MichaelT.Edwardesmte@users.sourceforge.net2009-05-051.0Using &kappname; for the first timeRunning &kappname; for the first time
Once &kappname; has fully loaded two windows will be opened. The top window,
'Tip of the Day' offers one of a series of important or useful pieces of
information about the application.
Tip of the DayTip of the Day
You are recommended to quickly read through these tips by pressing on the
Previous and Next buttons at the
bottom of the window.
Once you have read the tips the window can be closed; it will re-open each
time &kappname; is started. To stop this default behavior, uncheck the
appropriate option on the Tip of the Day window.
Tips can be read at anytime by selecting Show tip of the
day from the Help menu within &kappname;.
All tips have been extracted from the Frequently Asked Questions list (FAQ)
that provides more detailed help and can be found on the project website and in this
manual.
Please click on Close to close the Tip of the Day
dialog.
The main windowThe Main WindowThe Main Window
The &kappname; main window consists of four major parts
A. The menu barB. The toolbarC. The View selectorD. The view
The menu and toolbars provide access to the features of &kappname; and allow
you to Create files or configure how
&kappname; operates.
The view selector consists of at least eleven icons in the left side of the
main window, depending upon the software provided by your system. More icons
could be added by various plugins. By clicking on an icon, the view window on
the right hand side is loaded with the appropriate view of your financial
data. Each view provides a unique representation of your financial situation
and allows you to view or edit the information shown.
The view selector contains the following icons
Home View
Home: A configurable overview of your current financial situation (or an
introduction page when no data file is open).
Institutions View
Institutions: All of your institutions and accounts displayed in a
hierarchy.
Accounts View
Accounts: All of your accounts displayed in a hierarchy.
Schedules View
Schedules: Your recurring bills and deposits.
Categories View
Categories: Special accounts that provide a means for you to group
associated transactions.
Payees View
Payees: All Payees used by &kappname;.
Ledgers View
Ledgers: Your account transactions.
Investments View
Investments: Your portfolio summary.
Reports View
Reports: A collection of useful reports, providing alternate views of your
financial data.
Budgets View
Budgets: Your budgets
Forecast View
Forecast: This view provides a forecast of your accounts and categories
Outbox View
Used by the online banking module to provide feedback on running
processes. This is a view provided by the KBanking plugin and may not be
present on your system.
Creating a new file
&kappname; keeps all the data about your finances in a file. As was stated in
Defining the
accounts (personal records), you can keep more than one set of
accounts, but the data for each will be kept in a separate file, and
&kappname; can only have one file open at a time. See the chapter on File Formats for more details about
&kappname;'s data files.
To create a new file you can either select
FileNew
from the menu or choose the New
icon from the toolbar.
&kappname; will then open the New File Setup Wizard which will
guide you through the process of creating the file.
Personal Data PagePersonal Data Page
Since all fields are optional, you can use &kappname; without entering any
information now. Any information entered here is used only to personalize
your file. In the future, it may be used in some reports and for online
banking. If &kappname; requires any personal information in future releases
and finds none, you will be prompted to enter the relevant data then.
Please enter your name and address or nothing and press
Next.
In case you have an address for yourself stored in the KAddressbook, the
button Load from Addressbook is enabled and pressing it
imports all information into &kappname;.
&kappname; supports multiple currencies. To set your base currency (the
currency you use day to day and which will be used for your reports), select
the appropriate entry from the list provided and press
Next. A default will be selected from &kappname; based
upon your locale settings.
Base currency selection PageBase currency selection page
The following page allows you to create an initial account. For the typical
&kappname; user this is a checking account.
Checking account creation PageChecking account creation page
Enter the name of the account and a possible reference number assigned by the
institution managing the account. Enter the opening date of the account and
the opening balance of the account. For example, you want to use &kappname;
to manage all your finances as of 2008-01-01, then enter the balance of the
account at the beginning of this date. The number can possibly be obtained
from a paper statement. Also enter the name and routing number of the
institution, though this information is optional and only required for online
banking purposes.
In case you don't want to setup an initial account, please uncheck the checkbox
Once finished, press Next to proceed.
Account template selection PageAccount template selection page
Choose the appropriate country and account template(s). Multiple templates,
even from multiple countries can be selected using a combination of
Ctrl and Shift together with the left mouse
button. The account hierarchy to be setup will be shown in a preview part of
the wizard. In case you cannot find a template that suits your needs, don't
select a template.
Once finished with the template selection press Next to
proceed.
The next page of the wizard allows you to setup user preferences. Press
Next if you are done and want to proceed.
Preference PagePreference page
The last page of the wizard allows you to select the filename that will be
used to store your financial data. An initial filename will be constructed out
of your HOME folder and user name. In case the file exists, a warning will
be displayed which reminds you to select a name of a non-existing file.
Filename selection PageFilename selection page
Now you have entered all relevant information to create the file. Press
Finish and &kappname; will create the file for you and
open it.
Creating accounts
You can create an account in one of two ways both of which are described here:
Using the menu
To create an account using the menu select
AccountsAdd new
account.
Using the Accounts view
To create an account using the accounts view click on the Accounts icon
in the view selector and then right click on the Asset tree icon in the
right hand view and select New account from
the popup menu. The Asset tree holds all of your accounts that are an
asset. Assets, and all the other account types, are discussed in more
detail later in this manual.
Note that &kappname; uses the context menus a lot throughout the whole
application. If you find yourself stuck trying to figure out how to do
something, try right-clicking where you would expect to see a feature.
Creating a new account by either method opens the New Account
Wizard. This wizard will take you step by step through the process
of creating an account, gathering the required information at each step. To
navigate through the pages click on the Previous and
Next buttons.
Create an account using either of the two previously mentioned methods to
continue. A full description of creating accounts can be found in the Accounts section.
Now that one or more accounts exist in &kappname;, your account summary is
shown in the Home view. You can create transactions manually in the Ledgers view, or set up automatic
transactions through the Schedules
view.
Schedules
Sometimes called a recurring transaction, a Schedule is a transaction that occurs one
or more times over a certain period of time. A typical example is your pay
check that you receive every month or week. Rather than have to enter the
transaction details each time you get paid, you can instruct &kappname; to
create a schedule that will enter a transaction for you when you get paid.
To maintain schedules click on the
Schedules
icon in the view selector.
Categories
To maintain categories click on the
Categories
icon in the view selector.
A full description of this topic can be found in the Categories section.
Payees
To maintain your list of payees click on the
Payees
icon in the view selector.
A full description of this topic can be found in the Payees section.
Quicken Interchange Format (QIF) Import
If you currently use a financial manager application, &kappname; can import an
account's transactions as long as they are in the Quicken Interchange Format
(QIF). Most financial programs can export this format and the different
applications methods of exporting QIF is not discussed here for brevity.
A full description of this topic can be found in the QIF Import section.
Searching for transactions
&kappname; provides a useful and powerful transaction search facility in the
form of the search dialog.
The search dialog can be opened from the toolbar using the
Find
icon or by selecting Find Transaction from the
Edit menu.
A full description of this topic can be found in the Search section.
Reconciliation
At some point you will want to reconcile the transactions you have entered
with the transactions listed in a statement, be it a bank statement, credit
card statement, loan statement, or any other statement. Reconciliation
involves matching what you have entered with what the statement lists. If any
discrepancies are found then either you or the person who created the
statement have made a mistake.
To reconcile an account, first select the account, either from
Accounts view or from Ledgers
view. Then, either click on the Reconcile icon on the
Toolbar, or select Reconcile from the
Account menu.
A full description of this topic can be found in the Reconciliation section.
Backing up
Now that you have created some accounts and entered transactions it's a good
idea to perform a backup. Because the file used by &kappname; is a standard
Unix file you can just copy the file to another location to back it up or use
the dialog provided by &kappname;. Using the dialog is the preferred method
because if &kappname; ever starts using other file formats, such as SQL, then
it would be much harder to copy the file manually.
To backup your file through &kappname; Select
Backup from the File menu and
enter the folder where you wish the file to be copied to. If the folder
needs mounting first and you have the sufficient privileges then check the
tick box labeled Mount this directory before backing up
and click on OK.
The file will be copied to the folder specified with the current date
appended to the filename so it is easy to see the date the file was backed up.
Contacting the developers / Reporting BugsContacting the developers
You can contact the developers through their mailing list &devlist;.
We're happy to hear about your experiences using &kappname;.
Reporting bugs
To report a bug please use the interface provided by &kappname; by selecting
HelpReport
Bug and filling in the required information.
Writing High Quality Bug Reports
We encourage users to take extra time to write high-quality bug reports when
submitting them. This reduces wasted effort on all sides, as the reporter and
the developer who will fix it trade emails until this information is really
in place.
Eli Goldberg wrote the canonical Bug-Writing Guideline, available at http://issues.apache.org/bugwritinghelp.html.
Generally, you'll be well-served by following these guidelines:
Include your system information
The HelpReport
Bug menu choice will fill this in automatically,
but if you would prefer not to use this interface, we will need to know the
version of &kappname; you're running, the version of &kde;, the name and
version of your distribution, and the version of your kernel.
Include a backtrace for crashes
The backtrace is often the single most useful piece of information in
solving crashes.
Try to reproduce it
Let us know if you were able to do so. It's useful to know whether the bug
only happened once and you couldn't get it to happen again or happens every
time or happens sometimes but not others.
Include specific steps
This is a bad bug report: I entered a transaction, and &kappname;
crashed. A much better bug report is: Using the transaction
form, I entered a new transaction in my Credit Card account. I selected the
Transfer tab, entered in an amount, then changed to the Deposit tab, and
back to the Transfer tab. When I returned to the Transfer tab, &kappname;
crashed. This bug is fully reproducible for me.Tell us what you expected to happen
In some cases, this is obvious, but in more subtle bugs, sometimes you'll
see a bug report where it is not obvious what the reporter expected to
happen. Always tell us what you think should have happened.
Consider running with debugging enabled
By compiling a version configured with --enable-debug=full you can ensure
that the best possible backtraces are generated. If you encounter a crash,
run &kappname; again from within gdb, and reproduce the crash. When it
crashes, type bt to generate a backtrace.
Running this way is a bit more difficult, so we don't expect all users to do
this. However, if you're interested in helping &kappname; become as stable as
possible, this is the best way to do it short of finding the bug in the code
and sending in a patch.