Browse Source

Merge PR #663 into 13.0

Signed-off-by pedrobaeza
pull/670/head
OCA-git-bot 5 years ago
parent
commit
e9232b41c3
  1. 147
      account_financial_report/README.rst
  2. 7
      account_financial_report/__init__.py
  3. 47
      account_financial_report/__manifest__.py
  4. 2536
      account_financial_report/i18n/account_financial_report.pot
  5. 2620
      account_financial_report/i18n/ar.po
  6. 2584
      account_financial_report/i18n/ca.po
  7. 2672
      account_financial_report/i18n/de.po
  8. 2638
      account_financial_report/i18n/es.po
  9. 2618
      account_financial_report/i18n/fr.po
  10. 2579
      account_financial_report/i18n/fr_CH.po
  11. 2539
      account_financial_report/i18n/hr.po
  12. 2586
      account_financial_report/i18n/hr_HR.po
  13. 2609
      account_financial_report/i18n/it.po
  14. 2570
      account_financial_report/i18n/ja.po
  15. 2671
      account_financial_report/i18n/nl.po
  16. 2581
      account_financial_report/i18n/nl_NL.po
  17. 2584
      account_financial_report/i18n/pt.po
  18. 2617
      account_financial_report/i18n/pt_BR.po
  19. 2635
      account_financial_report/i18n/ro.po
  20. 45
      account_financial_report/menuitems.xml
  21. 3
      account_financial_report/models/__init__.py
  22. 14
      account_financial_report/models/account.py
  23. 65
      account_financial_report/models/account_group.py
  24. 32
      account_financial_report/models/account_move_line.py
  25. 26
      account_financial_report/readme/CONTRIBUTORS.rst
  26. 16
      account_financial_report/readme/DESCRIPTION.rst
  27. 19
      account_financial_report/readme/HISTORY.rst
  28. 7
      account_financial_report/readme/ROADMAP.rst
  29. 18
      account_financial_report/report/__init__.py
  30. 608
      account_financial_report/report/abstract_report_xlsx.py
  31. 458
      account_financial_report/report/aged_partner_balance.py
  32. 315
      account_financial_report/report/aged_partner_balance_xlsx.py
  33. 692
      account_financial_report/report/general_ledger.py
  34. 295
      account_financial_report/report/general_ledger_xlsx.py
  35. 360
      account_financial_report/report/journal_ledger.py
  36. 250
      account_financial_report/report/journal_ledger_xlsx.py
  37. 362
      account_financial_report/report/open_items.py
  38. 169
      account_financial_report/report/open_items_xlsx.py
  39. 700
      account_financial_report/report/templates/aged_partner_balance.xml
  40. 830
      account_financial_report/report/templates/general_ledger.xml
  41. 491
      account_financial_report/report/templates/journal_ledger.xml
  42. 32
      account_financial_report/report/templates/layouts.xml
  43. 286
      account_financial_report/report/templates/open_items.xml
  44. 1003
      account_financial_report/report/templates/trial_balance.xml
  45. 193
      account_financial_report/report/templates/vat_report.xml
  46. 727
      account_financial_report/report/trial_balance.py
  47. 305
      account_financial_report/report/trial_balance_xlsx.py
  48. 194
      account_financial_report/report/vat_report.py
  49. 60
      account_financial_report/report/vat_report_xlsx.py
  50. 204
      account_financial_report/reports.xml
  51. BIN
      account_financial_report/static/description/icon.png
  52. 502
      account_financial_report/static/description/index.html
  53. 113
      account_financial_report/static/src/css/report.css
  54. 109
      account_financial_report/static/src/js/account_financial_report_backend.js
  55. 88
      account_financial_report/static/src/js/account_financial_report_widgets.js
  56. 8
      account_financial_report/tests/__init__.py
  57. 701
      account_financial_report/tests/test_general_ledger.py
  58. 340
      account_financial_report/tests/test_journal_ledger.py
  59. 24
      account_financial_report/tests/test_open_items.py
  60. 820
      account_financial_report/tests/test_trial_balance.py
  61. 367
      account_financial_report/tests/test_vat_report.py
  62. 14
      account_financial_report/view/account_view.xml
  63. 9
      account_financial_report/view/report_aged_partner_balance.xml
  64. 9
      account_financial_report/view/report_general_ledger.xml
  65. 9
      account_financial_report/view/report_journal_ledger.xml
  66. 9
      account_financial_report/view/report_open_items.xml
  67. 81
      account_financial_report/view/report_template.xml
  68. 9
      account_financial_report/view/report_trial_balance.xml
  69. 9
      account_financial_report/view/report_vat_report.xml
  70. 7
      account_financial_report/wizard/__init__.py
  71. 29
      account_financial_report/wizard/abstract_wizard.py
  72. 119
      account_financial_report/wizard/aged_partner_balance_wizard.py
  73. 80
      account_financial_report/wizard/aged_partner_balance_wizard_view.xml
  74. 291
      account_financial_report/wizard/general_ledger_wizard.py
  75. 145
      account_financial_report/wizard/general_ledger_wizard_view.xml
  76. 174
      account_financial_report/wizard/journal_ledger_wizard.py
  77. 75
      account_financial_report/wizard/journal_ledger_wizard_view.xml
  78. 145
      account_financial_report/wizard/open_items_wizard.py
  79. 95
      account_financial_report/wizard/open_items_wizard_view.xml
  80. 267
      account_financial_report/wizard/trial_balance_wizard.py
  81. 140
      account_financial_report/wizard/trial_balance_wizard_view.xml
  82. 113
      account_financial_report/wizard/vat_report_wizard.py
  83. 60
      account_financial_report/wizard/vat_report_wizard_view.xml
  84. 1
      oca_dependencies.txt

147
account_financial_report/README.rst

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=========================
Account Financial Reports
=========================
.. !!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!
!! This file is generated by oca-gen-addon-readme !!
!! changes will be overwritten. !!
!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!
.. |badge1| image:: https://img.shields.io/badge/maturity-Beta-yellow.png
:target: https://odoo-community.org/page/development-status
:alt: Beta
.. |badge2| image:: https://img.shields.io/badge/licence-AGPL--3-blue.png
:target: http://www.gnu.org/licenses/agpl-3.0-standalone.html
:alt: License: AGPL-3
.. |badge3| image:: https://img.shields.io/badge/github-OCA%2Faccount--financial--reporting-lightgray.png?logo=github
:target: https://github.com/OCA/account-financial-reporting/tree/13.0/account_financial_report
:alt: OCA/account-financial-reporting
.. |badge4| image:: https://img.shields.io/badge/weblate-Translate%20me-F47D42.png
:target: https://translation.odoo-community.org/projects/account-financial-reporting-13-0/account-financial-reporting-13-0-account_financial_report
:alt: Translate me on Weblate
.. |badge5| image:: https://img.shields.io/badge/runbot-Try%20me-875A7B.png
:target: https://runbot.odoo-community.org/runbot/91/13.0
:alt: Try me on Runbot
|badge1| |badge2| |badge3| |badge4| |badge5|
This module adds a set of financial reports. They are accessible under
Invoicing / Reporting / OCA accounting reports.
- General ledger
- Trial Balance
- Open Items
- Aged Partner Balance
- VAT Report
- Journal Ledger
Currently General ledger, Trial Balance and Open Items are fully compatible with a foreign
currency set up in account in order to display balances. Moreover, any foreign
currency used in account move lines is properly shown.
In case that in an account has not been configured a second currency foreign
currency balances are not available.
**Table of contents**
.. contents::
:local:
Known issues / Roadmap
======================
* 'VAT Report' is valid only for cases where it's met that for each
Tax defined: all the "Account tags" of all the
'Repartition for Invoices' or 'Repartition for Credit Notes'
are different.
Changelog
=========
11.0.2.5.0 (2019-04-26)
~~~~~~~~~~~~~~~~~~~~~~~
* In the Trial Balance you have an option to hide parent hierarchy levels
11.0.2.4.1 (2019-01-08)
~~~~~~~~~~~~~~~~~~~~~~~
* Handle better multicompany behaviour
* Improve how title appears in the reports
* Improve performance in General Ledger
11.0.2.3.1 (2018-11-29)
~~~~~~~~~~~~~~~~~~~~~~~
* In the Trial Balance you can apply a filter by hierarchy levels
* In the General Ledger you can apply a filter by Analytic Tag
* In the Journal Ledger the field 'Journal' is now optional
Bug Tracker
===========
Bugs are tracked on `GitHub Issues <https://github.com/OCA/account-financial-reporting/issues>`_.
In case of trouble, please check there if your issue has already been reported.
If you spotted it first, help us smashing it by providing a detailed and welcomed
`feedback <https://github.com/OCA/account-financial-reporting/issues/new?body=module:%20account_financial_report%0Aversion:%2013.0%0A%0A**Steps%20to%20reproduce**%0A-%20...%0A%0A**Current%20behavior**%0A%0A**Expected%20behavior**>`_.
Do not contact contributors directly about support or help with technical issues.
Credits
=======
Authors
~~~~~~~
* Camptocamp SA
* initOS GmbH
* redCOR AG
* ForgeFlow
Contributors
~~~~~~~~~~~~
* Jordi Ballester <jordi.ballester@forgeflow.com>
* Yannick Vaucher <yannick.vaucher@camptocamp.com>
* Simone Orsi <simone.orsi@abstract.com>
* Leonardo Pistone <leonardo.pistone@camptocamp.com>
* Damien Crier <damien.crier@camptocamp.com>
* Andrea Stirpe <a.stirpe@onestein.nl>
* Thomas Rehn <thomas.rehn@initos.com>
* Andrea Gallina <4everamd@gmail.com>
* Robert Rottermann <robert@redcor.ch>
* Ciro Urselli <c.urselli@apuliasoftware.it>
* Francesco Apruzzese <opencode@e-ware.org>
* Lorenzo Battistini <https://github.com/eLBati>
* Julien Coux <julien.coux@camptocamp.com>
* Akim Juillerat <akim.juillerat@camptocamp.com>
* Alexis de Lattre <alexis@via.ecp.fr>
* Mihai Fekete <feketemihai@gmail.com>
* Miquel Raïch <miquel.raich@forgeflow.com>
* Joan Sisquella <joan.sisquella@forgeflow.com>
* `Tecnativa <https://www.tecnativa.com>`__:
* Pedro M. Baeza
* Sergio Teruel
* Ernesto Tejeda
Much of the work in this module was done at a sprint in Sorrento, Italy in
April 2016.
Maintainers
~~~~~~~~~~~
This module is maintained by the OCA.
.. image:: https://odoo-community.org/logo.png
:alt: Odoo Community Association
:target: https://odoo-community.org
OCA, or the Odoo Community Association, is a nonprofit organization whose
mission is to support the collaborative development of Odoo features and
promote its widespread use.
This module is part of the `OCA/account-financial-reporting <https://github.com/OCA/account-financial-reporting/tree/13.0/account_financial_report>`_ project on GitHub.
You are welcome to contribute. To learn how please visit https://odoo-community.org/page/Contribute.

7
account_financial_report/__init__.py

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# Author: Damien Crier
# Copyright 2016 Camptocamp SA
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from . import models
from . import report
from . import wizard

47
account_financial_report/__manifest__.py

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# Author: Damien Crier
# Author: Julien Coux
# Copyright 2016 Camptocamp SA
# Copyright 2020 ForgeFlow S.L. (https://www.forgeflow.com)
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
{
"name": "Account Financial Reports",
"version": "13.0.1.0.0",
"category": "Reporting",
"summary": "OCA Financial Reports",
"author": "Camptocamp SA,"
"initOS GmbH,"
"redCOR AG,"
"ForgeFlow,"
"Odoo Community Association (OCA)",
"website": "https://odoo-community.org/",
"depends": ["account", "date_range", "report_xlsx"],
"data": [
"wizard/aged_partner_balance_wizard_view.xml",
"wizard/general_ledger_wizard_view.xml",
"wizard/journal_ledger_wizard_view.xml",
"wizard/open_items_wizard_view.xml",
"wizard/trial_balance_wizard_view.xml",
"wizard/vat_report_wizard_view.xml",
"menuitems.xml",
"reports.xml",
"report/templates/layouts.xml",
"report/templates/aged_partner_balance.xml",
"report/templates/general_ledger.xml",
"report/templates/journal_ledger.xml",
"report/templates/open_items.xml",
"report/templates/trial_balance.xml",
"report/templates/vat_report.xml",
"view/account_view.xml",
"view/report_template.xml",
"view/report_general_ledger.xml",
"view/report_journal_ledger.xml",
"view/report_trial_balance.xml",
"view/report_open_items.xml",
"view/report_aged_partner_balance.xml",
"view/report_vat_report.xml",
],
"installable": True,
"application": True,
"auto_install": False,
"license": "AGPL-3",
}

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account_financial_report/menuitems.xml

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<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<menuitem
parent="account.menu_finance_reports"
id="menu_oca_reports"
name="OCA accounting reports"
groups="account.group_account_manager,account.group_account_user"
/>
<menuitem
parent="menu_oca_reports"
action="action_general_ledger_wizard"
id="menu_general_ledger_wizard"
sequence="10"
/>
<menuitem
parent="menu_oca_reports"
action="action_journal_ledger_wizard"
id="menu_journal_ledger_wizard"
sequence="15"
/>
<menuitem
parent="menu_oca_reports"
action="action_trial_balance_wizard"
id="menu_trial_balance_wizard"
sequence="20"
/>
<menuitem
parent="menu_oca_reports"
action="action_open_items_wizard"
id="menu_open_items_wizard"
sequence="30"
/>
<menuitem
parent="menu_oca_reports"
action="action_aged_partner_balance_wizard"
id="menu_aged_partner_balance_wizard"
sequence="40"
/>
<menuitem
parent="menu_oca_reports"
action="action_vat_report_wizard"
id="menu_vat_report_wizard"
sequence="50"
/>
</odoo>

3
account_financial_report/models/__init__.py

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from . import account
from . import account_group
from . import account_move_line

14
account_financial_report/models/account.py

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# © 2011 Guewen Baconnier (Camptocamp)
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).-
from odoo import fields, models
class AccountAccount(models.Model):
_inherit = "account.account"
centralized = fields.Boolean(
"Centralized",
help="If flagged, no details will be displayed in "
"the General Ledger report (the webkit one only), "
"only centralized amounts per period.",
)

65
account_financial_report/models/account_group.py

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# © 2018 Forest and Biomass Romania SA
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo import api, fields, models
class AccountGroup(models.Model):
_inherit = "account.group"
group_child_ids = fields.One2many(
comodel_name="account.group", inverse_name="parent_id", string="Child Groups"
)
level = fields.Integer(string="Level", compute="_compute_level", store=True)
account_ids = fields.One2many(
comodel_name="account.account", inverse_name="group_id", string="Accounts"
)
compute_account_ids = fields.Many2many(
"account.account",
compute="_compute_group_accounts",
string="Compute accounts",
store=True,
)
complete_name = fields.Char("Full Name", compute="_compute_complete_name")
complete_code = fields.Char("Full Code", compute="_compute_complete_code")
@api.depends("name", "parent_id.complete_name")
def _compute_complete_name(self):
""" Forms complete name of location from parent location to child location. """
if self.parent_id.complete_name:
self.complete_name = "{}/{}".format(self.parent_id.complete_name, self.name)
else:
self.complete_name = self.name
@api.depends("code_prefix", "parent_id.complete_code")
def _compute_complete_code(self):
""" Forms complete code of location from parent location to child location. """
if self.parent_id.complete_code:
self.complete_code = "{}/{}".format(
self.parent_id.complete_code, self.code_prefix
)
else:
self.complete_code = self.code_prefix
@api.depends("parent_id", "parent_id.level")
def _compute_level(self):
for group in self:
if not group.parent_id:
group.level = 0
else:
group.level = group.parent_id.level + 1
@api.depends(
"code_prefix",
"account_ids",
"account_ids.code",
"group_child_ids",
"group_child_ids.account_ids.code",
)
def _compute_group_accounts(self):
account_obj = self.env["account.account"]
accounts = account_obj.search([])
for group in self:
prefix = group.code_prefix if group.code_prefix else group.name
gr_acc = accounts.filtered(lambda a: a.code.startswith(prefix)).ids
group.compute_account_ids = [(6, 0, gr_acc)]

32
account_financial_report/models/account_move_line.py

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# Copyright 2019 ACSONE SA/NV (<http://acsone.eu>)
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).-
from odoo import models
class AccountMoveLine(models.Model):
_inherit = "account.move.line"
def init(self):
"""
The join between accounts_partners subquery and account_move_line
can be heavy to compute on big databases.
Join sample:
JOIN
account_move_line ml
ON ap.account_id = ml.account_id
AND ml.date < '2018-12-30'
AND ap.partner_id = ml.partner_id
AND ap.include_initial_balance = TRUE
By adding the following index, performances are strongly increased.
:return:
"""
self._cr.execute(
"SELECT indexname FROM pg_indexes WHERE indexname = " "%s",
("account_move_line_account_id_partner_id_index",),
)
if not self._cr.fetchone():
self._cr.execute(
"""
CREATE INDEX account_move_line_account_id_partner_id_index
ON account_move_line (account_id, partner_id)"""
)

26
account_financial_report/readme/CONTRIBUTORS.rst

@ -0,0 +1,26 @@
* Jordi Ballester <jordi.ballester@forgeflow.com>
* Yannick Vaucher <yannick.vaucher@camptocamp.com>
* Simone Orsi <simone.orsi@abstract.com>
* Leonardo Pistone <leonardo.pistone@camptocamp.com>
* Damien Crier <damien.crier@camptocamp.com>
* Andrea Stirpe <a.stirpe@onestein.nl>
* Thomas Rehn <thomas.rehn@initos.com>
* Andrea Gallina <4everamd@gmail.com>
* Robert Rottermann <robert@redcor.ch>
* Ciro Urselli <c.urselli@apuliasoftware.it>
* Francesco Apruzzese <opencode@e-ware.org>
* Lorenzo Battistini <https://github.com/eLBati>
* Julien Coux <julien.coux@camptocamp.com>
* Akim Juillerat <akim.juillerat@camptocamp.com>
* Alexis de Lattre <alexis@via.ecp.fr>
* Mihai Fekete <feketemihai@gmail.com>
* Miquel Raïch <miquel.raich@forgeflow.com>
* Joan Sisquella <joan.sisquella@forgeflow.com>
* `Tecnativa <https://www.tecnativa.com>`__:
* Pedro M. Baeza
* Sergio Teruel
* Ernesto Tejeda
Much of the work in this module was done at a sprint in Sorrento, Italy in
April 2016.

16
account_financial_report/readme/DESCRIPTION.rst

@ -0,0 +1,16 @@
This module adds a set of financial reports. They are accessible under
Invoicing / Reporting / OCA accounting reports.
- General ledger
- Trial Balance
- Open Items
- Aged Partner Balance
- VAT Report
- Journal Ledger
Currently General ledger, Trial Balance and Open Items are fully compatible with a foreign
currency set up in account in order to display balances. Moreover, any foreign
currency used in account move lines is properly shown.
In case that in an account has not been configured a second currency foreign
currency balances are not available.

19
account_financial_report/readme/HISTORY.rst

@ -0,0 +1,19 @@
11.0.2.5.0 (2019-04-26)
~~~~~~~~~~~~~~~~~~~~~~~
* In the Trial Balance you have an option to hide parent hierarchy levels
11.0.2.4.1 (2019-01-08)
~~~~~~~~~~~~~~~~~~~~~~~
* Handle better multicompany behaviour
* Improve how title appears in the reports
* Improve performance in General Ledger
11.0.2.3.1 (2018-11-29)
~~~~~~~~~~~~~~~~~~~~~~~
* In the Trial Balance you can apply a filter by hierarchy levels
* In the General Ledger you can apply a filter by Analytic Tag
* In the Journal Ledger the field 'Journal' is now optional

7
account_financial_report/readme/ROADMAP.rst

@ -0,0 +1,7 @@
* 'VAT Report' is valid only for cases where it's met that for each
Tax defined: all the "Account tags" of all the
'Repartition for Invoices' or 'Repartition for Credit Notes'
are different.
* It would be nice to have in reports a column indicating the
state of the entries when the option "All Entries" is selected
in "Target Moves" field in a wizard

18
account_financial_report/report/__init__.py

@ -0,0 +1,18 @@
# © 2015 Yannick Vaucher (Camptocamp)
# © 2016 Damien Crier (Camptocamp)
# © 2016 Julien Coux (Camptocamp)
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).-
from . import abstract_report_xlsx
from . import aged_partner_balance
from . import aged_partner_balance_xlsx
from . import general_ledger
from . import general_ledger_xlsx
from . import journal_ledger
from . import journal_ledger_xlsx
from . import open_items
from . import open_items_xlsx
from . import trial_balance
from . import trial_balance_xlsx
from . import vat_report
from . import vat_report_xlsx

608
account_financial_report/report/abstract_report_xlsx.py

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# Author: Julien Coux
# Copyright 2016 Camptocamp SA
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo import models
class AbstractReportXslx(models.AbstractModel):
_name = "report.account_financial_report.abstract_report_xlsx"
_description = "Abstract XLSX Account Financial Report"
_inherit = "report.report_xlsx.abstract"
def __init__(self, pool, cr):
# main sheet which will contains report
self.sheet = None
# columns of the report
self.columns = None
# row_pos must be incremented at each writing lines
self.row_pos = None
# Formats
self.format_right = None
self.format_left = None
self.format_right_bold_italic = None
self.format_bold = None
self.format_header_left = None
self.format_header_center = None
self.format_header_right = None
self.format_header_amount = None
self.format_amount = None
self.format_percent_bold_italic = None
def get_workbook_options(self):
return {"constant_memory": True}
def generate_xlsx_report(self, workbook, data, objects):
report = objects
self.row_pos = 0
self._define_formats(workbook)
report_name = self._get_report_name(report, data=data)
report_footer = self._get_report_footer()
filters = self._get_report_filters(report)
self.columns = self._get_report_columns(report)
self.workbook = workbook
self.sheet = workbook.add_worksheet(report_name[:31])
self._set_column_width()
self._write_report_title(report_name)
self._write_filters(filters)
self._generate_report_content(workbook, report, data)
self._write_report_footer(report_footer)
def _define_formats(self, workbook):
""" Add cell formats to current workbook.
Those formats can be used on all cell.
Available formats are :
* format_bold
* format_right
* format_right_bold_italic
* format_header_left
* format_header_center
* format_header_right
* format_header_amount
* format_amount
* format_percent_bold_italic
"""
self.format_bold = workbook.add_format({"bold": True})
self.format_right = workbook.add_format({"align": "right"})
self.format_left = workbook.add_format({"align": "left"})
self.format_right_bold_italic = workbook.add_format(
{"align": "right", "bold": True, "italic": True}
)
self.format_header_left = workbook.add_format(
{"bold": True, "border": True, "bg_color": "#FFFFCC"}
)
self.format_header_center = workbook.add_format(
{"bold": True, "align": "center", "border": True, "bg_color": "#FFFFCC"}
)
self.format_header_right = workbook.add_format(
{"bold": True, "align": "right", "border": True, "bg_color": "#FFFFCC"}
)
self.format_header_amount = workbook.add_format(
{"bold": True, "border": True, "bg_color": "#FFFFCC"}
)
currency_id = self.env["res.company"]._get_user_currency()
self.format_header_amount.set_num_format(
"#,##0." + "0" * currency_id.decimal_places
)
self.format_amount = workbook.add_format()
self.format_amount.set_num_format("#,##0." + "0" * currency_id.decimal_places)
self.format_amount_bold = workbook.add_format({"bold": True})
self.format_amount_bold.set_num_format(
"#,##0." + "0" * currency_id.decimal_places
)
self.format_percent_bold_italic = workbook.add_format(
{"bold": True, "italic": True}
)
self.format_percent_bold_italic.set_num_format("#,##0.00%")
def _set_column_width(self):
"""Set width for all defined columns.
Columns are defined with `_get_report_columns` method.
"""
for position, column in self.columns.items():
self.sheet.set_column(position, position, column["width"])
def _write_report_title(self, title):
"""Write report title on current line using all defined columns width.
Columns are defined with `_get_report_columns` method.
"""
self.sheet.merge_range(
self.row_pos,
0,
self.row_pos,
len(self.columns) - 1,
title,
self.format_bold,
)
self.row_pos += 3
def _write_report_footer(self, footer):
"""Write report footer .
Columns are defined with `_get_report_columns` method.
"""
if footer:
self.row_pos += 1
self.sheet.merge_range(
self.row_pos,
0,
self.row_pos,
len(self.columns) - 1,
footer,
self.format_left,
)
self.row_pos += 1
def _write_filters(self, filters):
"""Write one line per filters on starting on current line.
Columns number for filter name is defined
with `_get_col_count_filter_name` method.
Columns number for filter value is define
with `_get_col_count_filter_value` method.
"""
col_name = 1
col_count_filter_name = self._get_col_count_filter_name()
col_count_filter_value = self._get_col_count_filter_value()
col_value = col_name + col_count_filter_name + 1
for title, value in filters:
self.sheet.merge_range(
self.row_pos,
col_name,
self.row_pos,
col_name + col_count_filter_name - 1,
title,
self.format_header_left,
)
self.sheet.merge_range(
self.row_pos,
col_value,
self.row_pos,
col_value + col_count_filter_value - 1,
value,
)
self.row_pos += 1
self.row_pos += 2
def write_array_title(self, title):
"""Write array title on current line using all defined columns width.
Columns are defined with `_get_report_columns` method.
"""
self.sheet.merge_range(
self.row_pos,
0,
self.row_pos,
len(self.columns) - 1,
title,
self.format_bold,
)
self.row_pos += 1
def write_array_header(self):
"""Write array header on current line using all defined columns name.
Columns are defined with `_get_report_columns` method.
"""
for col_pos, column in self.columns.items():
self.sheet.write(
self.row_pos, col_pos, column["header"], self.format_header_center
)
self.row_pos += 1
def write_line(self, line_object):
"""Write a line on current line using all defined columns field name.
Columns are defined with `_get_report_columns` method.
"""
for col_pos, column in self.columns.items():
value = getattr(line_object, column["field"])
cell_type = column.get("type", "string")
if cell_type == "many2one":
self.sheet.write_string(
self.row_pos, col_pos, value.name or "", self.format_right
)
elif cell_type == "string":
if (
hasattr(line_object, "account_group_id")
and line_object.account_group_id
):
self.sheet.write_string(
self.row_pos, col_pos, value or "", self.format_bold
)
else:
self.sheet.write_string(self.row_pos, col_pos, value or "")
elif cell_type == "amount":
if (
hasattr(line_object, "account_group_id")
and line_object.account_group_id
):
cell_format = self.format_amount_bold
else:
cell_format = self.format_amount
self.sheet.write_number(
self.row_pos, col_pos, float(value), cell_format
)
elif cell_type == "amount_currency":
if line_object.currency_id:
format_amt = self._get_currency_amt_format(line_object)
self.sheet.write_number(
self.row_pos, col_pos, float(value), format_amt
)
self.row_pos += 1
def write_line_from_dict(self, line_dict):
"""Write a line on current line
"""
for col_pos, column in self.columns.items():
value = line_dict.get(column["field"], False)
cell_type = column.get("type", "string")
if cell_type == "string":
if (
line_dict.get("account_group_id", False)
and line_dict["account_group_id"]
):
self.sheet.write_string(
self.row_pos, col_pos, value or "", self.format_bold
)
else:
if (
not isinstance(value, str)
and not isinstance(value, bool)
and not isinstance(value, int)
):
value = value and value.strftime("%d/%m/%Y")
self.sheet.write_string(self.row_pos, col_pos, value or "")
elif cell_type == "amount":
if (
line_dict.get("account_group_id", False)
and line_dict["account_group_id"]
):
cell_format = self.format_amount_bold
else:
cell_format = self.format_amount
self.sheet.write_number(
self.row_pos, col_pos, float(value), cell_format
)
elif cell_type == "amount_currency":
if line_dict.get("currency_name", False):
format_amt = self._get_currency_amt_format_dict(line_dict)
self.sheet.write_number(
self.row_pos, col_pos, float(value), format_amt
)
elif cell_type == "currency_name":
self.sheet.write_string(
self.row_pos, col_pos, value or "", self.format_right
)
self.row_pos += 1
def write_initial_balance(self, my_object, label):
"""Write a specific initial balance line on current line
using defined columns field_initial_balance name.
Columns are defined with `_get_report_columns` method.
"""
col_pos_label = self._get_col_pos_initial_balance_label()
self.sheet.write(self.row_pos, col_pos_label, label, self.format_right)
for col_pos, column in self.columns.items():
if column.get("field_initial_balance"):
value = getattr(my_object, column["field_initial_balance"])
cell_type = column.get("type", "string")
if cell_type == "string":
self.sheet.write_string(self.row_pos, col_pos, value or "")
elif cell_type == "amount":
self.sheet.write_number(
self.row_pos, col_pos, float(value), self.format_amount
)
elif cell_type == "amount_currency":
if my_object.currency_id:
format_amt = self._get_currency_amt_format(my_object)
self.sheet.write_number(
self.row_pos, col_pos, float(value), format_amt
)
elif column.get("field_currency_balance"):
value = getattr(my_object, column["field_currency_balance"])
cell_type = column.get("type", "string")
if cell_type == "many2one":
if my_object.currency_id:
self.sheet.write_string(
self.row_pos, col_pos, value.name or "", self.format_right
)
self.row_pos += 1
def write_initial_balance_from_dict(self, my_object, label):
"""Write a specific initial balance line on current line
using defined columns field_initial_balance name.
Columns are defined with `_get_report_columns` method.
"""
col_pos_label = self._get_col_pos_initial_balance_label()
self.sheet.write(self.row_pos, col_pos_label, label, self.format_right)
for col_pos, column in self.columns.items():
if column.get("field_initial_balance"):
value = my_object.get(column["field_initial_balance"], False)
cell_type = column.get("type", "string")
if cell_type == "string":
self.sheet.write_string(self.row_pos, col_pos, value or "")
elif cell_type == "amount":
self.sheet.write_number(
self.row_pos, col_pos, float(value), self.format_amount
)
elif cell_type == "amount_currency":
if my_object["currency_id"]:
format_amt = self._get_currency_amt_format(my_object)
self.sheet.write_number(
self.row_pos, col_pos, float(value), format_amt
)
elif column.get("field_currency_balance"):
value = my_object.get(column["field_currency_balance"], False)
cell_type = column.get("type", "string")
if cell_type == "many2one":
if my_object["currency_id"]:
self.sheet.write_string(
self.row_pos, col_pos, value.name or "", self.format_right
)
self.row_pos += 1
def write_ending_balance(self, my_object, name, label):
"""Write a specific ending balance line on current line
using defined columns field_final_balance name.
Columns are defined with `_get_report_columns` method.
"""
for i in range(0, len(self.columns)):
self.sheet.write(self.row_pos, i, "", self.format_header_right)
row_count_name = self._get_col_count_final_balance_name()
col_pos_label = self._get_col_pos_final_balance_label()
self.sheet.merge_range(
self.row_pos,
0,
self.row_pos,
row_count_name - 1,
name,
self.format_header_left,
)
self.sheet.write(self.row_pos, col_pos_label, label, self.format_header_right)
for col_pos, column in self.columns.items():
if column.get("field_final_balance"):
value = getattr(my_object, column["field_final_balance"])
cell_type = column.get("type", "string")
if cell_type == "string":
self.sheet.write_string(
self.row_pos, col_pos, value or "", self.format_header_right
)
elif cell_type == "amount":
self.sheet.write_number(
self.row_pos, col_pos, float(value), self.format_header_amount
)
elif cell_type == "amount_currency":
if my_object.currency_id:
format_amt = self._get_currency_amt_header_format(my_object)
self.sheet.write_number(
self.row_pos, col_pos, float(value), format_amt
)
elif column.get("field_currency_balance"):
value = getattr(my_object, column["field_currency_balance"])
cell_type = column.get("type", "string")
if cell_type == "many2one":
if my_object.currency_id:
self.sheet.write_string(
self.row_pos,
col_pos,
value.name or "",
self.format_header_right,
)
self.row_pos += 1
def write_ending_balance_from_dict(self, my_object, name, label):
"""Write a specific ending balance line on current line
using defined columns field_final_balance name.
Columns are defined with `_get_report_columns` method.
"""
for i in range(0, len(self.columns)):
self.sheet.write(self.row_pos, i, "", self.format_header_right)
row_count_name = self._get_col_count_final_balance_name()
col_pos_label = self._get_col_pos_final_balance_label()
self.sheet.merge_range(
self.row_pos,
0,
self.row_pos,
row_count_name - 1,
name,
self.format_header_left,
)
self.sheet.write(self.row_pos, col_pos_label, label, self.format_header_right)
for col_pos, column in self.columns.items():
if column.get("field_final_balance"):
value = my_object.get(column["field_final_balance"], False)
cell_type = column.get("type", "string")
if cell_type == "string":
self.sheet.write_string(
self.row_pos, col_pos, value or "", self.format_header_right
)
elif cell_type == "amount":
self.sheet.write_number(
self.row_pos, col_pos, float(value), self.format_header_amount
)
elif cell_type == "amount_currency":
if my_object["currency_id"] and value:
format_amt = self._get_currency_amt_format_dict(my_object)
self.sheet.write_number(
self.row_pos, col_pos, float(value), format_amt
)
elif column.get("field_currency_balance"):
value = my_object.get(column["field_currency_balance"], False)
cell_type = column.get("type", "string")
if cell_type == "many2one":
if my_object["currency_id"]:
self.sheet.write_string(
self.row_pos, col_pos, value or "", self.format_header_right
)
self.row_pos += 1
def _get_currency_amt_format(self, line_object):
""" Return amount format specific for each currency. """
if hasattr(line_object, "account_group_id") and line_object.account_group_id:
format_amt = self.format_amount_bold
field_prefix = "format_amount_bold"
else:
format_amt = self.format_amount
field_prefix = "format_amount"
if line_object.currency_id:
field_name = "{}_{}".format(field_prefix, line_object.currency_id.name)
if hasattr(self, field_name):
format_amt = getattr(self, field_name)
else:
format_amt = self.workbook.add_format()
self.field_name = format_amt
format_amount = "#,##0." + (
"0" * line_object.currency_id.decimal_places
)
format_amt.set_num_format(format_amount)
return format_amt
def _get_currency_amt_format_dict(self, line_dict):
""" Return amount format specific for each currency. """
if line_dict.get("account_group_id", False) and line_dict["account_group_id"]:
format_amt = self.format_amount_bold
field_prefix = "format_amount_bold"
else:
format_amt = self.format_amount
field_prefix = "format_amount"
if line_dict.get("currency_id", False) and line_dict["currency_id"]:
currency = self.env["res.currency"].browse([line_dict["currency_id"]])
field_name = "{}_{}".format(field_prefix, currency.name)
if hasattr(self, field_name):
format_amt = getattr(self, field_name)
else:
format_amt = self.workbook.add_format()
self.field_name = format_amt
format_amount = "#,##0." + ("0" * currency.decimal_places)
format_amt.set_num_format(format_amount)
return format_amt
def _get_currency_amt_header_format(self, line_object):
""" Return amount header format for each currency. """
format_amt = self.format_header_amount
if line_object.currency_id:
field_name = "format_header_amount_%s" % line_object.currency_id.name
if hasattr(self, field_name):
format_amt = getattr(self, field_name)
else:
format_amt = self.workbook.add_format(
{"bold": True, "border": True, "bg_color": "#FFFFCC"}
)
self.field_name = format_amt
format_amount = "#,##0." + (
"0" * line_object.currency_id.decimal_places
)
format_amt.set_num_format(format_amount)
return format_amt
def _get_currency_amt_header_format_dict(self, line_object):
""" Return amount header format for each currency. """
format_amt = self.format_header_amount
if line_object["currency_id"]:
field_name = "format_header_amount_%s" % line_object["currency_name"]
if hasattr(self, field_name):
format_amt = getattr(self, field_name)
else:
format_amt = self.workbook.add_format(
{"bold": True, "border": True, "bg_color": "#FFFFCC"}
)
self.field_name = format_amt
format_amount = "#,##0." + (
"0" * line_object["currency_id"].decimal_places
)
format_amt.set_num_format(format_amount)
return format_amt
def _generate_report_content(self, workbook, report, data):
"""
Allow to fetch report content to be displayed.
"""
raise NotImplementedError()
def _get_report_complete_name(self, report, prefix, data=None):
if report.company_id:
suffix = " - {} - {}".format(
report.company_id.name, report.company_id.currency_id.name
)
return prefix + suffix
return prefix
def _get_report_name(self, report, data=False):
"""
Allow to define the report name.
Report name will be used as sheet name and as report title.
:return: the report name
"""
raise NotImplementedError()
def _get_report_footer(self):
"""
Allow to define the report footer.
:return: the report footer
"""
return False
def _get_report_columns(self, report):
"""
Allow to define the report columns
which will be used to generate report.
:return: the report columns as dict
:Example:
{
0: {'header': 'Simple column',
'field': 'field_name_on_my_object',
'width': 11},
1: {'header': 'Amount column',
'field': 'field_name_on_my_object',
'type': 'amount',
'width': 14},
}
"""
raise NotImplementedError()
def _get_report_filters(self, report):
"""
:return: the report filters as list
:Example:
[
['first_filter_name', 'first_filter_value'],
['second_filter_name', 'second_filter_value']
]
"""
raise NotImplementedError()
def _get_col_count_filter_name(self):
"""
:return: the columns number used for filter names.
"""
raise NotImplementedError()
def _get_col_count_filter_value(self):
"""
:return: the columns number used for filter values.
"""
raise NotImplementedError()
def _get_col_pos_initial_balance_label(self):
"""
:return: the columns position used for initial balance label.
"""
raise NotImplementedError()
def _get_col_count_final_balance_name(self):
"""
:return: the columns number used for final balance name.
"""
raise NotImplementedError()
def _get_col_pos_final_balance_label(self):
"""
:return: the columns position used for final balance label.
"""
raise NotImplementedError()

458
account_financial_report/report/aged_partner_balance.py

@ -0,0 +1,458 @@
# © 2016 Julien Coux (Camptocamp)
# Copyright 2020 ForgeFlow S.L. (https://www.forgeflow.com)
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from datetime import date, datetime, timedelta
from odoo import api, models
from odoo.tools import float_is_zero
class AgedPartnerBalanceReport(models.AbstractModel):
_name = "report.account_financial_report.aged_partner_balance"
_description = "Aged Partner Balance Report"
@api.model
def _initialize_account(self, ag_pb_data, acc_id):
ag_pb_data[acc_id] = {}
ag_pb_data[acc_id]["id"] = acc_id
ag_pb_data[acc_id]["residual"] = 0.0
ag_pb_data[acc_id]["current"] = 0.0
ag_pb_data[acc_id]["30_days"] = 0.0
ag_pb_data[acc_id]["60_days"] = 0.0
ag_pb_data[acc_id]["90_days"] = 0.0
ag_pb_data[acc_id]["120_days"] = 0.0
ag_pb_data[acc_id]["older"] = 0.0
return ag_pb_data
@api.model
def _initialize_partner(self, ag_pb_data, acc_id, prt_id):
ag_pb_data[acc_id][prt_id] = {}
ag_pb_data[acc_id][prt_id]["id"] = acc_id
ag_pb_data[acc_id][prt_id]["residual"] = 0.0
ag_pb_data[acc_id][prt_id]["current"] = 0.0
ag_pb_data[acc_id][prt_id]["30_days"] = 0.0
ag_pb_data[acc_id][prt_id]["60_days"] = 0.0
ag_pb_data[acc_id][prt_id]["90_days"] = 0.0
ag_pb_data[acc_id][prt_id]["120_days"] = 0.0
ag_pb_data[acc_id][prt_id]["older"] = 0.0
ag_pb_data[acc_id][prt_id]["move_lines"] = []
return ag_pb_data
def _get_journals_data(self, journals_ids):
journals = self.env["account.journal"].browse(journals_ids)
journals_data = {}
for journal in journals:
journals_data.update({journal.id: {"id": journal.id, "code": journal.code}})
return journals_data
def _get_accounts_data(self, accounts_ids):
accounts = self.env["account.account"].browse(accounts_ids)
accounts_data = {}
for account in accounts:
accounts_data.update(
{
account.id: {
"id": account.id,
"code": account.code,
"name": account.name,
}
}
)
return accounts_data
@api.model
def _get_move_lines_domain(
self, company_id, account_ids, partner_ids, only_posted_moves
):
domain = [
("account_id", "in", account_ids),
("company_id", "=", company_id),
("reconciled", "=", False),
]
if partner_ids:
domain += [("partner_id", "in", partner_ids)]
if only_posted_moves:
domain += [("move_id.state", "=", "posted")]
return domain
@api.model
def _calculate_amounts(
self, ag_pb_data, acc_id, prt_id, residual, due_date, date_at_object
):
ag_pb_data[acc_id]["residual"] += residual
ag_pb_data[acc_id][prt_id]["residual"] += residual
today = date_at_object
if not due_date or today <= due_date:
ag_pb_data[acc_id]["current"] += residual
ag_pb_data[acc_id][prt_id]["current"] += residual
elif today <= due_date + timedelta(days=30):
ag_pb_data[acc_id]["30_days"] += residual
ag_pb_data[acc_id][prt_id]["30_days"] += residual
elif today <= due_date + timedelta(days=60):
ag_pb_data[acc_id]["60_days"] += residual
ag_pb_data[acc_id][prt_id]["60_days"] += residual
elif today <= due_date + timedelta(days=90):
ag_pb_data[acc_id]["90_days"] += residual
ag_pb_data[acc_id][prt_id]["90_days"] += residual
elif today <= due_date + timedelta(days=120):
ag_pb_data[acc_id]["120_days"] += residual
ag_pb_data[acc_id][prt_id]["120_days"] += residual
else:
ag_pb_data[acc_id]["older"] += residual
ag_pb_data[acc_id][prt_id]["older"] += residual
return ag_pb_data
def _get_account_partial_reconciled(self, company_id, date_at_object):
domain = [("max_date", ">=", date_at_object), ("company_id", "=", company_id)]
fields = ["debit_move_id", "credit_move_id", "amount"]
accounts_partial_reconcile = self.env["account.partial.reconcile"].search_read(
domain=domain, fields=fields
)
debit_amount = {}
credit_amount = {}
for account_partial_reconcile_data in accounts_partial_reconcile:
debit_move_id = account_partial_reconcile_data["debit_move_id"][0]
credit_move_id = account_partial_reconcile_data["credit_move_id"][0]
if debit_move_id not in debit_amount.keys():
debit_amount[debit_move_id] = 0.0
debit_amount[debit_move_id] += account_partial_reconcile_data["amount"]
if credit_move_id not in credit_amount.keys():
credit_amount[credit_move_id] = 0.0
credit_amount[credit_move_id] += account_partial_reconcile_data["amount"]
account_partial_reconcile_data.update(
{"debit_move_id": debit_move_id, "credit_move_id": credit_move_id}
)
return accounts_partial_reconcile, debit_amount, credit_amount
@api.model
def _get_new_move_lines_domain(
self, new_ml_ids, account_ids, company_id, partner_ids, only_posted_moves
):
domain = [
("account_id", "in", account_ids),
("company_id", "=", company_id),
("id", "in", new_ml_ids),
]
if partner_ids:
domain += [("partner_id", "in", partner_ids)]
if only_posted_moves:
domain += [("move_id.state", "=", "posted")]
return domain
def _recalculate_move_lines(
self,
move_lines,
debit_ids,
credit_ids,
debit_amount,
credit_amount,
ml_ids,
account_ids,
company_id,
partner_ids,
only_posted_moves,
):
reconciled_ids = list(debit_ids) + list(credit_ids)
new_ml_ids = []
for reconciled_id in reconciled_ids:
if reconciled_id not in ml_ids and reconciled_id not in new_ml_ids:
new_ml_ids += [reconciled_id]
new_domain = self._get_new_move_lines_domain(
new_ml_ids, account_ids, company_id, partner_ids, only_posted_moves
)
ml_fields = [
"id",
"name",
"date",
"move_id",
"journal_id",
"account_id",
"partner_id",
"amount_residual",
"date_maturity",
"ref",
"reconciled",
]
new_move_lines = self.env["account.move.line"].search_read(
domain=new_domain, fields=ml_fields
)
move_lines = move_lines + new_move_lines
for move_line in move_lines:
ml_id = move_line["id"]
if ml_id in debit_ids:
move_line["amount_residual"] += debit_amount[ml_id]
if ml_id in credit_ids:
move_line["amount_residual"] -= credit_amount[ml_id]
return move_lines
def _get_move_lines_data(
self,
company_id,
account_ids,
partner_ids,
date_at_object,
only_posted_moves,
show_move_line_details,
):
domain = self._get_move_lines_domain(
company_id, account_ids, partner_ids, only_posted_moves
)
ml_fields = [
"id",
"name",
"date",
"move_id",
"journal_id",
"account_id",
"partner_id",
"amount_residual",
"date_maturity",
"ref",
"reconciled",
]
move_lines = self.env["account.move.line"].search_read(
domain=domain, fields=ml_fields
)
journals_ids = set()
partners_ids = set()
partners_data = {}
ag_pb_data = {}
if date_at_object < date.today():
(
acc_partial_rec,
debit_amount,
credit_amount,
) = self._get_account_partial_reconciled(company_id, date_at_object)
if acc_partial_rec:
ml_ids = map(lambda r: r["id"], move_lines)
debit_ids = map(lambda r: r["debit_move_id"], acc_partial_rec)
credit_ids = map(lambda r: r["credit_move_id"], acc_partial_rec)
move_lines = self._recalculate_move_lines(
move_lines,
debit_ids,
credit_ids,
debit_amount,
credit_amount,
ml_ids,
account_ids,
company_id,
partner_ids,
only_posted_moves,
)
moves_lines_to_remove = []
for move_line in move_lines:
if move_line["date"] > date_at_object or float_is_zero(
move_line["amount_residual"], precision_digits=2
):
moves_lines_to_remove.append(move_line)
if len(moves_lines_to_remove) > 0:
for move_line_to_remove in moves_lines_to_remove:
move_lines.remove(move_line_to_remove)
for move_line in move_lines:
journals_ids.add(move_line["journal_id"][0])
acc_id = move_line["account_id"][0]
if move_line["partner_id"]:
prt_id = move_line["partner_id"][0]
prt_name = move_line["partner_id"][1]
else:
prt_id = 0
prt_name = ""
if prt_id not in partners_ids:
partners_data.update({prt_id: {"id": prt_id, "name": prt_name}})
partners_ids.add(prt_id)
if acc_id not in ag_pb_data.keys():
ag_pb_data = self._initialize_account(ag_pb_data, acc_id)
if prt_id not in ag_pb_data[acc_id]:
ag_pb_data = self._initialize_partner(ag_pb_data, acc_id, prt_id)
move_line_data = {}
if show_move_line_details:
move_line_data.update(
{
"date": move_line["date"],
"entry": move_line["move_id"][1],
"jnl_id": move_line["journal_id"][0],
"acc_id": acc_id,
"partner": prt_name,
"ref": move_line["ref"],
"due_date": move_line["date_maturity"],
"residual": move_line["amount_residual"],
}
)
ag_pb_data[acc_id][prt_id]["move_lines"].append(move_line_data)
ag_pb_data = self._calculate_amounts(
ag_pb_data,
acc_id,
prt_id,
move_line["amount_residual"],
move_line["date_maturity"],
date_at_object,
)
journals_data = self._get_journals_data(list(journals_ids))
accounts_data = self._get_accounts_data(ag_pb_data.keys())
return ag_pb_data, accounts_data, partners_data, journals_data
@api.model
def _compute_maturity_date(self, ml, date_at_object):
ml.update(
{
"current": 0.0,
"30_days": 0.0,
"60_days": 0.0,
"90_days": 0.0,
"120_days": 0.0,
"older": 0.0,
}
)
due_date = ml["due_date"]
amount = ml["residual"]
today = date_at_object
if not due_date or today <= due_date:
ml["current"] += amount
elif today <= due_date + timedelta(days=30):
ml["30_days"] += amount
elif today <= due_date + timedelta(days=60):
ml["60_days"] += amount
elif today <= due_date + timedelta(days=90):
ml["90_days"] += amount
elif today <= due_date + timedelta(days=120):
ml["120_days"] += amount
else:
ml["older"] += amount
def _create_account_list(
self,
ag_pb_data,
accounts_data,
partners_data,
journals_data,
show_move_line_details,
date_at_oject,
):
aged_partner_data = []
for account in accounts_data.values():
acc_id = account["id"]
account.update(
{
"residual": ag_pb_data[acc_id]["residual"],
"current": ag_pb_data[acc_id]["current"],
"30_days": ag_pb_data[acc_id]["30_days"],
"60_days": ag_pb_data[acc_id]["60_days"],
"90_days": ag_pb_data[acc_id]["90_days"],
"120_days": ag_pb_data[acc_id]["120_days"],
"older": ag_pb_data[acc_id]["older"],
"partners": [],
}
)
for prt_id in ag_pb_data[acc_id]:
if isinstance(prt_id, int):
partner = {
"name": partners_data[prt_id]["name"],
"residual": ag_pb_data[acc_id][prt_id]["residual"],
"current": ag_pb_data[acc_id][prt_id]["current"],
"30_days": ag_pb_data[acc_id][prt_id]["30_days"],
"60_days": ag_pb_data[acc_id][prt_id]["60_days"],
"90_days": ag_pb_data[acc_id][prt_id]["90_days"],
"120_days": ag_pb_data[acc_id][prt_id]["120_days"],
"older": ag_pb_data[acc_id][prt_id]["older"],
}
if show_move_line_details:
move_lines = []
for ml in ag_pb_data[acc_id][prt_id]["move_lines"]:
ml.update(
{
"journal": journals_data[ml["jnl_id"]]["code"],
"account": accounts_data[ml["acc_id"]]["code"],
}
)
self._compute_maturity_date(ml, date_at_oject)
move_lines.append(ml)
partner.update({"move_lines": move_lines})
account["partners"].append(partner)
aged_partner_data.append(account)
return aged_partner_data
@api.model
def _calculate_percent(self, aged_partner_data):
for account in aged_partner_data:
if abs(account["residual"]) > 0.01:
total = account["residual"]
account.update(
{
"percent_current": abs(
round((account["current"] / total) * 100, 2)
),
"percent_30_days": abs(
round((account["30_days"] / total) * 100, 2)
),
"percent_60_days": abs(
round((account["60_days"] / total) * 100, 2)
),
"percent_90_days": abs(
round((account["90_days"] / total) * 100, 2)
),
"percent_120_days": abs(
round((account["120_days"] / total) * 100, 2)
),
"percent_older": abs(
round((account["older"] / total) * 100, 2)
),
}
)
else:
account.update(
{
"percent_current": 0.0,
"percent_30_days": 0.0,
"percent_60_days": 0.0,
"percent_90_days": 0.0,
"percent_120_days": 0.0,
"percent_older": 0.0,
}
)
return aged_partner_data
def _get_report_values(self, docids, data):
wizard_id = data["wizard_id"]
company = self.env["res.company"].browse(data["company_id"])
company_id = data["company_id"]
account_ids = data["account_ids"]
partner_ids = data["partner_ids"]
date_at = data["date_at"]
date_at_object = datetime.strptime(date_at, "%Y-%m-%d").date()
only_posted_moves = data["only_posted_moves"]
show_move_line_details = data["show_move_line_details"]
(
ag_pb_data,
accounts_data,
partners_data,
journals_data,
) = self._get_move_lines_data(
company_id,
account_ids,
partner_ids,
date_at_object,
only_posted_moves,
show_move_line_details,
)
aged_partner_data = self._create_account_list(
ag_pb_data,
accounts_data,
partners_data,
journals_data,
show_move_line_details,
date_at_object,
)
aged_partner_data = self._calculate_percent(aged_partner_data)
return {
"doc_ids": [wizard_id],
"doc_model": "open.items.report.wizard",
"docs": self.env["open.items.report.wizard"].browse(wizard_id),
"company_name": company.display_name,
"currency_name": company.currency_id.name,
"date_at": date_at,
"only_posted_moves": only_posted_moves,
"aged_partner_balance": aged_partner_data,
"show_move_lines_details": show_move_line_details,
}

315
account_financial_report/report/aged_partner_balance_xlsx.py

@ -0,0 +1,315 @@
# Author: Julien Coux
# Copyright 2016 Camptocamp SA
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo import _, models
class AgedPartnerBalanceXslx(models.AbstractModel):
_name = "report.a_f_r.report_aged_partner_balance_xlsx"
_description = "Aged Partner Balance XLSL Report"
_inherit = "report.account_financial_report.abstract_report_xlsx"
def _get_report_name(self, report, data=False):
company_id = data.get("company_id", False)
report_name = _("Aged Partner Balance")
if company_id:
company = self.env["res.company"].browse(company_id)
suffix = " - {} - {}".format(company.name, company.currency_id.name)
report_name = report_name + suffix
return report_name
def _get_report_columns(self, report):
if not report.show_move_line_details:
return {
0: {"header": _("Partner"), "field": "name", "width": 70},
1: {
"header": _("Residual"),
"field": "residual",
"field_footer_total": "residual",
"type": "amount",
"width": 14,
},
2: {
"header": _("Current"),
"field": "current",
"field_footer_total": "current",
"field_footer_percent": "percent_current",
"type": "amount",
"width": 14,
},
3: {
"header": _(u"Age ≤ 30 d."),
"field": "30_days",
"field_footer_total": "30_days",
"field_footer_percent": "percent_30_days",
"type": "amount",
"width": 14,
},
4: {
"header": _(u"Age ≤ 60 d."),
"field": "60_days",
"field_footer_total": "60_days",
"field_footer_percent": "percent_60_days",
"type": "amount",
"width": 14,
},
5: {
"header": _(u"Age ≤ 90 d."),
"field": "90_days",
"field_footer_total": "90_days",
"field_footer_percent": "percent_90_days",
"type": "amount",
"width": 14,
},
6: {
"header": _(u"Age ≤ 120 d."),
"field": "120_days",
"field_footer_total": "120_days",
"field_footer_percent": "percent_120_days",
"type": "amount",
"width": 14,
},
7: {
"header": _("Older"),
"field": "older",
"field_footer_total": "older",
"field_footer_percent": "percent_older",
"type": "amount",
"width": 14,
},
}
return {
0: {"header": _("Date"), "field": "date", "width": 11},
1: {"header": _("Entry"), "field": "entry", "width": 18},
2: {"header": _("Journal"), "field": "journal", "width": 8},
3: {"header": _("Account"), "field": "account", "width": 9},
4: {"header": _("Partner"), "field": "partner", "width": 25},
5: {"header": _("Ref - Label"), "field": "ref", "width": 40},
6: {"header": _("Due date"), "field": "due_date", "width": 11},
7: {
"header": _("Residual"),
"field": "residual",
"field_footer_total": "residual",
"field_final_balance": "residual",
"type": "amount",
"width": 14,
},
8: {
"header": _("Current"),
"field": "current",
"field_footer_total": "current",
"field_footer_percent": "percent_current",
"field_final_balance": "current",
"type": "amount",
"width": 14,
},
9: {
"header": _(u"Age ≤ 30 d."),
"field": "30_days",
"field_footer_total": "30_days",
"field_footer_percent": "percent_30_days",
"field_final_balance": "30_days",
"type": "amount",
"width": 14,
},
10: {
"header": _(u"Age ≤ 60 d."),
"field": "60_days",
"field_footer_total": "60_days",
"field_footer_percent": "percent_60_days",
"field_final_balance": "60_days",
"type": "amount",
"width": 14,
},
11: {
"header": _(u"Age ≤ 90 d."),
"field": "90_days",
"field_footer_total": "90_days",
"field_footer_percent": "percent_90_days",
"field_final_balance": "90_days",
"type": "amount",
"width": 14,
},
12: {
"header": _(u"Age ≤ 120 d."),
"field": "120_days",
"field_footer_total": "120_days",
"field_footer_percent": "percent_120_days",
"field_final_balance": "120_days",
"type": "amount",
"width": 14,
},
13: {
"header": _("Older"),
"field": "older",
"field_footer_total": "older",
"field_footer_percent": "percent_older",
"field_final_balance": "older",
"type": "amount",
"width": 14,
},
}
def _get_report_filters(self, report):
return [
[_("Date at filter"), report.date_at.strftime("%d/%m/%Y")],
[
_("Target moves filter"),
_("All posted entries")
if report.target_move == "posted"
else _("All entries"),
],
]
def _get_col_count_filter_name(self):
return 2
def _get_col_count_filter_value(self):
return 3
def _get_col_pos_footer_label(self, report):
return 0 if not report.show_move_line_details else 5
def _get_col_count_final_balance_name(self):
return 5
def _get_col_pos_final_balance_label(self):
return 5
def _generate_report_content(self, workbook, report, data):
res_data = self.env[
"report.account_financial_report.aged_partner_balance"
]._get_report_values(report, data)
show_move_line_details = res_data["show_move_lines_details"]
aged_partner_balance = res_data["aged_partner_balance"]
if not show_move_line_details:
# For each account
for account in aged_partner_balance:
# Write account title
self.write_array_title(account["code"] + " - " + account["name"])
# Display array header for partners lines
self.write_array_header()
# Display partner lines
for partner in account["partners"]:
self.write_line_from_dict(partner)
# Display account lines
self.write_account_footer_from_dict(
report,
account,
("Total"),
"field_footer_total",
self.format_header_right,
self.format_header_amount,
False,
)
self.write_account_footer_from_dict(
report,
account,
("Percents"),
"field_footer_percent",
self.format_right_bold_italic,
self.format_percent_bold_italic,
True,
)
# 2 lines break
self.row_pos += 2
else:
# For each account
for account in aged_partner_balance:
# Write account title
self.write_array_title(account["code"] + " - " + account["name"])
# For each partner
for partner in account["partners"]:
# Write partner title
self.write_array_title(partner["name"])
# Display array header for move lines
self.write_array_header()
# Display account move lines
for line in partner["move_lines"]:
self.write_line_from_dict(line)
# Display ending balance line for partner
self.write_ending_balance_from_dict(partner)
# Line break
self.row_pos += 1
# Display account lines
self.write_account_footer_from_dict(
report,
account,
("Total"),
"field_footer_total",
self.format_header_right,
self.format_header_amount,
False,
)
self.write_account_footer_from_dict(
report,
account,
("Percents"),
"field_footer_percent",
self.format_right_bold_italic,
self.format_percent_bold_italic,
True,
)
# 2 lines break
self.row_pos += 2
def write_ending_balance_from_dict(self, my_object):
"""
Specific function to write ending partner balance
for Aged Partner Balance
"""
name = None
label = _("Partner cumul aged balance")
super(AgedPartnerBalanceXslx, self).write_ending_balance_from_dict(
my_object, name, label
)
def write_account_footer_from_dict(
self,
report,
account,
label,
field_name,
string_format,
amount_format,
amount_is_percent,
):
"""
Specific function to write account footer for Aged Partner Balance
"""
col_pos_footer_label = self._get_col_pos_footer_label(report)
for col_pos, column in self.columns.items():
if col_pos == col_pos_footer_label or column.get(field_name):
if col_pos == col_pos_footer_label:
value = label
else:
value = account.get(column[field_name], False)
cell_type = column.get("type", "string")
if cell_type == "string" or col_pos == col_pos_footer_label:
self.sheet.write_string(
self.row_pos, col_pos, value or "", string_format
)
elif cell_type == "amount":
number = float(value)
if amount_is_percent:
number /= 100
self.sheet.write_number(
self.row_pos, col_pos, number, amount_format
)
else:
self.sheet.write_string(self.row_pos, col_pos, "", string_format)
self.row_pos += 1

692
account_financial_report/report/general_ledger.py

@ -0,0 +1,692 @@
# © 2016 Julien Coux (Camptocamp)
# Copyright 2020 ForgeFlow S.L. (https://www.forgeflow.com)
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
import calendar
import datetime
from odoo import api, models
class GeneralLedgerReport(models.AbstractModel):
_name = "report.account_financial_report.general_ledger"
_description = "General Ledger Report"
def _get_accounts_data(self, account_ids):
accounts = self.env["account.account"].browse(account_ids)
accounts_data = {}
for account in accounts:
accounts_data.update(
{
account.id: {
"id": account.id,
"code": account.code,
"name": account.name,
"group_id": account.group_id.id,
"currency_id": account.currency_id or False,
"currency_name": account.currency_id.name,
}
}
)
return accounts_data
def _get_journals_data(self, journals_ids):
journals = self.env["account.journal"].browse(journals_ids)
journals_data = {}
for journal in journals:
journals_data.update({journal.id: {"id": journal.id, "code": journal.code}})
return journals_data
def _get_tags_data(self, tags_ids):
tags = self.env["account.analytic.tag"].browse(tags_ids)
tags_data = {}
for tag in tags:
tags_data.update({tag.id: {"name": tag.name}})
return tags_data
def _get_taxes_data(self, taxes_ids):
taxes = self.env["account.tax"].browse(taxes_ids)
taxes_data = {}
for tax in taxes:
taxes_data.update(
{
tax.id: {
"id": tax.id,
"amount": tax.amount,
"amount_type": tax.amount_type,
}
}
)
if tax.amount_type == "percent" or tax.amount_type == "division":
taxes_data[tax.id]["string"] = "%"
else:
taxes_data[tax.id]["string"] = ""
return taxes_data
def _get_acc_prt_accounts_ids(self, company_id):
accounts_domain = [
("company_id", "=", company_id),
("internal_type", "in", ["receivable", "payable"]),
]
acc_prt_accounts = self.env["account.account"].search(accounts_domain)
return acc_prt_accounts.ids
def _get_initial_balances_bs_ml_domain(
self, account_ids, company_id, date_from, base_domain, acc_prt=False
):
accounts_domain = [
("company_id", "=", company_id),
("user_type_id.include_initial_balance", "=", True),
]
if account_ids:
accounts_domain += [("id", "in", account_ids)]
domain = []
domain += base_domain
domain += [("date", "<", date_from)]
accounts = self.env["account.account"].search(accounts_domain)
domain += [("account_id", "in", accounts.ids)]
if acc_prt:
domain += [("account_id.internal_type", "in", ["receivable", "payable"])]
return domain
def _get_initial_balances_pl_ml_domain(
self, account_ids, company_id, date_from, fy_start_date, base_domain
):
accounts_domain = [
("company_id", "=", company_id),
("user_type_id.include_initial_balance", "=", False),
]
if account_ids:
accounts_domain += [("id", "in", account_ids)]
domain = []
domain += base_domain
domain += [("date", "<", date_from), ("date", ">=", fy_start_date)]
accounts = self.env["account.account"].search(accounts_domain)
domain += [("account_id", "in", accounts.ids)]
return domain
def _get_accounts_initial_balance(self, initial_domain_bs, initial_domain_pl):
gl_initial_acc_bs = self.env["account.move.line"].read_group(
domain=initial_domain_bs,
fields=["account_id", "debit", "credit", "balance", "amount_currency"],
groupby=["account_id"],
)
gl_initial_acc_pl = self.env["account.move.line"].read_group(
domain=initial_domain_pl,
fields=["account_id", "debit", "credit", "balance", "amount_currency"],
groupby=["account_id"],
)
gl_initial_acc = gl_initial_acc_bs + gl_initial_acc_pl
return gl_initial_acc
def _get_initial_balance_fy_pl_ml_domain(
self, account_ids, company_id, fy_start_date, base_domain
):
accounts_domain = [
("company_id", "=", company_id),
("user_type_id.include_initial_balance", "=", False),
]
if account_ids:
accounts_domain += [("id", "in", account_ids)]
domain = []
domain += base_domain
domain += [("date", "<", fy_start_date)]
accounts = self.env["account.account"].search(accounts_domain)
domain += [("account_id", "in", accounts.ids)]
return domain
def _get_pl_initial_balance(
self, account_ids, company_id, fy_start_date, foreign_currency, base_domain
):
domain = self._get_initial_balance_fy_pl_ml_domain(
account_ids, company_id, fy_start_date, base_domain
)
initial_balances = self.env["account.move.line"].read_group(
domain=domain,
fields=["account_id", "debit", "credit", "balance", "amount_currency"],
groupby=["account_id"],
)
pl_initial_balance = {
"debit": 0.0,
"credit": 0.0,
"balance": 0.0,
"bal_curr": 0.0,
}
for initial_balance in initial_balances:
pl_initial_balance["debit"] += initial_balance["debit"]
pl_initial_balance["credit"] += initial_balance["credit"]
pl_initial_balance["balance"] += initial_balance["balance"]
pl_initial_balance["bal_curr"] += initial_balance["amount_currency"]
return pl_initial_balance
def _get_initial_balance_data(
self,
account_ids,
partner_ids,
company_id,
date_from,
foreign_currency,
only_posted_moves,
hide_account_at_0,
unaffected_earnings_account,
fy_start_date,
analytic_tag_ids,
cost_center_ids,
):
base_domain = []
if company_id:
base_domain += [("company_id", "=", company_id)]
if partner_ids:
base_domain += [("partner_id", "in", partner_ids)]
if only_posted_moves:
base_domain += [("move_id.state", "=", "posted")]
if analytic_tag_ids:
base_domain += [("analytic_tag_ids", "in", analytic_tag_ids)]
if cost_center_ids:
base_domain += [("analytic_account_id", "in", cost_center_ids)]
initial_domain_bs = self._get_initial_balances_bs_ml_domain(
account_ids, company_id, date_from, base_domain
)
initial_domain_pl = self._get_initial_balances_pl_ml_domain(
account_ids, company_id, date_from, fy_start_date, base_domain
)
gl_initial_acc = self._get_accounts_initial_balance(
initial_domain_bs, initial_domain_pl
)
initial_domain_acc_prt = self._get_initial_balances_bs_ml_domain(
account_ids, company_id, date_from, base_domain, acc_prt=True
)
gl_initial_acc_prt = self.env["account.move.line"].read_group(
domain=initial_domain_acc_prt,
fields=[
"account_id",
"partner_id",
"debit",
"credit",
"balance",
"amount_currency",
],
groupby=["account_id", "partner_id"],
lazy=False,
)
gen_ld_data = {}
for gl in gl_initial_acc:
acc_id = gl["account_id"][0]
gen_ld_data[acc_id] = {}
gen_ld_data[acc_id]["id"] = acc_id
gen_ld_data[acc_id]["partners"] = False
gen_ld_data[acc_id]["init_bal"] = {}
gen_ld_data[acc_id]["init_bal"]["credit"] = gl["credit"]
gen_ld_data[acc_id]["init_bal"]["debit"] = gl["debit"]
gen_ld_data[acc_id]["init_bal"]["balance"] = gl["balance"]
gen_ld_data[acc_id]["fin_bal"] = {}
gen_ld_data[acc_id]["fin_bal"]["credit"] = gl["credit"]
gen_ld_data[acc_id]["fin_bal"]["debit"] = gl["debit"]
gen_ld_data[acc_id]["fin_bal"]["balance"] = gl["balance"]
gen_ld_data[acc_id]["init_bal"]["bal_curr"] = gl["amount_currency"]
gen_ld_data[acc_id]["fin_bal"]["bal_curr"] = gl["amount_currency"]
partners_data = {}
partners_ids = set()
if gl_initial_acc_prt:
for gl in gl_initial_acc_prt:
if not gl["partner_id"]:
prt_id = 0
prt_name = "Missing Partner"
else:
prt_id = gl["partner_id"][0]
prt_name = gl["partner_id"][1]
if prt_id not in partners_ids:
partners_ids.add(prt_id)
partners_data.update({prt_id: {"id": prt_id, "name": prt_name}})
acc_id = gl["account_id"][0]
gen_ld_data[acc_id][prt_id] = {}
gen_ld_data[acc_id][prt_id]["id"] = prt_id
gen_ld_data[acc_id]["partners"] = True
gen_ld_data[acc_id][prt_id]["init_bal"] = {}
gen_ld_data[acc_id][prt_id]["init_bal"]["credit"] = gl["credit"]
gen_ld_data[acc_id][prt_id]["init_bal"]["debit"] = gl["debit"]
gen_ld_data[acc_id][prt_id]["init_bal"]["balance"] = gl["balance"]
gen_ld_data[acc_id][prt_id]["fin_bal"] = {}
gen_ld_data[acc_id][prt_id]["fin_bal"]["credit"] = gl["credit"]
gen_ld_data[acc_id][prt_id]["fin_bal"]["debit"] = gl["debit"]
gen_ld_data[acc_id][prt_id]["fin_bal"]["balance"] = gl["balance"]
gen_ld_data[acc_id][prt_id]["init_bal"]["bal_curr"] = gl[
"amount_currency"
]
gen_ld_data[acc_id][prt_id]["fin_bal"]["bal_curr"] = gl[
"amount_currency"
]
accounts_ids = list(gen_ld_data.keys())
unaffected_id = unaffected_earnings_account
if unaffected_id not in accounts_ids:
accounts_ids.append(unaffected_id)
self._initialize_account(gen_ld_data, unaffected_id, foreign_currency)
pl_initial_balance = self._get_pl_initial_balance(
account_ids, company_id, fy_start_date, foreign_currency, base_domain
)
gen_ld_data[unaffected_id]["init_bal"]["debit"] += pl_initial_balance["debit"]
gen_ld_data[unaffected_id]["init_bal"]["credit"] += pl_initial_balance["credit"]
gen_ld_data[unaffected_id]["init_bal"]["balance"] += pl_initial_balance[
"balance"
]
gen_ld_data[unaffected_id]["fin_bal"]["debit"] += pl_initial_balance["debit"]
gen_ld_data[unaffected_id]["fin_bal"]["credit"] += pl_initial_balance["credit"]
gen_ld_data[unaffected_id]["fin_bal"]["balance"] += pl_initial_balance[
"balance"
]
if foreign_currency:
gen_ld_data[unaffected_id]["init_bal"]["bal_curr"] += pl_initial_balance[
"bal_curr"
]
gen_ld_data[unaffected_id]["fin_bal"]["bal_curr"] += pl_initial_balance[
"bal_curr"
]
return gen_ld_data, partners_data, partner_ids
@api.model
def _get_move_line_data(self, move_line):
move_line_data = {
"id": move_line["id"],
"date": move_line["date"],
"entry": move_line["move_id"][1],
"entry_id": move_line["move_id"][0],
"journal_id": move_line["journal_id"][0],
"account_id": move_line["account_id"][0],
"partner_id": move_line["partner_id"][0]
if move_line["partner_id"]
else False,
"partner_name": move_line["partner_id"][1]
if move_line["partner_id"]
else "",
"ref": move_line["name"],
"tax_ids": move_line["tax_ids"],
"debit": move_line["debit"],
"credit": move_line["credit"],
"balance": move_line["balance"],
"bal_curr": move_line["amount_currency"],
"rec_id": move_line["full_reconcile_id"][0]
if move_line["full_reconcile_id"]
else False,
"rec_name": move_line["full_reconcile_id"][1]
if move_line["full_reconcile_id"]
else "",
"tag_ids": move_line["analytic_tag_ids"],
"currency_id": move_line["currency_id"],
}
return move_line_data
@api.model
def _get_period_domain(
self,
account_ids,
partner_ids,
company_id,
only_posted_moves,
date_to,
date_from,
analytic_tag_ids,
cost_center_ids,
):
domain = [("date", ">=", date_from), ("date", "<=", date_to)]
if account_ids:
domain += [("account_id", "in", account_ids)]
if company_id:
domain += [("company_id", "=", company_id)]
if partner_ids:
domain += [("partner_id", "in", partner_ids)]
if only_posted_moves:
domain += [("move_id.state", "=", "posted")]
if analytic_tag_ids:
domain += [("analytic_tag_ids", "in", analytic_tag_ids)]
if cost_center_ids:
domain += [("analytic_account_id", "in", cost_center_ids)]
return domain
@api.model
def _initialize_partner(self, gen_ld_data, acc_id, prt_id, foreign_currency):
gen_ld_data[acc_id]["partners"] = True
gen_ld_data[acc_id][prt_id] = {}
gen_ld_data[acc_id][prt_id]["id"] = prt_id
gen_ld_data[acc_id][prt_id]["init_bal"] = {}
gen_ld_data[acc_id][prt_id]["init_bal"]["balance"] = 0.0
gen_ld_data[acc_id][prt_id]["init_bal"]["credit"] = 0.0
gen_ld_data[acc_id][prt_id]["init_bal"]["debit"] = 0.0
gen_ld_data[acc_id][prt_id]["fin_bal"] = {}
gen_ld_data[acc_id][prt_id]["fin_bal"]["credit"] = 0.0
gen_ld_data[acc_id][prt_id]["fin_bal"]["debit"] = 0.0
gen_ld_data[acc_id][prt_id]["fin_bal"]["balance"] = 0.0
if foreign_currency:
gen_ld_data[acc_id][prt_id]["init_bal"]["bal_curr"] = 0.0
gen_ld_data[acc_id][prt_id]["fin_bal"]["bal_curr"] = 0.0
return gen_ld_data
def _initialize_account(self, gen_ld_data, acc_id, foreign_currency):
gen_ld_data[acc_id] = {}
gen_ld_data[acc_id]["id"] = acc_id
gen_ld_data[acc_id]["partners"] = False
gen_ld_data[acc_id]["init_bal"] = {}
gen_ld_data[acc_id]["init_bal"]["balance"] = 0.0
gen_ld_data[acc_id]["init_bal"]["credit"] = 0.0
gen_ld_data[acc_id]["init_bal"]["debit"] = 0.0
gen_ld_data[acc_id]["fin_bal"] = {}
gen_ld_data[acc_id]["fin_bal"]["credit"] = 0.0
gen_ld_data[acc_id]["fin_bal"]["debit"] = 0.0
gen_ld_data[acc_id]["fin_bal"]["balance"] = 0.0
if foreign_currency:
gen_ld_data[acc_id]["init_bal"]["bal_curr"] = 0.0
gen_ld_data[acc_id]["fin_bal"]["bal_curr"] = 0.0
return gen_ld_data
def _get_period_ml_data(
self,
account_ids,
partner_ids,
company_id,
foreign_currency,
only_posted_moves,
hide_account_at_0,
date_from,
date_to,
partners_data,
gen_ld_data,
partners_ids,
centralize,
analytic_tag_ids,
cost_center_ids,
):
domain = self._get_period_domain(
account_ids,
partner_ids,
company_id,
only_posted_moves,
date_to,
date_from,
analytic_tag_ids,
cost_center_ids,
)
ml_fields = [
"id",
"name",
"date",
"move_id",
"journal_id",
"account_id",
"partner_id",
"debit",
"credit",
"balance",
"currency_id",
"full_reconcile_id",
"tax_ids",
"analytic_tag_ids",
"amount_currency",
]
move_lines = self.env["account.move.line"].search_read(
domain=domain, fields=ml_fields
)
journal_ids = set()
full_reconcile_ids = set()
taxes_ids = set()
tags_ids = set()
full_reconcile_data = {}
acc_prt_account_ids = self._get_acc_prt_accounts_ids(company_id)
for move_line in move_lines:
journal_ids.add(move_line["journal_id"][0])
for tax_id in move_line["tax_ids"]:
taxes_ids.add(tax_id)
for analytic_tag_id in move_line["analytic_tag_ids"]:
tags_ids.add(analytic_tag_id)
if move_line["full_reconcile_id"]:
rec_id = move_line["full_reconcile_id"][0]
if rec_id not in full_reconcile_ids:
full_reconcile_data.update(
{
rec_id: {
"id": rec_id,
"name": move_line["full_reconcile_id"][1],
}
}
)
full_reconcile_ids.add(rec_id)
acc_id = move_line["account_id"][0]
ml_id = move_line["id"]
if move_line["partner_id"]:
prt_id = move_line["partner_id"][0]
partner_name = move_line["partner_id"][1]
if acc_id not in gen_ld_data.keys():
gen_ld_data = self._initialize_account(
gen_ld_data, acc_id, foreign_currency
)
if acc_id in acc_prt_account_ids:
if not move_line["partner_id"]:
prt_id = 0
partner_name = "Missing Partner"
if gen_ld_data:
if prt_id not in gen_ld_data[acc_id]:
if prt_id not in partners_ids:
partners_ids.append(prt_id)
partners_data.update(
{prt_id: {"id": prt_id, "name": partner_name}}
)
gen_ld_data = self._initialize_partner(
gen_ld_data, acc_id, prt_id, foreign_currency
)
else:
partners_ids.append(prt_id)
partners_data.update({prt_id: {"id": prt_id, "name": partner_name}})
gen_ld_data = self._initialize_partner(
gen_ld_data, acc_id, prt_id, foreign_currency
)
gen_ld_data[acc_id][prt_id][ml_id] = self._get_move_line_data(move_line)
gen_ld_data[acc_id][prt_id]["fin_bal"]["credit"] += move_line["credit"]
gen_ld_data[acc_id][prt_id]["fin_bal"]["debit"] += move_line["debit"]
gen_ld_data[acc_id][prt_id]["fin_bal"]["balance"] += move_line[
"balance"
]
if foreign_currency:
gen_ld_data[acc_id][prt_id]["fin_bal"]["bal_curr"] += move_line[
"amount_currency"
]
else:
gen_ld_data[acc_id][ml_id] = self._get_move_line_data(move_line)
gen_ld_data[acc_id]["fin_bal"]["credit"] += move_line["credit"]
gen_ld_data[acc_id]["fin_bal"]["debit"] += move_line["debit"]
gen_ld_data[acc_id]["fin_bal"]["balance"] += move_line["balance"]
if foreign_currency:
gen_ld_data[acc_id]["fin_bal"]["bal_curr"] += move_line[
"amount_currency"
]
journals_data = self._get_journals_data(list(journal_ids))
accounts_data = self._get_accounts_data(gen_ld_data.keys())
taxes_data = self._get_taxes_data(list(taxes_ids))
tags_data = self._get_tags_data(list(tags_ids))
return (
gen_ld_data,
accounts_data,
partners_data,
journals_data,
full_reconcile_data,
taxes_data,
tags_data,
)
@api.model
def _create_general_ledger(self, gen_led_data, accounts_data):
general_ledger = []
for acc_id in gen_led_data.keys():
account = {}
account.update(
{
"code": accounts_data[acc_id]["code"],
"name": accounts_data[acc_id]["name"],
"type": "account",
"currency_id": accounts_data[acc_id]["currency_id"],
}
)
if not gen_led_data[acc_id]["partners"]:
move_lines = []
for ml_id in gen_led_data[acc_id].keys():
if not isinstance(ml_id, int):
account.update({ml_id: gen_led_data[acc_id][ml_id]})
else:
move_lines += [gen_led_data[acc_id][ml_id]]
account.update({"move_lines": move_lines})
else:
list_partner = []
for prt_id in gen_led_data[acc_id].keys():
partner = {}
move_lines = []
if not isinstance(prt_id, int):
account.update({prt_id: gen_led_data[acc_id][prt_id]})
else:
for ml_id in gen_led_data[acc_id][prt_id].keys():
if not isinstance(ml_id, int):
partner.update(
{ml_id: gen_led_data[acc_id][prt_id][ml_id]}
)
else:
move_lines += [gen_led_data[acc_id][prt_id][ml_id]]
partner.update({"move_lines": move_lines})
list_partner += [partner]
account.update({"list_partner": list_partner})
general_ledger += [account]
return general_ledger
@api.model
def _get_centralized_ml(self, partners, date_to):
centralized_ml = {}
if isinstance(date_to, str):
date_to = datetime.datetime.strptime(date_to, "%Y-%m-%d").date()
for partner in partners:
for move_line in partner["move_lines"]:
jnl_id = move_line["journal_id"]
month = move_line["date"].month
if jnl_id not in centralized_ml.keys():
centralized_ml[jnl_id] = {}
if month not in centralized_ml[jnl_id].keys():
centralized_ml[jnl_id][month] = {}
last_day_month = calendar.monthrange(move_line["date"].year, month)
date = datetime.date(
move_line["date"].year, month, last_day_month[1]
)
if date > date_to:
date = date_to
centralized_ml[jnl_id][month].update(
{
"journal_id": jnl_id,
"ref": "Centralized entries",
"date": date,
"debit": 0.0,
"credit": 0.0,
"balance": 0.0,
"bal_curr": 0.0,
"partner_id": False,
"rec_id": 0,
"entry_id": False,
"tax_ids": [],
"full_reconcile_id": False,
"id": False,
"tag_ids": False,
"currency_id": False,
}
)
centralized_ml[jnl_id][month]["debit"] += move_line["debit"]
centralized_ml[jnl_id][month]["credit"] += move_line["credit"]
centralized_ml[jnl_id][month]["balance"] += move_line["balance"]
centralized_ml[jnl_id][month]["bal_curr"] += move_line["bal_curr"]
list_centralized_ml = []
for jnl_id in centralized_ml.keys():
list_centralized_ml += list(centralized_ml[jnl_id].values())
return list_centralized_ml
def _get_report_values(self, docids, data):
wizard_id = data["wizard_id"]
company = self.env["res.company"].browse(data["company_id"])
company_id = data["company_id"]
date_to = data["date_to"]
date_from = data["date_from"]
partner_ids = data["partner_ids"]
if not partner_ids:
filter_partner_ids = False
else:
filter_partner_ids = True
account_ids = data["account_ids"]
analytic_tag_ids = data["analytic_tag_ids"]
cost_center_ids = data["cost_center_ids"]
hide_account_at_0 = data["hide_account_at_0"]
foreign_currency = data["foreign_currency"]
only_posted_moves = data["only_posted_moves"]
unaffected_earnings_account = data["unaffected_earnings_account"]
fy_start_date = data["fy_start_date"]
gen_ld_data, partners_data, partners_ids = self._get_initial_balance_data(
account_ids,
partner_ids,
company_id,
date_from,
foreign_currency,
only_posted_moves,
hide_account_at_0,
unaffected_earnings_account,
fy_start_date,
analytic_tag_ids,
cost_center_ids,
)
centralize = data["centralize"]
(
gen_ld_data,
accounts_data,
partners_data,
journals_data,
full_reconcile_data,
taxes_data,
tags_data,
) = self._get_period_ml_data(
account_ids,
partner_ids,
company_id,
foreign_currency,
only_posted_moves,
hide_account_at_0,
date_from,
date_to,
partners_data,
gen_ld_data,
partners_ids,
centralize,
analytic_tag_ids,
cost_center_ids,
)
general_ledger = self._create_general_ledger(gen_ld_data, accounts_data)
if centralize:
for account in general_ledger:
if account["partners"]:
centralized_ml = self._get_centralized_ml(
account["list_partner"], date_to
)
account["move_lines"] = centralized_ml
account["partners"] = False
del account["list_partner"]
general_ledger = sorted(general_ledger, key=lambda k: k["code"])
return {
"doc_ids": [wizard_id],
"doc_model": "general.ledger.report.wizard",
"docs": self.env["general.ledger.report.wizard"].browse(wizard_id),
"foreign_currency": data["foreign_currency"],
"company_name": company.display_name,
"company_currency": company.currency_id,
"currency_name": company.currency_id.name,
"date_from": data["date_from"],
"date_to": data["date_to"],
"only_posted_moves": data["only_posted_moves"],
"hide_account_at_0": data["hide_account_at_0"],
"show_analytic_tags": data["show_analytic_tags"],
"general_ledger": general_ledger,
"accounts_data": accounts_data,
"partners_data": partners_data,
"journals_data": journals_data,
"full_reconcile_data": full_reconcile_data,
"taxes_data": taxes_data,
"centralize": centralize,
"tags_data": tags_data,
"filter_partner_ids": filter_partner_ids,
}

295
account_financial_report/report/general_ledger_xlsx.py

@ -0,0 +1,295 @@
# Author: Damien Crier
# Author: Julien Coux
# Copyright 2016 Camptocamp SA
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo import _, models
class GeneralLedgerXslx(models.AbstractModel):
_name = "report.a_f_r.report_general_ledger_xlsx"
_description = "General Ledger XLSL Report"
_inherit = "report.account_financial_report.abstract_report_xlsx"
def _get_report_name(self, report, data=False):
company_id = data.get("company_id", False)
report_name = _("General Ledger")
if company_id:
company = self.env["res.company"].browse(company_id)
suffix = " - {} - {}".format(company.name, company.currency_id.name)
report_name = report_name + suffix
return report_name
def _get_report_columns(self, report):
res = {
0: {"header": _("Date"), "field": "date", "width": 11},
1: {"header": _("Entry"), "field": "entry", "width": 18},
2: {"header": _("Journal"), "field": "journal", "width": 8},
3: {"header": _("Account"), "field": "account", "width": 9},
4: {"header": _("Taxes"), "field": "taxes_description", "width": 15},
5: {"header": _("Partner"), "field": "partner_name", "width": 25},
6: {"header": _("Ref - Label"), "field": "ref", "width": 40},
7: {"header": _("Cost center"), "field": "cost_center", "width": 15},
8: {"header": _("Tags"), "field": "tags", "width": 10},
9: {"header": _("Rec."), "field": "rec_name", "width": 5},
10: {
"header": _("Debit"),
"field": "debit",
"field_initial_balance": "initial_debit",
"field_final_balance": "final_debit",
"type": "amount",
"width": 14,
},
11: {
"header": _("Credit"),
"field": "credit",
"field_initial_balance": "initial_credit",
"field_final_balance": "final_credit",
"type": "amount",
"width": 14,
},
12: {
"header": _("Cumul. Bal."),
"field": "balance",
"field_initial_balance": "initial_balance",
"field_final_balance": "final_balance",
"type": "amount",
"width": 14,
},
}
if report.foreign_currency:
foreign_currency = {
13: {
"header": _("Cur."),
"field": "currency_name",
"field_currency_balance": "currency_name",
"type": "currency_name",
"width": 7,
},
14: {
"header": _("Amount cur."),
"field": "bal_curr",
"field_initial_balance": "initial_bal_curr",
"field_final_balance": "final_bal_curr",
"type": "amount_currency",
"width": 14,
},
}
res = {**res, **foreign_currency}
return res
def _get_report_filters(self, report):
return [
[
_("Date range filter"),
_("From: %s To: %s") % (report.date_from, report.date_to),
],
[
_("Target moves filter"),
_("All posted entries")
if report.target_move == "all"
else _("All entries"),
],
[
_("Account balance at 0 filter"),
_("Hide") if report.hide_account_at_0 else _("Show"),
],
[_("Centralize filter"), _("Yes") if report.centralize else _("No")],
[
_("Show analytic tags"),
_("Yes") if report.show_analytic_tags else _("No"),
],
[
_("Show foreign currency"),
_("Yes") if report.foreign_currency else _("No"),
],
]
def _get_col_count_filter_name(self):
return 2
def _get_col_count_filter_value(self):
return 2
def _get_col_pos_initial_balance_label(self):
return 5
def _get_col_count_final_balance_name(self):
return 5
def _get_col_pos_final_balance_label(self):
return 5
# flake8: noqa: C901
def _generate_report_content(self, workbook, report, data):
res_data = self.env[
"report.account_financial_report.general_ledger"
]._get_report_values(report, data)
general_ledger = res_data["general_ledger"]
accounts_data = res_data["accounts_data"]
partners_data = res_data["partners_data"]
journals_data = res_data["journals_data"]
taxes_data = res_data["taxes_data"]
tags_data = res_data["tags_data"]
filter_partner_ids = res_data["filter_partner_ids"]
foreign_currency = res_data["foreign_currency"]
# For each account
for account in general_ledger:
# Write account title
self.write_array_title(
account["code"] + " - " + accounts_data[account["id"]]["name"]
)
if not account["partners"]:
# Display array header for move lines
self.write_array_header()
# Display initial balance line for account
account.update(
{
"initial_debit": account["init_bal"]["debit"],
"initial_credit": account["init_bal"]["credit"],
"initial_balance": account["init_bal"]["balance"],
}
)
if foreign_currency:
account.update(
{"initial_bal_curr": account["init_bal"]["bal_curr"]}
)
self.write_initial_balance_from_dict(account)
# Display account move lines
for line in account["move_lines"]:
line.update(
{
"account": account["code"],
"journal": journals_data[line["journal_id"]]["code"],
}
)
if line["currency_id"]:
line.update(
{
"currency_name": line["currency_id"][1],
"currency_id": line["currency_id"][0],
}
)
if line["ref"] != "Centralized entries":
taxes_description = ""
tags = ""
for tax_id in line["tax_ids"]:
taxes_description += (
str(taxes_data[tax_id]["amount"])
+ " "
+ taxes_data[tax_id]["string"]
+ " "
)
for tag_id in line["tag_ids"]:
tags += tags_data[tag_id]["name"] + " "
line.update(
{"taxes_description": taxes_description, "tags": tags}
)
self.write_line_from_dict(line)
else:
# For each partner
for partner in account["list_partner"]:
# Write partner title
self.write_array_title(partners_data[partner["id"]]["name"])
# Display array header for move lines
self.write_array_header()
# Display initial balance line for partner
partner.update(
{
"initial_debit": partner["init_bal"]["debit"],
"initial_credit": partner["init_bal"]["credit"],
"initial_balance": partner["init_bal"]["balance"],
"name": partners_data[partner["id"]]["name"],
"type": "partner",
"currency_id": accounts_data[account["id"]]["currency_id"],
}
)
if foreign_currency:
partner.update(
{"initial_bal_culrr": partner["init_bal"]["bal_curr"]}
)
self.write_initial_balance_from_dict(partner)
# Display account move lines
for line in partner["move_lines"]:
line.update(
{
"account": account["code"],
"journal": journals_data[line["journal_id"]]["code"],
}
)
if line["ref"] != "Centralized entries":
taxes_description = ""
tags = ""
for tax_id in line["tax_ids"]:
taxes_description += (
str(taxes_data[tax_id]["amount"])
+ " "
+ taxes_data[tax_id]["string"]
+ " "
)
for tag_id in line["tag_ids"]:
tags += tags_data[tag_id]["name"] + " "
line.update(
{"taxes_description": taxes_description, "tags": tags}
)
self.write_line_from_dict(line)
# Display ending balance line for partner
partner.update(
{
"final_debit": partner["fin_bal"]["debit"],
"final_credit": partner["fin_bal"]["credit"],
"final_balance": partner["fin_bal"]["balance"],
}
)
if foreign_currency:
partner.update(
{"final_bal_curr": partner["fin_bal"]["bal_curr"]}
)
self.write_ending_balance_from_dict(partner)
# Line break
self.row_pos += 1
# Display ending balance line for account
if not filter_partner_ids:
account.update(
{
"final_debit": account["fin_bal"]["debit"],
"final_credit": account["fin_bal"]["credit"],
"final_balance": account["fin_bal"]["balance"],
}
)
if foreign_currency:
account.update({"final_bal_curr": account["fin_bal"]["bal_curr"]})
self.write_ending_balance_from_dict(account)
# 2 lines break
self.row_pos += 2
def write_initial_balance_from_dict(self, my_object):
"""Specific function to write initial balance for General Ledger"""
if "partner" in my_object["type"]:
label = _("Partner Initial balance")
elif "account" in my_object["type"]:
label = _("Initial balance")
super(GeneralLedgerXslx, self).write_initial_balance_from_dict(my_object, label)
def write_ending_balance_from_dict(self, my_object):
"""Specific function to write ending balance for General Ledger"""
if "partner" in my_object["type"]:
name = my_object["name"]
label = _("Partner ending balance")
elif "account" in my_object["type"]:
name = my_object["code"] + " - " + my_object["name"]
label = _("Ending balance")
super(GeneralLedgerXslx, self).write_ending_balance_from_dict(
my_object, name, label
)

360
account_financial_report/report/journal_ledger.py

@ -0,0 +1,360 @@
# Copyright 2019-20 ForgeFlow S.L. (https://www.forgeflow.com)
# License AGPL-3.0 or later (https://www.gnu.org/licenses/agpl.html).
import itertools
import operator
from odoo import models
class JournalLedgerReport(models.AbstractModel):
_name = "report.account_financial_report.journal_ledger"
_description = "Journal Ledger Report"
def _get_journal_ledger_data(self, journal):
return {
"id": journal.id,
"name": journal.name,
"currency_id": journal.currency_id.id,
"currency_name": journal.currency_id
and journal.currency_id.name
or journal.company_id.currency_id.name,
"debit": 0.0,
"credit": 0.0,
}
def _get_journal_ledgers_domain(self, wizard, journal_ids, company):
domain = []
if company:
domain += [("company_id", "=", company.id)]
if journal_ids:
domain += [("id", "in", journal_ids)]
return domain
def _get_journal_ledgers(self, wizard, journal_ids, company):
journals = self.env["account.journal"].search(
self._get_journal_ledgers_domain(wizard, journal_ids, company),
order="name asc",
)
journal_ledgers_data = []
for journal in journals:
journal_ledgers_data.append(self._get_journal_ledger_data(journal))
return journal_ledgers_data
def _get_moves_domain(self, wizard, journal_ids):
domain = [
("journal_id", "in", journal_ids),
("date", ">=", wizard.date_from),
("date", "<=", wizard.date_to),
]
if wizard.move_target != "all":
domain += [("state", "=", wizard.move_target)]
return domain
def _get_moves_order(self, wizard, journal_ids):
search_order = ""
if wizard.sort_option == "move_name":
search_order = "name asc"
elif wizard.sort_option == "date":
search_order = "date asc, name asc"
return search_order
def _get_moves_data(self, move):
return {
"move_id": move.id,
"journal_id": move.journal_id.id,
"entry": move.name,
}
def _get_moves(self, wizard, journal_ids):
moves = self.env["account.move"].search(
self._get_moves_domain(wizard, journal_ids),
order=self._get_moves_order(wizard, journal_ids),
)
Moves = []
move_data = {}
for move in moves:
move_data[move.id] = self._get_moves_data(move)
Moves.append(move_data[move.id])
return moves.ids, Moves, move_data
def _get_move_lines_domain(self, move_ids, wizard, journal_ids):
return [("move_id", "in", move_ids)]
def _get_move_lines_order(self, move_ids, wizard, journal_ids):
return ""
def _get_move_lines_data(self, ml, wizard, ml_taxes):
base_debit = (
base_credit
) = tax_debit = tax_credit = base_balance = tax_balance = 0.0
if ml.tax_exigible:
base_debit = ml_taxes and ml.debit or 0.0
base_credit = ml_taxes and ml.credit or 0.0
base_balance = ml_taxes and ml.balance or 0.0
tax_debit = ml.tax_line_id and ml.debit or 0.0
tax_credit = ml.tax_line_id and ml.credit or 0.0
tax_balance = ml.tax_line_id and ml.balance or 0.0
return {
"move_line_id": ml.id,
"move_id": ml.move_id.id,
"date": ml.date,
"journal_id": ml.journal_id.id,
"account_id": ml.account_id.id,
"partner_id": ml.partner_id.id,
"label": ml.name,
"debit": ml.debit,
"credit": ml.credit,
"company_currency_id": ml.company_currency_id.id,
"amount_currency": ml.amount_currency,
"currency_id": ml.currency_id.id,
"tax_line_id": ml.tax_line_id.id,
"tax_ids": list(ml_taxes.keys()),
"base_debit": base_debit,
"base_credit": base_credit,
"tax_debit": tax_debit,
"tax_credit": tax_credit,
"base_balance": base_balance,
"tax_balance": tax_balance,
}
def _get_account_data(self, accounts):
data = {}
for account in accounts:
data[account.id] = self._get_account_id_data(account)
return data
def _get_account_id_data(self, account):
return {
"name": account.name,
"code": account.code,
"internal_type": account.internal_type,
}
def _get_partner_data(self, partners):
data = {}
for partner in partners:
data[partner.id] = self._get_partner_id_data(partner)
return data
def _get_partner_id_data(self, partner):
return {"name": partner.name}
def _get_currency_data(self, currencies):
data = {}
for currency in currencies:
data[currency.id] = self._get_currency_id_data(currency)
return data
def _get_currency_id_data(self, currency):
return {"name": currency.name}
def _get_tax_line_data(self, taxes):
data = {}
for tax in taxes:
data[tax.id] = self._get_tax_line_id_data(tax)
return data
def _get_tax_line_id_data(self, tax):
return {"name": tax.name, "description": tax.description}
def _get_query_taxes(self):
return """
SELECT aml_at_rel.account_move_line_id, aml_at_rel.account_tax_id,
at.description, at.name
FROM account_move_line_account_tax_rel AS aml_at_rel
LEFT JOIN
account_tax AS at on (at.id = aml_at_rel.account_tax_id)
WHERE account_move_line_id IN %(move_line_ids)s
"""
def _get_query_taxes_params(self, move_lines):
return {"move_line_ids": tuple(move_lines.ids)}
def _get_move_lines(self, move_ids, wizard, journal_ids):
move_lines = self.env["account.move.line"].search(
self._get_move_lines_domain(move_ids, wizard, journal_ids),
order=self._get_move_lines_order(move_ids, wizard, journal_ids),
)
move_line_ids_taxes_data = {}
if move_lines:
# Get the taxes ids for the move lines
query_taxes_params = self._get_query_taxes_params(move_lines)
query_taxes = self._get_query_taxes()
self.env.cr.execute(query_taxes, query_taxes_params)
# Fetch the taxes associated to the move line
for (
move_line_id,
account_tax_id,
tax_description,
tax_name,
) in self.env.cr.fetchall():
if move_line_id not in move_line_ids_taxes_data.keys():
move_line_ids_taxes_data[move_line_id] = {}
move_line_ids_taxes_data[move_line_id][account_tax_id] = {
"name": tax_name,
"description": tax_description,
}
Move_Lines = {}
accounts = self.env["account.account"]
partners = self.env["res.partner"]
currencies = self.env["res.currency"]
tax_lines = self.env["account.tax"]
for ml in move_lines:
if ml.account_id not in accounts:
accounts |= ml.account_id
if ml.partner_id not in partners:
partners |= ml.partner_id
if ml.currency_id not in currencies:
currencies |= ml.currency_id
if ml.tax_line_id not in tax_lines:
tax_lines |= ml.tax_line_id
if ml.move_id.id not in Move_Lines.keys():
Move_Lines[ml.move_id.id] = []
taxes = (
ml.id in move_line_ids_taxes_data.keys()
and move_line_ids_taxes_data[ml.id]
or {}
)
Move_Lines[ml.move_id.id].append(
self._get_move_lines_data(ml, wizard, taxes)
)
account_ids_data = self._get_account_data(accounts)
partner_ids_data = self._get_partner_data(partners)
currency_ids_data = self._get_currency_data(currencies)
tax_line_ids_data = self._get_tax_line_data(tax_lines)
return (
move_lines.ids,
Move_Lines,
account_ids_data,
partner_ids_data,
currency_ids_data,
tax_line_ids_data,
move_line_ids_taxes_data,
)
def _get_journal_tax_lines(self, wizard, moves_data):
journals_taxes_data = {}
for move_data in moves_data:
report_move_lines = move_data["report_move_lines"]
for report_move_line in report_move_lines:
ml_data = report_move_line
tax_ids = []
if ml_data["tax_line_id"]:
tax_ids.append(ml_data["tax_line_id"])
if ml_data["tax_ids"]:
tax_ids += ml_data["tax_ids"]
tax_ids = list(set(tax_ids))
journal_id = ml_data["journal_id"]
if journal_id not in journals_taxes_data.keys():
journals_taxes_data[journal_id] = {}
taxes = self.env["account.tax"].browse(tax_ids)
for tax in taxes:
if tax.id not in journals_taxes_data[journal_id]:
journals_taxes_data[journal_id][tax.id] = {
"base_debit": 0.0,
"base_credit": 0.0,
"base_balance": 0.0,
"tax_debit": 0.0,
"tax_credit": 0.0,
"tax_balance": 0.0,
"tax_name": tax.name,
"tax_code": tax.description,
}
field_keys = [
"base_debit",
"base_credit",
"base_balance",
"tax_debit",
"tax_credit",
"tax_balance",
]
for field_key in field_keys:
journals_taxes_data[journal_id][tax.id][field_key] += ml_data[
field_key
]
journals_taxes_data_2 = {}
for journal_id in journals_taxes_data.keys():
journals_taxes_data_2[journal_id] = []
for tax_id in journals_taxes_data[journal_id].keys():
journals_taxes_data_2[journal_id] += [
journals_taxes_data[journal_id][tax_id]
]
return journals_taxes_data_2
def _get_report_values(self, docids, data):
wizard_id = data["wizard_id"]
wizard = self.env["journal.ledger.report.wizard"].browse(wizard_id)
company = self.env["res.company"].browse(data["company_id"])
journal_ids = data["journal_ids"]
journal_ledgers_data = self._get_journal_ledgers(wizard, journal_ids, company)
move_ids, moves_data, move_ids_data = self._get_moves(wizard, journal_ids)
journal_moves_data = {}
for key, items in itertools.groupby(
moves_data, operator.itemgetter("journal_id")
):
if key not in journal_moves_data.keys():
journal_moves_data[key] = []
journal_moves_data[key] += list(items)
move_lines_data = (
account_ids_data
) = (
partner_ids_data
) = currency_ids_data = tax_line_ids_data = move_line_ids_taxes_data = {}
if move_ids:
move_lines = self._get_move_lines(move_ids, wizard, journal_ids)
move_lines_data = move_lines[1]
account_ids_data = move_lines[2]
partner_ids_data = move_lines[3]
currency_ids_data = move_lines[4]
tax_line_ids_data = move_lines[5]
for move_data in moves_data:
move_id = move_data["move_id"]
move_data["report_move_lines"] = []
if move_id in move_lines_data.keys():
move_data["report_move_lines"] += move_lines_data[move_id]
journals_taxes_data = {}
if moves_data:
journals_taxes_data = self._get_journal_tax_lines(wizard, moves_data)
for journal_ledger_data in journal_ledgers_data:
journal_id = journal_ledger_data["id"]
journal_ledger_data["tax_lines"] = journals_taxes_data.get(journal_id, [])
journal_totals = {}
for move_id in move_lines_data.keys():
for move_line_data in move_lines_data[move_id]:
journal_id = move_line_data["journal_id"]
if journal_id not in journal_totals.keys():
journal_totals[journal_id] = {"debit": 0.0, "credit": 0.0}
for item in ["debit", "credit"]:
journal_totals[journal_id][item] += move_line_data[item]
for journal_ledger_data in journal_ledgers_data:
journal_id = journal_ledger_data["id"]
if journal_id in journal_moves_data.keys():
journal_ledger_data["report_moves"] = journal_moves_data[journal_id]
else:
journal_ledger_data["report_moves"] = []
if journal_id in journal_totals.keys():
for item in ["debit", "credit"]:
journal_ledger_data[item] += journal_totals[journal_id][item]
return {
"doc_ids": [wizard_id],
"doc_model": "journal.ledger.report.wizard",
"docs": self.env["journal.ledger.report.wizard"].browse(wizard_id),
"group_option": data["group_option"],
"foreign_currency": data["foreign_currency"],
"with_account_name": data["with_account_name"],
"company_name": company.display_name,
"currency_name": company.currency_id.name,
"date_from": data["date_from"],
"date_to": data["date_to"],
"move_target": data["move_target"],
"account_ids_data": account_ids_data,
"partner_ids_data": partner_ids_data,
"currency_ids_data": currency_ids_data,
"move_ids_data": move_ids_data,
"tax_line_data": tax_line_ids_data,
"move_line_ids_taxes_data": move_line_ids_taxes_data,
"Journal_Ledgers": journal_ledgers_data,
"Moves": moves_data,
}

250
account_financial_report/report/journal_ledger_xlsx.py

@ -0,0 +1,250 @@
# Author: Damien Crier
# Author: Julien Coux
# Copyright 2016 Camptocamp SA
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo import _, models
class JournalLedgerXslx(models.AbstractModel):
_name = "report.a_f_r.report_journal_ledger_xlsx"
_description = "Journal Ledger XLSX Report"
_inherit = "report.account_financial_report.abstract_report_xlsx"
def _get_report_name(self, report, data=False):
company_id = data.get("company_id", False)
report_name = _("Journal Ledger")
if company_id:
company = self.env["res.company"].browse(company_id)
suffix = " - {} - {}".format(company.name, company.currency_id.name)
report_name = report_name + suffix
return report_name
def _get_report_columns(self, report):
columns = [
{"header": _("Entry"), "field": "entry", "width": 18},
{"header": _("Date"), "field": "date", "width": 11},
{"header": _("Account"), "field": "account_code", "width": 9},
]
if report.with_account_name:
columns.append(
{"header": _("Account Name"), "field": "account_name", "width": 15}
)
columns += [
{"header": _("Partner"), "field": "partner", "width": 25},
{"header": _("Ref - Label"), "field": "label", "width": 40},
{"header": _("Taxes"), "field": "taxes_description", "width": 11},
{"header": _("Debit"), "field": "debit", "type": "amount", "width": 14},
{"header": _("Credit"), "field": "credit", "type": "amount", "width": 14},
]
if report.foreign_currency:
columns += [
{
"header": _("Currency"),
"field": "currency_name",
"width": 14,
"type": "currency_name",
},
{
"header": _("Amount Currency"),
"field": "amount_currency",
"type": "amount",
"width": 18,
},
]
columns_as_dict = {}
for i, column in enumerate(columns):
columns_as_dict[i] = column
return columns_as_dict
def _get_journal_tax_columns(self, report):
return {
0: {"header": _("Name"), "field": "tax_name", "width": 35},
1: {"header": _("Description"), "field": "tax_code", "width": 18},
2: {
"header": _("Base Debit"),
"field": "base_debit",
"type": "amount",
"width": 14,
},
3: {
"header": _("Base Credit"),
"field": "base_credit",
"type": "amount",
"width": 14,
},
4: {
"header": _("Base Balance"),
"field": "base_balance",
"type": "amount",
"width": 14,
},
5: {
"header": _("Tax Debit"),
"field": "tax_debit",
"type": "amount",
"width": 14,
},
6: {
"header": _("Tax Credit"),
"field": "tax_credit",
"type": "amount",
"width": 14,
},
7: {
"header": _("Tax Balance"),
"field": "tax_balance",
"type": "amount",
"width": 14,
},
}
def _get_col_count_filter_name(self):
return 2
def _get_col_count_filter_value(self):
return 3
def _get_report_filters(self, report):
target_label_by_value = {
value: label
for value, label in self.env[
"journal.ledger.report.wizard"
]._get_move_targets()
}
sort_option_label_by_value = {
value: label
for value, label in self.env[
"journal.ledger.report.wizard"
]._get_sort_options()
}
return [
[_("Company"), report.company_id.name],
[
_("Date range filter"),
_("From: %s To: %s") % (report.date_from, report.date_to),
],
[
_("Target moves filter"),
_("%s") % target_label_by_value[report.move_target],
],
[
_("Entries sorted by"),
_("%s") % sort_option_label_by_value[report.sort_option],
],
[
_("Journals"),
", ".join(
[
"{} - {}".format(report_journal.code, report_journal.name)
for report_journal in report.journal_ids
]
),
],
]
def _generate_report_content(self, workbook, report, data):
res_data = self.env[
"report.account_financial_report.journal_ledger"
]._get_report_values(report, data)
group_option = report.group_option
if group_option == "journal":
for ledger in res_data["Journal_Ledgers"]:
self._generate_journal_content(workbook, report, res_data, ledger)
elif group_option == "none":
self._generate_no_group_content(workbook, report, res_data)
def _generate_no_group_content(self, workbook, report, res_data):
self._generate_moves_content(
workbook, "Report", report, res_data, res_data["Moves"]
)
self._generate_no_group_taxes_summary(workbook, report, res_data)
def _generate_journal_content(self, workbook, report, res_data, ledger):
journal = self.env["account.journal"].browse(ledger["id"])
currency_name = (
journal.currency_id
and journal.currency_id.name
or journal.company_id.currency_id.name
)
sheet_name = "{} ({}) - {}".format(journal.code, currency_name, journal.name)
self._generate_moves_content(
workbook, sheet_name, report, res_data, ledger["report_moves"]
)
self._generate_journal_taxes_summary(workbook, ledger)
def _generate_no_group_taxes_summary(self, workbook, report, res_data):
self._generate_taxes_summary(workbook, "Tax Report", res_data["tax_line_data"])
def _generate_journal_taxes_summary(self, workbook, ledger):
journal = self.env["account.journal"].browse(ledger["id"])
currency_name = (
journal.currency_id
and journal.currency_id.name
or journal.company_id.currency_id.name
)
sheet_name = "Tax - {} ({}) - {}".format(
journal.code, currency_name, journal.name
)
self._generate_taxes_summary(workbook, sheet_name, ledger["tax_lines"])
def _generate_moves_content(self, workbook, sheet_name, report, res_data, moves):
self.workbook = workbook
self.sheet = workbook.add_worksheet(sheet_name)
self._set_column_width()
self.row_pos = 1
self.write_array_title(sheet_name)
self.row_pos += 2
self.write_array_header()
account_ids_data = res_data["account_ids_data"]
partner_ids_data = res_data["partner_ids_data"]
currency_ids_data = res_data["currency_ids_data"]
move_ids_data = res_data["move_ids_data"]
for move in moves:
for line in move["report_move_lines"]:
currency_data = currency_ids_data.get(line["currency_id"], False)
currency_name = currency_data and currency_data["name"] or ""
account_data = account_ids_data.get(line["account_id"], False)
account_name = account_data and account_data["name"] or ""
account_code = account_data and account_data["code"] or ""
move_data = move_ids_data.get(line["move_id"], False)
move_entry = move_data and move_data["entry"] or ""
line["partner"] = self._get_partner_name(
line["partner_id"], partner_ids_data
)
line["account_code"] = account_code
line["account_name"] = account_name
line["currency_name"] = currency_name
line["entry"] = move_entry
line["taxes_description"] = report._get_ml_tax_description(
line,
res_data["tax_line_data"].get(line["tax_line_id"]),
res_data["move_line_ids_taxes_data"].get(
line["move_line_id"], False
),
)
self.write_line_from_dict(line)
self.row_pos += 1
def _generate_taxes_summary(self, workbook, sheet_name, tax_lines_dict):
self.workbook = workbook
self.sheet = workbook.add_worksheet(sheet_name)
self.row_pos = 1
self.write_array_title(sheet_name)
self.row_pos += 2
def _get_partner_name(self, partner_id, partner_data):
if partner_id in partner_data.keys():
return partner_data[partner_id]["name"]
else:
return ""

362
account_financial_report/report/open_items.py

@ -0,0 +1,362 @@
# © 2016 Julien Coux (Camptocamp)
# Copyright 2020 ForgeFlow S.L. (https://www.forgeflow.com)
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from datetime import date, datetime
from odoo import api, models
from odoo.osv import expression
from odoo.tools import float_is_zero
class OpenItemsReport(models.AbstractModel):
_name = "report.account_financial_report.open_items"
_description = "Open Items Report"
@api.model
def get_html(self, given_context=None):
return self._get_html()
def _get_html(self):
result = {}
rcontext = {}
context = dict(self.env.context)
rcontext.update(context.get("data"))
active_id = context.get("active_id")
wiz = self.env["open.items.report.wizard"].browse(active_id)
rcontext["o"] = wiz
result["html"] = self.env.ref(
"account_financial_report.report_open_items"
).render(rcontext)
return result
def _get_account_partial_reconciled(self, move_lines_data, date_at_object):
reconciled_ids = []
for move_line in move_lines_data:
if move_line["reconciled"]:
reconciled_ids += [move_line["id"]]
domain = [("max_date", ">=", date_at_object)]
domain += expression.OR(
[
[("debit_move_id", "in", reconciled_ids)],
[("credit_move_id", "in", reconciled_ids)],
]
)
fields = ["debit_move_id", "credit_move_id", "amount"]
accounts_partial_reconcile = self.env["account.partial.reconcile"].search_read(
domain=domain, fields=fields
)
debit_accounts_partial_amount = {}
credit_accounts_partial_amount = {}
for account_partial_reconcile_data in accounts_partial_reconcile:
debit_move_id = account_partial_reconcile_data["debit_move_id"][0]
credit_move_id = account_partial_reconcile_data["credit_move_id"][0]
if debit_move_id not in debit_accounts_partial_amount.keys():
debit_accounts_partial_amount[debit_move_id] = 0.0
debit_accounts_partial_amount[
debit_move_id
] += account_partial_reconcile_data["amount"]
if credit_move_id not in credit_accounts_partial_amount.keys():
credit_accounts_partial_amount[credit_move_id] = 0.0
credit_accounts_partial_amount[
credit_move_id
] += account_partial_reconcile_data["amount"]
account_partial_reconcile_data.update(
{"debit_move_id": debit_move_id, "credit_move_id": credit_move_id}
)
return (
accounts_partial_reconcile,
debit_accounts_partial_amount,
credit_accounts_partial_amount,
)
@api.model
def _get_query_domain(
self,
account_ids,
partner_ids,
date_at_object,
target_move,
company_id,
date_from,
):
query = """
WHERE aml.account_id in %s and aml.company_id = %s
""" % (
tuple(account_ids) if len(account_ids) > 1 else "(%s)" % account_ids[0],
company_id,
)
if date_from:
query += " and aml.date >= '%s'" % date_from
if partner_ids:
query += " and aml.partner_id in {}".format(tuple(partner_ids))
if target_move == "posted":
query += " and am.state = 'posted'"
if date_at_object >= date.today():
query += " and aml.reconciled IS FALSE"
else:
query += (
""" and ((aml.reconciled IS FALSE OR aml.date >= '%s')
OR aml.full_reconcile_id IS NOT NULL)"""
% date_at_object
)
return query
@api.model
def _get_query(
self,
account_ids,
partner_ids,
date_at_object,
target_move,
company_id,
date_from,
):
aml_fields = [
"id",
"date",
"move_id",
"journal_id",
"account_id",
"partner_id",
"ref",
"date_maturity",
"amount_residual",
"amount_currency",
"amount_residual_currency",
"debit",
"credit",
"currency_id",
"reconciled",
"full_reconcile_id",
]
query = ""
# SELECT
for field in aml_fields:
if not query:
query = "SELECT aml.%s" % field
else:
query += ", aml.%s" % field
# name from res_partner
query += ", rp.name as partner_name"
# name from res_currency
query += ", rc.name as currency_name"
# state and name from account_move
query += ", am.state, am.name as move_name"
# FROM
query += """
FROM account_move_line as aml
LEFT JOIN res_partner as rp
ON aml.partner_id = rp.id
LEFT JOIN res_currency as rc
ON aml.currency_id = rc.id
LEFT JOIN account_move as am
ON am.id = aml.move_id
"""
# WHERE
query += self._get_query_domain(
account_ids, partner_ids, date_at_object, target_move, company_id, date_from
)
return query
def _get_accounts_data(self, accounts_ids):
accounts = self.env["account.account"].browse(accounts_ids)
accounts_data = {}
for account in accounts:
accounts_data.update(
{
account.id: {
"id": account.id,
"code": account.code,
"name": account.name,
"hide_account": False,
"currency_id": account.currency_id or False,
"currency_name": account.currency_id.name,
}
}
)
return accounts_data
def _get_journals_data(self, journals_ids):
journals = self.env["account.journal"].browse(journals_ids)
journals_data = {}
for journal in journals:
journals_data.update({journal.id: {"id": journal.id, "code": journal.code}})
return journals_data
# flake8: noqa: C901
def _get_data(
self,
account_ids,
partner_ids,
date_at_object,
target_move,
company_id,
date_from,
):
query = self._get_query(
account_ids, partner_ids, date_at_object, target_move, company_id, date_from
)
self._cr.execute(query)
move_lines_data = self._cr.dictfetchall()
account_ids = map(lambda r: r["account_id"], move_lines_data)
accounts_data = self._get_accounts_data(list(account_ids))
journal_ids = map(lambda r: r["journal_id"], move_lines_data)
journals_data = self._get_journals_data(list(journal_ids))
if date_at_object < date.today():
(
accounts_partial_reconcile,
debit_accounts_partial_amount,
credit_accounts_partial_amount,
) = self._get_account_partial_reconciled(move_lines_data, date_at_object)
if accounts_partial_reconcile:
debit_ids = map(
operator.itemgetter("debit_move_id"), accounts_partial_reconcile
)
credit_ids = map(
operator.itemgetter("credit_move_id"), accounts_partial_reconcile
)
for move_line in move_lines_data:
if move_line["id"] in debit_ids:
move_line["amount_residual"] += debit_accounts_partial_amount[
move_line["id"]
]
if move_line["id"] in credit_ids:
move_line["amount_residual"] -= credit_accounts_partial_amount[
move_line["id"]
]
moves_lines_to_remove = []
for move_line in move_lines_data:
if move_line["date"] > date_at_object or float_is_zero(
move_line["amount_residual"], precision_digits=2
):
moves_lines_to_remove.append(move_line)
if len(moves_lines_to_remove) > 0:
for move_line_to_remove in moves_lines_to_remove:
move_lines_data.remove(move_line_to_remove)
partners_data = {0: {"id": 0, "name": "Missing Partner"}}
open_items_move_lines_data = {}
for move_line in move_lines_data:
no_partner = True
# Partners data
if move_line["partner_id"]:
no_partner = False
partners_data.update(
{
move_line["partner_id"]: {
"id": move_line["partner_id"],
"name": move_line["partner_name"],
"currency_id": accounts_data[move_line["account_id"]][
"currency_id"
],
}
}
)
else:
partners_data[0]["currency_id"] = accounts_data[
move_line["account_id"]
]["currency_id"]
# Move line update
original = 0
if not float_is_zero(move_line["credit"], precision_digits=2):
original = move_line["credit"] * (-1)
if not float_is_zero(move_line["debit"], precision_digits=2):
original = move_line["debit"]
move_line.update(
{
"date": move_line["date"].strftime("%d/%m/%Y"),
"date_maturity": move_line["date_maturity"]
and move_line["date_maturity"].strftime("%d/%m/%Y"),
"original": original,
"partner_id": 0 if no_partner else move_line["partner_id"],
"partner_name": "" if no_partner else move_line["partner_name"],
"ref": "" if not move_line["ref"] else move_line["ref"],
"account": accounts_data[move_line["account_id"]]["code"],
"journal": journals_data[move_line["journal_id"]]["code"],
}
)
# Open Items Move Lines Data
if move_line["account_id"] not in open_items_move_lines_data.keys():
open_items_move_lines_data[move_line["account_id"]] = {
move_line["partner_id"]: [move_line]
}
else:
if (
move_line["partner_id"]
not in open_items_move_lines_data[move_line["account_id"]].keys()
):
open_items_move_lines_data[move_line["account_id"]][
move_line["partner_id"]
] = [move_line]
else:
open_items_move_lines_data[move_line["account_id"]][
move_line["partner_id"]
].append(move_line)
return (
move_lines_data,
partners_data,
journals_data,
accounts_data,
open_items_move_lines_data,
)
@api.model
def _calculate_amounts(self, open_items_move_lines_data):
total_amount = {}
for account_id in open_items_move_lines_data.keys():
total_amount[account_id] = {}
total_amount[account_id]["residual"] = 0.0
for partner_id in open_items_move_lines_data[account_id].keys():
total_amount[account_id][partner_id] = {}
total_amount[account_id][partner_id]["residual"] = 0.0
for move_line in open_items_move_lines_data[account_id][partner_id]:
total_amount[account_id][partner_id]["residual"] += move_line[
"amount_residual"
]
total_amount[account_id]["residual"] += move_line["amount_residual"]
return total_amount
def _get_report_values(self, docids, data):
wizard_id = data["wizard_id"]
company = self.env["res.company"].browse(data["company_id"])
company_id = data["company_id"]
account_ids = data["account_ids"]
partner_ids = data["partner_ids"]
date_at = data["date_at"]
date_at_object = datetime.strptime(date_at, "%Y-%m-%d").date()
date_from = data["date_from"]
target_move = data["target_move"]
(
move_lines_data,
partners_data,
journals_data,
accounts_data,
open_items_move_lines_data,
) = self._get_data(
account_ids, partner_ids, date_at_object, target_move, company_id, date_from
)
total_amount = self._calculate_amounts(open_items_move_lines_data)
return {
"doc_ids": [wizard_id],
"doc_model": "open.items.report.wizard",
"docs": self.env["open.items.report.wizard"].browse(wizard_id),
"foreign_currency": data["foreign_currency"],
"company_name": company.display_name,
"currency_name": company.currency_id.name,
"date_at": date_at_object.strftime("%d/%m/%Y"),
"hide_account_at_0": data["hide_account_at_0"],
"target_move": data["target_move"],
"partners_data": partners_data,
"accounts_data": accounts_data,
"total_amount": total_amount,
"Open_Items": open_items_move_lines_data,
}

169
account_financial_report/report/open_items_xlsx.py

@ -0,0 +1,169 @@
# Author: Julien Coux
# Copyright 2016 Camptocamp SA
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo import _, models
class OpenItemsXslx(models.AbstractModel):
_name = "report.a_f_r.report_open_items_xlsx"
_description = "Open Items XLSX Report"
_inherit = "report.account_financial_report.abstract_report_xlsx"
def _get_report_name(self, report, data=False):
company_id = data.get("company_id", False)
report_name = _("Open Items")
if company_id:
company = self.env["res.company"].browse(company_id)
suffix = " - {} - {}".format(company.name, company.currency_id.name)
report_name = report_name + suffix
return report_name
def _get_report_columns(self, report):
res = {
0: {"header": _("Date"), "field": "date", "width": 11},
1: {"header": _("Entry"), "field": "move_id_name", "width": 18},
2: {"header": _("Journal"), "field": "journal", "width": 8},
3: {"header": _("Account"), "field": "account", "width": 9},
4: {"header": _("Partner"), "field": "partner", "width": 25},
5: {"header": _("Ref - Label"), "field": "ref", "width": 40},
6: {"header": _("Due date"), "field": "date_maturity", "width": 11},
7: {
"header": _("Original"),
"field": "original",
"type": "amount",
"width": 14,
},
8: {
"header": _("Residual"),
"field": "amount_residual",
"field_final_balance": "residual",
"type": "amount",
"width": 14,
},
}
if report.foreign_currency:
foreign_currency = {
9: {
"header": _("Cur."),
"field": "currency_name",
"field_currency_balance": "currency_name",
"type": "currency_name",
"width": 7,
},
10: {
"header": _("Cur. Original"),
"field": "amount_currency",
"field_final_balance": "amount_currency",
"type": "amount_currency",
"width": 14,
},
11: {
"header": _("Cur. Residual"),
"field": "amount_residual_currency",
"field_final_balance": "amount_currency",
"type": "amount_currency",
"width": 14,
},
}
res = {**res, **foreign_currency}
return res
def _get_report_filters(self, report):
return [
[_("Date at filter"), report.date_at.strftime("%d/%m/%Y")],
[
_("Target moves filter"),
_("All posted entries")
if report.target_move == "posted"
else _("All entries"),
],
[
_("Account balance at 0 filter"),
_("Hide") if report.hide_account_at_0 else _("Show"),
],
[
_("Show foreign currency"),
_("Yes") if report.foreign_currency else _("No"),
],
]
def _get_col_count_filter_name(self):
return 2
def _get_col_count_filter_value(self):
return 2
def _get_col_count_final_balance_name(self):
return 5
def _get_col_pos_final_balance_label(self):
return 5
def _generate_report_content(self, workbook, report, data):
res_data = self.env[
"report.account_financial_report.open_items"
]._get_report_values(report, data)
# For each account
Open_items = res_data["Open_Items"]
accounts_data = res_data["accounts_data"]
partners_data = res_data["partners_data"]
total_amount = res_data["total_amount"]
for account_id in Open_items.keys():
# Write account title
self.write_array_title(
accounts_data[account_id]["code"]
+ " - "
+ accounts_data[account_id]["name"]
)
# For each partner
if Open_items[account_id]:
for partner_id in Open_items[account_id]:
type_object = "partner"
# Write partner title
self.write_array_title(partners_data[partner_id]["name"])
# Display array header for move lines
self.write_array_header()
# Display account move lines
for line in Open_items[account_id][partner_id]:
self.write_line_from_dict(line)
# Display ending balance line for partner
self.write_ending_balance_from_dict(
partners_data[partner_id],
type_object,
total_amount,
account_id,
partner_id,
)
# Line break
self.row_pos += 1
# Display ending balance line for account
type_object = "account"
self.write_ending_balance_from_dict(
accounts_data[account_id], type_object, total_amount, account_id
)
# 2 lines break
self.row_pos += 2
def write_ending_balance_from_dict(
self, my_object, type_object, total_amount, account_id=False, partner_id=False
):
"""Specific function to write ending balance for Open Items"""
if type_object == "partner":
name = my_object["name"]
my_object["residual"] = total_amount[account_id][partner_id]["residual"]
label = _("Partner ending balance")
elif type_object == "account":
name = my_object["code"] + " - " + my_object["name"]
my_object["residual"] = total_amount[account_id]["residual"]
label = _("Ending balance")
super(OpenItemsXslx, self).write_ending_balance_from_dict(
my_object, name, label
)

700
account_financial_report/report/templates/aged_partner_balance.xml

@ -0,0 +1,700 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<template id="aged_partner_balance">
<t t-call="web.html_container">
<t t-foreach="docs" t-as="o">
<t t-call="account_financial_report.internal_layout">
<t
t-call="account_financial_report.report_aged_partner_balance_base"
/>
</t>
</t>
</t>
</template>
<template id="report_aged_partner_balance_base">
<!-- Saved flag fields into variables, used to define columns display -->
<t t-set="show_move_line_details" t-value="show_move_line_details" />
<!-- Defines global variables used by internal layout -->
<t t-set="title">Aged Partner Balance - <t t-raw="company_name" /> - <t
t-raw="currency_name"
/></t>
<div class="page">
<div class="row">
<h4
class="mt0"
t-esc="title or 'Odoo Report'"
style="text-align: center;"
/>
</div>
<!-- Display filters -->
<t t-call="account_financial_report.report_aged_partner_balance_filters" />
<t t-foreach="aged_partner_balance" t-as="account">
<div class="page_break">
<!-- Display account header -->
<div class="act_as_table list_table" style="margin-top: 10px;" />
<div class="act_as_caption account_title" style="width: 100%;">
<span t-esc="account['code']" />
-
<span t-esc="account['name']" />
</div>
<!-- Display account lines -->
<t t-if="not show_move_line_details">
<div class="act_as_table data_table" style="width: 100%;">
<!-- Display account header -->
<t
t-call="account_financial_report.report_aged_partner_balance_lines_header"
/>
<t t-foreach="account['partners']" t-as="partner">
<!-- Display one line per partner -->
<t
t-call="account_financial_report.report_aged_partner_balance_lines"
/>
</t>
</div>
<!-- Display account footer -->
<t
t-call="account_financial_report.report_aged_partner_balance_account_ending_cumul"
/>
</t>
<!-- Display account move lines -->
<t t-if="show_move_line_details">
<!-- Display account partners -->
<t t-foreach="account['partners']" t-as="partner">
<div class="page_break">
<!-- Display partner header -->
<div class="act_as_caption account_title">
<span t-esc="partner['name']" />
</div>
<!-- Display partner move lines -->
<t
t-call="account_financial_report.report_aged_partner_balance_move_lines"
/>
<!-- Display partner footer -->
<t
t-call="account_financial_report.report_aged_partner_balance_partner_ending_cumul"
>
<t t-set="partner_cumul_line" t-value="partner" />
</t>
</div>
</t>
<!-- Display account footer -->
<t
t-call="account_financial_report.report_aged_partner_balance_account_ending_cumul"
/>
</t>
</div>
</t>
</div>
</template>
<template id="report_aged_partner_balance_filters">
<div class="act_as_table data_table" style="width: 100%;">
<div class="act_as_row labels">
<div class="act_as_cell">Date at filter</div>
<div class="act_as_cell">Target moves filter</div>
</div>
<div class="act_as_row">
<div class="act_as_cell">
<span t-esc="date_at" />
</div>
<div class="act_as_cell">
<t t-if="only_posted_moves">All posted entries</t>
<t t-if="not only_posted_moves">All entries</t>
</div>
</div>
</div>
</template>
<template id="report_aged_partner_balance_lines_header">
<!-- Display table headers for lines -->
<div class="act_as_thead">
<div class="act_as_row labels">
<!--## partner-->
<div class="act_as_cell" style="width: 32.52%;">Partner</div>
<!--## amount_residual-->
<div class="act_as_cell" style="width: 9.64%;">Residual</div>
<!--## current-->
<div class="act_as_cell" style="width: 9.64%;">Not due</div>
<!--## age_30_days-->
<div class="act_as_cell" style="width: 9.64%;">1 - 30 d.</div>
<!--## age_60_days-->
<div class="act_as_cell" style="width: 9.64%;">31 - 60 d.</div>
<!--## age_90_days-->
<div class="act_as_cell" style="width: 9.64%;">61 - 90 d.</div>
<!--## age_120_days-->
<div class="act_as_cell" style="width: 9.64%;">91 - 120 d.</div>
<!--## older-->
<div class="act_as_cell" style="width: 9.64%;"> > 120 d.</div>
</div>
</div>
</template>
<template id="report_aged_partner_balance_lines">
<!-- Display each partner lines -->
<div class="act_as_row lines">
<!--## partner-->
<div class="act_as_cell left">
<span t-esc="partner['name']" />
</div>
<!--## amount_residual-->
<div class="act_as_cell amount">
<span
t-esc="partner['residual']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## current-->
<div class="act_as_cell amount">
<span
t-esc="partner['current']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_30_days-->
<div class="act_as_cell amount">
<span
t-esc="partner['30_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_60_days-->
<div class="act_as_cell amount">
<span
t-esc="partner['60_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_90_days-->
<div class="act_as_cell amount">
<span
t-esc="partner['90_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_120_days-->
<div class="act_as_cell amount">
<span
t-esc="partner['120_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## older-->
<div class="act_as_cell amount">
<span
t-esc="partner['older']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
</div>
</template>
<template id="report_aged_partner_balance_move_lines">
<div class="act_as_table data_table" style="width: 100%;">
<!-- Display table headers for move lines -->
<div class="act_as_thead">
<div class="act_as_row labels">
<!--## date-->
<div class="act_as_cell first_column" style="width: 6.00%;">
Date</div>
<!--## move-->
<div class="act_as_cell" style="width: 7.00%;">Entry</div>
<!--## journal-->
<div class="act_as_cell" style="width: 5.00%;">Journal</div>
<!--## account code-->
<div class="act_as_cell" style="width: 6.00%;">Account</div>
<!--## partner-->
<div class="act_as_cell" style="width: 10.50%;">Partner
</div>
<!--## ref - label-->
<div class="act_as_cell" style="width: 18.00%;">Ref -
Label</div>
<!--## date_due-->
<div class="act_as_cell" style="width: 6.00%;">Due
date</div>
<!--## amount_residual-->
<div class="act_as_cell" style="width: 6.00%;">Residual
</div>
<!--## current-->
<div class="act_as_cell" style="width: 6.00%;">Current</div>
<!--## age_30_days-->
<div class="act_as_cell" style="width: 6.00%;">Age ≤ 30
d.</div>
<!--## age_60_days-->
<div class="act_as_cell" style="width: 6.00%;">Age ≤ 60
d.</div>
<!--## age_90_days-->
<div class="act_as_cell" style="width: 6.00%;">Age ≤ 90
d.</div>
<!--## age_120_days-->
<div class="act_as_cell" style="width: 6.00%;">Age ≤ 120
d.</div>
<!--## older-->
<div class="act_as_cell" style="width: 6.00%;">Older</div>
</div>
</div>
<!-- Display each move lines -->
<t t-foreach="partner['move_lines']" t-as="line">
<!-- # lines or centralized lines -->
<div class="act_as_row lines">
<!--## date-->
<div class="act_as_cell left">
<!-- <span>-->
<!-- <a t-att-data-active-id="line.move_line_id.id"-->
<!-- t-att-data-res-model="'account.move.line'"-->
<!-- class="o_account_financial_reports_web_action"-->
<!-- style="color: black;">-->
<!--## We don't use t-field because it throws an error on click -->
<t t-esc="line['date']" t-options="{'widget': 'date'}" />
<!-- </a>-->
<!-- </span>-->
</div>
<!--## move-->
<div class="act_as_cell left">
<!-- <span>-->
<!-- <a t-att-data-active-id="line.move_line_id.move_id.id"-->
<!-- t-att-data-res-model="'account.move'"-->
<!-- class="o_account_financial_reports_web_action"-->
<!-- style="color: black;">-->
<t t-raw="line['entry']" />
<!-- </a>-->
<!-- </span>-->
</div>
<!--## journal-->
<div class="act_as_cell left">
<!-- <span>-->
<!-- <a t-att-data-active-id="line.move_line_id.move_id.journal_id.id"-->
<!-- t-att-data-res-model="'account.journal'"-->
<!-- class="o_account_financial_reports_web_action"-->
<!-- style="color: black;">-->
<t t-raw="line['journal']" />
<!-- </a>-->
<!-- </span>-->
</div>
<!--## account code-->
<div class="act_as_cell left">
<!-- <span>-->
<!-- <a t-att-data-active-id="line.move_line_id.account_id.id"-->
<!-- t-att-data-res-model="'account.account'"-->
<!-- class="o_account_financial_reports_web_action"-->
<!-- style="color: black;">-->
<t t-raw="line['account']" />
<!-- </a>-->
<!-- </span>-->
</div>
<!--## partner-->
<div class="act_as_cell left">
<!-- <span>-->
<!-- <a t-att-data-active-id="line.move_line_id.partner_id.id"-->
<!-- t-att-data-res-model="'res.partner'"-->
<!-- class="o_account_financial_reports_web_action"-->
<!-- style="color: black;">-->
<t t-raw="line['partner']" />
<!-- </a>-->
<!-- </span>-->
</div>
<!--## ref - label-->
<div class="act_as_cell left">
<!-- <span>-->
<!-- <a t-att-data-active-id="line.move_line_id.id"-->
<!-- t-att-data-res-model="'account.move.line'"-->
<!-- class="o_account_financial_reports_web_action"-->
<!-- style="color: black;">-->
<t t-raw="line['ref']" />
<!-- </a>-->
<!-- </span>-->
</div>
<!--## date_due-->
<div class="act_as_cell left">
<!-- <span>-->
<!-- <a t-att-data-active-id="line.move_line_id.id"-->
<!-- t-att-data-res-model="'account.move.line'"-->
<!-- class="o_account_financial_reports_web_action"-->
<!-- style="color: black;">-->
<!--## We don't use t-field because it throws an error on click -->
<t t-esc="line['due_date']" t-options="{'widget': 'date'}" />
<!-- </a>-->
<!-- </span>-->
</div>
<!--## amount_residual-->
<div class="act_as_cell amount">
<!-- <span>-->
<!-- <a t-att-data-domain="[('id', 'in', (line.move_line_id | line.move_line_id.matched_debit_ids.mapped('debit_move_id') | line.move_line_id.matched_credit_ids.mapped('credit_move_id')).ids)]"-->
<!-- t-att-data-res-model="'account.move.line'"-->
<!-- class="o_account_financial_reports_web_action_multi"-->
<!-- style="color: black;">-->
<t
t-raw="line['residual']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
<!-- </a>-->
<!-- </span>-->
</div>
<!--## current-->
<div class="act_as_cell amount">
<!-- <t t-if="line.current != 0">-->
<!-- <span>-->
<!-- <a t-att-data-domain="[('id', 'in', (line.move_line_id | line.move_line_id.matched_debit_ids.mapped('debit_move_id') | line.move_line_id.matched_credit_ids.mapped('credit_move_id')).ids)]"-->
<!-- t-att-data-res-model="'account.move.line'"-->
<!-- class="o_account_financial_reports_web_action_multi"-->
<!-- style="color: black;">-->
<t
t-raw="line['current']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
<!-- </a>-->
<!-- </span>-->
<!-- </t>-->
<!-- <t t-if="line.current == 0">-->
<!-- <span t-field="line.current" t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"/>-->
<!-- </t>-->
</div>
<!--## age_30_days-->
<div class="act_as_cell amount">
<!-- <t t-if="line.age_30_days != 0">-->
<!-- <span>-->
<!-- <a t-att-data-domain="[('id', 'in', (line.move_line_id | line.move_line_id.matched_debit_ids.mapped('debit_move_id') | line.move_line_id.matched_credit_ids.mapped('credit_move_id')).ids)]"-->
<!-- t-att-data-res-model="'account.move.line'"-->
<!-- class="o_account_financial_reports_web_action_multi"-->
<!-- style="color: black;">-->
<t
t-raw="line['30_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
<!-- </a>-->
<!-- </span>-->
<!-- </t>-->
<!-- <t t-if="line.age_30_days == 0">-->
<!-- <span t-field="line.age_30_days" t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"/>-->
<!-- </t>-->
</div>
<!--## age_60_days-->
<div class="act_as_cell amount">
<!-- <t t-if="line.age_60_days != 0">-->
<!-- <span>-->
<!-- <a t-att-data-domain="[('id', 'in', (line.move_line_id | line.move_line_id.matched_debit_ids.mapped('debit_move_id') | line.move_line_id.matched_credit_ids.mapped('credit_move_id')).ids)]"-->
<!-- t-att-data-res-model="'account.move.line'"-->
<!-- class="o_account_financial_reports_web_action_multi"-->
<!-- style="color: black;">-->
<t
t-raw="line['60_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
<!-- </a>-->
<!-- </span>-->
<!-- </t>-->
<!-- <t t-if="line.age_60_days == 0">-->
<!-- <span t-field="line.age_60_days" t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"/>-->
<!-- </t>-->
</div>
<!--## age_90_days-->
<div class="act_as_cell amount">
<!-- <t t-if="line.age_90_days != 0">-->
<!-- <span>-->
<!-- <a t-att-data-domain="[('id', 'in', (line.move_line_id | line.move_line_id.matched_debit_ids.mapped('debit_move_id') | line.move_line_id.matched_credit_ids.mapped('credit_move_id')).ids)]"-->
<!-- t-att-data-res-model="'account.move.line'"-->
<!-- class="o_account_financial_reports_web_action_multi"-->
<!-- style="color: black;">-->
<t
t-raw="line['90_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
<!-- </a>-->
<!-- </span>-->
<!-- </t>-->
<!-- <t t-if="line.age_90_days == 0">-->
<!-- <span t-field="line.age_90_days" t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"/>-->
<!-- </t>-->
</div>
<!--## age_120_days-->
<div class="act_as_cell amount">
<!-- <t t-if="line.age_120_days != 0">-->
<!-- <span>-->
<!-- <a t-att-data-domain="[('id', 'in', (line.move_line_id | line.move_line_id.matched_debit_ids.mapped('debit_move_id') | line.move_line_id.matched_credit_ids.mapped('credit_move_id')).ids)]"-->
<!-- t-att-data-res-model="'account.move.line'"-->
<!-- class="o_account_financial_reports_web_action_multi"-->
<!-- style="color: black;">-->
<t
t-raw="line['120_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
<!-- </a>-->
<!-- </span>-->
<!-- </t>-->
<!-- <t t-if="line.age_120_days == 0">-->
<!-- <span t-field="line.age_120_days" t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"/>-->
<!-- </t>-->
</div>
<!--## older-->
<div class="act_as_cell amount">
<!-- <t t-if="line.older != 0">-->
<!-- <span>-->
<!-- <a t-att-data-domain="[('id', 'in', (line.move_line_id | line.move_line_id.matched_debit_ids.mapped('debit_move_id') | line.move_line_id.matched_credit_ids.mapped('credit_move_id')).ids)]"-->
<!-- t-att-data-res-model="'account.move.line'"-->
<!-- class="o_account_financial_reports_web_action_multi"-->
<!-- style="color: black;">-->
<t
t-raw="line['older']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
<!-- </a>-->
<!-- </span>-->
<!-- </t>-->
<!-- <t t-if="line.older == 0">-->
<!-- <span t-field="line.older" t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"/>-->
<!-- </t>-->
</div>
</div>
</t>
</div>
</template>
<template id="report_aged_partner_balance_partner_ending_cumul">
<!-- Display ending balance line for partner -->
<div class="act_as_table list_table" style="width: 100%;">
<div class="act_as_row lines" style="font-weight: bold;">
<!--## date-->
<div class="act_as_cell right" style="width: 52.00%;">Partner
cumul aged balance</div>
<!--## date_due-->
<div class="act_as_cell" style="width: 6.00%;" />
<!--## amount_residual-->
<div class="act_as_cell amount" style="width: 6.00%;">
<span
t-esc="partner_cumul_line['residual']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## current-->
<div class="act_as_cell amount" style="width: 6.00%;">
<span
t-esc="partner_cumul_line['current']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_30_days-->
<div class="act_as_cell amount" style="width: 6.00%;">
<span
t-esc="partner_cumul_line['30_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_60_days-->
<div class="act_as_cell amount" style="width: 6.00%;">
<span
t-esc="partner_cumul_line['60_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_90_days-->
<div class="act_as_cell amount" style="width: 6.00%;">
<span
t-esc="partner_cumul_line['90_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_120_days-->
<div class="act_as_cell amount" style="width: 6.00%;">
<span
t-esc="partner_cumul_line['120_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## older-->
<div class="act_as_cell amount" style="width: 6.00%;">
<span
t-esc="partner_cumul_line['older']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
</div>
</div>
</template>
<template id="report_aged_partner_balance_account_ending_cumul">
<!-- Display ending balance line for account -->
<div class="act_as_table list_table" style="width: 100%;">
<div class="act_as_row lines" style="font-weight: bold;">
<t t-if="not show_move_line_details">
<!--## total-->
<div class="act_as_cell right" style="width: 32.52%;">Total</div>
<!--## amount_residual-->
<div class="act_as_cell amount" style="width: 9.64%;">
<span
t-esc="account['residual']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## current-->
<div class="act_as_cell amount" style="width: 9.64%;">
<span
t-esc="account['current']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_30_days-->
<div class="act_as_cell amount" style="width: 9.64%;">
<span
t-esc="account['30_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_60_days-->
<div class="act_as_cell amount" style="width: 9.64%;">
<span
t-esc="account['60_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_90_days-->
<div class="act_as_cell amount" style="width: 9.64%;">
<span
t-esc="account['90_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_120_days-->
<div class="act_as_cell amount" style="width: 9.64%;">
<span
t-esc="account['120_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## older-->
<div class="act_as_cell amount" style="width: 9.64%;">
<span
t-esc="account['older']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
</t>
<t t-if="show_move_line_details">
<!--## total-->
<div class="act_as_cell right" style="width: 52.00%;">Total</div>
<!--## date_due-->
<div class="act_as_cell" style="width: 6.00%;" />
<!--## amount_residual-->
<div class="act_as_cell amount" style="width: 6.00%">
<span
t-esc="account['residual']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## current-->
<div class="act_as_cell amount" style="width: 6.00%">
<span
t-esc="account['current']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_30_days-->
<div class="act_as_cell amount" style="width: 6.00%">
<span
t-esc="account['30_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_60_days-->
<div class="act_as_cell amount" style="width: 6.00%">
<span
t-esc="account['60_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_90_days-->
<div class="act_as_cell amount" style="width: 6.00%">
<span
t-esc="account['90_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## age_120_days-->
<div class="act_as_cell amount" style="width: 6.00%">
<span
t-esc="account['120_days']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## older-->
<div class="act_as_cell amount" style="width: 6.00%">
<span
t-esc="account['older']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
</t>
</div>
<div class="act_as_row" style="font-weight: bold; font-style: italic;">
<t t-if="not show_move_line_details">
<!--## total-->
<div class="act_as_cell right" style="width: 32.52%;">
Percents</div>
<!--## amount_residual-->
<div class="act_as_cell amount" style="width: 9.64%;" />
<!--## current-->
<div class="act_as_cell amount" style="width: 9.64%;"><span
t-esc="account['percent_current']"
/>%
</div>
<!--## age_30_days-->
<div class="act_as_cell amount" style="width: 9.64%;"><span
t-esc="account['percent_30_days']"
/>%
</div>
<!--## age_60_days-->
<div class="act_as_cell amount" style="width: 9.64%;"><span
t-esc="account['percent_60_days']"
/>%
</div>
<!--## age_90_days-->
<div class="act_as_cell amount" style="width: 9.64%;"><span
t-esc="account['percent_90_days']"
/>%
</div>
<!--## age_120_days-->
<div class="act_as_cell amount" style="width: 9.64%;"><span
t-esc="account['percent_120_days']"
/>%
</div>
<!--## older-->
<div class="act_as_cell amount" style="width: 9.64%;"><span
t-esc="account['percent_older']"
/>%
</div>
</t>
<t t-if="show_move_line_details">
<!--## total-->
<div class="act_as_cell right" style="width: 52.00%;">
Percents</div>
<!--## date_due-->
<div class="act_as_cell" style="width: 6.00%;" />
<!--## amount_residual-->
<div class="act_as_cell amount" style="width: 6.00%" />
<!--## current-->
<div class="act_as_cell amount" style="width: 6.00%"><span
t-esc="account['percent_current']"
/>%
</div>
<!--## age_30_days-->
<div class="act_as_cell amount" style="width: 6.00%"><span
t-esc="account['percent_30_days']"
/>%
</div>
<!--## age_60_days-->
<div class="act_as_cell amount" style="width: 6.00%"><span
t-esc="account['percent_60_days']"
/>%
</div>
<!--## age_90_days-->
<div class="act_as_cell amount" style="width: 6.00%"><span
t-esc="account['percent_90_days']"
/>%
</div>
<!--## age_120_days-->
<div class="act_as_cell amount" style="width: 6.00%"><span
t-esc="account['percent_120_days']"
/>%
</div>
<!--## older-->
<div class="act_as_cell amount" style="width: 6.00%"><span
t-esc="account['percent_older']"
/>%
</div>
</t>
</div>
</div>
</template>
</odoo>

830
account_financial_report/report/templates/general_ledger.xml

@ -0,0 +1,830 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<template id="general_ledger">
<t t-call="web.html_container">
<t t-foreach="docs" t-as="o">
<t t-call="account_financial_report.internal_layout">
<t t-call="account_financial_report.report_general_ledger_base" />
</t>
</t>
</t>
</template>
<template id="report_general_ledger_base">
<!-- Saved flag fields into variables, used to define columns display -->
<t t-set="foreign_currency" t-value="foreign_currency" />
<!-- Defines global variables used by internal layout -->
<t t-set="title">General Ledger - <t t-raw="company_name" /> - <t
t-raw="currency_name"
/></t>
<div class="page">
<div class="row">
<h4
class="mt0"
t-esc="title or 'Odoo Report'"
style="text-align: center;"
/>
</div>
<!-- Display filters -->
<t t-call="account_financial_report.report_general_ledger_filters" />
<t t-foreach="general_ledger" t-as="account">
<div class="page_break">
<!-- Display account header -->
<div class="act_as_table list_table" style="margin-top: 10px;" />
<div class="act_as_caption account_title" style="width: 100%">
<span
t-esc="o._get_atr_from_dict(account['id'], accounts_data, 'code')"
/> -
<span
t-esc="o._get_atr_from_dict(account['id'], accounts_data, 'name')"
/>
</div>
<t t-if="not account['partners']">
<!-- Display account move lines without partner regroup -->
<t t-set="type" t-value='"account_type"' />
<t
t-call="account_financial_report.report_general_ledger_lines"
>
<t t-set="account_or_partner_object" t-value="account" />
</t>
</t>
<t t-if="account['partners']">
<!-- Display account partners -->
<t t-if="not centralize">
<t t-foreach="account['list_partner']" t-as="partner">
<t t-set="type" t-value='"partner_type"' />
<div class="page_break">
<!-- Display partner header -->
<div class="act_as_caption account_title">
<span
t-esc="o._get_atr_from_dict(partner['id'], partners_data, 'name')"
/>
</div>
<!-- Display partner move lines -->
<t
t-call="account_financial_report.report_general_ledger_lines"
>
<t
t-set="account_or_partner_object"
t-value="partner"
/>
</t>
<!-- Display partner footer -->
<t
t-call="account_financial_report.report_general_ledger_ending_cumul"
>
<t
t-set="account_or_partner_object"
t-value="partner"
/>
<t t-set="type" t-value='"partner_type"' />
</t>
</div>
</t>
</t>
</t>
<!-- Display account footer -->
<t
t-if="not account['partners']"
t-call="account_financial_report.report_general_ledger_ending_cumul"
>
<t t-set="account_or_partner_object" t-value="account" />
<t t-set="type" t-value='"account_type"' />
</t>
</div>
</t>
</div>
</template>
<template id="account_financial_report.report_general_ledger_filters">
<div class="act_as_table data_table" style="width: 100%;">
<div class="act_as_row labels">
<div class="act_as_cell">Date range filter</div>
<div class="act_as_cell">Target moves filter</div>
<div class="act_as_cell">Account balance at 0 filter</div>
<div class="act_as_cell">Centralize filter</div>
<div class="act_as_cell">Show analytic tags</div>
</div>
<div class="act_as_row">
<div class="act_as_cell">
From: <span t-esc="date_from" /> To: <span t-esc="date_to" />
</div>
<div class="act_as_cell">
<t t-if="only_posted_moves">All posted entries</t>
<t t-if="not only_posted_moves">All entries</t>
</div>
<div class="act_as_cell">
<t t-if="hide_account_at_0">Hide</t>
<t t-if="not hide_account_at_0">Show</t>
</div>
<div class="act_as_cell">
<t t-if="centralize">Yes</t>
<t t-if="not centralize">No</t>
</div>
<div class="act_as_cell">
<t t-if="show_analytic_tags">Yes</t>
<t t-if="not show_analytic_tags">No</t>
</div>
</div>
</div>
</template>
<template id="account_financial_report.report_general_ledger_lines">
<div class="act_as_table data_table" style="width: 100%;">
<!-- Display table headers for lines -->
<div class="act_as_thead">
<div class="act_as_row labels">
<!--## date-->
<div class="act_as_cell first_column" style="width: 3.51%;">
Date</div>
<!--## move-->
<div class="act_as_cell" style="width: 8.03%">Entry</div>
<!--## journal-->
<div class="act_as_cell" style="width: 4.13%;">Journal</div>
<!--## account code-->
<div class="act_as_cell" style="width: 4.75%;">Account</div>
<!--## account code-->
<div class="act_as_cell" style="width: 8.89%;">Taxes</div>
<!--## partner-->
<div class="act_as_cell" style="width: 12.01%;">Partner
</div>
<!--## ref - label-->
<div class="act_as_cell" style="width: 22.9%;">Ref -
Label</div>
<t t-if="show_cost_center">
<!--## cost_center-->
<div class="act_as_cell" style="width: 8.03%;">Cost
center</div>
</t>
<t t-if="show_analytic_tags">
<!--## analytic tags-->
<div class="act_as_cell" style="width: 4.75%;">Tags</div>
</t>
<!--## matching_number-->
<div class="act_as_cell" style="width: 2.41%;">Rec.</div>
<!--## debit-->
<div class="act_as_cell amount" style="width: 6.02%;">Debit</div>
<!--## credit-->
<div class="act_as_cell amount" style="width: 6.02%;">Credit</div>
<!--## balance cumulated-->
<div
class="act_as_cell amount"
style="width: 6.02%;"
>Cumul. Bal.</div>
<t t-if="foreign_currency">
<!--## currency_name-->
<div class="act_as_cell" style="width: 2.08%;">Cur.</div>
<!--## amount_currency-->
<div
class="act_as_cell amount"
style="width: 5.19%;"
>Amount cur.</div>
</t>
</div>
</div>
<!-- Display first line with initial balance -->
<div class="act_as_row lines">
<!--## date-->
<div class="act_as_cell" />
<!--## move-->
<div class="act_as_cell" />
<!--## journal-->
<div class="act_as_cell" />
<!--## account code-->
<div class="act_as_cell" />
<!--## taxes-->
<div class="act_as_cell" />
<!--## partner-->
<div class="act_as_cell" />
<!--## ref - label-->
<div class="act_as_cell amount">Initial balance</div>
<t t-if="show_cost_center">
<!--## cost_center-->
<div class="act_as_cell" />
</t>
<t t-if="show_analytic_tags">
<!--## analytic tags-->
<div class="act_as_cell" />
</t>
<!--## matching_number-->
<div class="act_as_cell" />
<!--## debit-->
<div class="act_as_cell amount">
<t t-if="type == 'account_type'">
<t
t-set="domain"
t-value="[('account_id', '=', account['id']),
('date', '&lt;', date_from),
('debit', '&lt;&gt;', 0)]"
/>
<span>
<a
t-att-data-domain="domain"
t-att-data-res-model="'account.move.line'"
class="o_account_financial_reports_web_action_monetary_multi"
style="color: black;"
>
<t
t-raw="account_or_partner_object['init_bal']['debit']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</a>
</span>
</t>
<t t-if="type == 'partner_type'">
<t
t-set="domain"
t-value="[('account_id', '=', account['id']),
('partner_id', '=', partner['id']),
('date', '&lt;', date_from),
('debit', '&lt;&gt;', 0)]"
/>
<span>
<a
t-att-data-domain="domain"
t-att-data-res-model="'account.move.line'"
class="o_account_financial_reports_web_action_monetary_multi"
style="color: black;"
>
<t
t-raw="account_or_partner_object['init_bal']['debit']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</a>
</span>
</t>
</div>
<!--## credit-->
<div class="act_as_cell amount">
<t t-if="type == 'account_type'">
<t
t-set="domain"
t-value="[('account_id', '=', account['id']),
('date', '&lt;', date_from),
('credit', '&lt;&gt;', 0)]"
/>
<span>
<a
t-att-data-domain="domain"
t-att-data-res-model="'account.move.line'"
class="o_account_financial_reports_web_action_monetary_multi"
style="color: black;"
>
<t
t-raw="account_or_partner_object['init_bal']['credit']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</a>
</span>
</t>
<t t-if="type == 'partner_type'">
<t
t-set="domain"
t-value="[('account_id', '=', account['id']),
('partner_id', '=', partner['id']),
('date', '&lt;', date_from),
('credit', '&lt;&gt;', 0)]"
/>
<span>
<a
t-att-data-domain="domain"
t-att-data-res-model="'account.move.line'"
class="o_account_financial_reports_web_action_monetary_multi"
style="color: black;"
>
<t
t-raw="account_or_partner_object['init_bal']['credit']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</a>
</span>
</t>
</div>
<!--## balance cumulated-->
<div class="act_as_cell amount">
<t t-if="type == 'account_type'">
<t
t-set="domain"
t-value="[('account_id', '=', account['id']),
('date', '&lt;', date_from)]"
/>
<span>
<a
t-att-data-domain="domain"
t-att-data-res-model="'account.move.line'"
class="o_account_financial_reports_web_action_monetary_multi"
style="color: black;"
>
<t
t-raw="account_or_partner_object['init_bal']['balance']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</a>
</span>
</t>
<t t-if="type == 'partner_type'">
<t
t-set="domain"
t-value="[('account_id', '=', account['id']),
('partner_id', '=', partner['id']),
('date', '&lt;', date_from)]"
/>
<span>
<a
t-att-data-domain="domain"
t-att-data-res-model="'account.move.line'"
class="o_account_financial_reports_web_action_monetary_multi"
style="color: black;"
>
<t
t-raw="account_or_partner_object['init_bal']['balance']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</a>
</span>
</t>
</div>
<t t-if="foreign_currency">
<t
t-if="o._get_atr_from_dict(account['id'], accounts_data, 'currency_id')"
>
<div class="act_as_cell amount" style="width: 2.08%;">
<span
t-field="o._get_atr_from_dict(account['id'], accounts_data, 'currency_name')"
/>
</div>
<div class="act_as_cell amount" style="width: 5.19%;">
<t t-if="type == 'account_type'">
<t
t-set="domain"
t-value="[('account_id', '=', account['id']),
('date', '&lt;', o.date_from)]"
/>
<span>
<a
t-att-data-domain="domain"
t-att-data-res-model="'account.move.line'"
class="o_account_financial_reports_web_action_monetary_multi"
style="color: black;"
>
<t
t-raw="account_or_partner_object['init_bal']['bal_curr']"
t-options="{'widget': 'monetary', 'display_currency': account.account_id.currency_id}"
/>
</a>
</span>
</t>
<t t-if="type == 'partner_type'">
<t
t-set="domain"
t-value="[('account_id', '=', account['id']),
('partner_id', '=', partner['id']),
('date', '&lt;', o.date_from)]"
/>
<span>
<a
t-att-data-domain="domain"
t-att-data-res-model="'account.move.line'"
class="o_account_financial_reports_web_action_monetary_multi"
style="color: black;"
>
<t
t-raw="account_or_partner_object['init_bal']['bal_curr']"
t-options="{'widget': 'monetary', 'display_currency': account.account_id.currency_id}"
/>
</a>
</span>
</t>
</div>
</t>
<t
t-if="not o._get_atr_from_dict(account['id'], accounts_data, 'currency_id')"
>
<div class="act_as_cell" style="width: 2.08%;" />
<div class="act_as_cell" style="width: 5.19%;" />
</t>
</t>
</div>
<!-- Display each lines -->
<t t-foreach="account_or_partner_object['move_lines']" t-as="line">
<!-- # lines or centralized lines -->
<div class="act_as_row lines">
<!--## date-->
<div class="act_as_cell left">
<t t-set="res_model" t-value="'account.move.line'" />
<span>
<t t-if="line['id']">
<a
t-att-data-active-id="line['id']"
t-att-data-res-model="res_model"
class="o_account_financial_reports_web_action"
style="color: black;"
>
<!--## We don't use t-field because it throws an error on click -->
<t
t-esc="line['date']"
t-options="{'widget': 'date'}"
/>
</a>
</t>
<t t-if="not line['id']">
<a
class="o_account_financial_reports_web_action"
style="color: black;"
>
<!--## We don't use t-field because it throws an error on click -->
<t
t-esc="line['date']"
t-options="{'widget': 'date'}"
/>
</a>
</t>
</span>
</div>
<!--## move-->
<div class="act_as_cell left">
<t t-set="res_model" t-value="'account.move'" />
<t t-if="line['entry_id']">
<span>
<a
t-att-data-active-id="line['entry_id']"
t-att-data-res-model="res_model"
class="o_account_financial_reports_web_action"
style="color: black;"
>
<t t-raw="line['entry']" />
</a>
</span>
</t>
</div>
<!--## journal-->
<div class="act_as_cell left">
<t t-set="res_model" t-value="'account.journal'" />
<span>
<a
t-att-data-active-id="line['journal_id']"
t-att-data-res-model="res_model"
class="o_account_financial_reports_web_action"
style="color: black;"
>
<t
t-raw="o._get_atr_from_dict(line['journal_id'], journals_data, 'code')"
/>
</a>
</span>
</div>
<!--## account code-->
<div class="act_as_cell left">
<t t-set="res_model" t-value="'account.account'" />
<span>
<a
t-att-data-active-id="account['id']"
t-att-data-res-model="res_model"
class="o_account_financial_reports_web_action"
style="color: black;"
>
<t
t-raw="o._get_atr_from_dict(account['id'], accounts_data, 'code')"
/>
</a>
</span>
</div>
<!--## taxes-->
<div class="act_as_cell left">
<t t-if="taxes_data and line['tax_ids']">
<t t-foreach="line['tax_ids']" t-as="tax_id">
<span
t-esc="o._get_atr_from_dict(tax_id, taxes_data, 'amount')"
/>
<span
t-esc="o._get_atr_from_dict(tax_id, taxes_data, 'string')"
/>
</t>
</t>
</div>
<!--## partner-->
<div class="act_as_cell left">
<t t-set="res_model" t-value="'res.partner'" />
<span t-if="line['partner_id']">
<a
t-att-data-active-id="line['partner_id']"
t-att-data-res-model="res_model"
class="o_account_financial_reports_web_action"
style="color: black;"
>
<t t-raw="line['partner_name']" />
</a>
</span>
</div>
<!--## ref - label-->
<div class="act_as_cell left">
<t t-set="res_model" t-value="'account.move.line'" />
<t t-if="line['id']">
<span>
<a
t-att-data-active-id="line['id']"
t-att-data-res-model="res_model"
class="o_account_financial_reports_web_action"
style="color: black;"
>
<t t-raw="line['ref']" />
</a>
</span>
</t>
<t t-if="not line['id']">
<span>
<a
class="o_account_financial_reports_web_action"
style="color: black;"
>
<t t-raw="line['ref']" />
</a>
</span>
</t>
</div>
<!--## cost_center-->
<t t-if="show_cost_center">
<div class="act_as_cell left">
<t t-set="res_model" t-value="'account.analytic.account'" />
<span t-if="line.cost_center">
<a
t-att-data-active-id="line.move_line_id.analytic_account_id.id"
t-att-data-res-model="res_model"
class="o_account_financial_reports_web_action"
style="color: black;"
>
<t t-raw="line.cost_center" />
</a>
</span>
</div>
</t>
<t t-if="show_analytic_tags">
<!--## analytic tags-->
<div class="act_as_cell left">
<t t-if="line['tag_ids']">
<t t-foreach="line['tag_ids']" t-as="tag_id">
<span
t-esc="o._get_atr_from_dict(tag_id, tags_data, 'name')"
/>
</t>
</t>
</div>
</t>
<!--## matching_number-->
<div class="act_as_cell">
<t t-set="res_model" t-value="'account.full.reconcile'" />
<span t-if="line['rec_id']">
<a
t-att-data-active-id="line['rec_id']"
t-att-data-res-model="res_model"
class="o_account_financial_reports_web_action"
style="color: black;"
>
<t t-raw="line['rec_name']" />
</a>
</span>
</div>
<!--## debit-->
<div class="act_as_cell amount">
<t t-set="res_model" t-value="'account.move.line'" />
<t t-if="line['id']">
<span>
<a
t-att-data-active-id="line['id']"
t-att-data-res-model="res_model"
class="o_account_financial_reports_web_action_monetary"
style="color: black;"
>
<t
t-raw="line['debit']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</a>
</span>
</t>
<t t-if="not line['id']">
<span>
<a
class="o_account_financial_reports_web_action_monetary"
style="color: black;"
>
<t
t-raw="line['debit']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</a>
</span>
</t>
</div>
<!--## credit-->
<div class="act_as_cell amount">
<t t-set="res_model" t-value="'account.move.line'" />
<t t-if="line['id']">
<span>
<a
t-att-data-active-id="line['id']"
t-att-data-res-model="res_model"
class="o_account_financial_reports_web_action_monetary"
style="color: black;"
>
<t
t-raw="line['credit']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</a>
</span>
</t>
<t t-if="not line['id']">
<span>
<a
class="o_account_financial_reports_web_action_monetary"
style="color: black;"
>
<t
t-raw="line['credit']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</a>
</span>
</t>
</div>
<!--## balance cumulated-->
<div class="act_as_cell amount">
<t t-set="res_model" t-value="'account.move.line'" />
<t t-if="line['id']">
<span>
<a
t-att-data-active-id="line['id']"
t-att-data-res-model="res_model"
class="o_account_financial_reports_web_action_monetary"
style="color: black;"
>
<t
t-raw="line['balance']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</a>
</span>
</t>
<t t-if="not line['id']">
<span>
<a
class="o_account_financial_reports_web_action_monetary"
style="color: black;"
>
<t
t-raw="line['balance']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</a>
</span>
</t>
</div>
<t t-if="foreign_currency">
<t t-if="line['currency_id']">
<!--## currency_name-->
<div class="act_as_cell amount" style="width: 2.08%;">
<span t-esc="line['currency_id'][1]" />
</div>
<!--## amount_currency-->
<div class="act_as_cell amount" style="width: 5.19%;">
<t t-set="res_model" t-value="'account.move.line'" />
<span>
<a
t-att-data-active-id="line['id']"
t-att-data-res-model="res_model"
class="o_account_financial_reports_web_action"
style="color: black;"
>
<t t-raw="line['bal_curr']" />
</a>
</span>
</div>
</t>
<t t-if="not line['currency_id']">
<!--## currency_name-->
<div class="act_as_cell amount" style="width: 2.08%;" />
<!--## amount_currency-->
<div class="act_as_cell amount" style="width: 5.19%;" />
</t>
</t>
</div>
</t>
</div>
</template>
<template id="account_financial_report.report_general_ledger_ending_cumul">
<!-- Display ending balance line for account or partner -->
<div class="act_as_table list_table" style="width: 100%;">
<div class="act_as_row labels" style="font-weight: bold;">
<!--## date-->
<t t-if='type == "account_type"'>
<div class="act_as_cell first_column" style="width: 41.32%;"><span
t-esc="o._get_atr_from_dict(account['id'], accounts_data, 'code')"
/> - <span
t-esc="o._get_atr_from_dict(account['id'], accounts_data, 'name')"
/></div>
<div
class="act_as_cell right"
style="width: 22.9%;"
>Ending balance</div>
</t>
<t t-if='type == "partner_type"'>
<div class="act_as_cell first_column" style="width: 41.32%;" />
<div
class="act_as_cell right"
style="width: 22.9%;"
>Partner ending balance</div>
</t>
<t t-if="show_cost_center">
<!--## cost_center-->
<div class="act_as_cell" style="width: 8.03%" />
</t>
<t t-if="show_analytic_tags">
<!--## analytic tags-->
<div class="act_as_cell" style="width: 4.75%;" />
</t>
<!--## matching_number-->
<div class="act_as_cell" style="width: 2.41%;" />
<!--## debit-->
<div class="act_as_cell amount" style="width: 6.02%;">
<span
t-esc="account_or_partner_object['fin_bal']['debit']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## credit-->
<div class="act_as_cell amount" style="width: 6.02%;">
<span
t-esc="account_or_partner_object['fin_bal']['credit']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## balance cumulated-->
<div class="act_as_cell amount" style="width: 6.02%;">
<span
t-esc="account_or_partner_object['fin_bal']['balance']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## currency_name + amount_currency-->
<t t-if="foreign_currency">
<t
t-if="o._get_atr_from_dict(account['id'], accounts_data, 'currency_id')"
>
<div class="act_as_cell amount" style="width: 2.08%;">
<span
t-field="o._get_atr_from_dict(account['id'], accounts_data, 'currency_name')"
/>
</div>
<div class="act_as_cell amount" style="width: 5.19%;">
<t t-if="type == 'account_type'">
<t
t-set="domain"
t-value="[('account_id', '=', account['id']),
('date', '&lt;', date_from)]"
/>
<span>
<a
t-att-data-domain="domain"
t-att-data-res-model="'account.move.line'"
class="o_account_financial_reports_web_action_monetary_multi"
style="color: black;"
>
<t
t-raw="account_or_partner_object['fin_bal']['bal_curr']"
t-options="{'widget': 'monetary', 'display_currency': account_or_partner_object.account_id.currency_id}"
/>
</a>
</span>
</t>
<t t-if="type == 'partner_type'">
<t
t-set="domain"
t-value="[('account_id', '=', account['id']),
('partner_id', '=', partner['id']),
('date', '&lt;', date_from)]"
/>
<span>
<a
t-att-data-domain="domain"
t-att-data-res-model="'account.move.line'"
class="o_account_financial_reports_web_action_monetary_multi"
style="color: black;"
>
<t
t-raw="account_or_partner_object['fin_bal']['bal_curr']"
t-options="{'widget': 'monetary', 'display_currency': account_or_partner_object.report_account_id.currency_id}"
/>
</a>
</span>
</t>
</div>
</t>
<t
t-if="not o._get_atr_from_dict(account['id'], accounts_data, 'currency_id')"
>
<div class="act_as_cell amount" style="width: 2.08%;" />
<div class="act_as_cell amount" style="width: 5.19%;" />
</t>
</t>
</div>
</div>
</template>
</odoo>

491
account_financial_report/report/templates/journal_ledger.xml

@ -0,0 +1,491 @@
<?xml version="1.0" encoding="utf-8" ?>
<!-- Copyright 2018 Eficent Business and IT Consulting Services S.L.
License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl). -->
<odoo>
<template id="journal_ledger">
<t t-call="web.html_container">
<t t-foreach="docs" t-as="o">
<t t-call="account_financial_report.internal_layout">
<t t-call="account_financial_report.report_journal_ledger_base" />
</t>
</t>
</t>
</template>
<template id="report_journal_ledger_base">
<t t-set="display_currency" t-value="foreign_currency" />
<t t-set="display_account_name" t-value="with_account_name" />
<t t-set="title">Journal Ledger - <t t-raw="company_name" /> - <t
t-raw="currency_name"
/></t>
<t t-set="company_name" t-value="Company_Name" />
<div class="page">
<div class="row">
<h4
class="mt0"
t-esc="title or 'Odoo Report'"
style="text-align: center;"
/>
</div>
<t t-if="group_option == 'none'">
<div class="page_break">
<t t-call="account_financial_report.report_journal_all" />
<br />
<t t-call="account_financial_report.report_journal_all_taxes" />
</div>
</t>
<t t-if="group_option == 'journal'">
<t t-foreach="Journal_Ledgers" t-as="journal">
<div class="page_break">
<t
t-call="account_financial_report.report_journal_ledger_journal"
/>
<br />
<t
t-call="account_financial_report.report_journal_ledger_journal_taxes"
/>
<br />
</div>
</t>
</t>
</div>
</template>
<template id="account_financial_report.report_journal_all">
<div class="act_as_table list_table" style="margin-top: 10px;" />
<div class="act_as_table data_table" style="width: 100%;">
<t
t-call="account_financial_report.report_journal_ledger_journal_table_header"
/>
<t t-foreach="Moves" t-as="move">
<t t-call="account_financial_report.report_journal_move" />
</t>
</div>
</template>
<template id="account_financial_report.report_journal_ledger_journal">
<div class="act_as_table list_table" style="margin-top: 10px;" />
<div class="act_as_caption account_title" style="width: 100%;">
<span t-esc="journal['name']" /> (<span
t-esc="journal['currency_name']"
/>) - <span t-esc="date_from" t-options="{'widget': 'date'}" /> to <span
t-esc="date_to"
t-options="{'widget': 'date'}"
/> - <span t-esc="move_target" /> Moves
</div>
<div class="act_as_table data_table" style="width: 100%;">
<t
t-call="account_financial_report.report_journal_ledger_journal_table_header"
/>
<t
t-call="account_financial_report.report_journal_ledger_journal_first_line"
/>
<t t-foreach="journal['report_moves']" t-as="move">
<t t-call="account_financial_report.report_journal_move" />
</t>
</div>
</template>
<template id="account_financial_report.report_journal_ledger_journal_table_header">
<t t-if="not display_account_name">
<t t-set="account_column_style">
width: 8.11%;
</t>
<t t-set="label_column_style">
width: 38.92%;
</t>
</t>
<t t-else="">
<t t-set="account_column_style">
width: 23.78%;
</t>
<t t-set="label_column_style">
width: 23.24%;
</t>
</t>
<div class="act_as_thead">
<div class="act_as_row labels">
<div
class="act_as_cell first_column"
name="entry"
style="width: 7.57%;"
>
Entry
</div>
<div class="act_as_cell" name="date" style="width: 5.41%;">
Date
</div>
<div
class="act_as_cell"
name="account"
t-att-style="account_column_style"
>
Account
</div>
<div class="act_as_cell" name="partner" style="width: 15.14%;">
Partner
</div>
<div class="act_as_cell" name="label" t-att-style="label_column_style">
Ref - Label
</div>
<div class="act_as_cell" name="taxes" style="width: 7.57%;">
Taxes
</div>
<div class="act_as_cell" name="debit" style="width: 8.65%;">
Debit
</div>
<div class="act_as_cell" name="credit" style="width: 8.65%;">
Credit
</div>
<t t-if="display_currency">
<div class="act_as_cell" name="currency_name" style="width: 2.16%;">
Cur.
</div>
<div
class="act_as_cell"
name="amount_currency"
style="width: 6.49%;"
>
Amount Cur.
</div>
</t>
</div>
</div>
</template>
<template id="account_financial_report.report_journal_ledger_journal_first_line">
<div class="act_as_row lines">
<div class="act_as_cell" name="entry" />
<div class="act_as_cell" name="date" />
<div class="act_as_cell" name="account" />
<div class="act_as_cell" name="partner" />
<div class="act_as_cell" name="label" />
<div class="act_as_cell" name="taxes" />
<div class="act_as_cell amount" name="debit">
<b>
<span
t-esc="journal['debit']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</b>
</div>
<div class="act_as_cell amount" name="credit">
<b>
<span
t-esc="journal['credit']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</b>
</div>
<t t-if="display_currency">
<div class="act_as_cell" name="currency_name">
</div>
<div class="act_as_cell amount" name="amount_currency">
</div>
</t>
</div>
<div style="width: 100%" />
</template>
<template id="account_financial_report.report_journal_move">
<t t-set="display_move_info" t-value="True" />
<t t-set="last_partner" t-eval="None" />
<t t-set="display_partner" t-eval="True" />
<t t-foreach="move['report_move_lines']" t-as="move_line">
<div class="act_as_row lines">
<t
t-set="current_partner"
t-value="o._get_partner_name(move_line['partner_id'], partner_ids_data)"
/>
<t t-set="display_partner" t-value="current_partner != last_partner" />
<t t-call="account_financial_report.report_journal_move_line" />
<t t-set="last_partner" t-value="current_partner" />
<t t-set="display_move_info" t-value="False" />
</div>
</t>
</template>
<template id="account_financial_report.report_journal_move_line">
<div class="act_as_cell left" name="entry">
<t t-set="res_model" t-value="'account.move'" />
<span t-if="display_move_info">
<a
t-att-data-active-id="move_line['move_id']"
t-att-data-res-model="res_model"
class="o_account_financial_reports_web_action"
style="color: black;"
>
<t
t-esc="o._get_atr_from_dict(move_line['move_id'], move_ids_data, 'entry')"
/>
</a>
</span>
</div>
<div class="act_as_cell left" name="date">
<span
t-if="display_move_info"
t-esc="move_line['date']"
t-options="{'widget': 'date'}"
/>
</div>
<div class="act_as_cell left" name="account">
<span
t-esc="o._get_atr_from_dict(move_line['account_id'], account_ids_data, 'code')"
/>
<span t-if="display_account_name">
- <span
t-esc="o._get_atr_from_dict(move_line['account_id'], account_ids_data, 'name')"
/>
</span>
</div>
<div class="act_as_cell left" name="partner">
<span
t-if="display_partner"
t-esc="o._get_partner_name(move_line['partner_id'], partner_ids_data)"
/>
</div>
<div class="act_as_cell left" name="label">
<span t-if="move_line['label']" t-esc="move_line['label']" />
<span t-if="not move_line['label']">/</span>
</div>
<div class="act_as_cell left" name="taxes">
<t
t-set="tax_line_dat"
t-value="o._get_data_from_dict(move_line['tax_line_id'], tax_line_data)"
/>
<t
t-set="move_line_ids_taxes_dat"
t-value="o._get_data_from_dict(move_line['move_line_id'], move_line_ids_taxes_data)"
/>
<span
t-esc="o._get_ml_tax_description(move_line, tax_line_dat, move_line_ids_taxes_dat)"
/>
</div>
<div class="act_as_cell amount" name="debit">
<t t-if="move_line['debit']">
<span
t-esc="move_line['debit']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</t>
</div>
<div class="act_as_cell amount" name="credit">
<t t-if="move_line['credit']">
<span
t-esc="move_line['credit']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</t>
</div>
<t t-if="display_currency">
<div class="act_as_cell" name="currency_name">
<t t-if="move_line['currency_id']">
<span t-esc="currency_ids_data.get(move_line['currency_id'], '')" />
</t>
</div>
<div class="act_as_cell amount" name="amount_currency">
<t
t-if="move_line['amount_currency']"
t-options="{'widget': 'float', 'precision': 2}"
>
<span
t-esc="move_line['amount_currency']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</t>
</div>
</t>
</template>
<template id="account_financial_report.report_journal_ledger_journal_taxes">
<b>Taxes summary</b>
<div class="act_as_table data_table" style="width: 100%;">
<div class="act_as_thead">
<div class="act_as_row labels">
<div
class="act_as_cell first_column"
name="name"
style="width: 30.97%;"
>
Name
</div>
<div class="act_as_cell" name="description" style="width: 13.27%;">
Description
</div>
<div class="act_as_cell" name="base_amount" style="width: 27.88%;">
Base Amount
</div>
<div class="act_as_cell" name="tax_amount" style="width: 27.88%;">
Tax Amount
</div>
</div>
</div>
</div>
<div class="act_as_table data_table" style="width: 100%;">
<div class="act_as_row labels">
<div
class="act_as_cell first_column"
name="name"
style="width: 30.97%;"
/>
<div class="act_as_cell" name="description" style="width: 13.27%;" />
<div class="act_as_cell" name="base_debit" style="width: 9.29%;">
Debit
</div>
<div class="act_as_cell" name="base_credit" style="width: 9.29%;">
Credit
</div>
<div class="act_as_cell" name="base_balance" style="width: 9.29%;">
Balance
</div>
<div class="act_as_cell" name="tax_debit" style="width: 9.29%;">
Debit
</div>
<div class="act_as_cell" name="tax_credit" style="width: 9.29%;">
Credit
</div>
<div class="act_as_cell" name="tax_balance" style="width: 9.29%;">
Balance
</div>
</div>
<t t-foreach="journal['tax_lines']" t-as="tax_line">
<div class="act_as_row lines">
<div class="act_as_cell left" name="tax_name">
<span t-esc="tax_line['tax_name']" />
</div>
<div class="act_as_cell left" name="tax_code">
<span t-esc="tax_line['tax_code']" />
</div>
<div class="act_as_cell amount" name="base_debit">
<span
t-esc="tax_line['base_debit']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</div>
<div class="act_as_cell amount" name="base_credit">
<span
t-esc="tax_line['base_credit']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</div>
<div class="act_as_cell amount" name="base_balance">
<span
t-esc="tax_line['base_balance']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</div>
<div class="act_as_cell amount" name="tax_debit">
<span
t-esc="tax_line['tax_debit']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</div>
<div class="act_as_cell amount" name="tax_credit">
<span
t-esc="tax_line['tax_credit']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</div>
<div class="act_as_cell amount" name="tax_balance">
<span
t-esc="tax_line['tax_balance']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</div>
</div>
</t>
</div>
</template>
<template id="account_financial_report.report_journal_all_taxes">
<b>Taxes summary</b>
<div class="act_as_table data_table" style="width: 100%;">
<div class="act_as_thead">
<div class="act_as_row labels">
<div
class="act_as_cell first_column"
name="name"
style="width: 30.97%;"
>
Name
</div>
<div class="act_as_cell" name="description" style="width: 13.27%;">
Description
</div>
<div class="act_as_cell" name="base_amount" style="width: 27.88%;">
Base Amount
</div>
<div class="act_as_cell" name="tax_amount" style="width: 27.88%;">
Tax Amount
</div>
</div>
</div>
</div>
<div class="act_as_table data_table" style="width: 100%;">10
<div class="act_as_row labels">
<div
class="act_as_cell first_column"
name="name"
style="width: 30.97%;"
/>
<div class="act_as_cell" name="description" style="width: 13.27%;" />
<div class="act_as_cell" name="base_debit" style="width: 9.29%;">
Debit
</div>
<div class="act_as_cell" name="base_credit" style="width: 9.29%;">
Credit
</div>
<div class="act_as_cell" name="base_balance" style="width: 9.29%;">
Balance
</div>
<div class="act_as_cell" name="tax_debit" style="width: 9.29%;">
Debit
</div>
<div class="act_as_cell" name="tax_credit" style="width: 9.29%;">
Credit
</div>
<div class="act_as_cell" name="tax_balance" style="width: 9.29%;">
Balance
</div>
</div>
<t t-foreach="ReportTaxLines" t-as="tax_line">
<div class="act_as_row lines">
<div class="act_as_cell left" name="tax_name">
<span t-esc="tax_line['tax_name']" />
</div>
<div class="act_as_cell left" name="tax_code">
<span t-esc="tax_line['tax_code']" />
</div>
<div class="act_as_cell amount" name="base_debit">
<span
t-esc="tax_line['base_debit']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</div>
<div class="act_as_cell amount" name="base_credit">
<span
t-esc="tax_line['base_credit']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</div>
<div class="act_as_cell amount" name="base_balance">
<span
t-esc="tax_line['base_balance']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</div>
<div class="act_as_cell amount" name="tax_debit">
<span
t-esc="tax_line['tax_debit']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</div>
<div class="act_as_cell amount" name="tax_credit">
<span
t-esc="tax_line['tax_credit']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</div>
<div class="act_as_cell amount" name="tax_balance">
<span
t-esc="tax_line['tax_balance']"
t-options="{'widget': 'float', 'precision': 2}"
/>
</div>
</div>
</t>
</div>
</template>
</odoo>

32
account_financial_report/report/templates/layouts.xml

@ -0,0 +1,32 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<template id="account_financial_report.internal_layout">
<div class="article">
<link
href="/account_financial_report/static/src/css/report.css"
rel="stylesheet"
/>
<t t-raw="0" />
</div>
<div class="footer">
<div class="row">
<div class="col-6 custom_footer">
<span
t-esc="context_timestamp(datetime.datetime.now()).strftime('%Y-%m-%d %H:%M')"
/>
</div>
<div class="col-6 text-right custom_footer">
<ul class="list-inline">
<li class="list-inline-item">
<span class="page" />
</li>
<li class="list-inline-item">/</li>
<li class="list-inline-item">
<span class="topage" />
</li>
</ul>
</div>
</div>
</div>
</template>
</odoo>

286
account_financial_report/report/templates/open_items.xml

@ -0,0 +1,286 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<template id="open_items">
<t t-call="web.html_container">
<t t-foreach="docs" t-as="o">
<t t-call="account_financial_report.internal_layout">
<t t-call="account_financial_report.report_open_items_base" />
</t>
</t>
</t>
</template>
<template id="account_financial_report.report_open_items_base">
<!-- Saved flag fields into variables, used to define columns display -->
<t t-set="foreign_currency" t-value="foreign_currency" />
<!-- Defines global variables used by internal layout -->
<t t-set="title">Open Items - <t t-raw="company_name" /> - <t
t-raw="currency_name"
/></t>
<t t-set="company_name" t-value="Company_Name" />
<div class="page">
<div class="row">
<h4
class="mt0"
t-esc="title or 'Odoo Report'"
style="text-align: center;"
/>
</div>
<!-- Display filters -->
<t t-call="account_financial_report.report_open_items_filters" />
<t t-foreach="Open_Items.keys()" t-as="account_id">
<div class="page_break">
<!-- Display account header -->
<div class="act_as_table list_table" style="margin-top: 10px;" />
<div class="account_title" style="width: 100%;">
<span t-esc="accounts_data[account_id]['code']" />
-
<span t-esc="accounts_data[account_id]['name']" />
</div>
<!-- Display account partners -->
<t t-foreach="Open_Items[account_id]" t-as="partner_id">
<div class="page_break">
<!-- Display partner header -->
<div class="act_as_caption account_title">
<span t-esc="partners_data[partner_id]['name']" />
</div>
<!-- Display partner move lines -->
<t
t-call="account_financial_report.report_open_items_lines"
/>
<!-- Display partner footer -->
<t
t-call="account_financial_report.report_open_items_ending_cumul"
>
<t
t-set="account_or_partner_id"
t-value="partners_data[partner_id]"
/>
<t
t-set="currency_id"
t-value="accounts_data[account_id]['currency_name']"
/>
<t t-set="type" t-value='"partner_type"' />
</t>
</div>
</t>
<!-- Display account footer -->
<t t-call="account_financial_report.report_open_items_ending_cumul">
<t
t-set="account_or_partner_id"
t-value="accounts_data[account_id]"
/>
<t
t-set="currency_id"
t-value="accounts_data[account_id]['currency_name']"
/>
<t t-set="type" t-value='"account_type"' />
</t>
</div>
</t>
</div>
</template>
<template id="account_financial_report.report_open_items_filters">
<div class="act_as_table data_table" style="width: 100%;">
<div class="act_as_row labels">
<div class="act_as_cell">Date at filter</div>
<div class="act_as_cell">Target moves filter</div>
<div class="act_as_cell">Account balance at 0 filter</div>
</div>
<div class="act_as_row">
<div class="act_as_cell">
<span t-esc="date_at" />
</div>
<div class="act_as_cell">
<t t-if="target_move == 'posted'">All posted entries</t>
<t t-if="target_move == 'all'">All entries</t>
</div>
<div class="act_as_cell">
<t t-if="hide_account_at_0">Hide</t>
<t t-if="not hide_account_at_0">Show</t>
</div>
</div>
</div>
</template>
<template id="account_financial_report.report_open_items_lines">
<div class="act_as_table data_table" style="width: 100%;">
<!-- Display table headers for lines -->
<div class="act_as_thead">
<div class="act_as_row labels">
<!--## date-->
<div class="act_as_cell first_column" style="width: 5.51%;">
Date</div>
<!--## move-->
<div class="act_as_cell" style="width: 9.76%;">Entry</div>
<!--## journal-->
<div class="act_as_cell" style="width: 4.78%;">Journal</div>
<!--## account code-->
<div class="act_as_cell" style="width: 5.38%;">Account</div>
<!--## partner-->
<div class="act_as_cell" style="width: 15.07%;">Partner
</div>
<!--## ref - label-->
<div class="act_as_cell" style="width: 24.5%;">Ref -
Label</div>
<!--## date_due-->
<div class="act_as_cell" style="width: 6.47%;">Due
date</div>
<!--## amount_total_due-->
<div class="act_as_cell" style="width: 6.57%;">Original
</div>
<!--## amount_residual-->
<div class="act_as_cell" style="width: 6.57%;">Residual</div>
<t t-if="foreign_currency">
<!--## currency_name-->
<div class="act_as_cell" style="width: 2.25%;">Cur.</div>
<!--## amount_total_due_currency-->
<div
class="act_as_cell amount"
style="width: 6.57%;"
>Cur. Original</div>
<!--## amount_residual_currency-->
<div
class="act_as_cell amount"
style="width: 6.57%;"
>Cur. Residual</div>
</t>
</div>
</div>
<!-- Display each lines -->
<t t-foreach="Open_Items[account_id][partner_id]" t-as="line">
<!-- # lines or centralized lines -->
<div class="act_as_row lines">
<!--## date-->
<div class="act_as_cell left">
<span t-raw="line['date']" />
</div>
<!--## move-->
<div class="act_as_cell left">
<t t-set="res_model" t-value="'account.move'" />
<span>
<a
t-att-data-active-id="line['move_id']"
t-att-data-res-model="res_model"
class="o_account_financial_reports_web_action"
style="color: black;"
>
<t t-esc="line['move_name']" />
</a>
</span>
</div>
<!--## journal-->
<div class="act_as_cell left">
<span t-esc="line['journal']" />
</div>
<!--## account code-->
<div class="act_as_cell left">
<span t-esc="line['account']" />
</div>
<!--## partner-->
<div class="act_as_cell left">
<!-- <span t-if="line.get('partner_id', False)" t-esc="line['partner_id']"/>-->
<span t-esc="line['partner_name']" />
</div>
<!--## ref - label-->
<div class="act_as_cell left">
<span t-esc="line['ref']" />
</div>
<!--## date_due-->
<div class="act_as_cell left">
<span t-esc="line['date_maturity']" />
</div>
<!--## amount_total_due-->
<div class="act_as_cell amount">
<span
t-if="line.get('original', False)"
t-esc="line['original']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<!--## amount_residual-->
<div class="act_as_cell amount">
<span
t-esc="line['amount_residual']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</div>
<t t-if="foreign_currency">
<t t-if="line['currency_id']">
<!--## currency_name-->
<div class="act_as_cell amount">
<span t-esc="line['currency_name']" />
</div>
<!--## amount_total_due_currency-->
<div class="act_as_cell amount">
<span t-esc="line['amount_currency']" />
</div>
<!--## amount_residual_currency-->
<div class="act_as_cell amount">
<span t-esc="line['amount_residual_currency']" />
</div>
</t>
<t t-if="not line['currency_id']">
<!--## currency_name-->
<div class="act_as_cell" />
<!--## amount_total_due_currency-->
<div class="act_as_cell" />
<!--## amount_residual_currency-->
<div class="act_as_cell" />
</t>
</t>
</div>
</t>
</div>
</template>
<template id="account_financial_report.report_open_items_ending_cumul">
<!-- Display ending balance line for account or partner -->
<div class="act_as_table list_table" style="width: 100%;">
<div class="act_as_row labels" style="font-weight: bold;">
<!--## date-->
<t t-if='type == "account_type"'>
<div class="act_as_cell first_column" style="width: 36.34%;">
<span t-esc="accounts_data[account_id]['code']" />
-
<span t-esc="accounts_data[account_id]['name']" />
</div>
<div class="act_as_cell right" style="width: 28.66%;">Ending
balance</div>
</t>
<t t-if='type == "partner_type"'>
<div class="act_as_cell first_column" style="width: 36.34%;" />
<div
class="act_as_cell right"
style="width: 28.66%;"
>Partner ending balance</div>
</t>
<!--## date_due-->
<div class="act_as_cell" style="width: 6.47%;" />
<!--## amount_total_due-->
<div class="act_as_cell amount" style="width: 6.57%;" />
<!--## amount_currency-->
<div class="act_as_cell amount" style="width: 6.57%;">
<t t-if='type == "account_type"'>
<span
t-esc="total_amount[account_id]['residual']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</t>
<t t-if='type == "partner_type"'>
<span
t-esc="total_amount[account_id][partner_id]['residual']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
</t>
</div>
<!--## amount_total_due_currency + amount_residual_currency -->
<t t-if="foreign_currency">
<!--## currency_name-->
<div class="act_as_cell" />
<!--## amount_total_due_currency-->
<div class="act_as_cell" />
<!--## amount_residual_currency-->
<div class="act_as_cell" />
</t>
</div>
</div>
</template>
</odoo>

1003
account_financial_report/report/templates/trial_balance.xml
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193
account_financial_report/report/templates/vat_report.xml

@ -0,0 +1,193 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<template id="vat_report">
<t t-call="web.html_container">
<t t-foreach="docs" t-as="o">
<t t-call="account_financial_report.internal_layout">
<t t-call="account_financial_report.report_vat_report_base" />
</t>
</t>
</t>
</template>
<template id="account_financial_report.report_vat_report_base">
<t t-set="title">VAT Report - <t t-raw="company_name" /> - <t
t-raw="currency_name"
/></t>
<t t-set="company_name" t-value="company_name" />
<div class="page">
<div class="row">
<h4
class="mt0"
t-esc="title or 'Odoo Report'"
style="text-align: center;"
/>
</div>
<!-- Display filters -->
<t t-call="account_financial_report.report_vat_report_filters" />
<div class="page_break" />
<div class="act_as_table data_table" style="width: 100%;">
<!-- Display table headers for lines -->
<div class="act_as_thead">
<div class="act_as_row labels">
<!--## code-->
<div
class="act_as_cell first_column"
style="width: 5%;"
>Code</div>
<!--## name-->
<div class="act_as_cell" style="width: 65%;">Name</div>
<!--## net-->
<div class="act_as_cell" style="width: 15%;">Net</div>
<!--## tax-->
<div class="act_as_cell" style="width: 15%;">Tax</div>
</div>
</div>
<t t-foreach="vat_report" t-as="tag_or_group">
<div class="act_as_row lines" style="font-weight: bold;">
<div
class="act_as_cell left oe_tooltip_string"
style="width: 5%;"
>
<!-- <span>-->
<!-- <a t-att-data-active-id="res_id"-->
<!-- t-att-data-res-model="res_model"-->
<!-- class="o_account_financial_reports_web_action"-->
<!-- t-att-style="style">-->
<t t-att-style="style" t-raw="tag_or_group['code']" />
<!-- </a>-->
<!-- </span>-->
</div>
<div
class="act_as_cell left oe_tooltip_string"
style="width: 65%;"
>
<!-- <span>-->
<!-- <a t-att-data-active-id="res_id"-->
<!-- t-att-data-res-model="res_model"-->
<!-- class="o_account_financial_reports_web_action"-->
<!-- t-att-style="style">-->
<t t-att-style="style" t-raw="tag_or_group['name']" />
<!-- </a>-->
<!-- </span>-->
</div>
<div class="act_as_cell amount" style="width: 15%;">
<!-- <t t-set="domain"-->
<!-- t-value="[('tax_ids', 'in', [tax.tax_id.id for tax in tag.tax_ids]),-->
<!-- ('date', '&gt;=', o.date_from),-->
<!-- ('date', '&lt;=', o.date_to)]"/>-->
<!-- <span>-->
<!-- <a t-att-data-domain="domain"-->
<!-- t-att-data-res-model="'account.move.line'"-->
<!-- class="o_account_financial_reports_web_action_multi"-->
<!-- t-att-style="style">-->
<t
t-att-style="style"
t-raw="tag_or_group['net']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
<!-- </a>-->
<!-- </span>-->
</div>
<div class="act_as_cell amount" style="width: 15%;">
<!-- <t t-set="domain"-->
<!-- t-value="[('tax_line_id', 'in', [tax.tax_id.id for tax in tag.tax_ids]),-->
<!-- ('date', '&gt;=', o.date_from),-->
<!-- ('date', '&lt;=', o.date_to),-->
<!-- ('tax_exigible', '=', True)]"/>-->
<!-- <span>-->
<!-- <a t-att-data-domain="domain"-->
<!-- t-att-data-res-model="'account.move.line'"-->
<!-- class="o_account_financial_reports_web_action_multi"-->
<!-- t-att-style="style">-->
<t
t-att-style="style"
t-raw="tag_or_group['tax']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
<!-- </a>-->
<!-- </span>-->
</div>
</div>
<t t-if="tax_detail">
<t t-foreach="tag_or_group['taxes']" t-as="tax">
<div class="act_as_row lines">
<div class="act_as_cell" style="width: 5%;" />
<div
class="act_as_cell left oe_tooltip_string"
style="padding-left: 20px; width: 65%;"
>
<!-- <span>-->
<!-- <a t-att-data-active-id="tax.tax_id.id"-->
<!-- t-att-data-res-model="res_model"-->
<!-- class="o_account_financial_reports_web_action"-->
<!-- t-att-style="style">-->
<t t-att-style="style" t-raw="tax['name']" />
<!-- </a>-->
<!-- </span>-->
</div>
<div class="act_as_cell amount" style="width: 15%;">
<!-- <t t-set="domain"-->
<!-- t-value="[('tax_ids', 'in', tax.tax_id.ids),-->
<!-- ('date', '&gt;=', o.date_from),-->
<!-- ('date', '&lt;=', o.date_to),-->
<!-- ('tax_exigible', '=', True)]"/>-->
<!-- <span>-->
<!-- <a t-att-data-domain="domain"-->
<!-- t-att-data-res-model="'account.move.line'"-->
<!-- class="o_account_financial_reports_web_action_multi"-->
<!-- t-att-style="style">-->
<t
t-att-style="style"
t-raw="tax['net']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
<!-- </a>-->
<!-- </span>-->
</div>
<div class="act_as_cell amount" style="width: 15%;">
<!-- <t t-set="domain"-->
<!-- t-value="[('tax_line_id', '=', tax.tax_id.id),-->
<!-- ('date', '&gt;=', o.date_from),-->
<!-- ('date', '&lt;=', o.date_to),-->
<!-- ('tax_exigible', '=', True)]"/>-->
<!-- <span>-->
<!-- <a t-att-data-domain="domain"-->
<!-- t-att-data-res-model="'account.move.line'"-->
<!-- class="o_account_financial_reports_web_action_multi"-->
<!-- t-att-style="style">-->
<t
t-att-style="style"
t-raw="tax['tax']"
t-options="{'widget': 'monetary', 'display_currency': res_company.currency_id}"
/>
<!-- </a>-->
<!-- </span>-->
</div>
</div>
</t>
</t>
</t>
</div>
</div>
</template>
<template id="account_financial_report.report_vat_report_filters">
<div class="act_as_table data_table" style="width: 100%;">
<div class="act_as_row labels">
<div class="act_as_cell">Date From</div>
<div class="act_as_cell">Date To</div>
<div class="act_as_cell">Based On</div>
</div>
<div class="act_as_row">
<div class="act_as_cell">
<span t-esc="date_from" />
</div>
<div class="act_as_cell">
<span t-esc="date_to" />
</div>
<div class="act_as_cell">
<span t-esc="based_on" />
</div>
</div>
</div>
</template>
</odoo>

727
account_financial_report/report/trial_balance.py

@ -0,0 +1,727 @@
# © 2016 Julien Coux (Camptocamp)
# © 2018 Forest and Biomass Romania SA
# Copyright 2020 ForgeFlow S.L. (https://www.forgeflow.com)
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from operator import itemgetter
from odoo import api, models
class TrialBalanceReport(models.AbstractModel):
_name = "report.account_financial_report.trial_balance"
_description = "Trial Balance Report"
@api.model
def get_html(self, given_context=None):
return self._get_html()
def _get_html(self):
result = {}
rcontext = {}
context = dict(self.env.context)
rcontext.update(context.get("data"))
active_id = context.get("active_id")
wiz = self.env["open.items.report.wizard"].browse(active_id)
rcontext["o"] = wiz
result["html"] = self.env.ref(
"account_financial_report.report_trial_balance"
).render(rcontext)
return result
def _get_accounts_data(self, account_ids):
accounts = self.env["account.account"].browse(account_ids)
accounts_data = {}
for account in accounts:
accounts_data.update(
{
account.id: {
"id": account.id,
"code": account.code,
"name": account.name,
"group_id": account.group_id.id,
"hide_account": False,
"currency_id": account.currency_id or False,
"currency_name": account.currency_id.name,
}
}
)
return accounts_data
def _get_initial_balances_bs_ml_domain(
self,
account_ids,
journal_ids,
partner_ids,
company_id,
date_from,
only_posted_moves,
show_partner_details,
):
accounts_domain = [
("company_id", "=", company_id),
("user_type_id.include_initial_balance", "=", True),
]
if account_ids:
accounts_domain += [("id", "in", account_ids)]
domain = [("date", "<", date_from)]
accounts = self.env["account.account"].search(accounts_domain)
domain += [("account_id", "in", accounts.ids)]
if company_id:
domain += [("company_id", "=", company_id)]
if journal_ids:
domain += [("journal_id", "in", journal_ids)]
if partner_ids:
domain += [("partner_id", "in", partner_ids)]
if only_posted_moves:
domain += [("move_id.state", "=", "posted")]
if show_partner_details:
domain += [("account_id.internal_type", "in", ["receivable", "payable"])]
return domain
def _get_initial_balances_pl_ml_domain(
self,
account_ids,
journal_ids,
partner_ids,
company_id,
date_from,
only_posted_moves,
show_partner_details,
fy_start_date,
):
accounts_domain = [
("company_id", "=", company_id),
("user_type_id.include_initial_balance", "=", False),
]
if account_ids:
accounts_domain += [("id", "in", account_ids)]
domain = [("date", "<", date_from), ("date", ">=", fy_start_date)]
accounts = self.env["account.account"].search(accounts_domain)
domain += [("account_id", "in", accounts.ids)]
if company_id:
domain += [("company_id", "=", company_id)]
if journal_ids:
domain += [("journal_id", "in", journal_ids)]
if partner_ids:
domain += [("partner_id", "in", partner_ids)]
if only_posted_moves:
domain += [("move_id.state", "=", "posted")]
if show_partner_details:
domain += [("account_id.internal_type", "in", ["receivable", "payable"])]
return domain
@api.model
def _get_period_ml_domain(
self,
account_ids,
journal_ids,
partner_ids,
company_id,
date_to,
date_from,
only_posted_moves,
show_partner_details,
):
domain = ["&", ("date", ">=", date_from), ("date", "<=", date_to)]
if company_id:
domain += [("company_id", "=", company_id)]
if account_ids:
domain += [("account_id", "in", account_ids)]
if journal_ids:
domain += [("journal_id", "in", journal_ids)]
if partner_ids:
domain += [("partner_id", "in", partner_ids)]
if only_posted_moves:
domain += [("move_id.state", "=", "posted")]
if show_partner_details:
domain += [("account_id.internal_type", "in", ["receivable", "payable"])]
return domain
def _get_initial_balance_fy_pl_ml_domain(
self,
account_ids,
journal_ids,
partner_ids,
company_id,
fy_start_date,
only_posted_moves,
show_partner_details,
):
accounts_domain = [
("company_id", "=", company_id),
("user_type_id.include_initial_balance", "=", False),
]
if account_ids:
accounts_domain += [("id", "in", account_ids)]
domain = [("date", "<", fy_start_date)]
accounts = self.env["account.account"].search(accounts_domain)
domain += [("account_id", "in", accounts.ids)]
if company_id:
domain += [("company_id", "=", company_id)]
if journal_ids:
domain += [("journal_id", "in", journal_ids)]
if partner_ids:
domain += [("partner_id", "in", partner_ids)]
if only_posted_moves:
domain += [("move_id.state", "=", "posted")]
if show_partner_details:
domain += [("account_id.internal_type", "in", ["receivable", "payable"])]
return domain
def _get_pl_initial_balance(
self,
account_ids,
journal_ids,
partner_ids,
company_id,
fy_start_date,
only_posted_moves,
show_partner_details,
foreign_currency,
):
domain = self._get_initial_balance_fy_pl_ml_domain(
account_ids,
journal_ids,
partner_ids,
company_id,
fy_start_date,
only_posted_moves,
show_partner_details,
)
initial_balances = self.env["account.move.line"].read_group(
domain=domain,
fields=["account_id", "balance", "amount_currency"],
groupby=["account_id"],
)
pl_initial_balance = 0.0
pl_initial_currency_balance = 0.0
for initial_balance in initial_balances:
pl_initial_balance += initial_balance["balance"]
if foreign_currency:
pl_initial_currency_balance += initial_balance["amount_currency"]
return pl_initial_balance, pl_initial_currency_balance
# flake8: noqa: C901
def _get_data(
self,
account_ids,
journal_ids,
partner_ids,
company_id,
date_to,
date_from,
foreign_currency,
only_posted_moves,
show_partner_details,
hide_account_at_0,
unaffected_earnings_account,
fy_start_date,
):
initial_domain_bs = self._get_initial_balances_bs_ml_domain(
account_ids,
journal_ids,
partner_ids,
company_id,
date_from,
only_posted_moves,
show_partner_details,
)
tb_initial_acc_bs = self.env["account.move.line"].read_group(
domain=initial_domain_bs,
fields=["account_id", "balance", "amount_currency"],
groupby=["account_id"],
)
initial_domain_pl = self._get_initial_balances_pl_ml_domain(
account_ids,
journal_ids,
partner_ids,
company_id,
date_from,
only_posted_moves,
show_partner_details,
fy_start_date,
)
tb_initial_acc_pl = self.env["account.move.line"].read_group(
domain=initial_domain_pl,
fields=["account_id", "balance", "amount_currency"],
groupby=["account_id"],
)
tb_initial_acc = tb_initial_acc_bs + tb_initial_acc_pl
if hide_account_at_0:
tb_initial_acc = [p for p in tb_initial_acc if p["balance"] != 0]
period_domain = self._get_period_ml_domain(
account_ids,
journal_ids,
partner_ids,
company_id,
date_to,
date_from,
only_posted_moves,
show_partner_details,
)
tb_period_acc = self.env["account.move.line"].read_group(
domain=period_domain,
fields=["account_id", "debit", "credit", "balance", "amount_currency"],
groupby=["account_id"],
)
if show_partner_details:
tb_initial_prt_bs = self.env["account.move.line"].read_group(
domain=initial_domain_bs,
fields=["account_id", "partner_id", "balance", "amount_currency"],
groupby=["account_id", "partner_id"],
lazy=False,
)
tb_initial_prt_pl = self.env["account.move.line"].read_group(
domain=initial_domain_pl,
fields=["account_id", "partner_id", "balance", "amount_currency"],
groupby=["account_id", "partner_id"],
)
tb_initial_prt = tb_initial_prt_bs + tb_initial_prt_pl
if hide_account_at_0:
tb_initial_prt = [p for p in tb_initial_prt if p["balance"] != 0]
tb_period_prt = self.env["account.move.line"].read_group(
domain=period_domain,
fields=[
"account_id",
"partner_id",
"debit",
"credit",
"balance",
"amount_currency",
],
groupby=["account_id", "partner_id"],
lazy=False,
)
total_amount = {}
partners_data = []
for tb in tb_period_acc:
acc_id = tb["account_id"][0]
total_amount[acc_id] = {}
total_amount[acc_id]["credit"] = tb["credit"]
total_amount[acc_id]["debit"] = tb["debit"]
total_amount[acc_id]["balance"] = tb["balance"]
total_amount[acc_id]["initial_balance"] = 0.0
total_amount[acc_id]["ending_balance"] = tb["balance"]
if foreign_currency:
total_amount[acc_id]["initial_currency_balance"] = 0.0
total_amount[acc_id]["ending_currency_balance"] = tb["amount_currency"]
for tb in tb_initial_acc:
acc_id = tb["account_id"][0]
if acc_id not in total_amount.keys():
total_amount[acc_id] = {}
total_amount[acc_id]["credit"] = 0.0
total_amount[acc_id]["debit"] = 0.0
total_amount[acc_id]["balance"] = 0.0
total_amount[acc_id]["initial_balance"] = tb["balance"]
total_amount[acc_id]["ending_balance"] = tb["balance"]
if foreign_currency:
total_amount[acc_id]["initial_currency_balance"] = tb[
"amount_currency"
]
total_amount[acc_id]["ending_currency_balance"] = tb[
"amount_currency"
]
else:
total_amount[acc_id]["initial_balance"] = tb["balance"]
total_amount[acc_id]["ending_balance"] += tb["balance"]
if foreign_currency:
total_amount[acc_id]["initial_currency_balance"] = tb[
"amount_currency"
]
total_amount[acc_id]["ending_currency_balance"] += tb[
"amount_currency"
]
if show_partner_details:
partners_ids = set()
partners_data = {}
for tb in tb_period_prt:
acc_id = tb["account_id"][0]
if tb["partner_id"]:
prt_id = tb["partner_id"][0]
if tb["partner_id"] not in partners_ids:
partners_data.update(
{prt_id: {"id": prt_id, "name": tb["partner_id"][1]}}
)
total_amount[acc_id][prt_id] = {}
total_amount[acc_id][prt_id]["credit"] = tb["credit"]
total_amount[acc_id][prt_id]["debit"] = tb["debit"]
total_amount[acc_id][prt_id]["balance"] = tb["balance"]
total_amount[acc_id][prt_id]["initial_balance"] = 0.0
total_amount[acc_id][prt_id]["ending_balance"] = tb["balance"]
if foreign_currency:
total_amount[acc_id][prt_id]["initial_currency_balance"] = 0.0
total_amount[acc_id][prt_id]["ending_currency_balance"] = tb[
"amount_currency"
]
partners_ids.add(tb["partner_id"])
for tb in tb_initial_prt:
acc_id = tb["account_id"][0]
if tb["partner_id"]:
prt_id = tb["partner_id"][0]
if tb["partner_id"] not in partners_ids:
partners_data.update(
{prt_id: {"id": prt_id, "name": tb["partner_id"][1]}}
)
if acc_id not in total_amount.keys():
total_amount[acc_id][prt_id] = {}
total_amount[acc_id][prt_id]["credit"] = 0.0
total_amount[acc_id][prt_id]["debit"] = 0.0
total_amount[acc_id][prt_id]["balance"] = 0.0
total_amount[acc_id][prt_id]["initial_balance"] = tb["balance"]
total_amount[acc_id][prt_id]["ending_balance"] = tb["balance"]
if foreign_currency:
total_amount[acc_id][prt_id][
"initial_currency_balance"
] = tb["amount_currency"]
total_amount[acc_id][prt_id][
"ending_currency_balance"
] = tb["amount_currency"]
partners_ids.add(tb["partner_id"])
elif prt_id not in total_amount[acc_id].keys():
total_amount[acc_id][prt_id] = {}
total_amount[acc_id][prt_id]["credit"] = 0.0
total_amount[acc_id][prt_id]["debit"] = 0.0
total_amount[acc_id][prt_id]["balance"] = 0.0
total_amount[acc_id][prt_id]["initial_balance"] = tb["balance"]
total_amount[acc_id][prt_id]["ending_balance"] = tb["balance"]
if foreign_currency:
total_amount[acc_id][prt_id][
"initial_currency_balance"
] = tb["amount_currency"]
total_amount[acc_id][prt_id][
"ending_currency_balance"
] = tb["amount_currency"]
partners_ids.add(tb["partner_id"])
else:
total_amount[acc_id][prt_id]["initial_balance"] += tb["balance"]
total_amount[acc_id][prt_id]["ending_balance"] += tb["balance"]
if foreign_currency:
total_amount[acc_id][prt_id][
"initial_currency_balance"
] += tb["amount_currency"]
total_amount[acc_id][prt_id][
"ending_currency_balance"
] += tb["amount_currency"]
accounts_ids = list(total_amount.keys())
unaffected_id = unaffected_earnings_account
if unaffected_id not in accounts_ids:
accounts_ids.append(unaffected_id)
total_amount[unaffected_id] = {}
total_amount[unaffected_id]["initial_balance"] = 0.0
total_amount[unaffected_id]["balance"] = 0.0
total_amount[unaffected_id]["credit"] = 0.0
total_amount[unaffected_id]["debit"] = 0.0
total_amount[unaffected_id]["ending_balance"] = 0.0
if foreign_currency:
total_amount[unaffected_id]["initial_currency_balance"] = 0.0
total_amount[unaffected_id]["ending_currency_balance"] = 0.0
accounts_data = self._get_accounts_data(accounts_ids)
pl_initial_balance, pl_initial_currency_balance = self._get_pl_initial_balance(
account_ids,
journal_ids,
partner_ids,
company_id,
fy_start_date,
only_posted_moves,
show_partner_details,
foreign_currency,
)
total_amount[unaffected_id]["ending_balance"] += pl_initial_balance
total_amount[unaffected_id]["initial_balance"] += pl_initial_balance
if foreign_currency:
total_amount[unaffected_id][
"ending_currency_balance"
] += pl_initial_currency_balance
total_amount[unaffected_id][
"initial_currency_balance"
] += pl_initial_currency_balance
return total_amount, accounts_data, partners_data
def _get_hierarchy_groups(
self, group_ids, groups_data, old_groups_ids, foreign_currency
):
new_parents = False
for group_id in group_ids:
if groups_data[group_id]["parent_id"]:
new_parents = True
nw_id = groups_data[group_id]["parent_id"]
if nw_id in groups_data.keys():
groups_data[nw_id]["initial_balance"] += groups_data[group_id][
"initial_balance"
]
groups_data[nw_id]["debit"] += groups_data[group_id]["debit"]
groups_data[nw_id]["credit"] += groups_data[group_id]["credit"]
groups_data[nw_id]["balance"] += groups_data[group_id]["balance"]
groups_data[nw_id]["ending_balance"] += groups_data[group_id][
"ending_balance"
]
if foreign_currency:
groups_data[nw_id]["initial_currency_balance"] += groups_data[
group_id
]["initial_currency_balance"]
groups_data[nw_id]["ending_currency_balance"] += groups_data[
group_id
]["ending_currency_balance"]
else:
groups_data[nw_id] = {}
groups_data[nw_id]["initial_balance"] = groups_data[group_id][
"initial_balance"
]
groups_data[nw_id]["debit"] = groups_data[group_id]["debit"]
groups_data[nw_id]["credit"] = groups_data[group_id]["credit"]
groups_data[nw_id]["balance"] = groups_data[group_id]["balance"]
groups_data[nw_id]["ending_balance"] = groups_data[group_id][
"ending_balance"
]
if foreign_currency:
groups_data[nw_id]["initial_currency_balance"] = groups_data[
group_id
]["initial_currency_balance"]
groups_data[nw_id]["ending_currency_balance"] = groups_data[
group_id
]["ending_currency_balance"]
if new_parents:
nw_groups_ids = []
for group_id in list(groups_data.keys()):
if group_id not in old_groups_ids:
nw_groups_ids.append(group_id)
old_groups_ids.append(group_id)
groups = self.env["account.group"].browse(nw_groups_ids)
for group in groups:
groups_data[group.id].update(
{
"id": group.id,
"code": group.code_prefix,
"name": group.name,
"parent_id": group.parent_id.id,
"parent_path": group.parent_path,
"complete_code": group.complete_code,
"account_ids": group.compute_account_ids.ids,
"type": "group_type",
}
)
groups_data = self._get_hierarchy_groups(
nw_groups_ids, groups_data, old_groups_ids, foreign_currency
)
return groups_data
def _get_groups_data(self, accounts_data, total_amount, foreign_currency):
accounts_ids = list(accounts_data.keys())
accounts = self.env["account.account"].browse(accounts_ids)
account_group_relation = {}
for account in accounts:
accounts_data[account.id]["complete_code"] = (
account.group_id.complete_code if account.group_id.id else ""
)
if account.group_id.id:
if account.group_id.id not in account_group_relation.keys():
account_group_relation.update({account.group_id.id: [account.id]})
else:
account_group_relation[account.group_id.id].append(account.id)
groups = self.env["account.group"].browse(account_group_relation.keys())
groups_data = {}
for group in groups:
groups_data.update(
{
group.id: {
"id": group.id,
"code": group.code_prefix,
"name": group.name,
"parent_id": group.parent_id.id,
"parent_path": group.parent_path,
"type": "group_type",
"complete_code": group.complete_code,
"account_ids": group.compute_account_ids.ids,
"initial_balance": 0.0,
"credit": 0.0,
"debit": 0.0,
"balance": 0.0,
"ending_balance": 0.0,
}
}
)
if foreign_currency:
groups_data[group.id]["initial_currency_balance"] = 0.0
groups_data[group.id]["ending_currency_balance"] = 0.0
for group_id in account_group_relation.keys():
for account_id in account_group_relation[group_id]:
groups_data[group_id]["initial_balance"] += total_amount[account_id][
"initial_balance"
]
groups_data[group_id]["debit"] += total_amount[account_id]["debit"]
groups_data[group_id]["credit"] += total_amount[account_id]["credit"]
groups_data[group_id]["balance"] += total_amount[account_id]["balance"]
groups_data[group_id]["ending_balance"] += total_amount[account_id][
"ending_balance"
]
if foreign_currency:
groups_data[group_id]["initial_currency_balance"] += total_amount[
account_id
]["initial_currency_balance"]
groups_data[group_id]["ending_currency_balance"] += total_amount[
account_id
]["ending_currency_balance"]
group_ids = list(groups_data.keys())
old_group_ids = list(groups_data.keys())
groups_data = self._get_hierarchy_groups(
group_ids, groups_data, old_group_ids, foreign_currency
)
return groups_data
def _get_computed_groups_data(self, accounts_data, total_amount, foreign_currency):
groups = self.env["account.group"].search([("id", "!=", False)])
groups_data = {}
for group in groups:
len_group_code = len(group.code_prefix)
groups_data.update(
{
group.id: {
"id": group.id,
"code": group.code_prefix,
"name": group.name,
"parent_id": group.parent_id.id,
"parent_path": group.parent_path,
"type": "group_type",
"complete_code": group.complete_code,
"account_ids": group.compute_account_ids.ids,
"initial_balance": 0.0,
"credit": 0.0,
"debit": 0.0,
"balance": 0.0,
"ending_balance": 0.0,
}
}
)
if foreign_currency:
groups_data[group.id]["initial_currency_balance"] = 0.0
groups_data[group.id]["ending_currency_balance"] = 0.0
for account in accounts_data.values():
if group.code_prefix == account["code"][:len_group_code]:
acc_id = account["id"]
group_id = group.id
groups_data[group_id]["initial_balance"] += total_amount[acc_id][
"initial_balance"
]
groups_data[group_id]["debit"] += total_amount[acc_id]["debit"]
groups_data[group_id]["credit"] += total_amount[acc_id]["credit"]
groups_data[group_id]["balance"] += total_amount[acc_id]["balance"]
groups_data[group_id]["ending_balance"] += total_amount[acc_id][
"ending_balance"
]
if foreign_currency:
groups_data[group_id][
"initial_currency_balance"
] += total_amount[acc_id]["initial_currency_balance"]
groups_data[group_id][
"ending_currency_balance"
] += total_amount[acc_id]["ending_currency_balance"]
return groups_data
def _get_report_values(self, docids, data):
show_partner_details = data["show_partner_details"]
wizard_id = data["wizard_id"]
company = self.env["res.company"].browse(data["company_id"])
company_id = data["company_id"]
partner_ids = data["partner_ids"]
journal_ids = data["journal_ids"]
account_ids = data["account_ids"]
date_to = data["date_to"]
date_from = data["date_from"]
hide_account_at_0 = data["hide_account_at_0"]
hierarchy_on = data["hierarchy_on"]
show_hierarchy_level = data["show_hierarchy_level"]
foreign_currency = data["foreign_currency"]
only_posted_moves = data["only_posted_moves"]
unaffected_earnings_account = data["unaffected_earnings_account"]
fy_start_date = data["fy_start_date"]
total_amount, accounts_data, partners_data = self._get_data(
account_ids,
journal_ids,
partner_ids,
company_id,
date_to,
date_from,
foreign_currency,
only_posted_moves,
show_partner_details,
hide_account_at_0,
unaffected_earnings_account,
fy_start_date,
)
trial_balance = []
if not show_partner_details:
for account_id in accounts_data.keys():
accounts_data[account_id].update(
{
"initial_balance": total_amount[account_id]["initial_balance"],
"credit": total_amount[account_id]["credit"],
"debit": total_amount[account_id]["debit"],
"balance": total_amount[account_id]["balance"],
"ending_balance": total_amount[account_id]["ending_balance"],
"type": "account_type",
}
)
if foreign_currency:
accounts_data[account_id].update(
{
"ending_currency_balance": total_amount[account_id][
"ending_currency_balance"
],
"initial_currency_balance": total_amount[account_id][
"initial_currency_balance"
],
}
)
if hierarchy_on == "relation":
groups_data = self._get_groups_data(
accounts_data, total_amount, foreign_currency
)
trial_balance = list(groups_data.values())
trial_balance += list(accounts_data.values())
trial_balance = sorted(trial_balance, key=lambda k: k["complete_code"])
for trial in trial_balance:
counter = trial["complete_code"].count("/")
trial["level"] = counter
if hierarchy_on == "computed":
groups_data = self._get_computed_groups_data(
accounts_data, total_amount, foreign_currency
)
trial_balance = list(groups_data.values())
trial_balance += list(accounts_data.values())
trial_balance = sorted(trial_balance, key=lambda k: k["code"])
if hierarchy_on == "none":
trial_balance = list(accounts_data.values())
trial_balance = sorted(trial_balance, key=lambda k: k["code"])
else:
if foreign_currency:
for account_id in accounts_data.keys():
total_amount[account_id]["currency_id"] = accounts_data[account_id][
"currency_id"
]
total_amount[account_id]["currency_name"] = accounts_data[
account_id
]["currency_name"]
return {
"doc_ids": [wizard_id],
"doc_model": "trial.balance.report.wizard",
"docs": self.env["trial.balance.report.wizard"].browse(wizard_id),
"foreign_currency": data["foreign_currency"],
"company_name": company.display_name,
"company_currency": company.currency_id,
"currency_name": company.currency_id.name,
"date_from": data["date_from"],
"date_to": data["date_to"],
"only_posted_moves": data["only_posted_moves"],
"hide_account_at_0": data["hide_account_at_0"],
"show_partner_details": data["show_partner_details"],
"limit_hierarchy_level": data["limit_hierarchy_level"],
"hierarchy_on": hierarchy_on,
"trial_balance": trial_balance,
"total_amount": total_amount,
"accounts_data": accounts_data,
"partners_data": partners_data,
"show_hierarchy_level": show_hierarchy_level,
}

305
account_financial_report/report/trial_balance_xlsx.py

@ -0,0 +1,305 @@
# Author: Julien Coux
# Copyright 2016 Camptocamp SA
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo import _, models
class TrialBalanceXslx(models.AbstractModel):
_name = "report.a_f_r.report_trial_balance_xlsx"
_description = "Trial Balance XLSX Report"
_inherit = "report.account_financial_report.abstract_report_xlsx"
def _get_report_name(self, report, data=False):
company_id = data.get("company_id", False)
report_name = _("Trial Balance")
if company_id:
company = self.env["res.company"].browse(company_id)
suffix = " - {} - {}".format(company.name, company.currency_id.name)
report_name = report_name + suffix
return report_name
def _get_report_columns(self, report):
if not report.show_partner_details:
res = {
0: {"header": _("Code"), "field": "code", "width": 10},
1: {"header": _("Account"), "field": "name", "width": 60},
2: {
"header": _("Initial balance"),
"field": "initial_balance",
"type": "amount",
"width": 14,
},
3: {
"header": _("Debit"),
"field": "debit",
"type": "amount",
"width": 14,
},
4: {
"header": _("Credit"),
"field": "credit",
"type": "amount",
"width": 14,
},
5: {
"header": _("Period balance"),
"field": "period_balance",
"type": "amount",
"width": 14,
},
6: {
"header": _("Ending balance"),
"field": "final_balance",
"type": "amount",
"width": 14,
},
}
if report.foreign_currency:
foreign_currency = {
7: {
"header": _("Cur."),
"field": "currency_id",
"field_currency_balance": "currency_id",
"type": "many2one",
"width": 7,
},
8: {
"header": _("Initial balance"),
"field": "initial_balance_foreign_currency",
"type": "amount_currency",
"width": 14,
},
9: {
"header": _("Ending balance"),
"field": "final_balance_foreign_currency",
"type": "amount_currency",
"width": 14,
},
}
res = {**res, **foreign_currency}
return res
else:
res = {
0: {"header": _("Partner"), "field": "name", "width": 70},
1: {
"header": _("Initial balance"),
"field": "initial_balance",
"type": "amount",
"width": 14,
},
2: {
"header": _("Debit"),
"field": "debit",
"type": "amount",
"width": 14,
},
3: {
"header": _("Credit"),
"field": "credit",
"type": "amount",
"width": 14,
},
4: {
"header": _("Period balance"),
"field": "balance",
"type": "amount",
"width": 14,
},
5: {
"header": _("Ending balance"),
"field": "ending_balance",
"type": "amount",
"width": 14,
},
}
if report.foreign_currency:
foreign_currency = {
6: {
"header": _("Cur."),
"field": "currency_id",
"field_currency_balance": "currency_id",
"type": "many2one",
"width": 7,
},
7: {
"header": _("Initial balance"),
"field": "initial_currency_balance",
"type": "amount_currency",
"width": 14,
},
8: {
"header": _("Ending balance"),
"field": "ending_currency_balance",
"type": "amount_currency",
"width": 14,
},
}
res = {**res, **foreign_currency}
return res
def _get_report_filters(self, report):
return [
[
_("Date range filter"),
_("From: %s To: %s") % (report.date_from, report.date_to),
],
[
_("Target moves filter"),
_("All posted entries")
if report.target_move == "all"
else _("All entries"),
],
[
_("Account at 0 filter"),
_("Hide") if report.hide_account_at_0 else _("Show"),
],
[
_("Show foreign currency"),
_("Yes") if report.foreign_currency else _("No"),
],
[
_("Limit hierarchy levels"),
_("Level %s" % report.show_hierarchy_level)
if report.limit_hierarchy_level
else _("No limit"),
],
]
def _get_col_count_filter_name(self):
return 2
def _get_col_count_filter_value(self):
return 3
def _generate_report_content(self, workbook, report, data):
res_data = self.env[
"report.account_financial_report.trial_balance"
]._get_report_values(report, data)
trial_balance = res_data["trial_balance"]
total_amount = res_data["total_amount"]
partners_data = res_data["partners_data"]
accounts_data = res_data["accounts_data"]
hierarchy_on = res_data["hierarchy_on"]
show_partner_details = res_data["show_partner_details"]
show_hierarchy_level = res_data["show_hierarchy_level"]
foreign_currency = res_data["foreign_currency"]
limit_hierarchy_level = res_data["limit_hierarchy_level"]
if not show_partner_details:
# Display array header for account lines
self.write_array_header()
# For each account
if not show_partner_details:
for balance in trial_balance:
if hierarchy_on == "relation":
if limit_hierarchy_level:
if show_hierarchy_level > balance["level"]:
# Display account lines
self.write_line_from_dict(balance)
else:
self.write_line_from_dict(balance)
elif hierarchy_on == "computed":
if balance["type"] == "account_type":
if limit_hierarchy_level:
if show_hierarchy_level > balance["level"]:
# Display account lines
self.write_line_from_dict(balance)
else:
self.write_line_from_dict(balance)
else:
self.write_line_from_dict(balance)
else:
for account_id in total_amount:
# Write account title
self.write_array_title(
accounts_data[account_id]["code"]
+ "- "
+ accounts_data[account_id]["name"]
)
# Display array header for partner lines
self.write_array_header()
# For each partner
for partner_id in total_amount[account_id]:
if isinstance(partner_id, int):
# Display partner lines
self.write_line_from_dict_order(
total_amount[account_id][partner_id],
partners_data[partner_id],
)
# Display account footer line
accounts_data[account_id].update(
{
"initial_balance": total_amount[account_id]["initial_balance"],
"credit": total_amount[account_id]["credit"],
"debit": total_amount[account_id]["debit"],
"balance": total_amount[account_id]["balance"],
"ending_balance": total_amount[account_id]["ending_balance"],
}
)
if foreign_currency:
accounts_data[account_id].update(
{
"initial_currency_balance": total_amount[account_id][
"initial_currency_balance"
],
"ending_currency_balance": total_amount[account_id][
"ending_currency_balance"
],
}
)
self.write_account_footer(
accounts_data[account_id],
accounts_data[account_id]["code"]
+ "- "
+ accounts_data[account_id]["name"],
)
# Line break
self.row_pos += 2
def write_line_from_dict_order(self, total_amount, partner_data):
total_amount.update({"name": str(partner_data["name"])})
self.write_line_from_dict(total_amount)
def write_line(self, line_object, type_object):
"""Write a line on current line using all defined columns field name.
Columns are defined with `_get_report_columns` method.
"""
if type_object == "partner":
line_object.currency_id = line_object.report_account_id.currency_id
elif type_object == "account":
line_object.currency_id = line_object.currency_id
super(TrialBalanceXslx, self).write_line(line_object)
def write_account_footer(self, account, name_value):
"""Specific function to write account footer for Trial Balance"""
format_amt = self._get_currency_amt_header_format_dict(account)
for col_pos, column in self.columns.items():
if column["field"] == "name":
value = name_value
else:
value = account[column["field"]]
cell_type = column.get("type", "string")
if cell_type == "string":
self.sheet.write_string(
self.row_pos, col_pos, value or "", self.format_header_left
)
elif cell_type == "amount":
self.sheet.write_number(
self.row_pos, col_pos, float(value), self.format_header_amount
)
elif cell_type == "many2one" and account["currency_id"]:
self.sheet.write_string(
self.row_pos, col_pos, value.name or "", self.format_header_right
)
elif cell_type == "amount_currency" and account["currency_id"]:
self.sheet.write_number(self.row_pos, col_pos, float(value), format_amt)
else:
self.sheet.write_string(
self.row_pos, col_pos, "", self.format_header_right
)
self.row_pos += 1

194
account_financial_report/report/vat_report.py

@ -0,0 +1,194 @@
# Copyright 2018 Forest and Biomass Romania
# Copyright 2020 ForgeFlow S.L. (https://www.forgeflow.com)
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo import api, models
class VATReport(models.AbstractModel):
_name = "report.account_financial_report.vat_report"
_description = "Vat Report Report"
def _get_tax_data(self, tax_ids):
taxes = self.env["account.tax"].browse(tax_ids)
tax_data = {}
for tax in taxes:
tax_data.update(
{
tax.id: {
"id": tax.id,
"name": tax.name,
"tax_group_id": tax.tax_group_id.id,
}
}
)
return tax_data
@api.model
def _get_vat_report_domain(self, company_id, date_from, date_to):
domain = [
("company_id", "=", company_id),
("date", ">=", date_from),
("date", "<", date_to),
("tax_line_id", "!=", False),
("tax_exigible", "=", True),
]
return domain
def _get_vat_report_data(self, company_id, date_from, date_to):
domain = self._get_vat_report_domain(company_id, date_from, date_to)
ml_fields = [
"id",
"tax_base_amount",
"balance",
"tax_line_id",
"tax_repartition_line_id",
"analytic_tag_ids",
]
tax_move_lines = self.env["account.move.line"].search_read(
domain=domain, fields=ml_fields
)
vat_data = {}
tax_ids = set()
for tax_move_line in tax_move_lines:
tax_ml_id = tax_move_line["id"]
repartition = self.env["account.tax.repartition.line"].browse(
tax_move_line["tax_repartition_line_id"][0]
)
vat_data[tax_ml_id] = {}
vat_data[tax_ml_id].update(
{
"id": tax_ml_id,
"net": tax_move_line["tax_base_amount"],
"tax": tax_move_line["balance"]
if tax_move_line["balance"] > 0
else (-1) * tax_move_line["balance"],
"tax_line_id": tax_move_line["tax_line_id"],
"tags_ids": repartition.tag_ids.ids,
}
)
tax_ids.add(tax_move_line["tax_line_id"][0])
tax_data = self._get_tax_data(tax_ids)
return vat_data, tax_data
def _get_tax_group_data(self, tax_group_ids):
tax_groups = self.env["account.tax.group"].browse(tax_group_ids)
tax_group_data = {}
for tax_group in tax_groups:
tax_group_data.update(
{
tax_group.id: {
"id": tax_group.id,
"name": tax_group.name,
"code": str(tax_group.sequence),
}
}
)
return tax_group_data
def _get_vat_report_group_data(self, vat_report_data, tax_data, tax_detail):
vat_report = {}
for tax_move_line in vat_report_data.values():
tax_id = tax_move_line["tax_line_id"][0]
tax_group_id = tax_data[tax_id]["tax_group_id"]
if tax_group_id not in vat_report.keys():
vat_report[tax_group_id] = {}
vat_report[tax_group_id]["net"] = 0.0
vat_report[tax_group_id]["tax"] = 0.0
vat_report[tax_group_id][tax_id] = dict(tax_data[tax_id])
vat_report[tax_group_id][tax_id].update({"net": 0.0, "tax": 0.0})
else:
if tax_id not in vat_report[tax_group_id].keys():
vat_report[tax_group_id][tax_id] = dict(tax_data[tax_id])
vat_report[tax_group_id][tax_id].update({"net": 0.0, "tax": 0.0})
vat_report[tax_group_id]["net"] += tax_move_line["net"]
vat_report[tax_group_id]["tax"] += tax_move_line["tax"]
vat_report[tax_group_id][tax_id]["net"] += tax_move_line["net"]
vat_report[tax_group_id][tax_id]["tax"] += tax_move_line["tax"]
tax_group_data = self._get_tax_group_data(vat_report.keys())
vat_report_list = []
for tax_group_id in vat_report.keys():
vat_report[tax_group_id]["name"] = tax_group_data[tax_group_id]["name"]
vat_report[tax_group_id]["code"] = tax_group_data[tax_group_id]["code"]
if tax_detail:
vat_report[tax_group_id]["taxes"] = []
for tax_id in vat_report[tax_group_id]:
if isinstance(tax_id, int):
vat_report[tax_group_id]["taxes"].append(
vat_report[tax_group_id][tax_id]
)
vat_report_list.append(vat_report[tax_group_id])
return vat_report_list
def _get_tags_data(self, tags_ids):
tags = self.env["account.account.tag"].browse(tags_ids)
tags_data = {}
for tag in tags:
tags_data.update({tag.id: {"code": "", "name": tag.name}})
return tags_data
def _get_vat_report_tag_data(self, vat_report_data, tax_data, tax_detail):
vat_report = {}
for tax_move_line in vat_report_data.values():
tax_id = tax_move_line["tax_line_id"][0]
tags_ids = tax_move_line["tags_ids"]
if tags_ids:
for tag_id in tags_ids:
if tag_id not in vat_report.keys():
vat_report[tag_id] = {}
vat_report[tag_id]["net"] = 0.0
vat_report[tag_id]["tax"] = 0.0
vat_report[tag_id][tax_id] = dict(tax_data[tax_id])
vat_report[tag_id][tax_id].update({"net": 0.0, "tax": 0.0})
else:
if tax_id not in vat_report[tag_id].keys():
vat_report[tag_id][tax_id] = dict(tax_data[tax_id])
vat_report[tag_id][tax_id].update({"net": 0.0, "tax": 0.0})
vat_report[tag_id][tax_id]["net"] += tax_move_line["net"]
vat_report[tag_id][tax_id]["tax"] += tax_move_line["tax"]
vat_report[tag_id]["net"] += tax_move_line["net"]
vat_report[tag_id]["tax"] += tax_move_line["tax"]
tags_data = self._get_tags_data(vat_report.keys())
vat_report_list = []
for tag_id in vat_report.keys():
vat_report[tag_id]["name"] = tags_data[tag_id]["name"]
vat_report[tag_id]["code"] = tags_data[tag_id]["code"]
if tax_detail:
vat_report[tag_id]["taxes"] = []
for tax_id in vat_report[tag_id]:
if isinstance(tax_id, int):
vat_report[tag_id]["taxes"].append(vat_report[tag_id][tax_id])
vat_report_list.append(vat_report[tag_id])
return vat_report_list
def _get_report_values(self, docids, data):
wizard_id = data["wizard_id"]
company = self.env["res.company"].browse(data["company_id"])
company_id = data["company_id"]
date_from = data["date_from"]
date_to = data["date_to"]
based_on = data["based_on"]
tax_detail = data["tax_detail"]
vat_report_data, tax_data = self._get_vat_report_data(
company_id, date_from, date_to
)
if based_on == "taxgroups":
vat_report = self._get_vat_report_group_data(
vat_report_data, tax_data, tax_detail
)
else:
vat_report = self._get_vat_report_tag_data(
vat_report_data, tax_data, tax_detail
)
return {
"doc_ids": [wizard_id],
"doc_model": "open.items.report.wizard",
"docs": self.env["open.items.report.wizard"].browse(wizard_id),
"company_name": company.display_name,
"currency_name": company.currency_id.name,
"date_to": data["date_to"],
"date_from": data["date_from"],
"based_on": data["based_on"],
"tax_detail": data["tax_detail"],
"vat_report": vat_report,
}

60
account_financial_report/report/vat_report_xlsx.py

@ -0,0 +1,60 @@
# Copyright 2018 Forest and Biomass Romania
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo import _, models
class VATReportXslx(models.AbstractModel):
_name = "report.a_f_r.report_vat_report_xlsx"
_description = "Vat Report XLSX Report"
_inherit = "report.account_financial_report.abstract_report_xlsx"
def _get_report_name(self, report, data):
company_id = data.get("company_id", False)
report_name = _("Vat Report")
if company_id:
company = self.env["res.company"].browse(company_id)
suffix = " - {} - {}".format(company.name, company.currency_id.name)
report_name = report_name + suffix
return report_name
def _get_report_columns(self, report):
return {
0: {"header": _("Code"), "field": "code", "width": 5},
1: {"header": _("Name"), "field": "name", "width": 100},
2: {"header": _("Net"), "field": "net", "type": "amount", "width": 14},
3: {"header": _("Tax"), "field": "tax", "type": "amount", "width": 14},
}
def _get_report_filters(self, report):
return [
[_("Date from"), report.date_from.strftime("%d/%m/%Y")],
[_("Date to"), report.date_to.strftime("%d/%m/%Y")],
[
_("Based on"),
_("Tax Tags") if report.based_on == "taxtags" else _("Tax Groups"),
],
]
def _get_col_count_filter_name(self):
return 0
def _get_col_count_filter_value(self):
return 2
def _generate_report_content(self, workbook, report, data):
res_data = self.env[
"report.account_financial_report.vat_report"
]._get_report_values(report, data)
vat_report = res_data["vat_report"]
tax_detail = res_data["tax_detail"]
# For each tax_tag tax_group
self.write_array_header()
for tag_or_group in vat_report:
# Write taxtag line
self.write_line_from_dict(tag_or_group)
# For each tax if detail taxes
if tax_detail:
for tax in tag_or_group["taxes"]:
self.write_line_from_dict(tax)

204
account_financial_report/reports.xml

@ -0,0 +1,204 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<!-- PDF/HMTL REPORTS -->
<!-- General Ledger -->
<report
id="action_print_report_general_ledger_qweb"
model="general.ledger.report.wizard"
string="General Ledger"
report_type="qweb-pdf"
menu="False"
name="account_financial_report.general_ledger"
file="account_financial_report.general_ledger"
/>
<report
id="action_print_report_general_ledger_html"
model="general.ledger.report.wizard"
string="General Ledger"
report_type="qweb-html"
menu="False"
name="account_financial_report.general_ledger"
file="account_financial_report.general_ledger"
/>
<!-- Journal Ledger -->
<report
id="action_print_journal_ledger_wizard_qweb"
model="journal.ledger.report.wizard"
report_type="qweb-pdf"
menu="False"
string="Journal Ledger"
name="account_financial_report.journal_ledger"
file="account_financial_report.journal_ledger"
/>
<report
id="action_print_journal_ledger_wizard_html"
model="journal.ledger.report.wizard"
report_type="qweb-html"
menu="False"
string="Journal Ledger"
name="account_financial_report.journal_ledger"
file="account_financial_report.journal_ledger"
/>
<!-- Trial Balance -->
<report
id="action_report_trial_balance_qweb"
model="trial.balance.report.wizard"
string="Trial Balance"
menu="False"
report_type="qweb-pdf"
name="account_financial_report.trial_balance"
file="account_financial_report.trial_balance"
/>
<report
id="action_report_trial_balance_html"
model="trial.balance.report.wizard"
string="Trial Balance"
menu="False"
report_type="qweb-html"
name="account_financial_report.trial_balance"
file="account_financial_report.trial_balance"
/>
<!-- Open Items -->
<report
id="action_print_report_open_items_qweb"
model="open.items.report.wizard"
string="Open Items"
menu="False"
report_type="qweb-pdf"
name="account_financial_report.open_items"
file="account_financial_report.open_items"
/>
<report
id="action_print_report_open_items_html"
model="open.items.report.wizard"
string="Open Items"
menu="False"
report_type="qweb-html"
name="account_financial_report.open_items"
file="account_financial_report.open_items"
/>
<!-- Aged Partner Balance -->
<report
id="action_print_report_aged_partner_balance_qweb"
model="aged.partner.balance.report.wizard"
string="Aged Partner Balance"
report_type="qweb-pdf"
menu="False"
name="account_financial_report.aged_partner_balance"
file="account_financial_report.aged_partner_balance"
/>
<report
id="action_print_report_aged_partner_balance_html"
model="aged.partner.balance.report.wizard"
string="Aged Partner Balance"
report_type="qweb-html"
menu="False"
name="account_financial_report.aged_partner_balance"
file="account_financial_report.aged_partner_balance"
/>
<!-- VAT Report -->
<report
id="action_print_report_vat_report_qweb"
model="vat.report.wizard"
string="VAT Report"
report_type="qweb-pdf"
menu="False"
name="account_financial_report.vat_report"
file="account_financial_report.vat_report"
/>
<report
id="action_print_report_vat_report_html"
model="vat.report.wizard"
string="VAT Report"
report_type="qweb-html"
menu="False"
name="account_financial_report.vat_report"
file="account_financial_report.vat_report"
/>
<!-- PDF REPORTS : paperformat -->
<record id="report_qweb_paperformat" model="report.paperformat">
<field name="name">Account financial report qweb paperformat</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">Portrait</field>
<field name="margin_top">12</field>
<field name="margin_bottom">8</field>
<field name="margin_left">5</field>
<field name="margin_right">5</field>
<field name="header_line" eval="False" />
<field name="header_spacing">10</field>
<field name="dpi">110</field>
</record>
<record id="action_print_report_general_ledger_qweb" model="ir.actions.report">
<field name="paperformat_id" ref="report_qweb_paperformat" />
</record>
<record id="action_print_journal_ledger_wizard_qweb" model="ir.actions.report">
<field name="paperformat_id" ref="report_qweb_paperformat" />
</record>
<record id="action_report_trial_balance_qweb" model="ir.actions.report">
<field name="paperformat_id" ref="report_qweb_paperformat" />
</record>
<record id="action_print_report_open_items_qweb" model="ir.actions.report">
<field name="paperformat_id" ref="report_qweb_paperformat" />
</record>
<record
id="action_print_report_aged_partner_balance_qweb"
model="ir.actions.report"
>
<field name="paperformat_id" ref="report_qweb_paperformat" />
</record>
<record id="action_print_report_vat_report_qweb" model="ir.actions.report">
<field name="paperformat_id" ref="report_qweb_paperformat" />
</record>
<!-- XLSX REPORTS -->
<record id="action_report_general_ledger_xlsx" model="ir.actions.report">
<field name="name">General Ledger XLSX</field>
<field name="model">general.ledger.report.wizard</field>
<field name="type">ir.actions.report</field>
<field name="report_name">a_f_r.report_general_ledger_xlsx</field>
<field name="report_type">xlsx</field>
<field name="report_file">report_general_ledger</field>
</record>
<record id="action_report_journal_ledger_xlsx" model="ir.actions.report">
<field name="name">Journal Ledger XLSX</field>
<field name="model">journal.ledger.report.wizard</field>
<field name="type">ir.actions.report</field>
<field name="report_name">a_f_r.report_journal_ledger_xlsx</field>
<field name="report_type">xlsx</field>
<field name="report_file">report_journal_ledger</field>
</record>
<record id="action_report_trial_balance_xlsx" model="ir.actions.report">
<field name="name">Trial Balance XLSX</field>
<field name="model">trial.balance.report.wizard</field>
<field name="type">ir.actions.report</field>
<field name="report_name">a_f_r.report_trial_balance_xlsx</field>
<field name="report_type">xlsx</field>
<field name="report_file">report_trial_balance</field>
</record>
<record id="action_report_open_items_xlsx" model="ir.actions.report">
<field name="name">Open Items XLSX</field>
<field name="model">open.items.report.wizard</field>
<field name="type">ir.actions.report</field>
<field name="report_name">a_f_r.report_open_items_xlsx</field>
<field name="report_type">xlsx</field>
<field name="report_file">report_open_items</field>
</record>
<record id="action_report_aged_partner_balance_xlsx" model="ir.actions.report">
<field name="name">Aged Partner Balance XLSX</field>
<field name="model">aged.partner.balance.report.wizard</field>
<field name="type">ir.actions.report</field>
<field name="report_name">a_f_r.report_aged_partner_balance_xlsx</field>
<field name="report_type">xlsx</field>
<field name="report_file">report_aged_partner_balance</field>
</record>
<record id="action_report_vat_report_xlsx" model="ir.actions.report">
<field name="name">VAT Report XLSX</field>
<field name="model">vat.report.wizard</field>
<field name="type">ir.actions.report</field>
<field name="report_name">a_f_r.report_vat_report_xlsx</field>
<field name="report_type">xlsx</field>
<field name="report_file">report_vat_report</field>
</record>
</odoo>

BIN
account_financial_report/static/description/icon.png

After

Width: 256  |  Height: 256  |  Size: 15 KiB

502
account_financial_report/static/description/index.html

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<?xml version="1.0" encoding="utf-8" ?>
<!DOCTYPE html PUBLIC "-//W3C//DTD XHTML 1.0 Transitional//EN" "http://www.w3.org/TR/xhtml1/DTD/xhtml1-transitional.dtd">
<html xmlns="http://www.w3.org/1999/xhtml" xml:lang="en" lang="en">
<head>
<meta http-equiv="Content-Type" content="text/html; charset=utf-8" />
<meta name="generator" content="Docutils 0.15.1: http://docutils.sourceforge.net/" />
<title>Account Financial Reports</title>
<style type="text/css">
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border-left: solid 1px black;
margin-left: 1px }
table.docutils td, table.docutils th,
table.docinfo td, table.docinfo th {
padding-left: 0.5em ;
padding-right: 0.5em ;
vertical-align: top }
table.docutils th.field-name, table.docinfo th.docinfo-name {
font-weight: bold ;
text-align: left ;
white-space: nowrap ;
padding-left: 0 }
/* "booktabs" style (no vertical lines) */
table.docutils.booktabs {
border: 0px;
border-top: 2px solid;
border-bottom: 2px solid;
border-collapse: collapse;
}
table.docutils.booktabs * {
border: 0px;
}
table.docutils.booktabs th {
border-bottom: thin solid;
text-align: left;
}
h1 tt.docutils, h2 tt.docutils, h3 tt.docutils,
h4 tt.docutils, h5 tt.docutils, h6 tt.docutils {
font-size: 100% }
ul.auto-toc {
list-style-type: none }
</style>
</head>
<body>
<div class="document" id="account-financial-reports">
<h1 class="title">Account Financial Reports</h1>
<!-- !!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!
!! This file is generated by oca-gen-addon-readme !!
!! changes will be overwritten. !!
!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!! -->
<p><a class="reference external" href="https://odoo-community.org/page/development-status"><img alt="Beta" src="https://img.shields.io/badge/maturity-Beta-yellow.png" /></a> <a class="reference external" href="http://www.gnu.org/licenses/agpl-3.0-standalone.html"><img alt="License: AGPL-3" src="https://img.shields.io/badge/licence-AGPL--3-blue.png" /></a> <a class="reference external" href="https://github.com/OCA/account-financial-reporting/tree/13.0/account_financial_report"><img alt="OCA/account-financial-reporting" src="https://img.shields.io/badge/github-OCA%2Faccount--financial--reporting-lightgray.png?logo=github" /></a> <a class="reference external" href="https://translation.odoo-community.org/projects/account-financial-reporting-13-0/account-financial-reporting-13-0-account_financial_report"><img alt="Translate me on Weblate" src="https://img.shields.io/badge/weblate-Translate%20me-F47D42.png" /></a> <a class="reference external" href="https://runbot.odoo-community.org/runbot/91/13.0"><img alt="Try me on Runbot" src="https://img.shields.io/badge/runbot-Try%20me-875A7B.png" /></a></p>
<p>This module adds a set of financial reports. They are accessible under
Invoicing / Reporting / OCA accounting reports.</p>
<ul class="simple">
<li>General ledger</li>
<li>Trial Balance</li>
<li>Open Items</li>
<li>Aged Partner Balance</li>
<li>VAT Report</li>
<li>Journal Ledger</li>
</ul>
<p>Currently General ledger, Trial Balance and Open Items are fully compatible with a foreign
currency set up in account in order to display balances. Moreover, any foreign
currency used in account move lines is properly shown.</p>
<p>In case that in an account has not been configured a second currency foreign
currency balances are not available.</p>
<p><strong>Table of contents</strong></p>
<div class="contents local topic" id="contents">
<ul class="simple">
<li><a class="reference internal" href="#known-issues-roadmap" id="id4">Known issues / Roadmap</a></li>
<li><a class="reference internal" href="#changelog" id="id5">Changelog</a><ul>
<li><a class="reference internal" href="#id1" id="id6">11.0.2.5.0 (2019-04-26)</a></li>
<li><a class="reference internal" href="#id2" id="id7">11.0.2.4.1 (2019-01-08)</a></li>
<li><a class="reference internal" href="#id3" id="id8">11.0.2.3.1 (2018-11-29)</a></li>
</ul>
</li>
<li><a class="reference internal" href="#bug-tracker" id="id9">Bug Tracker</a></li>
<li><a class="reference internal" href="#credits" id="id10">Credits</a><ul>
<li><a class="reference internal" href="#authors" id="id11">Authors</a></li>
<li><a class="reference internal" href="#contributors" id="id12">Contributors</a></li>
<li><a class="reference internal" href="#maintainers" id="id13">Maintainers</a></li>
</ul>
</li>
</ul>
</div>
<div class="section" id="known-issues-roadmap">
<h1><a class="toc-backref" href="#id4">Known issues / Roadmap</a></h1>
<ul class="simple">
<li>‘VAT Report’ is valid only for cases where it’s met that for each
Tax defined: all the “Account tags” of all the
‘Repartition for Invoices’ or ‘Repartition for Credit Notes’
are different.</li>
</ul>
</div>
<div class="section" id="changelog">
<h1><a class="toc-backref" href="#id5">Changelog</a></h1>
<div class="section" id="id1">
<h2><a class="toc-backref" href="#id6">11.0.2.5.0 (2019-04-26)</a></h2>
<ul class="simple">
<li>In the Trial Balance you have an option to hide parent hierarchy levels</li>
</ul>
</div>
<div class="section" id="id2">
<h2><a class="toc-backref" href="#id7">11.0.2.4.1 (2019-01-08)</a></h2>
<ul class="simple">
<li>Handle better multicompany behaviour</li>
<li>Improve how title appears in the reports</li>
<li>Improve performance in General Ledger</li>
</ul>
</div>
<div class="section" id="id3">
<h2><a class="toc-backref" href="#id8">11.0.2.3.1 (2018-11-29)</a></h2>
<ul class="simple">
<li>In the Trial Balance you can apply a filter by hierarchy levels</li>
<li>In the General Ledger you can apply a filter by Analytic Tag</li>
<li>In the Journal Ledger the field ‘Journal’ is now optional</li>
</ul>
</div>
</div>
<div class="section" id="bug-tracker">
<h1><a class="toc-backref" href="#id9">Bug Tracker</a></h1>
<p>Bugs are tracked on <a class="reference external" href="https://github.com/OCA/account-financial-reporting/issues">GitHub Issues</a>.
In case of trouble, please check there if your issue has already been reported.
If you spotted it first, help us smashing it by providing a detailed and welcomed
<a class="reference external" href="https://github.com/OCA/account-financial-reporting/issues/new?body=module:%20account_financial_report%0Aversion:%2013.0%0A%0A**Steps%20to%20reproduce**%0A-%20...%0A%0A**Current%20behavior**%0A%0A**Expected%20behavior**">feedback</a>.</p>
<p>Do not contact contributors directly about support or help with technical issues.</p>
</div>
<div class="section" id="credits">
<h1><a class="toc-backref" href="#id10">Credits</a></h1>
<div class="section" id="authors">
<h2><a class="toc-backref" href="#id11">Authors</a></h2>
<ul class="simple">
<li>Camptocamp SA</li>
<li>initOS GmbH</li>
<li>redCOR AG</li>
<li>ForgeFlow</li>
</ul>
</div>
<div class="section" id="contributors">
<h2><a class="toc-backref" href="#id12">Contributors</a></h2>
<ul class="simple">
<li>Jordi Ballester &lt;<a class="reference external" href="mailto:jordi.ballester&#64;forgeflow.com">jordi.ballester&#64;forgeflow.com</a>&gt;</li>
<li>Yannick Vaucher &lt;<a class="reference external" href="mailto:yannick.vaucher&#64;camptocamp.com">yannick.vaucher&#64;camptocamp.com</a>&gt;</li>
<li>Simone Orsi &lt;<a class="reference external" href="mailto:simone.orsi&#64;abstract.com">simone.orsi&#64;abstract.com</a>&gt;</li>
<li>Leonardo Pistone &lt;<a class="reference external" href="mailto:leonardo.pistone&#64;camptocamp.com">leonardo.pistone&#64;camptocamp.com</a>&gt;</li>
<li>Damien Crier &lt;<a class="reference external" href="mailto:damien.crier&#64;camptocamp.com">damien.crier&#64;camptocamp.com</a>&gt;</li>
<li>Andrea Stirpe &lt;<a class="reference external" href="mailto:a.stirpe&#64;onestein.nl">a.stirpe&#64;onestein.nl</a>&gt;</li>
<li>Thomas Rehn &lt;<a class="reference external" href="mailto:thomas.rehn&#64;initos.com">thomas.rehn&#64;initos.com</a>&gt;</li>
<li>Andrea Gallina &lt;<a class="reference external" href="mailto:4everamd&#64;gmail.com">4everamd&#64;gmail.com</a>&gt;</li>
<li>Robert Rottermann &lt;<a class="reference external" href="mailto:robert&#64;redcor.ch">robert&#64;redcor.ch</a>&gt;</li>
<li>Ciro Urselli &lt;<a class="reference external" href="mailto:c.urselli&#64;apuliasoftware.it">c.urselli&#64;apuliasoftware.it</a>&gt;</li>
<li>Francesco Apruzzese &lt;<a class="reference external" href="mailto:opencode&#64;e-ware.org">opencode&#64;e-ware.org</a>&gt;</li>
<li>Lorenzo Battistini &lt;<a class="reference external" href="https://github.com/eLBati">https://github.com/eLBati</a>&gt;</li>
<li>Julien Coux &lt;<a class="reference external" href="mailto:julien.coux&#64;camptocamp.com">julien.coux&#64;camptocamp.com</a>&gt;</li>
<li>Akim Juillerat &lt;<a class="reference external" href="mailto:akim.juillerat&#64;camptocamp.com">akim.juillerat&#64;camptocamp.com</a>&gt;</li>
<li>Alexis de Lattre &lt;<a class="reference external" href="mailto:alexis&#64;via.ecp.fr">alexis&#64;via.ecp.fr</a>&gt;</li>
<li>Mihai Fekete &lt;<a class="reference external" href="mailto:feketemihai&#64;gmail.com">feketemihai&#64;gmail.com</a>&gt;</li>
<li>Miquel Raïch &lt;<a class="reference external" href="mailto:miquel.raich&#64;forgeflow.com">miquel.raich&#64;forgeflow.com</a>&gt;</li>
<li>Joan Sisquella &lt;<a class="reference external" href="mailto:joan.sisquella&#64;forgeflow.com">joan.sisquella&#64;forgeflow.com</a>&gt;</li>
<li><a class="reference external" href="https://www.tecnativa.com">Tecnativa</a>:<ul>
<li>Pedro M. Baeza</li>
<li>Sergio Teruel</li>
<li>Ernesto Tejeda</li>
</ul>
</li>
</ul>
<p>Much of the work in this module was done at a sprint in Sorrento, Italy in
April 2016.</p>
</div>
<div class="section" id="maintainers">
<h2><a class="toc-backref" href="#id13">Maintainers</a></h2>
<p>This module is maintained by the OCA.</p>
<a class="reference external image-reference" href="https://odoo-community.org"><img alt="Odoo Community Association" src="https://odoo-community.org/logo.png" /></a>
<p>OCA, or the Odoo Community Association, is a nonprofit organization whose
mission is to support the collaborative development of Odoo features and
promote its widespread use.</p>
<p>This module is part of the <a class="reference external" href="https://github.com/OCA/account-financial-reporting/tree/13.0/account_financial_report">OCA/account-financial-reporting</a> project on GitHub.</p>
<p>You are welcome to contribute. To learn how please visit <a class="reference external" href="https://odoo-community.org/page/Contribute">https://odoo-community.org/page/Contribute</a>.</p>
</div>
</div>
</div>
</body>
</html>

113
account_financial_report/static/src/css/report.css

@ -0,0 +1,113 @@
.act_as_table {
display: table !important;
background-color: white;
}
.act_as_row {
display: table-row !important;
page-break-inside: avoid;
}
.act_as_cell {
display: table-cell !important;
page-break-inside: avoid;
}
.act_as_thead {
display: table-header-group !important;
}
.act_as_tbody {
display: table-row-group !important;
}
.list_table,
.data_table,
.totals_table {
width: 100% !important;
}
.act_as_row.labels {
background-color: #f0f0f0 !important;
}
.list_table,
.data_table,
.totals_table,
.list_table .act_as_row {
border-left: 0px;
border-right: 0px;
text-align: center;
font-size: 10px;
padding-right: 3px;
padding-left: 3px;
padding-top: 2px;
padding-bottom: 2px;
border-collapse: collapse;
}
.totals_table {
font-weight: bold;
text-align: center;
}
.list_table .act_as_row.labels,
.list_table .act_as_row.initial_balance,
.list_table .act_as_row.lines {
border-color: grey !important;
border-bottom: 1px solid lightGrey !important;
}
.data_table .act_as_cell {
border: 1px solid lightGrey;
text-align: center;
}
.data_table .act_as_cell,
.list_table .act_as_cell,
.totals_table .act_as_cell {
word-wrap: break-word;
}
.data_table .act_as_row.labels,
.totals_table .act_as_row.labels {
font-weight: bold;
}
.initial_balance .act_as_cell {
font-style: italic;
}
.account_title {
font-size: 11px;
font-weight: bold;
}
.account_title.labels {
background-color: #f0f0f0 !important;
}
.act_as_cell.amount {
word-wrap: normal;
text-align: right;
}
.act_as_cell.left {
text-align: left;
}
.act_as_cell.right {
text-align: right;
}
.list_table .act_as_cell {
/* border-right:1px solid lightGrey; uncomment to active column lines */
}
.list_table .act_as_cell.first_column {
padding-left: 0px;
/* border-left:1px solid lightGrey; uncomment to active column lines */
}
.overflow_ellipsis {
text-overflow: ellipsis;
overflow: hidden;
white-space: nowrap;
}
.custom_footer {
font-size: 7px !important;
}
.page_break {
page-break-inside: avoid;
}
.button_row {
padding-bottom: 10px;
}
.o_account_financial_reports_page {
padding-top: 10px;
width: 90%;
margin-right: auto;
margin-left: auto;
font-family: Helvetica, Arial;
}

109
account_financial_report/static/src/js/account_financial_report_backend.js

@ -0,0 +1,109 @@
odoo.define("account_financial_report.account_financial_report_backend", function(
require
) {
"use strict";
var core = require("web.core");
var Widget = require("web.Widget");
var ControlPanelMixin = require("web.ControlPanelMixin");
var ReportWidget = require("account_financial_report.account_financial_report_widget");
var report_backend = Widget.extend(ControlPanelMixin, {
// Stores all the parameters of the action.
events: {
"click .o_account_financial_reports_print": "print",
"click .o_account_financial_reports_export": "export",
},
init: function(parent, action) {
this.actionManager = parent;
this.given_context = {};
this.odoo_context = action.context;
this.controller_url = action.context.url;
if (action.context.context) {
this.given_context = action.context.context;
}
this.given_context.active_id =
action.context.active_id || action.params.active_id;
this.given_context.model = action.context.active_model || false;
this.given_context.ttype = action.context.ttype || false;
return this._super.apply(this, arguments);
},
willStart: function() {
return $.when(this.get_html());
},
set_html: function() {
var self = this;
var def = $.when();
if (!this.report_widget) {
this.report_widget = new ReportWidget(this, this.given_context);
def = this.report_widget.appendTo(this.$el);
}
def.then(function() {
self.report_widget.$el.html(self.html);
});
},
start: function() {
this.set_html();
return this._super();
},
// Fetches the html and is previous report.context if any,
// else create it
get_html: function() {
var self = this;
var defs = [];
return this._rpc({
model: this.given_context.model,
method: "get_html",
args: [self.given_context],
context: self.odoo_context,
}).then(function(result) {
self.html = result.html;
defs.push(self.update_cp());
return $.when.apply($, defs);
});
},
// Updates the control panel and render the elements that have yet
// to be rendered
update_cp: function() {
if (this.$buttons) {
var status = {
breadcrumbs: this.actionManager.get_breadcrumbs(),
cp_content: {$buttons: this.$buttons},
};
return this.update_control_panel(status);
}
},
do_show: function() {
this._super();
this.update_cp();
},
print: function() {
var self = this;
this._rpc({
model: this.given_context.model,
method: "print_report",
args: [this.given_context.active_id, "qweb-pdf"],
context: self.odoo_context,
}).then(function(result) {
self.do_action(result);
});
},
export: function() {
var self = this;
this._rpc({
model: this.given_context.model,
method: "print_report",
args: [this.given_context.active_id, "xlsx"],
context: self.odoo_context,
}).then(function(result) {
self.do_action(result);
});
},
canBeRemoved: function() {
return $.when();
},
});
core.action_registry.add("account_financial_report_backend", report_backend);
return report_backend;
});

88
account_financial_report/static/src/js/account_financial_report_widgets.js

@ -0,0 +1,88 @@
odoo.define("account_financial_report.account_financial_report_widget", function(
require
) {
"use strict";
var Widget = require("web.Widget");
var accountFinancialReportWidget = Widget.extend({
events: {
"click .o_account_financial_reports_web_action": "boundLink",
"click .o_account_financial_reports_web_action_multi": "boundLinkmulti",
"click .o_account_financial_reports_web_action_monetary":
"boundLinkMonetary",
"click .o_account_financial_reports_web_action_monetary_multi":
"boundLinkMonetarymulti",
},
init: function() {
this._super.apply(this, arguments);
},
start: function() {
return this._super.apply(this, arguments);
},
boundLink: function(e) {
var res_model = $(e.target).data("res-model");
var res_id = $(e.target).data("active-id");
return this.do_action({
type: "ir.actions.act_window",
res_model: res_model,
res_id: res_id,
views: [[false, "form"]],
target: "current",
});
},
boundLinkmulti: function(e) {
var res_model = $(e.target).data("res-model");
var domain = $(e.target).data("domain");
if (!res_model) {
res_model = $(e.target.parentElement).data("res-model");
}
if (!domain) {
domain = $(e.target.parentElement).data("domain");
}
return this.do_action({
type: "ir.actions.act_window",
name: this._toTitleCase(res_model.split(".").join(" ")),
res_model: res_model,
domain: domain,
views: [
[false, "list"],
[false, "form"],
],
target: "current",
});
},
boundLinkMonetary: function(e) {
var res_model = $(e.target.parentElement).data("res-model");
var res_id = $(e.target.parentElement).data("active-id");
return this.do_action({
type: "ir.actions.act_window",
res_model: res_model,
res_id: res_id,
views: [[false, "form"]],
target: "current",
});
},
boundLinkMonetarymulti: function(e) {
var res_model = $(e.target.parentElement).data("res-model");
var domain = $(e.target.parentElement).data("domain");
return this.do_action({
type: "ir.actions.act_window",
res_model: res_model,
domain: domain,
views: [
[false, "list"],
[false, "form"],
],
target: "current",
});
},
_toTitleCase: function(str) {
return str.replace(/\w\S*/g, function(txt) {
return txt.charAt(0).toUpperCase() + txt.substr(1).toLowerCase();
});
},
});
return accountFinancialReportWidget;
});

8
account_financial_report/tests/__init__.py

@ -0,0 +1,8 @@
# © 2016 Julien Coux (Camptocamp)
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).-
from . import test_general_ledger
from . import test_journal_ledger
from . import test_open_items
from . import test_trial_balance
from . import test_vat_report

701
account_financial_report/tests/test_general_ledger.py

@ -0,0 +1,701 @@
# Author: Julien Coux
# Copyright 2016 Camptocamp SA
# Copyright 2020 ForgeFlow S.L. (https://www.forgeflow.com)
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
import time
from datetime import date
from odoo import api, fields
from odoo.tests import common
class TestGeneralLedgerReport(common.TransactionCase):
def setUp(self):
super(TestGeneralLedgerReport, self).setUp()
self.before_previous_fy_year = fields.Date.from_string("2014-05-05")
self.previous_fy_date_start = fields.Date.from_string("2015-01-01")
self.previous_fy_date_end = fields.Date.from_string("2015-12-31")
self.fy_date_start = fields.Date.from_string("2016-01-01")
self.fy_date_end = fields.Date.from_string("2016-12-31")
self.receivable_account = self.env["account.account"].search(
[("user_type_id.name", "=", "Receivable")], limit=1
)
self.income_account = self.env["account.account"].search(
[("user_type_id.name", "=", "Income")], limit=1
)
self.unaffected_account = self.env["account.account"].search(
[
(
"user_type_id",
"=",
self.env.ref("account.data_unaffected_earnings").id,
)
],
limit=1,
)
self.partner = self.env.ref("base.res_partner_12")
def _add_move(
self,
date,
receivable_debit,
receivable_credit,
income_debit,
income_credit,
unaffected_debit=0,
unaffected_credit=0,
):
journal = self.env["account.journal"].search([], limit=1)
partner = self.env.ref("base.res_partner_12")
move_vals = {
"journal_id": journal.id,
"date": date,
"line_ids": [
(
0,
0,
{
"debit": receivable_debit,
"credit": receivable_credit,
"account_id": self.receivable_account.id,
"partner_id": partner.id,
},
),
(
0,
0,
{
"debit": income_debit,
"credit": income_credit,
"account_id": self.income_account.id,
"partner_id": partner.id,
},
),
(
0,
0,
{
"debit": unaffected_debit,
"credit": unaffected_credit,
"account_id": self.unaffected_account.id,
"partner_id": partner.id,
},
),
],
}
move = self.env["account.move"].create(move_vals)
move.post()
def _get_report_lines(self, with_partners=False):
centralize = True
if with_partners:
centralize = False
company = self.env.ref("base.main_company")
general_ledger = self.env["general.ledger.report.wizard"].create(
{
"date_from": self.fy_date_start,
"date_to": self.fy_date_end,
"target_move": "posted",
"hide_account_at_0": False,
"company_id": company.id,
"fy_start_date": self.fy_date_start,
"centralize": centralize,
}
)
data = general_ledger._prepare_report_general_ledger()
res_data = self.env[
"report.account_financial_report.general_ledger"
]._get_report_values(general_ledger, data)
return res_data
@api.model
def check_account_in_report(self, account_id, general_ledger):
account_in_report = False
for account in general_ledger:
if account["id"] == account_id:
account_in_report = True
break
return account_in_report
@api.model
def check_partner_in_report(self, account_id, partner_id, general_ledger):
partner_in_report = False
for account in general_ledger:
if account["id"] == account_id and account["partners"]:
for partner in account["list_partner"]:
if partner["id"] == partner_id:
partner_in_report = True
return partner_in_report
@api.model
def _get_initial_balance(self, account_id, general_ledger):
initial_balance = False
for account in general_ledger:
if account["id"] == account_id:
initial_balance = account["init_bal"]
return initial_balance
@api.model
def _get_partner_initial_balance(self, account_id, partner_id, general_ledger):
initial_balance = False
for account in general_ledger:
if account["id"] == account_id and account["partners"]:
for partner in account["list_partner"]:
if partner["id"] == partner_id:
initial_balance = partner["init_bal"]
return initial_balance
@api.model
def _get_final_balance(self, account_id, general_ledger):
final_balance = False
for account in general_ledger:
if account["id"] == account_id:
final_balance = account["fin_bal"]
return final_balance
@api.model
def _get_partner_final_balance(self, account_id, partner_id, general_ledger):
final_balance = False
for account in general_ledger:
if account["id"] == account_id and account["partners"]:
for partner in account["list_partner"]:
if partner["id"] == partner_id:
final_balance = partner["fin_bal"]
return final_balance
def test_01_account_balance(self):
# Generate the general ledger line
res_data = self._get_report_lines()
general_ledger = res_data["general_ledger"]
check_receivable_account = self.check_account_in_report(
self.receivable_account.id, general_ledger
)
self.assertFalse(check_receivable_account)
check_income_account = self.check_account_in_report(
self.income_account.id, general_ledger
)
self.assertFalse(check_income_account)
# Add a move at the previous day of the first day of fiscal year
# to check the initial balance
self._add_move(
date=self.previous_fy_date_end,
receivable_debit=1000,
receivable_credit=0,
income_debit=0,
income_credit=1000,
)
# Re Generate the general ledger line
res_data = self._get_report_lines()
general_ledger = res_data["general_ledger"]
check_receivable_account = self.check_account_in_report(
self.receivable_account.id, general_ledger
)
self.assertTrue(check_receivable_account)
check_income_account = self.check_account_in_report(
self.income_account.id, general_ledger
)
self.assertFalse(check_income_account)
# Check the initial and final balance
receivable_init_balance = self._get_initial_balance(
self.receivable_account.id, general_ledger
)
receivable_fin_balance = self._get_final_balance(
self.receivable_account.id, general_ledger
)
self.assertEqual(receivable_init_balance["debit"], 1000)
self.assertEqual(receivable_init_balance["credit"], 0)
self.assertEqual(receivable_init_balance["balance"], 1000)
self.assertEqual(receivable_fin_balance["debit"], 1000)
self.assertEqual(receivable_fin_balance["credit"], 0)
self.assertEqual(receivable_fin_balance["balance"], 1000)
# Add reversale move of the initial move the first day of fiscal year
# to check the first day of fiscal year is not used
# to compute the initial balance
self._add_move(
date=self.fy_date_start,
receivable_debit=0,
receivable_credit=1000,
income_debit=1000,
income_credit=0,
)
# Re Generate the general ledger line
res_data = self._get_report_lines()
general_ledger = res_data["general_ledger"]
check_receivable_account = self.check_account_in_report(
self.receivable_account.id, general_ledger
)
self.assertTrue(check_receivable_account)
check_income_account = self.check_account_in_report(
self.income_account.id, general_ledger
)
self.assertTrue(check_income_account)
# Check the initial and final balance
receivable_init_balance = self._get_initial_balance(
self.receivable_account.id, general_ledger
)
receivable_fin_balance = self._get_final_balance(
self.receivable_account.id, general_ledger
)
income_init_balance = self._get_initial_balance(
self.income_account.id, general_ledger
)
income_fin_balance = self._get_final_balance(
self.income_account.id, general_ledger
)
self.assertEqual(receivable_init_balance["debit"], 1000)
self.assertEqual(receivable_init_balance["credit"], 0)
self.assertEqual(receivable_init_balance["balance"], 1000)
self.assertEqual(receivable_fin_balance["debit"], 1000)
self.assertEqual(receivable_fin_balance["credit"], 1000)
self.assertEqual(receivable_fin_balance["balance"], 0)
self.assertEqual(income_init_balance["debit"], 0)
self.assertEqual(income_init_balance["credit"], 0)
self.assertEqual(income_init_balance["balance"], 0)
self.assertEqual(income_fin_balance["debit"], 1000)
self.assertEqual(income_fin_balance["credit"], 0)
self.assertEqual(income_fin_balance["balance"], 1000)
# Add another move at the end day of fiscal year
# to check that it correctly used on report
self._add_move(
date=self.fy_date_end,
receivable_debit=0,
receivable_credit=1000,
income_debit=1000,
income_credit=0,
)
# Re Generate the general ledger line
res_data = self._get_report_lines()
general_ledger = res_data["general_ledger"]
check_receivable_account = self.check_account_in_report(
self.receivable_account.id, general_ledger
)
self.assertTrue(check_receivable_account)
check_income_account = self.check_account_in_report(
self.income_account.id, general_ledger
)
self.assertTrue(check_income_account)
# Check the initial and final balance
receivable_init_balance = self._get_initial_balance(
self.receivable_account.id, general_ledger
)
receivable_fin_balance = self._get_final_balance(
self.receivable_account.id, general_ledger
)
income_init_balance = self._get_initial_balance(
self.income_account.id, general_ledger
)
income_fin_balance = self._get_final_balance(
self.income_account.id, general_ledger
)
self.assertEqual(receivable_init_balance["debit"], 1000)
self.assertEqual(receivable_init_balance["credit"], 0)
self.assertEqual(receivable_init_balance["balance"], 1000)
self.assertEqual(receivable_fin_balance["debit"], 1000)
self.assertEqual(receivable_fin_balance["credit"], 2000)
self.assertEqual(receivable_fin_balance["balance"], -1000)
self.assertEqual(income_init_balance["debit"], 0)
self.assertEqual(income_init_balance["credit"], 0)
self.assertEqual(income_init_balance["balance"], 0)
self.assertEqual(income_fin_balance["debit"], 2000)
self.assertEqual(income_fin_balance["credit"], 0)
self.assertEqual(income_fin_balance["balance"], 2000)
def test_02_partner_balance(self):
# Generate the general ledger line
res_data = self._get_report_lines(with_partners=True)
general_ledger = res_data["general_ledger"]
check_partner = self.check_partner_in_report(
self.receivable_account.id, self.partner.id, general_ledger
)
self.assertFalse(check_partner)
# Add a move at the previous day of the first day of fiscal year
# to check the initial balance
self._add_move(
date=self.previous_fy_date_end,
receivable_debit=1000,
receivable_credit=0,
income_debit=0,
income_credit=1000,
)
# Re Generate the general ledger line
res_data = self._get_report_lines(with_partners=True)
general_ledger = res_data["general_ledger"]
check_partner = self.check_partner_in_report(
self.receivable_account.id, self.partner.id, general_ledger
)
self.assertTrue(check_partner)
# Check the initial and final balance
partner_initial_balance = self._get_partner_initial_balance(
self.receivable_account.id, self.partner.id, general_ledger
)
partner_final_balance = self._get_partner_final_balance(
self.receivable_account.id, self.partner.id, general_ledger
)
self.assertEqual(partner_initial_balance["debit"], 1000)
self.assertEqual(partner_initial_balance["credit"], 0)
self.assertEqual(partner_initial_balance["balance"], 1000)
self.assertEqual(partner_final_balance["debit"], 1000)
self.assertEqual(partner_final_balance["credit"], 0)
self.assertEqual(partner_final_balance["balance"], 1000)
# Add reversale move of the initial move the first day of fiscal year
# to check the first day of fiscal year is not used
# to compute the initial balance
self._add_move(
date=self.fy_date_start,
receivable_debit=0,
receivable_credit=1000,
income_debit=1000,
income_credit=0,
)
# Re Generate the general ledger line
res_data = self._get_report_lines(with_partners=True)
general_ledger = res_data["general_ledger"]
check_partner = self.check_partner_in_report(
self.receivable_account.id, self.partner.id, general_ledger
)
self.assertTrue(check_partner)
# Check the initial and final balance
partner_initial_balance = self._get_partner_initial_balance(
self.receivable_account.id, self.partner.id, general_ledger
)
partner_final_balance = self._get_partner_final_balance(
self.receivable_account.id, self.partner.id, general_ledger
)
self.assertEqual(partner_initial_balance["debit"], 1000)
self.assertEqual(partner_initial_balance["credit"], 0)
self.assertEqual(partner_initial_balance["balance"], 1000)
self.assertEqual(partner_final_balance["debit"], 1000)
self.assertEqual(partner_final_balance["credit"], 1000)
self.assertEqual(partner_final_balance["balance"], 0)
# Add another move at the end day of fiscal year
# to check that it correctly used on report
self._add_move(
date=self.fy_date_end,
receivable_debit=0,
receivable_credit=1000,
income_debit=1000,
income_credit=0,
)
# Re Generate the general ledger line
res_data = self._get_report_lines(with_partners=True)
general_ledger = res_data["general_ledger"]
check_partner = self.check_partner_in_report(
self.receivable_account.id, self.partner.id, general_ledger
)
self.assertTrue(check_partner)
# Check the initial and final balance
partner_initial_balance = self._get_partner_initial_balance(
self.receivable_account.id, self.partner.id, general_ledger
)
partner_final_balance = self._get_partner_final_balance(
self.receivable_account.id, self.partner.id, general_ledger
)
self.assertEqual(partner_initial_balance["debit"], 1000)
self.assertEqual(partner_initial_balance["credit"], 0)
self.assertEqual(partner_initial_balance["balance"], 1000)
self.assertEqual(partner_final_balance["debit"], 1000)
self.assertEqual(partner_final_balance["credit"], 2000)
self.assertEqual(partner_final_balance["balance"], -1000)
def test_03_unaffected_account_balance(self):
# Generate the general ledger line
res_data = self._get_report_lines()
general_ledger = res_data["general_ledger"]
check_unaffected_account = self.check_account_in_report(
self.unaffected_account.id, general_ledger
)
self.assertTrue(check_unaffected_account)
# Check the initial and final balance
unaffected_init_balance = self._get_initial_balance(
self.unaffected_account.id, general_ledger
)
unaffected_fin_balance = self._get_final_balance(
self.unaffected_account.id, general_ledger
)
self.assertEqual(unaffected_init_balance["debit"], 0)
self.assertEqual(unaffected_init_balance["credit"], 0)
self.assertEqual(unaffected_init_balance["balance"], 0)
self.assertEqual(unaffected_fin_balance["debit"], 0)
self.assertEqual(unaffected_fin_balance["credit"], 0)
self.assertEqual(unaffected_fin_balance["balance"], 0)
# Add a move at the previous day of the first day of fiscal year
# to check the initial balance
self._add_move(
date=self.previous_fy_date_end,
receivable_debit=1000,
receivable_credit=0,
income_debit=0,
income_credit=1000,
)
# Re Generate the general ledger line
res_data = self._get_report_lines()
general_ledger = res_data["general_ledger"]
check_unaffected_account = self.check_account_in_report(
self.unaffected_account.id, general_ledger
)
self.assertTrue(check_unaffected_account)
# Check the initial and final balance
unaffected_init_balance = self._get_initial_balance(
self.unaffected_account.id, general_ledger
)
unaffected_fin_balance = self._get_final_balance(
self.unaffected_account.id, general_ledger
)
self.assertEqual(unaffected_init_balance["debit"], 0)
self.assertEqual(unaffected_init_balance["credit"], 1000)
self.assertEqual(unaffected_init_balance["balance"], -1000)
self.assertEqual(unaffected_fin_balance["debit"], 0)
self.assertEqual(unaffected_fin_balance["credit"], 1000)
self.assertEqual(unaffected_fin_balance["balance"], -1000)
# Add reversale move of the initial move the first day of fiscal year
# to check the first day of fiscal year is not used
# to compute the initial balance
self._add_move(
date=self.fy_date_start,
receivable_debit=0,
receivable_credit=0,
income_debit=0,
income_credit=1000,
unaffected_debit=1000,
unaffected_credit=0,
)
# Re Generate the general ledger line
res_data = self._get_report_lines()
general_ledger = res_data["general_ledger"]
check_unaffected_account = self.check_account_in_report(
self.unaffected_account.id, general_ledger
)
self.assertTrue(check_unaffected_account)
# Check the initial and final balance
unaffected_init_balance = self._get_initial_balance(
self.unaffected_account.id, general_ledger
)
unaffected_fin_balance = self._get_final_balance(
self.unaffected_account.id, general_ledger
)
self.assertEqual(unaffected_init_balance["debit"], 0)
self.assertEqual(unaffected_init_balance["credit"], 1000)
self.assertEqual(unaffected_init_balance["balance"], -1000)
self.assertEqual(unaffected_fin_balance["debit"], 1000)
self.assertEqual(unaffected_fin_balance["credit"], 1000)
self.assertEqual(unaffected_fin_balance["balance"], 0)
# Add another move at the end day of fiscal year
# to check that it correctly used on report
self._add_move(
date=self.fy_date_end,
receivable_debit=3000,
receivable_credit=0,
income_debit=0,
income_credit=0,
unaffected_debit=0,
unaffected_credit=3000,
)
# Re Generate the general ledger line
res_data = self._get_report_lines()
general_ledger = res_data["general_ledger"]
check_unaffected_account = self.check_account_in_report(
self.unaffected_account.id, general_ledger
)
self.assertTrue(check_unaffected_account)
# Check the initial and final balance
unaffected_init_balance = self._get_initial_balance(
self.unaffected_account.id, general_ledger
)
unaffected_fin_balance = self._get_final_balance(
self.unaffected_account.id, general_ledger
)
self.assertEqual(unaffected_init_balance["debit"], 0)
self.assertEqual(unaffected_init_balance["credit"], 1000)
self.assertEqual(unaffected_init_balance["balance"], -1000)
self.assertEqual(unaffected_fin_balance["debit"], 1000)
self.assertEqual(unaffected_fin_balance["credit"], 4000)
self.assertEqual(unaffected_fin_balance["balance"], -3000)
def test_04_unaffected_account_balance_2_years(self):
# Generate the general ledger line
res_data = self._get_report_lines()
general_ledger = res_data["general_ledger"]
check_unaffected_account = self.check_account_in_report(
self.unaffected_account.id, general_ledger
)
self.assertTrue(check_unaffected_account)
# Check the initial and final balance
unaffected_init_balance = self._get_initial_balance(
self.unaffected_account.id, general_ledger
)
unaffected_fin_balance = self._get_final_balance(
self.unaffected_account.id, general_ledger
)
self.assertEqual(unaffected_init_balance["debit"], 0)
self.assertEqual(unaffected_init_balance["credit"], 0)
self.assertEqual(unaffected_init_balance["balance"], 0)
self.assertEqual(unaffected_fin_balance["debit"], 0)
self.assertEqual(unaffected_fin_balance["credit"], 0)
self.assertEqual(unaffected_fin_balance["balance"], 0)
# Add a move at any date 2 years before the balance
# (to create an historic)
self._add_move(
date=self.before_previous_fy_year,
receivable_debit=0,
receivable_credit=1000,
income_debit=1000,
income_credit=0,
)
# Re Generate the general ledger line
res_data = self._get_report_lines()
general_ledger = res_data["general_ledger"]
check_unaffected_account = self.check_account_in_report(
self.unaffected_account.id, general_ledger
)
self.assertTrue(check_unaffected_account)
# Check the initial and final balance
unaffected_init_balance = self._get_initial_balance(
self.unaffected_account.id, general_ledger
)
unaffected_fin_balance = self._get_final_balance(
self.unaffected_account.id, general_ledger
)
self.assertEqual(unaffected_init_balance["debit"], 1000)
self.assertEqual(unaffected_init_balance["credit"], 0)
self.assertEqual(unaffected_init_balance["balance"], 1000)
self.assertEqual(unaffected_fin_balance["debit"], 1000)
self.assertEqual(unaffected_fin_balance["credit"], 0)
self.assertEqual(unaffected_fin_balance["balance"], 1000)
# Affect the company's result last year
self._add_move(
date=self.previous_fy_date_start,
receivable_debit=1000,
receivable_credit=0,
income_debit=0,
income_credit=0,
unaffected_debit=0,
unaffected_credit=1000,
)
# Add another move last year to test the initial balance this year
self._add_move(
date=self.previous_fy_date_start,
receivable_debit=0,
receivable_credit=500,
income_debit=500,
income_credit=0,
unaffected_debit=0,
unaffected_credit=0,
)
# Re Generate the general ledger line
res_data = self._get_report_lines()
general_ledger = res_data["general_ledger"]
check_unaffected_account = self.check_account_in_report(
self.unaffected_account.id, general_ledger
)
self.assertTrue(check_unaffected_account)
# Check the initial and final balance
unaffected_init_balance = self._get_initial_balance(
self.unaffected_account.id, general_ledger
)
unaffected_fin_balance = self._get_final_balance(
self.unaffected_account.id, general_ledger
)
self.assertEqual(unaffected_init_balance["debit"], 1500)
self.assertEqual(unaffected_init_balance["credit"], 1000)
self.assertEqual(unaffected_init_balance["balance"], 500)
self.assertEqual(unaffected_fin_balance["debit"], 1500)
self.assertEqual(unaffected_fin_balance["credit"], 1000)
self.assertEqual(unaffected_fin_balance["balance"], 500)
def test_partner_filter(self):
partner_1 = self.env.ref("base.res_partner_1")
partner_2 = self.env.ref("base.res_partner_2")
partner_3 = self.env.ref("base.res_partner_3")
partner_4 = self.env.ref("base.res_partner_4")
partner_1.write({"is_company": False, "parent_id": partner_2.id})
partner_3.write({"is_company": False})
expected_list = [partner_2.id, partner_3.id, partner_4.id]
context = {
"active_ids": [partner_1.id, partner_2.id, partner_3.id, partner_4.id],
"active_model": "res.partner",
}
wizard = self.env["general.ledger.report.wizard"].with_context(context)
self.assertEqual(wizard._default_partners(), expected_list)
def test_validate_date(self):
company_id = self.env.ref("base.main_company")
company_id.write({"fiscalyear_last_day": 31, "fiscalyear_last_month": "12"})
user = self.env.ref("base.user_root").with_context(company_id=company_id.id)
wizard = self.env["general.ledger.report.wizard"].with_context(user=user.id)
self.assertEqual(wizard._init_date_from(), time.strftime("%Y") + "-01-01")
def test_validate_date_range(self):
data_type = self.env["date.range.type"].create(
{"name": "Fiscal year", "company_id": False, "allow_overlap": False}
)
dr = self.env["date.range"].create(
{
"name": "FS2015",
"date_start": "2018-01-01",
"date_end": "2018-12-31",
"type_id": data_type.id,
}
)
wizard = self.env["general.ledger.report.wizard"].create(
{"date_range_id": dr.id}
)
wizard.onchange_date_range_id()
self.assertEqual(wizard.date_from, date(2018, 1, 1))
self.assertEqual(wizard.date_to, date(2018, 12, 31))

340
account_financial_report/tests/test_journal_ledger.py

@ -0,0 +1,340 @@
# Copyright 2017 ACSONE SA/NV
# Copyright 2019-20 ForgeFlow S.L. (https://www.forgeflow.com)
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl).
from datetime import datetime
from dateutil.relativedelta import relativedelta
from odoo.fields import Date
from odoo.tests.common import Form, TransactionCase
class TestJournalReport(TransactionCase):
def setUp(self):
super(TestJournalReport, self).setUp()
self.AccountObj = self.env["account.account"]
self.InvoiceObj = self.env["account.move"]
self.JournalObj = self.env["account.journal"]
self.MoveObj = self.env["account.move"]
self.TaxObj = self.env["account.tax"]
self.JournalLedgerReportWizard = self.env["journal.ledger.report.wizard"]
self.JournalLedgerReport = self.env[
"report.account_financial_report.journal_ledger"
]
self.company = self.env.ref("base.main_company")
self.company.account_sale_tax_id = False
self.company.account_purchase_tax_id = False
today = datetime.today()
last_year = today - relativedelta(years=1)
self.previous_fy_date_start = Date.to_string(last_year.replace(month=1, day=1))
self.previous_fy_date_end = Date.to_string(last_year.replace(month=12, day=31))
self.fy_date_start = Date.to_string(today.replace(month=1, day=1))
self.fy_date_end = Date.to_string(today.replace(month=12, day=31))
self.receivable_account = self.AccountObj.search(
[("user_type_id.name", "=", "Receivable")], limit=1
)
self.income_account = self.AccountObj.search(
[("user_type_id.name", "=", "Income")], limit=1
)
self.expense_account = self.AccountObj.search(
[("user_type_id.name", "=", "Expenses")], limit=1
)
self.payable_account = self.AccountObj.search(
[("user_type_id.name", "=", "Payable")], limit=1
)
self.journal_sale = self.JournalObj.create(
{
"name": "Test journal sale",
"code": "TST-JRNL-S",
"type": "sale",
"company_id": self.company.id,
}
)
self.journal_purchase = self.JournalObj.create(
{
"name": "Test journal purchase",
"code": "TST-JRNL-P",
"type": "purchase",
"company_id": self.company.id,
}
)
self.tax_15_s = self.TaxObj.create(
{
"sequence": 30,
"name": "Tax 15.0% (Percentage of Price)",
"amount": 15.0,
"amount_type": "percent",
"include_base_amount": False,
"type_tax_use": "sale",
}
)
self.tax_20_s = self.TaxObj.create(
{
"sequence": 30,
"name": "Tax 20.0% (Percentage of Price)",
"amount": 20.0,
"amount_type": "percent",
"include_base_amount": False,
"type_tax_use": "sale",
}
)
self.tax_15_p = self.TaxObj.create(
{
"sequence": 30,
"name": "Tax 15.0% (Percentage of Price)",
"amount": 15.0,
"amount_type": "percent",
"include_base_amount": False,
"type_tax_use": "purchase",
}
)
self.tax_20_p = self.TaxObj.create(
{
"sequence": 30,
"name": "Tax 20.0% (Percentage of Price)",
"amount": 20.0,
"amount_type": "percent",
"include_base_amount": False,
"type_tax_use": "purchase",
}
)
self.partner_2 = self.env.ref("base.res_partner_2")
def _add_move(
self,
date,
journal,
receivable_debit,
receivable_credit,
income_debit,
income_credit,
):
move_name = "move name"
move_vals = {
"journal_id": journal.id,
"date": date,
"line_ids": [
(
0,
0,
{
"name": move_name,
"debit": receivable_debit,
"credit": receivable_credit,
"account_id": self.receivable_account.id,
},
),
(
0,
0,
{
"name": move_name,
"debit": income_debit,
"credit": income_credit,
"account_id": self.income_account.id,
},
),
],
}
return self.MoveObj.create(move_vals)
def check_report_journal_debit_credit(
self, res_data, expected_debit, expected_credit
):
self.assertEqual(
expected_debit, sum([rec["debit"] for rec in res_data["Journal_Ledgers"]])
)
self.assertEqual(
expected_credit, sum([rec["credit"] for rec in res_data["Journal_Ledgers"]])
)
def check_report_journal_debit_credit_taxes(
self,
res_data,
expected_base_debit,
expected_base_credit,
expected_tax_debit,
expected_tax_credit,
):
for rec in res_data["Journal_Ledgers"]:
self.assertEqual(
expected_base_debit,
sum([tax_line["base_debit"] for tax_line in rec["tax_lines"]]),
)
self.assertEqual(
expected_base_credit,
sum([tax_line["base_credit"] for tax_line in rec["tax_lines"]]),
)
self.assertEqual(
expected_tax_debit,
sum([tax_line["tax_debit"] for tax_line in rec["tax_lines"]]),
)
self.assertEqual(
expected_tax_credit,
sum([tax_line["tax_credit"] for tax_line in rec["tax_lines"]]),
)
def test_01_test_total(self):
today_date = Date.today()
last_year_date = Date.to_string(datetime.today() - relativedelta(years=1))
move1 = self._add_move(today_date, self.journal_sale, 0, 100, 100, 0)
move2 = self._add_move(last_year_date, self.journal_sale, 0, 100, 100, 0)
wiz = self.JournalLedgerReportWizard.create(
{
"date_from": self.fy_date_start,
"date_to": self.fy_date_end,
"company_id": self.company.id,
"journal_ids": [(6, 0, self.journal_sale.ids)],
"move_target": "all",
}
)
data = wiz._prepare_report_journal_ledger()
res_data = self.JournalLedgerReport._get_report_values(wiz, data)
self.check_report_journal_debit_credit(res_data, 100, 100)
move3 = self._add_move(today_date, self.journal_sale, 0, 100, 100, 0)
res_data = self.JournalLedgerReport._get_report_values(wiz, data)
self.check_report_journal_debit_credit(res_data, 200, 200)
wiz.move_target = "posted"
data = wiz._prepare_report_journal_ledger()
res_data = self.JournalLedgerReport._get_report_values(wiz, data)
self.check_report_journal_debit_credit(res_data, 0, 0)
move1.post()
res_data = self.JournalLedgerReport._get_report_values(wiz, data)
self.check_report_journal_debit_credit(res_data, 100, 100)
move2.post()
res_data = self.JournalLedgerReport._get_report_values(wiz, data)
self.check_report_journal_debit_credit(res_data, 100, 100)
move3.post()
res_data = self.JournalLedgerReport._get_report_values(wiz, data)
self.check_report_journal_debit_credit(res_data, 200, 200)
wiz.date_from = self.previous_fy_date_start
data = wiz._prepare_report_journal_ledger()
res_data = self.JournalLedgerReport._get_report_values(wiz, data)
self.check_report_journal_debit_credit(res_data, 300, 300)
def test_02_test_taxes_out_invoice(self):
move_form = Form(
self.env["account.move"].with_context(default_type="out_invoice")
)
move_form.partner_id = self.partner_2
move_form.journal_id = self.journal_sale
with move_form.invoice_line_ids.new() as line_form:
line_form.name = "test"
line_form.quantity = 1.0
line_form.price_unit = 100
line_form.account_id = self.income_account
line_form.tax_ids.add(self.tax_15_s)
with move_form.invoice_line_ids.new() as line_form:
line_form.name = "test"
line_form.quantity = 1.0
line_form.price_unit = 100
line_form.account_id = self.income_account
line_form.tax_ids.add(self.tax_15_s)
line_form.tax_ids.add(self.tax_20_s)
invoice = move_form.save()
invoice.post()
wiz = self.JournalLedgerReportWizard.create(
{
"date_from": self.fy_date_start,
"date_to": self.fy_date_end,
"company_id": self.company.id,
"journal_ids": [(6, 0, self.journal_sale.ids)],
"move_target": "all",
}
)
data = wiz._prepare_report_journal_ledger()
res_data = self.JournalLedgerReport._get_report_values(wiz, data)
self.check_report_journal_debit_credit(res_data, 250, 250)
self.check_report_journal_debit_credit_taxes(res_data, 0, 300, 0, 50)
def test_03_test_taxes_in_invoice(self):
# invoice_values = {
# "journal_id": self.journal_purchase.id,
# "partner_id": self.partner_2.id,
# "type": "in_invoice",
# "invoice_line_ids": [
# (
# 0,
# 0,
# {
# "quantity": 1.0,
# "price_unit": 100,
# "account_id": self.payable_account.id,
# "name": "Test",
# "tax_ids": [(6, 0, [self.tax_15_p.id])],
# },
# ),
# (
# 0,
# 0,
# {
# "quantity": 1.0,
# "price_unit": 100,
# "account_id": self.payable_account.id,
# "name": "Test",
# "tax_ids": [
# (6, 0, [self.tax_15_p.id, self.tax_20_p.id])
# ],
# },
# ),
# ],
# }
# invoice = self.InvoiceObj.create(invoice_values)
# invoice.post()
move_form = Form(
self.env["account.move"].with_context(default_type="in_invoice")
)
move_form.partner_id = self.partner_2
move_form.journal_id = self.journal_purchase
with move_form.invoice_line_ids.new() as line_form:
line_form.name = "test"
line_form.quantity = 1.0
line_form.price_unit = 100
line_form.account_id = self.expense_account
line_form.tax_ids.add(self.tax_15_p)
with move_form.invoice_line_ids.new() as line_form:
line_form.name = "test"
line_form.quantity = 1.0
line_form.price_unit = 100
line_form.account_id = self.expense_account
line_form.tax_ids.add(self.tax_15_p)
line_form.tax_ids.add(self.tax_20_p)
invoice = move_form.save()
invoice.post()
wiz = self.JournalLedgerReportWizard.create(
{
"date_from": self.fy_date_start,
"date_to": self.fy_date_end,
"company_id": self.company.id,
"journal_ids": [(6, 0, self.journal_purchase.ids)],
"move_target": "all",
}
)
data = wiz._prepare_report_journal_ledger()
res_data = self.JournalLedgerReport._get_report_values(wiz, data)
self.check_report_journal_debit_credit(res_data, 250, 250)
self.check_report_journal_debit_credit_taxes(res_data, 300, 0, 50, 0)

24
account_financial_report/tests/test_open_items.py

@ -0,0 +1,24 @@
# Author: Julien Coux
# Copyright 2016 Camptocamp SA
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo.tests.common import TransactionCase
class TestOpenItems(TransactionCase):
def test_partner_filter(self):
partner_1 = self.env.ref("base.res_partner_1")
partner_2 = self.env.ref("base.res_partner_2")
partner_3 = self.env.ref("base.res_partner_3")
partner_4 = self.env.ref("base.res_partner_4")
partner_1.write({"is_company": False, "parent_id": partner_2.id})
partner_3.write({"is_company": False})
expected_list = [partner_2.id, partner_3.id, partner_4.id]
context = {
"active_ids": [partner_1.id, partner_2.id, partner_3.id, partner_4.id],
"active_model": "res.partner",
}
wizard = self.env["open.items.report.wizard"].with_context(context)
self.assertEqual(wizard._default_partners(), expected_list)

820
account_financial_report/tests/test_trial_balance.py

@ -0,0 +1,820 @@
# Author: Julien Coux
# Copyright 2016 Camptocamp SA
# Copyright 2020 ForgeFlow S.L. (https://www.forgeflow.com)
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo.tests import common
class TestTrialBalanceReport(common.TransactionCase):
def setUp(self):
super(TestTrialBalanceReport, self).setUp()
group_obj = self.env["account.group"]
acc_obj = self.env["account.account"]
self.group1 = group_obj.create({"code_prefix": "1", "name": "Group 1"})
self.group11 = group_obj.create(
{"code_prefix": "11", "name": "Group 11", "parent_id": self.group1.id}
)
self.group2 = group_obj.create({"code_prefix": "2", "name": "Group 2"})
self.account100 = acc_obj.create(
{
"code": "100",
"name": "Account 100",
"group_id": self.group1.id,
"user_type_id": self.env.ref("account.data_account_type_receivable").id,
"reconcile": True,
}
)
self.account110 = self.env["account.account"].search(
[
(
"user_type_id",
"=",
self.env.ref("account.data_unaffected_earnings").id,
)
],
limit=1,
)
self.account200 = acc_obj.create(
{
"code": "200",
"name": "Account 200",
"group_id": self.group2.id,
"user_type_id": self.env.ref(
"account.data_account_type_other_income"
).id,
}
)
self.account300 = acc_obj.create(
{
"code": "300",
"name": "Account 300",
"user_type_id": self.env.ref(
"account.data_account_type_other_income"
).id,
}
)
self.account301 = acc_obj.create(
{
"code": "301",
"name": "Account 301",
"group_id": self.group2.id,
"user_type_id": self.env.ref(
"account.data_account_type_other_income"
).id,
}
)
self.previous_fy_date_start = "2015-01-01"
self.previous_fy_date_end = "2015-12-31"
self.fy_date_start = "2016-01-01"
self.fy_date_end = "2016-12-31"
self.date_start = "2016-01-01"
self.date_end = "2016-12-31"
self.partner = self.env.ref("base.res_partner_12")
self.unaffected_account = self.env["account.account"].search(
[
(
"user_type_id",
"=",
self.env.ref("account.data_unaffected_earnings").id,
)
],
limit=1,
)
def _add_move(
self,
date,
receivable_debit,
receivable_credit,
income_debit,
income_credit,
unaffected_debit=0,
unaffected_credit=0,
):
journal = self.env["account.journal"].search([], limit=1)
partner = self.env.ref("base.res_partner_12")
move_vals = {
"journal_id": journal.id,
"date": date,
"line_ids": [
(
0,
0,
{
"debit": receivable_debit,
"credit": receivable_credit,
"partner_id": partner.id,
"account_id": self.account100.id,
},
),
(
0,
0,
{
"debit": income_debit,
"credit": income_credit,
"partner_id": partner.id,
"account_id": self.account200.id,
},
),
(
0,
0,
{
"debit": unaffected_debit,
"credit": unaffected_credit,
"partner_id": partner.id,
"account_id": self.account110.id,
},
),
(
0,
0,
{
"debit": receivable_debit,
"credit": receivable_credit,
"partner_id": partner.id,
"account_id": self.account300.id,
},
),
(
0,
0,
{
"debit": receivable_credit,
"credit": receivable_debit,
"partner_id": partner.id,
"account_id": self.account301.id,
},
),
],
}
move = self.env["account.move"].create(move_vals)
move.post()
def _get_report_lines(self, with_partners=False, hierarchy_on="computed"):
company = self.env.ref("base.main_company")
trial_balance = self.env["trial.balance.report.wizard"].create(
{
"date_from": self.date_start,
"date_to": self.date_end,
"target_move": "posted",
"hide_account_at_0": True,
"hierarchy_on": hierarchy_on,
"company_id": company.id,
"fy_start_date": self.fy_date_start,
"show_partner_details": with_partners,
}
)
data = trial_balance._prepare_report_trial_balance()
res_data = self.env[
"report.account_financial_report.trial_balance"
]._get_report_values(trial_balance, data)
return res_data
def check_account_in_report(self, account_id, trial_balance):
account_in_report = False
for account in trial_balance:
if account["id"] == account_id and account["type"] == "account_type":
account_in_report = True
break
return account_in_report
def _get_account_lines(self, account_id, trial_balance):
lines = False
for account in trial_balance:
if account["id"] == account_id and account["type"] == "account_type":
lines = {
"initial_balance": account["initial_balance"],
"debit": account["debit"],
"credit": account["credit"],
"final_balance": account["ending_balance"],
}
return lines
def _get_group_lines(self, group_id, trial_balance):
lines = False
for group in trial_balance:
if group["id"] == group_id and group["type"] == "group_type":
lines = {
"initial_balance": group["initial_balance"],
"debit": group["debit"],
"credit": group["credit"],
"final_balance": group["ending_balance"],
}
return lines
def check_partner_in_report(self, account_id, partner_id, total_amount):
partner_in_report = False
if account_id in total_amount.keys():
if partner_id in total_amount[account_id]:
partner_in_report = True
return partner_in_report
def _get_partner_lines(self, account_id, partner_id, total_amount):
acc_id = account_id
prt_id = partner_id
lines = {
"initial_balance": total_amount[acc_id][prt_id]["initial_balance"],
"debit": total_amount[acc_id][prt_id]["debit"],
"credit": total_amount[acc_id][prt_id]["credit"],
"final_balance": total_amount[acc_id][prt_id]["ending_balance"],
}
return lines
def _sum_all_accounts(self, trial_balance, feature):
total = 0.0
for account in trial_balance:
if account["type"] == "account_type":
for key in account.keys():
if key == feature:
total += account[key]
return total
def test_00_account_group(self):
self.assertTrue(self.account100 in self.group1.compute_account_ids)
self.assertTrue(self.account200 in self.group2.compute_account_ids)
def test_01_account_balance_computed(self):
# Make sure there's no account of type "Current Year Earnings" in the
# groups - We change the code
earning_accs = self.env["account.account"].search(
[("user_type_id", "=", self.env.ref("account.data_unaffected_earnings").id)]
)
for acc in earning_accs:
if acc.code.startswith("1") or acc.code.startswith("2"):
acc.code = "999" + acc.code
# Generate the general ledger line
res_data = self._get_report_lines()
trial_balance = res_data["trial_balance"]
check_receivable_account = self.check_account_in_report(
self.account100.id, trial_balance
)
self.assertFalse(check_receivable_account)
check_income_account = self.check_account_in_report(
self.account200.id, trial_balance
)
self.assertFalse(check_income_account)
# Add a move at the previous day of the first day of fiscal year
# to check the initial balance
self._add_move(
date=self.previous_fy_date_end,
receivable_debit=1000,
receivable_credit=0,
income_debit=0,
income_credit=1000,
)
# Re Generate the trial balance line
res_data = self._get_report_lines()
trial_balance = res_data["trial_balance"]
check_receivable_account = self.check_account_in_report(
self.account100.id, trial_balance
)
self.assertTrue(check_receivable_account)
check_income_account = self.check_account_in_report(
self.account200.id, trial_balance
)
self.assertFalse(check_income_account)
# Check the initial and final balance
account_receivable_lines = self._get_account_lines(
self.account100.id, trial_balance
)
group1_lines = self._get_group_lines(self.group1.id, trial_balance)
self.assertEqual(account_receivable_lines["initial_balance"], 1000)
self.assertEqual(account_receivable_lines["debit"], 0)
self.assertEqual(account_receivable_lines["credit"], 0)
self.assertEqual(account_receivable_lines["final_balance"], 1000)
self.assertEqual(group1_lines["initial_balance"], 1000)
self.assertEqual(group1_lines["debit"], 0)
self.assertEqual(group1_lines["credit"], 0)
self.assertEqual(group1_lines["final_balance"], 1000)
# Add reversed move of the initial move the first day of fiscal year
# to check the first day of fiscal year is not used
# to compute the initial balance
self._add_move(
date=self.fy_date_start,
receivable_debit=0,
receivable_credit=1000,
income_debit=1000,
income_credit=0,
)
# Re Generate the trial balance line
res_data = self._get_report_lines()
trial_balance = res_data["trial_balance"]
check_receivable_account = self.check_account_in_report(
self.account100.id, trial_balance
)
self.assertTrue(check_receivable_account)
check_income_account = self.check_account_in_report(
self.account200.id, trial_balance
)
self.assertTrue(check_income_account)
# Check the initial and final balance
account_receivable_lines = self._get_account_lines(
self.account100.id, trial_balance
)
account_income_lines = self._get_account_lines(
self.account200.id, trial_balance
)
group1_lines = self._get_group_lines(self.group1.id, trial_balance)
group2_lines = self._get_group_lines(self.group2.id, trial_balance)
self.assertEqual(account_receivable_lines["initial_balance"], 1000)
self.assertEqual(account_receivable_lines["debit"], 0)
self.assertEqual(account_receivable_lines["credit"], 1000)
self.assertEqual(account_receivable_lines["final_balance"], 0)
self.assertEqual(account_income_lines["initial_balance"], 0)
self.assertEqual(account_income_lines["debit"], 1000)
self.assertEqual(account_income_lines["credit"], 0)
self.assertEqual(account_income_lines["final_balance"], 1000)
self.assertEqual(group1_lines["initial_balance"], 1000)
self.assertEqual(group1_lines["debit"], 0)
self.assertEqual(group1_lines["credit"], 1000)
self.assertEqual(group1_lines["final_balance"], 0)
self.assertEqual(group2_lines["initial_balance"], 0)
self.assertEqual(group2_lines["debit"], 1000)
self.assertEqual(group2_lines["credit"], 0)
self.assertEqual(group2_lines["final_balance"], 1000)
# Add another move at the end day of fiscal year
# to check that it correctly used on report
self._add_move(
date=self.fy_date_end,
receivable_debit=0,
receivable_credit=1000,
income_debit=1000,
income_credit=0,
)
# Re Generate the trial balance line
res_data = self._get_report_lines()
trial_balance = res_data["trial_balance"]
check_receivable_account = self.check_account_in_report(
self.account100.id, trial_balance
)
self.assertTrue(check_receivable_account)
check_income_account = self.check_account_in_report(
self.account200.id, trial_balance
)
self.assertTrue(check_income_account)
# Check the initial and final balance
account_receivable_lines = self._get_account_lines(
self.account100.id, trial_balance
)
account_income_lines = self._get_account_lines(
self.account200.id, trial_balance
)
group1_lines = self._get_group_lines(self.group1.id, trial_balance)
group2_lines = self._get_group_lines(self.group2.id, trial_balance)
self.assertEqual(account_receivable_lines["initial_balance"], 1000)
self.assertEqual(account_receivable_lines["debit"], 0)
self.assertEqual(account_receivable_lines["credit"], 2000)
self.assertEqual(account_receivable_lines["final_balance"], -1000)
self.assertEqual(account_income_lines["initial_balance"], 0)
self.assertEqual(account_income_lines["debit"], 2000)
self.assertEqual(account_income_lines["credit"], 0)
self.assertEqual(account_income_lines["final_balance"], 2000)
self.assertEqual(group1_lines["initial_balance"], 1000)
self.assertEqual(group1_lines["debit"], 0)
self.assertEqual(group1_lines["credit"], 2000)
self.assertEqual(group1_lines["final_balance"], -1000)
self.assertEqual(group2_lines["initial_balance"], 0)
self.assertEqual(group2_lines["debit"], 2000)
self.assertEqual(group2_lines["credit"], 0)
self.assertEqual(group2_lines["final_balance"], 2000)
def test_02_account_balance_hierarchy(self):
# Generate the general ledger line
res_data = self._get_report_lines(hierarchy_on="relation")
trial_balance = res_data["trial_balance"]
check_receivable_account = self.check_account_in_report(
self.account100.id, trial_balance
)
self.assertFalse(check_receivable_account)
check_income_account = self.check_account_in_report(
self.account200.id, trial_balance
)
self.assertFalse(check_income_account)
# Add a move at the previous day of the first day of fiscal year
# to check the initial balance
self._add_move(
date=self.previous_fy_date_end,
receivable_debit=1000,
receivable_credit=0,
income_debit=0,
income_credit=1000,
)
# Re Generate the trial balance line
res_data = self._get_report_lines(hierarchy_on="relation")
trial_balance = res_data["trial_balance"]
check_receivable_account = self.check_account_in_report(
self.account100.id, trial_balance
)
self.assertTrue(check_receivable_account)
check_income_account = self.check_account_in_report(
self.account200.id, trial_balance
)
self.assertFalse(check_income_account)
# Check the initial and final balance
account_receivable_lines = self._get_account_lines(
self.account100.id, trial_balance
)
group1_lines = self._get_group_lines(self.group1.id, trial_balance)
self.assertEqual(account_receivable_lines["initial_balance"], 1000)
self.assertEqual(account_receivable_lines["debit"], 0)
self.assertEqual(account_receivable_lines["credit"], 0)
self.assertEqual(account_receivable_lines["final_balance"], 1000)
self.assertEqual(group1_lines["initial_balance"], 1000)
self.assertEqual(group1_lines["debit"], 0)
self.assertEqual(group1_lines["credit"], 0)
self.assertEqual(group1_lines["final_balance"], 1000)
# Add reversale move of the initial move the first day of fiscal year
# to check the first day of fiscal year is not used
# to compute the initial balance
self._add_move(
date=self.fy_date_start,
receivable_debit=0,
receivable_credit=1000,
income_debit=1000,
income_credit=0,
)
# Re Generate the trial balance line
res_data = self._get_report_lines(hierarchy_on="relation")
trial_balance = res_data["trial_balance"]
check_receivable_account = self.check_account_in_report(
self.account100.id, trial_balance
)
self.assertTrue(check_receivable_account)
check_income_account = self.check_account_in_report(
self.account200.id, trial_balance
)
self.assertTrue(check_income_account)
# Check the initial and final balance
account_receivable_lines = self._get_account_lines(
self.account100.id, trial_balance
)
account_income_lines = self._get_account_lines(
self.account200.id, trial_balance
)
group1_lines = self._get_group_lines(self.group1.id, trial_balance)
group2_lines = self._get_group_lines(self.group2.id, trial_balance)
self.assertEqual(account_receivable_lines["initial_balance"], 1000)
self.assertEqual(account_receivable_lines["debit"], 0)
self.assertEqual(account_receivable_lines["credit"], 1000)
self.assertEqual(account_receivable_lines["final_balance"], 0)
self.assertEqual(account_income_lines["initial_balance"], 0)
self.assertEqual(account_income_lines["debit"], 1000)
self.assertEqual(account_income_lines["credit"], 0)
self.assertEqual(account_income_lines["final_balance"], 1000)
self.assertEqual(group1_lines["initial_balance"], 1000)
self.assertEqual(group1_lines["debit"], 0)
self.assertEqual(group1_lines["credit"], 1000)
self.assertEqual(group1_lines["final_balance"], 0)
self.assertEqual(group2_lines["initial_balance"], 0)
self.assertEqual(group2_lines["debit"], 2000)
self.assertEqual(group2_lines["credit"], 0)
self.assertEqual(group2_lines["final_balance"], 2000)
# Add another move at the end day of fiscal year
# to check that it correctly used on report
self._add_move(
date=self.fy_date_end,
receivable_debit=0,
receivable_credit=1000,
income_debit=1000,
income_credit=0,
)
# Re Generate the trial balance line
res_data = self._get_report_lines(hierarchy_on="relation")
trial_balance = res_data["trial_balance"]
check_receivable_account = self.check_account_in_report(
self.account100.id, trial_balance
)
self.assertTrue(check_receivable_account)
check_income_account = self.check_account_in_report(
self.account200.id, trial_balance
)
self.assertTrue(check_income_account)
# Check the initial and final balance
account_receivable_lines = self._get_account_lines(
self.account100.id, trial_balance
)
account_income_lines = self._get_account_lines(
self.account200.id, trial_balance
)
group1_lines = self._get_group_lines(self.group1.id, trial_balance)
group2_lines = self._get_group_lines(self.group2.id, trial_balance)
self.assertEqual(account_receivable_lines["initial_balance"], 1000)
self.assertEqual(account_receivable_lines["debit"], 0)
self.assertEqual(account_receivable_lines["credit"], 2000)
self.assertEqual(account_receivable_lines["final_balance"], -1000)
self.assertEqual(account_income_lines["initial_balance"], 0)
self.assertEqual(account_income_lines["debit"], 2000)
self.assertEqual(account_income_lines["credit"], 0)
self.assertEqual(account_income_lines["final_balance"], 2000)
self.assertEqual(group1_lines["initial_balance"], 1000)
self.assertEqual(group1_lines["debit"], 0)
self.assertEqual(group1_lines["credit"], 2000)
self.assertEqual(group1_lines["final_balance"], -1000)
self.assertEqual(group2_lines["initial_balance"], 0)
self.assertEqual(group2_lines["debit"], 4000)
self.assertEqual(group2_lines["credit"], 0)
self.assertEqual(group2_lines["final_balance"], 4000)
def test_03_partner_balance(self):
# Generate the trial balance line
res_data = self._get_report_lines(with_partners=True)
total_amount = res_data["total_amount"]
check_partner_receivable = self.check_partner_in_report(
self.account100.id, self.partner.id, total_amount
)
self.assertFalse(check_partner_receivable)
# Add a move at the previous day of the first day of fiscal year
# to check the initial balance
self._add_move(
date=self.previous_fy_date_end,
receivable_debit=1000,
receivable_credit=0,
income_debit=0,
income_credit=1000,
)
# Re Generate the trial balance line
res_data = self._get_report_lines(with_partners=True)
total_amount = res_data["total_amount"]
check_partner_receivable = self.check_partner_in_report(
self.account100.id, self.partner.id, total_amount
)
self.assertTrue(check_partner_receivable)
# Check the initial and final balance
partner_lines = self._get_partner_lines(
self.account100.id, self.partner.id, total_amount
)
self.assertEqual(partner_lines["initial_balance"], 1000)
self.assertEqual(partner_lines["debit"], 0)
self.assertEqual(partner_lines["credit"], 0)
self.assertEqual(partner_lines["final_balance"], 1000)
# Add reversale move of the initial move the first day of fiscal year
# to check the first day of fiscal year is not used
# to compute the initial balance
self._add_move(
date=self.fy_date_start,
receivable_debit=0,
receivable_credit=1000,
income_debit=1000,
income_credit=0,
)
# Re Generate the trial balance line
res_data = self._get_report_lines(with_partners=True)
total_amount = res_data["total_amount"]
check_partner_receivable = self.check_partner_in_report(
self.account100.id, self.partner.id, total_amount
)
self.assertTrue(check_partner_receivable)
# Check the initial and final balance
partner_lines = self._get_partner_lines(
self.account100.id, self.partner.id, total_amount
)
self.assertEqual(partner_lines["initial_balance"], 1000)
self.assertEqual(partner_lines["debit"], 0)
self.assertEqual(partner_lines["credit"], 1000)
self.assertEqual(partner_lines["final_balance"], 0)
# Add another move at the end day of fiscal year
# to check that it correctly used on report
self._add_move(
date=self.fy_date_end,
receivable_debit=0,
receivable_credit=1000,
income_debit=1000,
income_credit=0,
)
# Re Generate the trial balance line
res_data = self._get_report_lines(with_partners=True)
total_amount = res_data["total_amount"]
check_partner_receivable = self.check_partner_in_report(
self.account100.id, self.partner.id, total_amount
)
self.assertTrue(check_partner_receivable)
# Check the initial and final balance
partner_lines = self._get_partner_lines(
self.account100.id, self.partner.id, total_amount
)
self.assertEqual(partner_lines["initial_balance"], 1000)
self.assertEqual(partner_lines["debit"], 0)
self.assertEqual(partner_lines["credit"], 2000)
self.assertEqual(partner_lines["final_balance"], -1000)
def test_04_undistributed_pl(self):
# Add a P&L Move in the previous FY
journal = self.env["account.journal"].search([], limit=1)
move_vals = {
"journal_id": journal.id,
"date": self.previous_fy_date_end,
"line_ids": [
(
0,
0,
{"debit": 0.0, "credit": 1000.0, "account_id": self.account300.id},
),
(
0,
0,
{"debit": 1000.0, "credit": 0.0, "account_id": self.account100.id},
),
],
}
move = self.env["account.move"].create(move_vals)
move.post()
# Generate the trial balance line
company = self.env.ref("base.main_company")
trial_balance = self.env["trial.balance.report.wizard"].create(
{
"date_from": self.date_start,
"date_to": self.date_end,
"target_move": "posted",
"hide_account_at_0": False,
"hierarchy_on": "none",
"company_id": company.id,
"fy_start_date": self.fy_date_start,
}
)
data = trial_balance._prepare_report_trial_balance()
res_data = self.env[
"report.account_financial_report.trial_balance"
]._get_report_values(trial_balance, data)
trial_balance = res_data["trial_balance"]
check_unaffected_account = self.check_account_in_report(
self.unaffected_account.id, trial_balance
)
self.assertTrue(check_unaffected_account)
unaffected_lines = self._get_account_lines(
self.unaffected_account.id, trial_balance
)
self.assertEqual(unaffected_lines["initial_balance"], -1000)
self.assertEqual(unaffected_lines["debit"], 0)
self.assertEqual(unaffected_lines["credit"], 0)
self.assertEqual(unaffected_lines["final_balance"], -1000)
# Add a P&L Move to the current FY
journal = self.env["account.journal"].search([], limit=1)
move_vals = {
"journal_id": journal.id,
"date": self.date_start,
"line_ids": [
(
0,
0,
{"debit": 0.0, "credit": 1000.0, "account_id": self.account300.id},
),
(
0,
0,
{"debit": 1000.0, "credit": 0.0, "account_id": self.account100.id},
),
],
}
move = self.env["account.move"].create(move_vals)
move.post()
# Re Generate the trial balance line
trial_balance = self.env["trial.balance.report.wizard"].create(
{
"date_from": self.date_start,
"date_to": self.date_end,
"target_move": "posted",
"hide_account_at_0": False,
"hierarchy_on": "none",
"company_id": company.id,
"fy_start_date": self.fy_date_start,
}
)
data = trial_balance._prepare_report_trial_balance()
res_data = self.env[
"report.account_financial_report.trial_balance"
]._get_report_values(trial_balance, data)
trial_balance = res_data["trial_balance"]
# The unaffected earnings account is not affected by a journal entry
# made to the P&L in the current fiscal year.
check_unaffected_account = self.check_account_in_report(
self.unaffected_account.id, trial_balance
)
self.assertTrue(check_unaffected_account)
unaffected_lines = self._get_account_lines(
self.unaffected_account.id, trial_balance
)
self.assertEqual(unaffected_lines["initial_balance"], -1000)
self.assertEqual(unaffected_lines["debit"], 0)
self.assertEqual(unaffected_lines["credit"], 0)
self.assertEqual(unaffected_lines["final_balance"], -1000)
# Add a Move including Unaffected Earnings to the current FY
journal = self.env["account.journal"].search([], limit=1)
move_vals = {
"journal_id": journal.id,
"date": self.date_start,
"line_ids": [
(
0,
0,
{"debit": 0.0, "credit": 1000.0, "account_id": self.account110.id},
),
(
0,
0,
{"debit": 1000.0, "credit": 0.0, "account_id": self.account100.id},
),
],
}
move = self.env["account.move"].create(move_vals)
move.post()
# Re Generate the trial balance line
trial_balance = self.env["trial.balance.report.wizard"].create(
{
"date_from": self.date_start,
"date_to": self.date_end,
"target_move": "posted",
"hide_account_at_0": False,
"hierarchy_on": "none",
"company_id": company.id,
"fy_start_date": self.fy_date_start,
}
)
data = trial_balance._prepare_report_trial_balance()
res_data = self.env[
"report.account_financial_report.trial_balance"
]._get_report_values(trial_balance, data)
trial_balance = res_data["trial_balance"]
# The unaffected earnings account affected by a journal entry
# made to the unaffected earnings in the current fiscal year.
check_unaffected_account = self.check_account_in_report(
self.unaffected_account.id, trial_balance
)
self.assertTrue(check_unaffected_account)
unaffected_lines = self._get_account_lines(
self.unaffected_account.id, trial_balance
)
self.assertEqual(unaffected_lines["initial_balance"], -1000)
self.assertEqual(unaffected_lines["debit"], 0)
self.assertEqual(unaffected_lines["credit"], 1000)
self.assertEqual(unaffected_lines["final_balance"], -2000)
# The totals for the Trial Balance are zero
total_initial_balance = self._sum_all_accounts(trial_balance, "initial_balance")
total_final_balance = self._sum_all_accounts(trial_balance, "ending_balance")
total_debit = self._sum_all_accounts(trial_balance, "debit")
total_credit = self._sum_all_accounts(trial_balance, "credit")
self.assertEqual(total_initial_balance, 0)
self.assertEqual(total_final_balance, 0)
self.assertEqual(total_debit, total_credit)

367
account_financial_report/tests/test_vat_report.py

@ -0,0 +1,367 @@
# Copyright 2018 Forest and Biomass Romania
# Copyright 2020 ForgeFlow S.L. (https://www.forgeflow.com)
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
import time
from datetime import date
from odoo.tests import common
class TestVATReport(common.TransactionCase):
def setUp(self):
super(TestVATReport, self).setUp()
self.date_from = time.strftime("%Y-%m-01")
self.date_to = time.strftime("%Y-%m-28")
self.company = self.env.ref("base.main_company")
self.receivable_account = self.env["account.account"].search(
[
("company_id", "=", self.company.id),
("user_type_id.name", "=", "Receivable"),
],
limit=1,
)
self.income_account = self.env["account.account"].search(
[
("company_id", "=", self.company.id),
("user_type_id.name", "=", "Income"),
],
limit=1,
)
self.tax_account = self.env["account.account"].search(
[
("company_id", "=", self.company.id),
(
"user_type_id",
"=",
self.env.ref(
"account.data_account_type_non_current_liabilities"
).id,
),
],
limit=1,
)
self.bank_journal = self.env["account.journal"].search(
[("type", "=", "bank"), ("company_id", "=", self.company.id)], limit=1
)
self.tax_tag_01 = self.env["account.account.tag"].create(
{
"name": "Tag 01",
"applicability": "taxes",
"country_id": self.company.country_id.id,
}
)
self.tax_tag_02 = self.env["account.account.tag"].create(
{
"name": "Tag 02",
"applicability": "taxes",
"country_id": self.company.country_id.id,
}
)
self.tax_tag_03 = self.env["account.account.tag"].create(
{
"name": "Tag 03",
"applicability": "taxes",
"country_id": self.company.country_id.id,
}
)
self.tax_group_10 = self.env["account.tax.group"].create(
{"name": "Tax 10%", "sequence": 1}
)
self.tax_group_20 = self.env["account.tax.group"].create(
{"name": "Tax 20%", "sequence": 2}
)
self.tax_10 = self.env["account.tax"].create(
{
"name": "Tax 10.0%",
"amount": 10.0,
"amount_type": "percent",
"type_tax_use": "sale",
"company_id": self.company.id,
"tax_group_id": self.tax_group_10.id,
"invoice_repartition_line_ids": [
(0, 0, {"factor_percent": 100, "repartition_type": "base"}),
(
0,
0,
{
"factor_percent": 100,
"repartition_type": "tax",
"account_id": self.tax_account.id,
"tag_ids": [
(6, 0, [self.tax_tag_01.id, self.tax_tag_02.id])
],
},
),
],
"refund_repartition_line_ids": [
(0, 0, {"factor_percent": 100, "repartition_type": "base"}),
(
0,
0,
{
"factor_percent": 100,
"repartition_type": "tax",
"account_id": self.tax_account.id,
},
),
],
}
)
self.tax_20 = self.env["account.tax"].create(
{
"sequence": 30,
"name": "Tax 20.0%",
"amount": 20.0,
"amount_type": "percent",
"type_tax_use": "sale",
"company_id": self.company.id,
"cash_basis_transition_account_id": self.tax_account.id,
"tax_group_id": self.tax_group_20.id,
"invoice_repartition_line_ids": [
(0, 0, {"factor_percent": 100, "repartition_type": "base"}),
(
0,
0,
{
"factor_percent": 100,
"repartition_type": "tax",
"account_id": self.tax_account.id,
"tag_ids": [
(6, 0, [self.tax_tag_02.id, self.tax_tag_03.id])
],
},
),
],
"refund_repartition_line_ids": [
(0, 0, {"factor_percent": 100, "repartition_type": "base"}),
(
0,
0,
{
"factor_percent": 100,
"repartition_type": "tax",
"account_id": self.tax_account.id,
},
),
],
}
)
move_form = common.Form(
self.env["account.move"].with_context(default_type="out_invoice")
)
move_form.partner_id = self.env.ref("base.res_partner_2")
move_form.invoice_date = time.strftime("%Y-%m-03")
with move_form.invoice_line_ids.new() as line_form:
line_form.product_id = self.env.ref("product.product_product_4")
line_form.quantity = 1.0
line_form.price_unit = 100.0
line_form.account_id = self.income_account
line_form.tax_ids.add(self.tax_10)
invoice = move_form.save()
invoice.post()
move_form = common.Form(
self.env["account.move"].with_context(default_type="out_invoice")
)
move_form.partner_id = self.env.ref("base.res_partner_2")
with move_form.invoice_line_ids.new() as line_form:
line_form.product_id = self.env.ref("product.product_product_4")
line_form.quantity = 1.0
line_form.price_unit = 250.0
line_form.account_id = self.income_account
line_form.tax_ids.add(self.tax_20)
self.cbinvoice = move_form.save()
self.cbinvoice.post()
def _get_report_lines(self, taxgroups=False):
based_on = "taxtags"
if taxgroups:
based_on = "taxgroups"
vat_report = self.env["vat.report.wizard"].create(
{
"date_from": self.date_from,
"date_to": self.date_to,
"company_id": self.company.id,
"based_on": based_on,
"tax_detail": True,
}
)
data = vat_report._prepare_vat_report()
res_data = self.env[
"report.account_financial_report.vat_report"
]._get_report_values(vat_report, data)
return res_data
def check_tag_or_group_in_report(self, tag_or_group_name, vat_report):
tag_or_group_in_report = False
for tag_or_group in vat_report:
if tag_or_group["name"] == tag_or_group_name:
tag_or_group_in_report = True
break
return tag_or_group_in_report
def check_tax_in_report(self, tax_name, vat_report):
tax_in_report = False
for tag_or_group in vat_report:
if tag_or_group["taxes"]:
for tax in tag_or_group["taxes"]:
if tax["name"] == tax_name:
tax_in_report = True
return tax_in_report
def _get_tag_or_group_line(self, tag_or_group_name, vat_report):
tag_or_group_net = False
tag_or_group_tax = False
for tag_or_group in vat_report:
if tag_or_group["name"] == tag_or_group_name:
tag_or_group_net = tag_or_group["net"]
tag_or_group_tax = tag_or_group["tax"]
return tag_or_group_net, tag_or_group_tax
def _get_tax_line(self, tax_name, vat_report):
tax_net = False
tax_tax = False
for tag_or_group in vat_report:
if tag_or_group["taxes"]:
for tax in tag_or_group["taxes"]:
if tax["name"] == tax_name:
tax_net = tax["net"]
tax_tax = tax["tax"]
return tax_net, tax_tax
def test_01_compute(self):
# Generate the vat lines
res_data = self._get_report_lines()
vat_report = res_data["vat_report"]
# Check report based on taxtags
check_tax_tag_01 = self.check_tag_or_group_in_report(
self.tax_tag_01.name, vat_report
)
self.assertTrue(check_tax_tag_01)
check_tax_tag_02 = self.check_tag_or_group_in_report(
self.tax_tag_02.name, vat_report
)
self.assertTrue(check_tax_tag_02)
check_tax_tag_03 = self.check_tag_or_group_in_report(
self.tax_tag_03.name, vat_report
)
self.assertTrue(check_tax_tag_03)
check_tax_10 = self.check_tax_in_report(self.tax_10.name, vat_report)
self.assertTrue(check_tax_10)
check_tax_20 = self.check_tax_in_report(self.tax_20.name, vat_report)
self.assertTrue(check_tax_20)
tag_01_net, tag_01_tax = self._get_tag_or_group_line(
self.tax_tag_01.name, vat_report
)
tag_02_net, tag_02_tax = self._get_tag_or_group_line(
self.tax_tag_02.name, vat_report
)
tag_03_net, tag_03_tax = self._get_tag_or_group_line(
self.tax_tag_03.name, vat_report
)
tax_10_net, tax_10_tax = self._get_tax_line(self.tax_10.name, vat_report)
tax_20_net, tax_20_tax = self._get_tax_line(self.tax_20.name, vat_report)
self.assertEqual(tag_01_net, 100)
self.assertEqual(tag_01_tax, 10)
self.assertEqual(tag_02_net, 350)
self.assertEqual(tag_02_tax, 60)
self.assertEqual(tag_03_net, 250)
self.assertEqual(tag_03_tax, 50)
self.assertEqual(tax_10_net, 100)
self.assertEqual(tax_10_tax, 10)
self.assertEqual(tax_20_net, 250)
self.assertEqual(tax_20_tax, 50)
# Check report based on taxgroups
res_data = self._get_report_lines(taxgroups=True)
vat_report = res_data["vat_report"]
check_group_10 = self.check_tag_or_group_in_report(
self.tax_group_10.name, vat_report
)
self.assertTrue(check_group_10)
check_group_20 = self.check_tag_or_group_in_report(
self.tax_group_20.name, vat_report
)
self.assertTrue(check_group_20)
check_tax_10 = self.check_tax_in_report(self.tax_10.name, vat_report)
self.assertTrue(check_tax_10)
check_tax_20 = self.check_tax_in_report(self.tax_20.name, vat_report)
self.assertTrue(check_tax_20)
group_10_net, group_10_tax = self._get_tag_or_group_line(
self.tax_group_10.name, vat_report
)
group_20_net, group_20_tax = self._get_tag_or_group_line(
self.tax_group_20.name, vat_report
)
tax_10_net, tax_10_tax = self._get_tax_line(self.tax_10.name, vat_report)
tax_20_net, tax_20_tax = self._get_tax_line(self.tax_20.name, vat_report)
self.assertEqual(group_10_net, 100)
self.assertEqual(group_10_tax, 10)
self.assertEqual(group_20_net, 250)
self.assertEqual(group_20_tax, 50)
self.assertEqual(tax_10_net, 100)
self.assertEqual(tax_10_tax, 10)
self.assertEqual(tax_20_net, 250)
self.assertEqual(tax_20_tax, 50)
def test_wizard_date_range(self):
vat_wizard = self.env["vat.report.wizard"]
date_range = self.env["date.range"]
self.type = self.env["date.range.type"].create(
{"name": "Month", "company_id": False, "allow_overlap": False}
)
dt = date_range.create(
{
"name": "FS2016",
"date_start": time.strftime("%Y-%m-01"),
"date_end": time.strftime("%Y-%m-28"),
"type_id": self.type.id,
}
)
wizard = vat_wizard.create(
{
"date_range_id": dt.id,
"date_from": time.strftime("%Y-%m-28"),
"date_to": time.strftime("%Y-%m-01"),
"tax_detail": True,
}
)
wizard.onchange_date_range_id()
self.assertEqual(
wizard.date_from, date(date.today().year, date.today().month, 1)
)
self.assertEqual(
wizard.date_to, date(date.today().year, date.today().month, 28)
)
wizard._export("qweb-pdf")
wizard.button_export_html()
wizard.button_export_pdf()
wizard.button_export_xlsx()
wizard = vat_wizard.create(
{
"date_range_id": dt.id,
"date_from": time.strftime("%Y-%m-28"),
"date_to": time.strftime("%Y-%m-01"),
"based_on": "taxgroups",
"tax_detail": True,
}
)
wizard.onchange_date_range_id()
self.assertEqual(
wizard.date_from, date(date.today().year, date.today().month, 1)
)
self.assertEqual(
wizard.date_to, date(date.today().year, date.today().month, 28)
)
wizard._export("qweb-pdf")
wizard.button_export_html()
wizard.button_export_pdf()
wizard.button_export_xlsx()

14
account_financial_report/view/account_view.xml

@ -0,0 +1,14 @@
<?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="centralized" />
</field>
</field>
</record>
</odoo>

9
account_financial_report/view/report_aged_partner_balance.xml

@ -0,0 +1,9 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<template id="report_aged_partner_balance">
<div class="o_account_financial_reports_page">
<t t-call="account_financial_report.report_buttons" />
<t t-call="account_financial_report.report_aged_partner_balance_base" />
</div>
</template>
</odoo>

9
account_financial_report/view/report_general_ledger.xml

@ -0,0 +1,9 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<template id="report_general_ledger">
<div class="o_account_financial_reports_page">
<t t-call="account_financial_report.report_buttons" />
<t t-call="account_financial_report.report_general_ledger_base" />
</div>
</template>
</odoo>

9
account_financial_report/view/report_journal_ledger.xml

@ -0,0 +1,9 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<template id="report_journal_ledger">
<div class="o_account_financial_reports_page">
<t t-call="account_financial_report.report_buttons" />
<t t-call="account_financial_report.report_journal_ledger_base" />
</div>
</template>
</odoo>

9
account_financial_report/view/report_open_items.xml

@ -0,0 +1,9 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<template id="report_open_items">
<div class="o_account_financial_reports_page">
<t t-call="account_financial_report.report_buttons" />
<t t-call="account_financial_report.report_open_items_base" />
</div>
</template>
</odoo>

81
account_financial_report/view/report_template.xml

@ -0,0 +1,81 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<template
id="account_financial_report_assets_backend"
name="account_financial_report assets"
inherit_id="web.assets_backend"
>
<xpath expr="." position="inside">
<link
href="/account_financial_report/static/src/css/report.css"
rel="stylesheet"
/>
<script
type="text/javascript"
src="/account_financial_report/static/src/js/account_financial_report_backend.js"
/>
<script
type="text/javascript"
src="/account_financial_report/static/src/js/account_financial_report_widgets.js"
/>
</xpath>
</template>
<template id="report_buttons">
<div class="button_row">
<button class="o_account_financial_reports_print btn btn-sm oe_button"><span
class="fa fa-print"
/> Print</button>
<button
class="o_account_financial_reports_export btn btn-sm oe_button"
><span class="fa fa-download" /> Export</button>
</div>
</template>
<record id="action_report_general_ledger" model="ir.actions.client">
<field name="name">General Ledger</field>
<field name="tag">account_financial_report_backend</field>
<field
name="context"
eval="{'model': 'report.account_financial_report.general_ledger'}"
/>
</record>
<record id="action_report_journal_ledger" model="ir.actions.client">
<field name="name">Journal</field>
<field name="tag">account_financial_report_backend</field>
<field
name="context"
eval="{'model': 'report.account_financial_report.journal_ledger'}"
/>
</record>
<record id="action_report_open_items" model="ir.actions.client">
<field name="name">Open Items</field>
<field name="tag">account_financial_report_backend</field>
<field
name="context"
eval="{'model': 'report.account_financial_report.open_items'}"
/>
</record>
<record id="action_report_trial_balance" model="ir.actions.client">
<field name="name">Trial Balance</field>
<field name="tag">account_financial_report_backend</field>
<field
name="context"
eval="{'model': 'report.account_financial_report.trial_balance'}"
/>
</record>
<record id="action_report_aged_partner_balance" model="ir.actions.client">
<field name="name">Aged Partner Balance</field>
<field name="tag">account_financial_report_backend</field>
<field
name="context"
eval="{'model': 'report.account_financial_report.aged_partner_balance'}"
/>
</record>
<record id="action_report_vat_report" model="ir.actions.client">
<field name="name">VAT Report</field>
<field name="tag">account_financial_report_backend</field>
<field
name="context"
eval="{'model': 'report.account_financial_report.vat_report'}"
/>
</record>
</odoo>

9
account_financial_report/view/report_trial_balance.xml

@ -0,0 +1,9 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<template id="report_trial_balance">
<div class="o_account_financial_reports_page">
<t t-call="account_financial_report.report_buttons" />
<t t-call="account_financial_report.report_trial_balance_base" />
</div>
</template>
</odoo>

9
account_financial_report/view/report_vat_report.xml

@ -0,0 +1,9 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<template id="report_vat_report">
<div class="o_account_financial_reports_page">
<t t-call="account_financial_report.report_buttons" />
<t t-call="account_financial_report.report_vat_report_base" />
</div>
</template>
</odoo>

7
account_financial_report/wizard/__init__.py

@ -0,0 +1,7 @@
from . import abstract_wizard
from . import aged_partner_balance_wizard
from . import general_ledger_wizard
from . import journal_ledger_wizard
from . import open_items_wizard
from . import trial_balance_wizard
from . import vat_report_wizard

29
account_financial_report/wizard/abstract_wizard.py

@ -0,0 +1,29 @@
# Copyright 2019 Lorenzo Battistini @ TAKOBI
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo import models
class AbstractWizard(models.AbstractModel):
_name = "account_financial_report_abstract_wizard"
_description = "Abstract Wizard"
def _get_partner_ids_domain(self):
return [
"&",
"|",
("company_id", "=", self.company_id.id),
("company_id", "=", False),
"|",
("parent_id", "=", False),
("is_company", "=", True),
]
def _default_partners(self):
context = self.env.context
if context.get("active_ids") and context.get("active_model") == "res.partner":
partners = self.env["res.partner"].browse(context["active_ids"])
corp_partners = partners.filtered("parent_id")
partners -= corp_partners
partners |= corp_partners.mapped("commercial_partner_id")
return partners.ids

119
account_financial_report/wizard/aged_partner_balance_wizard.py

@ -0,0 +1,119 @@
# Author: Damien Crier, Andrea Stirpe, Kevin Graveman, Dennis Sluijk
# Author: Julien Coux
# Copyright 2016 Camptocamp SA, Onestein B.V.
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo import api, fields, models
class AgedPartnerBalanceWizard(models.TransientModel):
"""Aged partner balance report wizard."""
_name = "aged.partner.balance.report.wizard"
_description = "Aged Partner Balance Wizard"
_inherit = "account_financial_report_abstract_wizard"
company_id = fields.Many2one(
comodel_name="res.company",
default=lambda self: self.env.user.company_id,
required=False,
string="Company",
)
date_at = fields.Date(required=True, default=fields.Date.context_today)
target_move = fields.Selection(
[("posted", "All Posted Entries"), ("all", "All Entries")],
string="Target Moves",
required=True,
default="posted",
)
account_ids = fields.Many2many(
comodel_name="account.account", string="Filter accounts"
)
receivable_accounts_only = fields.Boolean()
payable_accounts_only = fields.Boolean()
partner_ids = fields.Many2many(comodel_name="res.partner", string="Filter partners")
show_move_line_details = fields.Boolean()
@api.onchange("company_id")
def onchange_company_id(self):
"""Handle company change."""
if self.company_id and self.partner_ids:
self.partner_ids = self.partner_ids.filtered(
lambda p: p.company_id == self.company_id or not p.company_id
)
if self.company_id and self.account_ids:
if self.receivable_accounts_only or self.payable_accounts_only:
self.onchange_type_accounts_only()
else:
self.account_ids = self.account_ids.filtered(
lambda a: a.company_id == self.company_id
)
res = {"domain": {"account_ids": [], "partner_ids": []}}
if not self.company_id:
return res
else:
res["domain"]["account_ids"] += [("company_id", "=", self.company_id.id)]
res["domain"]["partner_ids"] += self._get_partner_ids_domain()
return res
@api.onchange("receivable_accounts_only", "payable_accounts_only")
def onchange_type_accounts_only(self):
"""Handle receivable/payable accounts only change."""
domain = [("company_id", "=", self.company_id.id)]
if self.receivable_accounts_only or self.payable_accounts_only:
if self.receivable_accounts_only and self.payable_accounts_only:
domain += [("internal_type", "in", ("receivable", "payable"))]
elif self.receivable_accounts_only:
domain += [("internal_type", "=", "receivable")]
elif self.payable_accounts_only:
domain += [("internal_type", "=", "payable")]
elif not self.receivable_accounts_only and not self.payable_accounts_only:
domain += [("reconcile", "=", True)]
self.account_ids = self.env["account.account"].search(domain)
def _print_report(self, report_type):
self.ensure_one()
data = self._prepare_report_aged_partner_balance()
if report_type == "xlsx":
report_name = "a_f_r.report_aged_partner_balance_xlsx"
else:
report_name = "account_financial_report.aged_partner_balance"
return (
self.env["ir.actions.report"]
.search(
[("report_name", "=", report_name), ("report_type", "=", report_type)],
limit=1,
)
.report_action(self, data=data)
)
def button_export_html(self):
self.ensure_one()
report_type = "qweb-html"
return self._export(report_type)
def button_export_pdf(self):
self.ensure_one()
report_type = "qweb-pdf"
return self._export(report_type)
def button_export_xlsx(self):
self.ensure_one()
report_type = "xlsx"
return self._export(report_type)
def _prepare_report_aged_partner_balance(self):
self.ensure_one()
return {
"wizard_id": self.id,
"date_at": self.date_at,
"only_posted_moves": self.target_move == "posted",
"company_id": self.company_id.id,
"account_ids": self.account_ids.ids,
"partner_ids": self.partner_ids.ids,
"show_move_line_details": self.show_move_line_details,
}
def _export(self, report_type):
"""Default export is PDF."""
return self._print_report(report_type)

80
account_financial_report/wizard/aged_partner_balance_wizard_view.xml

@ -0,0 +1,80 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<!-- AGED PARTNER BALANCE -->
<record id="aged_partner_balance_wizard" model="ir.ui.view">
<field name="name">Aged Partner Balance</field>
<field name="model">aged.partner.balance.report.wizard</field>
<field name="arch" type="xml">
<form>
<group name="main_info">
<field
name="company_id"
options="{'no_create': True}"
groups="base.group_multi_company"
/>
</group>
<group name="filters">
<group name="date_range">
<field name="date_at" />
</group>
<group name="other_filters">
<field name="target_move" widget="radio" />
<field name="show_move_line_details" />
</group>
</group>
<group name="partner_filter" col="1">
<label for="partner_ids" />
<field
name="partner_ids"
nolabel="1"
widget="many2many_tags"
options="{'no_create': True}"
/>
</group>
<group name="account_filter" col="4">
<label for="account_ids" colspan="4" />
<field name="receivable_accounts_only" />
<field name="payable_accounts_only" />
<field
name="account_ids"
nolabel="1"
widget="many2many_tags"
options="{'no_create': True}"
colspan="4"
/>
</group>
<footer>
<button
name="button_export_html"
string="View"
type="object"
default_focus="1"
class="oe_highlight"
/>
or
<button
name="button_export_pdf"
string="Export PDF"
type="object"
/>
or
<button
name="button_export_xlsx"
string="Export XLSX"
type="object"
/>
or
<button string="Cancel" class="oe_link" special="cancel" />
</footer>
</form>
</field>
</record>
<act_window
id="action_aged_partner_balance_wizard"
name="Aged Partner Balance"
res_model="aged.partner.balance.report.wizard"
view_mode="form"
view_id="aged_partner_balance_wizard"
target="new"
/>
</odoo>

291
account_financial_report/wizard/general_ledger_wizard.py

@ -0,0 +1,291 @@
# Author: Damien Crier
# Author: Julien Coux
# Author: Jordi Ballester
# Copyright 2016 Camptocamp SA
# Copyright 2017 Akretion - Alexis de Lattre
# Copyright 2017 Eficent Business and IT Consulting Services, S.L.
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
import time
from odoo import _, api, fields, models
from odoo.exceptions import ValidationError
class GeneralLedgerReportWizard(models.TransientModel):
"""General ledger report wizard."""
_name = "general.ledger.report.wizard"
_description = "General Ledger Report Wizard"
_inherit = "account_financial_report_abstract_wizard"
company_id = fields.Many2one(
comodel_name="res.company",
default=lambda self: self.env.user.company_id,
required=False,
string="Company",
)
date_range_id = fields.Many2one(comodel_name="date.range", string="Date range")
date_from = fields.Date(required=True, default=lambda self: self._init_date_from())
date_to = fields.Date(required=True, default=fields.Date.context_today)
fy_start_date = fields.Date(compute="_compute_fy_start_date")
target_move = fields.Selection(
[("posted", "All Posted Entries"), ("all", "All Entries")],
string="Target Moves",
required=True,
default="posted",
)
account_ids = fields.Many2many(
comodel_name="account.account", string="Filter accounts"
)
centralize = fields.Boolean(string="Activate centralization", default=True)
hide_account_at_0 = fields.Boolean(
string="Hide account ending balance at 0",
help="Use this filter to hide an account or a partner "
"with an ending balance at 0. "
"If partners are filtered, "
"debits and credits totals will not match the trial balance.",
)
show_analytic_tags = fields.Boolean(string="Show analytic tags")
receivable_accounts_only = fields.Boolean()
payable_accounts_only = fields.Boolean()
partner_ids = fields.Many2many(
comodel_name="res.partner",
string="Filter partners",
default=lambda self: self._default_partners(),
)
analytic_tag_ids = fields.Many2many(
comodel_name="account.analytic.tag", string="Filter analytic tags"
)
account_journal_ids = fields.Many2many(
comodel_name="account.journal", string="Filter journals"
)
cost_center_ids = fields.Many2many(
comodel_name="account.analytic.account", string="Filter cost centers"
)
not_only_one_unaffected_earnings_account = fields.Boolean(
readonly=True, string="Not only one unaffected earnings account"
)
foreign_currency = fields.Boolean(
string="Show foreign currency",
help="Display foreign currency for move lines, unless "
"account currency is not setup through chart of accounts "
"will display initial and final balance in that currency.",
default=lambda self: self._default_foreign_currency(),
)
def _init_date_from(self):
"""set start date to begin of current year if fiscal year running"""
today = fields.Date.context_today(self)
last_fsc_month = self.env.user.company_id.fiscalyear_last_month
last_fsc_day = self.env.user.company_id.fiscalyear_last_day
if (
today.month < int(last_fsc_month)
or today.month == int(last_fsc_month)
and today.day <= last_fsc_day
):
return time.strftime("%Y-01-01")
else:
return False
def _default_foreign_currency(self):
return self.env.user.has_group("base.group_multi_currency")
@api.depends("date_from")
def _compute_fy_start_date(self):
for wiz in self:
if wiz.date_from:
res = self.company_id.compute_fiscalyear_dates(wiz.date_from)
wiz.fy_start_date = res["date_from"]
else:
wiz.fy_start_date = False
@api.onchange("company_id")
def onchange_company_id(self):
"""Handle company change."""
account_type = self.env.ref("account.data_unaffected_earnings")
count = self.env["account.account"].search_count(
[
("user_type_id", "=", account_type.id),
("company_id", "=", self.company_id.id),
]
)
self.not_only_one_unaffected_earnings_account = count != 1
if (
self.company_id
and self.date_range_id.company_id
and self.date_range_id.company_id != self.company_id
):
self.date_range_id = False
if self.company_id and self.account_journal_ids:
self.account_journal_ids = self.account_journal_ids.filtered(
lambda p: p.company_id == self.company_id or not p.company_id
)
if self.company_id and self.partner_ids:
self.partner_ids = self.partner_ids.filtered(
lambda p: p.company_id == self.company_id or not p.company_id
)
if self.company_id and self.account_ids:
if self.receivable_accounts_only or self.payable_accounts_only:
self.onchange_type_accounts_only()
else:
self.account_ids = self.account_ids.filtered(
lambda a: a.company_id == self.company_id
)
if self.company_id and self.cost_center_ids:
self.cost_center_ids = self.cost_center_ids.filtered(
lambda c: c.company_id == self.company_id
)
res = {
"domain": {
"account_ids": [],
"partner_ids": [],
"account_journal_ids": [],
"cost_center_ids": [],
"date_range_id": [],
}
}
if not self.company_id:
return res
else:
res["domain"]["account_ids"] += [("company_id", "=", self.company_id.id)]
res["domain"]["account_journal_ids"] += [
("company_id", "=", self.company_id.id)
]
res["domain"]["partner_ids"] += self._get_partner_ids_domain()
res["domain"]["cost_center_ids"] += [
("company_id", "=", self.company_id.id)
]
res["domain"]["date_range_id"] += [
"|",
("company_id", "=", self.company_id.id),
("company_id", "=", False),
]
return res
@api.onchange("date_range_id")
def onchange_date_range_id(self):
"""Handle date range change."""
if self.date_range_id:
self.date_from = self.date_range_id.date_start
self.date_to = self.date_range_id.date_end
@api.constrains("company_id", "date_range_id")
def _check_company_id_date_range_id(self):
for rec in self.sudo():
if (
rec.company_id
and rec.date_range_id.company_id
and rec.company_id != rec.date_range_id.company_id
):
raise ValidationError(
_(
"The Company in the General Ledger Report Wizard and in "
"Date Range must be the same."
)
)
@api.onchange("receivable_accounts_only", "payable_accounts_only")
def onchange_type_accounts_only(self):
"""Handle receivable/payable accounts only change."""
if self.receivable_accounts_only or self.payable_accounts_only:
domain = [("company_id", "=", self.company_id.id)]
if self.receivable_accounts_only and self.payable_accounts_only:
domain += [("internal_type", "in", ("receivable", "payable"))]
elif self.receivable_accounts_only:
domain += [("internal_type", "=", "receivable")]
elif self.payable_accounts_only:
domain += [("internal_type", "=", "payable")]
self.account_ids = self.env["account.account"].search(domain)
else:
self.account_ids = None
@api.onchange("partner_ids")
def onchange_partner_ids(self):
"""Handle partners change."""
if self.partner_ids:
self.receivable_accounts_only = self.payable_accounts_only = True
else:
self.receivable_accounts_only = self.payable_accounts_only = False
@api.depends("company_id")
def _compute_unaffected_earnings_account(self):
account_type = self.env.ref("account.data_unaffected_earnings")
for record in self:
record.unaffected_earnings_account = self.env["account.account"].search(
[
("user_type_id", "=", account_type.id),
("company_id", "=", record.company_id.id),
]
)
unaffected_earnings_account = fields.Many2one(
comodel_name="account.account",
compute="_compute_unaffected_earnings_account",
store=True,
)
def _print_report(self, report_type):
self.ensure_one()
data = self._prepare_report_general_ledger()
if report_type == "xlsx":
report_name = "a_f_r.report_general_ledger_xlsx"
else:
report_name = "account_financial_report.general_ledger"
return (
self.env["ir.actions.report"]
.search(
[("report_name", "=", report_name), ("report_type", "=", report_type)],
limit=1,
)
.report_action(self, data=data)
)
def button_export_html(self):
self.ensure_one()
report_type = "qweb-html"
return self._export(report_type)
def button_export_pdf(self):
self.ensure_one()
report_type = "qweb-pdf"
return self._export(report_type)
def button_export_xlsx(self):
self.ensure_one()
report_type = "xlsx"
return self._export(report_type)
def _prepare_report_general_ledger(self):
self.ensure_one()
return {
"wizard_id": self.id,
"date_from": self.date_from,
"date_to": self.date_to,
"only_posted_moves": self.target_move == "posted",
"hide_account_at_0": self.hide_account_at_0,
"foreign_currency": self.foreign_currency,
"show_analytic_tags": self.show_analytic_tags,
"company_id": self.company_id.id,
"account_ids": self.account_ids.ids,
"partner_ids": self.partner_ids.ids,
"cost_center_ids": self.cost_center_ids.ids,
"analytic_tag_ids": self.analytic_tag_ids.ids,
"journal_ids": self.account_journal_ids.ids,
"centralize": self.centralize,
"fy_start_date": self.fy_start_date,
"unaffected_earnings_account": self.unaffected_earnings_account.id,
}
def _export(self, report_type):
"""Default export is PDF."""
return self._print_report(report_type)
def _get_atr_from_dict(self, obj_id, data, key):
try:
return data[obj_id][key]
except KeyError:
return data[str(obj_id)][key]

145
account_financial_report/wizard/general_ledger_wizard_view.xml

@ -0,0 +1,145 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<!-- GENERAL LEDGER -->
<record id="general_ledger_wizard" model="ir.ui.view">
<field name="name">General Ledger</field>
<field name="model">general.ledger.report.wizard</field>
<field name="arch" type="xml">
<form>
<group name="main_info">
<field
name="company_id"
options="{'no_create': True}"
groups="base.group_multi_company"
/>
</group>
<div
attrs="{'invisible': [('not_only_one_unaffected_earnings_account', '=', True)]}"
>
<group name="filters">
<group name="date_range">
<field name="date_range_id" />
<field name="date_from" />
<field name="date_to" />
<field name="fy_start_date" invisible="1" />
</group>
<group name="other_filters">
<field name="target_move" widget="radio" />
<field name="centralize" />
<field name="hide_account_at_0" />
<field name="foreign_currency" />
<field name="show_analytic_tags" />
</group>
</group>
<notebook>
<page string="Filter accounts">
<group col="4">
<field name="receivable_accounts_only" />
<field name="payable_accounts_only" />
</group>
<field
name="account_ids"
nolabel="1"
widget="many2many_tags"
options="{'no_create': True}"
/>
</page>
<page string="Filter partners">
<field
name="partner_ids"
nolabel="1"
widget="many2many_tags"
options="{'no_create': True}"
/>
</page>
<page
string="Filter cost centers"
groups="analytic.group_analytic_accounting"
>
<field
name="cost_center_ids"
nolabel="1"
options="{'no_create': True}"
groups="analytic.group_analytic_accounting"
/>
</page>
<page string="Filter analytic tags">
<field
name="analytic_tag_ids"
widget="many2many_tags"
nolabel="1"
options="{'no_create': True}"
/>
</page>
</notebook>
</div>
<div
attrs="{'invisible': [('not_only_one_unaffected_earnings_account', '=', False)]}"
>
<field
name="not_only_one_unaffected_earnings_account"
invisible="1"
/>
<group />
<h4
>General Ledger can be computed only if selected company have only one unaffected earnings account.</h4>
<group />
</div>
<footer>
<div
attrs="{'invisible': [('not_only_one_unaffected_earnings_account', '=', True)]}"
>
<button
name="button_export_html"
string="View"
type="object"
default_focus="1"
class="oe_highlight"
/>
or
<button
name="button_export_pdf"
string="Export PDF"
type="object"
/>
or
<button
name="button_export_xlsx"
string="Export XLSX"
type="object"
/>
or
<button string="Cancel" class="oe_link" special="cancel" />
</div>
<div
attrs="{'invisible': [('not_only_one_unaffected_earnings_account', '=', False)]}"
>
<button string="Cancel" class="oe_link" special="cancel" />
</div>
</footer>
</form>
</field>
</record>
<act_window
id="action_general_ledger_wizard"
name="General Ledger"
res_model="general.ledger.report.wizard"
view_mode="form"
view_id="general_ledger_wizard"
target="new"
/>
<!--Add to res.partner action-->
<act_window
id="act_action_general_ledger_wizard_partner_relation"
name="General Ledger"
res_model="general.ledger.report.wizard"
binding_model="res.partner"
view_mode="form"
context="{
'default_receivable_accounts_only':1,
'default_payable_accounts_only':1,
}"
groups="account.group_account_manager"
target="new"
/>
</odoo>

174
account_financial_report/wizard/journal_ledger_wizard.py

@ -0,0 +1,174 @@
# Copyright 2017 ACSONE SA/NV
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl).
from odoo import _, api, fields, models
class JournalLedgerReportWizard(models.TransientModel):
"""Journal Ledger report wizard."""
_name = "journal.ledger.report.wizard"
_description = "Journal Ledger Report Wizard"
company_id = fields.Many2one(
comodel_name="res.company",
default=lambda self: self.env.user.company_id,
string="Company",
required=False,
ondelete="cascade",
)
date_range_id = fields.Many2one(comodel_name="date.range", string="Date range")
date_from = fields.Date(string="Start date", required=True)
date_to = fields.Date(string="End date", required=True)
journal_ids = fields.Many2many(
comodel_name="account.journal", string="Journals", required=False
)
move_target = fields.Selection(
selection="_get_move_targets", default="posted", required=True
)
foreign_currency = fields.Boolean()
sort_option = fields.Selection(
selection="_get_sort_options",
string="Sort entries by",
default="move_name",
required=True,
)
group_option = fields.Selection(
selection="_get_group_options",
string="Group entries by",
default="journal",
required=True,
)
with_account_name = fields.Boolean(default=False)
@api.model
def _get_move_targets(self):
return [("all", _("All")), ("posted", _("Posted")), ("draft", _("Not Posted"))]
@api.model
def _get_sort_options(self):
return [("move_name", _("Entry number")), ("date", _("Date"))]
@api.model
def _get_group_options(self):
return [("journal", _("Journal")), ("none", _("No group"))]
@api.onchange("date_range_id")
def onchange_date_range_id(self):
self.date_from = self.date_range_id.date_start
self.date_to = self.date_range_id.date_end
@api.onchange("company_id")
def onchange_company_id(self):
"""Handle company change."""
if (
self.company_id
and self.date_range_id.company_id
and self.date_range_id.company_id != self.company_id
):
self.date_range_id = False
if self.company_id and self.journal_ids:
self.journal_ids = self.journal_ids.filtered(
lambda p: p.company_id == self.company_id or not p.company_id
)
res = {"domain": {"journal_ids": []}}
if not self.company_id:
return res
else:
res["domain"]["journal_ids"] += [("company_id", "=", self.company_id.id)]
return res
def _print_report(self, report_type):
self.ensure_one()
data = self._prepare_report_journal_ledger()
if report_type == "xlsx":
report_name = "a_f_r.report_journal_ledger_xlsx"
else:
report_name = "account_financial_report.journal_ledger"
return (
self.env["ir.actions.report"]
.search(
[("report_name", "=", report_name), ("report_type", "=", report_type)],
limit=1,
)
.report_action(self, data=data)
)
def button_export_html(self):
self.ensure_one()
report_type = "qweb-html"
return self._export(report_type)
def button_export_pdf(self):
report_type = "qweb-pdf"
return self._export(report_type)
def button_export_xlsx(self):
self.ensure_one()
report_type = "xlsx"
return self._export(report_type)
def _prepare_report_journal_ledger(self):
self.ensure_one()
journals = self.journal_ids
if not journals:
# Not selecting a journal means that we'll display all journals
journals = self.env["account.journal"].search(
[("company_id", "=", self.company_id.id)]
)
return {
"wizard_id": self.id,
"date_from": self.date_from,
"date_to": self.date_to,
"move_target": self.move_target,
"foreign_currency": self.foreign_currency,
"company_id": self.company_id.id,
"journal_ids": journals.ids,
"sort_option": self.sort_option,
"group_option": self.group_option,
"with_account_name": self.with_account_name,
}
def _export(self, report_type):
"""Default export is PDF."""
self.ensure_one()
return self._print_report(report_type)
@api.model
def _get_ml_tax_description(
self, move_line_data, tax_line_data, move_line_taxes_data
):
taxes_description = ""
if move_line_data["tax_line_id"]:
taxes_description = tax_line_data["description"] or tax_line_data["name"]
elif move_line_taxes_data:
tax_names = []
for tax_key in move_line_taxes_data:
tax = move_line_taxes_data[tax_key]
tax_names.append(tax["description"] or tax["name"])
taxes_description = ",".join(tax_names)
return taxes_description
@api.model
def _get_partner_name(self, partner_id, partner_data):
if str(partner_id) in partner_data.keys():
return partner_data[str(partner_id)]["name"]
else:
return ""
@api.model
def _get_atr_from_dict(self, obj_id, data, key):
try:
return data[obj_id][key]
except KeyError:
return data[str(obj_id)][key]
@api.model
def _get_data_from_dict(self, obj_id, data):
if data:
if isinstance(list(data.keys())[0], int):
return data.get(obj_id, False)
else:
return data.get(obj_id(obj_id), False)
else:
return False

75
account_financial_report/wizard/journal_ledger_wizard_view.xml

@ -0,0 +1,75 @@
<?xml version="1.0" encoding="utf-8" ?>
<!-- Copyright 2017 ACSONE SA/NV
License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl). -->
<odoo>
<record id="journal_ledger_wizard" model="ir.ui.view">
<field name="name">Journal Ledger</field>
<field name="model">journal.ledger.report.wizard</field>
<field name="arch" type="xml">
<form>
<group>
<field name="company_id" groups="base.group_multi_company" />
</group>
<separator string="Periods" />
<group>
<group>
<field name="date_range_id" />
<field name="date_from" />
<field name="date_to" />
</group>
<group />
</group>
<separator string="Options" />
<group name="options">
<group>
<field
name="move_target"
widget="radio"
options="{'horizontal': true}"
/>
<field name="sort_option" />
<field name="group_option" />
<field name="foreign_currency" />
<field name="with_account_name" />
</group>
<group />
</group>
<separator string="Journals" />
<group>
<field name="journal_ids" widget="many2many_tags" />
</group>
<footer>
<button
name="button_export_html"
string="View"
type="object"
default_focus="1"
class="oe_highlight"
/>
or
<button
name="button_export_pdf"
string="Export PDF"
type="object"
/>
or
<button
name="button_export_xlsx"
string="Export XLSX"
type="object"
/>
or
<button string="Cancel" class="oe_link" special="cancel" />
</footer>
</form>
</field>
</record>
<act_window
id="action_journal_ledger_wizard"
name="Journal Ledger"
res_model="journal.ledger.report.wizard"
view_mode="form"
view_id="journal_ledger_wizard"
target="new"
/>
</odoo>

145
account_financial_report/wizard/open_items_wizard.py

@ -0,0 +1,145 @@
# Author: Damien Crier
# Author: Julien Coux
# Copyright 2016 Camptocamp SA
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo import api, fields, models
class OpenItemsReportWizard(models.TransientModel):
"""Open items report wizard."""
_name = "open.items.report.wizard"
_description = "Open Items Report Wizard"
_inherit = "account_financial_report_abstract_wizard"
company_id = fields.Many2one(
comodel_name="res.company",
default=lambda self: self.env.user.company_id,
required=False,
string="Company",
)
date_at = fields.Date(required=True, default=fields.Date.context_today)
date_from = fields.Date(string="Date From")
target_move = fields.Selection(
[("posted", "All Posted Entries"), ("all", "All Entries")],
string="Target Moves",
required=True,
default="posted",
)
account_ids = fields.Many2many(
comodel_name="account.account",
string="Filter accounts",
domain=[("reconcile", "=", True)],
)
hide_account_at_0 = fields.Boolean(
string="Hide account ending balance at 0",
default=True,
help="Use this filter to hide an account or a partner "
"with an ending balance at 0. "
"If partners are filtered, "
"debits and credits totals will not match the trial balance.",
)
receivable_accounts_only = fields.Boolean()
payable_accounts_only = fields.Boolean()
partner_ids = fields.Many2many(
comodel_name="res.partner",
string="Filter partners",
default=lambda self: self._default_partners(),
)
foreign_currency = fields.Boolean(
string="Show foreign currency",
help="Display foreign currency for move lines, unless "
"account currency is not setup through chart of accounts "
"will display initial and final balance in that currency.",
default=lambda self: self._default_foreign_currency(),
)
def _default_foreign_currency(self):
return self.env.user.has_group("base.group_multi_currency")
@api.onchange("company_id")
def onchange_company_id(self):
"""Handle company change."""
if self.company_id and self.partner_ids:
self.partner_ids = self.partner_ids.filtered(
lambda p: p.company_id == self.company_id or not p.company_id
)
if self.company_id and self.account_ids:
if self.receivable_accounts_only or self.payable_accounts_only:
self.onchange_type_accounts_only()
else:
self.account_ids = self.account_ids.filtered(
lambda a: a.company_id == self.company_id
)
res = {"domain": {"account_ids": [], "partner_ids": []}}
if not self.company_id:
return res
else:
res["domain"]["account_ids"] += [("company_id", "=", self.company_id.id)]
res["domain"]["partner_ids"] += self._get_partner_ids_domain()
return res
@api.onchange("receivable_accounts_only", "payable_accounts_only")
def onchange_type_accounts_only(self):
"""Handle receivable/payable accounts only change."""
domain = [("company_id", "=", self.company_id.id)]
if self.receivable_accounts_only or self.payable_accounts_only:
if self.receivable_accounts_only and self.payable_accounts_only:
domain += [("internal_type", "in", ("receivable", "payable"))]
elif self.receivable_accounts_only:
domain += [("internal_type", "=", "receivable")]
elif self.payable_accounts_only:
domain += [("internal_type", "=", "payable")]
elif not self.receivable_accounts_only and not self.payable_accounts_only:
domain += [("reconcile", "=", True)]
self.account_ids = self.env["account.account"].search(domain)
def _print_report(self, report_type):
self.ensure_one()
data = self._prepare_report_open_items()
if report_type == "xlsx":
report_name = "a_f_r.report_open_items_xlsx"
else:
report_name = "account_financial_report.open_items"
return (
self.env["ir.actions.report"]
.search(
[("report_name", "=", report_name), ("report_type", "=", report_type)],
limit=1,
)
.report_action(self, data=data)
)
def button_export_html(self):
self.ensure_one()
report_type = "qweb-html"
return self._export(report_type)
def button_export_pdf(self):
self.ensure_one()
report_type = "qweb-pdf"
return self._export(report_type)
def button_export_xlsx(self):
self.ensure_one()
report_type = "xlsx"
return self._export(report_type)
def _prepare_report_open_items(self):
self.ensure_one()
return {
"wizard_id": self.id,
"date_at": fields.Date.to_string(self.date_at),
"date_from": self.date_from or False,
"only_posted_moves": self.target_move == "posted",
"hide_account_at_0": self.hide_account_at_0,
"foreign_currency": self.foreign_currency,
"company_id": self.company_id.id,
"target_move": self.target_move,
"account_ids": self.account_ids.ids,
"partner_ids": self.partner_ids.ids or [],
}
def _export(self, report_type):
return self._print_report(report_type)

95
account_financial_report/wizard/open_items_wizard_view.xml

@ -0,0 +1,95 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<!-- OPEN ITEMS -->
<record id="open_items_wizard" model="ir.ui.view">
<field name="name">Open Items</field>
<field name="model">open.items.report.wizard</field>
<field name="arch" type="xml">
<form>
<group name="main_info">
<field
name="company_id"
options="{'no_create': True}"
groups="base.group_multi_company"
/>
</group>
<group name="filters">
<group name="date_range">
<field name="date_at" />
<field name="date_from" />
</group>
<group name="other_filters">
<field name="target_move" widget="radio" />
<field name="hide_account_at_0" />
<field name="foreign_currency" />
</group>
</group>
<group name="partner_filter" col="1">
<label for="partner_ids" />
<field
name="partner_ids"
nolabel="1"
widget="many2many_tags"
options="{'no_create': True}"
/>
</group>
<group name="account_filter" col="4">
<field name="receivable_accounts_only" />
<field name="payable_accounts_only" />
<field
name="account_ids"
nolabel="1"
widget="many2many_tags"
options="{'no_create': True}"
colspan="4"
/>
</group>
<footer>
<button
name="button_export_html"
string="View"
type="object"
default_focus="1"
class="oe_highlight"
/>
or
<button
name="button_export_pdf"
string="Export PDF"
type="object"
/>
or
<button
name="button_export_xlsx"
string="Export XLSX"
type="object"
/>
or
<button string="Cancel" class="oe_link" special="cancel" />
</footer>
</form>
</field>
</record>
<act_window
id="action_open_items_wizard"
name="Open Items"
res_model="open.items.report.wizard"
view_mode="form"
view_id="open_items_wizard"
target="new"
/>
<!--Add to res.partner action-->
<act_window
id="act_action_open_items_wizard_partner_relation"
name="Open Items Partner"
res_model="open.items.report.wizard"
binding_model="res.partner"
view_mode="form"
context="{
'default_receivable_accounts_only':1,
'default_payable_accounts_only':1,
}"
groups="account.group_account_manager"
target="new"
/>
</odoo>

267
account_financial_report/wizard/trial_balance_wizard.py

@ -0,0 +1,267 @@
# Author: Julien Coux
# Copyright 2016 Camptocamp SA
# Copyright 2017 Akretion - Alexis de Lattre
# Copyright 2018 Eficent Business and IT Consuting Services, S.L.
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo import _, api, fields, models
from odoo.exceptions import UserError, ValidationError
class TrialBalanceReportWizard(models.TransientModel):
"""Trial balance report wizard."""
_name = "trial.balance.report.wizard"
_description = "Trial Balance Report Wizard"
_inherit = "account_financial_report_abstract_wizard"
company_id = fields.Many2one(
comodel_name="res.company",
default=lambda self: self.env.user.company_id,
required=False,
string="Company",
)
date_range_id = fields.Many2one(comodel_name="date.range", string="Date range")
date_from = fields.Date(required=True)
date_to = fields.Date(required=True)
fy_start_date = fields.Date(compute="_compute_fy_start_date")
target_move = fields.Selection(
[("posted", "All Posted Entries"), ("all", "All Entries")],
string="Target Moves",
required=True,
default="posted",
)
hierarchy_on = fields.Selection(
[
("computed", "Computed Accounts"),
("relation", "Child Accounts"),
("none", "No hierarchy"),
],
string="Hierarchy On",
required=True,
default="none",
help="""Computed Accounts: Use when the account group have codes
that represent prefixes of the actual accounts.\n
Child Accounts: Use when your account groups are hierarchical.\n
No hierarchy: Use to display just the accounts, without any grouping.
""",
)
limit_hierarchy_level = fields.Boolean("Limit hierarchy levels")
show_hierarchy_level = fields.Integer("Hierarchy Levels to display", default=1)
hide_parent_hierarchy_level = fields.Boolean(
"Do not display parent levels", default=False
)
account_ids = fields.Many2many(
comodel_name="account.account", string="Filter accounts"
)
hide_account_at_0 = fields.Boolean(
string="Hide accounts at 0",
default=True,
help="When this option is enabled, the trial balance will "
"not display accounts that have initial balance = "
"debit = credit = end balance = 0",
)
receivable_accounts_only = fields.Boolean()
payable_accounts_only = fields.Boolean()
show_partner_details = fields.Boolean()
partner_ids = fields.Many2many(comodel_name="res.partner", string="Filter partners")
journal_ids = fields.Many2many(comodel_name="account.journal")
not_only_one_unaffected_earnings_account = fields.Boolean(
readonly=True, string="Not only one unaffected earnings account"
)
foreign_currency = fields.Boolean(
string="Show foreign currency",
help="Display foreign currency for move lines, unless "
"account currency is not setup through chart of accounts "
"will display initial and final balance in that currency.",
)
@api.constrains("hierarchy_on", "show_hierarchy_level")
def _check_show_hierarchy_level(self):
for rec in self:
if rec.hierarchy_on != "none" and rec.show_hierarchy_level <= 0:
raise UserError(
_("The hierarchy level to filter on must be " "greater than 0.")
)
@api.depends("date_from")
def _compute_fy_start_date(self):
for wiz in self:
if wiz.date_from:
res = self.company_id.compute_fiscalyear_dates(wiz.date_from)
wiz.fy_start_date = res["date_from"]
else:
wiz.fy_start_date = False
@api.onchange("company_id")
def onchange_company_id(self):
"""Handle company change."""
account_type = self.env.ref("account.data_unaffected_earnings")
count = self.env["account.account"].search_count(
[
("user_type_id", "=", account_type.id),
("company_id", "=", self.company_id.id),
]
)
self.not_only_one_unaffected_earnings_account = count != 1
if (
self.company_id
and self.date_range_id.company_id
and self.date_range_id.company_id != self.company_id
):
self.date_range_id = False
if self.company_id and self.partner_ids:
self.partner_ids = self.partner_ids.filtered(
lambda p: p.company_id == self.company_id or not p.company_id
)
if self.company_id and self.journal_ids:
self.journal_ids = self.journal_ids.filtered(
lambda a: a.company_id == self.company_id
)
if self.company_id and self.account_ids:
if self.receivable_accounts_only or self.payable_accounts_only:
self.onchange_type_accounts_only()
else:
self.account_ids = self.account_ids.filtered(
lambda a: a.company_id == self.company_id
)
res = {
"domain": {
"account_ids": [],
"partner_ids": [],
"date_range_id": [],
"journal_ids": [],
}
}
if not self.company_id:
return res
else:
res["domain"]["account_ids"] += [("company_id", "=", self.company_id.id)]
res["domain"]["partner_ids"] += self._get_partner_ids_domain()
res["domain"]["date_range_id"] += [
"|",
("company_id", "=", self.company_id.id),
("company_id", "=", False),
]
res["domain"]["journal_ids"] += [("company_id", "=", self.company_id.id)]
return res
@api.onchange("date_range_id")
def onchange_date_range_id(self):
"""Handle date range change."""
self.date_from = self.date_range_id.date_start
self.date_to = self.date_range_id.date_end
@api.constrains("company_id", "date_range_id")
def _check_company_id_date_range_id(self):
for rec in self.sudo():
if (
rec.company_id
and rec.date_range_id.company_id
and rec.company_id != rec.date_range_id.company_id
):
raise ValidationError(
_(
"The Company in the Trial Balance Report Wizard and in "
"Date Range must be the same."
)
)
@api.onchange("receivable_accounts_only", "payable_accounts_only")
def onchange_type_accounts_only(self):
"""Handle receivable/payable accounts only change."""
if self.receivable_accounts_only or self.payable_accounts_only:
domain = [("company_id", "=", self.company_id.id)]
if self.receivable_accounts_only and self.payable_accounts_only:
domain += [("internal_type", "in", ("receivable", "payable"))]
elif self.receivable_accounts_only:
domain += [("internal_type", "=", "receivable")]
elif self.payable_accounts_only:
domain += [("internal_type", "=", "payable")]
self.account_ids = self.env["account.account"].search(domain)
else:
self.account_ids = None
@api.onchange("show_partner_details")
def onchange_show_partner_details(self):
"""Handle partners change."""
if self.show_partner_details:
self.receivable_accounts_only = self.payable_accounts_only = True
else:
self.receivable_accounts_only = self.payable_accounts_only = False
@api.depends("company_id")
def _compute_unaffected_earnings_account(self):
account_type = self.env.ref("account.data_unaffected_earnings")
for record in self:
record.unaffected_earnings_account = self.env["account.account"].search(
[
("user_type_id", "=", account_type.id),
("company_id", "=", record.company_id.id),
]
)
unaffected_earnings_account = fields.Many2one(
comodel_name="account.account",
compute="_compute_unaffected_earnings_account",
store=True,
)
def _print_report(self, report_type):
self.ensure_one()
data = self._prepare_report_trial_balance()
if report_type == "xlsx":
report_name = "a_f_r.report_trial_balance_xlsx"
else:
report_name = "account_financial_report.trial_balance"
return (
self.env["ir.actions.report"]
.search(
[("report_name", "=", report_name), ("report_type", "=", report_type)],
limit=1,
)
.report_action(self, data=data)
)
def button_export_html(self):
self.ensure_one()
report_type = "qweb-html"
return self._export(report_type)
def button_export_pdf(self):
self.ensure_one()
report_type = "qweb-pdf"
return self._export(report_type)
def button_export_xlsx(self):
self.ensure_one()
report_type = "xlsx"
return self._export(report_type)
def _prepare_report_trial_balance(self):
self.ensure_one()
return {
"wizard_id": self.id,
"date_from": self.date_from,
"date_to": self.date_to,
"only_posted_moves": self.target_move == "posted",
"hide_account_at_0": self.hide_account_at_0,
"foreign_currency": self.foreign_currency,
"company_id": self.company_id.id,
"account_ids": self.account_ids.ids or [],
"partner_ids": self.partner_ids.ids or [],
"journal_ids": self.journal_ids.ids or [],
"fy_start_date": self.fy_start_date,
"hierarchy_on": self.hierarchy_on,
"limit_hierarchy_level": self.limit_hierarchy_level,
"show_hierarchy_level": self.show_hierarchy_level,
"hide_parent_hierarchy_level": self.hide_parent_hierarchy_level,
"show_partner_details": self.show_partner_details,
"unaffected_earnings_account": self.unaffected_earnings_account.id,
}
def _export(self, report_type):
"""Default export is PDF."""
return self._print_report(report_type)

140
account_financial_report/wizard/trial_balance_wizard_view.xml

@ -0,0 +1,140 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<!-- TRIAL BALANCE -->
<record id="trial_balance_wizard" model="ir.ui.view">
<field name="name">Trial Balance</field>
<field name="model">trial.balance.report.wizard</field>
<field name="arch" type="xml">
<form>
<group name="main_info">
<field
name="company_id"
options="{'no_create': True}"
groups="base.group_multi_company"
/>
</group>
<div
attrs="{'invisible': [('not_only_one_unaffected_earnings_account', '=', True)]}"
>
<group name="filters">
<group name="date_range">
<field name="date_range_id" />
<field name="date_from" />
<field name="date_to" />
<field name="fy_start_date" invisible="1" />
</group>
<group name="other_filters">
<field name="target_move" widget="radio" />
<field name="hide_account_at_0" />
<field name="show_partner_details" />
<field
name="hierarchy_on"
widget="radio"
attrs="{'invisible':[('show_partner_details','=',True)]}"
/>
<field
name="limit_hierarchy_level"
attrs="{'invisible':['|', ('hierarchy_on','in',['none', 'computed']),('show_partner_details','=',True)]}"
/>
<field
name="show_hierarchy_level"
attrs="{'invisible':[('limit_hierarchy_level','=', False)]}"
/>
<field
name="hide_parent_hierarchy_level"
attrs="{'invisible':[('limit_hierarchy_level','=', False)]}"
/>
<field name="foreign_currency" />
</group>
</group>
<group
name="partner_filter"
attrs="{'invisible':[('show_partner_details','!=',True)]}"
col="1"
>
<label for="partner_ids" />
<field
name="partner_ids"
nolabel="1"
widget="many2many_tags"
options="{'no_create': True}"
/>
</group>
<label for="journal_ids" />
<field
name="journal_ids"
widget="many2many_tags"
nolabel="1"
options="{'no_create': True}"
/>
<group attrs="{'invisible':[('show_partner_details','!=',True)]}" />
<div />
<group name="account_filter" col="4">
<label for="account_ids" colspan="4" />
<field name="receivable_accounts_only" />
<field name="payable_accounts_only" />
<field
name="account_ids"
nolabel="1"
widget="many2many_tags"
options="{'no_create': True}"
colspan="4"
/>
</group>
</div>
<div
attrs="{'invisible': [('not_only_one_unaffected_earnings_account', '=', False)]}"
>
<field
name="not_only_one_unaffected_earnings_account"
invisible="1"
/>
<group />
<h4
>Trial Balance can be computed only if selected company have only one unaffected earnings account.</h4>
<group />
</div>
<footer>
<div
attrs="{'invisible': [('not_only_one_unaffected_earnings_account', '=', True)]}"
>
<button
name="button_export_html"
string="View"
type="object"
default_focus="1"
class="oe_highlight"
/>
or
<button
name="button_export_pdf"
string="Export PDF"
type="object"
/>
or
<button
name="button_export_xlsx"
string="Export XLSX"
type="object"
/>
or
<button string="Cancel" class="oe_link" special="cancel" />
</div>
<div
attrs="{'invisible': [('not_only_one_unaffected_earnings_account', '=', False)]}"
>
<button string="Cancel" class="oe_link" special="cancel" />
</div>
</footer>
</form>
</field>
</record>
<act_window
id="action_trial_balance_wizard"
name="Trial Balance"
res_model="trial.balance.report.wizard"
view_mode="form"
view_id="trial_balance_wizard"
target="new"
/>
</odoo>

113
account_financial_report/wizard/vat_report_wizard.py

@ -0,0 +1,113 @@
# Copyright 2018 Forest and Biomass Romania
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html).
from odoo import _, api, fields, models
from odoo.exceptions import ValidationError
class VATReportWizard(models.TransientModel):
_name = "vat.report.wizard"
_description = "VAT Report Wizard"
company_id = fields.Many2one(
comodel_name="res.company",
default=lambda self: self.env.user.company_id,
required=False,
string="Company",
)
date_range_id = fields.Many2one(comodel_name="date.range", string="Date range")
date_from = fields.Date("Start Date", required=True)
date_to = fields.Date("End Date", required=True)
based_on = fields.Selection(
[("taxtags", "Tax Tags"), ("taxgroups", "Tax Groups")],
string="Based On",
required=True,
default="taxtags",
)
tax_detail = fields.Boolean("Detail Taxes")
@api.onchange("company_id")
def onchange_company_id(self):
if (
self.company_id
and self.date_range_id.company_id
and self.date_range_id.company_id != self.company_id
):
self.date_range_id = False
res = {"domain": {"date_range_id": []}}
if not self.company_id:
return res
else:
res["domain"]["date_range_id"] += [
"|",
("company_id", "=", self.company_id.id),
("company_id", "=", False),
]
return res
@api.onchange("date_range_id")
def onchange_date_range_id(self):
"""Handle date range change."""
self.date_from = self.date_range_id.date_start
self.date_to = self.date_range_id.date_end
@api.constrains("company_id", "date_range_id")
def _check_company_id_date_range_id(self):
for rec in self.sudo():
if (
rec.company_id
and rec.date_range_id.company_id
and rec.company_id != rec.date_range_id.company_id
):
raise ValidationError(
_(
"The Company in the Vat Report Wizard and in "
"Date Range must be the same."
)
)
def _print_report(self, report_type):
self.ensure_one()
data = self._prepare_vat_report()
if report_type == "xlsx":
report_name = "a_f_r.report_vat_report_xlsx"
else:
report_name = "account_financial_report.vat_report"
return (
self.env["ir.actions.report"]
.search(
[("report_name", "=", report_name), ("report_type", "=", report_type)],
limit=1,
)
.report_action(self, data=data)
)
def button_export_html(self):
self.ensure_one()
report_type = "qweb-html"
return self._export(report_type)
def button_export_pdf(self):
self.ensure_one()
report_type = "qweb-pdf"
return self._export(report_type)
def button_export_xlsx(self):
self.ensure_one()
report_type = "xlsx"
return self._export(report_type)
def _prepare_vat_report(self):
self.ensure_one()
return {
"wizard_id": self.id,
"company_id": self.company_id.id,
"date_from": self.date_from,
"date_to": self.date_to,
"based_on": self.based_on,
"tax_detail": self.tax_detail,
}
def _export(self, report_type):
"""Default export is PDF."""
return self._print_report(report_type)

60
account_financial_report/wizard/vat_report_wizard_view.xml

@ -0,0 +1,60 @@
<?xml version="1.0" encoding="utf-8" ?>
<odoo>
<record id="vat_report_wizard" model="ir.ui.view">
<field name="name">vat_report_wizard_view</field>
<field name="model">vat.report.wizard</field>
<field name="arch" type="xml">
<form string="VAT Report Options">
<group name="main_info">
<field
name="company_id"
options="{'no_create': True}"
groups="base.group_multi_company"
/>
</group>
<group name="filters">
<group name="date_range">
<field name="date_range_id" />
<field name="date_from" />
<field name="date_to" />
</group>
<group name="other_filters">
<field name="based_on" widget="radio" />
<field name="tax_detail" />
</group>
</group>
<footer>
<button
name="button_export_html"
string="View"
type="object"
default_focus="1"
class="oe_highlight"
/>
or
<button
name="button_export_pdf"
string="Export PDF"
type="object"
/>
or
<button
name="button_export_xlsx"
string="Export XLSX"
type="object"
/>
or
<button string="Cancel" class="oe_link" special="cancel" />
</footer>
</form>
</field>
</record>
<act_window
id="action_vat_report_wizard"
name="VAT Report"
res_model="vat.report.wizard"
view_mode="form"
view_id="vat_report_wizard"
target="new"
/>
</odoo>

1
oca_dependencies.txt

@ -1 +1,2 @@
server-ux server-ux
reporting-engine
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