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64account_bank_reconciliation_summary_xlsx/README.rst
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3account_bank_reconciliation_summary_xlsx/__init__.py
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21account_bank_reconciliation_summary_xlsx/__manifest__.py
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216account_bank_reconciliation_summary_xlsx/i18n/fr.po
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1account_bank_reconciliation_summary_xlsx/models/__init__.py
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13account_bank_reconciliation_summary_xlsx/models/account_move_line.py
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1account_bank_reconciliation_summary_xlsx/readme/CONFIGURE.rst
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1account_bank_reconciliation_summary_xlsx/readme/CONTRIBUTORS.rst
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8account_bank_reconciliation_summary_xlsx/readme/DESCRIPTION.rst
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5account_bank_reconciliation_summary_xlsx/readme/USAGE.rst
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1account_bank_reconciliation_summary_xlsx/report/__init__.py
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294account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py
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18account_bank_reconciliation_summary_xlsx/report/report.xml
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23account_bank_reconciliation_summary_xlsx/views/account_bank_statement.xml
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32account_bank_reconciliation_summary_xlsx/views/account_journal.xml
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18account_bank_reconciliation_summary_xlsx/views/account_move_line.xml
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1account_bank_reconciliation_summary_xlsx/wizard/__init__.py
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37account_bank_reconciliation_summary_xlsx/wizard/bank_reconciliation_report_wizard.py
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42account_bank_reconciliation_summary_xlsx/wizard/bank_reconciliation_report_wizard_view.xml
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1setup/account_bank_reconciliation_summary_xlsx/odoo/addons/account_bank_reconciliation_summary_xlsx
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6setup/account_bank_reconciliation_summary_xlsx/setup.py
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.. image:: https://img.shields.io/badge/licence-AGPL--3-blue.svg |
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:target: http://www.gnu.org/licenses/agpl-3.0-standalone.html |
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:alt: License: AGPL-3 |
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|
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=============================== |
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Bank Reconciliation Report XLSX |
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=============================== |
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|
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This module adds a Bank Reconciliation Report in Odoo in XLSX format. For each bank journal, the report displays: |
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|
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1. The balance of the bank account in the accounting, |
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2. The list of journal items of the bank account not linked to any bank statement lines, |
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3. The list of draft bank statement lines not linked to any journal items, |
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4. The computed balance of the bank account at the bank. |
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|
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The last field (computed balance of the bank account at the bank) must be compared to the real bank account balance at the bank. If there is a difference, you need to find the error in the accounting. The field *Computed balance of the bank account at the bank* is a formula, so you can easily change its computation to try to find the difference with the real bank account balance at the bank. |
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|
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Configuration |
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============= |
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|
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This module doesn't require any configuration. |
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|
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Usage |
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===== |
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|
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You can launch the Bank Reconciliation Report wizard from: |
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|
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* the menu *Accounting > Reports > OCA accounting reports > Bank Reconciliation*, |
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* the form view of a bank statement: click on the button *Bank Reconciliation Report*. |
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|
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.. image:: https://odoo-community.org/website/image/ir.attachment/5784_f2813bd/datas |
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:alt: Try me on Runbot |
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:target: https://runbot.odoo-community.org/runbot/91/10.0 |
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|
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Bug Tracker |
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=========== |
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|
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Bugs are tracked on `GitHub Issues |
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<https://github.com/OCA/account-financial-reporting/issues>`_. In case of trouble, please |
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check there if your issue has already been reported. If you spotted it first, |
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help us smashing it by providing a detailed and welcomed feedback. |
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|
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Credits |
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======= |
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|
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Contributors |
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------------ |
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|
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* Alexis de Lattre <alexis.delattre@akretion.com> |
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|
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Maintainer |
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---------- |
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|
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.. image:: https://odoo-community.org/logo.png |
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:alt: Odoo Community Association |
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:target: https://odoo-community.org |
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|
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This module is maintained by the OCA. |
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|
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OCA, or the Odoo Community Association, is a nonprofit organization whose |
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mission is to support the collaborative development of Odoo features and |
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promote its widespread use. |
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|
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To contribute to this module, please visit https://odoo-community.org. |
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from . import models |
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from . import report |
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from . import wizard |
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# Copyright 2017-2020 Akretion France (http://www.akretion.com/) |
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# @author: Alexis de Lattre <alexis.delattre@akretion.com> |
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# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl). |
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|
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{ |
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"name": "Bank Reconciliation Report", |
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"version": "13.0.1.0.0", |
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"license": "AGPL-3", |
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"author": "Akretion,Odoo Community Association (OCA)", |
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"website": "https://github.com/OCA/account-financial-reporting", |
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"summary": "XLSX report to help on bank reconciliation", |
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"depends": ["account_financial_report", "report_xlsx"], |
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"data": [ |
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"report/report.xml", |
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"wizard/bank_reconciliation_report_wizard_view.xml", |
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"views/account_bank_statement.xml", |
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"views/account_move_line.xml", |
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"views/account_journal.xml", |
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], |
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"installable": True, |
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} |
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# Translation of Odoo Server. |
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# This file contains the translation of the following modules: |
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# * account_bank_reconciliation_summary_xlsx |
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# |
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msgid "" |
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msgstr "" |
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"Project-Id-Version: Odoo Server 10.0\n" |
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"Report-Msgid-Bugs-To: \n" |
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"POT-Creation-Date: 2018-12-04 10:29+0000\n" |
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"PO-Revision-Date: 2018-12-04 10:29+0000\n" |
