[FIX] stock, stock_account: update of product cost price
bzr revid: qdp-launchpad@openerp.com-20130924082804-654jv5dkywfooivu
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@ -375,10 +375,11 @@ class stock_quant(osv.osv):
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remaining_to_solve_quant_ids = self.search(cr, uid, [('propagated_from_id', '=', quant_neg.id), ('id', 'not in', solved_quant_ids)], context=context)
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if remaining_to_solve_quant_ids:
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self.write(cr, uid, remaining_to_solve_quant_ids, {'propagated_from_id': remaining_neg_quant.id}, context=context)
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#price update + accounting entries adjustments
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self._price_update(cr, uid, solved_quant_ids, solving_quant.cost, context=context)
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quant_cost = solving_quant.cost
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#delete the reconciled quants, as it is replaced by the solving quant
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self.unlink(cr, SUPERUSER_ID, [quant_neg.id, solving_quant.id], context=context)
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#price update + accounting entries adjustments
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self._price_update(cr, uid, solved_quant_ids, quant_cost, context=context)
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solving_quant = remaining_solving_quant
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#solving_quant, dummy = self._reconcile_single_negative_quant(cr, uid, to_solve_quant, solving_quant, quant_neg, qty, context=context)
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@ -62,6 +62,7 @@ class stock_quant(osv.osv):
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def _price_update(self, cr, uid, quant_ids, newprice, context=None):
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if context is None:
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context = {}
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super(stock_quant, self)._price_update(cr, uid, quant_ids, newprice, context=context)
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ctx = context.copy()
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for quant in self.browse(cr, uid, quant_ids, context=context):
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move = self._get_latest_move(cr, uid, quant, context=context)
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@ -73,7 +74,6 @@ class stock_quant(osv.osv):
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#2) we just fixed a negative quant caused by an outgoing shipment
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if quant.product_id.cost_method == 'real' and quant.location_id.usage != 'internal':
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self.pool.get('stock.move')._store_average_cost_price(cr, uid, move, context=context)
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super(stock_quant, self)._price_update(cr, uid, quant_ids, newprice, context=context)
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"""
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Accounting Valuation Entries
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