from openerp.tools.translate import _
from openerp.tools import float_compare
from openerp.report import report_sxw
+import openerp
class res_currency(osv.osv):
_inherit = "res.currency"
return res
-class res_company(osv.osv):
- _inherit = "res.company"
- _columns = {
- 'income_currency_exchange_account_id': fields.many2one(
- 'account.account',
- string="Gain Exchange Rate Account",
- domain="[('type', '=', 'other')]",),
- 'expense_currency_exchange_account_id': fields.many2one(
- 'account.account',
- string="Loss Exchange Rate Account",
- domain="[('type', '=', 'other')]",),
- }
-
-
-class account_config_settings(osv.osv_memory):
- _inherit = 'account.config.settings'
- _columns = {
- 'income_currency_exchange_account_id': fields.related(
- 'company_id', 'income_currency_exchange_account_id',
- type='many2one',
- relation='account.account',
- string="Gain Exchange Rate Account",
- domain="[('type', '=', 'other')]"),
- 'expense_currency_exchange_account_id': fields.related(
- 'company_id', 'expense_currency_exchange_account_id',
- type="many2one",
- relation='account.account',
- string="Loss Exchange Rate Account",
- domain="[('type', '=', 'other')]"),
- }
- def onchange_company_id(self, cr, uid, ids, company_id, context=None):
- res = super(account_config_settings, self).onchange_company_id(cr, uid, ids, company_id, context=context)
- if company_id:
- company = self.pool.get('res.company').browse(cr, uid, company_id, context=context)
- res['value'].update({'income_currency_exchange_account_id': company.income_currency_exchange_account_id and company.income_currency_exchange_account_id.id or False,
- 'expense_currency_exchange_account_id': company.expense_currency_exchange_account_id and company.expense_currency_exchange_account_id.id or False})
- else:
- res['value'].update({'income_currency_exchange_account_id': False,
- 'expense_currency_exchange_account_id': False})
- return res
-
class account_voucher(osv.osv):
def _check_paid(self, cr, uid, ids, name, args, context=None):
res = {}
invoice_pool = self.pool.get('account.invoice')
journal_pool = self.pool.get('account.journal')
if context.get('invoice_id', False):
- currency_id = invoice_pool.browse(cr, uid, context['invoice_id'], context=context).currency_id.id
- journal_id = journal_pool.search(cr, uid, [('currency', '=', currency_id)], limit=1)
+ invoice = invoice_pool.browse(cr, uid, context['invoice_id'], context=context)
+ journal_id = journal_pool.search(cr, uid, [
+ ('currency', '=', invoice.currency_id.id), ('company_id', '=', invoice.company_id.id)
+ ], limit=1, context=context)
return journal_id and journal_id[0] or False
if context.get('journal_id', False):
return context.get('journal_id')
journal_pool = self.pool.get('account.journal')
journal_id = context.get('journal_id', False)
if journal_id:
+ if isinstance(journal_id, (list, tuple)):
+ # sometimes journal_id is a pair (id, display_name)
+ journal_id = journal_id[0]
journal = journal_pool.browse(cr, uid, journal_id, context=context)
if journal.currency:
return journal.currency.id
debit = credit = 0.0
sign = type == 'payment' and -1 or 1
for l in line_dr_ids:
- debit += l['amount']
+ if isinstance(l, dict):
+ debit += l['amount']
for l in line_cr_ids:
- credit += l['amount']
+ if isinstance(l, dict):
+ credit += l['amount']
return amount - sign * (credit - debit)
def onchange_line_ids(self, cr, uid, ids, line_dr_ids, line_cr_ids, amount, voucher_currency, type, context=None):
context = context or {}
if not line_dr_ids and not line_cr_ids:
return {'value':{'writeoff_amount': 0.0}}
- line_osv = self.pool.get("account.voucher.line")
- line_dr_ids = resolve_o2m_operations(cr, uid, line_osv, line_dr_ids, ['amount'], context)
- line_cr_ids = resolve_o2m_operations(cr, uid, line_osv, line_cr_ids, ['amount'], context)
+ # resolve lists of commands into lists of dicts
+ line_dr_ids = self.resolve_2many_commands(cr, uid, 'line_dr_ids', line_dr_ids, ['amount'], context)
+ line_cr_ids = self.resolve_2many_commands(cr, uid, 'line_cr_ids', line_cr_ids, ['amount'], context)
#compute the field is_multi_currency that is used to hide/display options linked to secondary currency on the voucher
is_multi_currency = False
#loop on the voucher lines to see if one of these has a secondary currency. If yes, we need to see the options
}
_columns = {
- 'active': fields.boolean('Active', help="By default, reconciliation vouchers made on draft bank statements are set as inactive, which allow to hide the customer/supplier payment while the bank statement isn't confirmed."),
'type':fields.selection([
('sale','Sale'),
('purchase','Purchase'),
('payment','Payment'),
('receipt','Receipt'),
],'Default Type', readonly=True, states={'draft':[('readonly',False)]}),
- 'name':fields.char('Memo', size=256, readonly=True, states={'draft':[('readonly',False)]}),
- 'date':fields.date('Date', readonly=True, select=True, states={'draft':[('readonly',False)]}, help="Effective date for accounting entries"),
+ 'name':fields.char('Memo', readonly=True, states={'draft':[('readonly',False)]}),
+ 'date':fields.date('Date', readonly=True, select=True, states={'draft':[('readonly',False)]},
+ help="Effective date for accounting entries", copy=False),
'journal_id':fields.many2one('account.journal', 'Journal', required=True, readonly=True, states={'draft':[('readonly',False)]}),
'account_id':fields.many2one('account.account', 'Account', required=True, readonly=True, states={'draft':[('readonly',False)]}),
- 'line_ids':fields.one2many('account.voucher.line','voucher_id','Voucher Lines', readonly=True, states={'draft':[('readonly',False)]}),
+ 'line_ids':fields.one2many('account.voucher.line', 'voucher_id', 'Voucher Lines',
+ readonly=True, copy=True,
+ states={'draft':[('readonly',False)]}),
'line_cr_ids':fields.one2many('account.voucher.line','voucher_id','Credits',
domain=[('type','=','cr')], context={'default_type':'cr'}, readonly=True, states={'draft':[('readonly',False)]}),
'line_dr_ids':fields.one2many('account.voucher.line','voucher_id','Debits',
('cancel','Cancelled'),
('proforma','Pro-forma'),
('posted','Posted')
- ], 'Status', readonly=True, size=32, track_visibility='onchange',
+ ], 'Status', readonly=True, track_visibility='onchange', copy=False,
help=' * The \'Draft\' status is used when a user is encoding a new and unconfirmed Voucher. \
\n* The \'Pro-forma\' when voucher is in Pro-forma status,voucher does not have an voucher number. \
\n* The \'Posted\' status is used when user create voucher,a voucher number is generated and voucher entries are created in account \
\n* The \'Cancelled\' status is used when user cancel voucher.'),
'amount': fields.float('Total', digits_compute=dp.get_precision('Account'), required=True, readonly=True, states={'draft':[('readonly',False)]}),
- 'tax_amount':fields.float('Tax Amount', digits_compute=dp.get_precision('Account'), readonly=True, states={'draft':[('readonly',False)]}),
- 'reference': fields.char('Ref #', size=64, readonly=True, states={'draft':[('readonly',False)]}, help="Transaction reference number."),
- 'number': fields.char('Number', size=32, readonly=True,),
- 'move_id':fields.many2one('account.move', 'Account Entry'),
+ 'tax_amount':fields.float('Tax Amount', digits_compute=dp.get_precision('Account'), readonly=True),
+ 'reference': fields.char('Ref #', readonly=True, states={'draft':[('readonly',False)]},
+ help="Transaction reference number.", copy=False),
+ 'number': fields.char('Number', readonly=True, copy=False),
+ 'move_id':fields.many2one('account.move', 'Account Entry', copy=False),
'move_ids': fields.related('move_id','line_id', type='one2many', relation='account.move.line', string='Journal Items', readonly=True),
