import logging
import time
+import uuid
-from openerp import tools
+from openerp import tools, models
from openerp.osv import fields, osv
from openerp.tools.translate import _
+from openerp.exceptions import Warning
import openerp.addons.decimal_precision as dp
import openerp.addons.product.product
domain=[('type', '=', 'sale')],
help="Accounting journal used to post sales entries."),
'currency_id' : fields.function(_get_currency, type="many2one", string="Currency", relation="res.currency"),
- 'iface_self_checkout' : fields.boolean('Self Checkout Mode',
- help="Check this if this point of sale should open by default in a self checkout mode. If unchecked, Odoo uses the normal cashier mode by default."),
'iface_cashdrawer' : fields.boolean('Cashdrawer', help="Automatically open the cashdrawer"),
'iface_payment_terminal' : fields.boolean('Payment Terminal', help="Enables Payment Terminal integration"),
'iface_electronic_scale' : fields.boolean('Electronic Scale', help="Enables Electronic Scale integration"),
'iface_scan_via_proxy' : fields.boolean('Scan via Proxy', help="Enable barcode scanning with a remotely connected barcode scanner"),
'iface_invoicing': fields.boolean('Invoicing',help='Enables invoice generation from the Point of Sale'),
'iface_big_scrollbars': fields.boolean('Large Scrollbars',help='For imprecise industrial touchscreens'),
+ 'iface_fullscreen': fields.boolean('Fullscreen', help='Display the Point of Sale in full screen mode'),
+ 'iface_print_auto': fields.boolean('Automatic Receipt Printing', help='The receipt will automatically be printed at the end of each order'),
+ 'iface_precompute_cash': fields.boolean('Prefill Cash Payment', help='The payment input will behave similarily to bank payment input, and will be prefilled with the exact due amount'),
+ 'iface_tax_included': fields.boolean('Include Taxes in Prices', help='The displayed prices will always include all taxes, even if the taxes have been setup differently'),
'receipt_header': fields.text('Receipt Header',help="A short text that will be inserted as a header in the printed receipt"),
'receipt_footer': fields.text('Receipt Footer',help="A short text that will be inserted as a footer in the printed receipt"),
'proxy_ip': fields.char('IP Address', help='The hostname or ip address of the hardware proxy, Will be autodetected if left empty', size=45),
'state' : fields.selection(POS_CONFIG_STATE, 'Status', required=True, readonly=True, copy=False),
+ 'uuid' : fields.char('uuid', readonly=True, help='A globally unique identifier for this pos configuration, used to prevent conflicts in client-generated data'),
'sequence_id' : fields.many2one('ir.sequence', 'Order IDs Sequence', readonly=True,
help="This sequence is automatically created by Odoo but you can change it "\
"to customize the reference numbers of your orders.", copy=False),
'group_by' : fields.boolean('Group Journal Items', help="Check this if you want to group the Journal Items by Product while closing a Session"),
'pricelist_id': fields.many2one('product.pricelist','Pricelist', required=True),
'company_id': fields.many2one('res.company', 'Company', required=True),
- 'barcode_product': fields.char('Product Barcodes', size=64, help='The pattern that identifies product barcodes'),
- 'barcode_cashier': fields.char('Cashier Barcodes', size=64, help='The pattern that identifies cashier login barcodes'),
- 'barcode_customer': fields.char('Customer Barcodes',size=64, help='The pattern that identifies customer\'s client card barcodes'),
- 'barcode_price': fields.char('Price Barcodes', size=64, help='The pattern that identifies a product with a barcode encoded price'),
- 'barcode_weight': fields.char('Weight Barcodes', size=64, help='The pattern that identifies a product with a barcode encoded weight'),
- 'barcode_discount': fields.char('Discount Barcodes', size=64, help='The pattern that identifies a product with a barcode encoded discount'),
+ 'barcode_nomenclature_id': fields.many2one('barcode.nomenclature','Barcodes', help='Defines what kind of barcodes are available and how they are assigned to products, customers and cashiers', required=True),
+ 'group_pos_manager_id': fields.many2one('res.groups','Point of Sale Manager Group', help='This field is there to pass the id of the pos manager group to the point of sale client'),
+ 'group_pos_user_id': fields.many2one('res.groups','Point of Sale User Group', help='This field is there to pass the id of the pos user group to the point of sale client'),
}
def _check_cash_control(self, cr, uid, ids, context=None):
for record in self.browse(cr, uid, ids, context=context)
)
+ def _check_company_location(self, cr, uid, ids, context=None):
+ for config in self.browse(cr, uid, ids, context=context):
+ if config.stock_location_id.company_id and config.stock_location_id.company_id.id != config.company_id.id:
+ return False
+ return True
+
+ def _check_company_journal(self, cr, uid, ids, context=None):
+ for config in self.browse(cr, uid, ids, context=context):
+ if config.journal_id and config.journal_id.company_id.id != config.company_id.id:
+ return False
+ return True
+
+ def _check_company_payment(self, cr, uid, ids, context=None):
+ for config in self.browse(cr, uid, ids, context=context):
+ journal_ids = [j.id for j in config.journal_ids]
+ if self.pool['account.journal'].search(cr, uid, [
+ ('id', 'in', journal_ids),
+ ('company_id', '!=', config.company_id.id)
+ ], count=True, context=context):
+ return False
+ return True
+
_constraints = [
(_check_cash_control, "You cannot have two cash controls in one Point Of Sale !", ['journal_ids']),
+ (_check_company_location, "The company of the stock location is different than the one of point of sale", ['company_id', 'stock_location_id']),
+ (_check_company_journal, "The company of the sale journal is different than the one of point of sale", ['company_id', 'journal_id']),
+ (_check_company_payment, "The company of a payment method is different than the one of point of sale", ['company_id', 'journal_ids']),
]
def name_get(self, cr, uid, ids, context=None):
def _get_default_company(self, cr, uid, context=None):
company_id = self.pool.get('res.users')._get_company(cr, uid, context=context)
+ print company_id
return company_id
+ def _get_default_nomenclature(self, cr, uid, context=None):
+ nom_obj = self.pool.get('barcode.nomenclature')
+ res = nom_obj.search(cr, uid, [], limit=1, context=context)
+ return res and res[0] or False
+
+ def _get_group_pos_manager(self, cr, uid, context=None):
+ group = self.pool.get('ir.model.data').get_object_reference(cr,uid,'point_of_sale','group_pos_manager')
+ if group:
+ return group[1]
+ else:
+ return False
+
+ def _get_group_pos_user(self, cr, uid, context=None):
+ group = self.pool.get('ir.model.data').get_object_reference(cr,uid,'point_of_sale','group_pos_user')
+ if group:
+ return group[1]
+ else:
+ return False
+
_defaults = {
+ 'uuid' : lambda self, cr, uid, context={}: str(uuid.uuid4()),
'state' : POS_CONFIG_STATE[0][0],
'journal_id': _default_sale_journal,
'group_by' : True,
'pricelist_id': _default_pricelist,
'iface_invoicing': True,
+ 'iface_print_auto': True,
'stock_location_id': _get_default_location,
'company_id': _get_default_company,
- 'barcode_product': '*',
- 'barcode_cashier': '041*',
- 'barcode_customer':'042*',
- 'barcode_weight': '21xxxxxNNDDD',
- 'barcode_discount':'22xxxxxxxxNN',
- 'barcode_price': '23xxxxxNNNDD',
+ 'barcode_nomenclature_id': _get_default_nomenclature,
+ 'group_pos_manager_id': _get_group_pos_manager,
+ 'group_pos_user_id': _get_group_pos_user,
}
def onchange_picking_type_id(self, cr, uid, ids, picking_type_id, context=None):
return self.write(cr, uid, ids, {'state' : 'deprecated'}, context=context)
def create(self, cr, uid, values, context=None):
- proxy = self.pool.get('ir.sequence')
- sequence_values = dict(
- name='PoS %s' % values['name'],
- padding=5,
- prefix="%s/" % values['name'],
- )
- sequence_id = proxy.create(cr, uid, sequence_values, context=context)
- values['sequence_id'] = sequence_id
+ ir_sequence = self.pool.get('ir.sequence')
+ # force sequence_id field to new pos.order sequence
+ values['sequence_id'] = ir_sequence.create(cr, uid, {
+ 'name': 'POS Order %s' % values['name'],
+ 'padding': 4,
+ 'prefix': "%s/" % values['name'],
+ 'code': "pos.order",
+ 'company_id': values.get('company_id', False),
+ }, context=context)
+
+ # TODO master: add field sequence_line_id on model
+ # this make sure we always have one available per company
+ ir_sequence.create(cr, uid, {
+ 'name': 'POS order line %s' % values['name'],
+ 'padding': 4,
+ 'prefix': "%s/" % values['name'],
+ 'code': "pos.order.line",
+ 'company_id': values.get('company_id', False),
+ }, context=context)
+
return super(pos_config, self).create(cr, uid, values, context=context)
def unlink(self, cr, uid, ids, context=None):
readonly=True,
states={'opening_control' : [('readonly', False)]}
),
- 'currency_id' : fields.related('config_id', 'currency_id', type="many2one", relation='res.currency', string="Currnecy"),
+ 'currency_id' : fields.related('config_id', 'currency_id', type="many2one", relation='res.currency', string="Currency"),
'start_at' : fields.datetime('Opening Date', readonly=True),
'stop_at' : fields.datetime('Closing Date', readonly=True),
if not cashids:
cashids = journal_proxy.search(cr, uid, [('journal_user','=',True)], context=context)
+ journal_proxy.write(cr, uid, cashids, {'journal_user': True})
jobj.write(cr, uid, [pos_config.id], {'journal_ids': [(6,0, cashids)]})
bank_statement_ids.append(statement_id)
values.update({
- 'name' : pos_config.sequence_id._next(),
+ 'name': self.pool['ir.sequence'].next_by_code(cr, uid, 'pos.session'),
'statement_ids' : [(6, 0, bank_statement_ids)],
'config_id': config_id
})
def wkf_action_close(self, cr, uid, ids, context=None):
# Close CashBox
- bsl = self.pool.get('account.bank.statement.line')
for record in self.browse(cr, uid, ids, context=context):
for st in record.statement_ids:
if abs(st.difference) > st.journal_id.amount_authorized_diff:
if (st.journal_id.type not in ['bank', 'cash']):
raise osv.except_osv(_('Error!'),
_("The type of the journal for your payment method should be bank or cash "))
- if st.difference and st.journal_id.cash_control == True:
- if st.difference > 0.0:
- name= _('Point of Sale Profit')
- else:
- name= _('Point of Sale Loss')
- bsl.create(cr, uid, {
- 'statement_id': st.id,
- 'amount': st.difference,
- 'ref': record.name,
- 'name': name,
- }, context=context)
-
- # Add a st._update_balance(...)
- if st.journal_id.type == 'bank':
- st.write({'balance_end_real' : st.balance_end})
getattr(st, 'button_confirm_%s' % st.journal_id.type)(context=context)
self._confirm_orders(cr, uid, ids, context=context)
self.write(cr, uid, ids, {'state' : 'closed'}, context=context)
if order['amount_return']:
cash_journal = session.cash_journal_id
if not cash_journal:
- cash_journal_ids = filter(lambda st: st.journal_id.type=='cash', session.statement_ids)
- if not len(cash_journal_ids):
- raise osv.except_osv( _('error!'),
- _("No cash statement found for this session. Unable to record returned cash."))
- cash_journal = cash_journal_ids[0].journal_id
+ raise Warning(_('No cash statement found with cash control enabled for this session. Unable to record returned cash.'))
self.add_payment(cr, uid, order_id, {
'amount': -order['amount_return'],
'payment_date': time.strftime('%Y-%m-%d %H:%M:%S'),
'date_order': fields.datetime('Order Date', readonly=True, select=True),
'user_id': fields.many2one('res.users', 'Salesman', help="Person who uses the the cash register. It can be a reliever, a student or an interim employee."),
'amount_tax': fields.function(_amount_all, string='Taxes', digits_compute=dp.get_precision('Account'), multi='all'),
- 'amount_total': fields.function(_amount_all, string='Total', multi='all'),
+ 'amount_total': fields.function(_amount_all, string='Total', digits_compute=dp.get_precision('Account'), multi='all'),
'amount_paid': fields.function(_amount_all, string='Paid', states={'draft': [('readonly', False)]}, readonly=True, digits_compute=dp.get_precision('Account'), multi='all'),
- 'amount_return': fields.function(_amount_all, 'Returned', digits_compute=dp.get_precision('Account'), multi='all'),
+ 'amount_return': fields.function(_amount_all, string='Returned', digits_compute=dp.get_precision('Account'), multi='all'),
'lines': fields.one2many('pos.order.line', 'order_id', 'Order Lines', states={'draft': [('readonly', False)]}, readonly=True, copy=True),
'statement_ids': fields.one2many('account.bank.statement.line', 'pos_statement_id', 'Payments', states={'draft': [('readonly', False)]}, readonly=True),
'pricelist_id': fields.many2one('product.pricelist', 'Pricelist', required=True, states={'draft': [('readonly', False)]}, readonly=True),
}
def create(self, cr, uid, values, context=None):
- values['name'] = self.pool.get('ir.sequence').get(cr, uid, 'pos.order')
+ if values.get('session_id'):
+ # set name based on the sequence specified on the config
+ session = self.pool['pos.session'].browse(cr, uid, values['session_id'], context=context)
+ values['name'] = session.config_id.sequence_id._next()
+ else:
+ # fallback on any pos.order sequence
+ values['name'] = self.pool.get('ir.sequence').next_by_code(cr, uid, 'pos.order', context=context)
return super(pos_order, self).create(cr, uid, values, context=context)
def test_paid(self, cr, uid, ids, context=None):
'amount': data['amount'],
'date': data.get('payment_date', time.strftime('%Y-%m-%d')),
'name': order.name + ': ' + (data.get('payment_name', '') or ''),
- 'partner_id': order.partner_id and order.partner_id.id or None,
+ 'partner_id': order.partner_id and self.pool.get("res.partner")._find_accounting_partner(order.partner_id).id or False,
}
account_def = property_obj.get(cr, uid, 'property_account_receivable', 'res.partner', context=context)
args['account_id'] = (order.partner_id and order.partner_id.property_account_receivable \
def create_account_move(self, cr, uid, ids, context=None):
return self._create_account_move_line(cr, uid, ids, None, None, context=context)
+ def _prepare_analytic_account(self, cr, uid, line, context=None):
+ '''This method is designed to be inherited in a custom module'''
+ return False
+
def _create_account_move_line(self, cr, uid, ids, session=None, move_id=None, context=None):
# Tricky, via the workflow, we only have one id in the ids variable
"""Create a account move line of order grouped by products or not."""
})
if data_type == 'product':
- key = ('product', values['partner_id'], values['product_id'], values['debit'] > 0)
+ key = ('product', values['partner_id'], (values['product_id'], values['name']), values['debit'] > 0)
elif data_type == 'tax':
key = ('tax', values['partner_id'], values['tax_code_id'], values['debit'] > 0)
elif data_type == 'counter_part':
if tax_code_id:
break
+ name = line.product_id.name
+ if line.notice:
+ # add discount reason in move
+ name = name + ' (' + line.notice + ')'
+
# Create a move for the line
insert_data('product', {
- 'name': line.product_id.name,
+ 'name': name,
'quantity': line.qty,
'product_id': line.product_id.id,
'account_id': income_account,
+ 'analytic_account_id': self._prepare_analytic_account(cr, uid, line, context=context),
'credit': ((amount>0) and amount) or 0.0,
'debit': ((amount<0) and -amount) or 0.0,
'tax_code_id': tax_code_id,
class account_bank_statement_line(osv.osv):
_inherit = 'account.bank.statement.line'
_columns= {
- 'pos_statement_id': fields.many2one('pos.order', ondelete='cascade'),
+ 'pos_statement_id': fields.many2one('pos.order', string="POS statement", ondelete='cascade'),
}
'product_id': fields.many2one('product.product', 'Product', domain=[('sale_ok', '=', True)], required=True, change_default=True),
'price_unit': fields.float(string='Unit Price', digits_compute=dp.get_precision('Account')),
'qty': fields.float('Quantity', digits_compute=dp.get_precision('Product UoS')),
- 'price_subtotal': fields.function(_amount_line_all, multi='pos_order_line_amount', string='Subtotal w/o Tax', store=True),
- 'price_subtotal_incl': fields.function(_amount_line_all, multi='pos_order_line_amount', string='Subtotal', store=True),
+ 'price_subtotal': fields.function(_amount_line_all, multi='pos_order_line_amount', digits_compute=dp.get_precision('Account'), string='Subtotal w/o Tax', store=True),
+ 'price_subtotal_incl': fields.function(_amount_line_all, multi='pos_order_line_amount', digits_compute=dp.get_precision('Account'), string='Subtotal', store=True),
'discount': fields.float('Discount (%)', digits_compute=dp.get_precision('Account')),
'order_id': fields.many2one('pos.order', 'Order Ref', ondelete='cascade'),
'create_date': fields.datetime('Creation Date', readonly=True),
}
_defaults = {
- 'name': lambda obj, cr, uid, context: obj.pool.get('ir.sequence').get(cr, uid, 'pos.order.line'),
+ 'name': lambda obj, cr, uid, context: obj.pool.get('ir.sequence').next_by_code(cr, uid, 'pos.order.line'),
'qty': lambda *a: 1,
'discount': lambda *a: 0.0,
'company_id': lambda self,cr,uid,c: self.pool.get('res.users').browse(cr, uid, uid, c).company_id.id,
ean13 = openerp.addons.product.product.sanitize_ean13(r.ean13_pattern)
m = context.get('active_model')
m_id = context.get('active_id')
- self.pool[m].write(cr,uid,[m_id],{'ean13':ean13})
+ self.pool[m].write(cr,uid,[m_id],{'barcode':ean13})
return { 'type' : 'ir.actions.act_window_close' }
class pos_category(osv.osv):
'available_in_pos': True,
}
+class res_partner(osv.osv):
+ _inherit = 'res.partner'
+
+ def create_from_ui(self, cr, uid, partner, context=None):
+ """ create or modify a partner from the point of sale ui.
+ partner contains the partner's fields. """
+
+ #image is a dataurl, get the data after the comma
+ if partner.get('image',False):
+ img = partner['image'].split(',')[1]
+ partner['image'] = img
+
+ if partner.get('id',False): # Modifying existing partner
+ partner_id = partner['id']
+ del partner['id']
+ self.write(cr, uid, [partner_id], partner, context=context)
+ else:
+ partner_id = self.create(cr, uid, partner, context=context)
+
+ return partner_id
+
+class barcode_rule(models.Model):
+ _inherit = 'barcode.rule'
+
+ def _get_type_selection(self):
+ types = super(barcode_rule,self)._get_type_selection()
+
+ new_types = [
+ ('weight','Weighted Product'),
+ ('price','Priced Product'),
+ ('discount','Discounted Product'),
+ ('client','Client'),
+ ('cashier','Cashier')
+ ]
+
+ for (key, value) in new_types:
+ add = True
+ for (key2, value2) in types:
+ if key == key2:
+ add = False
+ break
+ if add:
+ types += [(key, value)]
+
+ return types
+
# vim:expandtab:smartindent:tabstop=4:softtabstop=4:shiftwidth=4: