odoo/addons/account/account.py

3011 lines
146 KiB
Python

# -*- coding: utf-8 -*-
##############################################################################
#
# OpenERP, Open Source Management Solution
# Copyright (C) 2004-2010 Tiny SPRL (<http://tiny.be>).
#
# This program is free software: you can redistribute it and/or modify
# it under the terms of the GNU Affero General Public License as
# published by the Free Software Foundation, either version 3 of the
# License, or (at your option) any later version.
#
# This program is distributed in the hope that it will be useful,
# but WITHOUT ANY WARRANTY; without even the implied warranty of
# MERCHANTABILITY or FITNESS FOR A PARTICULAR PURPOSE. See the
# GNU Affero General Public License for more details.
#
# You should have received a copy of the GNU Affero General Public License
# along with this program. If not, see <http://www.gnu.org/licenses/>.
#
##############################################################################
import time
from datetime import datetime
from dateutil.relativedelta import relativedelta
from operator import itemgetter
import netsvc
import pooler
from osv import fields, osv
import decimal_precision as dp
from tools.translate import _
def check_cycle(self, cr, uid, ids, context=None):
""" climbs the ``self._table.parent_id`` chains for 100 levels or
until it can't find any more parent(s)
Returns true if it runs out of parents (no cycle), false if
it can recurse 100 times without ending all chains
"""
level = 100
while len(ids):
cr.execute('SELECT DISTINCT parent_id '\
'FROM '+self._table+' '\
'WHERE id IN %s '\
'AND parent_id IS NOT NULL',(tuple(ids),))
ids = map(itemgetter(0), cr.fetchall())
if not level:
return False
level -= 1
return True
class account_payment_term(osv.osv):
_name = "account.payment.term"
_description = "Payment Term"
_columns = {
'name': fields.char('Payment Term', size=64, translate=True, required=True),
'active': fields.boolean('Active', help="If the active field is set to False, it will allow you to hide the payment term without removing it."),
'note': fields.text('Description', translate=True),
'line_ids': fields.one2many('account.payment.term.line', 'payment_id', 'Terms'),
}
_defaults = {
'active': 1,
}
_order = "name"
def compute(self, cr, uid, id, value, date_ref=False, context=None):
if not date_ref:
date_ref = datetime.now().strftime('%Y-%m-%d')
pt = self.browse(cr, uid, id, context=context)
amount = value
result = []
obj_precision = self.pool.get('decimal.precision')
for line in pt.line_ids:
prec = obj_precision.precision_get(cr, uid, 'Account')
if line.value == 'fixed':
amt = round(line.value_amount, prec)
elif line.value == 'procent':
amt = round(value * line.value_amount, prec)
elif line.value == 'balance':
amt = round(amount, prec)
if amt:
next_date = (datetime.strptime(date_ref, '%Y-%m-%d') + relativedelta(days=line.days))
if line.days2 < 0:
next_first_date = next_date + relativedelta(day=1,months=1) #Getting 1st of next month
next_date = next_first_date + relativedelta(days=line.days2)
if line.days2 > 0:
next_date += relativedelta(day=line.days2, months=1)
result.append( (next_date.strftime('%Y-%m-%d'), amt) )
amount -= amt
return result
account_payment_term()
class account_payment_term_line(osv.osv):
_name = "account.payment.term.line"
_description = "Payment Term Line"
_columns = {
'name': fields.char('Line Name', size=32, required=True),
'sequence': fields.integer('Sequence', required=True, help="The sequence field is used to order the payment term lines from the lowest sequences to the higher ones"),
'value': fields.selection([('procent', 'Percent'),
('balance', 'Balance'),
('fixed', 'Fixed Amount')], 'Valuation',
required=True, help="""Select here the kind of valuation related to this payment term line. Note that you should have your last line with the type 'Balance' to ensure that the whole amount will be threated."""),
'value_amount': fields.float('Value Amount', help="For Value percent enter % ratio between 0-1."),
'days': fields.integer('Number of Days', required=True, help="Number of days to add before computation of the day of month." \
"If Date=15/01, Number of Days=22, Day of Month=-1, then the due date is 28/02."),
'days2': fields.integer('Day of the Month', required=True, help="Day of the month, set -1 for the last day of the current month. If it's positive, it gives the day of the next month. Set 0 for net days (otherwise it's based on the beginning of the month)."),
'payment_id': fields.many2one('account.payment.term', 'Payment Term', required=True, select=True),
}
_defaults = {
'value': 'balance',
'sequence': 5,
'days2': 0,
}
_order = "sequence"
def _check_percent(self, cr, uid, ids, context=None):
obj = self.browse(cr, uid, ids[0], context=context)
if obj.value == 'procent' and ( obj.value_amount < 0.0 or obj.value_amount > 1.0):
return False
return True
_constraints = [
(_check_percent, 'Percentages for Payment Term Line must be between 0 and 1, Example: 0.02 for 2% ', ['value_amount']),
]
account_payment_term_line()
class account_account_type(osv.osv):
_name = "account.account.type"
_description = "Account Type"
_columns = {
'name': fields.char('Acc. Type Name', size=64, required=True),
'code': fields.char('Code', size=32, required=True),
'close_method': fields.selection([('none', 'None'), ('balance', 'Balance'), ('detail', 'Detail'), ('unreconciled', 'Unreconciled')], 'Deferral Method', required=True, help="""Set here the method that will be used to generate the end of year journal entries for all the accounts of this type.
'None' means that nothing will be done.
'Balance' will generally be used for cash accounts.
'Detail' will copy each existing journal item of the previous year, even the reconciled ones.
'Unreconciled' will copy only the journal items that were unreconciled on the first day of the new fiscal year."""),
'sign': fields.selection([(-1, 'Negative'), (1, 'Positive')], 'Sign on Reports', required=True, help='Allows you to change the sign of the balance amount displayed in the reports, so that you can see positive figures instead of negative ones in expenses accounts.'),
'report_type':fields.selection([
('none','/'),
('income','Profit & Loss (Income Accounts)'),
('expense','Profit & Loss (Expense Accounts)'),
('asset','Balance Sheet (Assets Accounts)'),
('liability','Balance Sheet (Liability Accounts)')
],'P&L / BS Category', select=True, readonly=False, help="According value related accounts will be display on respective reports (Balance Sheet Profit & Loss Account)", required=True),
'note': fields.text('Description'),
}
_defaults = {
'close_method': 'none',
'sign': 1,
'report_type': 'none',
}
_order = "code"
account_account_type()
def _code_get(self, cr, uid, context=None):
acc_type_obj = self.pool.get('account.account.type')
ids = acc_type_obj.search(cr, uid, [])
res = acc_type_obj.read(cr, uid, ids, ['code', 'name'], context=context)
return [(r['code'], r['name']) for r in res]
#----------------------------------------------------------
# Accounts
#----------------------------------------------------------
class account_tax(osv.osv):
_name = 'account.tax'
account_tax()
class account_account(osv.osv):
_order = "parent_left"
_parent_order = "code"
_name = "account.account"
_description = "Account"
_parent_store = True
logger = netsvc.Logger()
def search(self, cr, uid, args, offset=0, limit=None, order=None,
context=None, count=False):
if context is None:
context = {}
pos = 0
while pos < len(args):
if args[pos][0] == 'code' and args[pos][1] in ('like', 'ilike') and args[pos][2]:
args[pos] = ('code', '=like', str(args[pos][2].replace('%', ''))+'%')
if args[pos][0] == 'journal_id':
if not args[pos][2]:
del args[pos]
continue
jour = self.pool.get('account.journal').browse(cr, uid, args[pos][2], context=context)
if (not (jour.account_control_ids or jour.type_control_ids)) or not args[pos][2]:
args[pos] = ('type','not in',('consolidation','view'))
continue
ids3 = map(lambda x: x.id, jour.type_control_ids)
ids1 = super(account_account, self).search(cr, uid, [('user_type', 'in', ids3)])
ids1 += map(lambda x: x.id, jour.account_control_ids)
args[pos] = ('id', 'in', ids1)
pos += 1
if context and context.has_key('consolidate_children'): #add consolidated children of accounts
ids = super(account_account, self).search(cr, uid, args, offset, limit,
order, context=context, count=count)
for consolidate_child in self.browse(cr, uid, context['account_id'], context=context).child_consol_ids:
ids.append(consolidate_child.id)
return ids
return super(account_account, self).search(cr, uid, args, offset, limit,
order, context=context, count=count)
def _get_children_and_consol(self, cr, uid, ids, context=None):
#this function search for all the children and all consolidated children (recursively) of the given account ids
ids2 = self.search(cr, uid, [('parent_id', 'child_of', ids)], context=context)
ids3 = []
for rec in self.browse(cr, uid, ids2, context=context):
for child in rec.child_consol_ids:
ids3.append(child.id)
if ids3:
ids3 = self._get_children_and_consol(cr, uid, ids3, context)
return ids2 + ids3
def __compute(self, cr, uid, ids, field_names, arg=None, context=None,
query='', query_params=()):
""" compute the balance, debit and/or credit for the provided
account ids
Arguments:
`ids`: account ids
`field_names`: the fields to compute (a list of any of
'balance', 'debit' and 'credit')
`arg`: unused fields.function stuff
`query`: additional query filter (as a string)
`query_params`: parameters for the provided query string
(__compute will handle their escaping) as a
tuple
"""
mapping = {
'balance': "COALESCE(SUM(l.debit),0) " \
"- COALESCE(SUM(l.credit), 0) as balance",
'debit': "COALESCE(SUM(l.debit), 0) as debit",
'credit': "COALESCE(SUM(l.credit), 0) as credit"
}
#get all the necessary accounts
children_and_consolidated = self._get_children_and_consol(cr, uid, ids, context=context)
#compute for each account the balance/debit/credit from the move lines
accounts = {}
if children_and_consolidated:
aml_query = self.pool.get('account.move.line')._query_get(cr, uid, context=context)
wheres = [""]
if query.strip():
wheres.append(query.strip())
if aml_query.strip():
wheres.append(aml_query.strip())
filters = " AND ".join(wheres)
self.logger.notifyChannel('addons.'+self._name, netsvc.LOG_DEBUG,
'Filters: %s'%filters)
# IN might not work ideally in case there are too many
# children_and_consolidated, in that case join on a
# values() e.g.:
# SELECT l.account_id as id FROM account_move_line l
# INNER JOIN (VALUES (id1), (id2), (id3), ...) AS tmp (id)
# ON l.account_id = tmp.id
# or make _get_children_and_consol return a query and join on that
request = ("SELECT l.account_id as id, " +\
', '.join(map(mapping.__getitem__, field_names)) +
" FROM account_move_line l" \
" WHERE l.account_id IN %s " \
+ filters +
" GROUP BY l.account_id")
params = (tuple(children_and_consolidated),) + query_params
cr.execute(request, params)
self.logger.notifyChannel('addons.'+self._name, netsvc.LOG_DEBUG,
'Status: %s'%cr.statusmessage)
for res in cr.dictfetchall():
accounts[res['id']] = res
# consolidate accounts with direct children
children_and_consolidated.reverse()
brs = list(self.browse(cr, uid, children_and_consolidated, context=context))
sums = {}
currency_obj = self.pool.get('res.currency')
while brs:
current = brs[0]
# can_compute = True
# for child in current.child_id:
# if child.id not in sums:
# can_compute = False
# try:
# brs.insert(0, brs.pop(brs.index(child)))
# except ValueError:
# brs.insert(0, child)
# if can_compute:
brs.pop(0)
for fn in field_names:
sums.setdefault(current.id, {})[fn] = accounts.get(current.id, {}).get(fn, 0.0)
for child in current.child_id:
if child.company_id.currency_id.id == current.company_id.currency_id.id:
sums[current.id][fn] += sums[child.id][fn]
else:
sums[current.id][fn] += currency_obj.compute(cr, uid, child.company_id.currency_id.id, current.company_id.currency_id.id, sums[child.id][fn], context=context)
res = {}
null_result = dict((fn, 0.0) for fn in field_names)
for id in ids:
res[id] = sums.get(id, null_result)
return res
def _get_company_currency(self, cr, uid, ids, field_name, arg, context=None):
result = {}
for rec in self.browse(cr, uid, ids, context=context):
result[rec.id] = (rec.company_id.currency_id.id,rec.company_id.currency_id.symbol)
return result
def _get_child_ids(self, cr, uid, ids, field_name, arg, context=None):
result = {}
for record in self.browse(cr, uid, ids, context=context):
if record.child_parent_ids:
result[record.id] = [x.id for x in record.child_parent_ids]
else:
result[record.id] = []
if record.child_consol_ids:
for acc in record.child_consol_ids:
if acc.id not in result[record.id]:
result[record.id].append(acc.id)
return result
def _get_level(self, cr, uid, ids, field_name, arg, context=None):
res={}
accounts = self.browse(cr, uid, ids, context=context)
for account in accounts:
level = 0
if account.parent_id:
obj = self.browse(cr, uid, account.parent_id.id)
level = obj.level + 1
res[account.id] = level
return res
_columns = {
'name': fields.char('Name', size=128, required=True, select=True),
'currency_id': fields.many2one('res.currency', 'Secondary Currency', help="Forces all moves for this account to have this secondary currency."),
'code': fields.char('Code', size=64, required=True, select=1),
'type': fields.selection([
('view', 'View'),
('other', 'Regular'),
('receivable', 'Receivable'),
('payable', 'Payable'),
('liquidity','Liquidity'),
('consolidation', 'Consolidation'),
('closed', 'Closed'),
], 'Internal Type', required=True, help="This type is used to differentiate types with "\
"special effects in OpenERP: view can not have entries, consolidation are accounts that "\
"can have children accounts for multi-company consolidations, payable/receivable are for "\
"partners accounts (for debit/credit computations), closed for depreciated accounts."),
'user_type': fields.many2one('account.account.type', 'Account Type', required=True,
help="These types are defined according to your country. The type contains more information "\
"about the account and its specificities."),
'parent_id': fields.many2one('account.account', 'Parent', ondelete='cascade', domain=[('type','=','view')]),
'child_parent_ids': fields.one2many('account.account','parent_id','Children'),
'child_consol_ids': fields.many2many('account.account', 'account_account_consol_rel', 'child_id', 'parent_id', 'Consolidated Children'),
'child_id': fields.function(_get_child_ids, method=True, type='many2many', relation="account.account", string="Child Accounts"),
'balance': fields.function(__compute, digits_compute=dp.get_precision('Account'), method=True, string='Balance', multi='balance'),
'credit': fields.function(__compute, digits_compute=dp.get_precision('Account'), method=True, string='Credit', multi='balance'),
'debit': fields.function(__compute, digits_compute=dp.get_precision('Account'), method=True, string='Debit', multi='balance'),
'reconcile': fields.boolean('Reconcile', help="Check this if the user is allowed to reconcile entries in this account."),
'shortcut': fields.char('Shortcut', size=12),
'tax_ids': fields.many2many('account.tax', 'account_account_tax_default_rel',
'account_id', 'tax_id', 'Default Taxes'),
'note': fields.text('Note'),
'company_currency_id': fields.function(_get_company_currency, method=True, type='many2one', relation='res.currency', string='Company Currency'),
'company_id': fields.many2one('res.company', 'Company', required=True),
'active': fields.boolean('Active', select=2, help="If the active field is set to False, it will allow you to hide the account without removing it."),
'parent_left': fields.integer('Parent Left', select=1),
'parent_right': fields.integer('Parent Right', select=1),
'currency_mode': fields.selection([('current', 'At Date'), ('average', 'Average Rate')], 'Outgoing Currencies Rate',
help=
'This will select how the current currency rate for outgoing transactions is computed. '\
'In most countries the legal method is "average" but only a few software systems are able to '\
'manage this. So if you import from another software system you may have to use the rate at date. ' \
'Incoming transactions always use the rate at date.', \
required=True),
'level': fields.function(_get_level, string='Level', method=True, store=True, type='integer'),
}
_defaults = {
'type': 'view',
'reconcile': False,
'active': True,
'currency_mode': 'current',
'company_id': lambda s,cr,uid,c: s.pool.get('res.company')._company_default_get(cr, uid, 'account.account', context=c),
}
def _check_recursion(self, cr, uid, ids, context=None):
obj_self = self.browse(cr, uid, ids[0], context=context)
p_id = obj_self.parent_id and obj_self.parent_id.id
if (obj_self in obj_self.child_consol_ids) or (p_id and (p_id is obj_self.id)):
return False
while(ids):
cr.execute('SELECT DISTINCT child_id '\
'FROM account_account_consol_rel '\
'WHERE parent_id IN %s', (tuple(ids),))
child_ids = map(itemgetter(0), cr.fetchall())
c_ids = child_ids
if (p_id and (p_id in c_ids)) or (obj_self.id in c_ids):
return False
while len(c_ids):
s_ids = self.search(cr, uid, [('parent_id', 'in', c_ids)])
if p_id and (p_id in s_ids):
return False
c_ids = s_ids
ids = child_ids
return True
_constraints = [
(_check_recursion, 'Error ! You can not create recursive accounts.', ['parent_id'])
]
_sql_constraints = [
('code_company_uniq', 'unique (code,company_id)', 'The code of the account must be unique per company !')
]
def name_search(self, cr, user, name, args=None, operator='ilike', context=None, limit=100):
if not args:
args = []
args = args[:]
ids = []
try:
if name and str(name).startswith('partner:'):
part_id = int(name.split(':')[1])
part = self.pool.get('res.partner').browse(cr, user, part_id, context=context)
args += [('id', 'in', (part.property_account_payable.id, part.property_account_receivable.id))]
name = False
if name and str(name).startswith('type:'):
type = name.split(':')[1]
args += [('type', '=', type)]
name = False
except:
pass
if name:
ids = self.search(cr, user, [('code', '=like', name+"%")]+args, limit=limit)
if not ids:
ids = self.search(cr, user, [('shortcut', '=', name)]+ args, limit=limit)
if not ids:
ids = self.search(cr, user, [('name', operator, name)]+ args, limit=limit)
if not ids and len(name.split()) >= 2:
#Separating code and name of account for searching
operand1,operand2 = name.split(' ',1) #name can contain spaces e.g. OpenERP S.A.
ids = self.search(cr, user, [('code', operator, operand1), ('name', operator, operand2)]+ args, limit=limit)
else:
ids = self.search(cr, user, args, context=context, limit=limit)
return self.name_get(cr, user, ids, context=context)
def name_get(self, cr, uid, ids, context=None):
if not ids:
return []
reads = self.read(cr, uid, ids, ['name', 'code'], context=context)
res = []
for record in reads:
name = record['name']
if record['code']:
name = record['code'] + ' '+name
res.append((record['id'], name))
return res
def copy(self, cr, uid, id, default={}, context=None, done_list=[], local=False):
account = self.browse(cr, uid, id, context=context)
new_child_ids = []
if not default:
default = {}
default = default.copy()
default['code'] = (account['code'] or '') + '(copy)'
if not local:
done_list = []
if account.id in done_list:
return False
done_list.append(account.id)
if account:
for child in account.child_id:
child_ids = self.copy(cr, uid, child.id, default, context=context, done_list=done_list, local=True)
if child_ids:
new_child_ids.append(child_ids)
default['child_parent_ids'] = [(6, 0, new_child_ids)]
else:
default['child_parent_ids'] = False
return super(account_account, self).copy(cr, uid, id, default, context=context)
def _check_moves(self, cr, uid, ids, method, context=None):
line_obj = self.pool.get('account.move.line')
account_ids = self.search(cr, uid, [('id', 'child_of', ids)])
if line_obj.search(cr, uid, [('account_id', 'in', account_ids)]):
if method == 'write':
raise osv.except_osv(_('Error !'), _('You cannot deactivate an account that contains account moves.'))
elif method == 'unlink':
raise osv.except_osv(_('Error !'), _('You cannot remove an account which has account entries!. '))
#Checking whether the account is set as a property to any Partner or not
value = 'account.account,' + str(ids[0])
partner_prop_acc = self.pool.get('ir.property').search(cr, uid, [('value_reference','=',value)], context=context)
if partner_prop_acc:
raise osv.except_osv(_('Warning !'), _('You cannot remove/deactivate an account which is set as a property to any Partner.'))
return True
def _check_allow_type_change(self, cr, uid, ids, new_type, context=None):
group1 = ['payable', 'receivable', 'other']
group2 = ['consolidation','view']
line_obj = self.pool.get('account.move.line')
for account in self.browse(cr, uid, ids, context=context):
old_type = account.type
account_ids = self.search(cr, uid, [('id', 'child_of', [account.id])])
if line_obj.search(cr, uid, [('account_id', 'in', account_ids)]):
#Check for 'Closed' type
if old_type == 'closed' and new_type !='closed':
raise osv.except_osv(_('Warning !'), _("You cannot change the type of account from 'Closed' to any other type which contains account entries!"))
#Check for change From group1 to group2 and vice versa
if (old_type in group1 and new_type in group2) or (old_type in group2 and new_type in group1):
raise osv.except_osv(_('Warning !'), _("You cannot change the type of account from '%s' to '%s' type as it contains account entries!") % (old_type,new_type,))
return True
def write(self, cr, uid, ids, vals, context=None):
if context is None:
context = {}
if 'company_id' in vals:
move_lines = self.pool.get('account.move.line').search(cr, uid, [('account_id', 'in', ids)])
if move_lines:
raise osv.except_osv(_('Warning !'), _('You cannot modify Company of account as its related record exist in Entry Lines'))
if 'active' in vals and not vals['active']:
self._check_moves(cr, uid, ids, "write", context=context)
if 'type' in vals.keys():
self._check_allow_type_change(cr, uid, ids, vals['type'], context=context)
return super(account_account, self).write(cr, uid, ids, vals, context=context)
def unlink(self, cr, uid, ids, context=None):
self._check_moves(cr, uid, ids, "unlink", context=context)
return super(account_account, self).unlink(cr, uid, ids, context=context)
account_account()
class account_journal_view(osv.osv):
_name = "account.journal.view"
_description = "Journal View"
_columns = {
'name': fields.char('Journal View', size=64, required=True),
'columns_id': fields.one2many('account.journal.column', 'view_id', 'Columns')
}
_order = "name"
account_journal_view()
class account_journal_column(osv.osv):
def _col_get(self, cr, user, context=None):
result = []
cols = self.pool.get('account.move.line')._columns
for col in cols:
if col in ('period_id', 'journal_id'):
continue
result.append( (col, cols[col].string) )
result.sort()
return result
_name = "account.journal.column"
_description = "Journal Column"
_columns = {
'name': fields.char('Column Name', size=64, required=True),
'field': fields.selection(_col_get, 'Field Name', method=True, required=True, size=32),
'view_id': fields.many2one('account.journal.view', 'Journal View', select=True),
'sequence': fields.integer('Sequence', help="Gives the sequence order to journal column."),
'required': fields.boolean('Required'),
'readonly': fields.boolean('Readonly'),
}
_order = "sequence"
account_journal_column()
class account_journal(osv.osv):
_name = "account.journal"
_description = "Journal"
_columns = {
'name': fields.char('Journal Name', size=64, required=True),
'code': fields.char('Code', size=5, required=True, help="The code will be used to generate the numbers of the journal entries of this journal."),
'type': fields.selection([('sale', 'Sale'),('sale_refund','Sale Refund'), ('purchase', 'Purchase'), ('purchase_refund','Purchase Refund'), ('cash', 'Cash'), ('bank', 'Bank and Cheques'), ('general', 'General'), ('situation', 'Opening/Closing Situation')], 'Type', size=32, required=True,
help="Select 'Sale' for Sale journal to be used at the time of making invoice."\
" Select 'Purchase' for Purchase Journal to be used at the time of approving purchase order."\
" Select 'Cash' to be used at the time of making payment."\
" Select 'General' for miscellaneous operations."\
" Select 'Opening/Closing Situation' to be used at the time of new fiscal year creation or end of year entries generation."),
'refund_journal': fields.boolean('Refund Journal', help='Fill this if the journal is to be used for refunds of invoices.'),
'type_control_ids': fields.many2many('account.account.type', 'account_journal_type_rel', 'journal_id','type_id', 'Type Controls', domain=[('code','<>','view'), ('code', '<>', 'closed')]),
'account_control_ids': fields.many2many('account.account', 'account_account_type_rel', 'journal_id','account_id', 'Account', domain=[('type','<>','view'), ('type', '<>', 'closed')]),
'view_id': fields.many2one('account.journal.view', 'Display Mode', required=True, help="Gives the view used when writing or browsing entries in this journal. The view tells OpenERP which fields should be visible, required or readonly and in which order. You can create your own view for a faster encoding in each journal."),
'default_credit_account_id': fields.many2one('account.account', 'Default Credit Account', domain="[('type','!=','view')]", help="It acts as a default account for credit amount"),
'default_debit_account_id': fields.many2one('account.account', 'Default Debit Account', domain="[('type','!=','view')]", help="It acts as a default account for debit amount"),
'centralisation': fields.boolean('Centralised counterpart', help="Check this box to determine that each entry of this journal won't create a new counterpart but will share the same counterpart. This is used in fiscal year closing."),
'update_posted': fields.boolean('Allow Cancelling Entries', help="Check this box if you want to allow the cancellation the entries related to this journal or of the invoice related to this journal"),
'group_invoice_lines': fields.boolean('Group Invoice Lines', help="If this box is checked, the system will try to group the accounting lines when generating them from invoices."),
'sequence_id': fields.many2one('ir.sequence', 'Entry Sequence', help="This field contains the informatin related to the numbering of the journal entries of this journal.", required=True),
'user_id': fields.many2one('res.users', 'User', help="The user responsible for this journal"),
'groups_id': fields.many2many('res.groups', 'account_journal_group_rel', 'journal_id', 'group_id', 'Groups'),
'currency': fields.many2one('res.currency', 'Currency', help='The currency used to enter statement'),
'entry_posted': fields.boolean('Skip \'Draft\' State for Manual Entries', help='Check this box if you don\'t want new journal entries to pass through the \'draft\' state and instead goes directly to the \'posted state\' without any manual validation. \nNote that journal entries that are automatically created by the system are always skipping that state.'),
'company_id': fields.many2one('res.company', 'Company', required=True, select=1, help="Company related to this journal"),
'allow_date':fields.boolean('Check Date not in the Period', help= 'If set to True then do not accept the entry if the entry date is not into the period dates'),
}
_defaults = {
'user_id': lambda self, cr, uid, context: uid,
'company_id': lambda self, cr, uid, c: self.pool.get('res.users').browse(cr, uid, uid, c).company_id.id,
}
_sql_constraints = [
('code_company_uniq', 'unique (code, company_id)', 'The code of the journal must be unique per company !'),
('name_company_uniq', 'unique (name, company_id)', 'The name of the journal must be unique per company !'),
]
_order = 'code'
def copy(self, cr, uid, id, default={}, context=None, done_list=[], local=False):
journal = self.browse(cr, uid, id, context=context)
if not default:
default = {}
default = default.copy()
default['code'] = (journal['code'] or '') + '(copy)'
default['name'] = (journal['name'] or '') + '(copy)'
return super(account_journal, self).copy(cr, uid, id, default, context=context)
def write(self, cr, uid, ids, vals, context=None):
if context is None:
context = {}
for journal in self.browse(cr, uid, ids, context=context):
if 'company_id' in vals and journal.company_id.id != vals['company_id']:
move_lines = self.pool.get('account.move.line').search(cr, uid, [('journal_id', 'in', ids)])
if move_lines:
raise osv.except_osv(_('Warning !'), _('You cannot modify company of this journal as its related record exist in Entry Lines'))
return super(account_journal, self).write(cr, uid, ids, vals, context=context)
def create_sequence(self, cr, uid, vals, context=None):
"""
Create new entry sequence for every new Joural
@param cr: cursor to database
@param user: id of current user
@param ids: list of record ids to be process
@param context: context arguments, like lang, time zone
@return: return a result
"""
seq_pool = self.pool.get('ir.sequence')
seq_typ_pool = self.pool.get('ir.sequence.type')
name = vals['name']
code = vals['code'].lower()
types = {
'name': name,
'code': code
}
seq_typ_pool.create(cr, uid, types)
seq = {
'name': name,
'code': code,
'active': True,
'prefix': code + "/%(year)s/",
'padding': 4,
'number_increment': 1
}
return seq_pool.create(cr, uid, seq)
def create(self, cr, uid, vals, context=None):
if not 'sequence_id' in vals or not vals['sequence_id']:
vals.update({'sequence_id': self.create_sequence(cr, uid, vals, context)})
return super(account_journal, self).create(cr, uid, vals, context)
def name_get(self, cr, user, ids, context=None):
"""
Returns a list of tupples containing id, name.
result format: {[(id, name), (id, name), ...]}
@param cr: A database cursor
@param user: ID of the user currently logged in
@param ids: list of ids for which name should be read
@param context: context arguments, like lang, time zone
@return: Returns a list of tupples containing id, name
"""
result = self.browse(cr, user, ids, context=context)
res = []
for rs in result:
name = rs.name
if rs.currency:
name = "%s (%s)" % (rs.name, rs.currency.name)
res += [(rs.id, name)]
return res
def name_search(self, cr, user, name, args=None, operator='ilike', context=None, limit=100):
if not args:
args = []
if context is None:
context = {}
ids = []
if context.get('journal_type', False):
args += [('type','=',context.get('journal_type'))]
if name:
ids = self.search(cr, user, [('code', 'ilike', name)]+ args, limit=limit, context=context)
if not ids:
ids = self.search(cr, user, [('name', 'ilike', name)]+ args, limit=limit, context=context)#fix it ilike should be replace with operator
return self.name_get(cr, user, ids, context=context)
def onchange_type(self, cr, uid, ids, type, currency, context=None):
obj_data = self.pool.get('ir.model.data')
user_pool = self.pool.get('res.users')
type_map = {
'sale':'account_sp_journal_view',
'sale_refund':'account_sp_refund_journal_view',
'purchase':'account_sp_journal_view',
'purchase_refund':'account_sp_refund_journal_view',
'cash':'account_journal_bank_view',
'bank':'account_journal_bank_view',
'general':'account_journal_view',
'situation':'account_journal_view'
}
res = {}
view_id = type_map.get(type, 'account_journal_view')
user = user_pool.browse(cr, uid, uid)
if type in ('cash', 'bank') and currency and user.company_id.currency_id.id != currency:
view_id = 'account_journal_bank_view_multi'
data_id = obj_data.search(cr, uid, [('model','=','account.journal.view'), ('name','=',view_id)])
data = obj_data.browse(cr, uid, data_id[0], context=context)
res.update({
'centralisation':type == 'situation',
'view_id':data.res_id,
})
return {
'value':res
}
account_journal()
class account_fiscalyear(osv.osv):
_name = "account.fiscalyear"
_description = "Fiscal Year"
_columns = {
'name': fields.char('Fiscal Year', size=64, required=True),
'code': fields.char('Code', size=6, required=True),
'company_id': fields.many2one('res.company', 'Company', required=True),
'date_start': fields.date('Start Date', required=True),
'date_stop': fields.date('End Date', required=True),
'period_ids': fields.one2many('account.period', 'fiscalyear_id', 'Periods'),
'state': fields.selection([('draft','Open'), ('done','Closed')], 'State', readonly=True),
}
_defaults = {
'state': 'draft',
'company_id': lambda self,cr,uid,c: self.pool.get('res.users').browse(cr, uid, uid, c).company_id.id,
}
_order = "date_start"
def _check_fiscal_year(self, cr, uid, ids, context=None):
current_fiscal_yr = self.browse(cr, uid, ids, context=context)[0]
obj_fiscal_ids = self.search(cr, uid, [('company_id', '=', current_fiscal_yr.company_id.id)], context=context)
obj_fiscal_ids.remove(ids[0])
data_fiscal_yr = self.browse(cr, uid, obj_fiscal_ids, context=context)
for old_fy in data_fiscal_yr:
if old_fy.company_id.id == current_fiscal_yr['company_id'].id:
# Condition to check if the current fiscal year falls in between any previously defined fiscal year
if old_fy.date_start <= current_fiscal_yr['date_start'] <= old_fy.date_stop or \
old_fy.date_start <= current_fiscal_yr['date_stop'] <= old_fy.date_stop:
return False
return True
def _check_duration(self, cr, uid, ids, context=None):
obj_fy = self.browse(cr, uid, ids[0], context=context)
if obj_fy.date_stop < obj_fy.date_start:
return False
return True
_constraints = [
(_check_duration, 'Error! The duration of the Fiscal Year is invalid. ', ['date_stop']),
(_check_fiscal_year, 'Error! You cannot define overlapping fiscal years',['date_start', 'date_stop'])
]
def create_period3(self,cr, uid, ids, context=None):
return self.create_period(cr, uid, ids, context, 3)
def create_period(self,cr, uid, ids, context=None, interval=1):
for fy in self.browse(cr, uid, ids, context=context):
ds = datetime.strptime(fy.date_start, '%Y-%m-%d')
while ds.strftime('%Y-%m-%d')<fy.date_stop:
de = ds + relativedelta(months=interval, days=-1)
if de.strftime('%Y-%m-%d')>fy.date_stop:
de = datetime.strptime(fy.date_stop, '%Y-%m-%d')
self.pool.get('account.period').create(cr, uid, {
'name': ds.strftime('%m/%Y'),
'code': ds.strftime('%m/%Y'),
'date_start': ds.strftime('%Y-%m-%d'),
'date_stop': de.strftime('%Y-%m-%d'),
'fiscalyear_id': fy.id,
})
ds = ds + relativedelta(months=interval)
return True
def find(self, cr, uid, dt=None, exception=True, context=None):
if not dt:
dt = time.strftime('%Y-%m-%d')
ids = self.search(cr, uid, [('date_start', '<=', dt), ('date_stop', '>=', dt)])
if not ids:
if exception:
raise osv.except_osv(_('Error !'), _('No fiscal year defined for this date !\nPlease create one.'))
else:
return False
return ids[0]
def name_search(self, cr, user, name, args=None, operator='ilike', context=None, limit=80):
if args is None:
args = []
if context is None:
context = {}
ids = []
if name:
ids = self.search(cr, user, [('code', 'ilike', name)]+ args, limit=limit)
if not ids:
ids = self.search(cr, user, [('name', operator, name)]+ args, limit=limit)
return self.name_get(cr, user, ids, context=context)
account_fiscalyear()
class account_period(osv.osv):
_name = "account.period"
_description = "Account period"
_columns = {
'name': fields.char('Period Name', size=64, required=True),
'code': fields.char('Code', size=12),
'special': fields.boolean('Opening/Closing Period', size=12,
help="These periods can overlap."),
'date_start': fields.date('Start of Period', required=True, states={'done':[('readonly',True)]}),
'date_stop': fields.date('End of Period', required=True, states={'done':[('readonly',True)]}),
'fiscalyear_id': fields.many2one('account.fiscalyear', 'Fiscal Year', required=True, states={'done':[('readonly',True)]}, select=True),
'state': fields.selection([('draft','Open'), ('done','Closed')], 'State', readonly=True,
help='When monthly periods are created. The state is \'Draft\'. At the end of monthly period it is in \'Done\' state.'),
'company_id': fields.related('fiscalyear_id', 'company_id', type='many2one', relation='res.company', string='Company', store=True, readonly=True)
}
_defaults = {
'state': 'draft',
}
_order = "date_start"
def _check_duration(self,cr,uid,ids,context=None):
obj_period = self.browse(cr, uid, ids[0], context=context)
if obj_period.date_stop < obj_period.date_start:
return False
return True
def _check_year_limit(self,cr,uid,ids,context=None):
for obj_period in self.browse(cr, uid, ids, context=context):
if obj_period.special:
continue
if obj_period.fiscalyear_id.date_stop < obj_period.date_stop or \
obj_period.fiscalyear_id.date_stop < obj_period.date_start or \
obj_period.fiscalyear_id.date_start > obj_period.date_start or \
obj_period.fiscalyear_id.date_start > obj_period.date_stop:
return False
pids = self.search(cr, uid, [('date_stop','>=',obj_period.date_start),('date_start','<=',obj_period.date_stop),('special','=',False),('id','<>',obj_period.id)])
for period in self.browse(cr, uid, pids):
if period.fiscalyear_id.company_id.id==obj_period.fiscalyear_id.company_id.id:
return False
return True
_constraints = [
(_check_duration, 'Error ! The duration of the Period(s) is/are invalid. ', ['date_stop']),
(_check_year_limit, 'Invalid period ! Some periods overlap or the date period is not in the scope of the fiscal year. ', ['date_stop'])
]
def next(self, cr, uid, period, step, context=None):
ids = self.search(cr, uid, [('date_start','>',period.date_start)])
if len(ids)>=step:
return ids[step-1]
return False
def find(self, cr, uid, dt=None, context=None):
if not dt:
dt = time.strftime('%Y-%m-%d')
#CHECKME: shouldn't we check the state of the period?
ids = self.search(cr, uid, [('date_start','<=',dt),('date_stop','>=',dt)])
if not ids:
raise osv.except_osv(_('Error !'), _('No period defined for this date: %s !\nPlease create a fiscal year.')%dt)
return ids
def action_draft(self, cr, uid, ids, *args):
mode = 'draft'
for id in ids:
cr.execute('update account_journal_period set state=%s where period_id=%s', (mode, id))
cr.execute('update account_period set state=%s where id=%s', (mode, id))
return True
def name_search(self, cr, user, name, args=None, operator='ilike', context=None, limit=100):
if args is None:
args = []
if context is None:
context = {}
ids = []
if name:
ids = self.search(cr, user, [('code','ilike',name)]+ args, limit=limit)
if not ids:
ids = self.search(cr, user, [('name',operator,name)]+ args, limit=limit)
return self.name_get(cr, user, ids, context=context)
def write(self, cr, uid, ids, vals, context=None):
if 'company_id' in vals:
move_lines = self.pool.get('account.move.line').search(cr, uid, [('period_id', 'in', ids)])
if move_lines:
raise osv.except_osv(_('Warning !'), _('You cannot modify company of this period as its related record exist in Entry Lines'))
return super(account_period, self).write(cr, uid, ids, vals, context=context)
def build_ctx_periods(self, cr, uid, period_from_id, period_to_id):
period_from = self.browse(cr, uid, period_from_id)
period_date_start = period_from.date_start
company1_id = period_from.company_id.id
period_to = self.browse(cr, uid, period_to_id)
period_date_stop = period_to.date_stop
company2_id = period_to.company_id.id
if company1_id != company2_id:
raise osv.except_osv(_('Error'), _('You should have chosen periods that belongs to the same company'))
if period_date_start > period_date_stop:
raise osv.except_osv(_('Error'), _('Start period should be smaller then End period'))
return self.search(cr, uid, [('date_start', '>=', period_date_start), ('date_stop', '<=', period_date_stop), ('company_id', '=', company1_id)])
account_period()
class account_journal_period(osv.osv):
_name = "account.journal.period"
_description = "Journal Period"
def _icon_get(self, cr, uid, ids, field_name, arg=None, context=None):
result = {}.fromkeys(ids, 'STOCK_NEW')
for r in self.read(cr, uid, ids, ['state']):
result[r['id']] = {
'draft': 'STOCK_NEW',
'printed': 'STOCK_PRINT_PREVIEW',
'done': 'STOCK_DIALOG_AUTHENTICATION',
}.get(r['state'], 'STOCK_NEW')
return result
_columns = {
'name': fields.char('Journal-Period Name', size=64, required=True),
'journal_id': fields.many2one('account.journal', 'Journal', required=True, ondelete="cascade"),
'period_id': fields.many2one('account.period', 'Period', required=True, ondelete="cascade"),
'icon': fields.function(_icon_get, method=True, string='Icon', type='char', size=32),
'active': fields.boolean('Active', required=True, help="If the active field is set to False, it will allow you to hide the journal period without removing it."),
'state': fields.selection([('draft','Draft'), ('printed','Printed'), ('done','Done')], 'State', required=True, readonly=True,
help='When journal period is created. The state is \'Draft\'. If a report is printed it comes to \'Printed\' state. When all transactions are done, it comes in \'Done\' state.'),
'fiscalyear_id': fields.related('period_id', 'fiscalyear_id', string='Fiscal Year', type='many2one', relation='account.fiscalyear'),
'company_id': fields.related('journal_id', 'company_id', type='many2one', relation='res.company', string='Company')
}
def _check(self, cr, uid, ids, context=None):
for obj in self.browse(cr, uid, ids, context=context):
cr.execute('select * from account_move_line where journal_id=%s and period_id=%s limit 1', (obj.journal_id.id, obj.period_id.id))
res = cr.fetchall()
if res:
raise osv.except_osv(_('Error !'), _('You can not modify/delete a journal with entries for this period !'))
return True
def write(self, cr, uid, ids, vals, context=None):
self._check(cr, uid, ids, context=context)
return super(account_journal_period, self).write(cr, uid, ids, vals, context=context)
def create(self, cr, uid, vals, context=None):
period_id=vals.get('period_id',False)
if period_id:
period = self.pool.get('account.period').browse(cr, uid, period_id, context=context)
vals['state']=period.state
return super(account_journal_period, self).create(cr, uid, vals, context)
def unlink(self, cr, uid, ids, context=None):
self._check(cr, uid, ids, context=context)
return super(account_journal_period, self).unlink(cr, uid, ids, context=context)
_defaults = {
'state': 'draft',
'active': True,
}
_order = "period_id"
account_journal_period()
class account_fiscalyear(osv.osv):
_inherit = "account.fiscalyear"
_description = "Fiscal Year"
_columns = {
'end_journal_period_id':fields.many2one('account.journal.period','End of Year Entries Journal', readonly=True),
}
def copy(self, cr, uid, id, default={}, context=None):
default.update({
'period_ids': [],
'end_journal_period_id': False
})
return super(account_fiscalyear, self).copy(cr, uid, id, default=default, context=context)
account_fiscalyear()
#----------------------------------------------------------
# Entries
#----------------------------------------------------------
class account_move(osv.osv):
_name = "account.move"
_description = "Account Entry"
_order = 'id desc'
def name_search(self, cr, user, name, args=None, operator='ilike', context=None, limit=80):
"""
Returns a list of tupples containing id, name, as internally it is called {def name_get}
result format: {[(id, name), (id, name), ...]}
@param cr: A database cursor
@param user: ID of the user currently logged in
@param name: name to search
@param args: other arguments
@param operator: default operator is 'ilike', it can be changed
@param context: context arguments, like lang, time zone
@param limit: Returns first 'n' ids of complete result, default is 80.
@return: Returns a list of tuples containing id and name
"""
if not args:
args = []
ids = []
if name:
ids += self.search(cr, user, [('name','ilike',name)]+args, limit=limit, context=context)
if not ids and name and type(name) == int:
ids += self.search(cr, user, [('id','=',name)]+args, limit=limit, context=context)
if not ids:
ids += self.search(cr, user, args, limit=limit, context=context)
return self.name_get(cr, user, ids, context=context)
def name_get(self, cursor, user, ids, context=None):
if isinstance(ids, (int, long)):
ids = [ids]
if not ids:
return []
res = []
data_move = self.pool.get('account.move').browse(cursor, user, ids, context=context)
for move in data_move:
if move.state=='draft':
name = '*' + str(move.id)
else:
name = move.name
res.append((move.id, name))
return res
def _get_period(self, cr, uid, context=None):
periods = self.pool.get('account.period').find(cr, uid)
if periods:
return periods[0]
return False
def _amount_compute(self, cr, uid, ids, name, args, context, where =''):
if not ids: return {}
cr.execute( 'SELECT move_id, SUM(debit) '\
'FROM account_move_line '\
'WHERE move_id IN %s '\
'GROUP BY move_id', (tuple(ids),))
result = dict(cr.fetchall())
for id in ids:
result.setdefault(id, 0.0)
return result
def _search_amount(self, cr, uid, obj, name, args, context):
ids = set()
for cond in args:
amount = cond[2]
if isinstance(cond[2],(list,tuple)):
if cond[1] in ['in','not in']:
amount = tuple(cond[2])
else:
continue
else:
if cond[1] in ['=like', 'like', 'not like', 'ilike', 'not ilike', 'in', 'not in', 'child_of']:
continue
cr.execute("select move_id from account_move_line group by move_id having sum(debit) %s %%s" % (cond[1]),(amount,))
res_ids = set(id[0] for id in cr.fetchall())
ids = ids and (ids & res_ids) or res_ids
if ids:
return [('id','in',tuple(ids))]
else:
return [('id', '=', '0')]
_columns = {
'name': fields.char('Number', size=64, required=True),
'ref': fields.char('Reference', size=64),
'period_id': fields.many2one('account.period', 'Period', required=True, states={'posted':[('readonly',True)]}),
'journal_id': fields.many2one('account.journal', 'Journal', required=True, states={'posted':[('readonly',True)]}),
'state': fields.selection([('draft','Unposted'), ('posted','Posted')], 'State', required=True, readonly=True,
help='All manually created new journal entry are usually in the state \'Unposted\', but you can set the option to skip that state on the related journal. In that case, they will be behave as journal entries automatically created by the system on document validation (invoices, bank statements...) and will be created in \'Posted\' state.'),
'line_id': fields.one2many('account.move.line', 'move_id', 'Entries', states={'posted':[('readonly',True)]}),
'to_check': fields.boolean('To Review', 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.'),
'partner_id': fields.related('line_id', 'partner_id', type="many2one", relation="res.partner", string="Partner", store=True),
'amount': fields.function(_amount_compute, method=True, string='Amount', digits_compute=dp.get_precision('Account'), type='float', fnct_search=_search_amount),
'date': fields.date('Date', required=True, states={'posted':[('readonly',True)]}),
'narration':fields.text('Narration'),
'company_id': fields.related('journal_id','company_id',type='many2one',relation='res.company',string='Company',store=True),
}
_defaults = {
'name': '/',
'state': 'draft',
'period_id': _get_period,
'date': lambda *a: time.strftime('%Y-%m-%d'),
'company_id': lambda self,cr,uid,c: self.pool.get('res.users').browse(cr, uid, uid, c).company_id.id,
}
def _check_centralisation(self, cursor, user, ids, context=None):
for move in self.browse(cursor, user, ids, context=context):
if move.journal_id.centralisation:
move_ids = self.search(cursor, user, [
('period_id', '=', move.period_id.id),
('journal_id', '=', move.journal_id.id),
])
if len(move_ids) > 1:
return False
return True
def _check_period_journal(self, cursor, user, ids, context=None):
for move in self.browse(cursor, user, ids, context=context):
for line in move.line_id:
if line.period_id.id != move.period_id.id:
return False
if line.journal_id.id != move.journal_id.id:
return False
return True
_constraints = [
(_check_centralisation,
'You cannot create more than one move per period on centralized journal',
['journal_id']),
(_check_period_journal,
'You cannot create entries on different periods/journals in the same move',
['line_id']),
]
def post(self, cr, uid, ids, context=None):
if context is None:
context = {}
invoice = context.get('invoice', False)
valid_moves = self.validate(cr, uid, ids, context)
if not valid_moves:
raise osv.except_osv(_('Integrity Error !'), _('You cannot validate a non-balanced entry !\nMake sure you have configured Payment Term properly !\nIt should contain atleast one Payment Term Line with type "Balance" !'))
obj_sequence = self.pool.get('ir.sequence')
for move in self.browse(cr, uid, valid_moves, context=context):
if move.name =='/':
new_name = False
journal = move.journal_id
if invoice and invoice.internal_number:
new_name = invoice.internal_number
else:
if journal.sequence_id:
c = {'fiscalyear_id': move.period_id.fiscalyear_id.id}
new_name = obj_sequence.get_id(cr, uid, journal.sequence_id.id, context=c)
else:
raise osv.except_osv(_('Error'), _('No sequence defined on the journal !'))
if new_name:
self.write(cr, uid, [move.id], {'name':new_name})
cr.execute('UPDATE account_move '\
'SET state=%s '\
'WHERE id IN %s',
('posted', tuple(valid_moves),))
return True
def button_validate(self, cursor, user, ids, context=None):
for move in self.browse(cursor, user, ids, context=context):
top = None
for line in move.line_id:
account = line.account_id
while account:
account2 = account
account = account.parent_id
if not top:
top = account2.id
elif top<>account2.id:
raise osv.except_osv(_('Error !'), _('You cannot validate a Journal Entry unless all journal items are in same chart of accounts !'))
return self.post(cursor, user, ids, context=context)
def button_cancel(self, cr, uid, ids, context=None):
for line in self.browse(cr, uid, ids, context=context):
if not line.journal_id.update_posted:
raise osv.except_osv(_('Error !'), _('You can not modify a posted entry of this journal !\nYou should set the journal to allow cancelling entries if you want to do that.'))
if ids:
cr.execute('UPDATE account_move '\
'SET state=%s '\
'WHERE id IN %s', ('draft', tuple(ids),))
return True
def write(self, cr, uid, ids, vals, context=None):
if context is None:
context = {}
c = context.copy()
c['novalidate'] = True
result = super(osv.osv, self).write(cr, uid, ids, vals, c)
self.validate(cr, uid, ids, context=context)
return result
#
# TODO: Check if period is closed !
#
def create(self, cr, uid, vals, context=None):
if context is None:
context = {}
if 'line_id' in vals and context.get('copy'):
for l in vals['line_id']:
if not l[0]:
l[2].update({
'reconcile_id':False,
'reconcil_partial_id':False,
'analytic_lines':False,
'invoice':False,
'ref':False,
'balance':False,
'account_tax_id':False,
})
if 'journal_id' in vals and vals.get('journal_id', False):
for l in vals['line_id']:
if not l[0]:
l[2]['journal_id'] = vals['journal_id']
context['journal_id'] = vals['journal_id']
if 'period_id' in vals:
for l in vals['line_id']:
if not l[0]:
l[2]['period_id'] = vals['period_id']
context['period_id'] = vals['period_id']
else:
default_period = self._get_period(cr, uid, context)
for l in vals['line_id']:
if not l[0]:
l[2]['period_id'] = default_period
context['period_id'] = default_period
if 'line_id' in vals:
c = context.copy()
c['novalidate'] = True
result = super(account_move, self).create(cr, uid, vals, c)
self.validate(cr, uid, [result], context)
else:
result = super(account_move, self).create(cr, uid, vals, context)
return result
def copy(self, cr, uid, id, default={}, context=None):
if context is None:
context = {}
default.update({
'state':'draft',
'name':'/',
})
context.update({
'copy':True
})
return super(account_move, self).copy(cr, uid, id, default, context)
def unlink(self, cr, uid, ids, context=None, check=True):
if context is None:
context = {}
toremove = []
obj_move_line = self.pool.get('account.move.line')
for move in self.browse(cr, uid, ids, context=context):
if move['state'] != 'draft':
raise osv.except_osv(_('UserError'),
_('You can not delete posted movement: "%s"!') % \
move['name'])
line_ids = map(lambda x: x.id, move.line_id)
context['journal_id'] = move.journal_id.id
context['period_id'] = move.period_id.id
obj_move_line._update_check(cr, uid, line_ids, context)
obj_move_line.unlink(cr, uid, line_ids, context=context)
toremove.append(move.id)
result = super(account_move, self).unlink(cr, uid, toremove, context)
return result
def _compute_balance(self, cr, uid, id, context=None):
move = self.browse(cr, uid, id, context=context)
amount = 0
for line in move.line_id:
amount+= (line.debit - line.credit)
return amount
def _centralise(self, cr, uid, move, mode, context=None):
assert mode in ('debit', 'credit'), 'Invalid Mode' #to prevent sql injection
if context is None:
context = {}
if mode=='credit':
account_id = move.journal_id.default_debit_account_id.id
mode2 = 'debit'
if not account_id:
raise osv.except_osv(_('UserError'),
_('There is no default default debit account defined \n' \
'on journal "%s"') % move.journal_id.name)
else:
account_id = move.journal_id.default_credit_account_id.id
mode2 = 'credit'
if not account_id:
raise osv.except_osv(_('UserError'),
_('There is no default default credit account defined \n' \
'on journal "%s"') % move.journal_id.name)
# find the first line of this move with the current mode
# or create it if it doesn't exist
cr.execute('select id from account_move_line where move_id=%s and centralisation=%s limit 1', (move.id, mode))
res = cr.fetchone()
if res:
line_id = res[0]
else:
context.update({'journal_id': move.journal_id.id, 'period_id': move.period_id.id})
line_id = self.pool.get('account.move.line').create(cr, uid, {
'name': _(mode.capitalize()+' Centralisation'),
'centralisation': mode,
'account_id': account_id,
'move_id': move.id,
'journal_id': move.journal_id.id,
'period_id': move.period_id.id,
'date': move.period_id.date_stop,
'debit': 0.0,
'credit': 0.0,
}, context)
# find the first line of this move with the other mode
# so that we can exclude it from our calculation
cr.execute('select id from account_move_line where move_id=%s and centralisation=%s limit 1', (move.id, mode2))
res = cr.fetchone()
if res:
line_id2 = res[0]
else:
line_id2 = 0
cr.execute('SELECT SUM(%s) FROM account_move_line WHERE move_id=%%s AND id!=%%s' % (mode,), (move.id, line_id2))
result = cr.fetchone()[0] or 0.0
cr.execute('update account_move_line set '+mode2+'=%s where id=%s', (result, line_id))
return True
#
# Validate a balanced move. If it is a centralised journal, create a move.
#
def validate(self, cr, uid, ids, context=None):
if context and ('__last_update' in context):
del context['__last_update']
valid_moves = [] #Maintains a list of moves which can be responsible to create analytic entries
obj_analytic_line = self.pool.get('account.analytic.line')
obj_move_line = self.pool.get('account.move.line')
for move in self.browse(cr, uid, ids, context):
# Unlink old analytic lines on move_lines
for obj_line in move.line_id:
for obj in obj_line.analytic_lines:
obj_analytic_line.unlink(cr,uid,obj.id)
journal = move.journal_id
amount = 0
line_ids = []
line_draft_ids = []
company_id = None
for line in move.line_id:
amount += line.debit - line.credit
line_ids.append(line.id)
if line.state=='draft':
line_draft_ids.append(line.id)
if not company_id:
company_id = line.account_id.company_id.id
if not company_id == line.account_id.company_id.id:
raise osv.except_osv(_('Error'), _("Couldn't create move between different companies"))
if line.account_id.currency_id and line.currency_id:
if line.account_id.currency_id.id != line.currency_id.id and (line.account_id.currency_id.id != line.account_id.company_id.currency_id.id):
raise osv.except_osv(_('Error'), _("""Couldn't create move with currency different from the secondary currency of the account "%s - %s". Clear the secondary currency field of the account definition if you want to accept all currencies.""") % (line.account_id.code, line.account_id.name))
if abs(amount) < 10 ** -4:
# If the move is balanced
# Add to the list of valid moves
# (analytic lines will be created later for valid moves)
valid_moves.append(move)
# Check whether the move lines are confirmed
if not line_draft_ids:
continue
# Update the move lines (set them as valid)
obj_move_line.write(cr, uid, line_draft_ids, {
'journal_id': move.journal_id.id,
'period_id': move.period_id.id,
'state': 'valid'
}, context, check=False)
account = {}
account2 = {}
if journal.type in ('purchase','sale'):
for line in move.line_id:
code = amount = 0
key = (line.account_id.id, line.tax_code_id.id)
if key in account2:
code = account2[key][0]
amount = account2[key][1] * (line.debit + line.credit)
elif line.account_id.id in account:
code = account[line.account_id.id][0]
amount = account[line.account_id.id][1] * (line.debit + line.credit)
if (code or amount) and not (line.tax_code_id or line.tax_amount):
obj_move_line.write(cr, uid, [line.id], {
'tax_code_id': code,
'tax_amount': amount
}, context, check=False)
elif journal.centralisation:
# If the move is not balanced, it must be centralised...
# Add to the list of valid moves
# (analytic lines will be created later for valid moves)
valid_moves.append(move)
#
# Update the move lines (set them as valid)
#
self._centralise(cr, uid, move, 'debit', context=context)
self._centralise(cr, uid, move, 'credit', context=context)
obj_move_line.write(cr, uid, line_draft_ids, {
'state': 'valid'
}, context, check=False)
else:
# We can't validate it (it's unbalanced)
# Setting the lines as draft
obj_move_line.write(cr, uid, line_ids, {
'journal_id': move.journal_id.id,
'period_id': move.period_id.id,
'state': 'draft'
}, context, check=False)
# Create analytic lines for the valid moves
for record in valid_moves:
obj_move_line.create_analytic_lines(cr, uid, [line.id for line in record.line_id], context)
valid_moves = [move.id for move in valid_moves]
return len(valid_moves) > 0 and valid_moves or False
account_move()
class account_move_reconcile(osv.osv):
_name = "account.move.reconcile"
_description = "Account Reconciliation"
_columns = {
'name': fields.char('Name', size=64, required=True),
'type': fields.char('Type', size=16, required=True),
'line_id': fields.one2many('account.move.line', 'reconcile_id', 'Entry Lines'),
'line_partial_ids': fields.one2many('account.move.line', 'reconcile_partial_id', 'Partial Entry lines'),
'create_date': fields.date('Creation date', readonly=True),
}
_defaults = {
'name': lambda self,cr,uid,ctx={}: self.pool.get('ir.sequence').get(cr, uid, 'account.reconcile') or '/',
}
def reconcile_partial_check(self, cr, uid, ids, type='auto', context=None):
total = 0.0
for rec in self.browse(cr, uid, ids, context=context):
for line in rec.line_partial_ids:
total += (line.debit or 0.0) - (line.credit or 0.0)
if not total:
self.pool.get('account.move.line').write(cr, uid,
map(lambda x: x.id, rec.line_partial_ids),
{'reconcile_id': rec.id }
)
return True
def name_get(self, cr, uid, ids, context=None):
if not ids:
return []
result = []
for r in self.browse(cr, uid, ids, context=context):
total = reduce(lambda y,t: (t.debit or 0.0) - (t.credit or 0.0) + y, r.line_partial_ids, 0.0)
if total:
name = '%s (%.2f)' % (r.name, total)
result.append((r.id,name))
else:
result.append((r.id,r.name))
return result
account_move_reconcile()
#----------------------------------------------------------
# Tax
#----------------------------------------------------------
"""
a documenter
child_depend: la taxe depend des taxes filles
"""
class account_tax_code(osv.osv):
"""
A code for the tax object.
This code is used for some tax declarations.
"""
def _sum(self, cr, uid, ids, name, args, context, where ='', where_params=()):
parent_ids = tuple(self.search(cr, uid, [('parent_id', 'child_of', ids)]))
if context.get('based_on', 'invoices') == 'payments':
cr.execute('SELECT line.tax_code_id, sum(line.tax_amount) \
FROM account_move_line AS line, \
account_move AS move \
LEFT JOIN account_invoice invoice ON \
(invoice.move_id = move.id) \
WHERE line.tax_code_id IN %s '+where+' \
AND move.id = line.move_id \
AND ((invoice.state = \'paid\') \
OR (invoice.id IS NULL)) \
GROUP BY line.tax_code_id',
(parent_ids,) + where_params)
else:
cr.execute('SELECT line.tax_code_id, sum(line.tax_amount) \
FROM account_move_line AS line, \
account_move AS move \
WHERE line.tax_code_id IN %s '+where+' \
AND move.id = line.move_id \
GROUP BY line.tax_code_id',
(parent_ids,) + where_params)
res=dict(cr.fetchall())
obj_precision = self.pool.get('decimal.precision')
for record in self.browse(cr, uid, ids, context=context):
def _rec_get(record):
amount = res.get(record.id, 0.0)
for rec in record.child_ids:
amount += _rec_get(rec) * rec.sign
return amount
res[record.id] = round(_rec_get(record), obj_precision.precision_get(cr, uid, 'Account'))
return res
def _sum_year(self, cr, uid, ids, name, args, context=None):
if context is None:
context = {}
move_state = ('posted', )
if context.get('state', 'all') == 'all':
move_state = ('draft', 'posted', )
if context.get('fiscalyear_id', False):
fiscalyear_id = context['fiscalyear_id']
else:
fiscalyear_id = self.pool.get('account.fiscalyear').find(cr, uid, exception=False)
where = ''
where_params = ()
if fiscalyear_id:
pids = map(lambda x: str(x.id), self.pool.get('account.fiscalyear').browse(cr, uid, fiscalyear_id).period_ids)
if pids:
where = ' AND line.period_id IN %s AND move.state IN %s '
where_params = (tuple(pids), move_state)
return self._sum(cr, uid, ids, name, args, context,
where=where, where_params=where_params)
def _sum_period(self, cr, uid, ids, name, args, context):
if context is None:
context = {}
move_state = ('posted', )
if context.get('state', False) == 'all':
move_state = ('draft', 'posted', )
if context.get('period_id', False):
period_id = context['period_id']
else:
period_id = self.pool.get('account.period').find(cr, uid)
if not period_id:
return dict.fromkeys(ids, 0.0)
period_id = period_id[0]
return self._sum(cr, uid, ids, name, args, context,
where=' AND line.period_id=%s AND move.state IN %s', where_params=(period_id, move_state))
_name = 'account.tax.code'
_description = 'Tax Code'
_rec_name = 'code'
_columns = {
'name': fields.char('Tax Case Name', size=64, required=True, translate=True),
'code': fields.char('Case Code', size=64),
'info': fields.text('Description'),
'sum': fields.function(_sum_year, method=True, string="Year Sum"),
'sum_period': fields.function(_sum_period, method=True, string="Period Sum"),
'parent_id': fields.many2one('account.tax.code', 'Parent Code', select=True),
'child_ids': fields.one2many('account.tax.code', 'parent_id', 'Child Codes'),
'line_ids': fields.one2many('account.move.line', 'tax_code_id', 'Lines'),
'company_id': fields.many2one('res.company', 'Company', required=True),
'sign': fields.float('Coefficent for parent', required=True, help='You can specify here the coefficient that will be used when consolidating the amount of this case into its parent. For example, set 1/-1 if you want to add/substract it.'),
'notprintable':fields.boolean("Not Printable in Invoice", help="Check this box if you don't want any VAT related to this Tax Code to appear on invoices"),
}
def name_search(self, cr, user, name, args=None, operator='ilike', context=None, limit=80):
if not args:
args = []
if context is None:
context = {}
ids = self.search(cr, user, ['|',('name',operator,name),('code',operator,name)] + args, limit=limit, context=context)
return self.name_get(cr, user, ids, context)
def name_get(self, cr, uid, ids, context=None):
if isinstance(ids, (int, long)):
ids = [ids]
if not ids:
return []
if isinstance(ids, (int, long)):
ids = [ids]
reads = self.read(cr, uid, ids, ['name','code'], context, load='_classic_write')
return [(x['id'], (x['code'] and (x['code'] + ' - ') or '') + x['name']) \
for x in reads]
def _default_company(self, cr, uid, context=None):
user = self.pool.get('res.users').browse(cr, uid, uid, context=context)
if user.company_id:
return user.company_id.id
return self.pool.get('res.company').search(cr, uid, [('parent_id', '=', False)])[0]
_defaults = {
'company_id': _default_company,
'sign': 1.0,
'notprintable': False,
}
def copy(self, cr, uid, id, default=None, context=None):
if default is None:
default = {}
default = default.copy()
default.update({'line_ids': []})
return super(account_tax_code, self).copy(cr, uid, id, default, context)
_check_recursion = check_cycle
_constraints = [
(_check_recursion, 'Error ! You can not create recursive accounts.', ['parent_id'])
]
_order = 'code'
account_tax_code()
class account_tax(osv.osv):
"""
A tax object.
Type: percent, fixed, none, code
PERCENT: tax = price * amount
FIXED: tax = price + amount
NONE: no tax line
CODE: execute python code. localcontext = {'price_unit':pu, 'address':address_object}
return result in the context
Ex: result=round(price_unit*0.21,4)
"""
def get_precision_tax():
def change_digit_tax(cr):
res = pooler.get_pool(cr.dbname).get('decimal.precision').precision_get(cr, 1, 'Account')
return (16, res+2)
return change_digit_tax
_name = 'account.tax'
_description = 'Tax'
_columns = {
'name': fields.char('Tax Name', size=64, required=True, translate=True, help="This name will be displayed on reports"),
'sequence': fields.integer('Sequence', required=True, help="The sequence field is used to order the tax lines from the lowest sequences to the higher ones. The order is important if you have a tax with several tax children. In this case, the evaluation order is important."),
'amount': fields.float('Amount', required=True, digits_compute=get_precision_tax(), help="For taxes of type percentage, enter % ratio between 0-1."),
'active': fields.boolean('Active', help="If the active field is set to False, it will allow you to hide the tax without removing it."),
'type': fields.selection( [('percent','Percentage'), ('fixed','Fixed Amount'), ('none','None'), ('code','Python Code'), ('balance','Balance')], 'Tax Type', required=True,
help="The computation method for the tax amount."),
'applicable_type': fields.selection( [('true','Always'), ('code','Given by Python Code')], 'Applicability', required=True,
help="If not applicable (computed through a Python code), the tax won't appear on the invoice."),
'domain':fields.char('Domain', size=32, help="This field is only used if you develop your own module allowing developers to create specific taxes in a custom domain."),
'account_collected_id':fields.many2one('account.account', 'Invoice Tax Account'),
'account_paid_id':fields.many2one('account.account', 'Refund Tax Account'),
'parent_id':fields.many2one('account.tax', 'Parent Tax Account', select=True),
'child_ids':fields.one2many('account.tax', 'parent_id', 'Child Tax Accounts'),
'child_depend':fields.boolean('Tax on Children', help="Set if the tax computation is based on the computation of child taxes rather than on the total amount."),
'python_compute':fields.text('Python Code'),
'python_compute_inv':fields.text('Python Code (reverse)'),
'python_applicable':fields.text('Python Code'),
#
# Fields used for the VAT declaration
#
'base_code_id': fields.many2one('account.tax.code', 'Account Base Code', help="Use this code for the VAT declaration."),
'tax_code_id': fields.many2one('account.tax.code', 'Account Tax Code', help="Use this code for the VAT declaration."),
'base_sign': fields.float('Base Code Sign', help="Usually 1 or -1."),
'tax_sign': fields.float('Tax Code Sign', help="Usually 1 or -1."),
# Same fields for refund invoices
'ref_base_code_id': fields.many2one('account.tax.code', 'Refund Base Code', help="Use this code for the VAT declaration."),
'ref_tax_code_id': fields.many2one('account.tax.code', 'Refund Tax Code', help="Use this code for the VAT declaration."),
'ref_base_sign': fields.float('Base Code Sign', help="Usually 1 or -1."),
'ref_tax_sign': fields.float('Tax Code Sign', help="Usually 1 or -1."),
'include_base_amount': fields.boolean('Included in base amount', help="Indicates if the amount of tax must be included in the base amount for the computation of the next taxes"),
'company_id': fields.many2one('res.company', 'Company', required=True),
'description': fields.char('Tax Code',size=32),
'price_include': fields.boolean('Tax Included in Price', help="Check this if the price you use on the product and invoices includes this tax."),
'type_tax_use': fields.selection([('sale','Sale'),('purchase','Purchase'),('all','All')], 'Tax Application', required=True)
}
def name_search(self, cr, user, name, args=None, operator='ilike', context=None, limit=80):
"""
Returns a list of tupples containing id, name, as internally it is called {def name_get}
result format: {[(id, name), (id, name), ...]}
@param cr: A database cursor
@param user: ID of the user currently logged in
@param name: name to search
@param args: other arguments
@param operator: default operator is 'ilike', it can be changed
@param context: context arguments, like lang, time zone
@param limit: Returns first 'n' ids of complete result, default is 80.
@return: Returns a list of tupples containing id and name
"""
if not args:
args = []
if context is None:
context = {}
ids = []
if name:
ids = self.search(cr, user, [('description', '=', name)] + args, limit=limit, context=context)
if not ids:
ids = self.search(cr, user, [('name', operator, name)] + args, limit=limit, context=context)
else:
ids = self.search(cr, user, args, limit=limit, context=context or {})
return self.name_get(cr, user, ids, context=context)
def write(self, cr, uid, ids, vals, context=None):
if vals.get('type', False) and vals['type'] in ('none', 'code'):
vals.update({'amount': 0.0})
return super(account_tax, self).write(cr, uid, ids, vals, context=context)
def search(self, cr, uid, args, offset=0, limit=None, order=None, context=None, count=False):
journal_pool = self.pool.get('account.journal')
if context and context.has_key('type'):
if context.get('type') in ('out_invoice','out_refund'):
args += [('type_tax_use','in',['sale','all'])]
elif context.get('type') in ('in_invoice','in_refund'):
args += [('type_tax_use','in',['purchase','all'])]
if context and context.has_key('journal_id'):
journal = journal_pool.browse(cr, uid, context.get('journal_id'))
if journal.type in ('sale', 'purchase'):
args += [('type_tax_use','in',[journal.type,'all'])]
return super(account_tax, self).search(cr, uid, args, offset, limit, order, context, count)
def name_get(self, cr, uid, ids, context=None):
if not ids:
return []
res = []
for record in self.read(cr, uid, ids, ['description','name'], context=context):
name = record['description'] and record['description'] or record['name']
res.append((record['id'],name ))
return res
def _default_company(self, cr, uid, context=None):
user = self.pool.get('res.users').browse(cr, uid, uid, context=context)
if user.company_id:
return user.company_id.id
return self.pool.get('res.company').search(cr, uid, [('parent_id', '=', False)])[0]
_defaults = {
'python_compute': '''# price_unit\n# address: res.partner.address object or False\n# product: product.product object or None\n# partner: res.partner object or None\n\nresult = price_unit * 0.10''',
'python_compute_inv': '''# price_unit\n# address: res.partner.address object or False\n# product: product.product object or False\n\nresult = price_unit * 0.10''',
'applicable_type': 'true',
'type': 'percent',
'amount': 0,
'price_include': 0,
'active': 1,
'type_tax_use': 'all',
'sequence': 1,
'ref_tax_sign': 1,
'ref_base_sign': 1,
'tax_sign': 1,
'base_sign': 1,
'include_base_amount': False,
'company_id': _default_company,
}
_order = 'sequence'
def _applicable(self, cr, uid, taxes, price_unit, address_id=None, product=None, partner=None):
res = []
obj_partener_address = self.pool.get('res.partner.address')
for tax in taxes:
if tax.applicable_type=='code':
localdict = {'price_unit':price_unit, 'address':obj_partener_address.browse(cr, uid, address_id), 'product':product, 'partner':partner}
exec tax.python_applicable in localdict
if localdict.get('result', False):
res.append(tax)
else:
res.append(tax)
return res
def _unit_compute(self, cr, uid, taxes, price_unit, address_id=None, product=None, partner=None, quantity=0):
taxes = self._applicable(cr, uid, taxes, price_unit, address_id, product, partner)
res = []
cur_price_unit=price_unit
obj_partener_address = self.pool.get('res.partner.address')
for tax in taxes:
# we compute the amount for the current tax object and append it to the result
data = {'id':tax.id,
'name':tax.description and tax.description + " - " + tax.name or tax.name,
'account_collected_id':tax.account_collected_id.id,
'account_paid_id':tax.account_paid_id.id,
'base_code_id': tax.base_code_id.id,
'ref_base_code_id': tax.ref_base_code_id.id,
'sequence': tax.sequence,
'base_sign': tax.base_sign,
'tax_sign': tax.tax_sign,
'ref_base_sign': tax.ref_base_sign,
'ref_tax_sign': tax.ref_tax_sign,
'price_unit': cur_price_unit,
'tax_code_id': tax.tax_code_id.id,
'ref_tax_code_id': tax.ref_tax_code_id.id,
}
res.append(data)
if tax.type=='percent':
amount = cur_price_unit * tax.amount
data['amount'] = amount
elif tax.type=='fixed':
data['amount'] = tax.amount
data['tax_amount']=quantity
# data['amount'] = quantity
elif tax.type=='code':
address = address_id and obj_partener_address.browse(cr, uid, address_id) or None
localdict = {'price_unit':cur_price_unit, 'address':address, 'product':product, 'partner':partner}
exec tax.python_compute in localdict
amount = localdict['result']
data['amount'] = amount
elif tax.type=='balance':
data['amount'] = cur_price_unit - reduce(lambda x,y: y.get('amount',0.0)+x, res, 0.0)
data['balance'] = cur_price_unit
amount2 = data.get('amount', 0.0)
if tax.child_ids:
if tax.child_depend:
latest = res.pop()
amount = amount2
child_tax = self._unit_compute(cr, uid, tax.child_ids, amount, address_id, product, partner, quantity)
res.extend(child_tax)
if tax.child_depend:
for r in res:
for name in ('base','ref_base'):
if latest[name+'_code_id'] and latest[name+'_sign'] and not r[name+'_code_id']:
r[name+'_code_id'] = latest[name+'_code_id']
r[name+'_sign'] = latest[name+'_sign']
r['price_unit'] = latest['price_unit']
latest[name+'_code_id'] = False
for name in ('tax','ref_tax'):
if latest[name+'_code_id'] and latest[name+'_sign'] and not r[name+'_code_id']:
r[name+'_code_id'] = latest[name+'_code_id']
r[name+'_sign'] = latest[name+'_sign']
r['amount'] = data['amount']
latest[name+'_code_id'] = False
if tax.include_base_amount:
cur_price_unit+=amount2
return res
def compute_all(self, cr, uid, taxes, price_unit, quantity, address_id=None, product=None, partner=None):
"""
RETURN: {
'total': 0.0, # Total without taxes
'total_included: 0.0, # Total with taxes
'taxes': [] # List of taxes, see compute for the format
}
"""
precision = self.pool.get('decimal.precision').precision_get(cr, uid, 'Account')
totalin = totalex = round(price_unit * quantity, precision)
tin = []
tex = []
for tax in taxes:
if tax.price_include:
tin.append(tax)
else:
tex.append(tax)
tin = self.compute_inv(cr, uid, tin, price_unit, quantity, address_id=address_id, product=product, partner=partner)
for r in tin:
totalex -= r.get('amount', 0.0)
totlex_qty = 0.0
try:
totlex_qty=totalex/quantity
except:
pass
tex = self._compute(cr, uid, tex, totlex_qty, quantity, address_id=address_id, product=product, partner=partner)
for r in tex:
totalin += r.get('amount', 0.0)
return {
'total': totalex,
'total_included': totalin,
'taxes': tin + tex
}
def compute(self, cr, uid, taxes, price_unit, quantity, address_id=None, product=None, partner=None):
logger = netsvc.Logger()
logger.notifyChannel("warning", netsvc.LOG_WARNING,
"Deprecated, use compute_all(...)['taxes'] instead of compute(...) to manage prices with tax included")
return self._compute(cr, uid, taxes, price_unit, quantity, address_id, product, partner)
def _compute(self, cr, uid, taxes, price_unit, quantity, address_id=None, product=None, partner=None):
"""
Compute tax values for given PRICE_UNIT, QUANTITY and a buyer/seller ADDRESS_ID.
RETURN:
[ tax ]
tax = {'name':'', 'amount':0.0, 'account_collected_id':1, 'account_paid_id':2}
one tax for each tax id in IDS and their children
"""
res = self._unit_compute(cr, uid, taxes, price_unit, address_id, product, partner, quantity)
total = 0.0
precision_pool = self.pool.get('decimal.precision')
for r in res:
if r.get('balance',False):
r['amount'] = round(r.get('balance', 0.0) * quantity, precision_pool.precision_get(cr, uid, 'Account')) - total
else:
r['amount'] = round(r.get('amount', 0.0) * quantity, precision_pool.precision_get(cr, uid, 'Account'))
total += r['amount']
return res
def _unit_compute_inv(self, cr, uid, taxes, price_unit, address_id=None, product=None, partner=None):
taxes = self._applicable(cr, uid, taxes, price_unit, address_id, product, partner)
obj_partener_address = self.pool.get('res.partner.address')
res = []
taxes.reverse()
cur_price_unit = price_unit
tax_parent_tot = 0.0
for tax in taxes:
if (tax.type=='percent') and not tax.include_base_amount:
tax_parent_tot += tax.amount
for tax in taxes:
if (tax.type=='fixed') and not tax.include_base_amount:
cur_price_unit -= tax.amount
for tax in taxes:
if tax.type=='percent':
if tax.include_base_amount:
amount = cur_price_unit - (cur_price_unit / (1 + tax.amount))
else:
amount = (cur_price_unit / (1 + tax_parent_tot)) * tax.amount
elif tax.type=='fixed':
amount = tax.amount
elif tax.type=='code':
address = address_id and obj_partener_address.browse(cr, uid, address_id) or None
localdict = {'price_unit':cur_price_unit, 'address':address, 'product':product, 'partner':partner}
exec tax.python_compute_inv in localdict
amount = localdict['result']
elif tax.type=='balance':
amount = cur_price_unit - reduce(lambda x,y: y.get('amount',0.0)+x, res, 0.0)
if tax.include_base_amount:
cur_price_unit -= amount
todo = 0
else:
todo = 1
res.append({
'id': tax.id,
'todo': todo,
'name': tax.name,
'amount': amount,
'account_collected_id': tax.account_collected_id.id,
'account_paid_id': tax.account_paid_id.id,
'base_code_id': tax.base_code_id.id,
'ref_base_code_id': tax.ref_base_code_id.id,
'sequence': tax.sequence,
'base_sign': tax.base_sign,
'tax_sign': tax.tax_sign,
'ref_base_sign': tax.ref_base_sign,
'ref_tax_sign': tax.ref_tax_sign,
'price_unit': cur_price_unit,
'tax_code_id': tax.tax_code_id.id,
'ref_tax_code_id': tax.ref_tax_code_id.id,
})
if tax.child_ids:
if tax.child_depend:
del res[-1]
amount = price_unit
parent_tax = self._unit_compute_inv(cr, uid, tax.child_ids, amount, address_id, product, partner)
res.extend(parent_tax)
total = 0.0
for r in res:
if r['todo']:
total += r['amount']
for r in res:
r['price_unit'] -= total
r['todo'] = 0
return res
def compute_inv(self, cr, uid, taxes, price_unit, quantity, address_id=None, product=None, partner=None):
"""
Compute tax values for given PRICE_UNIT, QUANTITY and a buyer/seller ADDRESS_ID.
Price Unit is a VAT included price
RETURN:
[ tax ]
tax = {'name':'', 'amount':0.0, 'account_collected_id':1, 'account_paid_id':2}
one tax for each tax id in IDS and their children
"""
res = self._unit_compute_inv(cr, uid, taxes, price_unit, address_id, product, partner=None)
total = 0.0
obj_precision = self.pool.get('decimal.precision')
for r in res:
prec = obj_precision.precision_get(cr, uid, 'Account')
if r.get('balance',False):
r['amount'] = round(r['balance'] * quantity, prec) - total
else:
r['amount'] = round(r['amount'] * quantity, prec)
total += r['amount']
return res
account_tax()
# ---------------------------------------------------------
# Account Entries Models
# ---------------------------------------------------------
class account_model(osv.osv):
_name = "account.model"
_description = "Account Model"
_columns = {
'name': fields.char('Model Name', size=64, required=True, help="This is a model for recurring accounting entries"),
'journal_id': fields.many2one('account.journal', 'Journal', required=True),
'company_id': fields.related('journal_id', 'company_id', type='many2one', relation='res.company', string='Company', store=True, readonly=True),
'lines_id': fields.one2many('account.model.line', 'model_id', 'Model Entries'),
'legend': fields.text('Legend', readonly=True, size=100),
}
_defaults = {
'legend': lambda self, cr, uid, context:_('You can specify year, month and date in the name of the model using the following labels:\n\n%(year)s: To Specify Year \n%(month)s: To Specify Month \n%(date)s: Current Date\n\ne.g. My model on %(date)s'),
}
def generate(self, cr, uid, ids, datas={}, context=None):
move_ids = []
entry = {}
account_move_obj = self.pool.get('account.move')
account_move_line_obj = self.pool.get('account.move.line')
pt_obj = self.pool.get('account.payment.term')
if context is None:
context = {}
if datas.get('date', False):
context.update({'date': datas['date']})
period_id = self.pool.get('account.period').find(cr, uid, dt=context.get('date', False))
if not period_id:
raise osv.except_osv(_('No period found !'), _('Unable to find a valid period !'))
period_id = period_id[0]
for model in self.browse(cr, uid, ids, context=context):
entry['name'] = model.name%{'year':time.strftime('%Y'), 'month':time.strftime('%m'), 'date':time.strftime('%Y-%m')}
move_id = account_move_obj.create(cr, uid, {
'ref': entry['name'],
'period_id': period_id,
'journal_id': model.journal_id.id,
'date': context.get('date',time.strftime('%Y-%m-%d'))
})
move_ids.append(move_id)
for line in model.lines_id:
analytic_account_id = False
if line.analytic_account_id:
if not model.journal_id.analytic_journal_id:
raise osv.except_osv(_('No Analytic Journal !'),_("You have to define an analytic journal on the '%s' journal!") % (model.journal_id.name,))
analytic_account_id = line.analytic_account_id.id
val = {
'move_id': move_id,
'journal_id': model.journal_id.id,
'period_id': period_id,
'analytic_account_id': analytic_account_id
}
date_maturity = time.strftime('%Y-%m-%d')
if line.date_maturity == 'partner':
if not line.partner_id:
raise osv.except_osv(_('Error !'), _("Maturity date of entry line generated by model line '%s' of model '%s' is based on partner payment term!" \
"\nPlease define partner on it!")%(line.name, model.name))
if line.partner_id.property_payment_term:
payment_term_id = line.partner_id.property_payment_term.id
pterm_list = pt_obj.compute(cr, uid, payment_term_id, value=1, date_ref=date_maturity)
if pterm_list:
pterm_list = [l[0] for l in pterm_list]
pterm_list.sort()
date_maturity = pterm_list[-1]
val.update({
'name': line.name,
'quantity': line.quantity,
'debit': line.debit,
'credit': line.credit,
'account_id': line.account_id.id,
'move_id': move_id,
'partner_id': line.partner_id.id,
'date': context.get('date',time.strftime('%Y-%m-%d')),
'date_maturity': date_maturity
})
c = context.copy()
c.update({'journal_id': model.journal_id.id,'period_id': period_id})
account_move_line_obj.create(cr, uid, val, context=c)
return move_ids
account_model()
class account_model_line(osv.osv):
_name = "account.model.line"
_description = "Account Model Entries"
_columns = {
'name': fields.char('Name', size=64, required=True),
'sequence': fields.integer('Sequence', required=True, help="The sequence field is used to order the resources from lower sequences to higher ones"),
'quantity': fields.float('Quantity', digits_compute=dp.get_precision('Account'), help="The optional quantity on entries"),
'debit': fields.float('Debit', digits_compute=dp.get_precision('Account')),
'credit': fields.float('Credit', digits_compute=dp.get_precision('Account')),
'account_id': fields.many2one('account.account', 'Account', required=True, ondelete="cascade"),
'analytic_account_id': fields.many2one('account.analytic.account', 'Analytic Account', ondelete="cascade"),
'model_id': fields.many2one('account.model', 'Model', required=True, ondelete="cascade", select=True),
'amount_currency': fields.float('Amount Currency', help="The amount expressed in an optional other currency."),
'currency_id': fields.many2one('res.currency', 'Currency'),
'partner_id': fields.many2one('res.partner', 'Partner'),
'date_maturity': fields.selection([('today','Date of the day'), ('partner','Partner Payment Term')], 'Maturity date', help="The maturity date of the generated entries for this model. You can choose between the creation date or the creation date of the entries plus the partner payment terms."),
}
_order = 'sequence'
_sql_constraints = [
('credit_debit1', 'CHECK (credit*debit=0)', 'Wrong credit or debit value in model (Credit Or Debit Must Be "0")!'),
('credit_debit2', 'CHECK (credit+debit>=0)', 'Wrong credit or debit value in model (Credit + Debit Must Be greater "0")!'),
]
account_model_line()
# ---------------------------------------------------------
# Account Subscription
# ---------------------------------------------------------
class account_subscription(osv.osv):
_name = "account.subscription"
_description = "Account Subscription"
_columns = {
'name': fields.char('Name', size=64, required=True),
'ref': fields.char('Reference', size=16),
'model_id': fields.many2one('account.model', 'Model', required=True),
'date_start': fields.date('Start Date', required=True),
'period_total': fields.integer('Number of Periods', required=True),
'period_nbr': fields.integer('Period', required=True),
'period_type': fields.selection([('day','days'),('month','month'),('year','year')], 'Period Type', required=True),
'state': fields.selection([('draft','Draft'),('running','Running'),('done','Done')], 'State', required=True, readonly=True),
'lines_id': fields.one2many('account.subscription.line', 'subscription_id', 'Subscription Lines')
}
_defaults = {
'date_start': lambda *a: time.strftime('%Y-%m-%d'),
'period_type': 'month',
'period_total': 12,
'period_nbr': 1,
'state': 'draft',
}
def state_draft(self, cr, uid, ids, context=None):
self.write(cr, uid, ids, {'state':'draft'})
return False
def check(self, cr, uid, ids, context=None):
todone = []
for sub in self.browse(cr, uid, ids, context=context):
ok = True
for line in sub.lines_id:
if not line.move_id.id:
ok = False
break
if ok:
todone.append(sub.id)
if todone:
self.write(cr, uid, todone, {'state':'done'})
return False
def remove_line(self, cr, uid, ids, context=None):
toremove = []
for sub in self.browse(cr, uid, ids, context=context):
for line in sub.lines_id:
if not line.move_id.id:
toremove.append(line.id)
if toremove:
self.pool.get('account.subscription.line').unlink(cr, uid, toremove)
self.write(cr, uid, ids, {'state':'draft'})
return False
def compute(self, cr, uid, ids, context=None):
for sub in self.browse(cr, uid, ids, context=context):
ds = sub.date_start
for i in range(sub.period_total):
self.pool.get('account.subscription.line').create(cr, uid, {
'date': ds,
'subscription_id': sub.id,
})
if sub.period_type=='day':
ds = (datetime.strptime(ds, '%Y-%m-%d') + relativedelta(days=sub.period_nbr)).strftime('%Y-%m-%d')
if sub.period_type=='month':
ds = (datetime.strptime(ds, '%Y-%m-%d') + relativedelta(months=sub.period_nbr)).strftime('%Y-%m-%d')
if sub.period_type=='year':
ds = (datetime.strptime(ds, '%Y-%m-%d') + relativedelta(years=sub.period_nbr)).strftime('%Y-%m-%d')
self.write(cr, uid, ids, {'state':'running'})
return True
account_subscription()
class account_subscription_line(osv.osv):
_name = "account.subscription.line"
_description = "Account Subscription Line"
_columns = {
'subscription_id': fields.many2one('account.subscription', 'Subscription', required=True, select=True),
'date': fields.date('Date', required=True),
'move_id': fields.many2one('account.move', 'Entry'),
}
def move_create(self, cr, uid, ids, context=None):
tocheck = {}
all_moves = []
obj_model = self.pool.get('account.model')
for line in self.browse(cr, uid, ids, context=context):
datas = {
'date': line.date,
}
move_ids = obj_model.generate(cr, uid, [line.subscription_id.model_id.id], datas, context)
tocheck[line.subscription_id.id] = True
self.write(cr, uid, [line.id], {'move_id':move_ids[0]})
all_moves.extend(move_ids)
if tocheck:
self.pool.get('account.subscription').check(cr, uid, tocheck.keys(), context)
return all_moves
_rec_name = 'date'
account_subscription_line()
# ---------------------------------------------------------------
# Account Templates: Account, Tax, Tax Code and chart. + Wizard
# ---------------------------------------------------------------
class account_tax_template(osv.osv):
_name = 'account.tax.template'
account_tax_template()
class account_account_template(osv.osv):
_order = "code"
_name = "account.account.template"
_description ='Templates for Accounts'
_columns = {
'name': fields.char('Name', size=128, required=True, select=True),
'currency_id': fields.many2one('res.currency', 'Secondary Currency', help="Forces all moves for this account to have this secondary currency."),
'code': fields.char('Code', size=64, select=1),
'type': fields.selection([
('receivable','Receivable'),
('payable','Payable'),
('view','View'),
('consolidation','Consolidation'),
('liquidity','Liquidity'),
('other','Regular'),
('closed','Closed'),
], 'Internal Type', required=True,help="This type is used to differentiate types with "\
"special effects in OpenERP: view can not have entries, consolidation are accounts that "\
"can have children accounts for multi-company consolidations, payable/receivable are for "\
"partners accounts (for debit/credit computations), closed for depreciated accounts."),
'user_type': fields.many2one('account.account.type', 'Account Type', required=True,
help="These types are defined according to your country. The type contains more information "\
"about the account and its specificities."),
'reconcile': fields.boolean('Allow Reconciliation', help="Check this option if you want the user to reconcile entries in this account."),
'shortcut': fields.char('Shortcut', size=12),
'note': fields.text('Note'),
'parent_id': fields.many2one('account.account.template', 'Parent Account Template', ondelete='cascade'),
'child_parent_ids':fields.one2many('account.account.template', 'parent_id', 'Children'),
'tax_ids': fields.many2many('account.tax.template', 'account_account_template_tax_rel', 'account_id', 'tax_id', 'Default Taxes'),
'nocreate': fields.boolean('Optional create', help="If checked, the new chart of accounts will not contain this by default."),
}
_defaults = {
'reconcile': False,
'type': 'view',
'nocreate': False,
}
_check_recursion = check_cycle
_constraints = [
(_check_recursion, 'Error ! You can not create recursive account templates.', ['parent_id'])
]
def name_get(self, cr, uid, ids, context=None):
if not ids:
return []
reads = self.read(cr, uid, ids, ['name','code'], context=context)
res = []
for record in reads:
name = record['name']
if record['code']:
name = record['code']+' '+name
res.append((record['id'],name ))
return res
account_account_template()
class account_add_tmpl_wizard(osv.osv_memory):
"""Add one more account from the template.
With the 'nocreate' option, some accounts may not be created. Use this to add them later."""
