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[IMP] mis_builder: unit tests for AccountingExpressionProcessor

pull/189/head
Stéphane Bidoul 8 years ago
parent
commit
6b22cfe568
  1. 2
      mis_builder/models/aep.py
  2. 1
      mis_builder/tests/__init__.py
  3. 155
      mis_builder/tests/test_aep.py

2
mis_builder/models/aep.py

@ -266,6 +266,7 @@ class AccountingExpressionProcessor(object):
for account_code in account_codes:
account_ids = self._account_ids_by_code[account_code]
for account_id in account_ids:
# TODO FIXME: improve perf with sets
if account_ids_filter and \
account_id not in account_ids_filter:
continue
@ -314,6 +315,7 @@ class AccountingExpressionProcessor(object):
account_ids_data = self._data[key]
for account_code in account_codes:
account_ids = self._account_ids_by_code[account_code]
# TODO FIXME: improve perf with sets
for account_id in account_ids:
if account_id in account_ids_data:
res.add(account_id)

1
mis_builder/tests/__init__.py

@ -3,6 +3,7 @@
# License AGPL-3.0 or later (https://www.gnu.org/licenses/agpl.html).
from . import test_accounting_none
from . import test_aep
from . import test_aggregate
from . import test_mis_builder
from . import test_simple_array

155
mis_builder/tests/test_aep.py

@ -0,0 +1,155 @@
# -*- coding: utf-8 -*-
# © 2014-2015 ACSONE SA/NV (<http://acsone.eu>)
# License AGPL-3.0 or later (https://www.gnu.org/licenses/agpl.html).
import datetime
from openerp import fields
import openerp.tests.common as common
from openerp.tools.safe_eval import safe_eval
from ..models.aep import AccountingExpressionProcessor as AEP
from ..models.accounting_none import AccountingNone
class TestAEP(common.TransactionCase):
def setUp(self):
super(TestAEP, self).setUp()
self.account_model = self.env['account.account']
self.move_model = self.env['account.move']
self.journal_model = self.env['account.journal']
self.curr_year = datetime.date.today().year
self.prev_year = self.curr_year - 1
# create receivable bs account
type_ar = self.browse_ref('account.data_account_type_receivable')
self.account_ar = self.account_model.create({
'code': '400AR',
'name': 'Receivable',
'user_type_id': type_ar.id,
'reconcile': True})
# create income pl account
type_in = self.browse_ref('account.data_account_type_revenue')
self.account_in = self.account_model.create({
'code': '700IN',
'name': 'Income',
'user_type_id': type_in.id})
# create journal
self.journal = self.journal_model.create({
'name': 'Sale journal',
'code': 'VEN',
'type': 'sale'})
# create the AEP, and prepare the expressions we'll need
self.aep = AEP(self.env)
self.aep.parse_expr("bali[]")
self.aep.parse_expr("bale[]")
self.aep.parse_expr("balp[]")
self.aep.parse_expr("balu[]")
self.aep.done_parsing(self.env.user.company_id)
def _create_move(self, date, amount, debit_acc, credit_acc):
move = self.move_model.create({
'journal_id': self.journal.id,
'date': fields.Date.to_string(date),
'line_ids': [(0, 0, {
'name': '/',
'debit': amount,
'account_id': debit_acc.id,
}), (0, 0, {
'name': '/',
'credit': amount,
'account_id': credit_acc.id,
})
]})
move.post()
return move
def _do_queries(self, date_from, date_to):
self.aep.do_queries(
date_from=fields.Date.to_string(date_from),
date_to=fields.Date.to_string(date_to),
target_move='posted',
company=self.env.user.company_id
)
def _eval(self, expr, acc=None):
eval_dict = {'AccountingNone': AccountingNone}
if acc:
return safe_eval(
self.aep.replace_expr(expr, account_ids_filter=[acc.id]),
eval_dict)
else:
return safe_eval(
self.aep.replace_expr(expr),
eval_dict)
def test_sanity_check(self):
self.assertEquals(self.env.user.company_id.fiscalyear_last_day, 31)
self.assertEquals(self.env.user.company_id.fiscalyear_last_month, 12)
def test_aep_1(self):
# create move in december last year
self._create_move(
date=datetime.date(self.prev_year, 12, 1),
amount=100,
debit_acc=self.account_ar,
credit_acc=self.account_in)
# create move in january this year
self._create_move(
date=datetime.date(self.curr_year, 1, 1),
amount=300,
debit_acc=self.account_ar,
credit_acc=self.account_in)
# create move in february this year
self._create_move(
date=datetime.date(self.curr_year, 3, 1),
amount=500,
debit_acc=self.account_ar,
credit_acc=self.account_in)
# let's query for december
self._do_queries(
datetime.date(self.prev_year, 12, 1),
datetime.date(self.prev_year, 12, 31))
# initial balance must be None
self.assertIs(self._eval('bali[]', self.account_in), AccountingNone)
self.assertIs(self._eval('bali[]', self.account_ar), AccountingNone)
# check variation
self.assertEquals(self._eval('balp[]', self.account_in), -100)
self.assertEquals(self._eval('balp[]', self.account_ar), 100)
# check ending balance
self.assertEquals(self._eval('bale[]', self.account_in), -100)
self.assertEquals(self._eval('bale[]', self.account_ar), 100)
# let's query for January
self._do_queries(
datetime.date(self.curr_year, 1, 1),
datetime.date(self.curr_year, 1, 31))
# initial balance is None for income account (it's not carried over)
self.assertIs(self._eval('bali[]', self.account_in), AccountingNone)
self.assertEquals(self._eval('bali[]', self.account_ar), 100)
# check variation
self.assertEquals(self._eval('balp[]', self.account_in), -300)
self.assertEquals(self._eval('balp[]', self.account_ar), 300)
# check ending balance
self.assertEquals(self._eval('bale[]', self.account_in), -300)
self.assertEquals(self._eval('bale[]', self.account_ar), 400)
# let's query for March
self._do_queries(
datetime.date(self.curr_year, 3, 1),
datetime.date(self.curr_year, 3, 31))
# initial balance is the ending balance fo January
self.assertEquals(self._eval('bali[]', self.account_in), -300)
self.assertEquals(self._eval('bali[]', self.account_ar), 400)
# check variation
self.assertEquals(self._eval('balp[]', self.account_in), -500)
self.assertEquals(self._eval('balp[]', self.account_ar), 500)
# check ending balance
self.assertEquals(self._eval('bale[]', self.account_in), -800)
self.assertEquals(self._eval('bale[]', self.account_ar), 900)
# unallocated p&l from previous year
self.assertEquals(self._eval('balu[]'), -100)
# TODO allocate profits, and then...
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