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Squashed 'account_standard_report/' content from commit 6ca1a80
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
21 changed files with 4102 additions and 0 deletions
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88.gitignore
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674LICENSE
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53README.md
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5__init__.py
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22__manifest__.py
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30data/data_account_standard_report.xml
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18data/report_paperformat.xml
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571i18n/account_standard_report.pot
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591i18n/fr.po
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11migrations/10.0.1.1/post-00-regenrate-shorted.py
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3models/__init__.py
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10models/account.py
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3report/__init__.py
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472report/report_account_standard_excel.py
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353report/report_account_standard_report.xml
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BINstatic/description/icon.png
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137views/account_standard.xml
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15views/account_view.xml
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3wizard/__init__.py
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973wizard/account_standard_report.py
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70wizard/account_standard_report_view.xml
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# Byte-compiled / optimized / DLL files |
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# PyInstaller |
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Additional terms, permissive or non-permissive, may be stated in the |
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form of a separately written license, or stated as exceptions; |
|||
the above requirements apply either way. |
|||
|
|||
8. Termination. |
|||
|
|||
You may not propagate or modify a covered work except as expressly |
|||
provided under this License. Any attempt otherwise to propagate or |
|||
modify it is void, and will automatically terminate your rights under |
|||
this License (including any patent licenses granted under the third |
|||
paragraph of section 11). |
|||
|
|||
However, if you cease all violation of this License, then your |
|||
license from a particular copyright holder is reinstated (a) |
|||
provisionally, unless and until the copyright holder explicitly and |
|||
finally terminates your license, and (b) permanently, if the copyright |
|||
holder fails to notify you of the violation by some reasonable means |
|||
prior to 60 days after the cessation. |
|||
|
|||
Moreover, your license from a particular copyright holder is |
|||
reinstated permanently if the copyright holder notifies you of the |
|||
violation by some reasonable means, this is the first time you have |
|||
received notice of violation of this License (for any work) from that |
|||
copyright holder, and you cure the violation prior to 30 days after |
|||
your receipt of the notice. |
|||
|
|||
Termination of your rights under this section does not terminate the |
|||
licenses of parties who have received copies or rights from you under |
|||
this License. If your rights have been terminated and not permanently |
|||
reinstated, you do not qualify to receive new licenses for the same |
|||
material under section 10. |
|||
|
|||
9. Acceptance Not Required for Having Copies. |
|||
|
|||
You are not required to accept this License in order to receive or |
|||
run a copy of the Program. Ancillary propagation of a covered work |
|||
occurring solely as a consequence of using peer-to-peer transmission |
|||
to receive a copy likewise does not require acceptance. However, |
|||
nothing other than this License grants you permission to propagate or |
|||
modify any covered work. These actions infringe copyright if you do |
|||
not accept this License. Therefore, by modifying or propagating a |
|||
covered work, you indicate your acceptance of this License to do so. |
|||
|
|||
10. Automatic Licensing of Downstream Recipients. |
|||
|
|||
Each time you convey a covered work, the recipient automatically |
|||
receives a license from the original licensors, to run, modify and |
|||
propagate that work, subject to this License. You are not responsible |
|||
for enforcing compliance by third parties with this License. |
|||
|
|||
An "entity transaction" is a transaction transferring control of an |
|||
organization, or substantially all assets of one, or subdividing an |
|||
organization, or merging organizations. If propagation of a covered |
|||
work results from an entity transaction, each party to that |
|||
transaction who receives a copy of the work also receives whatever |
|||
licenses to the work the party's predecessor in interest had or could |
|||
give under the previous paragraph, plus a right to possession of the |
|||
Corresponding Source of the work from the predecessor in interest, if |
|||
the predecessor has it or can get it with reasonable efforts. |
|||
|
|||
You may not impose any further restrictions on the exercise of the |
|||
rights granted or affirmed under this License. For example, you may |
|||
not impose a license fee, royalty, or other charge for exercise of |
|||
rights granted under this License, and you may not initiate litigation |
|||
(including a cross-claim or counterclaim in a lawsuit) alleging that |
|||
any patent claim is infringed by making, using, selling, offering for |
|||
sale, or importing the Program or any portion of it. |
|||
|
|||
11. Patents. |
|||
|
|||
A "contributor" is a copyright holder who authorizes use under this |
|||
License of the Program or a work on which the Program is based. The |
|||
work thus licensed is called the contributor's "contributor version". |
|||
|
|||
A contributor's "essential patent claims" are all patent claims |
|||
owned or controlled by the contributor, whether already acquired or |
|||
hereafter acquired, that would be infringed by some manner, permitted |
|||
by this License, of making, using, or selling its contributor version, |
|||
but do not include claims that would be infringed only as a |
|||
consequence of further modification of the contributor version. For |
|||
purposes of this definition, "control" includes the right to grant |
|||
patent sublicenses in a manner consistent with the requirements of |
|||
this License. |
|||
|
|||
Each contributor grants you a non-exclusive, worldwide, royalty-free |
|||
patent license under the contributor's essential patent claims, to |
|||
make, use, sell, offer for sale, import and otherwise run, modify and |
|||
propagate the contents of its contributor version. |
|||
|
|||
In the following three paragraphs, a "patent license" is any express |
|||
agreement or commitment, however denominated, not to enforce a patent |
|||
(such as an express permission to practice a patent or covenant not to |
|||
sue for patent infringement). To "grant" such a patent license to a |
|||
party means to make such an agreement or commitment not to enforce a |
|||
patent against the party. |
|||
|
|||
If you convey a covered work, knowingly relying on a patent license, |
|||
and the Corresponding Source of the work is not available for anyone |
|||
to copy, free of charge and under the terms of this License, through a |
|||
publicly available network server or other readily accessible means, |
|||
then you must either (1) cause the Corresponding Source to be so |
|||
available, or (2) arrange to deprive yourself of the benefit of the |
|||
patent license for this particular work, or (3) arrange, in a manner |
|||
consistent with the requirements of this License, to extend the patent |
|||
license to downstream recipients. "Knowingly relying" means you have |
|||
actual knowledge that, but for the patent license, your conveying the |
|||
covered work in a country, or your recipient's use of the covered work |
|||
in a country, would infringe one or more identifiable patents in that |
|||
country that you have reason to believe are valid. |
|||
|
|||
If, pursuant to or in connection with a single transaction or |
|||
arrangement, you convey, or propagate by procuring conveyance of, a |
|||
covered work, and grant a patent license to some of the parties |
|||
receiving the covered work authorizing them to use, propagate, modify |
|||
or convey a specific copy of the covered work, then the patent license |
|||
you grant is automatically extended to all recipients of the covered |
|||
work and works based on it. |
|||
|
|||
A patent license is "discriminatory" if it does not include within |
|||
the scope of its coverage, prohibits the exercise of, or is |
|||
conditioned on the non-exercise of one or more of the rights that are |
|||
specifically granted under this License. You may not convey a covered |
|||
work if you are a party to an arrangement with a third party that is |
|||
in the business of distributing software, under which you make payment |
|||
to the third party based on the extent of your activity of conveying |
|||
the work, and under which the third party grants, to any of the |
|||
parties who would receive the covered work from you, a discriminatory |
|||
patent license (a) in connection with copies of the covered work |
|||
conveyed by you (or copies made from those copies), or (b) primarily |
|||
for and in connection with specific products or compilations that |
|||
contain the covered work, unless you entered into that arrangement, |
|||
or that patent license was granted, prior to 28 March 2007. |
|||
|
|||
Nothing in this License shall be construed as excluding or limiting |
|||
any implied license or other defenses to infringement that may |
|||
otherwise be available to you under applicable patent law. |
|||
|
|||
12. No Surrender of Others' Freedom. |
|||
|
|||
If conditions are imposed on you (whether by court order, agreement or |
|||
otherwise) that contradict the conditions of this License, they do not |
|||
excuse you from the conditions of this License. If you cannot convey a |
|||
covered work so as to satisfy simultaneously your obligations under this |
|||
License and any other pertinent obligations, then as a consequence you may |
|||
not convey it at all. For example, if you agree to terms that obligate you |
|||
to collect a royalty for further conveying from those to whom you convey |
|||
the Program, the only way you could satisfy both those terms and this |
|||
License would be to refrain entirely from conveying the Program. |
|||
|
|||
13. Use with the GNU Affero General Public License. |
|||
|
|||
Notwithstanding any other provision of this License, you have |
|||
permission to link or combine any covered work with a work licensed |
|||
under version 3 of the GNU Affero General Public License into a single |
|||
combined work, and to convey the resulting work. The terms of this |
|||
License will continue to apply to the part which is the covered work, |
|||
but the special requirements of the GNU Affero General Public License, |
|||
section 13, concerning interaction through a network will apply to the |
|||
combination as such. |
|||
|
|||
14. Revised Versions of this License. |
|||
|
|||
The Free Software Foundation may publish revised and/or new versions of |
|||
the GNU General Public License from time to time. Such new versions will |
|||
be similar in spirit to the present version, but may differ in detail to |
|||
address new problems or concerns. |
|||
|
|||
Each version is given a distinguishing version number. If the |
|||
Program specifies that a certain numbered version of the GNU General |
|||
Public License "or any later version" applies to it, you have the |
|||
option of following the terms and conditions either of that numbered |
|||
version or of any later version published by the Free Software |
|||
Foundation. If the Program does not specify a version number of the |
|||
GNU General Public License, you may choose any version ever published |
|||
by the Free Software Foundation. |
|||
|
|||
If the Program specifies that a proxy can decide which future |
|||
versions of the GNU General Public License can be used, that proxy's |
|||
public statement of acceptance of a version permanently authorizes you |
|||
to choose that version for the Program. |
|||
|
|||
Later license versions may give you additional or different |
|||
permissions. However, no additional obligations are imposed on any |
|||
author or copyright holder as a result of your choosing to follow a |
|||
later version. |
|||
|
|||
15. Disclaimer of Warranty. |
|||
|
|||
THERE IS NO WARRANTY FOR THE PROGRAM, TO THE EXTENT PERMITTED BY |
|||
APPLICABLE LAW. EXCEPT WHEN OTHERWISE STATED IN WRITING THE COPYRIGHT |
|||
HOLDERS AND/OR OTHER PARTIES PROVIDE THE PROGRAM "AS IS" WITHOUT WARRANTY |
|||
OF ANY KIND, EITHER EXPRESSED OR IMPLIED, INCLUDING, BUT NOT LIMITED TO, |
|||
THE IMPLIED WARRANTIES OF MERCHANTABILITY AND FITNESS FOR A PARTICULAR |
|||
PURPOSE. THE ENTIRE RISK AS TO THE QUALITY AND PERFORMANCE OF THE PROGRAM |
|||
IS WITH YOU. SHOULD THE PROGRAM PROVE DEFECTIVE, YOU ASSUME THE COST OF |
|||
ALL NECESSARY SERVICING, REPAIR OR CORRECTION. |
|||
|
|||
16. Limitation of Liability. |
|||
|
|||
IN NO EVENT UNLESS REQUIRED BY APPLICABLE LAW OR AGREED TO IN WRITING |
|||
WILL ANY COPYRIGHT HOLDER, OR ANY OTHER PARTY WHO MODIFIES AND/OR CONVEYS |
|||
THE PROGRAM AS PERMITTED ABOVE, BE LIABLE TO YOU FOR DAMAGES, INCLUDING ANY |
|||
GENERAL, SPECIAL, INCIDENTAL OR CONSEQUENTIAL DAMAGES ARISING OUT OF THE |
|||
USE OR INABILITY TO USE THE PROGRAM (INCLUDING BUT NOT LIMITED TO LOSS OF |
|||
DATA OR DATA BEING RENDERED INACCURATE OR LOSSES SUSTAINED BY YOU OR THIRD |
|||
PARTIES OR A FAILURE OF THE PROGRAM TO OPERATE WITH ANY OTHER PROGRAMS), |
|||
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>. |
@ -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 |
|||
---------- |
@ -0,0 +1,5 @@ |
|||
# -*- coding: utf-8 -*- |
|||
|
|||
from . import wizard |
|||
from . import report |
|||
from . import models |
@ -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, |
|||
} |
@ -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> |
@ -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> |
@ -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 "" |
|||
|
@ -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" |
@ -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;""") |
@ -0,0 +1,3 @@ |
|||
# -*- coding: utf-8 -*- |
|||
|
|||
from . import account |
@ -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') |
@ -0,0 +1,3 @@ |
|||
# -*- coding: utf-8 -*- |
|||
|
|||
from . import report_account_standard_excel |
@ -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') |
@ -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> |
After Width: 200 | Height: 200 | Size: 4.6 KiB |
@ -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> |
@ -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> |
@ -0,0 +1,3 @@ |
|||
# -*- coding: utf-8 -*- |
|||
|
|||
from . import account_standard_report |
@ -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, |
|||
}) |
@ -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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