from tools.translate import _
from tools.float_utils import float_round
from openerp import SUPERUSER_ID
-
+import tools
_logger = logging.getLogger(__name__)
'days': fields.integer('Number of Days', required=True, help="Number of days to add before computation of the day of month." \
"If Date=15/01, Number of Days=22, Day of Month=-1, then the due date is 28/02."),
'days2': fields.integer('Day of the Month', required=True, help="Day of the month, set -1 for the last day of the current month. If it's positive, it gives the day of the next month. Set 0 for net days (otherwise it's based on the beginning of the month)."),
- 'payment_id': fields.many2one('account.payment.term', 'Payment Term', required=True, select=True),
+ 'payment_id': fields.many2one('account.payment.term', 'Payment Term', required=True, select=True, ondelete='cascade'),
}
_defaults = {
'value': 'balance',
return res
def _save_report_type(self, cr, uid, account_type_id, field_name, field_value, arg, context=None):
+ field_value = field_value or 'none'
obj_data = self.pool.get('ir.model.data')
obj_financial_report = self.pool.get('account.financial.report')
#unlink if it exists somewhere in the financial reports related to BS or PL
'Balance' will generally be used for cash accounts.
'Detail' will copy each existing journal item of the previous year, even the reconciled ones.
'Unreconciled' will copy only the journal items that were unreconciled on the first day of the new fiscal year."""),
- 'report_type': fields.function(_get_current_report_type, fnct_inv=_save_report_type, type='selection', string='P&L / BS Category',
+ 'report_type': fields.function(_get_current_report_type, fnct_inv=_save_report_type, type='selection', string='P&L / BS Category', store=True,
selection= [('none','/'),
('income', _('Profit & Loss (Income account)')),
('expense', _('Profit & Loss (Expense account)')),
('asset', _('Balance Sheet (Asset account)')),
- ('liability', _('Balance Sheet (Liability account)'))], store=True, help="This field is used to generate legal reports: profit and loss, balance sheet.", required=True),
+ ('liability', _('Balance Sheet (Liability account)'))], help="This field is used to generate legal reports: profit and loss, balance sheet.", required=True),
'note': fields.text('Description'),
}
_defaults = {
while pos < len(args):
if args[pos][0] == 'code' and args[pos][1] in ('like', 'ilike') and args[pos][2]:
- args[pos] = ('code', '=like', str(args[pos][2].replace('%', ''))+'%')
+ args[pos] = ('code', '=like', tools.ustr(args[pos][2].replace('%', ''))+'%')
if args[pos][0] == 'journal_id':
if not args[pos][2]:
del args[pos]
if aml_query.strip():
wheres.append(aml_query.strip())
filters = " AND ".join(wheres)
- _logger.debug('Filters: %s',(filters))
# IN might not work ideally in case there are too many
# children_and_consolidated, in that case join on a
# values() e.g.:
" GROUP BY l.account_id")
params = (tuple(children_and_consolidated),) + query_params
cr.execute(request, params)
- _logger.debug('Status: %s',(cr.statusmessage))
for row in cr.dictfetchall():
accounts[row['id']] = row
res.append((record['id'], name))
return res
- def copy(self, cr, uid, id, default={}, context=None, done_list=[], local=False):
+ def copy(self, cr, uid, id, default=None, context=None, done_list=None, local=False):
+ default = {} if default is None else default.copy()
+ if done_list is None:
+ done_list = []
account = self.browse(cr, uid, id, context=context)
new_child_ids = []
- if not default:
- default = {}
- default = default.copy()
- default['code'] = (account['code'] or '') + '(copy)'
+ default.update(code=_("%s (copy)") % (account['code'] or ''))
if not local:
done_list = []
if account.id in done_list:
return True
def _check_allow_type_change(self, cr, uid, ids, new_type, context=None):
- group1 = ['payable', 'receivable', 'other']
- group2 = ['consolidation','view']
+ group_dest = ['consolidation','view']
line_obj = self.pool.get('account.move.line')
for account in self.browse(cr, uid, ids, context=context):
old_type = account.type
if line_obj.search(cr, uid, [('account_id', 'in', account_ids)]):
#Check for 'Closed' type
if old_type == 'closed' and new_type !='closed':
- raise osv.except_osv(_('Warning!'), _("You cannot change the type of account from 'Closed' to any other type which contains journal items!"))
