[ADD][FIX][IMP] account: added property field for reserve & surplus account reference to company object, fixed type head problem in uk minimum chart, configuration chart, account minimum chart.

bzr revid: vra@tinyerp.com-20100813141406-4a5m4jty2g873r7o
This commit is contained in:
vra 2010-08-13 19:44:06 +05:30
parent 73c60da63f
commit 237c2a7240
13 changed files with 865 additions and 740 deletions

View File

@ -2342,6 +2342,7 @@ class account_chart_template(osv.osv):
'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 Surplus Account', domain=[('type', '=', 'payable')] , help='This Account is used for trasfering Profit/Loss(If It is Profit : Amount will be added, Loss : Amount will be duducted.), Which is calculated from Profilt & Loss Report'),
}
account_chart_template()
@ -2725,7 +2726,8 @@ class wizard_multi_charts_accounts(osv.osv_memory):
('property_account_expense_categ','product.category','account.account'),
('property_account_income_categ','product.category','account.account'),
('property_account_expense','product.template','account.account'),
('property_account_income','product.template','account.account')
('property_account_income','product.template','account.account'),
('property_reserve_and_surplus_account','res.company','account.account')
]
for record in todo_list:
r = []
@ -2738,6 +2740,7 @@ class wizard_multi_charts_accounts(osv.osv_memory):
'fields_id': field[0],
'value': account and 'account.account,'+str(acc_template_ref[account.id]) or False,
}
if r:
#the property exist: modify it
property_obj.write(cr, uid, r, vals)

View File

@ -2080,6 +2080,7 @@
<field name="property_account_income_categ"/>
<field name="property_account_expense"/>
<field name="property_account_income"/>
<field name="property_reserve_and_surplus_account"/>
</group>
</form>
</field>

View File

@ -25,6 +25,15 @@ class res_company(osv.osv):
_inherit = "res.company"
_columns = {
'overdue_msg' : fields.text('Overdue Payments Message', translate=True),
'property_reserve_and_surplus_account': fields.property(
'account.account',
type='many2one',
relation='account.account',
string="Reserve and Surplus Account",
method=True,
view_load=True,
domain="[('type', '=', 'payable')]",
help="This Account is used for trasfering Profit/Loss(If It is Profit : Amount will be added, Loss : Amount will be duducted.), Which is calculated from Profilt & Loss Report"),
}
_defaults = {

View File

@ -15,5 +15,21 @@
</notebook>
</field>
</record>
<record model="ir.ui.view" id="view_company_inherit_1_form">
<field name="name">res.company.form.inherit</field>
<field name="inherit_id" ref="base.view_company_form"/>
<field name="model">res.company</field>
<field name="type">form</field>
<field name="arch" type="xml">
<page string="Configuration" position="inside">
<group col="2" colspan="2">
<separator string="Reserve And Surplus Account" colspan="2"/>
<field name="property_reserve_and_surplus_account" colspan="2"/>
</group>
</page>
</field>
</record>
</data>
</openerp>

View File

@ -2,16 +2,18 @@
<openerp>
<data>
<!-- Types -->
<record model="account.account.type" id="conf_account_type_receivable" >
<!-- Types -->
<record model="account.account.type" id="conf_account_type_receivable" >
<field name="name">Receivable</field>
<field name="code">receivable</field>
<field name="report_type">income</field>
<field name="close_method">unreconciled</field>
</record>
<record model="account.account.type" id="conf_account_type_payable" >
<field name="name">Payable</field>
<field name="code">payable</field>
<field name="report_type">expense</field>
<field name="close_method">unreconciled</field>
</record>
@ -21,50 +23,86 @@
<field name="close_method">none</field>
</record>
<record model="account.account.type" id="account_type_income_view1">
<field name="name">Income View</field>
<field name="code">view</field>
<field name="report_type">income</field>
</record>
<record model="account.account.type" id="account_type_expense_view1">
<field name="name">Expense View</field>
<field name="code">expense</field>
<field name="report_type">expense</field>
</record>
<record model="account.account.type" id="account_type_asset_view1">
<field name="name">Asset View</field>
<field name="code">asset</field>
<field name="report_type">asset</field>
</record>
<record model="account.account.type" id="account_type_liability_view1">
<field name="name">Liability View</field>
<field name="code">liability</field>
<field name="report_type">liability</field>
</record>
<record model="account.account.type" id="conf_account_type_income" >
<field name="name">Income</field>
<field name="code">income</field>
<field name="report_type">income</field>
<field name="close_method">none</field>
</record>
<record model="account.account.type" id="conf_account_type_expense">
<field name="name">Expense</field>
<field name="code">expense</field>
<field name="report_type">expense</field>
<field name="close_method">none</field>
</record>
<record model="account.account.type" id="conf_account_type_tax">
<field name="name">Tax</field>
<field name="code">tax</field>
<field name="report_type">expense</field>
<field name="close_method">unreconciled</field>
</record>
<record model="account.account.type" id="conf_account_type_cash">
<field name="name">Cash</field>
<field name="code">cash</field>
<field name="report_type">asset</field>
<field name="close_method">balance</field>
</record>
<record model="account.account.type" id="conf_account_type_liability">
<field name="name">Liability</field>
<field name="code">liability</field>
<field name="report_type">liability</field>
<field name="close_method">balance</field>
</record>
<record model="account.account.type" id="conf_account_type_asset">
<field name="name">Asset</field>
<field name="code">asset</field>
<field name="report_type">asset</field>
<field name="close_method">balance</field>
</record>
<record model="account.account.type" id="conf_account_type_equity">
<field name="name">Equity</field>
<field name="code">equity</field>
<field name="report_type">asset</field>
<field name="close_method">balance</field>
</record>
<record model="account.account.type" id="conf_account_type_bnk">
<field name="name">Bank</field>
<field name="code">bank</field>
<field name="report_type">asset</field>
<field name="close_method">balance</field>
</record>
<record model="account.account.type" id="conf_account_type_chk">
<field name="name">Check</field>
<field name="code">check</field>
<field name="report_type">asset</field>
<field name="close_method">balance</field>
</record>
@ -79,183 +117,193 @@
<field name="user_type" ref="conf_account_type_view"/>
</record>
<!-- Balance Sheet -->
<!-- Balance Sheet -->
<record id="conf_bal" model="account.account.template">
<field name="code">1</field>
<field name="name">Balance Sheet</field>
<field ref="conf_chart0" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="conf_account_type_view"/>
</record>
<record id="conf_fas" model="account.account.template">
<field name="code">10</field>
<field name="name">Fixed Assets</field>
<field ref="conf_bal" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="conf_account_type_view"/>
</record>
<record id="conf_xfa" model="account.account.template">
<field name="code">100</field>
<field name="name">Fixed Asset Account</field>
<field ref="conf_fas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="conf_account_type_asset"/>
</record>
<record id="conf_nca" model="account.account.template">
<field name="code">11</field>
<field name="name">Net Current Assets</field>
<field ref="conf_bal" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="conf_account_type_view"/>
</record>
<record id="conf_cas" model="account.account.template">
<field name="code">110</field>
<field name="name">Current Assets</field>
<field ref="conf_nca" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="conf_account_type_view"/>
</record>
<record id="conf_stk" model="account.account.template">
<field name="code">1101</field>
<field name="name">Purchased Stocks</field>
<field ref="conf_cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="conf_account_type_asset"/>
</record>
<record id="conf_a_recv" model="account.account.template">
<field name="code">1102</field>
<field name="name">Debtors</field>
<field ref="conf_cas" name="parent_id"/>
<field name="type">receivable</field>
<field eval="True" name="reconcile"/>
<field name="user_type" ref="conf_account_type_receivable"/>
</record>
<!-- <record id="account.property_account_receivable" model="ir.property">
<field eval="'account.account,'+str(a_recv)" name="value"/>
</record> -->
<record id="conf_ova" model="account.account.template">
<field name="code">1103</field>
<field name="name">Output VAT</field>
<field ref="conf_cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="conf_account_type_tax"/>
</record>
<record id="conf_bnk" model="account.account.template">
<field name="code">1104</field>
<field name="name">Bank Current Account</field>
<field ref="conf_cas" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="conf_account_type_cash"/>
</record>
<record id="conf_cash" model="account.account.template">
<field name="code">1105</field>
<field name="name">Cash</field>
<field ref="conf_cas" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="conf_account_type_cash"/>
</record>
<record id="conf_cli" model="account.account.template">
<field name="code">111</field>
<field name="name">Current Liabilities</field>
<field ref="conf_nca" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="conf_account_type_view"/>
</record>
<record id="conf_a_pay" model="account.account.template">
<field name="code">1111</field>
<field name="name">Creditors</field>
<field ref="conf_cli" name="parent_id"/>
<field name="type">payable</field>
<field eval="True" name="reconcile"/>
<field name="user_type" ref="conf_account_type_payable"/>
</record>
<!-- <record id="account.property_account_payable" model="ir.property">
<field eval="'account.account,'+str(a_pay)" name="value"/>
</record>-->
<record id="conf_iva" model="account.account.template">
<field name="code">1112</field>
<field name="name">Input VAT</field>
<field ref="conf_cli" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="conf_account_type_tax"/>
</record>
<!-- Profit and Loss -->
<record id="conf_gpf" model="account.account.template">
<field name="code">2</field>
<field name="name">Profit and Loss</field>
<field ref="conf_chart0" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="conf_account_type_view"/>
</record>
<record id="conf_rev" model="account.account.template">
<field name="code">20</field>
<field name="name">Revenue</field>
<field ref="conf_gpf" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="conf_account_type_view"/>
</record>
<record id="conf_a_sale" model="account.account.template">
<field name="code">200</field>
<field name="name">Product Sales</field>
<field ref="conf_rev" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="conf_account_type_income"/>
</record>
<!-- <record id="account.property_account_income_categ" model="ir.property">
<field eval="'account.account,'+str(a_sale)" name="value"/>
</record> -->
<record id="conf_cos" model="account.account.template">
<field name="code">21</field>
<field name="name">Cost of Sales</field>
<field ref="conf_gpf" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="conf_account_type_view"/>
</record>
<record id="conf_cog" model="account.account.template">
<field name="code">210</field>
<field name="name">Cost of Goods Sold</field>
<field ref="conf_cos" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="conf_account_type_expense"/>
</record>
<record id="conf_ovr" model="account.account.template">
<field name="code">22</field>
<field name="name">Overheads</field>
<field ref="conf_gpf" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="conf_account_type_view"/>
</record>
<record id="conf_a_expense" model="account.account.template">
<field name="code">220</field>
<field name="name">Expenses</field>
<field ref="conf_ovr" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="conf_account_type_expense"/>
</record>
<record id="conf_bal" model="account.account.template">
<field name="code">1</field>
<field name="name">Balance Sheet</field>
<field ref="conf_chart0" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="conf_account_type_view"/>
</record>
<record id="conf_fas" model="account.account.template">
<field name="code">10</field>
<field name="name">Fixed Assets</field>
<field ref="conf_bal" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_asset_view1"/>
</record>
<record id="conf_xfa" model="account.account.template">
<field name="code">100</field>
<field name="name">Fixed Asset Account</field>
<field ref="conf_fas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_asset_view1"/>
</record>
<record id="conf_nca" model="account.account.template">
<field name="code">11</field>
<field name="name">Net Current Assets</field>
<field ref="conf_bal" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_asset_view1"/>
</record>
<record id="conf_cas" model="account.account.template">
<field name="code">110</field>
<field name="name">Current Assets</field>
<field ref="conf_nca" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_asset_view1"/>
</record>
<record id="conf_stk" model="account.account.template">
<field name="code">1101</field>
<field name="name">Purchased Stocks</field>
<field ref="conf_cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="conf_account_type_asset"/>
</record>
<record id="conf_a_recv" model="account.account.template">
<field name="code">1102</field>
<field name="name">Debtors</field>
<field ref="conf_cas" name="parent_id"/>
<field name="type">receivable</field>
<field eval="True" name="reconcile"/>
<field name="user_type" ref="conf_account_type_asset"/>
</record>
<!-- <record id="account.property_account_receivable" model="ir.property">
<field eval="'account.account,'+str(a_recv)" name="value"/>
</record> -->
<record id="conf_ova" model="account.account.template">
<field name="code">1103</field>
<field name="name">Output VAT</field>
<field ref="conf_cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="conf_account_type_asset"/>
</record>
<record id="conf_bnk" model="account.account.template">
<field name="code">1104</field>
<field name="name">Bank Current Account</field>
<field ref="conf_cas" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="conf_account_type_bnk"/>
</record>
<!-- <record id="conf_cash" model="account.account.template">-->
<!-- <field name="code">1105</field>-->
<!-- <field name="name">Cash</field>-->
<!-- <field ref="conf_cas" name="parent_id"/>-->
<!-- <field name="type">view</field>-->
<!-- <field name="user_type" ref="conf_account_type_cash"/>-->
<!-- </record>-->
<record id="conf_cli" model="account.account.template">
<field name="code">111</field>
<field name="name">Current Liabilities</field>
<field ref="conf_nca" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_liability_view1"/>
</record>
<record id="conf_a_pay" model="account.account.template">
<field name="code">1111</field>
<field name="name">Creditors</field>
<field ref="conf_cli" name="parent_id"/>
<field name="type">payable</field>
<field eval="True" name="reconcile"/>
<field name="user_type" ref="conf_account_type_liability"/>
</record>
<!-- <record id="account.property_account_payable" model="ir.property">
<field eval="'account.account,'+str(a_pay)" name="value"/>
</record>-->
<record id="conf_iva" model="account.account.template">
<field name="code">1112</field>
<field name="name">Input VAT</field>
<field ref="conf_cli" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="conf_account_type_liability"/>
</record>
<record id="conf_a_reserve_and_surplus" model="account.account.template">
<field name="code">1113</field>
<field name="name">Reserve and Surplus Account</field>
<field ref="conf_cli" name="parent_id"/>
<field name="type">payable</field>
<field eval="True" name="reconcile"/>
<field name="user_type" ref="conf_account_type_liability"/>
</record>
<!-- Profit and Loss -->
<record id="conf_gpf" model="account.account.template">
<field name="code">2</field>
<field name="name">Profit and Loss</field>
<field ref="conf_chart0" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="conf_account_type_view"/>
</record>
<record id="conf_rev" model="account.account.template">
<field name="code">20</field>
<field name="name">Revenue</field>
<field ref="conf_gpf" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_income_view1"/>
</record>
<record id="conf_a_sale" model="account.account.template">
<field name="code">200</field>
<field name="name">Product Sales</field>
<field ref="conf_rev" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="conf_account_type_income"/>
</record>
<!-- <record id="account.property_account_income_categ" model="ir.property">
<field eval="'account.account,'+str(a_sale)" name="value"/>
</record> -->
<record id="conf_cos" model="account.account.template">
<field name="code">21</field>
<field name="name">Cost of Sales</field>
<field ref="conf_gpf" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_income_view1"/>
</record>
<record id="conf_cog" model="account.account.template">
<field name="code">210</field>
<field name="name">Cost of Goods Sold</field>
<field ref="conf_cos" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="conf_account_type_expense"/>
</record>
<record id="conf_ovr" model="account.account.template">
<field name="code">22</field>
<field name="name">Overheads</field>
<field ref="conf_gpf" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_expense_view1"/>
</record>
<record id="conf_a_expense" model="account.account.template">
<field name="code">220</field>
<field name="name">Expenses</field>
<field ref="conf_ovr" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="conf_account_type_expense"/>
</record>
<!-- <record id="account.property_account_expense_categ" model="ir.property">
<field eval="'account.account,'+str(a_expense)" name="value"/>
@ -266,137 +314,138 @@
<!-- Invoiced VAT -->
<!-- Input VAT -->
<record id="vat_code_chart_root" model="account.tax.code.template">
<field name="name">Plan Fees </field>
</record>
<record id="vat_code_balance_net" model="account.tax.code.template">
<field name="name">VAT Balance to Pay</field>
<field name="parent_id" ref="vat_code_chart_root"/>
</record>
<record id="vat_code_balance_net" model="account.tax.code.template">
<field name="name">VAT Balance to Pay</field>
<field name="parent_id" ref="vat_code_chart_root"/>
</record>
<record id="vat_code_input" model="account.tax.code.template">
<field name="name">Input VAT</field>
<field name="parent_id" ref="vat_code_balance_net"/>
<field eval="-1" name="sign"/>
</record>
<!-- Input VAT -->
<record id="vat_code_input" model="account.tax.code.template">
<field name="name">Input VAT</field>
<field name="parent_id" ref="vat_code_balance_net"/>
<field eval="-1" name="sign"/>
</record>
<record id="vat_code_input_S" model="account.tax.code.template">
<field name="name">Input VAT Rate S (15%)</field>
<field name="parent_id" ref="vat_code_input"/>
</record>
<record id="vat_code_input_S" model="account.tax.code.template">
<field name="name">Input VAT Rate S (15%)</field>
<field name="parent_id" ref="vat_code_input"/>
</record>
<record id="vat_code_input_R" model="account.tax.code.template">
<field name="name">Input VAT Rate R (5%)</field>
<field name="parent_id" ref="vat_code_input"/>
</record>
<record id="vat_code_input_R" model="account.tax.code.template">
<field name="name">Input VAT Rate R (5%)</field>
<field name="parent_id" ref="vat_code_input"/>
</record>
<!-- Output VAT -->
<record id="vat_code_output" model="account.tax.code.template">
<field name="name">Output VAT</field>
<field name="parent_id" ref="vat_code_balance_net"/>
</record>
<!-- Output VAT -->
<record id="vat_code_output_S" model="account.tax.code.template">
<field name="name">Output VAT Rate S (15%)</field>
<field name="parent_id" ref="vat_code_output"/>
</record>
<record id="vat_code_output_R" model="account.tax.code.template">
<field name="name">Output VAT Rate R (5%)</field>
<field name="parent_id" ref="vat_code_output"/>
</record>
<record id="vat_code_output" model="account.tax.code.template">
<field name="name">Output VAT</field>
<field name="parent_id" ref="vat_code_balance_net"/>
</record>
<record id="vat_code_output_S" model="account.tax.code.template">
<field name="name">Output VAT Rate S (15%)</field>
<field name="parent_id" ref="vat_code_output"/>
</record>
<!-- Invoiced Base of VAT -->
<!-- Purchases -->
<record id="vat_code_base_net" model="account.tax.code.template">
<field name="name">Tax Bases</field>
<field name="parent_id" ref="vat_code_chart_root"/>
</record>
<record id="vat_code_output_R" model="account.tax.code.template">
<field name="name">Output VAT Rate R (5%)</field>
<field name="parent_id" ref="vat_code_output"/>
</record>
<record id="vat_code_base_purchases" model="account.tax.code.template">
<field name="name">Taxable Purchases Base</field>
<field name="parent_id" ref="vat_code_base_net"/>
</record>
<!-- Invoiced Base of VAT -->
<record id="vat_code_purch_S" model="account.tax.code.template">
<field name="name">Taxable Purchases Rated S (15%)</field>
<field name="parent_id" ref="vat_code_base_purchases"/>
</record>
<record id="vat_code_purch_R" model="account.tax.code.template">
<field name="name">Taxable Purchases Rated R (5%)</field>
<field name="parent_id" ref="vat_code_base_purchases"/>
</record>
<record id="vat_code_purch_Z" model="account.tax.code.template">
<field name="name">Taxable Purchases Rated Z (0%)</field>
<field name="parent_id" ref="vat_code_base_purchases"/>
</record>
<!-- Purchases -->
<record id="vat_code_purch_X" model="account.tax.code.template">
<field name="name">Taxable Purchases Type X (Exempt)</field>
<field name="parent_id" ref="vat_code_base_purchases"/>
</record>
<record id="vat_code_purch_O" model="account.tax.code.template">
<field name="name">Taxable Purchases Type O (Out of scope)</field>
<field name="parent_id" ref="vat_code_base_purchases"/>
</record>
<record id="vat_code_base_net" model="account.tax.code.template">
<field name="name">Tax Bases</field>
<field name="parent_id" ref="vat_code_chart_root"/>
</record>
<!-- Sales -->
<record id="vat_code_base_sales" model="account.tax.code.template">
<field name="name">Base of Taxable Sales</field>
<field name="parent_id" ref="vat_code_base_net"/>
</record>
<record id="vat_code_base_purchases" model="account.tax.code.template">
<field name="name">Taxable Purchases Base</field>
<field name="parent_id" ref="vat_code_base_net"/>
</record>
<record id="vat_code_sales_S" model="account.tax.code.template">
<field name="name">Taxable Sales Rated S (15%)</field>
<field name="parent_id" ref="vat_code_base_sales"/>
</record>
<record id="vat_code_sales_R" model="account.tax.code.template">
<field name="name">Taxable Sales Rated R (5%)</field>
<field name="parent_id" ref="vat_code_base_sales"/>
</record>
<record id="vat_code_sales_Z" model="account.tax.code.template">
<field name="name">Taxable Sales Rated Z (0%)</field>
<field name="parent_id" ref="vat_code_base_sales"/>
</record>
<record id="vat_code_purch_S" model="account.tax.code.template">
<field name="name">Taxable Purchases Rated S (15%)</field>
<field name="parent_id" ref="vat_code_base_purchases"/>
</record>
<record id="vat_code_purch_R" model="account.tax.code.template">
<field name="name">Taxable Purchases Rated R (5%)</field>
<field name="parent_id" ref="vat_code_base_purchases"/>
</record>
<record id="vat_code_purch_Z" model="account.tax.code.template">
<field name="name">Taxable Purchases Rated Z (0%)</field>
<field name="parent_id" ref="vat_code_base_purchases"/>
</record>
<record id="vat_code_purch_X" model="account.tax.code.template">
<field name="name">Taxable Purchases Type X (Exempt)</field>
<field name="parent_id" ref="vat_code_base_purchases"/>
</record>
<record id="vat_code_purch_O" model="account.tax.code.template">
<field name="name">Taxable Purchases Type O (Out of scope)</field>
<field name="parent_id" ref="vat_code_base_purchases"/>
</record>
<!-- Sales -->
<record id="vat_code_base_sales" model="account.tax.code.template">
<field name="name">Base of Taxable Sales</field>
<field name="parent_id" ref="vat_code_base_net"/>
</record>
<record id="vat_code_sales_S" model="account.tax.code.template">
<field name="name">Taxable Sales Rated S (15%)</field>
<field name="parent_id" ref="vat_code_base_sales"/>
</record>
<record id="vat_code_sales_R" model="account.tax.code.template">
<field name="name">Taxable Sales Rated R (5%)</field>
<field name="parent_id" ref="vat_code_base_sales"/>
</record>
<record id="vat_code_sales_Z" model="account.tax.code.template">
<field name="name">Taxable Sales Rated Z (0%)</field>
<field name="parent_id" ref="vat_code_base_sales"/>
</record>
<record id="vat_code_sales_X" model="account.tax.code.template">
<field name="name">Taxable Sales Type X (Exempt)</field>
<field name="parent_id" ref="vat_code_base_sales"/>
</record>
<record id="vat_code_sales_O" model="account.tax.code.template">
<field name="name">Taxable Sales Type O (Out of scope)</field>
<field name="parent_id" ref="vat_code_base_sales"/>
</record>
<record id="vat_code_sales_X" model="account.tax.code.template">
<field name="name">Taxable Sales Type X (Exempt)</field>
<field name="parent_id" ref="vat_code_base_sales"/>
</record>
<record id="vat_code_sales_O" model="account.tax.code.template">
<field name="name">Taxable Sales Type O (Out of scope)</field>
<field name="parent_id" ref="vat_code_base_sales"/>
</record>
<record id="configurable_chart_template" model="account.chart.template">
<field name="name">Configurable Account Chart Template</field>
<field name="account_root_id" ref="conf_chart0"/>
<field name="tax_code_root_id" ref="vat_code_chart_root"/>
<field name="bank_account_view_id" ref="conf_bnk"/>
<field name="bank_account_view_id" ref="conf_bnk"/>
<field name="property_account_receivable" ref="conf_a_recv"/>
<field name="property_account_payable" ref="conf_a_pay"/>
<field name="property_account_expense_categ" ref="conf_a_expense"/>
<field name="property_account_income_categ" ref="conf_a_sale"/>
<field name="property_reserve_and_surplus_account" ref="conf_a_reserve_and_surplus"/>
</record>
<!-- VAT Codes -->
<!-- VAT Codes -->
<!-- Purchases + Input VAT -->
<record id="ivats" model="account.tax.template">
<field name="chart_template_id" ref="configurable_chart_template"/>
<field name="chart_template_id" ref="configurable_chart_template"/>
<field name="name">IVAT S</field>
<field eval="0.15" name="amount"/>
<field name="type">percent</field>
@ -410,7 +459,7 @@
</record>
<record id="ivatr" model="account.tax.template">
<field name="chart_template_id" ref="configurable_chart_template"/>
<field name="chart_template_id" ref="configurable_chart_template"/>
<field name="name">IVAT R</field>
<field eval="0.005" name="amount"/>
<field name="type">percent</field>

View File

@ -4,6 +4,7 @@
<!--
Account Type
-->
<record id="account_type_root" model="account.account.type">
<field name="name">View</field>
<field name="code">view</field>
@ -70,225 +71,234 @@
<field name="user_type" ref="account_type_root"/>
</record>
<!-- Balance Sheet -->
<!-- Balance Sheet -->
<record id="bal" model="account.account">
<field name="code">X1</field>
<field name="name">Balance Sheet - (test)</field>
<field ref="chart0" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_root"/>
</record>
<record model="account.account" id="assets_view">
<field name="name">Assets - (test)</field>
<field name="code">X10</field>
<field name="type">view</field>
<field name="user_type" ref="account_type_asset"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="bal"/>
</record>
<record id="bal" model="account.account">
<field name="code">X1</field>
<field name="name">Balance Sheet - (test)</field>
<field ref="chart0" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_root"/>
</record>
<record id="fas" model="account.account">
<field name="code">X100</field>
<field name="name">Fixed Assets - (test)</field>
<field ref="assets_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="xfa" model="account.account">
<field name="code">X1000</field>
<field name="name">Fixed Asset Account - (test)</field>
<field ref="fas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="nca" model="account.account">
<field name="code">X101</field>
<field name="name">Net Current Assets - (test)</field>
<field ref="assets_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="cas" model="account.account">
<field name="code">X1100</field>
<field name="name">Current Assets - (test)</field>
<field ref="nca" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="stk" model="account.account">
<field name="code">X11001</field>
<field name="name">Purchased Stocks - (test)</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="a_recv" model="account.account">
<field name="code">X11002</field>
<field name="name">Debtors - (test)</field>
<field ref="cas" name="parent_id"/>
<field name="type">receivable</field>
<field eval="True" name="reconcile"/>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="ova" model="account.account">
<field name="code">X11003</field>
<field name="name">Output VAT - (test)</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="bnk" model="account.account">
<field name="code">X11004</field>
<field name="name">Bank Current Account - (test)</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="cash" model="account.account">
<field name="code">X11005</field>
<field name="name">Cash - (test)</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record model="account.account" id="liabilities_view">
<field name="name">Liabilities - (test)</field>
<field name="code">X11</field>
<field name="type">view</field>
<field name="user_type" ref="account_type_liability"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="bal"/>
</record>
<record id="cli" model="account.account">
<field name="code">X110</field>
<field name="name">Current Liabilities - (test)</field>
<field ref="liabilities_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_liability"/>
</record>
<record id="a_pay" model="account.account">
<field name="code">X1111</field>
<field name="name">Creditors - (test)</field>
<field ref="cli" name="parent_id"/>
<field name="type">payable</field>
<field eval="True" name="reconcile"/>
<field name="user_type" ref="account_type_liability"/>
</record>
<record id="iva" model="account.account">
<field name="code">X1112</field>
<field name="name">Input VAT - (test)</field>
<field ref="cli" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_liability"/>
</record>
<record id="rsa" model="account.account">
<field name="code">X1113</field>
<field name="name">Reserve and Surplus - (test)</field>
<field ref="cli" name="parent_id"/>
<field name="type">payable</field>
<field name="user_type" ref="account_type_liability"/>
</record>
<!-- Profit and Loss -->
<record id="gpf" model="account.account">
<field name="code">X2</field>
<field name="name">Profit and Loss - (test)</field>
<field ref="chart0" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_root"/>
</record>
<record model="account.account" id="income_view">
<field name="name">Income - (test)</field>
<field name="code">X20</field>
<field name="type">view</field>
<field name="user_type" ref="account_type_income"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="gpf"/>
</record>
<record model="account.account" id="income_fx_income">
<field name="name">Foreign Exchange Gain - (test)</field>
<field name="code">X201</field>
<field name="type">other</field>
<field name="user_type" ref="account_type_income"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="income_view"/>
</record>
<record model="account.account" id="assets_view">
<field name="name">Assets - (test)</field>
<field name="code">X10</field>
<field name="type">view</field>
<field name="user_type" ref="account_type_asset"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="bal"/>
</record>
<record id="rev" model="account.account">
<field name="code">X200</field>
<field name="name">Revenue - (test)</field>
<field ref="income_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_income"/>
</record>
<record id="a_sale" model="account.account">
<field name="code">X2001</field>
<field name="name">Product Sales - (test)</field>
<field ref="rev" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_income"/>
</record>
<record model="account.account" id="liabilities_view">
<field name="name">Liabilities - (test)</field>
<field name="code">X11</field>
<field name="type">view</field>
<field name="user_type" ref="account_type_liability"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="bal"/>
</record>
<record id="fas" model="account.account">
<field name="code">X100</field>
<field name="name">Fixed Assets - (test)</field>
<field ref="assets_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="xfa" model="account.account">
<field name="code">X1000</field>
<field name="name">Fixed Asset Account - (test)</field>
<field ref="fas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="nca" model="account.account">
<field name="code">X101</field>
<field name="name">Net Current Assets - (test)</field>
<field ref="assets_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="cas" model="account.account">
<field name="code">X1100</field>
<field name="name">Current Assets - (test)</field>
<field ref="nca" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="stk" model="account.account">
<field name="code">X11001</field>
<field name="name">Purchased Stocks - (test)</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="a_recv" model="account.account">
<field name="code">X11002</field>
<field name="name">Debtors - (test)</field>
<field ref="cas" name="parent_id"/>
<field name="type">receivable</field>
<field eval="True" name="reconcile"/>
<field name="user_type" ref="account_type_receivable"/>
</record>
<record id="ova" model="account.account">
<field name="code">X11003</field>
<field name="name">Output VAT - (test)</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_receivable"/>
</record>
<record id="bnk" model="account.account">
<field name="code">X11004</field>
<field name="name">Bank Current Account - (test)</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="cash" model="account.account">
<field name="code">X11005</field>
<field name="name">Cash - (test)</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="cli" model="account.account">
<field name="code">X110</field>
<field name="name">Current Liabilities - (test)</field>
<field ref="liabilities_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_liability"/>
</record>
<record id="a_pay" model="account.account">
<field name="code">X1111</field>
<field name="name">Creditors - (test)</field>
<field ref="cli" name="parent_id"/>
<field name="type">payable</field>
<field eval="True" name="reconcile"/>
<field name="user_type" ref="account_type_payable"/>
</record>
<record id="iva" model="account.account">
<field name="code">X1112</field>
<field name="name">Input VAT - (test)</field>
<field ref="cli" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_payable"/>
</record>
<!-- Profit and Loss -->
<record id="gpf" model="account.account">
<field name="code">X2</field>
<field name="name">Profit and Loss - (test)</field>
<field ref="chart0" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_root"/>
</record>
<record model="account.account" id="income_view">
<field name="name">Income - (test)</field>
<field name="code">X20</field>
<field name="type">view</field>
<field name="user_type" ref="account_type_income"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="gpf"/>
</record>
<record model="account.account" id="income_fx_income">
<field name="name">Foreign Exchange Gain - (test)</field>
<field name="code">X201</field>
<field name="type">other</field>
<field name="user_type" ref="account_type_income"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="income_view"/>
</record>
<record model="account.account" id="expense_view">
<field name="name">Expense - (test)</field>
<field name="code">X21</field>
<field name="type">view</field>
<field name="user_type" ref="account_type_expense"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="gpf"/>
</record>
<record id="rev" model="account.account">
<field name="code">X200</field>
<field name="name">Revenue - (test)</field>
<field ref="income_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_income"/>
</record>
<record id="a_sale" model="account.account">
<field name="code">X2001</field>
<field name="name">Product Sales - (test)</field>
<field ref="rev" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_income"/>
</record>
<record id="cos" model="account.account">
<field name="code">X210</field>
<field name="name">Cost of Sales - (test)</field>
<field ref="expense_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_expense"/>
</record>
<record id="cog" model="account.account">
<field name="code">X2100</field>
<field name="name">Cost of Goods Sold - (test)</field>
<field ref="cos" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_expense"/>
</record>
<record id="ovr" model="account.account">
<field name="code">X211</field>
<field name="name">Overheads - (test)</field>
<field ref="expense_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_expense"/>
</record>
<record id="a_expense" model="account.account">
<field name="code">X2110</field>
<field name="name">Expenses - (test)</field>
<field ref="ovr" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_expense"/>
</record>
<record model="account.account" id="income_fx_expense">
<field name="name">Foreign Exchange Loss - (test)</field>
<field name="code">X2111</field>
<field name="type">other</field>
<field name="user_type" ref="account_type_expense"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="ovr"/>
</record>
<record model="account.account" id="expense_view">
<field name="name">Expense - (test)</field>
<field name="code">X21</field>
<field name="type">view</field>
<field name="user_type" ref="account_type_expense"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="gpf"/>
</record>
<record id="cos" model="account.account">
<field name="code">X210</field>
<field name="name">Cost of Sales - (test)</field>
<field ref="expense_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_expense"/>
</record>
<record id="cog" model="account.account">
<field name="code">X2100</field>
<field name="name">Cost of Goods Sold - (test)</field>
<field ref="cos" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_expense"/>
</record>
<record id="ovr" model="account.account">
<field name="code">X211</field>
<field name="name">Overheads - (test)</field>
<field ref="expense_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_expense"/>
</record>
<record id="a_expense" model="account.account">
<field name="code">X2110</field>
<field name="name">Expenses - (test)</field>
<field ref="ovr" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_expense"/>
</record>
<record model="account.account" id="income_fx_expense">
<field name="name">Foreign Exchange Loss - (test)</field>
<field name="code">X2111</field>
<field name="type">other</field>
<field name="user_type" ref="account_type_expense"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="ovr"/>
</record>
<!-- Properties -->
<record forcecreate="True" id="property_account_receivable" model="ir.property">
@ -310,6 +320,13 @@
<field name="company_id" ref="base.main_company"/>
</record>
<record forcecreate="True" id="property_reserve_and_surplus_account" model="ir.property">
<field name="name">property_account_receivable</field>
<field name="fields_id" search="[('model','=','res.company'),('name','=','property_reserve_and_surplus_account')]"/>
<field eval="'account.account,'+str(rsa)" name="value"/>
<field name="company_id" ref="base.main_company"/>
</record>
<!--
Account Journal

View File

@ -340,8 +340,10 @@ class account_installer(osv.osv_memory):
('property_account_expense_categ','product.category','account.account'),
('property_account_income_categ','product.category','account.account'),
('property_account_expense','product.template','account.account'),
('property_account_income','product.template','account.account')
('property_account_income','product.template','account.account'),
('property_reserve_and_surplus_account','res.company','account.account'),
]
for record in todo_list:
r = []
r = property_obj.search(cr, uid, [('name','=', record[0] ),('company_id','=',company_id.id)])
@ -353,6 +355,7 @@ class account_installer(osv.osv_memory):
'fields_id': field[0],
'value': account and 'account.account,'+str(acc_template_ref[account.id]) or False,
}
if r:
#the property exist: modify it
property_obj.write(cr, uid, r, vals)

View File

@ -22,6 +22,7 @@
from lxml import etree
from osv import osv, fields
from tools.translate import _
class account_bs_report(osv.osv_memory):
"""
@ -57,7 +58,11 @@ class account_bs_report(osv.osv_memory):
if context is None:
context = {}
data = self.pre_print_report(cr, uid, ids, data, query_line, context=context)
data['form'].update(self.read(cr, uid, ids, ['display_type', 'reserve_account_id'])[0])
account = self.pool.get('account.account').browse(cr, uid, data['form']['chart_account_id'])
if not account.company_id.property_reserve_and_surplus_account:
raise osv.except_osv(_('Warning'),_('Please define the Reserve and Surplus account for current user company !'))
data['form']['reserve_account_id'] = account.company_id.property_reserve_and_surplus_account.id
data['form'].update(self.read(cr, uid, ids, ['display_type'])[0])
if data['form']['display_type']:
return {
'type': 'ir.actions.report.xml',

View File

@ -9,8 +9,8 @@
<field name="inherit_id" ref="account.account_common_report_view" />
<field name="arch" type="xml">
<field name="fiscalyear_id" position="after">
<field name="reserve_account_id"/>
<newline/>
<!-- <field name="reserve_account_id"/>-->
<!-- <newline/>-->
<field name="display_account"/>
<field name="display_type"/>
<newline/>

View File

@ -11,241 +11,249 @@
<field name="user_type" ref="account_type_view"/>
</record>
<!-- Balance Sheet -->
<!-- Balance Sheet -->
<record id="bal" model="account.account.template">
<field name="code">1</field>
<field name="name">Balance Sheet</field>
<field ref="chart0" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_view"/>
</record>
<record id="bal" model="account.account.template">
<field name="code">1</field>
<field name="name">Balance Sheet</field>
<field ref="chart0" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_view"/>
</record>
<record model="account.account.template" id="assets_view">
<field name="name">Assets</field>
<field name="code">10</field>
<field name="type">view</field>
<field name="user_type" ref="acct_type_asset_view"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="bal"/>
</record>
<record model="account.account.template" id="liabilities_view">
<field name="name">Liabilities</field>
<field name="code">11</field>
<field name="type">view</field>
<field name="user_type" ref="acct_type_liability_view"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="bal"/>
</record>
<record model="account.account.template" id="liabilities_view">
<field name="name">Liabilities</field>
<field name="code">11</field>
<field name="type">view</field>
<field name="user_type" ref="acct_type_liability_view"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="bal"/>
</record>
<record id="cli" model="account.account.template">
<field name="code">110</field>
<field name="name">Current Liabilities</field>
<field ref="liabilities_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="acct_type_liability_view"/>
</record>
<record id="a_pay" model="account.account.template">
<field name="code">1111</field>
<field name="name">Creditors</field>
<field ref="cli" name="parent_id"/>
<field name="type">payable</field>
<field eval="True" name="reconcile"/>
<field name="user_type" ref="account_type_liability"/>
</record>
<record id="iva" model="account.account.template">
<field name="code">1112</field>
<field name="name">Input VAT</field>
<field ref="cli" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_liability"/>
</record>
<record id="a_reserve_and_surplus" model="account.account.template">
<field name="code">1113</field>
<field name="name">Reserve and Surplus Account</field>
<field ref="cli" name="parent_id"/>
<field name="type">payable</field>
<field name="user_type" ref="account_type_liability"/>
</record>
<!-- <record id="account.property_account_payable" model="ir.property">
<field eval="'account.account,'+str(a_pay)" name="value"/>
</record>-->
<record model="account.account.template" id="assets_view">
<field name="name">Assets</field>
<field name="code">10</field>
<field name="type">view</field>
<field name="user_type" ref="acct_type_asset_view"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="bal"/>
</record>
<record id="fas" model="account.account.template">
<field name="code">100</field>
<field name="name">Fixed Assets</field>
<field ref="assets_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_view"/>
</record>
<record id="fas" model="account.account.template">
<field name="code">100</field>
<field name="name">Fixed Assets</field>
<field ref="assets_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="acct_type_asset_view"/>
</record>
<record id="xfa" model="account.account.template">
<field name="code">1000</field>
<field name="name">Fixed Asset Account</field>
<field ref="fas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="xfa" model="account.account.template">
<field name="code">1000</field>
<field name="name">Fixed Asset Account</field>
<field ref="fas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="nca" model="account.account.template">
<field name="code">101</field>
<field name="name">Net Current Assets</field>
<field ref="assets_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="acct_type_asset_view"/>
</record>
<record id="nca" model="account.account.template">
<field name="code">101</field>
<field name="name">Net Current Assets</field>
<field ref="assets_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_view"/>
</record>
<record id="cas" model="account.account.template">
<field name="code">1100</field>
<field name="name">Current Assets</field>
<field ref="nca" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="acct_type_asset_view"/>
</record>
<record id="cas" model="account.account.template">
<field name="code">1100</field>
<field name="name">Current Assets</field>
<field ref="nca" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_view"/>
</record>
<record id="stk" model="account.account.template">
<field name="code">11001</field>
<field name="name">Purchased Stocks</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="stk" model="account.account.template">
<field name="code">11001</field>
<field name="name">Purchased Stocks</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="a_recv" model="account.account.template">
<field name="code">11002</field>
<field name="name">Debtors</field>
<field ref="cas" name="parent_id"/>
<field name="type">receivable</field>
<field eval="True" name="reconcile"/>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="a_recv" model="account.account.template">
<field name="code">11002</field>
<field name="name">Debtors</field>
<field ref="cas" name="parent_id"/>
<field name="type">receivable</field>
<field eval="True" name="reconcile"/>
<field name="user_type" ref="account_type_receivable"/>
</record>
<!-- <record id="account.property_account_receivable" model="ir.property">
<field eval="'account.account,'+str(a_recv)" name="value"/>
</record> -->
<!-- <record id="account.property_account_receivable" model="ir.property">
<field eval="'account.account,'+str(a_recv)" name="value"/>
</record> -->
<record id="ova" model="account.account.template">
<field name="code">11003</field>
<field name="name">Output VAT</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_asset"/>
</record>
<record id="ova" model="account.account.template">
<field name="code">11003</field>
<field name="name">Output VAT</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_tax"/>
</record>
<record id="bnk" model="account.account.template">
<field name="code">11004</field>
<field name="name">Bank Current Account</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_cash"/>
</record>
<record id="bnk" model="account.account.template">
<field name="code">11004</field>
<field name="name">Bank Current Account</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_cash"/>
</record>
<record id="cash" model="account.account.template">
<field name="code">11005</field>
<field name="name">Cash</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_cash"/>
</record>
<record id="cash" model="account.account.template">
<field name="code">11005</field>
<field name="name">Cash</field>
<field ref="cas" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_cash"/>
</record>
<record id="cli" model="account.account.template">
<field name="code">110</field>
<field name="name">Current Liabilities</field>
<field ref="liabilities_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_view"/>
</record>
<record id="a_pay" model="account.account.template">
<field name="code">1111</field>
<field name="name">Creditors</field>
<field ref="cli" name="parent_id"/>
<field name="type">payable</field>
<field eval="True" name="reconcile"/>
<field name="user_type" ref="account_type_payable"/>
</record>
<!-- <record id="account.property_account_payable" model="ir.property">
<field eval="'account.account,'+str(a_pay)" name="value"/>
</record>-->
<record id="iva" model="account.account.template">
<field name="code">1112</field>
<field name="name">Input VAT</field>
<field ref="cli" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_tax"/>
</record>
<!-- Profit and Loss -->
<record id="gpf" model="account.account.template">
<field name="code">2</field>
<field name="name">Profit and Loss</field>
<field ref="chart0" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_view"/>
</record>
<!-- Profit and Loss -->
<record id="gpf" model="account.account.template">
<field name="code">2</field>
<field name="name">Profit and Loss</field>
<field ref="chart0" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_view"/>
</record>
<record model="account.account.template" id="income_view">
<field name="name">Income</field>
<field name="code">20</field>
<field name="type">view</field>
<field name="user_type" ref="acct_type_income_view"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="gpf"/>
</record>
<record model="account.account.template" id="income_view">
<field name="name">Income</field>
<field name="code">20</field>
<field name="type">view</field>
<field name="user_type" ref="acct_type_income_view"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="gpf"/>
</record>
<record model="account.account.template" id="income_fx_income">
<field name="name">Foreign Exchange Gain</field>
<field name="code">X201</field>
<field name="type">other</field>
<field name="user_type" ref="acct_type_income_view"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="income_view"/>
</record>
<record model="account.account.template" id="expense_view">
<field name="name">Expense</field>
<field name="code">21</field>
<field name="type">view</field>
<field name="user_type" ref="acct_type_expense_view"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="gpf"/>
</record>
<record model="account.account.template" id="income_fx_income">
<field name="name">Foreign Exchange Gain</field>
<field name="code">X201</field>
<field name="type">other</field>
<field name="user_type" ref="account_type_income"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="income_view"/>
</record>
<record id="rev" model="account.account.template">
<field name="code">200</field>
<field name="name">Revenue</field>
<field ref="income_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="acct_type_income_view"/>
</record>
<record id="a_sale" model="account.account.template">
<field name="code">2001</field>
<field name="name">Product Sales</field>
<field ref="rev" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_income"/>
</record>
<record model="account.account.template" id="expense_view">
<field name="name">Expense</field>
<field name="code">21</field>
<field name="type">view</field>
<field name="user_type" ref="acct_type_expense_view"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="gpf"/>
</record>
<record id="rev" model="account.account.template">
<field name="code">200</field>
<field name="name">Revenue</field>
<field ref="income_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_view"/>
</record>
<!-- <record id="account.property_account_income_categ" model="ir.property">
<field eval="'account.account,'+str(a_sale)" name="value"/>
</record> -->
<record id="cos" model="account.account.template">
<field name="code">210</field>
<field name="name">Cost of Sales</field>
<field ref="expense_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="acct_type_expense_view"/>
</record>
<record id="a_sale" model="account.account.template">
<field name="code">2001</field>
<field name="name">Product Sales</field>
<field ref="rev" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_income"/>
</record>
<record id="cog" model="account.account.template">
<field name="code">2100</field>
<field name="name">Cost of Goods Sold</field>
<field ref="cos" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_expense"/>
</record>
<!-- <record id="account.property_account_income_categ" model="ir.property">
<field eval="'account.account,'+str(a_sale)" name="value"/>
</record> -->
<record id="ovr" model="account.account.template">
<field name="code">211</field>
<field name="name">Overheads</field>
<field ref="expense_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="acct_type_expense_view"/>
</record>
<record id="cos" model="account.account.template">
<field name="code">210</field>
<field name="name">Cost of Sales</field>
<field ref="expense_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_view"/>
</record>
<record id="cog" model="account.account.template">
<field name="code">2100</field>
<field name="name">Cost of Goods Sold</field>
<field ref="cos" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_expense"/>
</record>
<record id="ovr" model="account.account.template">
<field name="code">211</field>
<field name="name">Overheads</field>
<field ref="expense_view" name="parent_id"/>
<field name="type">view</field>
<field name="user_type" ref="account_type_view"/>
</record>
<record id="a_expense" model="account.account.template">
<field name="code">2110</field>
<field name="name">Expenses</field>
<field ref="ovr" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_expense"/>
</record>
<record model="account.account.template" id="income_fx_expense">
<field name="name">Foreign Exchange Loss - (test)</field>
<field name="code">X2111</field>
<field name="type">other</field>
<field name="user_type" ref="account_type_expense"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="ovr"/>
</record>
<!-- <record id="account.property_account_expense_categ" model="ir.property">
<field eval="'account.account,'+str(a_expense)" name="value"/>
</record> -->
<record id="a_expense" model="account.account.template">
<field name="code">2110</field>
<field name="name">Expenses</field>
<field ref="ovr" name="parent_id"/>
<field name="type">other</field>
<field name="user_type" ref="account_type_expense"/>
</record>
<record model="account.account.template" id="income_fx_expense">
<field name="name">Foreign Exchange Loss - (test)</field>
<field name="code">X2111</field>
<field name="type">other</field>
<field name="user_type" ref="account_type_expense"/>
<field name="reconcile" eval="False"/>
<field name="parent_id" ref="ovr"/>
</record>
<!-- <record id="account.property_account_expense_categ" model="ir.property">
<field eval="'account.account,'+str(a_expense)" name="value"/>
</record> -->
</data>
</openerp>

View File

@ -132,6 +132,7 @@
<field name="property_account_payable" ref="l10n_chart_uk_minimal.a_pay"/>
<field name="property_account_expense_categ" ref="l10n_chart_uk_minimal.a_expense"/>
<field name="property_account_income_categ" ref="l10n_chart_uk_minimal.a_sale"/>
<field name="property_reserve_and_surplus_account" ref="l10n_chart_uk_minimal.a_reserve_and_surplus"/>
</record>
<!-- VAT Codes -->

View File

@ -5,14 +5,14 @@
<record model="account.account.type" id="account_type_receivable" >
<field name="name">Receivable</field>
<field name="code">receivable</field>
<field name="report_type">asset</field>
<field name="report_type">income</field>
<field name="close_method">unreconciled</field>
</record>
<record model="account.account.type" id="account_type_payable" >
<field name="name">Payable</field>
<field name="code">payable</field>
<field name="report_type">liability</field>
<field name="report_type">expense</field>
<field name="close_method">unreconciled</field>
</record>
@ -22,26 +22,30 @@
<field name="close_method">none</field>
</record>
<record model="account.account.type" id="acct_type_income_view">
<field name="name">Income View</field>
<field name="code">view</field>
<field name="report_type">income</field>
</record>
<record model="account.account.type" id="acct_type_expense_view">
<field name="name">Expense View</field>
<field name="code">expense</field>
<field name="report_type">expense</field>
</record>
<record model="account.account.type" id="acct_type_asset_view">
<field name="name">Asset View</field>
<field name="code">asset</field>
<field name="report_type">asset</field>
</record>
<record model="account.account.type" id="acct_type_liability_view">
<field name="name">Liability View</field>
<field name="code">liability</field>
<field name="report_type">liability</field>
</record>
<record model="account.account.type" id="acct_type_income_view">
<field name="name">Income View</field>
<field name="code">view</field>
<field name="report_type">income</field>
</record>
<record model="account.account.type" id="acct_type_expense_view">
<field name="name">Expense View</field>
<field name="code">expense</field>
<field name="report_type">expense</field>
</record>
<record model="account.account.type" id="acct_type_asset_view">
<field name="name">Asset View</field>
<field name="code">asset</field>
<field name="report_type">asset</field>
</record>
<record model="account.account.type" id="acct_type_liability_view">
<field name="name">Liability View</field>
<field name="code">liability</field>
<field name="report_type">liability</field>
</record>
<record model="account.account.type" id="account_type_income" >
<field name="name">Income</field>
<field name="code">income</field>
@ -59,6 +63,7 @@
<record model="account.account.type" id="account_type_tax">
<field name="name">Tax</field>
<field name="code">tax</field>
<field name="report_type">liability</field>
<field name="close_method">unreconciled</field>
</record>
@ -69,6 +74,13 @@
<field name="close_method">balance</field>
</record>
<record model="account.account.type" id="account_type_liability">
<field name="name">Liability</field>
<field name="code">liability</field>
<field name="close_method">balance</field>
<field name="report_type">liability</field>
</record>
<record model="account.account.type" id="account_type_asset">
<field name="name">Asset</field>
<field name="code">asset</field>

View File

@ -580,6 +580,7 @@
<field name="property_account_payable" ref="IA_AC02131"/>
<field name="property_account_expense_categ" ref="IA_AC112"/>
<field name="property_account_income_categ" ref="IA_AC122"/>
<field name="property_reserve_and_surplus_account" ref="IA_AC0232"/>
</record>