This version introduces better reconciliation support with reconciled balance on the account summary and a "bring upto date" button, rewritten balance calculations that use the DB to give a massive speed boost on accounts with large amounts of data, SQLite2 and PostgreSQL support, an NetBSD rc script, sset/Liability account types, and a new reporting module with income/expenditure breakdowns.
This release adds facilities for marking accounts as deleted, currency rounding, and nicer colours on the account selection screen for demarking accounts.