked to allow SGML tools to generate PDF output.
         o Advice added on using XSL and SGML tools to generate
           alternative output formats.

 1.8.5  - 11 Dec 2004
 	 o general-customization.xsl patch from Johan Buret
	 o David Harrison's updates to ch_dep.xml
	 o Add outline for German translation of gnucash guide.
	 o chapter overhaul by pks
	 o update language support list
	 
 1.8.4  - 11 Apr 2004
	 o Many changes to the Guide by Jon (see changelog)
	 o Added support for db-4.1 and db-4.2
	 o Fixed issue with dbadd on 2.6 kernels patch by
	   Alex Rostovtsev
	 o Updated docs with release info and revision info.
 
 1.8.3  - 31 Aug 2003
 	 o Fix xmllint errors
	 o Add new credit card chapter images
	 o Remove unused images
	 o Updates to guide
	 o Michael Rensing's FAQ updates
	 o Fix reconcile column in cc payment image

 1.8.2  - 17 Aug 2003
 	 o Jon Lapham now primary author of Guide
	 o Moved convert-html to make all so html gets built during 'make'
	 o Many, many, many changes to the Guide by Jon (see changelog)
	 o If you can't find it in the Help, look in the Guide (hint)

 1.8.1  - 12 May 2003
 	 o Typo fixes
	 o Updated german translations

 1.8.0  - 02 February 2003
 	 o First stable release

 1.7.8  - 27 January 2003
 	 o Add patch from RedHat for db4 support
	 o Copy of required portions of docbook-xsl 1.45
	 o Change to point at internal version of docbook-xsl 1.45
	   stylesheets.
	 o This fixes the problem of the stylesheets needing to go online to
	   do the conversion from XML to HTML.

 1.7.7  - 05 January 2003
	 o German section headins added to translation
	 o German legal.xml file added
	 o started to clean up the guide
	 o added requirement for docbook-xsl
	 o changed gnome-money.png to gnucash-icon.png
	 o tweaks to OMF files and version info in docs
 
 1.7.6  - 15 December 2002
 	 o Skipped 1.7.5 to release same version number as gnucash
	 o Added Guide from gnucash module
	 o Added beginnings of German translation of gnucash-help
	 o removed extra gnucsh-docs dir in help dir
	 o added xsl stylesheets from gnome-docu, removed chunk.xsl
	 o change xmldocs.make to use xsl dir stylesheets, generate filenames
	   from id tags, only generate html on install, move html to a subdir
	   of docs dir to prevent filename clashes, copy in stylesheet png's
	 o added docs hacking guidelines
	 o added doc-tools from gnucash module
	 o fixed up build-help-index script
	 
 1.7.4  - 01 December 2002
 	 o first release of docs separate from main GnuCash module
	 o only contains new help xml docs