- #Check for change From group1 to group2 and vice versa
- if (old_type in group1 and new_type in group2) or (old_type in group2 and new_type in group1):
- raise osv.except_osv(_('Warning!'), _("You cannot change the type of account from '%s' to '%s' type as it contains journal items!") % (old_type,new_type,))
+ raise osv.except_osv(_('Warning !'), _("You cannot change the type of account from 'Closed' to any other type which contains journal items!"))
+ # Forbid to change an account type for group_dest if move are on it (or his children)
+ if (new_type in group_dest):
+ raise osv.except_osv(_('Warning !'), _("You cannot change the type of account for '%s' type as it contains journal items!") % (new_type,))
+
return True
- def write(self, cr, uid, ids, vals, context=None):
+ # For legal reason (forbiden to modify journal entries which belongs to a closed fy or period), Forbid to modify
+ # the code of an account if journal entries have been already posted on this account. This cannot be simply
+ # 'configurable' since it can lead to a lack of confidence in OpenERP and this is what we want to change.
+ def _check_allow_code_change(self, cr, uid, ids, context=None):
+ line_obj = self.pool.get('account.move.line')
+ for account in self.browse(cr, uid, ids, context=context):
+ account_ids = self.search(cr, uid, [('id', 'child_of', [account.id])])
+ if line_obj.search(cr, uid, [('account_id', 'in', account_ids)]):
+ raise osv.except_osv(_('Warning !'), _("You cannot change the code of account which contains journal items!"))
+ return True
+ def write(self, cr, uid, ids, vals, context=None):
if context is None:
context = {}
if not ids:
self._check_moves(cr, uid, ids, "write", context=context)
if 'type' in vals.keys():
self._check_allow_type_change(cr, uid, ids, vals['type'], context=context)
+ if 'code' in vals.keys():
+ self._check_allow_code_change(cr, uid, ids, context=context)
return super(account_account, self).write(cr, uid, ids, vals, context=context)
def unlink(self, cr, uid, ids, context=None):
_name = "account.journal.view"
_description = "Journal View"
_columns = {
- 'name': fields.char('Journal View', size=64, required=True),
+ 'name': fields.char('Journal View', size=64, required=True, translate=True),
'columns_id': fields.one2many('account.journal.column', 'view_id', 'Columns')
}
_order = "name"
(_check_currency, 'Configuration error!\nThe currency chosen should be shared by the default accounts too.', ['currency','default_debit_account_id','default_credit_account_id']),
]
- def copy(self, cr, uid, id, default={}, context=None, done_list=[], local=False):
+ def copy(self, cr, uid, id, default=None, context=None, done_list=None, local=False):
+ default = {} if default is None else default.copy()
+ if done_list is None:
+ done_list = []
journal = self.browse(cr, uid, id, context=context)
- if not default:
- default = {}
- default = default.copy()
- default['code'] = (journal['code'] or '') + '(copy)'
- default['name'] = (journal['name'] or '') + '(copy)'
- default['sequence_id'] = False
+ default.update(
+ code=_("%s (copy)") % (journal['code'] or ''),
+ name=_("%s (copy)") % (journal['name'] or ''),
+ sequence_id=False)
return super(account_journal, self).copy(cr, uid, id, default, context=context)
def write(self, cr, uid, ids, vals, context=None):
@return: Returns a list of tupples containing id, name
"""
+ if not ids:
+ return []
if isinstance(ids, (int, long)):
ids = [ids]
result = self.browse(cr, user, ids, context=context)
'date_stop': fields.date('End of Period', required=True, states={'done':[('readonly',True)]}),
'fiscalyear_id': fields.many2one('account.fiscalyear', 'Fiscal Year', required=True, states={'done':[('readonly',True)]}, select=True),
'state': fields.selection([('draft','Open'), ('done','Closed')], 'Status', readonly=True,
- help='When monthly periods are created. The state is \'Draft\'. At the end of monthly period it is in \'Done\' state.'),
+ help='When monthly periods are created. The status is \'Draft\'. At the end of monthly period it is in \'Done\' status.'),
'company_id': fields.related('fiscalyear_id', 'company_id', type='many2one', relation='res.company', string='Company', store=True, readonly=True)
}
_defaults = {
'icon': fields.function(_icon_get, string='Icon', type='char', size=32),
