[IMP] l10n_lu: improve account types with head types for profit&loss and balance sheet report

bzr revid: mra@mra-laptop-20100804130821-nagq3kte32yosq5a
This commit is contained in:
Mustufa Rangwala 2010-08-04 18:38:21 +05:30
parent a193ee2f87
commit 988d7a6d19
1 changed files with 13 additions and 6 deletions

View File

@ -12,36 +12,43 @@
<record id="account_type_asset" model="account.account.type">
<field name="name">Asset</field>
<field name="code">asset</field>
<field name="report_type">asset</field>
<field name="close_method">balance</field>
</record>
<record id="account_type_liability" model="account.account.type">
<field name="name">Liability</field>
<field name="name">Liability</field>
<field name="code">liability</field>
<field name="report_type">liability</field>
<field name="close_method">balance</field>
</record>
<record id="account_type_creances" model="account.account.type">
<field name="name">Créances</field>
<field name="name">Créances</field>
<field name="code">creances</field>
<!-- <field name="report_type">?</field> -->
<field name="close_method">balance</field>
</record>
<record id="account_type_cash_equity" model="account.account.type">
<field name="name">Equity</field>
<field name="name">Equity</field>
<field name="code">equity</field>
<field name="report_type">asset</field>
<field name="close_method">balance</field>
</record>
<record id="account_type_income" model="account.account.type">
<field name="name">Income</field>
<field name="name">Income</field>
<field name="code">income</field>
<field name="report_type">income</field>
<field name="close_method">unreconciled</field>
</record>
<record id="account_type_expense" model="account.account.type">
<field name="name">Expense</field>
<field name="name">Expense</field>
<field name="code">expense</field>
<field name="report_type">expense</field>
<field name="close_method">unreconciled</field>
</record>
<record id="account_type_cash_moves" model="account.account.type">
<field name="name">Cash</field>
<field name="name">Cash</field>
<field name="code">cash</field>
<field name="report_type">asset</field>
<field name="close_method">balance</field>
</record>