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"Last-Translator: <>\n" |
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"Language-Team: \n" |
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"MIME-Version: 1.0\n" |
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"Content-Type: text/plain; charset=UTF-8\n" |
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"Content-Transfer-Encoding: \n" |
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"Plural-Forms: \n" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:70 |
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#, python-format |
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msgid "%s - Bank Reconciliation" |
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msgstr "%s - Rapprochement bancaire" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.ui.view,arch_db:account_bank_reconciliation_summary_xlsx.account_journal_dashboard_kanban_view |
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msgid "<span>Report</span>" |
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msgstr "<span>Rapport</span>" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:129 |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:182 |
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#, python-format |
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msgid "Amount" |
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msgstr "Montant" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:92 |
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#, python-format |
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msgid "Balance %s:" |
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msgstr "Balance %s:" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.model.fields,field_description:account_bank_reconciliation_summary_xlsx.field_bank_reconciliation_report_wizard_journal_ids |
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msgid "Bank Journals" |
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msgstr "Journaux de banque" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.actions.act_window,name:account_bank_reconciliation_summary_xlsx.bank_reconciliation_report_wizard_action |
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#: model:ir.ui.menu,name:account_bank_reconciliation_summary_xlsx.bank_reconciliation_report_wizard_menu |
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#: model:ir.ui.view,arch_db:account_bank_reconciliation_summary_xlsx.account_journal_dashboard_kanban_view |
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msgid "Bank Reconciliation" |
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msgstr "Rapprochement bancaire" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.ui.view,arch_db:account_bank_reconciliation_summary_xlsx.bank_reconciliation_report_wizard_form |
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#: model:ir.ui.view,arch_db:account_bank_reconciliation_summary_xlsx.view_bank_statement_form |
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msgid "Bank Reconciliation Report" |
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msgstr "Rapport rapprochement bancaire" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.model,name:account_bank_reconciliation_summary_xlsx.model_bank_reconciliation_report_wizard |
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msgid "Bank Reconciliation Report Wizard" |
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msgstr "Wizard raport rapprochement bancaire" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.actions.report.xml,name:account_bank_reconciliation_summary_xlsx.bank_reconciliation_xlsx |
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msgid "Bank Reconciliation XLSX" |
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msgstr "Rapprochement bancaire XLSX" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.ui.view,arch_db:account_bank_reconciliation_summary_xlsx.bank_reconciliation_report_wizard_form |
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msgid "Cancel" |
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msgstr "Annuler" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:210 |
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#, python-format |
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msgid "Computed Bank Account Balance at the Bank:" |
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msgstr "Solde théorique du compte bancaire :" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:130 |
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#, python-format |
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msgid "Counter-part" |
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msgstr "Contre partie" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.model.fields,field_description:account_bank_reconciliation_summary_xlsx.field_bank_reconciliation_report_wizard_create_uid |
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msgid "Created by" |
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msgstr "Créé par" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.model.fields,field_description:account_bank_reconciliation_summary_xlsx.field_bank_reconciliation_report_wizard_create_date |
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msgid "Created on" |
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msgstr "Créé le" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:128 |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:181 |
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#: model:ir.model.fields,field_description:account_bank_reconciliation_summary_xlsx.field_bank_reconciliation_report_wizard_date |
