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[IMP] Extend customer_activity_statement to display also payables

pull/440/head
Jordi Ballester Alomar 6 years ago
parent
commit
ebdb5adbc0
  1. 20
      customer_activity_statement/README.rst
  2. 4
      customer_activity_statement/__manifest__.py
  3. 42
      customer_activity_statement/report/customer_activity_statement.py
  4. 10
      customer_activity_statement/static/description/index.html
  5. 7
      customer_activity_statement/views/statement.xml
  6. 4
      customer_activity_statement/wizard/customer_activity_statement_wizard.py
  7. 11
      customer_activity_statement/wizard/customer_activity_statement_wizard.xml

20
customer_activity_statement/README.rst

@ -3,17 +3,17 @@
:alt: License: AGPL-3
=================================
Print Customer Activity Statement
Print Partner Activity Statement
=================================
The activity statement provides details of all activity on the customer receivables
The activity statement provides details of all activity on the partner receivables or payables
between two selected dates. This includes all invoices, refunds and payments.
Any outstanding balance dated prior to the chosen statement period will appear
as a forward balance at the top of the statement. The list is displayed in chronological
order and is split by currencies.
Aging details can be shown in the report, expressed in aging buckets (30 days
due, ...), so the customer can review how much is open, due or overdue.
due, ...), so the customer or vendor can review how much is open, due or overdue.
Configuration
=============
@ -22,22 +22,28 @@ Users willing to access to this report should have proper Accounting & Finance r
#. Go to *Settings / Users* and edit your user to add the corresponding access rights as follows.
#. In *Application / Accounting & Finance*, select *Billing* or *Billing Manager*
#. In *Technical Setting* mark *Show Full Accounting Features* options.
#. In *Technical Settings* mark *Show Full Accounting Features* options.
Usage
=====
To use this module, you need to:
#. Go to Invoicing > Sales > Master Data > Customers and select one or more
#. Press 'Action > Customer Activity Statement'
#. Indicate if you want to display aging buckets
#. Go to Invoicing > Sales > Master Data > Customers or Invoicing > Purchases > Master Data > Vendors and select one or more
#. Press 'Action > Partner Activity Statement'
#. Indicate if you want to display receivables or payables, and if you want to display aging buckets
.. image:: https://odoo-community.org/website/image/ir.attachment/5784_f2813bd/datas
:alt: Try me on Runbot
:target: https://runbot.odoo-community.org/runbot/91/11.0
Roadmap
=======
* In v12, the module should be renamed to `Partner Activity Statement`.
Maybe merge this module with the `Partner Outstanding Statement` module.
Bug Tracker
===========

4
customer_activity_statement/__manifest__.py

@ -3,8 +3,8 @@
# License AGPL-3.0 or later (https://www.gnu.org/licenses/agpl.html).
{
'name': 'Customer Activity Statement',
'version': '11.0.1.0.0',
'name': 'Partner Activity Statement',
'version': '11.0.2.0.0',
'category': 'Accounting & Finance',
'summary': 'OCA Financial Reports',
'author': "Eficent, Odoo Community Association (OCA)",

42
customer_activity_statement/report/customer_activity_statement.py

@ -18,7 +18,7 @@ class CustomerActivityStatement(models.AbstractModel):
date = datetime.strptime(str_date, DEFAULT_SERVER_DATE_FORMAT).date()
return date.strftime(lang.date_format)
def _initial_balance_sql_q1(self, partners, date_start):
def _initial_balance_sql_q1(self, partners, date_start, account_type):
return """
SELECT l.partner_id, l.currency_id, l.company_id,
CASE WHEN l.currency_id is not null AND l.amount_currency > 0.0
@ -32,11 +32,11 @@ class CustomerActivityStatement(models.AbstractModel):
FROM account_move_line l
JOIN account_account_type at ON (at.id = l.user_type_id)
JOIN account_move m ON (l.move_id = m.id)
WHERE l.partner_id IN (%s) AND at.type = 'receivable'
WHERE l.partner_id IN (%s) AND at.type = '%s'
AND l.date < '%s' AND not l.blocked
GROUP BY l.partner_id, l.currency_id, l.amount_currency,
l.company_id
""" % (partners, date_start)
""" % (partners, account_type, date_start)
def _initial_balance_sql_q2(self, company_id):
return """
@ -48,7 +48,7 @@ class CustomerActivityStatement(models.AbstractModel):
""" % company_id
def _get_account_initial_balance(self, company_id, partner_ids,
date_start):
date_start, account_type):
res = dict(map(lambda x: (x, []), partner_ids))
partners = ', '.join([str(i) for i in partner_ids])
date_start = datetime.strptime(
@ -56,13 +56,15 @@ class CustomerActivityStatement(models.AbstractModel):
# pylint: disable=E8103
self.env.cr.execute("""WITH Q1 AS (%s), Q2 AS (%s)
SELECT partner_id, currency_id, balance
FROM Q2""" % (self._initial_balance_sql_q1(partners, date_start),
FROM Q2""" % (self._initial_balance_sql_q1(partners, date_start,
account_type),
self._initial_balance_sql_q2(company_id)))
for row in self.env.cr.dictfetchall():
res[row.pop('partner_id')].append(row)
return res
def _display_lines_sql_q1(self, partners, date_start, date_end):
def _display_lines_sql_q1(self, partners, date_start, date_end,
account_type):
return """
SELECT m.name AS move_id, l.partner_id, l.date, l.name,
l.ref, l.blocked, l.currency_id, l.company_id,
@ -81,12 +83,12 @@ class CustomerActivityStatement(models.AbstractModel):
FROM account_move_line l
JOIN account_account_type at ON (at.id = l.user_type_id)
JOIN account_move m ON (l.move_id = m.id)
WHERE l.partner_id IN (%s) AND at.type = 'receivable'
WHERE l.partner_id IN (%s) AND at.type = '%s'
AND '%s' <= l.date AND l.date <= '%s'
GROUP BY l.partner_id, m.name, l.date, l.date_maturity, l.name,
l.ref, l.blocked, l.currency_id,
l.amount_currency, l.company_id
""" % (partners, date_start, date_end)
""" % (partners, account_type, date_start, date_end)
def _display_lines_sql_q2(self, company_id):
return """
@ -99,7 +101,7 @@ class CustomerActivityStatement(models.AbstractModel):
""" % company_id
def _get_account_display_lines(self, company_id, partner_ids, date_start,
date_end):
date_end, account_type):
res = dict(map(lambda x: (x, []), partner_ids))
partners = ', '.join([str(i) for i in partner_ids])
date_start = datetime.strptime(
@ -112,7 +114,8 @@ class CustomerActivityStatement(models.AbstractModel):
credit, amount, blocked, currency_id
FROM Q2
ORDER BY date, date_maturity, move_id""" % (
self._display_lines_sql_q1(partners, date_start, date_end),
self._display_lines_sql_q1(partners, date_start, date_end,
account_type),
self._display_lines_sql_q2(company_id)))
for row in self.env.cr.dictfetchall():
res[row.pop('partner_id')].append(row)
@ -143,7 +146,7 @@ class CustomerActivityStatement(models.AbstractModel):
GROUP BY l1.id
""" % (date_end, date_end)
def _show_buckets_sql_q1(self, partners, date_end):
def _show_buckets_sql_q1(self, partners, date_end, account_type):
return """
SELECT l.partner_id, l.currency_id, l.company_id, l.move_id,
CASE WHEN l.balance > 0.0
@ -174,14 +177,14 @@ class CustomerActivityStatement(models.AbstractModel):
ON pr.debit_move_id = l2.id
WHERE l2.date <= '%s'
) as pc ON pc.credit_move_id = l.id
WHERE l.partner_id IN (%s) AND at.type = 'receivable'
WHERE l.partner_id IN (%s) AND at.type = '%s'
AND (Q0.reconciled_date is null or
Q0.reconciled_date > '%s')
AND l.date <= '%s' AND not l.blocked
GROUP BY l.partner_id, l.currency_id, l.date, l.date_maturity,
l.amount_currency, l.balance, l.move_id,
l.company_id
""" % (date_end, date_end, partners, date_end, date_end)
""" % (date_end, date_end, partners, account_type, date_end, date_end)
def _show_buckets_sql_q2(self, date_end, minus_30, minus_60, minus_90,
minus_120):
@ -273,7 +276,8 @@ class CustomerActivityStatement(models.AbstractModel):
'minus_120': date_end - timedelta(days=120),
}
def _get_account_show_buckets(self, company_id, partner_ids, date_end):
def _get_account_show_buckets(self, company_id, partner_ids, date_end,
account_type):
res = dict(map(lambda x: (x, []), partner_ids))
partners = ', '.join([str(i) for i in partner_ids])
date_end = datetime.strptime(
@ -290,7 +294,7 @@ class CustomerActivityStatement(models.AbstractModel):
GROUP BY partner_id, currency_id, current, b_1_30, b_30_60, b_60_90,
b_90_120, b_over_120""" % (
self._show_buckets_sql_q0(date_end),
self._show_buckets_sql_q1(partners, date_end),
self._show_buckets_sql_q1(partners, date_end, account_type),
self._show_buckets_sql_q2(
full_dates['date_end'],
full_dates['minus_30'],
@ -309,6 +313,7 @@ class CustomerActivityStatement(models.AbstractModel):
partner_ids = data['partner_ids']
date_start = data['date_start']
date_end = data['date_end']
account_type = data['account_type']
today = fields.Date.today()
balance_start_to_display, buckets_to_display = {}, {}
@ -317,7 +322,7 @@ class CustomerActivityStatement(models.AbstractModel):
today_display, date_start_display, date_end_display = {}, {}, {}
balance_start = self._get_account_initial_balance(
company_id, partner_ids, date_start)
company_id, partner_ids, date_start, account_type)
for partner_id in partner_ids:
balance_start_to_display[partner_id] = {}
@ -329,7 +334,7 @@ class CustomerActivityStatement(models.AbstractModel):
line['balance']
lines = self._get_account_display_lines(
company_id, partner_ids, date_start, date_end)
company_id, partner_ids, date_start, date_end, account_type)
for partner_id in partner_ids:
lines_to_display[partner_id], amount_due[partner_id] = {}, {}
@ -361,7 +366,7 @@ class CustomerActivityStatement(models.AbstractModel):
if data['show_aging_buckets']:
buckets = self._get_account_show_buckets(
company_id, partner_ids, date_end)
company_id, partner_ids, date_end, account_type)
for partner_id in partner_ids:
buckets_to_display[partner_id] = {}
for line in buckets[partner_id]:
@ -385,4 +390,5 @@ class CustomerActivityStatement(models.AbstractModel):
'Date_start': date_start_display,
'Date_end': date_end_display,
'Date': today_display,
'account_type': account_type,
}

10
customer_activity_statement/static/description/index.html

@ -1,7 +1,7 @@
<section class="oe_container">
<div class="oe_row oe_spaced">
<div class="oe_span12">
<h2 class="oe_slogan">Customer Activity Statement</h2>
<h2 class="oe_slogan">Partner Activity Statement</h2>
</div>
<div class="oe_span6">
<div class="oe_demo oe_picture oe_screenshot">
@ -10,12 +10,12 @@
</div>
<div class="oe_span4">
<p class="oe_mt32"><div style="text-align:justify">The activity statement provides
details of all activity on the customer receivables between two selected dates. This
details of all activity on the receivables or payables of a partner between two selected dates. This
includes all invoices, refunds and payments. Any outstanding balance dated prior to
the chosen statement period will appear as a forward balance at the top of the statement.
The list is displayed in chronological order and is split by currencies.<br><br>Aging
details can be shown in the report, expressed in aging buckets (30 days due, ...),
so the customer can review how much is open, due or overdue.</div></p>
so the customer or vendor can review how much is open, due or overdue.</div></p>
</div>
</div>
</section>
@ -45,8 +45,8 @@ so the customer can review how much is open, due or overdue.</div></p>
<div class="oe_span12">
<p class="oe_mt32">To use this module, you need to:
<ul>
<li>Go to <code>Invoicing > Sales > Master Data > Customers</code> and select one or more</li>
<li>Press '<code>Action > Customer Activity Statement</code>'</li>
<li>Go to <code>Invoicing > Sales > Master Data > Customers</code> or <code>Invoicing > Purchases > Master Data > Vendors</code> and select one or more</li>
<li>Press '<code>Action > Partner Activity Statement</code>'</li>
<li>Indicate if you want to display aging buckets</li>
</ul>
</p>

7
customer_activity_statement/views/statement.xml

@ -23,8 +23,11 @@
<br/>
<t t-foreach="Lines[o.id]" t-as="currency">
<br t-if="not currency_first" />
<p>
Activity Statement between <span t-esc="Date_start[o.id]" /> and <span t-esc="Date_end[o.id]" /> in <span t-esc="Currencies[o.id][currency].name"/>:
<p t-if="account_type == 'receivable'">
Customer Activity Statement between <span t-esc="Date_start[o.id]" /> and <span t-esc="Date_end[o.id]" /> in <span t-esc="Currencies[o.id][currency].name"/>:
</p>
<p t-if="account_type == 'payable'">
Supplier Activity Statement between <span t-esc="Date_start[o.id]" /> and <span t-esc="Date_end[o.id]" /> in <span t-esc="Currencies[o.id][currency].name"/>:
</p>
<table class="table table-condensed" style="border: 1px solid black; border-collapse: collapse;">
<thead>

4
customer_activity_statement/wizard/customer_activity_statement_wizard.py

@ -30,6 +30,9 @@ class CustomerActivityStatementWizard(models.TransientModel):
)
filter_partners_non_due = fields.Boolean(
string='Don\'t show partners with no due entries', default=True)
account_type = fields.Selection(
[('receivable', 'Receivable'),
('payable', 'Payable')], string='Account type', default='receivable')
@api.multi
def button_export_pdf(self):
@ -45,6 +48,7 @@ class CustomerActivityStatementWizard(models.TransientModel):
'partner_ids': self._context['active_ids'],
'show_aging_buckets': self.show_aging_buckets,
'filter_non_due_partners': self.filter_partners_non_due,
'account_type': self.account_type,
}
def _export(self):

11
customer_activity_statement/wizard/customer_activity_statement_wizard.xml

@ -4,7 +4,7 @@
<odoo>
<!-- wizard action on res.partner -->
<act_window id="customer_activity_statement_wizard_action"
name="Customer Activity Statement"
name="Partner Activity Statement"
src_model="res.partner"
res_model="customer.activity.statement.wizard"
view_type="form" view_mode="form"
@ -19,16 +19,21 @@
<form name="Report Options">
<div style="text-align:justify">
<label string="The activity statement provides details of all activity on
the customer receivables between two selected dates. This includes all invoices,
a partner's receivables and payables between two selected dates. This includes all invoices,
refunds and payments. Any outstanding balance dated prior to the chosen statement
period will appear as a forward balance at the top of the statement. The list is
displayed in chronological order and is split by currencies."/><br/><br/>
<label string="Aging details can be shown in the report, expressed in aging
buckets (30 days due, ...), so the customer can review how much is open, due or overdue."/>
buckets (30 days due, ...), so the customer or vendor can review how much is open, due or overdue."/>
</div><hr/>
<group name="main_info">
<field name="company_id" options="{'no_create': True}" groups="base.group_multi_company"/>
</group>
<group name="account_type">
<label for="account_type"/>
<field name="account_type" nolabel="1" widget="radio"/>
</group>
<group name="dates">
<field name="date_start"/>
<field name="date_end"/>

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