'partner_id':fields.many2one('res.partner', 'Partner', change_default=1, readonly=True, states={'draft':[('readonly',False)]}),
'audit': fields.related('move_id','to_check', type='boolean', 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.', relation='account.move', string='To Review'),
'pre_line':fields.boolean('Previous Payments ?', required=False),
'date_due': fields.date('Due Date', readonly=True, select=True, states={'draft':[('readonly',False)]}),
'payment_option':fields.selection([
- ('without_writeoff', 'Keep Open'),
- ('with_writeoff', 'Reconcile Payment Balance'),
+ ('without_writeoff', 'Keep it open'),
+ ('with_writeoff', 'Reconcile payment balance'),
], 'Payment Difference', required=True, readonly=True, states={'draft': [('readonly', False)]}, help="This field helps you to choose what you want to do with the eventual difference between the paid amount and the sum of allocated amounts. You can either choose to keep open this difference on the partner's account, or reconcile it with the payment(s)"),
'writeoff_acc_id': fields.many2one('account.account', 'Counterpart Account', readonly=True, states={'draft': [('readonly', False)]}),
- 'comment': fields.char('Counterpart Comment', size=64, required=True, readonly=True, states={'draft': [('readonly', False)]}),
+ 'comment': fields.char('Counterpart Comment', required=True, readonly=True, states={'draft': [('readonly', False)]}),
'analytic_id': fields.many2one('account.analytic.account','Write-Off Analytic Account', readonly=True, states={'draft': [('readonly', False)]}),
'writeoff_amount': fields.function(_get_writeoff_amount, string='Difference Amount', type='float', readonly=True, help="Computed as the difference between the amount stated in the voucher and the sum of allocation on the voucher lines."),
'payment_rate_currency_id': fields.many2one('res.currency', 'Payment Rate Currency', required=True, readonly=True, states={'draft':[('readonly',False)]}),
'currency_help_label': fields.function(_fnct_currency_help_label, type='text', string="Helping Sentence", help="This sentence helps you to know how to specify the payment rate by giving you the direct effect it has"),
}
_defaults = {
- 'active': True,
'period_id': _get_period,
'partner_id': _get_partner,
'journal_id':_get_journal,
tax_pool = self.pool.get('account.tax')
partner_pool = self.pool.get('res.partner')
position_pool = self.pool.get('account.fiscal.position')
- line_pool = self.pool.get('account.voucher.line')
if not line_ids:
line_ids = []
res = {
}
voucher_total = 0.0
- line_ids = resolve_o2m_operations(cr, uid, line_pool, line_ids, ["amount"], context)
+ # resolve the list of commands into a list of dicts
+ line_ids = self.resolve_2many_commands(cr, uid, 'line_ids', line_ids, ['amount'], context)
total_tax = 0.0
for line in line_ids:
ctx.update({'date': date})
#read the voucher rate with the right date in the context
currency_id = currency_id or self.pool.get('res.company').browse(cr, uid, company_id, context=ctx).currency_id.id
- voucher_rate = self.pool.get('res.currency').read(cr, uid, currency_id, ['rate'], context=ctx)['rate']
+ voucher_rate = self.pool.get('res.currency').read(cr, uid, [currency_id], ['rate'], context=ctx)[0]['rate']
ctx.update({
'voucher_special_currency': payment_rate_currency_id,
'voucher_special_currency_rate': rate * voucher_rate})
o2m_to_loop = 'line_dr_ids'
if o2m_to_loop and 'value' in vals and o2m_to_loop in vals['value']:
for voucher_line in vals['value'][o2m_to_loop]:
+ if not isinstance(voucher_line, dict):
+ continue
if voucher_line['currency_id'] != currency_id:
# we take as default value for the payment_rate_currency_id, the currency of the first invoice that
# is not in the voucher currency
'payment_rate_currency_id': payment_rate_currency_id
})
#read the voucher rate with the right date in the context
- voucher_rate = self.pool.get('res.currency').read(cr, uid, currency_id, ['rate'], context=ctx)['rate']
+ voucher_rate = self.pool.get('res.currency').read(cr, uid, [currency_id], ['rate'], context=ctx)[0]['rate']
ctx.update({
'voucher_special_currency_rate': payment_rate * voucher_rate,
'voucher_special_currency': payment_rate_currency_id})
#set default values
default = {
- 'value': {'line_dr_ids': [] ,'line_cr_ids': [] ,'pre_line': False,},
+ 'value': {'line_dr_ids': [], 'line_cr_ids': [], 'pre_line': False},
}
- #drop existing lines
- line_ids = ids and line_pool.search(cr, uid, [('voucher_id', '=', ids[0])]) or False
- if line_ids:
- line_pool.unlink(cr, uid, line_ids)
+ # drop existing lines
+ line_ids = ids and line_pool.search(cr, uid, [('voucher_id', '=', ids[0])])
+ for line in line_pool.browse(cr, uid, line_ids, context=context):
+ if line.type == 'cr':
+ default['value']['line_cr_ids'].append((2, line.id))
+ else:
+ default['value']['line_dr_ids'].append((2, line.id))
if not partner_id or not journal_id:
return default
total_credit += line.credit and line.amount_currency or 0.0
total_debit += line.debit and line.amount_currency or 0.0
+ remaining_amount = price
#voucher line creation
for line in account_move_lines:
'move_line_id':line.id,
'account_id':line.account_id.id,
'amount_original': amount_original,
- 'amount': (line.id in move_lines_found) and min(abs(price), amount_unreconciled) or 0.0,
+ 'amount': (line.id in move_lines_found) and min(abs(remaining_amount), amount_unreconciled) or 0.0,
'date_original':line.date,
'date_due':line.date_maturity,
'amount_unreconciled': amount_unreconciled,
'currency_id': line_currency_id,
}
- price -= rs['amount']
+ remaining_amount -= rs['amount']
#in case a corresponding move_line hasn't been found, we now try to assign the voucher amount
#on existing invoices: we split voucher amount by most old first, but only for lines in the same currency
if not move_lines_found:
ctx = context.copy()
ctx.update({'date': date})
#read the voucher rate with the right date in the context
- voucher_rate = self.pool.get('res.currency').read(cr, uid, currency_id, ['rate'], context=ctx)['rate']
+ voucher_rate = self.pool.get('res.currency').read(cr, uid, [currency_id], ['rate'], context=ctx)[0]['rate']
ctx.update({
'voucher_special_currency_rate': payment_rate * voucher_rate,
'voucher_special_currency': payment_rate_currency_id})
currency_id = journal.currency.id
else:
currency_id = journal.company_id.currency_id.id
- vals['value'].update({'currency_id': currency_id})
+
+ period_ids = self.pool['account.period'].find(cr, uid, context=dict(context, company_id=company_id))
+ vals['value'].update({
+ 'currency_id': currency_id,
+ 'payment_rate_currency_id': currency_id,
+ 'period_id': period_ids and period_ids[0] or False
+ })
#in case we want to register the payment directly from an invoice, it's confusing to allow to switch the journal
#without seeing that the amount is expressed in the journal currency, and not in the invoice currency. So to avoid
#this common mistake, we simply reset the amount to 0 if the currency is not the invoice currency.
vals[key].update(res[key])
return vals
+ def onchange_company(self, cr, uid, ids, partner_id, journal_id, currency_id, company_id, context=None):
+ """
+ If the company changes, check that the journal is in the right company.
+ If not, fetch a new journal.
+ """
+ journal_pool = self.pool['account.journal']
+ journal = journal_pool.browse(cr, uid, journal_id, context=context)
+ if journal.company_id.id != company_id:
+ # can not guess type of journal, better remove it
+ return {'value': {'journal_id': False}}
+ return {}
+
def button_proforma_voucher(self, cr, uid, ids, context=None):
- self.signal_proforma_voucher(cr, uid, ids)
+ self.signal_workflow(cr, uid, ids, 'proforma_voucher')
return {'type': 'ir.actions.act_window_close'}
def proforma_voucher(self, cr, uid, ids, context=None):
def cancel_voucher(self, cr, uid, ids, context=None):
reconcile_pool = self.pool.get('account.move.reconcile')
move_pool = self.pool.get('account.move')
-
+ move_line_pool = self.pool.get('account.move.line')
for voucher in self.browse(cr, uid, ids, context=context):
# refresh to make sure you don't unlink an already removed move
voucher.refresh()
- recs = []
for line in voucher.move_ids:
+ # refresh to make sure you don't unreconcile an already unreconciled entry
+ line.refresh()
if line.reconcile_id:
- recs += [line.reconcile_id.id]
- if line.reconcile_partial_id:
- recs += [line.reconcile_partial_id.id]
-
- reconcile_pool.unlink(cr, uid, recs)
-
+ move_lines = [move_line.id for move_line in line.reconcile_id.line_id]
+ move_lines.remove(line.id)
+ reconcile_pool.unlink(cr, uid, [line.reconcile_id.id])
+ if len(move_lines) >= 2:
+ move_line_pool.reconcile_partial(cr, uid, move_lines, 'auto',context=context)
if voucher.move_id:
move_pool.button_cancel(cr, uid, [voucher.move_id.id])
move_pool.unlink(cr, uid, [voucher.move_id.id])
'period_id': voucher.period_id.id,
'partner_id': voucher.partner_id.id,
'currency_id': company_currency <> current_currency and current_currency or False,
- 'amount_currency': company_currency <> current_currency and sign * voucher.amount or 0.0,
+ 'amount_currency': (sign * abs(voucher.amount) # amount < 0 for refunds
+ if company_currency != current_currency else 0.0),
'date': voucher.date,
'date_maturity': voucher.date_due
}
if amount_residual > 0:
account_id = line.voucher_id.company_id.expense_currency_exchange_account_id
if not account_id:
- raise osv.except_osv(_('Insufficient Configuration!'),_("You should configure the 'Loss Exchange Rate Account' in the accounting settings, to manage automatically the booking of accounting entries related to differences between exchange rates."))
+ model, action_id = self.pool['ir.model.data'].get_object_reference(cr, uid, 'account', 'action_account_form')
+ msg = _("You should configure the 'Loss Exchange Rate Account' to manage automatically the booking of accounting entries related to differences between exchange rates.")
+ raise openerp.exceptions.RedirectWarning(msg, action_id, _('Go to the configuration panel'))
else:
account_id = line.voucher_id.company_id.income_currency_exchange_account_id
if not account_id:
- raise osv.except_osv(_('Insufficient Configuration!'),_("You should configure the 'Gain Exchange Rate Account' in the accounting settings, to manage automatically the booking of accounting entries related to differences between exchange rates."))
+ model, action_id = self.pool['ir.model.data'].get_object_reference(cr, uid, 'account', 'action_account_form')
+ msg = _("You should configure the 'Gain Exchange Rate Account' to manage automatically the booking of accounting entries related to differences between exchange rates.")
+ raise openerp.exceptions.RedirectWarning(msg, action_id, _('Go to the configuration panel'))
# Even if the amount_currency is never filled, we need to pass the foreign currency because otherwise
# the receivable/payable account may have a secondary currency, which render this field mandatory
if line.account_id.currency_id:
tot_line = line_total
rec_lst_ids = []
- date = self.read(cr, uid, voucher_id, ['date'], context=context)['date']
+ date = self.read(cr, uid, [voucher_id], ['date'], context=context)[0]['date']
ctx = context.copy()
ctx.update({'date': date})
voucher = self.pool.get('account.voucher').browse(cr, uid, voucher_id, context=ctx)
if line.amount == line.amount_unreconciled:
if not line.move_line_id:
raise osv.except_osv(_('Wrong voucher line'),_("The invoice you are willing to pay is not valid anymore."))
- sign = voucher.type in ('payment', 'purchase') and -1 or 1
+ sign = line.type =='dr' and -1 or 1
currency_rate_difference = sign * (line.move_line_id.amount_residual - amount)
else:
currency_rate_difference = 0.0
# otherwise we use the rates of the system
amount_currency = currency_obj.compute(cr, uid, company_currency, line.move_line_id.currency_id.id, move_line['debit']-move_line['credit'], context=ctx)
if line.amount == line.amount_unreconciled:
- sign = voucher.type in ('payment', 'purchase') and -1 or 1
- foreign_currency_diff = sign * line.move_line_id.amount_residual_currency + amount_currency
+ foreign_currency_diff = line.move_line_id.amount_residual_currency - abs(amount_currency)
move_line['amount_currency'] = amount_currency
voucher_line = move_line_obj.create(cr, uid, move_line)
if voucher.payment_option == 'with_writeoff':
account_id = voucher.writeoff_acc_id.id
write_off_name = voucher.comment
- elif voucher.type in ('sale', 'receipt'):
- account_id = voucher.partner_id.property_account_receivable.id
+ elif voucher.partner_id:
+ if voucher.type in ('sale', 'receipt'):
+ account_id = voucher.partner_id.property_account_receivable.id
+ else:
+ account_id = voucher.partner_id.property_account_payable.id
else:
- account_id = voucher.partner_id.property_account_payable.id
+ # fallback on account of voucher
+ account_id = voucher.account_id.id
sign = voucher.type == 'payment' and -1 or 1
move_line = {
'name': write_off_name or name,
reconcile = move_line_pool.reconcile_partial(cr, uid, rec_ids, writeoff_acc_id=voucher.writeoff_acc_id.id, writeoff_period_id=voucher.period_id.id, writeoff_journal_id=voucher.journal_id.id)
return True
- def copy(self, cr, uid, id, default=None, context=None):
- if default is None:
- default = {}
- default.update({
- 'state': 'draft',
- 'number': False,
- 'move_id': False,
- 'line_cr_ids': False,
- 'line_dr_ids': False,
- 'reference': False
- })
- if 'date' not in default:
- default['date'] = time.strftime('%Y-%m-%d')
- return super(account_voucher, self).copy(cr, uid, id, default, context)
-
-
class account_voucher_line(osv.osv):
_name = 'account.voucher.line'
_description = 'Voucher Lines'
_columns = {
'voucher_id':fields.many2one('account.voucher', 'Voucher', required=1, ondelete='cascade'),
- 'name':fields.char('Description', size=256),
+ 'name':fields.char('Description',),
'account_id':fields.many2one('account.account','Account', required=True),
'partner_id':fields.related('voucher_id', 'partner_id', type='many2one', relation='res.partner', string='Partner'),
'untax_amount':fields.float('Untax Amount'),
'reconcile': fields.boolean('Full Reconcile'),
'type':fields.selection([('dr','Debit'),('cr','Credit')], 'Dr/Cr'),
'account_analytic_id': fields.many2one('account.analytic.account', 'Analytic Account'),
- 'move_line_id': fields.many2one('account.move.line', 'Journal Item'),
+ 'move_line_id': fields.many2one('account.move.line', 'Journal Item', copy=False),
'date_original': fields.related('move_line_id','date', type='date', relation='account.move.line', string='Date', readonly=1),
'date_due': fields.related('move_line_id','date_maturity', type='date', relation='account.move.line', string='Due Date', readonly=1),
'amount_original': fields.function(_compute_balance, multi='dc', type='float', string='Original Amount', store=True, digits_compute=dp.get_precision('Account')),
})
return values
-class account_bank_statement(osv.osv):
- _inherit = 'account.bank.statement'
-
- def button_confirm_bank(self, cr, uid, ids, context=None):
- voucher_obj = self.pool.get('account.voucher')
- voucher_ids = []
- for statement in self.browse(cr, uid, ids, context=context):
- voucher_ids += [line.voucher_id.id for line in statement.line_ids if line.voucher_id]
- if voucher_ids:
- voucher_obj.write(cr, uid, voucher_ids, {'active': True}, context=context)
- return super(account_bank_statement, self).button_confirm_bank(cr, uid, ids, context=context)
-
- def button_cancel(self, cr, uid, ids, context=None):
- voucher_obj = self.pool.get('account.voucher')
- for st in self.browse(cr, uid, ids, context=context):
- voucher_ids = []
- for line in st.line_ids:
- if line.voucher_id:
- voucher_ids.append(line.voucher_id.id)
- voucher_obj.cancel_voucher(cr, uid, voucher_ids, context)
- return super(account_bank_statement, self).button_cancel(cr, uid, ids, context=context)
-
- def create_move_from_st_line(self, cr, uid, st_line_id, company_currency_id, next_number, context=None):
- voucher_obj = self.pool.get('account.voucher')
- move_line_obj = self.pool.get('account.move.line')
- bank_st_line_obj = self.pool.get('account.bank.statement.line')
- st_line = bank_st_line_obj.browse(cr, uid, st_line_id, context=context)
- if st_line.voucher_id:
- voucher_obj.write(cr, uid, [st_line.voucher_id.id],
- {'number': next_number,
- 'date': st_line.date,
- 'period_id': st_line.statement_id.period_id.id},
- context=context)
- if st_line.voucher_id.state == 'cancel':
- voucher_obj.action_cancel_draft(cr, uid, [st_line.voucher_id.id], context=context)
- voucher_obj.signal_proforma_voucher(cr, uid, [st_line.voucher_id.id])
-
- v = voucher_obj.browse(cr, uid, st_line.voucher_id.id, context=context)
- bank_st_line_obj.write(cr, uid, [st_line_id], {
- 'move_ids': [(4, v.move_id.id, False)]
- })
-
- return move_line_obj.write(cr, uid, [x.id for x in v.move_ids], {'statement_id': st_line.statement_id.id}, context=context)
- return super(account_bank_statement, self).create_move_from_st_line(cr, uid, st_line.id, company_currency_id, next_number, context=context)
-
- def write(self, cr, uid, ids, vals, context=None):
- # Restrict to modify the journal if we already have some voucher of reconciliation created/generated.
- # Because the voucher keeps in memory the journal it was created with.
- for bk_st in self.browse(cr, uid, ids, context=context):
- if vals.get('journal_id') and bk_st.line_ids:
- if any([x.voucher_id and True or False for x in bk_st.line_ids]):
- raise osv.except_osv(_('Unable to Change Journal!'), _('You can not change the journal as you already reconciled some statement lines!'))
- return super(account_bank_statement, self).write(cr, uid, ids, vals, context=context)
-
-
-class account_bank_statement_line(osv.osv):
- _inherit = 'account.bank.statement.line'
-
- def onchange_partner_id(self, cr, uid, ids, partner_id, context=None):
- res = super(account_bank_statement_line, self).onchange_partner_id(cr, uid, ids, partner_id, context=context)
- if 'value' not in res:
- res['value'] = {}
- res['value'].update({'voucher_id' : False})
- return res
-
- def onchange_amount(self, cr, uid, ids, amount, context=None):
- return {'value' : {'voucher_id' : False}}
-
- def _amount_reconciled(self, cursor, user, ids, name, args, context=None):
- if not ids:
- return {}
- res = {}
- for line in self.browse(cursor, user, ids, context=context):
- if line.voucher_id:
- res[line.id] = line.voucher_id.amount#
- else:
- res[line.id] = 0.0
- return res
-
- def _check_amount(self, cr, uid, ids, context=None):
- for obj in self.browse(cr, uid, ids, context=context):
- if obj.voucher_id:
- diff = abs(obj.amount) - abs(obj.voucher_id.amount)
- if not self.pool.get('res.currency').is_zero(cr, uid, obj.statement_id.currency, diff):
- return False
- return True
-
- _constraints = [
- (_check_amount, 'The amount of the voucher must be the same amount as the one on the statement line.', ['amount']),
- ]
-
- _columns = {
- 'amount_reconciled': fields.function(_amount_reconciled,
- string='Amount reconciled', type='float'),
- 'voucher_id': fields.many2one('account.voucher', 'Reconciliation'),
- }
-
- def unlink(self, cr, uid, ids, context=None):
- voucher_obj = self.pool.get('account.voucher')
- statement_line = self.browse(cr, uid, ids, context=context)
- unlink_ids = []
- for st_line in statement_line:
- if st_line.voucher_id:
- unlink_ids.append(st_line.voucher_id.id)
- voucher_obj.unlink(cr, uid, unlink_ids, context=context)
- return super(account_bank_statement_line, self).unlink(cr, uid, ids, context=context)
-
-
-def resolve_o2m_operations(cr, uid, target_osv, operations, fields, context):
- results = []
- for operation in operations:
- result = None
- if not isinstance(operation, (list, tuple)):
- result = target_osv.read(cr, uid, operation, fields, context=context)
- elif operation[0] == 0:
- # may be necessary to check if all the fields are here and get the default values?
- result = operation[2]
- elif operation[0] == 1:
- result = target_osv.read(cr, uid, operation[1], fields, context=context)
- if not result: result = {}
- result.update(operation[2])
- elif operation[0] == 4:
- result = target_osv.read(cr, uid, operation[1], fields, context=context)
- if result != None:
- results.append(result)
- return results
-
-
# vim:expandtab:smartindent:tabstop=4:softtabstop=4:shiftwidth=4: