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Squashed 'account_standard_report/' content from commit 6ca1a80

git-subtree-dir: account_standard_report
git-subtree-split: 6ca1a8039d
pull/310/head^2
Florent de Labarre 7 years ago
commit
a784d0a4d1
  1. 88
      .gitignore
  2. 674
      LICENSE
  3. 53
      README.md
  4. 5
      __init__.py
  5. 22
      __manifest__.py
  6. 30
      data/data_account_standard_report.xml
  7. 18
      data/report_paperformat.xml
  8. 571
      i18n/account_standard_report.pot
  9. 591
      i18n/fr.po
  10. 11
      migrations/10.0.1.1/post-00-regenrate-shorted.py
  11. 3
      models/__init__.py
  12. 10
      models/account.py
  13. 3
      report/__init__.py
  14. 472
      report/report_account_standard_excel.py
  15. 353
      report/report_account_standard_report.xml
  16. BIN
      static/description/icon.png
  17. 137
      views/account_standard.xml
  18. 15
      views/account_view.xml
  19. 3
      wizard/__init__.py
  20. 973
      wizard/account_standard_report.py
  21. 70
      wizard/account_standard_report_view.xml

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# Byte-compiled / optimized / DLL files
__pycache__/
*.py[cod]
*$py.class
# C extensions
*.so
# Distribution / packaging
.Python
env/
build/
develop-eggs/
dist/
downloads/
eggs/
.eggs/
lib/
lib64/
parts/
sdist/
var/
*.egg-info/
.installed.cfg
*.egg
# PyInstaller
# Usually these files are written by a python script from a template
# before PyInstaller builds the exe, so as to inject date/other infos into it.
*.manifest
*.spec
# Installer logs
pip-log.txt
pip-delete-this-directory.txt
# Unit test / coverage reports
htmlcov/
.tox/
.coverage
.coverage.*
.cache
nosetests.xml
coverage.xml
*,cover
.hypothesis/
# Translations
*.mo
# Django stuff:
*.log
local_settings.py
# Flask stuff:
instance/
.webassets-cache
# Scrapy stuff:
.scrapy
# Sphinx documentation
docs/_build/
# PyBuilder
target/
# IPython Notebook
.ipynb_checkpoints
# pyenv
.python-version
# celery beat schedule file
celerybeat-schedule
# dotenv
.env
# virtualenv
venv/
ENV/
# Spyder project settings
.spyderproject
# Rope project settings
.ropeproject

674
LICENSE

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EVEN IF SUCH HOLDER OR OTHER PARTY HAS BEEN ADVISED OF THE POSSIBILITY OF
SUCH DAMAGES.
17. Interpretation of Sections 15 and 16.
If the disclaimer of warranty and limitation of liability provided
above cannot be given local legal effect according to their terms,
reviewing courts shall apply local law that most closely approximates
an absolute waiver of all civil liability in connection with the
Program, unless a warranty or assumption of liability accompanies a
copy of the Program in return for a fee.
END OF TERMS AND CONDITIONS
How to Apply These Terms to Your New Programs
If you develop a new program, and you want it to be of the greatest
possible use to the public, the best way to achieve this is to make it
free software which everyone can redistribute and change under these terms.
To do so, attach the following notices to the program. It is safest
to attach them to the start of each source file to most effectively
state the exclusion of warranty; and each file should have at least
the "copyright" line and a pointer to where the full notice is found.
{one line to give the program's name and a brief idea of what it does.}
Copyright (C) {year} {name of author}
This program is free software: you can redistribute it and/or modify
it under the terms of the GNU 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 General Public License for more details.
You should have received a copy of the GNU General Public License
along with this program. If not, see <http://www.gnu.org/licenses/>.
Also add information on how to contact you by electronic and paper mail.
If the program does terminal interaction, make it output a short
notice like this when it starts in an interactive mode:
{project} Copyright (C) {year} {fullname}
This program comes with ABSOLUTELY NO WARRANTY; for details type `show w'.
This is free software, and you are welcome to redistribute it
under certain conditions; type `show c' for details.
The hypothetical commands `show w' and `show c' should show the appropriate
parts of the General Public License. Of course, your program's commands
might be different; for a GUI interface, you would use an "about box".
You should also get your employer (if you work as a programmer) or school,
if any, to sign a "copyright disclaimer" for the program, if necessary.
For more information on this, and how to apply and follow the GNU GPL, see
<http://www.gnu.org/licenses/>.
The GNU General Public License does not permit incorporating your program
into proprietary programs. If your program is a subroutine library, you
may consider it more useful to permit linking proprietary applications with
the library. If this is what you want to do, use the GNU Lesser General
Public License instead of this License. But first, please read
<http://www.gnu.org/philosophy/why-not-lgpl.html>.

53
README.md

@ -0,0 +1,53 @@
Account Standard report
=======================
This module can generate a accounting report in Odoo Tree View, PDF and Excel, with the new implementation of the accounting from Odoo V9.
In this new implementation there are not openning entries, it is a continously accounting. And in some case in repport
the matching have no sense, because some moves are matched with the next year (or after the end date).
Features
========
Report
------
* Odoo Tree View
* Export in PDF
* Export Excel Files (xlsx), build to use pivot table
* General Ledger
* Partner Ledger
* Journal Ledger
* Open Ledger
* Aged balance
Initial balance
---------------
* Initial Balance with detail on unmatching moves from payable/receivable account
* With ou without reduced balance (credit or debit egual zero) on payable/receivable account
* Use the fiscal date of company to generate the initial balance
Matching Number
---------------
* Management of macthing after the end date. (replace by * if one move is dated after the end date)
* The partner ledger unreconciled don't change over time, because the unreconciled entries stay unreconciled even if there are reconcilied with an entrie after the end date.
Installation
============
Just install the module
Go to Accounting/Adviser/Chart of account : set the 'Thrid Parties' field on supplier and custommer accounts.
Usage
=====
* Go to Accounting/Report/Standard Report
* Choose your options
Known issues / Roadmap
======================
Bug Tracker
===========
Contributors
------------
* Florent de Labarre
Maintainer
----------

5
__init__.py

@ -0,0 +1,5 @@
# -*- coding: utf-8 -*-
from . import wizard
from . import report
from . import models

22
__manifest__.py

@ -0,0 +1,22 @@
# -*- coding: utf-8 -*-
{
'name': 'Standard Accounting Report',
'version': '10.0.1.1.0',
'category': 'Accounting & Finance',
'author': 'Florent de Labarre',
'summary': 'Standard Accounting Report',
'website': 'https://github.com/fmdl',
'depends': ['account', 'report_xlsx'],
'data': [
'data/report_paperformat.xml',
'data/data_account_standard_report.xml',
'report/report_account_standard_report.xml',
'views/account_view.xml',
'views/account_standard.xml',
'wizard/account_standard_report_view.xml',
],
'demo': [],
'installable': True,
'auto_install': False,
}

30
data/data_account_standard_report.xml

@ -0,0 +1,30 @@
<?xml version="1.0" encoding="utf-8"?>
<odoo>
<data>
<report
id="action_standard_report"
model="account.report.standard.ledger"
string="Standard Report"
report_type="qweb-pdf"
name="account_standard_report.report_account_standard_report"
file="account_standard_report.report_account_standard_report"/>
<record id="action_standard_report" model="ir.actions.report.xml">
<field name="print_report_name">(object.report_id.report_name + '.pdf')</field>
</record>
<record id="action_standard_report" model="ir.actions.report.xml">
<field name="paperformat_id" ref="account_standard_report.paperformat_account_standard"/>
</record>
<report
id="action_standard_excel"
model="account.report.standard.ledger"
string="Excel Report"
report_type="xlsx"
name="account_standard_report.report_account_standard_excel"
file="account_standard_report.report_account_standard_excel"/>
<record id="action_standard_excel" model="ir.actions.report.xml">
<field name="print_report_name">(object.report_id.report_name + '.xlsx')</field>
</record>
</data>
</odoo>

18
data/report_paperformat.xml

@ -0,0 +1,18 @@
<?xml version="1.0" encoding="utf-8"?>
<odoo>
<record id="paperformat_account_standard" model="report.paperformat">
<field name="name">A4 Landscape Account</field>
<field name="default" eval="True"/>
<field name="format">custom</field>
<field name="page_height">297</field>
<field name="page_width">210</field>
<field name="orientation">Landscape</field>
<field name="margin_top">12</field>
<field name="margin_bottom">15</field>
<field name="margin_left">5</field>
<field name="margin_right">5</field>
<field name="header_line" eval="False"/>
<field name="header_spacing">9</field>
<field name="dpi">110</field>
</record>
</odoo>

571
i18n/account_standard_report.pot

@ -0,0 +1,571 @@
# Translation of Odoo Server.
# This file contains the translation of the following modules:
# * account_standard_report
#
msgid ""
msgstr ""
"Project-Id-Version: Odoo Server 10.0+e\n"
"Report-Msgid-Bugs-To: \n"
"POT-Creation-Date: 2017-05-12 21:44+0000\n"
"PO-Revision-Date: 2017-05-12 21:44+0000\n"
"Last-Translator: <>\n"
"Language-Team: \n"
"MIME-Version: 1.0\n"
"Content-Type: text/plain; charset=UTF-8\n"
"Content-Transfer-Encoding: \n"
"Plural-Forms: \n"
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_detail_unreconcillied_in_init
msgid " * Check : Add the detail of entries un-reconcillied and with payable/receivable account in the report.\n"
" * Unckeck : no detail.\n"
""
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_rem_futur_reconciled
msgid " * Check : Reconciled Entries matched with futur is considered like unreconciled. Matching number in futur is replace by *.\n"
" * Uncheck : Reconciled Entries matched with futur is considered like reconciled. Carfull use if \"With Reconciled Entries\" is uncheck.\n"
""
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_summary
msgid " * Check : generate a summary report.\n"
" * Uncheck : detail report.\n"
""
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_init_balance_history
msgid " * Check this box if you need to report all the debit and the credit sum before the Start Date.\n"
" * Uncheck this box to report only the balance before the Start Date\n"
""
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_type_ledger
msgid " * General Ledger : Journal entries group by account\n"
" * Partner Leger : Journal entries group by partner, with only payable/recevable accounts\n"
" * Journal Ledger : Journal entries group by journal, without initial balance\n"
" * Open Ledger : Openning journal at Start date\n"
""
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/wizard/account_standard_report.py:603
#, python-format
msgid " Summary"
msgstr ""
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "<strong>Company:</strong>"
msgstr ""
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "<strong>End Date :</strong>"
msgstr ""
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "<strong>Start Date :</strong>"
msgstr ""
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "<strong>Target Moves:</strong>"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:103
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Account"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:106
#, python-format
msgid "Account Name"
msgstr ""
#. module: account_standard_report
#: model:ir.model,name:account_standard_report.model_account_report_standard_ledger
msgid "Account Standard Ledger"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_account_in_ex_clude
msgid "Accounts"
msgstr ""
#. module: account_standard_report
#: selection:account.report.standard.ledger,target_move:0
#: code:addons/account_standard_report/report/report_account_standard_excel.py:26
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "All Entries"
msgstr ""
#. module: account_standard_report
#: selection:account.report.standard.ledger,target_move:0
#: code:addons/account_standard_report/report/report_account_standard_excel.py:26
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "All Posted Entries"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_periode_date
msgid "Auto complete Start and End date."
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:127
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Balance"
msgstr ""
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "Code"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_company_id
msgid "Company"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:18
#, python-format
msgid "Company:"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_create_uid
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_create_uid
msgid "Created by"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_create_date
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_create_date
msgid "Created on"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:124
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Credit"
msgstr ""
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "Currency"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:97
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Date"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_date_from
msgid "Date from"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_date_to
msgid "Date to"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:121
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Debit"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_detail_unreconcillied_in_init
msgid "Detail of un-reconcillied payable/receivable entries in initiale balance."
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_display_name
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_display_name
#: model:ir.model.fields,field_description:account_standard_report.field_report_account_standard_report_report_account_standard_report_display_name
msgid "Display Name"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:118
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Due Date"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_date_to
msgid "End Date"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:23
#, python-format
msgid "End Date : %s "
msgstr ""
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.account_report_standard_view
msgid "Excel File"
msgstr ""
#. module: account_standard_report
#: model:ir.actions.report.xml,name:account_standard_report.action_standard_excel
msgid "Excel Report"
msgstr ""
#. module: account_standard_report
#: selection:account.report.standard.ledger,account_methode:0
msgid "Exclude"
msgstr ""
#. module: account_standard_report
#: selection:account.report.standard.ledger,type_ledger:0
#: code:addons/account_standard_report/wizard/account_standard_report.py:9
#, python-format
msgid "General Ledger"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_id
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_id
#: model:ir.model.fields,field_description:account_standard_report.field_report_account_standard_report_report_account_standard_report_id
msgid "ID"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_account_in_ex_clude
msgid "If empty, get all accounts"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_partner_ids
msgid "If empty, get all partners"
msgstr ""
#. module: account_standard_report
#: selection:account.report.standard.ledger,account_methode:0
msgid "Include"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_amount_currency
msgid "It adds the currency column on report if the currency differs from the company currency."
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:100
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "JRNL"
msgstr ""
#. module: account_standard_report
#: selection:account.report.standard.ledger,type_ledger:0
#: code:addons/account_standard_report/wizard/account_standard_report.py:19
#, python-format
msgid "Journal Ledger"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:109
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Journal entries"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_journal_ids
msgid "Journals"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger___last_update
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode___last_update
#: model:ir.model.fields,field_description:account_standard_report.field_report_account_standard_report_report_account_standard_report___last_update
msgid "Last Modified on"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_write_uid
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_write_uid
msgid "Last Updated by"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_write_date
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_write_date
msgid "Last Updated on"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:130
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Match."
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_account_methode
msgid "Methode"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_name
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "Name"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:28
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Only UnReconciled Entries"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_reconciled
msgid "Only for entrie with a payable/receivable account.\n"
" * Check this box to see un-reconcillied and reconciled entries with payable.\n"
" * Uncheck to see only un-reconcillied entries. Can be use only with parnter ledger.\n"
""
msgstr ""
#. module: account_standard_report
#: selection:account.report.standard.ledger,type_ledger:0
#: code:addons/account_standard_report/wizard/account_standard_report.py:24
#, python-format
msgid "Open Ledger"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:115
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Partner"
msgstr ""
#. module: account_standard_report
#: selection:account.report.standard.ledger,type_ledger:0
#: code:addons/account_standard_report/wizard/account_standard_report.py:14
#, python-format
msgid "Partner Ledger"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_result_selection
msgid "Partner's"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_partner_ids
msgid "Partners"
msgstr ""
#. module: account_standard_report
#: selection:account.report.standard.ledger,result_selection:0
msgid "Payable Accounts"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_init_balance_history
msgid "Payable/receivable initial balance with history."
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_date
msgid "Periode"
msgstr ""
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.account_report_standard_view
msgid "Print PDF"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:20
#, python-format
msgid "Print on %s"
msgstr ""
#. module: account_standard_report
#: selection:account.report.standard.ledger,result_selection:0
msgid "Receivable Accounts"
msgstr ""
#. module: account_standard_report
#: selection:account.report.standard.ledger,result_selection:0
msgid "Receivable and Payable Accounts"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:112
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Ref"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_report_name
msgid "Report Name"
msgstr ""
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.account_report_standard_view
msgid "Report Options"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_sum_group_by_bottom
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_sum_group_by_top
msgid "See the sum of element on top."
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_journal_ids
msgid "Select journal, for the Open Ledger you need to set all journals."
msgstr ""
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.account_report_standard_view
msgid "Standard Accounting Report"
msgstr ""
#. module: account_standard_report
#: model:ir.actions.act_window,name:account_standard_report.action_account_standard_report_menu
#: model:ir.actions.report.xml,name:account_standard_report.action_standard_report
#: model:ir.ui.menu,name:account_standard_report.menu_account_standard_report
msgid "Standard Report"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_date_from
msgid "Start Date"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:22
#, python-format
msgid "Start Date : %s "
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_sum_group_by_bottom
msgid "Sum on Bottom"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_sum_group_by_top
msgid "Sum on Top"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_summary
msgid "Summary"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_target_move
msgid "Target Moves"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:25
#, python-format
msgid "Target Moves:"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_with_init_balance
msgid "The initial balance is compute with the fiscal date of company.\n"
" * Check this box to generate the summary of initial balance.\n"
" * Uncheck to see all entries.\n"
""
msgstr ""
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "Total"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_type_ledger
msgid "Type"
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_date_from
msgid "Use to compute initial balance."
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_date_to
msgid "Use to compute the entrie matched with futur."
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_amount_currency
msgid "With Currency"
msgstr ""
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "With Initial Balance."
msgstr ""
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_with_init_balance
msgid "With Initial Report at Start Date"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:28
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_reconciled
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "With Reconciled Entries"
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:29
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_rem_futur_reconciled
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "With entries matched with other entries dated after End Date."
msgstr ""
#. module: account_standard_report
#: code:addons/account_standard_report/wizard/account_standard_report.py:604
#, python-format
msgid "_summary"
msgstr ""
#. module: account_standard_report
#: model:ir.model,name:account_standard_report.model_account_report_standard_ledger_periode
msgid "account.report.standard.ledger.periode"
msgstr ""
#. module: account_standard_report
#: model:ir.model,name:account_standard_report.model_report_account_standard_report_report_account_standard_report
msgid "report.account_standard_report.report_account_standard_report"
msgstr ""

591
i18n/fr.po

@ -0,0 +1,591 @@
# Translation of Odoo Server.
# This file contains the translation of the following modules:
# * account_standard_report
#
msgid ""
msgstr ""
"Project-Id-Version: Odoo Server 10.0+e\n"
"Report-Msgid-Bugs-To: \n"
"POT-Creation-Date: 2017-05-12 21:40+0000\n"
"PO-Revision-Date: 2017-05-12 23:46+0200\n"
"Last-Translator: <>\n"
"Language-Team: \n"
"MIME-Version: 1.0\n"
"Content-Type: text/plain; charset=UTF-8\n"
"Content-Transfer-Encoding: 8bit\n"
"Plural-Forms: \n"
"Language: fr\n"
"X-Generator: Poedit 2.0.1\n"
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_detail_unreconcillied_in_init
msgid ""
" * Check : Add the detail of entries un-reconcillied and with payable/receivable account in the report.\n"
" * Unckeck : no detail.\n"
msgstr ""
" * Coché : ajoute le détail des écritures non lettrées des comptes des tiers.\n"
" * Décoché : pas de détail.\n"
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_rem_futur_reconciled
msgid ""
" * Check : Reconciled Entries matched with futur is considered like unreconciled. Matching number in futur is replace by *.\n"
" * Uncheck : Reconciled Entries matched with futur is considered like reconciled. Carfull use if \"With Reconciled Entries\" is uncheck.\n"
msgstr ""
" * Coché : Les écritures lettrées avec une écriture datée après la période sont considérées comme non lettrées. Le lettre sera remplacé par *.\n"
" * Décoché : Les écritures lettrées avec une écriture datée après la période sont considérées comme lettrées. Attention si « Ecritures lettrées » .\n"
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_summary
msgid ""
" * Check : generate a summary report.\n"
" * Uncheck : detail report.\n"
msgstr ""
" * Coché : génère le résumé (ou balance)\n"
" * Décoché : édition détaillée\n"
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_init_balance_history
msgid ""
" * Check this box if you need to report all the debit and the credit sum before the Start Date.\n"
" * Uncheck this box to report only the balance before the Start Date\n"
msgstr ""
" * Coché : affiche le total des écritures avant le début de période dans le report initial.\n"
" * Décoché : affiche la balance des écritures avant le début de période dans le report initial.\n"
"\n"
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_type_ledger
msgid ""
" * General Ledger : Journal entries group by account\n"
" * Partner Leger : Journal entries group by partner, with only payable/recevable accounts\n"
" * Journal Ledger : Journal entries group by journal, without initial balance\n"
" * Open Ledger : Openning journal at Start date\n"
msgstr ""
" * Grand livre : Ecritures groupées par compte\n"
" * Livre des tiers : Ecritures groupées par tiers\n"
" * Journal : Ecritures groupées par journal\n"
" * Journal d’ouverture : Génère l’édition des à-nouveaux\n"
#. module: account_standard_report
#: code:addons/account_standard_report/wizard/account_standard_report.py:603
#, python-format
msgid " Summary"
msgstr " Balance"
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "<strong>Company:</strong>"
msgstr "<strong>Société :</strong>"
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "<strong>End Date :</strong>"
msgstr "<strong>Au :</strong>"
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "<strong>Start Date :</strong>"
msgstr "<strong>Période du :</strong>"
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "<strong>Target Moves:</strong>"
msgstr "<strong>Statut des écritures</strong>"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:103
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Account"
msgstr "Compte"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:106
#, python-format
msgid "Account Name"
msgstr "Description"
#. module: account_standard_report
#: model:ir.model,name:account_standard_report.model_account_report_standard_ledger
msgid "Account Standard Ledger"
msgstr "Edition standard comptable"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_account_in_ex_clude
msgid "Accounts"
msgstr "Comptes"
#. module: account_standard_report
#: selection:account.report.standard.ledger,target_move:0
#: code:addons/account_standard_report/report/report_account_standard_excel.py:26
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "All Entries"
msgstr "Toutes les écritures"
#. module: account_standard_report
#: selection:account.report.standard.ledger,target_move:0
#: code:addons/account_standard_report/report/report_account_standard_excel.py:26
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "All Posted Entries"
msgstr "Toutes les écritures validées"
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_periode_date
msgid "Auto complete Start and End date."
msgstr "Auto-complétion de la période."
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:127
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Balance"
msgstr "Balance"
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "Code"
msgstr "Code"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_company_id
msgid "Company"
msgstr "Société"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:18
#, python-format
msgid "Company:"
msgstr "Société:"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_create_uid
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_create_uid
msgid "Created by"
msgstr "Créé par"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_create_date
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_create_date
msgid "Created on"
msgstr "Créé le"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:124
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Credit"
msgstr "Crédit"
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "Currency"
msgstr "Devise"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:97
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Date"
msgstr "Date "
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_date_from
msgid "Date from"
msgstr "Période du"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_date_to
msgid "Date to"
msgstr "Au"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:121
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Debit"
msgstr "Débit"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_detail_unreconcillied_in_init
msgid "Detail of un-reconcillied payable/receivable entries in initiale balance."
msgstr "Détail des écritures non réconciliées des comptes tiers dans la balance initiale."
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_display_name
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_display_name
#: model:ir.model.fields,field_description:account_standard_report.field_report_account_standard_report_report_account_standard_report_display_name
msgid "Display Name"
msgstr "Nom affiché"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:118
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Due Date"
msgstr "Date d'échéance"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_date_to
msgid "End Date"
msgstr "Date de fin"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:23
#, python-format
msgid "End Date : %s "
msgstr "Au : %s "
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.account_report_standard_view
msgid "Excel File"
msgstr "Fichier Excel"
#. module: account_standard_report
#: model:ir.actions.report.xml,name:account_standard_report.action_standard_excel
msgid "Excel Report"
msgstr "Edition Excel"
#. module: account_standard_report
#: selection:account.report.standard.ledger,account_methode:0
msgid "Exclude"
msgstr "Exclure"
#. module: account_standard_report
#: selection:account.report.standard.ledger,type_ledger:0
#: code:addons/account_standard_report/wizard/account_standard_report.py:9
#, python-format
msgid "General Ledger"
msgstr "Grand Livre"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_id
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_id
#: model:ir.model.fields,field_description:account_standard_report.field_report_account_standard_report_report_account_standard_report_id
msgid "ID"
msgstr "ID"
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_account_in_ex_clude
msgid "If empty, get all accounts"
msgstr "Si vide, tous les comptes comptables tiers seront pris"
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_partner_ids
msgid "If empty, get all partners"
msgstr "Si vide, tous les partenaires ayant des écritures seront pris"
#. module: account_standard_report
#: selection:account.report.standard.ledger,account_methode:0
msgid "Include"
msgstr "Inclure"
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_amount_currency
msgid "It adds the currency column on report if the currency differs from the company currency."
msgstr "Il ajoute la colonne devise sur le rapport si la devise est différente de la devise de la société."
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:100
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "JRNL"
msgstr "JRNL"
#. module: account_standard_report
#: selection:account.report.standard.ledger,type_ledger:0
#: code:addons/account_standard_report/wizard/account_standard_report.py:19
#, python-format
msgid "Journal Ledger"
msgstr "Journal"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:109
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Journal entries"
msgstr "Pièces comptables"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_journal_ids
msgid "Journals"
msgstr "Journaux"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger___last_update
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode___last_update
#: model:ir.model.fields,field_description:account_standard_report.field_report_account_standard_report_report_account_standard_report___last_update
msgid "Last Modified on"
msgstr "Dernière Modification le"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_write_uid
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_write_uid
msgid "Last Updated by"
msgstr "Dernière mise à jour par"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_write_date
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_write_date
msgid "Last Updated on"
msgstr "Dernière mise à jour le"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:130
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Match."
msgstr "Let."
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_account_methode
msgid "Methode"
msgstr "Méthode"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_name
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "Name"
msgstr "Nom"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:28
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Only UnReconciled Entries"
msgstr "Seulement les écritures non lettrées"
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_reconciled
msgid ""
"Only for entrie with a payable/receivable account.\n"
" * Check this box to see un-reconcillied and reconciled entries with payable.\n"
" * Uncheck to see only un-reconcillied entries. Can be use only with parnter ledger.\n"
msgstr ""
"Seulement pour les écritures des comptes de tiers.\n"
" * Cocher cette case pour voir les écritures lettrées et non lettrées.\n"
" * Décocher pour voir seulement les écritures réconciliées. Doit être utiliser pour l’édition du livre des tiers.\n"
#. module: account_standard_report
#: selection:account.report.standard.ledger,type_ledger:0
#: code:addons/account_standard_report/wizard/account_standard_report.py:24
#, python-format
msgid "Open Ledger"
msgstr "Journal d’ouverture"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:115
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Partner"
msgstr "Partenaire"
#. module: account_standard_report
#: selection:account.report.standard.ledger,type_ledger:0
#: code:addons/account_standard_report/wizard/account_standard_report.py:14
#, python-format
msgid "Partner Ledger"
msgstr "Livre des tiers"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_result_selection
msgid "Partner's"
msgstr "Du partenaire"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_partner_ids
msgid "Partners"
msgstr "Partenaires"
#. module: account_standard_report
#: selection:account.report.standard.ledger,result_selection:0
msgid "Payable Accounts"
msgstr "Comptes fournisseurs"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_init_balance_history
msgid "Payable/receivable initial balance with history."
msgstr "Total initial des comptes tiers."
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_periode_date
msgid "Periode"
msgstr "Periode"
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.account_report_standard_view
msgid "Print PDF"
msgstr "Impression PDF"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:20
#, python-format
msgid "Print on %s"
msgstr "Imprimé le %s"
#. module: account_standard_report
#: selection:account.report.standard.ledger,result_selection:0
msgid "Receivable Accounts"
msgstr "Comptes clients"
#. module: account_standard_report
#: selection:account.report.standard.ledger,result_selection:0
msgid "Receivable and Payable Accounts"
msgstr "Comptes des tiers"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:112
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "Ref"
msgstr "Réf"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_report_name
msgid "Report Name"
msgstr "Nom du rapport"
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.account_report_standard_view
msgid "Report Options"
msgstr "Options du Rapport"
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_sum_group_by_bottom
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_sum_group_by_top
msgid "See the sum of element on top."
msgstr "Affiche la somme au dessus."
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_journal_ids
msgid "Select journal, for the Open Ledger you need to set all journals."
msgstr "Sélectionner le journal, pour le journal d’ouverture vous devez mettre tous les journaux."
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.account_report_standard_view
msgid "Standard Accounting Report"
msgstr "Edition standard de comptabilité"
#. module: account_standard_report
#: model:ir.actions.act_window,name:account_standard_report.action_account_standard_report_menu
#: model:ir.actions.report.xml,name:account_standard_report.action_standard_report
#: model:ir.ui.menu,name:account_standard_report.menu_account_standard_report
msgid "Standard Report"
msgstr "Edition standard"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_date_from
msgid "Start Date"
msgstr "Date de début"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:22
#, python-format
msgid "Start Date : %s "
msgstr "Période : %s "
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_sum_group_by_bottom
msgid "Sum on Bottom"
msgstr "Somme en bas"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_sum_group_by_top
msgid "Sum on Top"
msgstr "Somme au dessus"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_summary
msgid "Summary"
msgstr "Résumé"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_target_move
msgid "Target Moves"
msgstr "Statu des écritures"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:25
#, python-format
msgid "Target Moves:"
msgstr "Statut des Ecritures:"
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_with_init_balance
msgid ""
"The initial balance is compute with the fiscal date of company.\n"
" * Check this box to generate the summary of initial balance.\n"
" * Uncheck to see all entries.\n"
msgstr ""
"La balance initial est calculée à partir des périodes fiscales de l'entreprise.\n"
" * Coché cette case pour afficher la balance initiale de façon condensé.\n"
" * Décoché cela affiche toutes les écritures passées.\n"
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "Total"
msgstr "Total"
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_type_ledger
msgid "Type"
msgstr "Type"
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_date_from
msgid "Use to compute initial balance."
msgstr "Calcul la balance initiale."
#. module: account_standard_report
#: model:ir.model.fields,help:account_standard_report.field_account_report_standard_ledger_date_to
msgid "Use to compute the entrie matched with futur."
msgstr "Calcul si l'écriture est lettrée avec une autre écriture datée après la période."
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_amount_currency
msgid "With Currency"
msgstr "Avec devise"
#. module: account_standard_report
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
msgid "With Initial Balance."
msgstr "Avec balance initiale."
#. module: account_standard_report
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_with_init_balance
msgid "With Initial Report at Start Date"
msgstr "Avec balance initiale à la date de début de période"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:28
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_reconciled
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "With Reconciled Entries"
msgstr "Ecritures lettrées"
#. module: account_standard_report
#: code:addons/account_standard_report/report/report_account_standard_excel.py:29
#: model:ir.model.fields,field_description:account_standard_report.field_account_report_standard_ledger_rem_futur_reconciled
#: model:ir.ui.view,arch_db:account_standard_report.report_account_standard_report
#, python-format
msgid "With entries matched with other entries dated after End Date."
msgstr "Avec la gestion des écritures lettrées avec une autre écriture datée après la période."
#. module: account_standard_report
#: code:addons/account_standard_report/wizard/account_standard_report.py:604
#, python-format
msgid "_summary"
msgstr "_balance"
#. module: account_standard_report
#: model:ir.model,name:account_standard_report.model_account_report_standard_ledger_periode
msgid "account.report.standard.ledger.periode"
msgstr "account.report.standard.ledger.periode"
#. module: account_standard_report
#: model:ir.model,name:account_standard_report.model_report_account_standard_report_report_account_standard_report
msgid "report.account_standard_report.report_account_standard_report"
msgstr "report.account_standard_report.report_account_standard_report"

11
migrations/10.0.1.1/post-00-regenrate-shorted.py

@ -0,0 +1,11 @@
# -*- coding: utf-8 -*-
import logging
from odoo import api
logger = logging.getLogger('MIG compacted')
def migrate(cr, v):
with api.Environment.manage():
cr.execute("""UPDATE account_account SET compacted = FALSE WHERE compacted IS NULL;""")

3
models/__init__.py

@ -0,0 +1,3 @@
# -*- coding: utf-8 -*-
from . import account

10
models/account.py

@ -0,0 +1,10 @@
# -*- coding: utf-8 -*-
from odoo import models, fields
class AccountAccount(models.Model):
_inherit = 'account.account'
compacted = fields.Boolean('Compacte reconciled entries.', help='If flagged, no details will be displayed in the Standard report, only compacted amounts per period.', default=False)
type_third_parties = fields.Selection([('no', 'No'), ('supplier', 'Supplier'), ('customer', 'Customer')], string='Third Partie', required=True, default='no')

3
report/__init__.py

@ -0,0 +1,3 @@
# -*- coding: utf-8 -*-
from . import report_account_standard_excel

472
report/report_account_standard_excel.py

@ -0,0 +1,472 @@
# -*- coding: utf-8 -*-
from datetime import datetime
from odoo.addons.report_xlsx.report.report_xlsx import ReportXlsx
from odoo.tools import DEFAULT_SERVER_DATE_FORMAT
from odoo import _
class AccountStandardExcel(ReportXlsx):
def generate_xlsx_report(self, workbook, data, wizard):
num_format = _('_ * #,##0.00_) ;_ * - #,##0.00_) ;_ * "-"??_) ;_ @_ ')
bold = workbook.add_format({'bold': True})
middle = workbook.add_format({'bold': True, 'top': 1})
left = workbook.add_format({'left': 1, 'top': 1, 'bold': True})
right = workbook.add_format({'right': 1, 'top': 1})
top = workbook.add_format({'top': 1})
currency_format = workbook.add_format({'num_format': _(num_format)})
c_middle = workbook.add_format({'bold': True, 'top': 1, 'num_format': _(num_format)})
report_format = workbook.add_format({'font_size': 24})
rounding = self.env.user.company_id.currency_id.decimal_places or 2
lang_code = self.env.user.lang or 'en_US'
date_format = self.env['res.lang']._lang_get(lang_code).date_format
report = wizard.report_id
def _get_data_float(data):
if data == None or data == False:
return 0.0
else:
return wizard.company_currency_id.round(data) + 0.0
def get_date_format(date):
if date:
date = datetime.strptime(date, DEFAULT_SERVER_DATE_FORMAT)
date = date.strftime(date_format)
return date
def _header_sheet(sheet):
sheet.write(0, 4, report.name, report_format)
sheet.write(2, 0, _('Company:'), bold)
sheet.write(3, 0, wizard.company_id.name,)
sheet.write(4, 0, _('Print on %s') % report.print_time)
sheet.write(2, 2, _('Start Date : %s ') % wizard.date_from if wizard.date_from else '')
sheet.write(3, 2, _('End Date : %s ') % wizard.date_to if wizard.date_to else '')
sheet.write(2, 4, _('Target Moves:'), bold)
sheet.write(3, 4, _('All Entries') if wizard.target_move == 'all' else _('All Posted Entries'))
sheet.write(2, 6, _('Only UnReconciled Entries') if wizard.reconciled is False else _('With Reconciled Entries'), bold)
if wizard.type_ledger == 'aged':
if wizard.summary:
sheet = workbook.add_worksheet(report.name)
_header_sheet(sheet)
head = [
{'name': 'Code',
'larg': 10,
'col': {}},
{'name': 'Name',
'larg': 30,
'col': {}},
{'name': _('Not Due'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': _('0-30'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': _('30-60'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': _('60-90'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': _('90-120'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': _('Older'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': _('Total'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
]
all_lines = wizard._sql_get_line_for_report(type_l=('4_total',))
# print(all_lines)
if all_lines:
row = 6
row += 1
start_row = row
for i, line in enumerate(all_lines):
i += row
sheet.write(i, 0, line.get('code', ''))
sheet.write(i, 1, line.get('name', ''))
sheet.write(i, 2, _get_data_float(line.get('current')), currency_format)
sheet.write(i, 3, _get_data_float(line.get('age_30_days')), currency_format)
sheet.write(i, 4, _get_data_float(line.get('age_60_days')), currency_format)
sheet.write(i, 5, _get_data_float(line.get('age_90_days')), currency_format)
sheet.write(i, 6, _get_data_float(line.get('age_120_days')), currency_format)
sheet.write(i, 7, _get_data_float(line.get('older')), currency_format)
sheet.write(i, 8, _get_data_float(line.get('balance')), currency_format)
row = i
for j, h in enumerate(head):
sheet.set_column(j, j, h['larg'])
table = []
for h in head:
col = {}
col['header'] = h['name']
col.update(h['col'])
table.append(col)
sheet.add_table(start_row - 1, 0, row + 1, len(head) - 1,
{'total_row': 1,
'columns': table,
'style': 'Table Style Light 9',
})
else: # aged not summary
head = [
{'name': _('Date'),
'larg': 10,
'col': {}},
{'name': _('JRNL'),
'larg': 10,
'col': {}},
{'name': _('Account'),
'larg': 10,
'col': {}},
{'name': _('Account Name'),
'larg': 15,
'col': {}},
{'name': _('Journal entries'),
'larg': 20,
'col': {}},
{'name': _('Ref'),
'larg': 40,
'col': {}},
{'name': _('Partner'),
'larg': 20,
'col': {}},
{'name': _('Due Date'),
'larg': 10,
'col': {}},
{'name': _('Not Due'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': _('0-30'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': _('30-60'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': _('60-90'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': _('90-120'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': _('Older'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': _('Total'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': _('Match.'),
'larg': 10,
'col': {}},
]
table = []
for h in head:
col = {'header': h['name']}
col.update(h['col'])
table.append(col)
def _set_line(line):
sheet.write(i, 0, get_date_format(line.get('date', '')))
sheet.write(i, 1, line.get('j_code', ''))
sheet.write(i, 2, line.get('a_code', ''))
sheet.write(i, 3, line.get('a_name', ''))
sheet.write(i, 4, line.get('move_name', ''))
sheet.write(i, 5, line.get('displayed_name', ''))
sheet.write(i, 6, line.get('partner_name', ''))
sheet.write(i, 7, get_date_format(line.get('date_maturity', '')))
sheet.write(i, 8, _get_data_float(line.get('current')), currency_format)
sheet.write(i, 9, _get_data_float(line.get('age_30_days')), currency_format)
sheet.write(i, 10, _get_data_float(line.get('age_60_days')), currency_format)
sheet.write(i, 11, _get_data_float(line.get('age_90_days')), currency_format)
sheet.write(i, 12, _get_data_float(line.get('age_120_days')), currency_format)
sheet.write(i, 13, _get_data_float(line.get('older')), currency_format)
sheet.write(i, 14, _get_data_float(line.get('balance')), currency_format)
sheet.write(i, 15, line.get('matching_number', ''))
def _set_table(start_row, row):
sheet.add_table(start_row - 1, 0, row + 1, len(head) - 1,
{'total_row': 1,
'columns': table,
'style': 'Table Style Light 9',
})
#sheet.write(row + 1, 10, "=I%s-J%s" % (row + 2, row + 2), currency_format)
# With total workbook
sheet = workbook.add_worksheet(report.name + _(' Totals'))
_header_sheet(sheet)
row = 6
all_lines = wizard._sql_get_line_for_report(type_l=('1_init_line', '2_line'))
for obj in report.report_object_ids:
lines_obj = []
obj_id = obj.id
for line in all_lines:
if line.get('report_object_id') == obj_id:
lines_obj.append(line)
if lines_obj:
row += 1
sheet.write(row, 0, obj.partner_id.name, left) # obj.partner_id.name
sheet.write(row, 1, '', top)
sheet.write(row, 2, '', top)
sheet.write(row, 3, '', top)
sheet.write(row, 4, '', top)
sheet.write(row, 5, '', top)
sheet.write(row, 6, '', c_middle)
sheet.write(row, 7, '', c_middle)
sheet.write(row, 8, '', c_middle)
sheet.write(row, 9, '', c_middle)
sheet.write(row, 10, '', c_middle)
sheet.write(row, 11, '', c_middle)
sheet.write(row, 12, '', c_middle)
sheet.write(row, 13, '', c_middle)
sheet.write(row, 14, '', c_middle)
sheet.write(row, 15, '', right)
row += 2
start_row = row
for i, line in enumerate(lines_obj):
i += row
_set_line(line)
row = i
for j, h in enumerate(head):
sheet.set_column(j, j, h['larg'])
_set_table(start_row, row)
row += 2
# Pivot
sheet = workbook.add_worksheet(report.name)
_header_sheet(sheet)
# for group_by in data['group_by_data']['ids']:
# for line in data['lines_group_by'][group_by]['new_lines']:
# if line['type_line'] != 'total':
# all_lines.append(line)
# Head
if all_lines:
row = 6
row += 1
start_row = row
for i, line in enumerate(all_lines):
i += row
_set_line(line)
row = i
for j, h in enumerate(head):
sheet.set_column(j, j, h['larg'])
_set_table(start_row, row)
else: # standard report
if wizard.summary:
sheet = workbook.add_worksheet(report.name)
_header_sheet(sheet)
all_lines = wizard._sql_get_line_for_report(type_l=('4_total',))
# for group_by in data['group_by_data']['ids']:
# all_lines.append(data['lines_group_by'][group_by])
if all_lines:
# Head
head = [
{'name': 'Code',
'larg': 10,
'col': {}},
{'name': 'Name',
'larg': 30,
'col': {}},
{'name': 'Debit',
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': 'Credit',
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': 'Balance',
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
]
row = 6
row += 1
start_row = row
for i, line in enumerate(all_lines):
i += row
sheet.write(i, 0, line.get('code', ''))
sheet.write(i, 1, line.get('name', ''))
sheet.write(i, 2, line.get('debit', ''), currency_format)
sheet.write(i, 3, line.get('credit', ''), currency_format)
sheet.write(i, 4, line.get('balance', ''), currency_format)
row = i
for j, h in enumerate(head):
sheet.set_column(j, j, h['larg'])
table = []
for h in head:
col = {}
col['header'] = h['name']
col.update(h['col'])
table.append(col)
sheet.add_table(start_row - 1, 0, row + 1, len(head) - 1,
{'total_row': 1,
'columns': table,
'style': 'Table Style Light 9',
})
else: # not summary
head = [
{'name': _('Date'),
'larg': 10,
'col': {}},
{'name': _('JRNL'),
'larg': 10,
'col': {}},
{'name': _('Account'),
'larg': 10,
'col': {}},
{'name': _('Account Name'),
'larg': 15,
'col': {}},
{'name': _('Journal entries'),
'larg': 20,
'col': {}},
{'name': _('Ref'),
'larg': 40,
'col': {}},
{'name': _('Partner'),
'larg': 20,
'col': {}},
{'name': _('Due Date'),
'larg': 10,
'col': {}},
{'name': _('Debit'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': _('Credit'),
'larg': 15,
'col': {'total_function': 'sum', 'format': currency_format}},
{'name': _('Balance'),
'larg': 15,
'col': {'format': currency_format}},
{'name': _('Match.'),
'larg': 10,
'col': {}},
]
table = []
for h in head:
col = {'header': h['name']}
col.update(h['col'])
table.append(col)
def _set_line(line):
sheet.write(i, 0, get_date_format(line.get('date', '')) if line.get('type_view') != 'init' else 'INIT')
sheet.write(i, 1, line.get('j_code', ''))
sheet.write(i, 2, line.get('a_code', ''))
sheet.write(i, 3, line.get('a_name', ''))
sheet.write(i, 4, line.get('move_name', ''))
sheet.write(i, 5, line.get('displayed_name', ''))
sheet.write(i, 6, line.get('partner_name', ''))
sheet.write(i, 7, get_date_format(line.get('date_maturity', '')))
sheet.write(i, 8, _get_data_float(line.get('debit', '')), currency_format)
sheet.write(i, 9, _get_data_float(line.get('credit', '')), currency_format)
sheet.write(i, 10, _get_data_float(line.get('cumul_balance', '')), currency_format)
sheet.write(i, 11, line.get('matching_number', ''))
def _set_table(start_row, row):
sheet.add_table(start_row - 1, 0, row + 1, len(head) - 1,
{'total_row': 1,
'columns': table,
'style': 'Table Style Light 9',
})
#sheet.write(row + 1, 10, "=I%s-J%s" % (row + 2, row + 2), currency_format)
# With total workbook
sheet = workbook.add_worksheet(report.name + _(' Totals'))
_header_sheet(sheet)
row = 6
all_lines = wizard._sql_get_line_for_report(type_l=('0_init', '1_init_line', '2_line'))
for obj in report.report_object_ids:
lines_obj = []
obj_id = obj.id
for line in all_lines:
if line.get('report_object_id') == obj_id:
lines_obj.append(line)
if lines_obj:
row += 1
name_view = ''
if wizard.type == 'account':
name_view = obj.account_id.display_name
if wizard.type == 'partner':
name_view = obj.partner_id.display_name
if wizard.type == 'journal':
name_view = obj.journal_id.display_name
sheet.write(row, 0, name_view, left)
sheet.write(row, 1, '', top)
sheet.write(row, 2, '', top)
sheet.write(row, 3, '', top)
sheet.write(row, 4, '', top)
sheet.write(row, 5, '', top)
sheet.write(row, 6, '', top)
sheet.write(row, 7, '', top)
sheet.write(row, 8, '', top)
sheet.write(row, 9, '', top)
sheet.write(row, 10, '', top)
sheet.write(row, 11, '', right)
row += 2
start_row = row
for i, line in enumerate(lines_obj):
i += row
_set_line(line)
row = i
for j, h in enumerate(head):
sheet.set_column(j, j, h['larg'])
_set_table(start_row, row)
row += 2
# Pivot workbook
sheet = workbook.add_worksheet(report.name)
_header_sheet(sheet)
# Head
if all_lines:
row = 6
row += 1
start_row = row
for i, line in enumerate(all_lines):
i += row
_set_line(line)
row = i
for j, h in enumerate(head):
sheet.set_column(j, j, h['larg'])
_set_table(start_row, row)
AccountStandardExcel('report.account_standard_report.report_account_standard_excel', 'account.report.standard.ledger')

353
report/report_account_standard_report.xml

@ -0,0 +1,353 @@
<?xml version="1.0" encoding="utf-8"?>
<odoo>
<template id="report_account_standard_report">
<t t-call="report.html_container">
<t t-foreach="docs" t-as="o">
<t t-call="report.internal_layout">
<div class="page" style="font-size:11px">
<h2 t-field="o.report_id.name"/>
<div class="row">
<div class="col-xs-3">
<strong>Company:</strong>
<p t-field="o.company_id"/>
</div>
<div class="col-xs-3">
<t t-if="o.date_from">
<strong>Start Date :</strong>
<span t-field="o.date_from"/><br/></t>
<t t-if="o.date_to">
<strong>End Date :</strong>
<span t-field="o.date_to"/></t>
</div>
<div class="col-xs-3">
<strong>Target Moves:</strong>
<p t-if="o.target_move == 'all'">All Entries</p>
<p t-if="o.target_move == 'posted'">All Posted Entries</p>
</div>
<div class="col-xs-3">
<strong t-if="o.reconciled == True">With Reconciled Entries</strong>
<strong t-if="o.reconciled == False">Only UnReconciled Entries</strong>
</div>
</div>
<t t-if="o.type_ledger == 'aged'">
<table class="table table-condensed">
<thead>
<tr>
<th class="col-xs-1">Total</th>
<th></th>
<th class="col-xs-1 text-right">Not Due</th>
<th class="col-xs-1 text-right">0-30</th>
<th class="col-xs-1 text-right">30-60</th>
<th class="col-xs-1 text-right">60-90</th>
<th class="col-xs-1 text-right">90-120</th>
<th class="col-xs-1 text-right">Older</th>
<th class="col-xs-1 text-right">Total</th>
</tr>
</thead>
<tbody style="white-space:nowrap">
<tr>
<td class="text-right" colspan="3">
<strong t-esc="o.report_id.line_super_total_id.current" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<strong t-esc="o.report_id.line_super_total_id.age_30_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<strong t-esc="o.report_id.line_super_total_id.age_60_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<strong t-esc="o.report_id.line_super_total_id.age_90_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<strong t-esc="o.report_id.line_super_total_id.age_120_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<strong t-esc="o.report_id.line_super_total_id.older" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<strong t-esc="o.report_id.line_super_total_id.balance" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
</tr>
</tbody>
</table>
<t t-if="not o.summary">
<table class="table-condensed">
<thead>
<tr>
<th class="col-xs-1">Date</th>
<th class="col-xs-1">JRNL</th>
<th class="col-xs-1">Account</th>
<th class="col-xs-1">Journal entries</th>
<!-- <th class="col-xs-3">Ref</th> -->
<th class="col-xs-1">Due Date</th>
<th class="col-xs-1 text-right">Not Due</th>
<th class="col-xs-1 text-right">0-30</th>
<th class="col-xs-1 text-right">30-60</th>
<th class="col-xs-1 text-right">60-90</th>
<th class="col-xs-1 text-right">90-120</th>
<th class="col-xs-1 text-right">Older</th>
<th class="col-xs-1 text-right">Total</th>
<th class="col-xs-1">Match.</th>
</tr>
</thead>
<t t-foreach="o.report_id.report_object_ids" t-as="object">
<tbody t-if="object.line_ids" style="border-bottom: 1px solid;margin-bottom:10px">
<tr style="border-bottom: 1px solid #ddd;">
<td colspan="12">
<strong t-field="object.partner_id"/>
</td>
<td></td>
</tr>
<tr t-foreach="object.line_ids" t-as="l">
<td style="white-space:nowrap">
<strong t-if="l.type_view != 'total'" t-field="l.date"></strong>
<strong t-if="l.type_view == 'total'">Total</strong>
</td>
<td>
<span t-if="l.type_view == 'normal'" t-field="l.journal_id.code"></span>
</td>
<td>
<span t-if="l.type_view == 'normal'" t-field="l.account_id.code"></span>
</td>
<td>
<span t-if="l.type_view == 'normal'" t-field="l.move_id"></span>
</td>
<td>
<span t-if="l.type_view == 'normal'" t-field="l.date_maturity"></span>
</td>
<td class="text-right">
<span t-if="l.current and l.type_view == 'normal'" t-esc="l.current" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
<strong t-if="l.current and l.type_view == 'total'" t-esc="l.current" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<span t-if="l.age_30_days and l.type_view == 'normal'" t-esc="l.age_30_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
<strong t-if="l.age_30_days and l.type_view == 'total'" t-esc="l.age_30_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<span t-if="l.age_60_days and l.type_view == 'normal'" t-esc="l.age_60_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
<strong t-if="l.age_60_days and l.type_view == 'total'" t-esc="l.age_60_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<span t-if="l.age_90_days and l.type_view == 'normal'" t-esc="l.age_90_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
<strong t-if="l.age_90_days and l.type_view == 'total'" t-esc="l.age_90_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<span t-if="l.age_120_days and l.type_view == 'normal'" t-esc="l.age_120_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
<strong t-if="l.age_120_days and l.type_view == 'total'" t-esc="l.age_120_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<span t-if="l.older and l.type_view == 'normal'" t-esc="l.older" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
<strong t-if="l.older and l.type_view == 'total'" t-esc="l.older" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right" style="border-left: 1px dotted #ddd;">
<span t-if="l.type_view == 'normal'" t-esc="l.balance" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
<strong t-if="l.type_view == 'total'" t-esc="l.balance" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td>
<span t-if="l.reconciled" t-field="l.full_reconcile_id"/>
<span t-if="not l.reconciled and l.full_reconcile_id">*</span>
</td>
</tr>
</tbody>
</t>
</table>
</t>
<t t-if="o.summary">
<table class="table-condensed">
<thead>
<tr>
<th class="col-xs-1">Partner</th>
<th class="col-xs-1 text-right">Not Due</th>
<th class="col-xs-1 text-right">0-30</th>
<th class="col-xs-1 text-right">30-60</th>
<th class="col-xs-1 text-right">60-90</th>
<th class="col-xs-1 text-right">90-120</th>
<th class="col-xs-1 text-right">Older</th>
<th class="col-xs-1 text-right">Total</th>
</tr>
</thead>
<t t-foreach="o.report_id.line_total_ids" t-as="l">
<tr style="border-bottom: 1px solid #ddd">
<td>
<span t-field="l.partner_id"></span>
</td>
<td class="text-right">
<span t-if="l.current" t-esc="l.current" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<span t-if="l.age_30_days" t-esc="l.age_30_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<span t-if="l.age_60_days" t-esc="l.age_60_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<span t-if="l.age_90_days" t-esc="l.age_90_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<span t-if="l.age_120_days" t-esc="l.age_120_days" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<span t-if="l.older" t-esc="l.older" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right" style="border-left: 1px dotted #ddd;">
<span t-esc="l.balance" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
</tr>
</t>
</table>
</t>
</t>
<t t-if="o.type_ledger != 'aged'">
<table class="table table-condensed">
<thead>
<tr>
<th class="col-xs-1">Total</th>
<th></th>
<th class="col-xs-1 text-right">Debit</th>
<th class="col-xs-1 text-right">Credit</th>
<th class="col-xs-1 text-right">Balance</th>
</tr>
</thead>
<tbody style="white-space:nowrap">
<tr>
<td class="text-right" colspan="3">
<strong t-esc="o.report_id.line_super_total_id.debit" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<strong t-esc="o.report_id.line_super_total_id.credit" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<strong t-esc="o.report_id.line_super_total_id.balance" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
</tr>
</tbody>
</table>
<t t-if="o.summary">
<table class="table-condensed">
<thead>
<tr>
<th class="col-xs-1" t-if="o.type == 'journal'">JRNL</th>
<th class="col-xs-1" t-if="o.type == 'account'">Account</th>
<th class="col-xs-1" t-if="o.type == 'partner'">Partner</th>
<th class="col-xs-1 text-right">Debit</th>
<th class="col-xs-1 text-right">Credit</th>
<th class="col-xs-1 text-right">Balance</th>
</tr>
</thead>
<t t-foreach="o.report_id.line_total_ids" t-as="l">
<tr style="border-bottom: 1px solid #ddd">
<td t-if="o.type == 'journal'">
<span t-field="l.journal_id"></span>
</td>
<td t-if="o.type == 'account'">
<span t-field="l.account_id"></span>
</td>
<td t-if="o.type == 'partner'">
<span t-field="l.partner_id"></span>
</td>
<td class="text-right">
<span t-if="l.debit" t-esc="l.debit" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<span t-if="l.credit" t-esc="l.credit" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right" style="border-left: 1px dotted #ddd;">
<span t-esc="l.balance" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
</tr>
</t>
</table>
</t>
<t t-if="not o.summary">
<table class="table-condensed">
<thead>
<tr>
<th class="col-xs-1">Date</th>
<th class="col-xs-1">JRNL</th>
<th class="col-xs-1">Account</th>
<th class="col-xs-1">Journal entries</th>
<th class="col-xs-3">Ref</th>
<th class="col-xs-3">Partner</th>
<th class="col-xs-1">Due Date</th>
<th class="col-xs-1 text-right">Debit</th>
<th class="col-xs-1 text-right">Credit</th>
<th class="col-xs-1 text-right">Balance</th>
<th class="col-xs-1">Match.</th>
</tr>
</thead>
<t t-foreach="o.report_id.report_object_ids" t-as="object">
<tbody t-if="object.line_ids" style="border-bottom: 1px solid;page-break-inside: avoid">
<tr style="border-bottom: 1px solid #ddd;">
<td colspan="10">
<strong t-if="o.type == 'account'" t-field="object.account_id"/>
<strong t-if="o.type == 'partner'" t-field="object.partner_id"/>
<strong t-if="o.type == 'journal'" t-field="object.journal_id"/>
</td>
<td></td>
</tr>
<tr t-foreach="object.line_ids" t-as="l">
<td style="white-space:nowrap">
<i t-if="l.type_view == 'init' and l.type == '1_init_line'" t-field="l.date"></i>
<i t-if="l.type_view == 'init' and l.type == '0_init'">INIT</i>
<strong t-if="l.type_view == 'total'">Total</strong>
<span t-if="l.type_view == 'normal' and l.type == '2_line'" t-field="l.date"></span>
<span t-if="l.type_view == 'normal' and l.type == '3_compact'">Compact</span>
</td>
<td>
<i t-if="l.type_view == 'init'" t-field="l.journal_id.code"></i>
<span t-if="l.type_view == 'normal'" t-field="l.journal_id.code"></span>
</td>
<td>
<i t-if="l.type_view == 'init'" t-field="l.account_id.code"></i>
<span t-if="l.type_view == 'normal'" t-field="l.account_id.code"></span>
</td>
<td>
<i t-if="l.type_view == 'init'" t-field="l.move_id"></i>
<span t-if="l.type_view == 'normal'" t-field="l.move_id"></span>
</td>
<td>
<i t-if="l.type_view == 'init'" t-field="l.move_line_id.ref"></i>
<span t-if="l.type_view == 'normal'" t-field="l.move_line_id.ref"></span>
</td>
<td>
<i t-if="l.type_view == 'init'" t-field="l.partner_id"></i>
<span t-if="l.type_view == 'normal'" t-field="l.partner_id"></span>
</td>
<td>
<i t-if="l.type_view == 'init'" t-field="l.date_maturity"></i>
<span t-if="l.type_view == 'normal'" t-field="l.date_maturity"></span>
</td>
<td class="text-right">
<span t-if="l.debit and l.type_view == 'normal'" t-esc="l.debit" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
<i t-if="l.debit and l.type_view == 'init'" t-esc="l.debit" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
<strong t-if="l.debit and l.type_view == 'total'" t-esc="l.debit" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right">
<span t-if="l.credit and l.type_view == 'normal'" t-esc="l.credit" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
<i t-if="l.credit and l.type_view == 'init'" t-esc="l.credit" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
<strong t-if="l.credit and l.type_view == 'total'" t-esc="l.credit" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td class="text-right" style="white-space:nowrap">
<span t-esc="o.company_currency_id.round(l.cumul_balance) + 0.0" t-if="l.type_view == 'normal'" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
<i t-esc="o.company_currency_id.round(l.cumul_balance) + 0.0" t-if="l.type_view == 'init'" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
<strong t-esc="o.company_currency_id.round(l.cumul_balance) + 0.0" t-if="l.type_view == 'total'" t-esc-options='{"widget": "monetary", "display_currency": o.company_currency_id}'/>
</td>
<td>
<span t-if="l.reconciled" t-field="l.full_reconcile_id"/>
<span t-if="not l.reconciled and l.full_reconcile_id">*</span>
</td>
</tr>
</tbody>
</t>
</table>
</t>
</t>
</div>
</t>
</t>
</t>
</template>
</odoo>

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static/description/icon.png

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137
views/account_standard.xml

@ -0,0 +1,137 @@
<?xml version="1.0" encoding="utf-8"?>
<odoo>
<record model="ir.ui.view" id="view_account_report_standard_ledger_line_tree">
<field name="name">account.report.standard.ledger.line</field>
<field name="model">account.report.standard.ledger.line</field>
<field name="type">tree</field>
<field name="arch" type="xml">
<tree>
<field name="type"/>
<field name="date"/>
<field name="journal_id"/>
<field name="account_id"/>
<field name="move_id"/>
<field name="partner_id"/>
<field name="debit" sum="Total" attrs="{'invisible':[('debit','=',0)]}"/>
<field name="credit" sum="Total" attrs="{'invisible':[('credit','=',0)]}"/>
<field name="cumul_balance"/>
<field name="full_reconcile_id"/>
<field name="reconciled"/>
</tree>
</field>
</record>
<record model="ir.ui.view" id="view_aged_tree">
<field name="name">account.report.standard.ledger.line</field>
<field name="model">account.report.standard.ledger.line</field>
<field name="type">tree</field>
<field name="arch" type="xml">
<tree>
<field name="type"/>
<field name="date"/>
<field name="partner_id"/>
<!-- <field name="account_id"/> -->
<field name="move_id"/>
<!-- <field name="move_line_id"/> -->
<field name="date_maturity"/>
<field name="current" sum="Total" attrs="{'invisible':[('current','=',0)]}"/>
<field name="age_30_days" sum="Total" attrs="{'invisible':[('age_30_days','=',0)]}"/>
<field name="age_60_days" sum="Total" attrs="{'invisible':[('age_60_days','=',0)]}"/>
<field name="age_90_days" sum="Total" attrs="{'invisible':[('age_90_days','=',0)]}"/>
<field name="age_120_days" sum="Total" attrs="{'invisible':[('age_120_days','=',0)]}"/>
<field name="older" sum="Total" attrs="{'invisible':[('older','=',0)]}"/>
<field name="balance" sum="Total"/>
<!-- <field name="cumul_balance"/> -->
<field name="full_reconcile_id"/>
<field name="reconciled"/>
</tree>
</field>
</record>
<record id="account_report_standard_ledger_line_form" model="ir.ui.view">
<field name="name">account.report.standard.ledger.line.form</field>
<field name="model">account.report.standard.ledger.line</field>
<field name="arch" type="xml">
<form string="Journal Item">
<sheet>
<group>
<group>
<field name="type"/>
<field name="move_line_id"/>
<field name="partner_id"/>
</group>
<group>
<field name="journal_id"/>
<field name="date"/>
</group>
</group>
<notebook colspan="4">
<page string="Information">
<group>
<group string="Amount">
<field name="account_id" domain="[('company_id', '=', company_id)]"/>
<field name="debit"/>
<field name="credit"/>
<field name="balance"/>
</group>
<group string="Accounting Documents">
<field name="move_id" required="False"/>
</group>
<group string="Dates">
<field name="date_maturity"/>
</group>
<group string="Matching">
<field name="full_reconcile_id"/>
<field name="reconciled"/>
</group>
</group>
</page>
<page string="Other">
<group>
<field name="report_id"/>
<field name="report_object_id"/>
</group>
</page>
</notebook>
</sheet>
</form>
</field>
</record>
<!-- search view -->
<record id="account_report_standard_ledger_line_search_view" model="ir.ui.view">
<field name="name">account.report.standard.ledger.line.search</field>
<field name="model">account.report.standard.ledger.line</field>
<field name="arch" type="xml">
<search string="Journal Items">
<field name="move_id" filter_domain="['|', ('move_id','ilike',self)]" string="Move"/>
<field name="date"/>
<separator/>
<filter string="Unposted" domain="[('move_id.state','=','draft')]" help="Unposted Journal Items"/>
<filter name="posted" string="Posted" domain="[('move_id.state','=','posted')]" help="Posted Journal Items"/>
<separator/>
<filter string="Unreconciled" domain="[('full_reconcile_id', '=', False), ('balance','!=', 0), ('account_id.reconcile','=',True)]" help="Journal items where matching number isn't set" name="unreconciled"/>
<separator/>
<filter string="Supplier" domain="[('account_id.type_third_parties', '=', 'supplier')]" help="From Supplier accounts" name="supplier"/>
<filter string="Customer" domain="[('account_id.type_third_parties', '=', 'customer')]" help="From Customer accounts" name="customer"/>
<filter string="General" domain="[('type', '!=', '4_total')]" context="{'group_by':'account_id'}" name="general"/>
<filter string="Partner" domain="[('type', '!=', '4_total')]" context="{'group_by':'partner_id'}" name="partner"/>
<filter string="Journal" domain="[('type', '!=', '4_total')]" context="{'group_by':'journal_id'}" name="journal"/>
<filter string="Open" domain="[('type', '!=', '4_total')]" context="{'group_by':'account_id'}" name="open"/>
<filter string="Aged Balance" domain="[('type', '!=', '4_total')]" context="{'group_by':'partner_id'}" name="aged"/>
<separator/>
<field name="account_id"/>
<field name="partner_id"/>
<field name="journal_id"/>
<field name="type"/>
<group expand="0" string="Group By">
<filter string="Partner" domain="[]" context="{'group_by':'partner_id'}"/>
<filter string="Journal" domain="[]" context="{'group_by':'journal_id'}"/>
<filter string="Account" context="{'group_by':'account_id'}"/>
<filter string="Date" domain="[]" context="{'group_by':'date'}"/>
<filter string="Type" domain="[]" context="{'group_by':'type'}"/>
</group>
</search>
</field>
</record>
</odoo>

15
views/account_view.xml

@ -0,0 +1,15 @@
<?xml version="1.0" encoding="utf-8"?>
<odoo>
<record model="ir.ui.view" id="view_account_specific_form">
<field name="name">account.account.form.inherit</field>
<field name="inherit_id" ref="account.view_account_form"/>
<field name="model">account.account</field>
<field name="type">form</field>
<field name="arch" type="xml">
<field name="deprecated" position="after">
<field name="compacted" attrs="{'readonly':[('reconcile','=',False)]}"/>
<field name="type_third_parties"/>
</field>
</field>
</record>
</odoo>

3
wizard/__init__.py

@ -0,0 +1,3 @@
# -*- coding: utf-8 -*-
from . import account_standard_report

973
wizard/account_standard_report.py

@ -0,0 +1,973 @@
# -*- coding: utf-8 -*-
import calendar
import odoo.addons.decimal_precision as dp
from datetime import datetime, timedelta
from odoo import api, models, fields, _
from odoo.tools import DEFAULT_SERVER_DATE_FORMAT, DEFAULT_SERVER_DATETIME_FORMAT
from odoo.exceptions import AccessError, UserError
D_LEDGER = {'general': {'name': _('General Ledger'),
'group_by': 'account_id',
'model': 'account.account',
'short': 'code',
},
'partner': {'name': _('Partner Ledger'),
'group_by': 'partner_id',
'model': 'res.partner',
'short': 'name',
},
'journal': {'name': _('Journal Ledger'),
'group_by': 'journal_id',
'model': 'account.journal',
'short': 'code',
},
'open': {'name': _('Open Ledger'),
'group_by': 'account_id',
'model': 'account.account',
'short': 'code',
},
'aged': {'name': _('Aged Balance'),
'group_by': 'partner_id',
'model': 'res.partner',
'short': 'name',
},
}
class AccountStandardLedgerPeriode(models.TransientModel):
_name = 'account.report.standard.ledger.periode'
name = fields.Char('Name')
date_from = fields.Datetime('Date from')
date_to = fields.Datetime('Date to')
class AccountStandardLedgerReport(models.TransientModel):
_name = 'account.report.standard.ledger.report'
name = fields.Char()
report_object_ids = fields.One2many('account.report.standard.ledger.report.object', 'report_id')
report_name = fields.Char()
line_total_ids = fields.Many2many('account.report.standard.ledger.line', relation='table_standard_report_line_total')
line_super_total_id = fields.Many2one('account.report.standard.ledger.line')
print_time = fields.Char()
date_from = fields.Date(string='Start Date', help='Use to compute initial balance.')
date_to = fields.Date(string='End Date', help='Use to compute the entrie matched with futur.')
class AccountStandardLedgerLines(models.TransientModel):
_name = 'account.report.standard.ledger.line'
_order = 'id' # ,move_id,account_id #type,date,move_line_id_id,
_rec_name = 'move_id'
report_id = fields.Many2one('account.report.standard.ledger.report')
account_id = fields.Many2one('account.account', 'Account')
type = fields.Selection([('0_init', 'Initial'), ('1_init_line', 'Init Line'), ('2_line', 'Line'), ('3_compact',
'Compacted'), ('4_total', 'Total'), ('5_super_total', 'Super Total')], string='Type')
type_view = fields.Selection([('init', 'Init'), ('normal', 'Normal'), ('total', 'Total')])
journal_id = fields.Many2one('account.journal', 'Journal')
partner_id = fields.Many2one('res.partner', 'Partner')
group_by_key = fields.Char()
move_id = fields.Many2one('account.move', 'Entrie')
move_line_id = fields.Many2one('account.move.line')
date = fields.Date()
date_maturity = fields.Date('Due Date')
debit = fields.Float(default=0.0, digits=dp.get_precision('Account'))
credit = fields.Float(default=0.0, digits=dp.get_precision('Account'))
balance = fields.Float(default=0.0, digits=dp.get_precision('Account'))
cumul_balance = fields.Float(default=0.0, digits=dp.get_precision('Account'), string='Balance')
full_reconcile_id = fields.Many2one('account.full.reconcile', 'Match.')
reconciled = fields.Boolean('Reconciled')
report_object_id = fields.Many2one('account.report.standard.ledger.report.object')
current = fields.Float(default=0.0, digits=dp.get_precision('Account'), string='Not due')
age_30_days = fields.Float(default=0.0, digits=dp.get_precision('Account'), string='30 days')
age_60_days = fields.Float(default=0.0, digits=dp.get_precision('Account'), string='60 days')
age_90_days = fields.Float(default=0.0, digits=dp.get_precision('Account'), string='90 days')
age_120_days = fields.Float(default=0.0, digits=dp.get_precision('Account'), string='120 days')
older = fields.Float(default=0.0, digits=dp.get_precision('Account'), string='Older')
company_currency_id = fields.Many2one('res.currency')
@api.model
def read_group(self, domain, fields, groupby, offset=0, limit=None, orderby=False, lazy=True):
res = super(AccountStandardLedgerLines, self).read_group(domain, fields, groupby, offset, limit=limit, orderby=orderby, lazy=lazy)
if 'cumul_balance' in fields and 'debit' in fields and 'credit' in fields:
for line in res:
line['cumul_balance'] = line['debit'] - line['credit']
return res
class AccountStandardLedgerReportObject(models.TransientModel):
_name = 'account.report.standard.ledger.report.object'
_order = 'name, id'
name = fields.Char()
object_id = fields.Integer()
report_id = fields.Many2one('account.report.standard.ledger.report')
line_ids = fields.One2many('account.report.standard.ledger.line', 'report_object_id')
account_id = fields.Many2one('account.account', 'Account')
journal_id = fields.Many2one('account.journal', 'Journal')
partner_id = fields.Many2one('res.partner', 'Partner')
class AccountStandardLedger(models.TransientModel):
_name = 'account.report.standard.ledger'
_description = 'Account Standard Ledger'
def _get_periode_date(self):
lang_code = self.env.user.lang or 'en_US'
date_format = self.env['res.lang']._lang_get(lang_code).date_format
today_year = fields.datetime.now().year
last_day = self.company_id.fiscalyear_last_day or 31
last_month = self.company_id.fiscalyear_last_month or 12
periode_obj = self.env['account.report.standard.ledger.periode']
periode_obj.search([]).unlink()
periode_ids = periode_obj
for year in range(today_year, today_year - 4, -1):
date_from = datetime(year - 1, last_month, last_day) + timedelta(days=1)
date_to = datetime(year, last_month, last_day)
user_periode = "%s - %s" % (date_from.strftime(date_format),
date_to.strftime(date_format),
)
vals = {
'name': user_periode,
'date_from': date_from.strftime(DEFAULT_SERVER_DATE_FORMAT),
'date_to': date_to.strftime(DEFAULT_SERVER_DATE_FORMAT), }
periode_ids += periode_obj.create(vals)
return False
name = fields.Char(default='Standard Report')
type_ledger = fields.Selection([('general', 'General Ledger'), ('partner', 'Partner Ledger'), ('journal', 'Journal Ledger'), ('open', 'Open Ledger'), ('aged', 'Aged Balance')], string='Type', default='general', required=True,
help=' * General Ledger : Journal entries group by account\n'
' * Partner Leger : Journal entries group by partner, with only payable/recevable accounts\n'
' * Journal Ledger : Journal entries group by journal, without initial balance\n'
' * Open Ledger : Openning journal at Start date\n')
summary = fields.Boolean('Trial Balance', default=False,
help=' * Check : generate a trial balance.\n'
' * Uncheck : detail report.\n')
amount_currency = fields.Boolean("With Currency", help="It adds the currency column on report if the currency differs from the company currency.")
reconciled = fields.Boolean('With Reconciled Entries', default=True,
help='Only for entrie with a payable/receivable account.\n'
' * Check this box to see un-reconcillied and reconciled entries with payable.\n'
' * Uncheck to see only un-reconcillied entries. Can be use only with parnter ledger.\n')
partner_select_ids = fields.Many2many(comodel_name='res.partner', string='Partners', domain=['|', ('is_company', '=', True), ('parent_id', '=', False)], help='If empty, get all partners')
account_methode = fields.Selection([('include', 'Include'), ('exclude', 'Exclude')], string="Methode")
account_in_ex_clude = fields.Many2many(comodel_name='account.account', string='Accounts', help='If empty, get all accounts')
init_balance_history = fields.Boolean('Initial balance with history.', default=True,
help=' * Check this box if you need to report all the debit and the credit sum before the Start Date.\n'
' * Uncheck this box to report only the balance before the Start Date\n')
company_id = fields.Many2one('res.company', string='Company', readonly=True, default=lambda self: self.env.user.company_id)
company_currency_id = fields.Many2one('res.currency', related='company_id.currency_id', string="Company Currency", readonly=True,
help='Utility field to express amount currency', store=True)
journal_ids = fields.Many2many('account.journal', string='Journals', required=True, default=lambda self: self.env['account.journal'].search([('company_id', '=', self.env.user.company_id.id)]),
help='Select journal, for the Open Ledger you need to set all journals.')
date_from = fields.Date(string='Start Date', help='Use to compute initial balance.')
date_to = fields.Date(string='End Date', help='Use to compute the entrie matched with futur.')
target_move = fields.Selection([('posted', 'All Posted Entries'),
('all', 'All Entries'),
], string='Target Moves', required=True, default='posted')
periode_date = fields.Many2one('account.report.standard.ledger.periode', 'Periode', default=_get_periode_date, help="Auto complete Start and End date.")
month_selec = fields.Selection([(1, '01 Junary'), (2, '02 Febuary'), (3, '03 March'), (4, '04 April'), (5, '05 May'), (6, '06 June'),
(7, '07 Jully'), (8, '08 August'), (9, '09 September'), (10, '10 October'), (11, '11 November'), (12, '12 December')],
string='Month')
result_selection = fields.Selection([('customer', 'Customer'),
('supplier', 'Supplier'),
('customer_supplier', 'Receivable and Payable Accounts')
], string="Partner's", required=True, default='supplier')
report_name = fields.Char('Report Name')
compact_account = fields.Boolean('Compacte account.', default=False)
report_id = fields.Many2one('account.report.standard.ledger.report')
account_ids = fields.Many2many('account.account', relation='table_standard_report_accounts')
partner_ids = fields.Many2many('res.partner', relation='table_standard_report_partner')
type = fields.Selection([('account', 'Account'), ('partner', 'Partner'), ('journal', 'Journal')])
@api.onchange('account_in_ex_clude')
def on_change_summary(self):
if self.account_in_ex_clude:
self.account_methode = 'include'
else:
self.account_methode = False
@api.onchange('type_ledger')
def on_change_type_ledger(self):
if self.type_ledger in ('partner', 'journal', 'open', 'aged'):
self.compact_account = False
if self.type_ledger == 'aged':
self.date_from = False
self.reconciled = False
else:
self.on_change_periode_date()
self.on_change_month_selec()
if self.type_ledger not in ('partner', 'aged',):
self.reconciled = True
return {'domain': {'account_in_ex_clude': []}}
self.account_in_ex_clude = False
if self.result_selection == 'suplier':
return {'domain': {'account_in_ex_clude': [('type_third_parties', '=', 'supplier')]}}
if self.result_selection == 'customer':
return {'domain': {'account_in_ex_clude': [('type_third_parties', '=', 'customer')]}}
return {'domain': {'account_in_ex_clude': [('type_third_parties', 'in', ('supplier', 'customer'))]}}
@api.onchange('periode_date')
def on_change_periode_date(self):
if self.periode_date:
self.date_from = self.periode_date.date_from
self.date_to = self.periode_date.date_to
if self.month_selec:
self.on_change_month_selec()
@api.onchange('month_selec')
def on_change_month_selec(self):
if self.periode_date and self.month_selec:
date_from = datetime.strptime(self.periode_date.date_from, DEFAULT_SERVER_DATETIME_FORMAT)
date_from = datetime(date_from.year, self.month_selec, 1)
date_to = datetime(date_from.year, self.month_selec, calendar.monthrange(date_from.year, self.month_selec)[1])
self.date_from = date_from.strftime(DEFAULT_SERVER_DATE_FORMAT)
self.date_to = date_to.strftime(DEFAULT_SERVER_DATE_FORMAT)
elif self.periode_date and not self.month_selec:
self.on_change_periode_date()
def action_view_lines(self):
self.ensure_one()
self._compute_data()
return {
'name': _("Ledger Lines"),
'view_type': 'form',
'view_mode': 'tree,form',
'views': [(self.env.ref('account_standard_report.view_aged_tree').id if self.type_ledger == 'aged' else False, 'tree'), (False, 'form')],
'res_model': 'account.report.standard.ledger.line',
'type': 'ir.actions.act_window',
'domain': "[('report_id','=',%s),('type','not in',('5_super_total','4_total'))]" % (self.report_id.id),
'context': {'search_default_%s' % self.type_ledger: 1, 'read_report_id': self.report_id.id},
'target': 'current',
}
def print_pdf_report(self):
self.ensure_one()
self._compute_data()
return self.env['report'].get_action(self, 'account_standard_report.report_account_standard_report')
def print_excel_report(self):
self.ensure_one()
self._compute_data()
return self.env['report'].get_action(self, 'account_standard_report.report_account_standard_excel')
def _pre_compute(self):
lang_code = self.env.context.get('lang') or 'en_US'
date_format = self.env['res.lang']._lang_get(lang_code).date_format
time_format = self.env['res.lang']._lang_get(lang_code).time_format
vals = {'report_name': self._get_name_report(),
'name': self._get_name_report(),
'print_time': '%s' % fields.Datetime.context_timestamp(self.with_context(tz=self.env.user.tz), datetime.now()).strftime(('%s %s') % (date_format, time_format)),
'date_to': self.date_to if self.date_to else "2099-01-01",
'date_from': self.date_from if self.date_from else "1970-01-01",
}
self.report_id = self.env['account.report.standard.ledger.report'].create(vals)
self.account_ids = self._search_account()
self.partner_ids = self._search_partner()
if self.type_ledger in ('general', 'open'):
self.type = 'account'
elif self.type_ledger in ('partner', 'aged'):
self.type = 'partner'
else:
self.type = 'journal'
if self.type_ledger in ('partner', 'journal', 'open', 'aged'):
self.compact_account = False
if self.type_ledger not in ('partner', 'aged',):
self.reconciled = True
self.partner_select_ids = False
def _compute_data(self):
if not self.user_has_groups('account.group_account_user'):
raise UserError(_('Your are not an accountant !'))
self._pre_compute()
self._sql_report_object()
if self.type == 'account':
self._sql_unaffected_earnings()
if self.type in ('account, partner'):
if self.type_ledger != 'aged':
self._sql_init_balance()
self._sql_lines()
if self.compact_account and self.type_ledger == 'general':
self._sql_lines_compacted()
self._sql_total()
self._sql_super_total()
self.refresh()
# complet total line
line_obj = self.env['account.report.standard.ledger.line']
self.report_id.line_total_ids = line_obj.search([('report_id', '=', self.report_id.id), ('type', '=', '4_total')])
self.report_id.line_super_total_id = line_obj.search([('report_id', '=', self.report_id.id), ('type', '=', '5_super_total')], limit=1)
self._format_total()
def _sql_report_object(self):
query = """INSERT INTO account_report_standard_ledger_report_object
(report_id, create_uid, create_date, object_id, name, account_id, partner_id, journal_id)
SELECT DISTINCT
%s AS report_id,
%s AS create_uid,
NOW() AS create_date,
CASE
WHEN %s = 'account' THEN aml.account_id
WHEN %s = 'partner' THEN aml.partner_id
ELSE aml.journal_id
END AS object_id,
CASE
WHEN %s = 'account' THEN acc.code || ' ' || acc.name
WHEN %s = 'partner' THEN CASE WHEN rep.ref IS NULL THEN rep.name ELSE rep.ref || ' ' || rep.name END
ELSE acj.code || ' ' || acj.name
END AS name,
CASE WHEN %s = 'account' THEN aml.account_id ELSE NULL END AS account_id,
CASE WHEN %s = 'partner' THEN aml.partner_id ELSE NULL END AS partner_id,
CASE WHEN %s = 'journal' THEN aml.journal_id ELSE NULL END AS journal_id
FROM
account_move_line aml
LEFT JOIN account_account acc ON (acc.id = aml.account_id)
LEFT JOIN res_partner rep ON (rep.id = aml.partner_id)
LEFT JOIN account_journal acj ON (acj.id = aml.journal_id)
WHERE
aml.company_id = %s
AND aml.journal_id IN %s
AND aml.account_id IN %s
AND (%s in ('account', 'journal') OR aml.partner_id IN %s)
ORDER BY
name
"""
params = [
# SELECT
self.report_id.id,
self.env.uid,
self.type, self.type, self.type, self.type,
self.type, self.type, self.type,
# WHERE
self.company_id.id,
tuple(self.journal_ids.ids) if self.journal_ids else (None,),
tuple(self.account_ids.ids) if self.account_ids else (None,),
self.type,
tuple(self.partner_ids.ids) if self.partner_ids else (None,),
]
self.env.cr.execute(query, tuple(params))
def _sql_unaffected_earnings(self):
company = self.company_id
unaffected_earnings_account = self.env['account.account'].search([('company_id', '=', company.id), ('user_type_id', '=', self.env.ref('account.data_unaffected_earnings').id)], limit=1)
if unaffected_earnings_account not in self.account_ids:
return
report_object_id = self.report_id.report_object_ids.filtered(lambda x: x.object_id == unaffected_earnings_account.id)
if not report_object_id:
report_object_id = self.report_id.report_object_ids.create({'report_id': self.report_id.id,
'object_id': unaffected_earnings_account.id,
'name': '%s %s' % (unaffected_earnings_account.code, unaffected_earnings_account.name),
'account_id': unaffected_earnings_account.id})
query = """
INSERT INTO account_report_standard_ledger_line
(report_id, create_uid, create_date, account_id, type, type_view, date, debit, credit, balance, cumul_balance, company_currency_id, reconciled, report_object_id)
SELECT
%s AS report_id,
%s AS create_uid,
NOW() AS create_date,
%s AS account_id,
'0_init' AS type,
'init' AS type_view,
%s AS date,
CASE WHEN %s THEN COALESCE(SUM(aml.debit), 0) ELSE CASE WHEN COALESCE(SUM(aml.balance), 0) <= 0 THEN 0 ELSE COALESCE(SUM(aml.balance), 0) END END AS debit,
CASE WHEN %s THEN COALESCE(SUM(aml.credit), 0) ELSE CASE WHEN COALESCE(SUM(aml.balance), 0) >= 0 THEN 0 ELSE COALESCE(-SUM(aml.balance), 0) END END AS credit,
COALESCE(SUM(aml.balance), 0) AS balance,
COALESCE(SUM(aml.balance), 0) AS cumul_balance,
%s AS company_currency_id,
FALSE as reconciled,
%s AS report_object_id
FROM
account_move_line aml
LEFT JOIN account_account acc ON (aml.account_id = acc.id)
LEFT JOIN account_account_type acc_type ON (acc.user_type_id = acc_type.id)
LEFT JOIN account_move m ON (aml.move_id = m.id)
WHERE
m.state IN %s
AND aml.company_id = %s
AND aml.date < %s
AND acc_type.include_initial_balance = FALSE
HAVING
CASE
WHEN %s = FALSE THEN ABS(SUM(aml.balance)) > %s
ELSE ABS(SUM(aml.debit)) > %s OR ABS(SUM(aml.debit)) > %s OR ABS(SUM(aml.balance)) > %s
END
"""
date_from_fiscal = self.company_id.compute_fiscalyear_dates(datetime.strptime(self.report_id.date_from, DEFAULT_SERVER_DATE_FORMAT))['date_from']
params = [
# SELECT
self.report_id.id,
self.env.uid,
unaffected_earnings_account.id,
date_from_fiscal,
self.init_balance_history,
self.init_balance_history,
self.company_currency_id.id,
report_object_id.id,
# WHERE
('posted',) if self.target_move == 'posted' else ('posted', 'draft',),
company.id,
self.report_id.date_from,
# HAVING
self.init_balance_history,
self.company_currency_id.rounding, self.company_currency_id.rounding, self.company_currency_id.rounding, self.company_currency_id.rounding,
]
self.env.cr.execute(query, tuple(params))
def _sql_init_balance(self):
company = self.company_id
# initial balance partner
query = """
INSERT INTO account_report_standard_ledger_line
(report_id, create_uid, create_date, account_id, partner_id, group_by_key, type, type_view, date, debit, credit, balance, cumul_balance, company_currency_id, reconciled, report_object_id)
WITH matching_in_futur_before_init (id) AS
(
SELECT DISTINCT
afr.id as id
FROM
account_full_reconcile afr
INNER JOIN account_move_line aml ON aml.full_reconcile_id=afr.id
WHERE
aml.company_id = %s
AND aml.date >= %s
)
SELECT
%s AS report_id,
%s AS create_uid,
NOW() AS create_date,
MIN(aml.account_id),
CASE WHEN %s = 'partner' THEN MIN(aml.partner_id) ELSE NULL END,
(CASE
WHEN %s = 'account' THEN '-' || aml.account_id
ELSE aml.partner_id || '-' || aml.account_id
END) AS group_by_key,
'0_init' AS type,
'init' AS type_view,
%s AS date,
CASE WHEN %s THEN COALESCE(SUM(aml.debit), 0) ELSE CASE WHEN COALESCE(SUM(aml.balance), 0) <= 0 THEN 0 ELSE COALESCE(SUM(aml.balance), 0) END END AS debit,
CASE WHEN %s THEN COALESCE(SUM(aml.credit), 0) ELSE CASE WHEN COALESCE(SUM(aml.balance), 0) >= 0 THEN 0 ELSE COALESCE(-SUM(aml.balance), 0) END END AS credit,
COALESCE(SUM(aml.balance), 0) AS balance,
COALESCE(SUM(aml.balance), 0) AS cumul_balance,
%s AS company_currency_id,
FALSE as reconciled,
MIN(ro.id) AS report_object_id
FROM
account_report_standard_ledger_report_object ro
INNER JOIN account_move_line aml ON (CASE WHEN %s = 'account' THEN aml.account_id = ro.object_id ELSE aml.partner_id = ro.object_id END)
LEFT JOIN account_account acc ON (aml.account_id = acc.id)
LEFT JOIN account_account_type acc_type ON (acc.user_type_id = acc_type.id)
LEFT JOIN account_move m ON (aml.move_id = m.id)
LEFT JOIN matching_in_futur_before_init mif ON (aml.full_reconcile_id = mif.id)
WHERE
m.state IN %s
AND ro.report_id = %s
AND aml.company_id = %s
AND aml.date < %s
AND acc_type.include_initial_balance = TRUE
AND aml.journal_id IN %s
AND aml.account_id IN %s
AND (%s in ('account', 'journal') OR aml.partner_id IN %s)
AND ((%s AND acc.compacted = TRUE) OR acc.type_third_parties = 'no' OR (aml.full_reconcile_id IS NOT NULL AND mif.id IS NULL))
GROUP BY
group_by_key
HAVING
CASE
WHEN %s = FALSE THEN ABS(SUM(aml.balance)) > %s
ELSE ABS(SUM(aml.debit)) > %s OR ABS(SUM(aml.debit)) > %s OR ABS(SUM(aml.balance)) > %s
END
"""
params = [
# matching_in_futur
company.id,
self.report_id.date_from,
# init_account_table
# SELECT
self.report_id.id,
self.env.uid,
self.type, self.type,
self.report_id.date_from,
self.init_balance_history,
self.init_balance_history,
self.company_currency_id.id,
# FROM
self.type,
# WHERE
('posted',) if self.target_move == 'posted' else ('posted', 'draft',),
self.report_id.id,
company.id,
self.report_id.date_from,
tuple(self.journal_ids.ids) if self.journal_ids else (None,),
tuple(self.account_ids.ids) if self.account_ids else (None,),
self.type,
tuple(self.partner_ids.ids) if self.partner_ids else (None,),
self.compact_account,
# HAVING
self.init_balance_history,
self.company_currency_id.rounding, self.company_currency_id.rounding, self.company_currency_id.rounding, self.company_currency_id.rounding,
]
self.env.cr.execute(query, tuple(params))
def _sql_lines(self):
# lines_table
query = """
INSERT INTO account_report_standard_ledger_line
(report_id, create_uid, create_date, account_id, type, type_view, journal_id, partner_id, move_id, move_line_id, date, date_maturity, debit, credit, balance, full_reconcile_id, reconciled, report_object_id, cumul_balance, current, age_30_days, age_60_days, age_90_days, age_120_days, older, company_currency_id)
WITH matching_in_futur_before_init (id) AS
(
SELECT DISTINCT
afr.id AS id
FROM
account_full_reconcile afr
INNER JOIN account_move_line aml ON aml.full_reconcile_id=afr.id
WHERE
aml.company_id = %s
AND aml.date >= %s
),
matching_in_futur_after_date_to (id) AS
(
SELECT DISTINCT
afr.id AS id
FROM
account_full_reconcile afr
INNER JOIN account_move_line aml ON aml.full_reconcile_id = afr.id
WHERE
aml.company_id = %s
AND aml.date > %s
),
initial_balance (id, balance) AS
(
SELECT
MIN(report_object_id) AS id,
COALESCE(SUM(balance), 0) AS balance
FROM
account_report_standard_ledger_line
WHERE
report_id = %s
AND type = '0_init'
GROUP BY
report_object_id
),
date_range AS
(
SELECT
%s AS date_current,
DATE %s - INTEGER '30' AS date_less_30_days,
DATE %s - INTEGER '60' AS date_less_60_days,
DATE %s - INTEGER '90' AS date_less_90_days,
DATE %s - INTEGER '120' AS date_less_120_days,
DATE %s - INTEGER '150' AS date_older
)
SELECT
%s AS report_id,
%s AS create_uid,
NOW() AS create_date,
aml.account_id,
CASE WHEN aml.date >= %s THEN '2_line' ELSE '1_init_line' END AS type,
CASE WHEN aml.date >= %s THEN 'normal' ELSE 'init' END AS type_view,
aml.journal_id,
aml.partner_id,
aml.move_id,
aml.id,
aml.date,
aml.date_maturity,
aml.debit,
aml.credit,
aml.balance,
aml.full_reconcile_id,
CASE WHEN aml.full_reconcile_id is NOT NULL AND NOT mifad.id IS NOT NULL THEN TRUE ELSE FALSE END AS reconciled,
ro.id AS report_object_id,
CASE
WHEN %s = 'account' THEN COALESCE(init.balance, 0) + (SUM(aml.balance) OVER (PARTITION BY aml.account_id ORDER BY aml.account_id, aml.date, aml.id))
WHEN %s = 'partner' THEN COALESCE(init.balance, 0) + (SUM(aml.balance) OVER (PARTITION BY aml.partner_id ORDER BY aml.partner_id, aml.date, aml.id))
ELSE SUM(aml.balance) OVER (PARTITION BY aml.journal_id ORDER BY aml.journal_id, aml.date, aml.id)
END AS cumul_balance,
CASE WHEN aml.date_maturity > date_range.date_less_30_days THEN aml.balance END AS current,
CASE WHEN aml.date_maturity > date_range.date_less_60_days AND aml.date_maturity <= date_range.date_less_30_days THEN aml.balance END AS age_30_days,
CASE WHEN aml.date_maturity > date_range.date_less_90_days AND aml.date_maturity <= date_range.date_less_60_days THEN aml.balance END AS age_60_days,
CASE WHEN aml.date_maturity > date_range.date_less_120_days AND aml.date_maturity <= date_range.date_less_90_days THEN aml.balance END AS age_90_days,
CASE WHEN aml.date_maturity > date_range.date_older AND aml.date_maturity <= date_range.date_less_120_days THEN aml.balance END AS age_120_days,
CASE WHEN aml.date_maturity <= date_range.date_older THEN aml.balance END AS older,
%s AS company_currency_id
FROM
date_range,
account_report_standard_ledger_report_object ro
INNER JOIN account_move_line aml ON (
CASE
WHEN %s = 'account' THEN aml.account_id = ro.object_id
WHEN %s = 'partner' THEN aml.partner_id = ro.object_id
ELSE aml.journal_id = ro.object_id
END)
LEFT JOIN account_journal j ON (aml.journal_id = j.id)
LEFT JOIN account_account acc ON (aml.account_id = acc.id)
LEFT JOIN account_account_type acc_type ON (acc.user_type_id = acc_type.id)
LEFT JOIN account_move m ON (aml.move_id = m.id)
LEFT JOIN matching_in_futur_before_init mif ON (aml.full_reconcile_id = mif.id)
LEFT JOIN matching_in_futur_after_date_to mifad ON (aml.full_reconcile_id = mifad.id)
LEFT JOIN initial_balance init ON (ro.id = init.id)
WHERE
m.state IN %s
AND ro.report_id = %s
AND aml.company_id = %s
AND (CASE
WHEN %s = 'journal' THEN aml.date >= %s
WHEN aml.date >= %s THEN %s != 'open'
ELSE acc.type_third_parties IN ('supplier', 'customer') AND (aml.full_reconcile_id IS NULL OR mif.id IS NOT NULL)
END)
AND aml.date <= %s
AND aml.journal_id IN %s
AND aml.account_id IN %s
AND (%s IN ('account','journal') OR aml.partner_id IN %s)
AND NOT (%s AND acc.compacted = TRUE)
AND (%s OR NOT (aml.full_reconcile_id is NOT NULL AND NOT mifad.id IS NOT NULL))
ORDER BY
aml.date, aml.id
"""
params = [
# matching_in_futur init
self.company_id.id,
self.report_id.date_from,
# matching_in_futur date_to
self.company_id.id,
self.report_id.date_to,
# initial_balance
self.report_id.id,
# date_range
self.report_id.date_to, self.report_id.date_to, self.report_id.date_to, self.report_id.date_to, self.report_id.date_to, self.report_id.date_to,
# lines_table
# SELECT
self.report_id.id,
self.env.uid,
self.report_id.date_from,
self.report_id.date_from,
self.type, self.type,
self.company_currency_id.id,
# FROM
self.type, self.type,
# WHERE
('posted',) if self.target_move == 'posted' else ('posted', 'draft',),
self.report_id.id,
self.company_id.id,
self.type, self.report_id.date_from,
self.report_id.date_from, self.type_ledger,
self.report_id.date_to,
tuple(self.journal_ids.ids) if self.journal_ids else (None,),
tuple(self.account_ids.ids) if self.account_ids else (None,),
self.type,
tuple(self.partner_ids.ids) if self.partner_ids else (None,),
self.compact_account,
self.reconciled,
]
self.env.cr.execute(query, tuple(params))
def _sql_lines_compacted(self):
query = """
INSERT INTO account_report_standard_ledger_line
(report_id, create_uid, create_date, account_id, type, type_view, date, debit, credit, balance, cumul_balance, company_currency_id, report_object_id)
WITH initial_balance (id, balance) AS
(
SELECT
MIN(report_object_id) AS id,
COALESCE(SUM(balance), 0) AS balance
FROM
account_report_standard_ledger_line
WHERE
report_id = %s
AND type = '0_init'
GROUP BY
report_object_id
)
SELECT
%s AS report_id,
%s AS create_uid,
NOW() AS create_date,
MIN(aml.account_id) AS account_id,
'3_compact' AS type,
'normal' AS type_view,
%s AS date,
COALESCE(SUM(aml.debit), 0) AS debit,
COALESCE(SUM(aml.credit), 0) AS credit,
COALESCE(SUM(aml.balance), 0) AS balance,
COALESCE(MIN(init.balance), 0) + COALESCE(SUM(aml.balance), 0) AS cumul_balance,
%s AS company_currency_id,
MIN(ro.id) AS report_object_id
FROM
account_report_standard_ledger_report_object ro
INNER JOIN account_move_line aml ON (aml.account_id = ro.object_id)
LEFT JOIN account_journal j ON (aml.journal_id = j.id)
LEFT JOIN account_account acc ON (aml.account_id = acc.id)
LEFT JOIN account_account_type acc_type ON (acc.user_type_id = acc_type.id)
LEFT JOIN account_move m ON (aml.move_id = m.id)
LEFT JOIN initial_balance init ON (ro.id = init.id)
WHERE
m.state IN %s
AND ro.report_id = %s
AND aml.company_id = %s
AND aml.date >= %s
AND aml.date <= %s
AND aml.journal_id IN %s
AND aml.account_id IN %s
AND (%s AND acc.compacted = TRUE)
GROUP BY
aml.account_id
"""
params = [
# initial_balance
self.report_id.id,
# SELECT
self.report_id.id,
self.env.uid,
self.report_id.date_from,
self.company_currency_id.id,
# FROM
# WHERE
('posted',) if self.target_move == 'posted' else ('posted', 'draft',),
self.report_id.id,
self.company_id.id,
self.report_id.date_from,
self.report_id.date_to,
tuple(self.journal_ids.ids) if self.journal_ids else (None,),
tuple(self.account_ids.ids) if self.account_ids else (None,),
self.compact_account,
]
self.env.cr.execute(query, tuple(params))
def _sql_total(self):
query = """
INSERT INTO account_report_standard_ledger_line
(report_id, create_uid, create_date, account_id, partner_id, journal_id, type, type_view, date, debit, credit, balance, cumul_balance, report_object_id, current, age_30_days, age_60_days, age_90_days, age_120_days, older, company_currency_id)
SELECT
%s AS report_id,
%s AS create_uid,
NOW() AS create_date,
CASE WHEN %s = 'account' THEN MIN(account_id) ELSE NULL END AS account_id,
CASE WHEN %s = 'partner' THEN MIN(partner_id) ELSE NULL END AS partner_id,
CASE WHEN %s = 'journal' THEN MIN(journal_id) ELSE NULL END AS journal_id,
'4_total' AS type,
'total' AS type_view,
%s AS date,
COALESCE(SUM(debit), 0) AS debit,
COALESCE(SUM(credit), 0) AS credit,
COALESCE(SUM(balance), 0) AS balance,
COALESCE(SUM(balance), 0) AS cumul_balance,
MIN(report_object_id) AS report_object_id,
COALESCE(SUM(current), 0) AS current,
COALESCE(SUM(age_30_days), 0) AS age_30_days,
COALESCE(SUM(age_60_days), 0) AS age_60_days,
COALESCE(SUM(age_90_days), 0) AS age_90_days,
COALESCE(SUM(age_120_days), 0) AS age_120_days,
COALESCE(SUM(older), 0) AS older,
%s AS company_currency_id
FROM
account_report_standard_ledger_line
WHERE
report_id = %s
AND report_object_id IS NOT NULL
GROUP BY
report_object_id
ORDER BY
report_object_id
"""
params = [
# SELECT
self.report_id.id,
self.env.uid,
self.type, self.type, self.type,
self.report_id.date_from,
self.company_currency_id.id,
# WHERE
self.report_id.id,
]
self.env.cr.execute(query, tuple(params))
def _sql_super_total(self):
query = """
INSERT INTO account_report_standard_ledger_line
(report_id, create_uid, create_date, type, type_view, date, debit, credit, balance, cumul_balance, current, age_30_days, age_60_days, age_90_days, age_120_days, older, company_currency_id)
SELECT
%s AS report_id,
%s AS create_uid,
NOW() AS create_date,
'5_super_total' AS type,
'total' AS type_view,
%s AS date,
COALESCE(SUM(debit), 0) AS debit,
COALESCE(SUM(credit), 0) AS credit,
COALESCE(SUM(balance), 0) AS balance,
COALESCE(SUM(balance), 0) AS cumul_balance,
COALESCE(SUM(current), 0) AS current,
COALESCE(SUM(age_30_days), 0) AS age_30_days,
COALESCE(SUM(age_60_days), 0) AS age_60_days,
COALESCE(SUM(age_90_days), 0) AS age_90_days,
COALESCE(SUM(age_120_days), 0) AS age_120_days,
COALESCE(SUM(older), 0) AS older,
%s AS company_currency_id
FROM
account_report_standard_ledger_line
WHERE
report_id = %s
AND type = '4_total'
"""
params = [
# SELECT
self.report_id.id,
self.env.uid,
self.report_id.date_from,
self.company_currency_id.id,
self.report_id.id,
]
self.env.cr.execute(query, tuple(params))
def _search_account(self):
type_ledger = self.type_ledger
domain = [('deprecated', '=', False), ('company_id', '=', self.company_id.id)]
if type_ledger in ('partner', 'aged',):
result_selection = self.result_selection
if result_selection == 'supplier':
acc_type = ('supplier',)
elif result_selection == 'customer':
acc_type = ('customer',)
else:
acc_type = ('supplier', 'customer',)
domain.append(('type_third_parties', 'in', acc_type))
account_in_ex_clude = self.account_in_ex_clude.ids
acc_methode = self.account_methode
if account_in_ex_clude:
if acc_methode == 'include':
domain.append(('id', 'in', account_in_ex_clude))
elif acc_methode == 'exclude':
domain.append(('id', 'not in', account_in_ex_clude))
return self.env['account.account'].search(domain)
def _search_partner(self):
if self.type_ledger in ('partner', 'aged'):
if self.partner_select_ids:
return self.partner_select_ids
return self.env['res.partner'].search([])
return False
def _get_name_report(self):
report_name = D_LEDGER[self.type_ledger]['name']
if self.summary:
report_name += _(' Balance')
return report_name
def _sql_get_line_for_report(self, type_l, report_object=None):
query = """SELECT
aml.report_object_id AS report_object_id,
aml.type_view AS type_view,
CASE
WHEN %s = 'account' THEN acc.code
WHEN %s = 'journal' THEN acj.code
ELSE rep.ref
END AS code,
CASE
WHEN %s = 'account' THEN acc.name
WHEN %s = 'journal' THEN acj.name
ELSE rep.name
END AS name,
acj.code AS j_code,
acc.code AS a_code,
acc.name AS a_name,
aml.current AS current,
aml.age_30_days AS age_30_days,
aml.age_60_days AS age_60_days,
aml.age_90_days AS age_90_days,
aml.age_120_days AS age_120_days,
aml.older AS older,
aml.credit AS credit,
aml.debit AS debit,
aml.cumul_balance AS cumul_balance,
aml.balance AS balance,
ml.name AS move_name,
ml.ref AS displayed_name,
rep.name AS partner_name,
aml.date AS date,
aml.date_maturity AS date_maturity,
CASE
WHEN aml.full_reconcile_id IS NOT NULL THEN (CASE WHEN aml.reconciled = TRUE THEN afr.name ELSE '*' END)
ELSE ''
END AS matching_number
FROM
account_report_standard_ledger_line aml
LEFT JOIN account_account acc ON (acc.id = aml.account_id)
LEFT JOIN account_journal acj ON (acj.id = aml.journal_id)
LEFT JOIN res_partner rep ON (rep.id = aml.partner_id)
LEFT JOIN account_move ml ON (ml.id = aml.move_id)
LEFT JOIN account_full_reconcile afr ON (aml.full_reconcile_id = afr.id)
WHERE
aml.report_id = %s
AND (%s OR aml.report_object_id = %s)
AND aml.type IN %s
ORDER BY
aml.id
"""
params = [
self.type, self.type, self.type, self.type,
self.report_id.id,
True if report_object is None else False,
report_object,
type_l
]
self.env.cr.execute(query, tuple(params))
return self.env.cr.dictfetchall()
def _format_total(self):
if not self.company_currency_id:
return
lines = self.report_id.line_total_ids + self.report_id.line_super_total_id
for line in lines:
line.write({
'debit': self.company_currency_id.round(line.debit) + 0.0,
'credit': self.company_currency_id.round(line.credit) + 0.0,
'balance': self.company_currency_id.round(line.balance) + 0.0,
'current': self.company_currency_id.round(line.current) + 0.0,
'age_30_days': self.company_currency_id.round(line.age_30_days) + 0.0,
'age_60_days': self.company_currency_id.round(line.age_60_days) + 0.0,
'age_90_days': self.company_currency_id.round(line.age_90_days) + 0.0,
'age_120_days': self.company_currency_id.round(line.age_120_days) + 0.0,
'older': self.company_currency_id.round(line.older) + 0.0,
})

70
wizard/account_standard_report_view.xml

@ -0,0 +1,70 @@
<?xml version="1.0" encoding="UTF-8"?>
<odoo>
<data>
<record id="account_report_standard_view" model="ir.ui.view">
<field name="name">Standard Ledger</field>
<field name="model">account.report.standard.ledger</field>
<field name="arch" type="xml">
<form string="Report Options" class="oe_form_configuration">
<header>
<button name="action_view_lines" string="View Lines" type="object"/>
<button name="print_pdf_report" string="Print PDF" type="object" default_focus="1" class="oe_highlight"/>
<button name="print_excel_report" string="Excel File" type="object"/>
</header>
<field name="company_id" invisible="1"/>
<h1>Standard Accounting Report</h1>
<group col="4">
<field name="type_ledger" widget="radio"/>
<field name="summary"/>
</group>
<group col="4">
<field name="target_move"/>
<field name="reconciled" attrs="{'readonly': [('type_ledger', 'not in', ('partner', 'aged',))]}"/>
<field name="compact_account" attrs="{'readonly': [('type_ledger', '!=', 'general')]}"/>
<field name="result_selection" attrs="{'invisible': [('type_ledger', 'not in', ('partner', 'aged',))]}"/>
</group>
<group col="4">
<field name="periode_date" widget="selection"/>
<field name="month_selec" widget="selection"/>
</group>
<group col="2">
<group>
<field name="date_from"/>
</group>
<group>
<field name="date_to"/>
</group>
</group>
<group>
<field name="journal_ids" widget="many2many_tags" options="{'no_create': True}"/>
</group>
<group col="3">
<field name="partner_select_ids" widget="many2many_tags" options="{'no_create': True}" attrs="{'invisible': [('type_ledger', 'not in', ('partner', 'aged',))]}"/>
</group>
<group col="4">
<field name="account_in_ex_clude" widget="many2many_tags" options="{'no_create': True}"/>
<field name="account_methode" attrs="{'invisible':[('account_in_ex_clude', '=', [])]}"/>
</group>
<group col="4">
<field name="init_balance_history"/>
<field name="company_currency_id"/>
<field name="company_id"/>
</group>
</form>
</field>
</record>
<record id="action_account_standard_report_menu" model="ir.actions.act_window">
<field name="name">Standard Report</field>
<field name="type">ir.actions.act_window</field>
<field name="res_model">account.report.standard.ledger</field>
<field name="view_type">form</field>
<field name="view_mode">form</field>
<field name="view_id" ref="account_report_standard_view"/>
<field name="target">inline</field>
</record>
<menuitem id="menu_account_standard_report" name="Standard Report" sequence="0" parent="account.menu_finance_reports" action="action_account_standard_report_menu" groups="account.group_account_manager,account.group_account_user"/>
</data>
</odoo>
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