_name = 'account.addtmpl.wizard'
def _get_def_cparent(self, cr, uid, context=None):
acc_obj=self.pool.get('account.account')
tmpl_obj=self.pool.get('account.account.template')
tids=tmpl_obj.read(cr, uid, [context['tmpl_ids']], ['parent_id'])
if not tids or not tids[0]['parent_id']:
return False
ptids = tmpl_obj.read(cr, uid, [tids[0]['parent_id'][0]], ['code'])
res = None
if not ptids or not ptids[0]['code']:
raise osv.except_osv(_('Error !'), _('Cannot locate parent code for template account!'))
res = acc_obj.search(cr, uid, [('code','=',ptids[0]['code'])])
return res and res[0] or False
_columns = {
'cparent_id':fields.many2one('account.account', 'Parent target', help="Creates an account with the selected template under this existing parent.", required=True),
}
_defaults = {
'cparent_id': _get_def_cparent,
}
def action_create(self,cr,uid,ids,context=None):
if context is None:
context = {}
acc_obj = self.pool.get('account.account')
tmpl_obj = self.pool.get('account.account.template')
data = self.read(cr, uid, ids)
company_id = acc_obj.read(cr, uid, [data[0]['cparent_id']], ['company_id'])[0]['company_id'][0]
account_template = tmpl_obj.browse(cr, uid, context['tmpl_ids'])
vals = {
'name': account_template.name,
'currency_id': account_template.currency_id and account_template.currency_id.id or False,
'code': account_template.code,
'type': account_template.type,
'user_type': account_template.user_type and account_template.user_type.id or False,
'reconcile': account_template.reconcile,
'shortcut': account_template.shortcut,
'note': account_template.note,
'parent_id': data[0]['cparent_id'],
'company_id': company_id,
}
acc_obj.create(cr, uid, vals)
return {'type':'state', 'state': 'end' }
def action_cancel(self, cr, uid, ids, context=None):
return { 'type': 'state', 'state': 'end' }
account_add_tmpl_wizard()
class account_tax_code_template(osv.osv):
_name = 'account.tax.code.template'
_description = 'Tax Code Template'
_order = 'code'
_rec_name = 'code'
_columns = {
'name': fields.char('Tax Case Name', size=64, required=True),
'code': fields.char('Case Code', size=64),
'info': fields.text('Description'),
'parent_id': fields.many2one('account.tax.code.template', 'Parent Code', select=True),
'child_ids': fields.one2many('account.tax.code.template', 'parent_id', 'Child Codes'),
'sign': fields.float('Sign For Parent', required=True),
'notprintable':fields.boolean("Not Printable in Invoice", help="Check this box if you don't want any VAT related to this Tax Code to appear on invoices"),
}
_defaults = {
'sign': 1.0,
'notprintable': False,
}
def name_get(self, cr, uid, ids, context=None):
if not ids:
return []
if isinstance(ids, (int, long)):
ids = [ids]
reads = self.read(cr, uid, ids, ['name','code'], context, load='_classic_write')
return [(x['id'], (x['code'] and x['code'] + ' - ' or '') + x['name']) \
for x in reads]
_check_recursion = check_cycle
_constraints = [
(_check_recursion, 'Error ! You can not create recursive Tax Codes.', ['parent_id'])
]
_order = 'code,name'
account_tax_code_template()
class account_chart_template(osv.osv):
_name="account.chart.template"
_description= "Templates for Account Chart"
_columns={
'name': fields.char('Name', size=64, required=True),
'account_root_id': fields.many2one('account.account.template','Root Account',required=True,domain=[('parent_id','=',False)]),
'tax_code_root_id': fields.many2one('account.tax.code.template','Root Tax Code',required=True,domain=[('parent_id','=',False)]),
'tax_template_ids': fields.one2many('account.tax.template', 'chart_template_id', 'Tax Template List', help='List of all the taxes that have to be installed by the wizard'),
'bank_account_view_id': fields.many2one('account.account.template','Bank Account',required=True),
'property_account_receivable': fields.many2one('account.account.template','Receivable Account'),
'property_account_payable': fields.many2one('account.account.template','Payable Account'),
'property_account_expense_categ': fields.many2one('account.account.template','Expense Category Account'),
'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 Profit/Loss Account', domain=[('type', '=', 'payable')], help='This Account is used for transferring Profit/Loss(If It is Profit: Amount will be added, Loss: Amount will be deducted.), Which is calculated from Profilt & Loss Report'),
}
account_chart_template()
class account_tax_template(osv.osv):
_name = 'account.tax.template'
_description = 'Templates for Taxes'
_columns = {
'chart_template_id': fields.many2one('account.chart.template', 'Chart Template', required=True),
'name': fields.char('Tax Name', size=64, required=True),
'sequence': fields.integer('Sequence', required=True, help="The sequence field is used to order the taxes lines from lower sequences to higher ones. The order is important if you have a tax that has several tax children. In this case, the evaluation order is important."),
'amount': fields.float('Amount', required=True, digits=(14,4), help="For Tax Type percent enter % ratio between 0-1."),
'type': fields.selection( [('percent','Percent'), ('fixed','Fixed'), ('none','None'), ('code','Python Code')], 'Tax Type', required=True),
'applicable_type': fields.selection( [('true','True'), ('code','Python Code')], 'Applicable Type', required=True, help="If not applicable (computed through a Python code), the tax won't appear on the invoice."),
'domain':fields.char('Domain', size=32, help="This field is only used if you develop your own module allowing developers to create specific taxes in a custom domain."),
'account_collected_id':fields.many2one('account.account.template', 'Invoice Tax Account'),
'account_paid_id':fields.many2one('account.account.template', 'Refund Tax Account'),
'parent_id':fields.many2one('account.tax.template', 'Parent Tax Account', select=True),
'child_depend':fields.boolean('Tax on Children', help="Set if the tax computation is based on the computation of child taxes rather than on the total amount."),
'python_compute':fields.text('Python Code'),
'python_compute_inv':fields.text('Python Code (reverse)'),
'python_applicable':fields.text('Python Code'),
#
# Fields used for the VAT declaration
#
'base_code_id': fields.many2one('account.tax.code.template', 'Base Code', help="Use this code for the VAT declaration."),
'tax_code_id': fields.many2one('account.tax.code.template', 'Tax Code', help="Use this code for the VAT declaration."),
'base_sign': fields.float('Base Code Sign', help="Usually 1 or -1."),
'tax_sign': fields.float('Tax Code Sign', help="Usually 1 or -1."),
# Same fields for refund invoices
'ref_base_code_id': fields.many2one('account.tax.code.template', 'Refund Base Code', help="Use this code for the VAT declaration."),
'ref_tax_code_id': fields.many2one('account.tax.code.template', 'Refund Tax Code', help="Use this code for the VAT declaration."),
'ref_base_sign': fields.float('Base Code Sign', help="Usually 1 or -1."),
'ref_tax_sign': fields.float('Tax Code Sign', help="Usually 1 or -1."),
'include_base_amount': fields.boolean('Include in Base Amount', help="Set if the amount of tax must be included in the base amount before computing the next taxes."),
'description': fields.char('Internal Name', size=32),
'type_tax_use': fields.selection([('sale','Sale'),('purchase','Purchase'),('all','All')], 'Tax Use In', required=True,),
'price_include': fields.boolean('Tax Included in Price', help="Check this if the price you use on the product and invoices includes this tax."),
}
def name_get(self, cr, uid, ids, context=None):
if not ids:
return []
res = []
for record in self.read(cr, uid, ids, ['description','name'], context=context):
name = record['description'] and record['description'] or record['name']
res.append((record['id'],name ))
return res
def _default_company(self, cr, uid, context=None):
user = self.pool.get('res.users').browse(cr, uid, uid, context=context)
if user.company_id:
return user.company_id.id
return self.pool.get('res.company').search(cr, uid, [('parent_id', '=', False)])[0]
_defaults = {
'python_compute': lambda *a: '''# price_unit\n# address: res.partner.address object or False\n# product: product.product object or None\n# partner: res.partner object or None\n\nresult = price_unit * 0.10''',
'python_compute_inv': lambda *a: '''# price_unit\n# address: res.partner.address object or False\n# product: product.product object or False\n\nresult = price_unit * 0.10''',
'applicable_type': 'true',
'type': 'percent',
'amount': 0,
'sequence': 1,
'ref_tax_sign': 1,
'ref_base_sign': 1,
'tax_sign': 1,
'base_sign': 1,
'include_base_amount': False,
'type_tax_use': 'all',
'price_include': 0,
}
_order = 'sequence'
account_tax_template()
# Fiscal Position Templates
class account_fiscal_position_template(osv.osv):
_name = 'account.fiscal.position.template'
_description = 'Template for Fiscal Position'
_columns = {
'name': fields.char('Fiscal Position Template', size=64, required=True),
'chart_template_id': fields.many2one('account.chart.template', 'Chart Template', required=True),
'account_ids': fields.one2many('account.fiscal.position.account.template', 'position_id', 'Account Mapping'),
'tax_ids': fields.one2many('account.fiscal.position.tax.template', 'position_id', 'Tax Mapping')
}
account_fiscal_position_template()
class account_fiscal_position_tax_template(osv.osv):
_name = 'account.fiscal.position.tax.template'
_description = 'Template Tax Fiscal Position'
_rec_name = 'position_id'
_columns = {
'position_id': fields.many2one('account.fiscal.position.template', 'Fiscal Position', required=True, ondelete='cascade'),
'tax_src_id': fields.many2one('account.tax.template', 'Tax Source', required=True),
'tax_dest_id': fields.many2one('account.tax.template', 'Replacement Tax')
}
account_fiscal_position_tax_template()
class account_fiscal_position_account_template(osv.osv):
_name = 'account.fiscal.position.account.template'
_description = 'Template Account Fiscal Mapping'
_rec_name = 'position_id'
_columns = {
'position_id': fields.many2one('account.fiscal.position.template', 'Fiscal Mapping', required=True, ondelete='cascade'),
'account_src_id': fields.many2one('account.account.template', 'Account Source', domain=[('type','<>','view')], required=True),
'account_dest_id': fields.many2one('account.account.template', 'Account Destination', domain=[('type','<>','view')], required=True)
}
account_fiscal_position_account_template()
# Multi charts of Accounts wizard
class wizard_multi_charts_accounts(osv.osv_memory):
"""
Create a new account chart for a company.
Wizards ask for:
* a company
* an account chart template
* a number of digits for formatting code of non-view accounts
* a list of bank accounts owned by the company
Then, the wizard:
* generates all accounts from the template and assigns them to the right company
* generates all taxes and tax codes, changing account assignations
* generates all accounting properties and assigns them correctly
"""
_name='wizard.multi.charts.accounts'
_inherit = 'res.config'
_columns = {
'company_id':fields.many2one('res.company', 'Company', required=True),
'chart_template_id': fields.many2one('account.chart.template', 'Chart Template', required=True),
'bank_accounts_id': fields.one2many('account.bank.accounts.wizard', 'bank_account_id', 'Bank Accounts', required=True),
'code_digits':fields.integer('# of Digits', required=True, help="No. of Digits to use for account code"),
'seq_journal':fields.boolean('Separated Journal Sequences', help="Check this box if you want to use a different sequence for each created journal. Otherwise, all will use the same sequence."),
"sale_tax": fields.many2one("account.tax.template", "Default Sale Tax"),
"purchase_tax": fields.many2one("account.tax.template", "Default Purchase Tax"),
}
def onchange_chart_template_id(self, cr, uid, ids, chart_template_id=False, context=None):
res = {}
res['value'] = {}
res['value']["sale_tax"] = False
res['value']["purchase_tax"] = False
if chart_template_id:
sale_tax_ids = self.pool.get('account.tax.template').search(cr, uid, [("chart_template_id"
, "=", chart_template_id), ('type_tax_use', 'in', ('sale','all'))], order="sequence")
purchase_tax_ids = self.pool.get('account.tax.template').search(cr, uid, [("chart_template_id"
, "=", chart_template_id), ('type_tax_use', 'in', ('purchase','all'))], order="sequence")
res['value']["sale_tax"] = sale_tax_ids and sale_tax_ids[0] or False
res['value']["purchase_tax"] = purchase_tax_ids and purchase_tax_ids[0] or False
return res
def _get_chart(self, cr, uid, context=None):
ids = self.pool.get('account.chart.template').search(cr, uid, [], context=context)
if ids:
return ids[0]
return False
def _get_default_accounts(self, cr, uid, context=None):
accounts = [{'acc_name':'Current','account_type':'bank'},
{'acc_name':'Deposit','account_type':'bank'},
{'acc_name':'Cash','account_type':'cash'}]
return accounts
_defaults = {
'company_id': lambda self, cr, uid, c: self.pool.get('res.users').browse(cr, uid, [uid], c)[0].company_id.id,
'chart_template_id': _get_chart,
'bank_accounts_id': _get_default_accounts,
'code_digits': 6,
'seq_journal': True
}
def fields_view_get(self, cr, uid, view_id=None, view_type='form', context=None, toolbar=False, submenu=False):
res = super(wizard_multi_charts_accounts, self).fields_view_get(cr, uid, view_id=view_id, view_type=view_type, context=context, toolbar=toolbar,submenu=False)
configured_cmp = []
unconfigured_cmp = []
cmp_select = []
company_ids = self.pool.get('res.company').search(cr, uid, [], context=context)
#display in the widget selection of companies, only the companies that haven't been configured yet (but don't care about the demo chart of accounts)
cr.execute("SELECT company_id FROM account_account WHERE active = 't' AND account_account.parent_id IS NULL AND name != %s", ("Chart For Automated Tests",))
configured_cmp = [r[0] for r in cr.fetchall()]
unconfigured_cmp = list(set(company_ids)-set(configured_cmp))
for field in res['fields']:
if field == 'company_id':
res['fields'][field]['domain'] = unconfigured_cmp
res['fields'][field]['selection'] = [('', '')]
if unconfigured_cmp:
cmp_select = [(line.id, line.name) for line in self.pool.get('res.company').browse(cr, uid, unconfigured_cmp)]
res['fields'][field]['selection'] = cmp_select
return res
def execute(self, cr, uid, ids, context=None):
obj_multi = self.browse(cr, uid, ids[0])
obj_acc = self.pool.get('account.account')
obj_acc_tax = self.pool.get('account.tax')
obj_journal = self.pool.get('account.journal')
obj_sequence = self.pool.get('ir.sequence')
obj_acc_template = self.pool.get('account.account.template')
obj_fiscal_position_template = self.pool.get('account.fiscal.position.template')
obj_fiscal_position = self.pool.get('account.fiscal.position')
obj_data = self.pool.get('ir.model.data')
analytic_journal_obj = self.pool.get('account.analytic.journal')
obj_tax_code = self.pool.get('account.tax.code')
# Creating Account
obj_acc_root = obj_multi.chart_template_id.account_root_id
tax_code_root_id = obj_multi.chart_template_id.tax_code_root_id.id
company_id = obj_multi.company_id.id
#new code
acc_template_ref = {}
tax_template_ref = {}
tax_code_template_ref = {}
todo_dict = {}
#create all the tax code
children_tax_code_template = self.pool.get('account.tax.code.template').search(cr, uid, [('parent_id','child_of',[tax_code_root_id])], order='id')
children_tax_code_template.sort()
for tax_code_template in self.pool.get('account.tax.code.template').browse(cr, uid, children_tax_code_template, context=context):
vals={
'name': (tax_code_root_id == tax_code_template.id) and obj_multi.company_id.name or tax_code_template.name,
'code': tax_code_template.code,
'info': tax_code_template.info,
'parent_id': tax_code_template.parent_id and ((tax_code_template.parent_id.id in tax_code_template_ref) and tax_code_template_ref[tax_code_template.parent_id.id]) or False,
'company_id': company_id,
'sign': tax_code_template.sign,
}
new_tax_code = obj_tax_code.create(cr, uid, vals)
#recording the new tax code to do the mapping
tax_code_template_ref[tax_code_template.id] = new_tax_code
#create all the tax
tax_template_to_tax = {}
for tax in obj_multi.chart_template_id.tax_template_ids:
#create it
vals_tax = {
'name':tax.name,
'sequence': tax.sequence,
'amount':tax.amount,
'type':tax.type,
'applicable_type': tax.applicable_type,
'domain':tax.domain,
'parent_id': tax.parent_id and ((tax.parent_id.id in tax_template_ref) and tax_template_ref[tax.parent_id.id]) or False,
'child_depend': tax.child_depend,
'python_compute': tax.python_compute,
'python_compute_inv': tax.python_compute_inv,
'python_applicable': tax.python_applicable,
'base_code_id': tax.base_code_id and ((tax.base_code_id.id in tax_code_template_ref) and tax_code_template_ref[tax.base_code_id.id]) or False,
'tax_code_id': tax.tax_code_id and ((tax.tax_code_id.id in tax_code_template_ref) and tax_code_template_ref[tax.tax_code_id.id]) or False,
'base_sign': tax.base_sign,
'tax_sign': tax.tax_sign,
'ref_base_code_id': tax.ref_base_code_id and ((tax.ref_base_code_id.id in tax_code_template_ref) and tax_code_template_ref[tax.ref_base_code_id.id]) or False,
'ref_tax_code_id': tax.ref_tax_code_id and ((tax.ref_tax_code_id.id in tax_code_template_ref) and tax_code_template_ref[tax.ref_tax_code_id.id]) or False,
'ref_base_sign': tax.ref_base_sign,
'ref_tax_sign': tax.ref_tax_sign,
'include_base_amount': tax.include_base_amount,
'description':tax.description,
'company_id': company_id,
'type_tax_use': tax.type_tax_use,
'price_include': tax.price_include
}
new_tax = obj_acc_tax.create(cr, uid, vals_tax)
tax_template_to_tax[tax.id] = new_tax
#as the accounts have not been created yet, we have to wait before filling these fields
todo_dict[new_tax] = {
'account_collected_id': tax.account_collected_id and tax.account_collected_id.id or False,
'account_paid_id': tax.account_paid_id and tax.account_paid_id.id or False,
}
tax_template_ref[tax.id] = new_tax
#deactivate the parent_store functionnality on account_account for rapidity purpose
ctx = context and context.copy() or {}
ctx['defer_parent_store_computation'] = True
children_acc_template = obj_acc_template.search(cr, uid, [('parent_id','child_of',[obj_acc_root.id]),('nocreate','!=',True)])
children_acc_template.sort()
for account_template in obj_acc_template.browse(cr, uid, children_acc_template,context=context):
tax_ids = []
for tax in account_template.tax_ids:
tax_ids.append(tax_template_ref[tax.id])
#create the account_account
dig = obj_multi.code_digits
code_main = account_template.code and len(account_template.code) or 0
code_acc = account_template.code or ''
if code_main>0 and code_main<=dig and account_template.type != 'view':
code_acc=str(code_acc) + (str('0'*(dig-code_main)))
vals={
'name': (obj_acc_root.id == account_template.id) and obj_multi.company_id.name or account_template.name,
'currency_id': account_template.currency_id and account_template.currency_id.id or False,
'code': code_acc,
'type': account_template.type,
'user_type': account_template.user_type and account_template.user_type.id or False,
'reconcile': account_template.reconcile,
'shortcut': account_template.shortcut,
'note': account_template.note,
'parent_id': account_template.parent_id and ((account_template.parent_id.id in acc_template_ref) and acc_template_ref[account_template.parent_id.id]) or False,
'tax_ids': [(6,0,tax_ids)],
'company_id': company_id,
}
new_account = obj_acc.create(cr, uid, vals, context=ctx)
acc_template_ref[account_template.id] = new_account
#reactivate the parent_store functionnality on account_account
self.pool.get('account.account')._parent_store_compute(cr)
for key,value in todo_dict.items():
if value['account_collected_id'] or value['account_paid_id']:
obj_acc_tax.write(cr, uid, [key], {
'account_collected_id': acc_template_ref.get(value['account_collected_id'], False),
'account_paid_id': acc_template_ref.get(value['account_paid_id'], False),
})
# Creating Journals Sales and Purchase
vals_journal={}
data_id = obj_data.search(cr, uid, [('model','=','account.journal.view'), ('name','=','account_sp_journal_view')])
data = obj_data.browse(cr, uid, data_id[0], context=context)
view_id = data.res_id
seq_id = obj_sequence.search(cr, uid, [('name','=','Account Journal')])[0]
if obj_multi.seq_journal:
seq_id_sale = obj_sequence.search(cr, uid, [('name','=','Sale Journal')])[0]
seq_id_purchase = obj_sequence.search(cr, uid, [('name','=','Purchase Journal')])[0]
seq_id_sale_refund = obj_sequence.search(cr, uid, [('name','=','Sales Refund Journal')])
if seq_id_sale_refund:
seq_id_sale_refund = seq_id_sale_refund[0]
seq_id_purchase_refund = obj_sequence.search(cr, uid, [('name','=','Purchase Refund Journal')])
if seq_id_purchase_refund:
seq_id_purchase_refund = seq_id_purchase_refund[0]
else:
seq_id_sale = seq_id
seq_id_purchase = seq_id
seq_id_sale_refund = seq_id
seq_id_purchase_refund = seq_id
vals_journal['view_id'] = view_id
#Sales Journal
analitical_sale_ids = analytic_journal_obj.search(cr,uid,[('type','=','sale')])
analitical_journal_sale = analitical_sale_ids and analitical_sale_ids[0] or False
vals_journal['name'] = _('Sales Journal')
vals_journal['type'] = 'sale'
vals_journal['code'] = _('SAJ')
vals_journal['sequence_id'] = seq_id_sale
vals_journal['company_id'] = company_id
vals_journal['analytic_journal_id'] = analitical_journal_sale
if obj_multi.chart_template_id.property_account_receivable:
vals_journal['default_credit_account_id'] = acc_template_ref[obj_multi.chart_template_id.property_account_income_categ.id]
vals_journal['default_debit_account_id'] = acc_template_ref[obj_multi.chart_template_id.property_account_income_categ.id]
obj_journal.create(cr,uid,vals_journal)
# Purchase Journal
analitical_purchase_ids = analytic_journal_obj.search(cr,uid,[('type','=','purchase')])
analitical_journal_purchase = analitical_purchase_ids and analitical_purchase_ids[0] or False
vals_journal['name'] = _('Purchase Journal')
vals_journal['type'] = 'purchase'
vals_journal['code'] = _('EXJ')
vals_journal['sequence_id'] = seq_id_purchase
vals_journal['view_id'] = view_id
vals_journal['company_id'] = company_id
vals_journal['analytic_journal_id'] = analitical_journal_purchase
if obj_multi.chart_template_id.property_account_payable:
vals_journal['default_credit_account_id'] = acc_template_ref[obj_multi.chart_template_id.property_account_expense_categ.id]
vals_journal['default_debit_account_id'] = acc_template_ref[obj_multi.chart_template_id.property_account_expense_categ.id]
obj_journal.create(cr,uid,vals_journal)
# Creating Journals Sales Refund and Purchase Refund
vals_journal = {}
data_id = obj_data.search(cr, uid, [('model', '=', 'account.journal.view'), ('name', '=', 'account_sp_refund_journal_view')], context=context)
data = obj_data.browse(cr, uid, data_id[0], context=context)
view_id = data.res_id
#Sales Refund Journal
vals_journal = {
'view_id': view_id,
'name': _('Sales Refund Journal'),
'type': 'sale_refund',
'refund_journal': True,
'code': _('SCNJ'),
'sequence_id': seq_id_sale_refund,
'analytic_journal_id': analitical_journal_sale,
'company_id': company_id
}
if obj_multi.chart_template_id.property_account_receivable:
vals_journal['default_credit_account_id'] = acc_template_ref[obj_multi.chart_template_id.property_account_income_categ.id]
vals_journal['default_debit_account_id'] = acc_template_ref[obj_multi.chart_template_id.property_account_income_categ.id]
# if obj_multi.property_account_receivable:
# vals_journal.update({
# 'default_credit_account_id': acc_template_ref[obj_multi.chart_template_id.property_account_income_categ.id],
# 'default_debit_account_id': acc_template_ref[obj_multi.chart_template_id.property_account_income_categ.id]
# })
obj_journal.create(cr, uid, vals_journal, context=context)
# Purchase Refund Journal
vals_journal = {
'view_id': view_id,
'name': _('Purchase Refund Journal'),
'type': 'purchase_refund',
'refund_journal': True,
'code': _('ECNJ'),
'sequence_id': seq_id_purchase_refund,
'analytic_journal_id': analitical_journal_purchase,
'company_id': company_id
}
if obj_multi.chart_template_id.property_account_payable:
vals_journal['default_credit_account_id'] = acc_template_ref[obj_multi.chart_template_id.property_account_expense_categ.id]
vals_journal['default_debit_account_id'] = acc_template_ref[obj_multi.chart_template_id.property_account_expense_categ.id]
# if obj_multi.property_account_payable:
# vals_journal.update({
# 'default_credit_account_id': acc_template_ref[obj_multi.property_account_expense_categ.id],
# 'default_debit_account_id': acc_template_ref[obj_multi.property_account_expense_categ.id]
# })
obj_journal.create(cr, uid, vals_journal, context=context)
# Bank Journals
data_id = obj_data.search(cr, uid, [('model','=','account.journal.view'), ('name','=','account_journal_bank_view')])
data = obj_data.browse(cr, uid, data_id[0], context=context)
view_id_cash = data.res_id
data_id = obj_data.search(cr, uid, [('model','=','account.journal.view'), ('name','=','account_journal_bank_view_multi')])
data = obj_data.browse(cr, uid, data_id[0], context=context)
view_id_cur = data.res_id
ref_acc_bank = obj_multi.chart_template_id.bank_account_view_id
current_num = 1
for line in obj_multi.bank_accounts_id:
#create the account_account for this bank journal
tmp = line.acc_name
dig = obj_multi.code_digits
if ref_acc_bank.code:
try:
new_code = str(int(ref_acc_bank.code.ljust(dig,'0')) + current_num)
except:
new_code = str(ref_acc_bank.code.ljust(dig-len(str(current_num)),'0')) + str(current_num)
vals = {
'name': tmp,
'currency_id': line.currency_id and line.currency_id.id or False,
'code': new_code,
'type': 'liquidity',
'user_type': account_template.user_type and account_template.user_type.id or False,
'reconcile': True,
'parent_id': acc_template_ref[ref_acc_bank.id] or False,
'company_id': company_id,
}
acc_cash_id = obj_acc.create(cr,uid,vals)
if obj_multi.seq_journal:
vals_seq={
'name': _('Bank Journal ') + vals['name'],
'code': 'account.journal',
}
seq_id = obj_sequence.create(cr,uid,vals_seq)
#create the bank journal
analitical_bank_ids = analytic_journal_obj.search(cr,uid,[('type','=','situation')])
analitical_journal_bank = analitical_bank_ids and analitical_bank_ids[0] or False
vals_journal['name']= vals['name']
vals_journal['code']= _('BNK') + str(current_num)
vals_journal['sequence_id'] = seq_id
vals_journal['type'] = line.account_type == 'cash' and 'cash' or 'bank'
vals_journal['company_id'] = company_id
vals_journal['analytic_journal_id'] = analitical_journal_bank
if line.currency_id:
vals_journal['view_id'] = view_id_cur
vals_journal['currency'] = line.currency_id.id
else:
vals_journal['view_id'] = view_id_cash
vals_journal['default_credit_account_id'] = acc_cash_id
vals_journal['default_debit_account_id'] = acc_cash_id
obj_journal.create(cr, uid, vals_journal)
current_num += 1
#create the properties
property_obj = self.pool.get('ir.property')
fields_obj = self.pool.get('ir.model.fields')
todo_list = [
('property_account_receivable','res.partner','account.account'),
('property_account_payable','res.partner','account.account'),
('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_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)])
account = getattr(obj_multi.chart_template_id, record[0])
field = fields_obj.search(cr, uid, [('name','=',record[0]),('model','=',record[1]),('relation','=',record[2])])
vals = {
'name': record[0],
'company_id': company_id,
'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)
else:
#create the property
property_obj.create(cr, uid, vals)
fp_ids = obj_fiscal_position_template.search(cr, uid, [('chart_template_id', '=', obj_multi.chart_template_id.id)])
if fp_ids:
obj_tax_fp = self.pool.get('account.fiscal.position.tax')
obj_ac_fp = self.pool.get('account.fiscal.position.account')
for position in obj_fiscal_position_template.browse(cr, uid, fp_ids, context=context):
vals_fp = {
'company_id': company_id,
'name': position.name,
}
new_fp = obj_fiscal_position.create(cr, uid, vals_fp)
for tax in position.tax_ids:
vals_tax = {
'tax_src_id': tax_template_ref[tax.tax_src_id.id],
'tax_dest_id': tax.tax_dest_id and tax_template_ref[tax.tax_dest_id.id] or False,
'position_id': new_fp,
}
obj_tax_fp.create(cr, uid, vals_tax)
for acc in position.account_ids:
vals_acc = {
'account_src_id': acc_template_ref[acc.account_src_id.id],
'account_dest_id': acc_template_ref[acc.account_dest_id.id],
'position_id': new_fp,
}
obj_ac_fp.create(cr, uid, vals_acc)
ir_values = self.pool.get('ir.values')
if obj_multi.sale_tax:
ir_values.set(cr, uid, key='default', key2=False, name="taxes_id", company=obj_multi.company_id.id,
models =[('product.product',False)], value=[tax_template_to_tax[obj_multi.sale_tax.id]])
if obj_multi.purchase_tax:
ir_values.set(cr, uid, key='default', key2=False, name="supplier_taxes_id", company=obj_multi.company_id.id,
models =[('product.product',False)], value=[tax_template_to_tax[obj_multi.purchase_tax.id]])
wizard_multi_charts_accounts()
class account_bank_accounts_wizard(osv.osv_memory):
_name = 'account.bank.accounts.wizard'
_columns = {
'acc_name': fields.char('Account Name.', size=64, required=True),
'bank_account_id': fields.many2one('wizard.multi.charts.accounts', 'Bank Account', required=True),
'currency_id': fields.many2one('res.currency', 'Currency'),
'account_type': fields.selection([('cash','Cash'),('check','Check'),('bank','Bank')], 'Type', size=32),
}
_defaults = {
'currency_id': lambda self,cr,uid,c: self.pool.get('res.users').browse(cr, uid, uid, c).company_id.currency_id.id,
}
account_bank_accounts_wizard()
# vim:expandtab:smartindent:tabstop=4:softtabstop=4:shiftwidth=4: