<form string="Account Period" version="7.0">
<header>
<button string="Close Period" name="%(account.action_account_period_close)d" type="action" class="oe_highlight" states="draft"/>
- <button name="action_draft" states="done" string="Set to Draft" type="object" groups="account.group_account_manager"/>
+ <button name="action_draft" states="done" string="Re-Open Period" type="object" groups="account.group_account_manager"/>
<field name="state" widget="statusbar" nolabel="1"/>
</header>
<sheet>
</p>
</field>
</record>
- <menuitem id="menu_action_account_period" action="action_account_period" parent="account.next_id_23" groups="base.group_no_one"/>
+ <menuitem id="menu_action_account_period" action="action_account_period" parent="account.next_id_23"/>
<!-- Accounts -->
<record id="view_account_form" model="ir.ui.view">
<menuitem action="action_account_form" id="menu_action_account_form" parent="account_account_menu"/>
<act_window
- id="act_account_acount_move_line_open"
- name="Entries"
- context="{'search_default_account_id':[active_id], 'search_default_unreconciled':0, 'default_account_id': active_id}"
- res_model="account.move.line"
- src_model="account.account"/>
-
- <act_window
id="act_account_acount_move_line_open_unreconciled"
name="Unreconciled Entries"
res_model="account.move.line"
id="menu_unrealized_gains_losses"
parent="account.menu_multi_currency"/>
+ <act_window
+ id="action_move_line_select"
+ name="Journal Items"
+ context="{'search_default_account_id': [active_id]}"
+ res_model="account.move.line"
+ src_model="account.account"/>
+
+ <!-- Enable drill-down from Chart Of Accounts tree view -->
+ <act_window
+ id="action_account_items"
+ name="Journal Items"
+ context="{'search_default_account_id': [active_id]}"
+ res_model="account.move.line"
+ src_model="account.account"
+ key2="tree_but_open"/>
<!-- Account Journal -->
<record id="view_account_journal_tree" model="ir.ui.view">
<group string="Accounts">
<field name="profit_account_id" domain="[('type','!=','view')]"/>
<field name="loss_account_id" domain="[('type','!=','view')]"/>
- <field name="internal_account_id"/>
+ <field name="internal_account_id" domain="[('type','!=','view')]"/>
</group>
<group string="Miscellaneous">
<field name="with_last_closing_balance"/>
- <field name="cash_control"/>
+ <field name="cash_control" attrs="{'invisible':[('type','not in', ('cash',))]}"/>
</group>
</group>
- <separator string="Available Coins" colspan="4" attrs="{'invisible' : [('cash_control', '=', False)] }"/>
- <field name="cashbox_line_ids" nolabel="1" string="Unit Of Currency Definition" colspan="4" attrs="{'invisible' : [('cash_control', '=', False)]}">
+ <separator string="Available Coins" colspan="4" attrs="{'invisible' : ['|',('cash_control', '=', False),('type','not in', ('cash',))] }"/>
+ <field name="cashbox_line_ids" nolabel="1" string="Unit Of Currency Definition" colspan="4" attrs="{'invisible' : ['|',('cash_control', '=', False),('type','not in', ('cash',))]}">
<tree string="CashBox Lines" editable="bottom">
<field name="pieces" />
</tree>
<record id="view_bank_statement_form" model="ir.ui.view">
<field name="name">account.bank.statement.form</field>
<field name="model">account.bank.statement</field>
+ <field name="priority">1</field>
<field name="arch" type="xml">
<form string="Bank Statement" version="7.0">
<header>
<button name="button_confirm_bank" states="draft" string="Confirm" type="object" class="oe_highlight"/>
<button name="button_dummy" states="draft" string="Compute" type="object" class="oe_highlight"/>
- <button name="button_cancel" states="confirm" string="Cancel" type="object"/>
+ <button name="button_cancel" states="confirm" string="Cancel Statement" type="object"/>
<field name="state" widget="statusbar" statusbar_visible="draft,confirm"/>
</header>
<sheet>
<div class="oe_right oe_button_box" name="import_buttons">
<!-- Put here related buttons -->
</div>
- <label for="name" class="oe_edit_only" attrs="{'invisible':[('name','=','/')]}"/>
- <h1>
- <field name="name" attrs="{'invisible':[('name','=','/')]}"/>
- </h1>
+ <label for="name" class="oe_edit_only"/>
+ <h1><field name="name"/></h1>
<group>
<group>
<field name="journal_id" domain="[('type', '=', 'bank')]" on_change="onchange_journal_id(journal_id)" widget="selection"/>
<field name="date"/>
<field name="name"/>
<field name="ref"/>
- <field name="partner_id" on_change="onchange_partner_id(partner_id)"/>
+ <field name="partner_id" on_change="onchange_partner_id(partner_id)" domain="['|',('parent_id','=',False),('is_company','=',True)]"/>
<field name="type" on_change="onchange_type(partner_id, type)"/>
<field name="account_id" options='{"no_open":True}' domain="[('journal_id','=',parent.journal_id), ('company_id', '=', parent.company_id)]"/>
<field name="analytic_account_id" groups="analytic.group_analytic_accounting" domain="[('company_id', '=', parent.company_id), ('type', '<>', 'view')]"/>
res_model="account.move.line"
src_model="account.tax.code"/>
+ <!-- Enable drill-down from Chart Of Taxes tree view -->
+ <act_window
+ id="action_tax_code_items"
+ name="Journal Items"
+ domain="[('tax_code_id','child_of',active_id),('state','!=','draft')]"
+ res_model="account.move.line"
+ src_model="account.tax.code"
+ key2="tree_but_open"/>
+
+
<!-- Tax -->
<record id="view_tax_tree" model="ir.ui.view">
<field name="name">account.tax.tree</field>
</group>
<group string="Invoices">
<field name="account_collected_id" domain="[('type','<>','view'),('type','<>','consolidation')]"/>
- <field name="account_analytic_collected_id" domain="[('type','<>','view'), ('company_id', '=', company_id), ('parent_id', '<>', False)]" groups="analytic.group_analytic_accounting"/>
+ <field name="account_analytic_collected_id" domain="[('type','<>','view'), ('company_id', '=', company_id)]" groups="analytic.group_analytic_accounting"/>
<field name="base_code_id"/>
<field name="base_sign"/>
</group>
<group string="Refunds">
<field name="account_paid_id" domain="[('type','<>','view'),('type','<>','consolidation')]"/>
- <field name="account_analytic_paid_id" domain="[('type','<>','view'), ('company_id', '=', company_id), ('parent_id', '<>', False)]" groups="analytic.group_analytic_accounting"/>
+ <field name="account_analytic_paid_id" domain="[('type','<>','view'), ('company_id', '=', company_id)]" groups="analytic.group_analytic_accounting"/>
<field name="ref_base_code_id"/>
<field name="ref_base_sign"/>
<field name="blocked"/>
</group>
<group groups="analytic.group_analytic_accounting" string="Analytic">
- <field name="analytic_account_id" domain="[('parent_id','!=',False)]"/>
+ <field name="analytic_account_id" domain="[('type','in',('normal','contract'))]"/>
</group>
</group>
<field name="narration" colspan="4" nolabel="1" placeholder="Add an internal note..."/>
<field name="blocked"/>
<newline/>
<field name="account_tax_id" domain="[('parent_id','=',False)]"/>
- <field name="analytic_account_id" domain="[('parent_id','!=',False)]" groups="analytic.group_analytic_accounting"/>
+ <field name="analytic_account_id" groups="analytic.group_analytic_accounting"/>
<separator colspan="4" string="Status"/>
<newline/>
<field name="reconcile_id"/>
<field name="statement_id" invisible="1"/>
<field name="partner_id" on_change="onchange_partner_id(move_id, partner_id, account_id, debit, credit, date, journal_id)"/>
<field name="account_id" options='{"no_open":True}' domain="[('journal_id','=',journal_id), ('company_id', '=', company_id)]" on_change="onchange_account_id(account_id)"/>
- <field name="date_maturity" invisible="context.get('journal_type', False) not in ['sale','sale_refund','purchase','purchase_refund']"/>
<field name="account_tax_id" options='{"no_open":True}' invisible="context.get('journal_type', False) not in ['sale','sale_refund','purchase','purchase_refund','general']"/>
<field name="analytic_account_id" groups="analytic.group_analytic_accounting" domain="[('type','not in',['view','template'])]" invisible="not context.get('analytic_journal_id',False)"/>
<field name="move_id" required="0"/>
<field name="debit" sum="Total Debit"/>
<field name="credit" sum="Total Credit"/>
+ <field name="date_maturity" invisible="context.get('journal_type', False) not in ['sale','sale_refund','purchase','purchase_refund']"/>
<field name="reconcile"/>
<field name="invoice" invisible="1"/>
<field name="amount_currency" readonly="True" invisible="not context.get('currency',False)"/>
<field name="currency_id" readonly="True" invisible="not context.get('currency',False)" />
- <field name="state" />
+ <field name="state" invisible="1"/>
<field name="company_id" invisible="1"/>
- <!-- <field name="tax_code_id"/>
- <field name="tax_amount"/> -->
</tree>
</field>
</record>
<field name="name">Journal Items</field>
<field name="res_model">account.move.line</field>
<field name="view_id" ref="view_move_line_tree"/>
- <field name="view_mode">tree_account_move_line_quickadd</field>
+ <field name="view_mode">tree_account_move_line_quickadd,form</field>
<field name="help" type="html">
<p class="oe_view_nocontent_create">
Select the period and the journal you want to fill.
<field name="name"/>
<field name="partner_id"/>
<field name="account_id"/>
+ <field name="period_id" invisible="1"/>
+ <field name="journal_id" invisible="1"/>
<field name="reconcile_partial_id"/>
<field name="state" invisible="1"/>
<field name="debit" sum="Total debit"/>
</field>
</record>
<menuitem
- name="Journal Items to Reconcile"
- action="action_account_manual_reconcile"
- id="menu_manual_reconcile_bank"
- sequence="20"
- parent="account.menu_finance_bank_and_cash"/>
- <menuitem
name="Manual Reconciliation"
action="action_account_manual_reconcile"
id="menu_manual_reconcile"
<form string="Account Entry" version="7.0">
<header>
<button name="button_validate" states="draft" string="Post" type="object" class="oe_highlight" groups="account.group_account_invoice"/>
- <button name="button_cancel" states="posted" string="Cancel" type="object" groups="account.group_account_invoice"/>
+ <button name="button_cancel" states="posted" string="Cancel Entry" type="object" groups="account.group_account_invoice"/>
<field name="state" widget="statusbar"/>
</header>
<sheet string="Journal Entries" >
</group>
<group groups="analytic.group_analytic_accounting" string="Analytic">
- <field name="analytic_account_id" domain="[('parent_id','!=',False)]"/>
+ <field name="analytic_account_id"/>
</group>
</group>
<separator string="Internal Note"/>
<field name="date_maturity"/>
<field name="debit" sum="Total Debit"/>
<field name="credit" sum="Total Credit"/>
- <field name="analytic_account_id" domain="[('parent_id','!=',False)]" groups="analytic.group_analytic_accounting"/>
+ <field name="analytic_account_id" groups="analytic.group_analytic_accounting"/>
<field name="amount_currency"/>
<field name="currency_id" groups="base.group_multi_currency"/>
<field name="tax_code_id"/>
context="{'search_default_journal_id': active_id, 'default_journal_id': active_id}"
res_model="account.move.line"
src_model="account.move"/>
+
<act_window
domain="[('reconcile_id', '=', active_id)]"
id="act_account_acount_move_line_reconcile_open"
<field name="model">account.payment.term.line</field>
<field name="arch" type="xml">
<tree string="Payment Term">
- <field name="sequence"/>
- <field name="name"/>
<field name="value"/>
- <field name="value_amount"/>
+ <field name="value_amount" attrs="{'readonly':[('value','=','balance')]}"/>
<field name="days"/>
<field name="days2"/>
</tree>
<field name="arch" type="xml">
<form string="Payment Term" version="7.0">
<group>
- <field name="name"/>
- <field name="sequence"/>
- </group>
- <group>
<group string="Amount Computation">
- <field name="value"/>
- <field name="value_amount" attrs="{'readonly':[('value','=','balance')]}"/>
+ <field name="value"/>
+ <label for="value_amount" string="Amount To Pay" attrs="{'invisible':[('value','=','balance')]}"/>
+ <div attrs="{'invisible':[('value','=','balance')]}">
+ <field name="value_amount" class="oe_inline"/>
+ <label string="%%" class="oe_inline" attrs="{'invisible':['!',('value','=','procent')]}" />
+ </div>
</group>
<group string="Due Date Computation">
<field name="days"/>
<field name="days2"/>
</group>
</group>
-
- <separator string="Example"/>
- <label string="At 14 net days 2 percent, remaining amount at 30 days end of month."/>
- <group>
- <label string="Line 1:" colspan="2"/>
- <label string=" Valuation: Percent"/>
- <label string=" Number of Days: 14"/>
- <label string=" Value amount: 0.02"/>
- <label string=" Day of the Month: 0"/>
- </group>
- <group>
- <label string="Line 2:" colspan="2"/>
- <label string=" Valuation: Balance"/>
- <label string=" Number of Days: 30"/>
- <label string=" Value amount: n.a"/>
- <label string=" Day of the Month= -1"/>
- </group>
</form>
</field>
</record>
<field name="name"/>
<field name="active"/>
</group>
- <field name="note" placeholder="Note for the invoice..."/>
+ <field name="note" placeholder="Payment term explanation for the customer..."/>
<separator string="Computation"/>
<field name="line_ids"/>
</form>
<record id="view_bank_statement_form2" model="ir.ui.view">
<field name="name">account.bank.statement.form</field>
<field name="model">account.bank.statement</field>
+ <field name="priority">2</field>
<field name="arch" type="xml">
<form string="Statement" version="7.0">
<header>
<button name="button_confirm_cash" states="open" string="Close CashBox" type="object" class="oe_highlight"/>
<button name="button_open" states="draft" string="Open CashBox" type="object" class="oe_highlight"/>
- <button name="button_cancel" states="confirm,open" string="Cancel" type="object"/>
+ <button name="button_cancel" states="confirm,open" string="Cancel CashBox" type="object"/>
<field name="state" widget="statusbar" nolabel="1" statusbar_visible="draft,confirm"/>
</header>
<sheet string="Statement">