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#, python-format |
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msgid "Date" |
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msgstr "Date " |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:83 |
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#, python-format |
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msgid "Date:" |
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msgstr "Date :" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.model.fields,field_description:account_bank_reconciliation_summary_xlsx.field_bank_reconciliation_report_wizard_display_name |
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msgid "Display Name" |
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msgstr "Nom affiché" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:169 |
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#, python-format |
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msgid "Draft bank statement lines:" |
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msgstr "Lignes non validées du relevé bancaire :" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.ui.view,arch_db:account_bank_reconciliation_summary_xlsx.bank_reconciliation_report_wizard_form |
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msgid "Export XLSX" |
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msgstr "Export XLSX" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.model.fields,field_description:account_bank_reconciliation_summary_xlsx.field_bank_reconciliation_report_wizard_id |
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msgid "ID" |
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msgstr "ID" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.model,name:account_bank_reconciliation_summary_xlsx.model_account_move_line |
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msgid "Journal Item" |
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msgstr "Écriture comptable" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:113 |
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#, python-format |
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msgid "Journal items of account %s not linked to a bank statement line:" |
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msgstr "Ecritures comptables du compte %s non liées à une ligne de relevé bancaire :" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:128 |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:181 |
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#, python-format |
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msgid "Label" |
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msgstr "Libellé" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.model.fields,field_description:account_bank_reconciliation_summary_xlsx.field_bank_reconciliation_report_wizard___last_update |
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msgid "Last Modified on" |
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msgstr "Dernière modification le" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.model.fields,field_description:account_bank_reconciliation_summary_xlsx.field_bank_reconciliation_report_wizard_write_uid |
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msgid "Last Updated by" |
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msgstr "Mis à jour par" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: model:ir.model.fields,field_description:account_bank_reconciliation_summary_xlsx.field_bank_reconciliation_report_wizard_write_date |
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msgid "Last Updated on" |
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msgstr "Mis à jour le" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:129 |
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#, python-format |
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msgid "Move Number" |
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msgstr "Numéro de pièce" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:124 |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:177 |
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#, python-format |
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msgid "NONE" |
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msgstr "Rien" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:215 |
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#, python-format |
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msgid "No Bank Journal" |
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msgstr "Pas de journal de banque" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:220 |
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#, python-format |
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msgid "No bank journal selected. This report is only for bank journals." |
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msgstr "Pas de journal de banque sélectionné. Ce rapport est uniquement pour les journaux de banque." |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:128 |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:182 |
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#, python-format |
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msgid "Partner" |
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msgstr "Partenaire" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:128 |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:181 |
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#, python-format |
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msgid "Ref." |
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msgstr "Ref." |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:129 |
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#: model:ir.model.fields,field_description:account_bank_reconciliation_summary_xlsx.field_account_move_line_statement_line_date |
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#, python-format |
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msgid "Statement Line Date" |
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msgstr "Date ligne relevé" |
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|
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#. module: account_bank_reconciliation_summary_xlsx |
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#: code:addons/account_bank_reconciliation_summary_xlsx/report/bank_reconciliation_xlsx.py:182 |
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#, python-format |
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msgid "Statement Ref." |
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msgstr "Ref. relevé" |
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|
@ -0,0 +1 @@ |
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from . import account_move_line |
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# Copyright 2017-2020 Akretion France (http://www.akretion.com/) |
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# @author: Alexis de Lattre <alexis.delattre@akretion.com> |
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# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl). |
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|
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from odoo import fields, models |
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|
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|
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class AccountMoveLine(models.Model): |
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_inherit = "account.move.line" |
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|
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statement_line_date = fields.Date( |
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string="Statement Line Date", related="statement_line_id.date", store=True |
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) |
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This module doesn't require any configuration. |
@ -0,0 +1 @@ |
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* Alexis de Lattre <alexis.delattre@akretion.com> |
@ -0,0 +1,8 @@ |
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This module adds a Bank Reconciliation Report in Odoo in XLSX format. For each bank journal, the report displays: |
|||
|
|||
1. The balance of the bank account in the accounting, |
|||
2. The list of journal items of the bank account not linked to any bank statement lines, |
|||
3. The list of draft bank statement lines not linked to any journal items, |
|||
4. The computed balance of the bank account at the bank. |
|||
|
|||
The last field (computed balance of the bank account at the bank) must be compared to the real bank account balance at the bank. If there is a difference, you need to find the error in the accounting. The field *Computed balance of the bank account at the bank* is a formula, so you can easily change its computation to try to find the difference with the real bank account balance at the bank. |
@ -0,0 +1,5 @@ |
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You can launch the Bank Reconciliation Report wizard from: |
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|
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* the menu *Invoicing > Reporting > OCA accounting reports > Bank Reconciliation*, |
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* the form view of a bank statement: click on the button *Bank Reconciliation Report*, |
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* the invoicing dashboard: on a bank journal, click on the options, then select *Bank Reconciliation*. |
@ -0,0 +1 @@ |
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from . import bank_reconciliation_xlsx |
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# Copyright 2017-2020 Akretion France (http://www.akretion.com/) |
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# @author: Alexis de Lattre <alexis.delattre@akretion.com> |
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# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl). |
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|
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from odoo import _, fields, models |
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|
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|
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class BankReconciliationXlsx(models.AbstractModel): |
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_name = "report.bank.reconciliation.xlsx" |
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_description = "Bank Reconciliation XLSX Report" |
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_inherit = "report.report_xlsx.abstract" |
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|
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def _compute_account_balance(self, journal, date): |
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bank_account = journal.default_debit_account_id |
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# TODO: add support for bank accounts in foreign currency |
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# if not o.currency_id else 'amount_currency' |
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query = """ |
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SELECT sum(balance) FROM account_move_line |
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WHERE account_id=%s AND date <= %s""" |
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self.env.cr.execute(query, (bank_account.id, date)) |
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query_results = self.env.cr.dictfetchall() |
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if query_results: |
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account_bal = query_results[0].get("sum") or 0.0 |
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else: |
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account_bal = 0.0 |
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return account_bal |
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|
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def _prepare_move_lines(self, journal, date): |
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bank_account = journal.default_debit_account_id |
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mlines = self.env["account.move.line"].search( |
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[ |
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("account_id", "=", bank_account.id), |
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("journal_id", "=", journal.id), # to avoid initial line |
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("date", "<=", date), |
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"|", |
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("statement_line_date", "=", False), |
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("statement_line_date", ">", date), |
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] |
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) |
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res = [] |
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for mline in mlines: |
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move = mline.move_id |
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cpart = [] |
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for line in move.line_ids: |
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if ( |
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line.account_id != bank_account |
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and line.account_id.code not in cpart |
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): |
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cpart.append(line.account_id.code) |
|||
counterpart = " ,".join(cpart) |
|||
res.append( |
|||
{ |
|||
"date": mline.date, |
|||
"label": mline.name, |
|||
"ref": mline.ref or "", |
|||
"partner": mline.partner_id.display_name or "", |
|||
"amount": mline.balance, |
|||
"statement_line_date": mline.statement_line_date or "", |
|||
"move_number": move.name, |
|||
"counterpart": counterpart, |
|||
} |
|||
) |
|||
return res |
|||
|
|||
def _prepare_draft_statement_lines(self, journal, date): |
|||
blines = self.env["account.bank.statement.line"].search( |
|||
[ |
|||
("journal_entry_ids", "=", False), |
|||
("journal_id", "=", journal.id), |
|||
("date", "<=", date), |
|||
] |
|||
) |
|||
res = [] |
|||
for bline in blines: |
|||
res.append( |
|||
{ |
|||
"date": bline.date, |
|||
"label": bline.name, |
|||
"ref": bline.ref or "", |
|||
"partner": bline.partner_id.display_name or "", |
|||
"amount": bline.amount, |
|||
"statement_ref": bline.statement_id.display_name, |
|||
} |
|||
) |
|||
return res |
|||
|
|||
def generate_xlsx_report(self, workbook, data, wizard): |
|||
date = wizard.date |
|||
date_dt = fields.Date.from_string(date) |
|||
no_bank_journal = True |
|||
for o in wizard.journal_ids: |
|||
no_bank_journal = False |
|||
# Start styles |
|||
lang_code = self.env.user.lang |
|||
lang = False |
|||
if lang_code: |
|||
lang = self.env["res.lang"].search([("code", "=", lang_code)]) |
|||
if not lang: |
|||
lang = self.env["res.lang"].search([], limit=1) |
|||
xls_date_format = ( |
|||
lang.date_format.replace("%Y", "yyyy") |
|||
.replace("%m", "mm") |
|||
.replace("%d", "dd") |
|||
.replace("%y", "yy") |
|||
) |
|||
|
|||
doc_title = workbook.add_format({"bold": True, "font_size": 16}) |
|||
col_title = workbook.add_format( |
|||
{ |
|||
"bold": True, |
|||
"bg_color": "#e2e2fa", |
|||
"text_wrap": True, |
|||
"font_size": 10, |
|||
} |
|||
) |
|||
title_right = workbook.add_format( |
|||
{ |
|||
"bold": True, |
|||
"bg_color": "#e6e6fa", |
|||
"font_size": 10, |
|||
"align": "right", |
|||
} |
|||
) |
|||
title_date = workbook.add_format( |
|||
{ |
|||
"bg_color": "#f6f6ff", |
|||
"bold": True, |
|||
"num_format": xls_date_format, |
|||
"font_size": 10, |
|||
"align": "left", |
|||
} |
|||
) |
|||
label_bold = workbook.add_format( |
|||
{"bold": True, "text_wrap": False, "font_size": 10} |
|||
) |
|||
none = workbook.add_format( |
|||
{"bold": True, "font_size": 10, "align": "right"} |
|||
) |
|||
regular = workbook.add_format({"font_size": 10}) |
|||
if "%" in xls_date_format: |
|||
# fallback |
|||
xls_date_format = "yyyy-mm-dd" |
|||
regular_date = workbook.add_format( |
|||
{"num_format": xls_date_format, "font_size": 10, "align": "left"} |
|||
) |
|||
cur_format = u"#,##0.00 %s" % ( |
|||
o.company_id.currency_id.symbol or o.company_id.currency_id.name |
|||
) |
|||
# It seems that Excel replaces automatically the decimal |
|||
# and thousand separator by those of the language under which |
|||
# Excel runs |
|||
regular_currency = workbook.add_format( |
|||
{"num_format": cur_format, "font_size": 10} |
|||
) |
|||
regular_currency_bg = workbook.add_format( |
|||
{"num_format": cur_format, "font_size": 10, "bg_color": "#f6f6ff"} |
|||
) |
|||
# End styles |
|||
|
|||
sheet = workbook.add_worksheet(o.code or o.name) |
|||
sheet.write( |
|||
0, |
|||
0, |
|||
_("%s - %s - Bank Reconciliation") |
|||
% (o.company_id.name, o.display_name), |
|||
doc_title, |
|||
) |
|||
sheet.set_row(0, 26) |
|||
sheet.set_row(1, 25) |
|||
sheet.set_column(0, 0, 10) |
|||
sheet.set_column(1, 1, 40) |
|||
sheet.set_column(2, 2, 15) |
|||
sheet.set_column(3, 3, 25) |
|||
sheet.set_column(4, 4, 12) |
|||
sheet.set_column(5, 5, 18) |
|||
sheet.set_column(6, 6, 14) |
|||
sheet.set_column(7, 7, 14) |
|||
row = 2 |
|||
sheet.write(row, 0, _("Date:"), title_right) |
|||
sheet.write(row, 1, date_dt, title_date) |
|||
# 1) Show accounting balance of bank account |
|||
row += 2 |
|||
bank_account = o.default_debit_account_id |
|||
for col in range(3): |
|||
sheet.write(row, col, "", title_right) |
|||
sheet.write(row, 3, _("Balance %s:") % bank_account.code, title_right) |
|||
account_bal = self._compute_account_balance(o, date) |
|||
|
|||
sheet.write(row, 4, account_bal, regular_currency_bg) |
|||
bank_bal = account_bal |
|||
formula = "=E%d" % (row + 1) |
|||
# 2) Show account move line that are not linked to bank statement |
|||
# line or linked to a statement line after the date |
|||
row += 2 |
|||
sheet.write( |
|||
row, |
|||
0, |
|||
_("Journal items of account %s not linked to a bank " "statement line:") |
|||
% bank_account.code, |
|||
label_bold, |
|||
) |
|||
mlines = self._prepare_move_lines(o, date) |
|||
if not mlines: |
|||
sheet.write(row, 4, _("NONE"), none) |
|||
else: |
|||
row += 1 |
|||
col_labels = [ |
|||
_("Date"), |
|||
_("Label"), |
|||
_("Ref."), |
|||
_("Partner"), |
|||
_("Amount"), |
|||
_("Statement Line Date"), |
|||
_("Move Number"), |
|||
_("Counter-part"), |
|||
] |
|||
col = 0 |
|||
for col_label in col_labels: |
|||
sheet.write(row, col, col_label, col_title) |
|||
col += 1 |
|||
m_start_row = m_end_row = row + 1 |
|||
for mline in mlines: |
|||
row += 1 |
|||
m_end_row = row |
|||
bank_bal -= mline["amount"] |
|||
sheet.write(row, 0, mline["date"], regular_date) |
|||
sheet.write(row, 1, mline["label"], regular) |
|||
sheet.write(row, 2, mline["ref"], regular) |
|||
sheet.write(row, 3, mline["partner"], regular) |
|||
sheet.write(row, 4, mline["amount"], regular_currency) |
|||
sheet.write(row, 5, mline["statement_line_date"], regular_date) |
|||
sheet.write(row, 6, mline["move_number"], regular) |
|||
sheet.write(row, 7, mline["counterpart"], regular) |
|||
|
|||
formula += "-SUM(E%d:E%d)" % (m_start_row + 1, m_end_row + 1) |
|||
|
|||
# 3) Add draft bank statement lines |
|||
row += 2 # skip 1 line |
|||
sheet.write(row, 0, _("Draft bank statement lines:"), label_bold) |
|||
blines = self._prepare_draft_statement_lines(o, date) |
|||
if not blines: |
|||
sheet.write(row, 4, _("NONE"), none) |
|||
else: |
|||
row += 1 |
|||
col_labels = [ |
|||
_("Date"), |
|||
_("Label"), |
|||
_("Ref."), |
|||
_("Partner"), |
|||
_("Amount"), |
|||
_("Statement Ref."), |
|||
"", |
|||
"", |
|||
] |
|||
col = 0 |
|||
for col_label in col_labels: |
|||
sheet.write(row, col, col_label, col_title) |
|||
col += 1 |
|||
b_start_row = b_end_row = row + 1 |
|||
for bline in blines: |
|||
row += 1 |
|||
b_end_row = row |
|||
bank_bal += bline["amount"] |
|||
sheet.write(row, 0, bline["date"], regular_date) |
|||
sheet.write(row, 1, bline["label"], regular) |
|||
sheet.write(row, 2, bline["ref"], regular) |
|||
sheet.write(row, 3, bline["partner"], regular) |
|||
sheet.write(row, 4, bline["amount"], regular_currency) |
|||
sheet.write(row, 5, bline["statement_ref"], regular_currency) |
|||
formula += "+SUM(E%d:E%d)" % (b_start_row + 1, b_end_row + 1) |
|||
|
|||
# 4) Theoric bank account balance at the bank |
|||
row += 2 |
|||
for col in range(3): |
|||
sheet.write(row, col, "", title_right) |
|||
sheet.write( |
|||
row, 3, _("Computed Bank Account Balance at the Bank:"), title_right |
|||
) |
|||
sheet.write_formula(row, 4, formula, regular_currency_bg, bank_bal) |
|||
if no_bank_journal: |
|||
sheet = workbook.add_worksheet(_("No Bank Journal")) |
|||
sheet.set_row(0, 30) |
|||
warn_msg = workbook.add_format( |
|||
{"bold": True, "font_size": 16, "font_color": "#003b6f"} |
|||
) |
|||
sheet.write( |
|||
0, |
|||
0, |
|||
_( |
|||
"No bank journal selected. " |
|||
"This report is only for bank journals." |
|||
), |
|||
warn_msg, |
|||
) |
@ -0,0 +1,18 @@ |
|||
<?xml version="1.0" encoding="utf-8" ?> |
|||
<!-- |
|||
Copyright 2017-2020 Akretion France (http://www.akretion.com/) |
|||
@author: Alexis de Lattre <alexis.delattre@akretion.com> |
|||
License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl). |
|||
--> |
|||
<odoo> |
|||
<report |
|||
id="bank_reconciliation_xlsx" |
|||
model="bank.reconciliation.report.wizard" |
|||
string="Bank Reconciliation XLSX" |
|||
report_type="xlsx" |
|||
name="bank.reconciliation.xlsx" |
|||
file="bank.reconciliation.xlsx" |
|||
print_report_name="'bank_reconciliation-%s' % (object.date)" |
|||
/> |
|||
<!-- print_report_name doesn't work here... --> |
|||
</odoo> |
@ -0,0 +1,23 @@ |
|||
<?xml version="1.0" encoding="utf-8" ?> |
|||
<!-- |
|||
Copyright 2017-2020 Akretion France (http://www.akretion.com/) |
|||
@author: Alexis de Lattre <alexis.delattre@akretion.com> |
|||
License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl). |
|||
--> |
|||
<odoo> |
|||
<record id="view_bank_statement_form" model="ir.ui.view"> |
|||
<field name="name">bank_rec_summary.account.bank.statement.form</field> |
|||
<field name="model">account.bank.statement</field> |
|||
<field name="inherit_id" ref="account.view_bank_statement_form" /> |
|||
<field name="arch" type="xml"> |
|||
<button name="check_confirm_bank" position="after"> |
|||
<button |
|||
name="%(bank_reconciliation_report_wizard_action)d" |
|||
type="action" |
|||
string="Bank Reconciliation Report" |
|||
context="{'default_journal_ids': [journal_id]}" |
|||
/> |
|||
</button> |
|||
</field> |
|||
</record> |
|||
</odoo> |
@ -0,0 +1,32 @@ |
|||
<?xml version="1.0" encoding="utf-8" ?> |
|||
<!-- |
|||
Copyright 2018-2020 Akretion France (http://www.akretion.com/) |
|||
@author: Alexis de Lattre <alexis.delattre@akretion.com> |
|||
License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl). |
|||
--> |
|||
<odoo> |
|||
<!-- Accounting Dashboard --> |
|||
<record id="account_journal_dashboard_kanban_view" model="ir.ui.view"> |
|||
<field |
|||
name="name" |
|||
>bank_reconciliation_summarry.account_journal_dashboard</field> |
|||
<field name="model">account.journal</field> |
|||
<field name="inherit_id" ref="account.account_journal_dashboard_kanban_view" /> |
|||
<field name="arch" type="xml"> |
|||
<xpath expr="//div[@name='bank_cash_commands']/.." position="after"> |
|||
<div class="col-4 o_kanban_card_manage_section o_kanban_manage_new"> |
|||
<div class="o_kanban_card_manage_title"> |
|||
<span>Report</span> |
|||
</div> |
|||
<div name="bank_reconciliation_report"> |
|||
<a |
|||
name="%(bank_reconciliation_report_wizard_action)d" |
|||
type="action" |
|||
context="{'default_journal_ids': [active_id]}" |
|||
>Bank Reconciliation</a> |
|||
</div> |
|||
</div> |
|||
</xpath> |
|||
</field> |
|||
</record> |
|||
</odoo> |
@ -0,0 +1,18 @@ |
|||
<?xml version="1.0" encoding="utf-8" ?> |
|||
<!-- |
|||
Copyright 2017-2020 Akretion France (http://www.akretion.com/) |
|||
Alexis de Lattre <alexis.delattre@akretion.com> |
|||
License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl). |
|||
--> |
|||
<odoo> |
|||
<record id="view_move_line_form" model="ir.ui.view"> |
|||
<field name="name">bank_rec_summary.account_move_line_form</field> |
|||
<field name="model">account.move.line</field> |
|||
<field name="inherit_id" ref="account.view_move_line_form" /> |
|||
<field name="arch" type="xml"> |
|||
<field name="statement_id" position="after"> |
|||
<field name="statement_line_date" /> |
|||
</field> |
|||
</field> |
|||
</record> |
|||
</odoo> |
@ -0,0 +1 @@ |
|||
from . import bank_reconciliation_report_wizard |
@ -0,0 +1,37 @@ |
|||
# Copyright 2017-2020 Akretion France (http://www.akretion.com/) |
|||
# @author: Alexis de Lattre <alexis.delattre@akretion.com> |
|||
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl). |
|||
|
|||
from odoo import api, fields, models |
|||
|
|||
|
|||
class BankReconciliationReportWizard(models.TransientModel): |
|||
_name = "bank.reconciliation.report.wizard" |
|||
_description = "Bank Reconciliation Report Wizard" |
|||
|
|||
@api.model |
|||
def _default_journal_ids(self): |
|||
journals = self.env["account.journal"].search( |
|||
[ |
|||
("type", "=", "bank"), |
|||
("bank_account_id", "!=", False), |
|||
("company_id", "=", self.env.user.company_id.id), |
|||
] |
|||
) |
|||
return journals |
|||
|
|||
date = fields.Date(required=True, default=fields.Date.context_today) |
|||
journal_ids = fields.Many2many( |
|||
"account.journal", |
|||
string="Bank Journals", |
|||
domain=[("type", "=", "bank")], |
|||
required=True, |
|||
default=lambda self: self._default_journal_ids(), |
|||
) |
|||
|
|||
def open_xlsx(self): |
|||
report = self.env.ref( |
|||
"account_bank_reconciliation_summary_xlsx." "bank_reconciliation_xlsx" |
|||
) |
|||
action = report.report_action(self) |
|||
return action |
@ -0,0 +1,42 @@ |
|||
<?xml version="1.0" encoding="utf-8" ?> |
|||
<!-- |
|||
Copyright 2017-2020 Akretion France (http://www.akretion.com/) |
|||
@author: Alexis de Lattre <alexis.delattre@akretion.com> |
|||
License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl). |
|||
--> |
|||
<odoo> |
|||
<record id="bank_reconciliation_report_wizard_form" model="ir.ui.view"> |
|||
<field name="name">bank.reconciliation.report.wizard.form</field> |
|||
<field name="model">bank.reconciliation.report.wizard</field> |
|||
<field name="arch" type="xml"> |
|||
<form string="Bank Reconciliation Report"> |
|||
<group name="main"> |
|||
<field name="date" /> |
|||
<field name="journal_ids" widget="many2many_tags" /> |
|||
</group> |
|||
<footer> |
|||
<button |
|||
name="open_xlsx" |
|||
string="Export XLSX" |
|||
type="object" |
|||
class="btn-primary" |
|||
/> |
|||
<button special="cancel" string="Cancel" /> |
|||
</footer> |
|||
</form> |
|||
</field> |
|||
</record> |
|||
<record id="bank_reconciliation_report_wizard_action" model="ir.actions.act_window"> |
|||
<field name="name">Bank Reconciliation</field> |
|||
<field name="res_model">bank.reconciliation.report.wizard</field> |
|||
<field name="view_mode">form</field> |
|||
<field name="target">new</field> |
|||
</record> |
|||
<menuitem |
|||
id="bank_reconciliation_report_wizard_menu" |
|||
action="bank_reconciliation_report_wizard_action" |
|||
parent="account_financial_report.menu_oca_reports" |
|||
groups="account.group_account_manager,account.group_account_user" |
|||
sequence="100" |
|||
/> |
|||
</odoo> |
@ -0,0 +1 @@ |
|||
../../../../account_bank_reconciliation_summary_xlsx |
@ -0,0 +1,6 @@ |
|||
import setuptools |
|||
|
|||
setuptools.setup( |
|||
setup_requires=['setuptools-odoo'], |
|||
odoo_addon=True, |
|||
) |
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