'active': fields.boolean('Active', required=True, help="If the active field is set to False, it will allow you to hide the journal period without removing it."),
'state': fields.selection([('draft','Draft'), ('printed','Printed'), ('done','Done')], 'Status', required=True, readonly=True,
- help='When journal period is created. The state is \'Draft\'. If a report is printed it comes to \'Printed\' state. When all transactions are done, it comes in \'Done\' state.'),
+ help='When journal period is created. The status is \'Draft\'. If a report is printed it comes to \'Printed\' status. When all transactions are done, it comes in \'Done\' status.'),
'fiscalyear_id': fields.related('period_id', 'fiscalyear_id', string='Fiscal Year', type='many2one', relation='account.fiscalyear'),
'company_id': fields.related('journal_id', 'company_id', type='many2one', relation='res.company', string='Company', store=True, readonly=True)
}
'end_journal_period_id':fields.many2one('account.journal.period','End of Year Entries Journal', readonly=True),
}
- def copy(self, cr, uid, id, default={}, context=None):
+ def copy(self, cr, uid, id, default=None, context=None):
+ default = {} if default is None else default.copy()
default.update({
'period_ids': [],
'end_journal_period_id': False
'period_id': fields.many2one('account.period', 'Period', required=True, states={'posted':[('readonly',True)]}),
'journal_id': fields.many2one('account.journal', 'Journal', required=True, states={'posted':[('readonly',True)]}),
'state': fields.selection([('draft','Unposted'), ('posted','Posted')], 'Status', required=True, readonly=True,
- help='All manually created new journal entries are usually in the state \'Unposted\', but you can set the option to skip that state on the related journal. In that case, they will behave as journal entries automatically created by the system on document validation (invoices, bank statements...) and will be created in \'Posted\' state.'),
+ help='All manually created new journal entries are usually in the status \'Unposted\', but you can set the option to skip that status on the related journal. In that case, they will behave as journal entries automatically created by the system on document validation (invoices, bank statements...) and will be created in \'Posted\' status.'),
'line_id': fields.one2many('account.move.line', 'move_id', 'Entries', states={'posted':[('readonly',True)]}),
'to_check': fields.boolean('To Review', help='Check this box if you are unsure of that journal entry and if you want to note it as \'to be reviewed\' by an accounting expert.'),
'partner_id': fields.related('line_id', 'partner_id', type="many2one", relation="res.partner", string="Partner", store=True),
'company_id': lambda self, cr, uid, c: self.pool.get('res.users').browse(cr, uid, uid, c).company_id.id,
}
+ def _check_fiscal_year(self, cursor, user, ids):
+ for move in self.browse(cursor, user, ids):
+ date_start = move.period_id.fiscalyear_id.date_start
+ date_stop = move.period_id.fiscalyear_id.date_stop
+ if move.date < date_start or move.date > date_stop:
+ return False
+ return True
+
def _check_centralisation(self, cursor, user, ids, context=None):
for move in self.browse(cursor, user, ids, context=context):
if move.journal_id.centralisation:
(_check_centralisation,
'You cannot create more than one move per period on a centralized journal.',
['journal_id']),
+ (_check_fiscal_year,
+ 'You cannot create entries with date not in the fiscal year of the chosen period',
+ ['line_id','']),
]
def post(self, cr, uid, ids, context=None):
balance = 0.0
for line in line_ids:
if line[2]:
- balance += (line[2]['debit'] or 0.00)- (line[2]['credit'] or 0.00)
+ balance += (line[2].get('debit',0.00)- (line[2].get('credit',0.00)))
return {'value': {'balance': balance}}
def write(self, cr, uid, ids, vals, context=None):
if not l[0]:
l[2].update({
'reconcile_id':False,
- 'reconcil_partial_id':False,
+ 'reconcile_partial_id':False,
'analytic_lines':False,
'invoice':False,
'ref':False,
if 'line_id' in vals:
c = context.copy()
c['novalidate'] = True
+ c['period_id'] = vals['period_id']
+ c['journal_id'] = vals['journal_id']
+ c['date'] = vals['date']
result = super(account_move, self).create(cr, uid, vals, c)
self.validate(cr, uid, [result], context)
else:
result = super(account_move, self).create(cr, uid, vals, context)
return result
- def copy(self, cr, uid, id, default={}, context=None):
- if context is None:
- context = {}
+ def copy(self, cr, uid, id, default=None, context=None):
+ default = {} if default is None else default.copy()
+ context = {} if context is None else context.copy()
default.update({
'state':'draft',
'name':'/',
raise osv.except_osv(_('User Error!'),
_('You cannot delete a posted journal entry "%s".') % \
move['name'])
+ for line in move.line_id:
+ if line.invoice:
+ raise osv.except_osv(_('User Error!'),
+ _("Move cannot be deleted if linked to an invoice: %s : Move ID:%s.") % \
+ (line.invoice.number,move.name))
line_ids = map(lambda x: x.id, move.line_id)
context['journal_id'] = move.journal_id.id
context['period_id'] = move.period_id.id
'line_id': fields.one2many('account.move.line', 'reconcile_id', 'Entry Lines'),
'line_partial_ids': fields.one2many('account.move.line', 'reconcile_partial_id', 'Partial Entry lines'),
'create_date': fields.date('Creation date', readonly=True),
+ 'opening_reconcile': fields.boolean('Opening entries reconciliation', help="Is this reconciliation produced by the opening of a new fiscal year ?."),
}
_defaults = {
'name': lambda self,cr,uid,ctx=None: self.pool.get('ir.sequence').get(cr, uid, 'account.reconcile', context=ctx) or '/',
+ 'opening_reconcile': 0,
}
+
+ # You cannot unlink a reconciliation if it is a opening_reconcile one,
+ # you should use the generate opening entries wizard for that
+ def unlink(self, cr, uid, ids, context=None):
+ for move_rec in self.browse(cr, uid, ids):
+ if move_rec.opening_reconcile:
+ raise osv.except_osv(_('Error!'), _('You cannot unreconcile journal items if they has been generated by the \
+ opening/closing fiscal year process.'))
+ return super(account_move_reconcile, self).unlink(cr, uid, ids, context=context)
+
+ # Look in the line_id and line_partial_ids to ensure the partner is the same or empty
+ # on all lines. We allow that only for opening/closing period
+ def _check_same_partner(self, cr, uid, ids, context=None):
+ for reconcile in self.browse(cr, uid, ids, context=context):
+ move_lines = []
+ if not reconcile.opening_reconcile:
+ if reconcile.line_id:
+ first_partner = reconcile.line_id[0].partner_id.id
+ move_lines = reconcile.line_id
+ elif reconcile.line_partial_ids:
+ first_partner = reconcile.line_partial_ids[0].partner_id.id
+ move_lines = reconcile.line_partial_ids
+ if any([line.partner_id.id != first_partner for line in move_lines]):
+ return False
+ return True
+ _constraints = [
+ (_check_same_partner, 'You can only reconcile moves where the partner (we mean ID) is the same or empty on all entries.', ['line_id']),
+ ]
+
def reconcile_partial_check(self, cr, uid, ids, type='auto', context=None):
total = 0.0
for rec in self.browse(cr, uid, ids, context=context):
'ref_tax_sign': fields.float('Tax Code Sign', help="Usually 1 or -1."),
'include_base_amount': fields.boolean('Included in base amount', help="Indicates if the amount of tax must be included in the base amount for the computation of the next taxes"),
'company_id': fields.many2one('res.company', 'Company', required=True),
- 'description': fields.char('Tax Code',size=32),
+ 'description': fields.char('Tax Code'),
'price_include': fields.boolean('Tax Included in Price', help="Check this if the price you use on the product and invoices includes this tax."),
'type_tax_use': fields.selection([('sale','Sale'),('purchase','Purchase'),('all','All')], 'Tax Application', required=True)
_defaults = {
'legend': lambda self, cr, uid, context:_('You can specify year, month and date in the name of the model using the following labels:\n\n%(year)s: To Specify Year \n%(month)s: To Specify Month \n%(date)s: Current Date\n\ne.g. My model on %(date)s'),
}
- def generate(self, cr, uid, ids, datas={}, context=None):
+
+ def generate(self, cr, uid, ids, data=None, context=None):
+ if data is None:
+ data = {}
move_ids = []
entry = {}
account_move_obj = self.pool.get('account.move')
if context is None:
context = {}
- if datas.get('date', False):
- context.update({'date': datas['date']})
+ if data.get('date', False):
+ context.update({'date': data['date']})
move_date = context.get('date', time.strftime('%Y-%m-%d'))
move_date = datetime.strptime(move_date,"%Y-%m-%d")
return move_ids
+ def onchange_journal_id(self, cr, uid, ids, journal_id, context=None):
+ company_id = False
+
+ if journal_id:
+ journal = self.pool.get('account.journal').browse(cr, uid, journal_id, context=context)
+ if journal.company_id.id:
+ company_id = journal.company_id.id
+
+ return {'value': {'company_id': company_id}}
+
account_model()
class account_model_line(osv.osv):
all_moves = []
obj_model = self.pool.get('account.model')
for line in self.browse(cr, uid, ids, context=context):
- datas = {
+ data = {
'date': line.date,
}
- move_ids = obj_model.generate(cr, uid, [line.subscription_id.model_id.id], datas, context)
+ move_ids = obj_model.generate(cr, uid, [line.subscription_id.model_id.id], data, context)
tocheck[line.subscription_id.id] = True
self.write(cr, uid, [line.id], {'move_id':move_ids[0]})
all_moves.extend(move_ids)
'reconcile': fields.boolean('Allow Reconciliation', help="Check this option if you want the user to reconcile entries in this account."),
'shortcut': fields.char('Shortcut', size=12),
'note': fields.text('Note'),
- 'parent_id': fields.many2one('account.account.template', 'Parent Account Template', ondelete='cascade'),
+ 'parent_id': fields.many2one('account.account.template', 'Parent Account Template', ondelete='cascade', domain=[('type','=','view')]),
'child_parent_ids':fields.one2many('account.account.template', 'parent_id', 'Children'),
'tax_ids': fields.many2many('account.tax.template', 'account_account_template_tax_rel', 'account_id', 'tax_id', 'Default Taxes'),
'nocreate': fields.boolean('Optional create', help="If checked, the new chart of accounts will not contain this by default."),
'nocreate': False,
}
- def _check_type(self, cr, uid, ids, context=None):
- if context is None:
- context = {}
- accounts = self.browse(cr, uid, ids, context=context)
- for account in accounts:
- if account.parent_id and account.parent_id.type != 'view':
- return False
- return True
-
_check_recursion = check_cycle
_constraints = [
(_check_recursion, 'Error!\nYou cannot create recursive account templates.', ['parent_id']),
- (_check_type, 'Configuration Error!\nYou cannot define children to an account that has internal type other than "View".', ['type']),
-
]
def name_get(self, cr, uid, ids, context=None):
'property_account_income_categ': fields.many2one('account.account.template', 'Income Category Account'),
'property_account_expense': fields.many2one('account.account.template', 'Expense Account on Product Template'),
'property_account_income': fields.many2one('account.account.template', 'Income Account on Product Template'),
- 'property_reserve_and_surplus_account': fields.many2one('account.account.template', 'Reserve and Profit/Loss Account', domain=[('type', '=', 'payable')], help='This Account is used for transferring Profit/Loss(If It is Profit: Amount will be added, Loss: Amount will be deducted.), Which is calculated from Profilt & Loss Report'),
'property_account_income_opening': fields.many2one('account.account.template', 'Opening Entries Income Account'),
'property_account_expense_opening': fields.many2one('account.account.template', 'Opening Entries Expense Account'),
}
'ref_base_sign': fields.float('Base Code Sign', help="Usually 1 or -1."),
'ref_tax_sign': fields.float('Tax Code Sign', help="Usually 1 or -1."),
'include_base_amount': fields.boolean('Include in Base Amount', help="Set if the amount of tax must be included in the base amount before computing the next taxes."),
- 'description': fields.char('Internal Name', size=32),
+ 'description': fields.char('Internal Name'),
'type_tax_use': fields.selection([('sale','Sale'),('purchase','Purchase'),('all','All')], 'Tax Use In', required=True,),
'price_include': fields.boolean('Tax Included in Price', help="Check this if the price you use on the product and invoices includes this tax."),
}
_columns = {
'company_id':fields.many2one('res.company', 'Company', required=True),
+ 'currency_id': fields.many2one('res.currency', 'Currency', help="Currency as per company's country."),
'only_one_chart_template': fields.boolean('Only One Chart Template Available'),
'chart_template_id': fields.many2one('account.chart.template', 'Chart Template', required=True),
'bank_accounts_id': fields.one2many('account.bank.accounts.wizard', 'bank_account_id', 'Cash and Banks', required=True),
'purchase_tax_rate': fields.float('Purchase Tax(%)'),
'complete_tax_set': fields.boolean('Complete Set of Taxes', help='This boolean helps you to choose if you want to propose to the user to encode the sales and purchase rates or use the usual m2o fields. This last choice assumes that the set of tax defined for the chosen template is complete'),
}
+
+ def onchange_company_id(self, cr, uid, ids, company_id, context=None):
+ currency_id = False
+ if company_id:
+ currency_id = self.pool.get('res.company').browse(cr, uid, company_id, context=context).currency_id.id
+ return {'value': {'currency_id': currency_id}}
+
def onchange_tax_rate(self, cr, uid, ids, rate=False, context=None):
return {'value': {'purchase_tax_rate': rate or False}}
res.update({'bank_accounts_id': [{'acc_name': _('Cash'), 'account_type': 'cash'},{'acc_name': _('Bank'), 'account_type': 'bank'}]})
if 'company_id' in fields:
res.update({'company_id': self.pool.get('res.users').browse(cr, uid, [uid], context=context)[0].company_id.id})
+ if 'currency_id' in fields:
+ company_id = res.get('company_id') or False
+ if company_id:
+ company_obj = self.pool.get('res.company')
+ country_id = company_obj.browse(cr, uid, company_id, context=context).country_id.id
+ currency_id = company_obj.on_change_country(cr, uid, company_id, country_id, context=context)['value']['currency_id']
+ res.update({'currency_id': currency_id})
ids = self.pool.get('account.chart.template').search(cr, uid, [('visible', '=', True)], context=context)
if ids:
('property_account_income_categ','product.category','account.account'),
('property_account_expense','product.template','account.account'),
('property_account_income','product.template','account.account'),
- ('property_reserve_and_surplus_account','res.company','account.account')
]
template = self.pool.get('account.chart.template').browse(cr, uid, chart_template_id, context=context)
for record in todo_list:
property_obj.create(cr, uid, vals, context=context)
return True
- def _install_template(self, cr, uid, template_id, company_id, code_digits=None, obj_wizard=None, acc_ref={}, taxes_ref={}, tax_code_ref={}, context=None):
+ def _install_template(self, cr, uid, template_id, company_id, code_digits=None, obj_wizard=None, acc_ref=None, taxes_ref=None, tax_code_ref=None, context=None):
'''
This function recursively loads the template objects and create the real objects from them.
* a last identical containing the mapping of tax code templates and tax codes
:rtype: tuple(dict, dict, dict)
'''
+ if acc_ref is None:
+ acc_ref = {}
+ if taxes_ref is None:
+ taxes_ref = {}
+ if tax_code_ref is None:
+ tax_code_ref = {}
template = self.pool.get('account.chart.template').browse(cr, uid, template_id, context=context)
if template.parent_id:
tmp1, tmp2, tmp3 = self._install_template(cr, uid, template.parent_id.id, company_id, code_digits=code_digits, acc_ref=acc_ref, taxes_ref=taxes_ref, tax_code_ref=tax_code_ref, context=context)
tax_code_ref.update(tmp3)
return acc_ref, taxes_ref, tax_code_ref
- def _load_template(self, cr, uid, template_id, company_id, code_digits=None, obj_wizard=None, account_ref={}, taxes_ref={}, tax_code_ref={}, context=None):
+ def _load_template(self, cr, uid, template_id, company_id, code_digits=None, obj_wizard=None, account_ref=None, taxes_ref=None, tax_code_ref=None, context=None):
'''
This function generates all the objects from the templates
* a last identical containing the mapping of tax code templates and tax codes
:rtype: tuple(dict, dict, dict)
'''
+ if account_ref is None:
+ account_ref = {}
+ if taxes_ref is None:
+ taxes_ref = {}
+ if tax_code_ref is None:
+ tax_code_ref = {}
template = self.pool.get('account.chart.template').browse(cr, uid, template_id, context=context)
obj_tax_code_template = self.pool.get('account.tax.code.template')
obj_acc_tax = self.pool.get('account.tax')
ir_values_obj = self.pool.get('ir.values')
obj_wizard = self.browse(cr, uid, ids[0])
company_id = obj_wizard.company_id.id
+ self.pool.get('res.company').write(cr, uid, [company_id], {'currency_id': obj_wizard.currency_id.id})
# If the floats for sale/purchase rates have been filled, create templates from them
self._create_tax_templates_from_rates(cr, uid, obj_wizard, company_id, context=context)