<?xml version="1.0"?> <gconfschemafile> <schemalist> <schema> <key>/schemas/apps/gnucash/window/pages/account_tree/summary/grand_total</key> <applyto>/apps/gnucash/window/pages/account_tree/summary/grand_total</applyto> <owner>gnucash</owner> <type>bool</type> <default>TRUE</default> <gettext_domain>gnucash</gettext_domain> <locale name="C"> <short>Show a grand total of all accounts converted to the default report currency</short> <long>Show a grand total of all accounts converted to the default report currency</long> </locale> </schema> <schema> <key>/schemas/apps/gnucash/window/pages/account_tree/summary/non_currency</key> <applyto>/apps/gnucash/window/pages/account_tree/summary/non_currency</applyto> <owner>gnucash</owner> <type>bool</type> <default>TRUE</default> <gettext_domain>gnucash</gettext_domain> <locale name="C"> <short>Show non currency commodities</short> <long>If active, non currency commodities (stocks) will be shown. Otherwise they will be hidden.</long> </locale> </schema> <schema> <key>/schemas/apps/gnucash/window/pages/account_tree/summary/start_choice</key> <applyto>/apps/gnucash/window/pages/account_tree/summary/start_choice</applyto> <owner>gnucash</owner> <type>string</type> <default>relative</default> <gettext_domain>gnucash</gettext_domain> <locale name="C"> <short>Profit/loss starting date type</short> <long>This setting controls the type of starting date used in profit/loss calculations. If set to "absolute" then GnuCash will retrieve the starting date specified by the start_date key. If set to anything else, GnuCash will retrieve the starting date specified by the start_period key.</long> </locale> </schema> <schema> <key>/schemas/apps/gnucash/window/pages/account_tree/summary/start_date</key> <applyto>/apps/gnucash/window/pages/account_tree/summary/start_date</applyto> <owner>gnucash</owner> <type>int</type> <default>0</default> <gettext_domain>gnucash</gettext_domain> <locale name="C"> <short>Starting date (in seconds from Jan 1, 1970)</short> <long>This setting controls the starting date set in profit/loss calculations if the start_choice setting is set to "absolute". This field should contain a date as represented in seconds from January 1st, 1970.</long> </locale> </schema> <schema> <key>/schemas/apps/gnucash/window/pages/account_tree/summary/start_period</key> <applyto>/apps/gnucash/window/pages/account_tree/summary/start_period</applyto> <owner>gnucash</owner> <type>int</type> <default>5</default> <gettext_domain>gnucash</gettext_domain> <locale name="C"> <short>Starting time period identifier</short> <long>This setting controls the starting date set in profit/loss calculations if the start_choice setting is set to anything other than "absolute". This field should contain a value between 0 and 8.</long> </locale> </schema> <schema> <key>/schemas/apps/gnucash/window/pages/account_tree/summary/end_choice</key> <applyto>/apps/gnucash/window/pages/account_tree/summary/end_choice</applyto> <owner>gnucash</owner> <type>string</type> <default>relative</default> <gettext_domain>gnucash</gettext_domain> <locale name="C"> <short>Profit/loss ending date type</short> <long>This setting controls the type of ending date used in profit/loss calculations. If set to "absolute" then GnuCash will retrieve the ending date specified by the end_date key. If set to anything else, GnuCash will retrieve the ending date specified by the end_period key.</long> </locale> </schema> <schema> <key>/schemas/apps/gnucash/window/pages/account_tree/summary/end_date</key> <applyto>/apps/gnucash/window/pages/account_tree/summary/end_date</applyto> <owner>gnucash</owner> <type>int</type> <default>0</default> <gettext_domain>gnucash</gettext_domain> <locale name="C"> <short>Ending date (in seconds from Jan 1, 1970)</short> <long>This setting controls the ending date set in profit/loss calculations if the end_choice setting is set to "absolute". This field should contain a date as represented in seconds from January 1st, 1970.</long> </locale> </schema> <schema> <key>/schemas/apps/gnucash/window/pages/account_tree/summary/end_period</key> <applyto>/apps/gnucash/window/pages/account_tree/summary/end_period</applyto> <owner>gnucash</owner> <type>int</type> <default>5</default> <gettext_domain>gnucash</gettext_domain> <locale name="C"> <short>Ending time period identifier</short> <long>This setting controls the ending date set in profit/loss calculations if the end_choice setting is set to anything other than "absolute". This field should contain a value between 0 and 8.</long> </locale> </schema> </schemalist> </gconfschemafile>