# © 2016 Julien Coux (Camptocamp) # © 2018 Forest and Biomass Romania SA # License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl.html). from odoo import models, fields, api class TrialBalanceReport(models.TransientModel): """ Here, we just define class fields. For methods, go more bottom at this file. The class hierarchy is : * TrialBalanceReport *** TrialBalanceReportAccount **** TrialBalanceReportPartner If "show_partner_details" is selected """ _name = 'report_trial_balance' # Filters fields, used for data computation date_from = fields.Date() date_to = fields.Date() fy_start_date = fields.Date() only_posted_moves = fields.Boolean() hide_account_balance_at_0 = fields.Boolean() foreign_currency = fields.Boolean() company_id = fields.Many2one(comodel_name='res.company') filter_account_ids = fields.Many2many(comodel_name='account.account') filter_partner_ids = fields.Many2many(comodel_name='res.partner') show_partner_details = fields.Boolean() hierarchy_on = fields.Selection([('computed', 'Computed Accounts'), ('relation', 'Child Accounts')], string='Hierarchy On', required=True, default='computed') # General Ledger Report Data fields, # used as base for compute the data reports general_ledger_id = fields.Many2one( comodel_name='report_general_ledger' ) # Data fields, used to browse report data account_ids = fields.One2many( comodel_name='report_trial_balance_account', inverse_name='report_id' ) class TrialBalanceReportAccount(models.TransientModel): _name = 'report_trial_balance_account' _order = 'sequence, code ASC, name' report_id = fields.Many2one( comodel_name='report_trial_balance', ondelete='cascade', index=True ) # Data fields, used to keep link with real object sequence = fields.Integer(index=True, default=0) level = fields.Integer(index=True, default=0) # Data fields, used to keep link with real object account_id = fields.Many2one( 'account.account', index=True ) account_group_id = fields.Many2one( 'account.group', index=True ) parent_id = fields.Many2one( 'account.group', index=True ) child_account_ids = fields.Char( string="Accounts") compute_account_ids = fields.Many2many( 'account.account', string="Accounts", store=True) # Data fields, used for report display code = fields.Char() name = fields.Char() currency_id = fields.Many2one('res.currency') initial_balance = fields.Float(digits=(16, 2)) initial_balance_foreign_currency = fields.Float(digits=(16, 2)) debit = fields.Float(digits=(16, 2)) credit = fields.Float(digits=(16, 2)) final_balance = fields.Float(digits=(16, 2)) final_balance_foreign_currency = fields.Float(digits=(16, 2)) # Data fields, used to browse report data partner_ids = fields.One2many( comodel_name='report_trial_balance_partner', inverse_name='report_account_id' ) class TrialBalanceReportPartner(models.TransientModel): _name = 'report_trial_balance_partner' report_account_id = fields.Many2one( comodel_name='report_trial_balance_account', ondelete='cascade', index=True ) # Data fields, used to keep link with real object partner_id = fields.Many2one( 'res.partner', index=True ) # Data fields, used for report display name = fields.Char() currency_id = fields.Many2one('res.currency') initial_balance = fields.Float(digits=(16, 2)) initial_balance_foreign_currency = fields.Float(digits=(16, 2)) debit = fields.Float(digits=(16, 2)) credit = fields.Float(digits=(16, 2)) final_balance = fields.Float(digits=(16, 2)) final_balance_foreign_currency = fields.Float(digits=(16, 2)) @api.model def _generate_order_by(self, order_spec, query): """Custom order to display "No partner allocated" at last position.""" return """ ORDER BY CASE WHEN "report_trial_balance_partner"."partner_id" IS NOT NULL THEN 0 ELSE 1 END, "report_trial_balance_partner"."name" """ class TrialBalanceReportCompute(models.TransientModel): """ Here, we just define methods. For class fields, go more top at this file. """ _inherit = 'report_trial_balance' @api.multi def print_report(self, report_type): self.ensure_one() if report_type == 'xlsx': report_name = 'a_f_r.report_trial_balance_xlsx' else: report_name = 'account_financial_report.' \ 'report_trial_balance_qweb' return self.env['ir.actions.report'].search( [('report_name', '=', report_name), ('report_type', '=', report_type)], limit=1).report_action(self) def _get_html(self): result = {} rcontext = {} context = dict(self.env.context) report = self.browse(context.get('active_id')) if report: rcontext['o'] = report result['html'] = self.env.ref( 'account_financial_report.report_trial_balance').render( rcontext) return result @api.model def get_html(self, given_context=None): return self._get_html() def _prepare_report_general_ledger(self, account_ids): self.ensure_one() return { 'date_from': self.date_from, 'date_to': self.date_to, 'only_posted_moves': self.only_posted_moves, 'hide_account_balance_at_0': self.hide_account_balance_at_0, 'foreign_currency': self.foreign_currency, 'company_id': self.company_id.id, 'filter_account_ids': [(6, 0, account_ids.ids)], 'filter_partner_ids': [(6, 0, self.filter_partner_ids.ids)], 'fy_start_date': self.fy_start_date, } @api.multi def compute_data_for_report(self): self.ensure_one() # Compute General Ledger Report Data. # The data of Trial Balance Report # are based on General Ledger Report data. model = self.env['report_general_ledger'] if self.filter_account_ids: account_ids = self.filter_account_ids else: account_ids = self.env['account.account'].search( [('company_id', '=', self.company_id.id)]) self.general_ledger_id = model.create( self._prepare_report_general_ledger(account_ids) ) self.general_ledger_id.compute_data_for_report( with_line_details=False, with_partners=self.show_partner_details ) # Compute report data self._inject_account_values(account_ids) if self.show_partner_details: self._inject_partner_values() if not self.filter_account_ids: self._inject_account_group_values() if self.hierarchy_on == 'computed': self._update_account_group_computed_values() else: self._update_account_group_child_values() self._update_account_sequence() self._add_account_group_account_values() self.refresh() if not self.filter_account_ids: self._compute_group_accounts() else: for line in self.account_ids: line.write({'level': 0}) def _inject_account_values(self, account_ids): """Inject report values for report_trial_balance_account""" query_inject_account = """ INSERT INTO report_trial_balance_account ( report_id, create_uid, create_date, account_id, parent_id, code, name, initial_balance, debit, credit, final_balance, currency_id, initial_balance_foreign_currency, final_balance_foreign_currency ) SELECT %s AS report_id, %s AS create_uid, NOW() AS create_date, acc.id, acc.group_id, acc.code, acc.name, coalesce(rag.initial_balance, 0) AS initial_balance, coalesce(rag.final_debit - rag.initial_debit, 0) AS debit, coalesce(rag.final_credit - rag.initial_credit, 0) AS credit, coalesce(rag.final_balance, 0) AS final_balance, rag.currency_id AS currency_id, coalesce(rag.initial_balance_foreign_currency, 0) AS initial_balance_foreign_currency, coalesce(rag.final_balance_foreign_currency, 0) AS final_balance_foreign_currency FROM account_account acc LEFT OUTER JOIN report_general_ledger_account AS rag ON rag.account_id = acc.id AND rag.report_id = %s WHERE acc.id in %s """ if self.hide_account_balance_at_0: query_inject_account += """ AND final_balance IS NOT NULL AND final_balance != 0""" query_inject_account_params = ( self.id, self.env.uid, self.general_ledger_id.id, account_ids._ids, ) self.env.cr.execute(query_inject_account, query_inject_account_params) def _inject_partner_values(self): """Inject report values for report_trial_balance_partner""" query_inject_partner = """ INSERT INTO report_trial_balance_partner ( report_account_id, create_uid, create_date, partner_id, name, initial_balance, initial_balance_foreign_currency, debit, credit, final_balance, final_balance_foreign_currency ) SELECT ra.id AS report_account_id, %s AS create_uid, NOW() AS create_date, rpg.partner_id, rpg.name, rpg.initial_balance AS initial_balance, rpg.initial_balance_foreign_currency AS initial_balance_foreign_currency, rpg.final_debit - rpg.initial_debit AS debit, rpg.final_credit - rpg.initial_credit AS credit, rpg.final_balance AS final_balance, rpg.final_balance_foreign_currency AS final_balance_foreign_currency FROM report_general_ledger_partner rpg INNER JOIN report_general_ledger_account rag ON rpg.report_account_id = rag.id INNER JOIN report_trial_balance_account ra ON rag.code = ra.code WHERE rag.report_id = %s AND ra.report_id = %s """ query_inject_partner_params = ( self.env.uid, self.general_ledger_id.id, self.id, ) self.env.cr.execute(query_inject_partner, query_inject_partner_params) def _inject_account_group_values(self): """Inject report values for report_trial_balance_account""" query_inject_account_group = """ INSERT INTO report_trial_balance_account ( report_id, create_uid, create_date, account_group_id, parent_id, code, name, sequence, level ) SELECT %s AS report_id, %s AS create_uid, NOW() AS create_date, accgroup.id, accgroup.parent_id, coalesce(accgroup.code_prefix, accgroup.name), accgroup.name, accgroup.parent_left * 100000, accgroup.level FROM account_group accgroup""" query_inject_account_params = ( self.id, self.env.uid, ) self.env.cr.execute(query_inject_account_group, query_inject_account_params) def _update_account_group_child_values(self): """Compute values for report_trial_balance_account group in child.""" query_update_account_group = """ WITH computed AS (WITH RECURSIVE cte AS ( SELECT account_group_id, code, account_group_id AS parent_id, initial_balance, initial_balance_foreign_currency, debit, credit, final_balance, final_balance_foreign_currency FROM report_trial_balance_account WHERE report_id = %s GROUP BY report_trial_balance_account.id UNION ALL SELECT c.account_group_id, c.code, p.account_group_id, p.initial_balance, p.initial_balance_foreign_currency, p.debit, p.credit, p.final_balance, p.final_balance_foreign_currency FROM cte c JOIN report_trial_balance_account p USING (parent_id) WHERE p.report_id = %s ) SELECT account_group_id, code, sum(initial_balance) AS initial_balance, sum(initial_balance_foreign_currency) AS initial_balance_foreign_currency, sum(debit) AS debit, sum(credit) AS credit, sum(final_balance) AS final_balance, sum(final_balance_foreign_currency) AS final_balance_foreign_currency FROM cte GROUP BY cte.account_group_id, cte.code ORDER BY account_group_id ) UPDATE report_trial_balance_account SET initial_balance = computed.initial_balance, initial_balance_foreign_currency = computed.initial_balance_foreign_currency, debit = computed.debit, credit = computed.credit, final_balance = computed.final_balance, final_balance_foreign_currency = computed.final_balance_foreign_currency FROM computed WHERE report_trial_balance_account.account_group_id = computed.account_group_id AND report_trial_balance_account.report_id = %s """ query_update_account_params = (self.id, self.id, self.id,) self.env.cr.execute(query_update_account_group, query_update_account_params) def _add_account_group_account_values(self): """Compute values for report_trial_balance_account group in child.""" query_update_account_group = """ DROP AGGREGATE IF EXISTS array_concat_agg(anyarray); CREATE AGGREGATE array_concat_agg(anyarray) ( SFUNC = array_cat, STYPE = anyarray ); WITH aggr AS(WITH computed AS (WITH RECURSIVE cte AS ( SELECT account_group_id, account_group_id AS parent_id, ARRAY[account_id]::int[] as child_account_ids FROM report_trial_balance_account WHERE report_id = %s GROUP BY report_trial_balance_account.id UNION ALL SELECT c.account_group_id, p.account_group_id, ARRAY[p.account_id]::int[] FROM cte c JOIN report_trial_balance_account p USING (parent_id) WHERE p.report_id = %s ) SELECT account_group_id, array_concat_agg(DISTINCT child_account_ids)::int[] as child_account_ids FROM cte GROUP BY cte.account_group_id, cte.child_account_ids ORDER BY account_group_id ) SELECT account_group_id, array_concat_agg(DISTINCT child_account_ids)::int[] AS child_account_ids from computed GROUP BY account_group_id) UPDATE report_trial_balance_account SET child_account_ids = aggr.child_account_ids FROM aggr WHERE report_trial_balance_account.account_group_id = aggr.account_group_id AND report_trial_balance_account.report_id = %s """ query_update_account_params = (self.id, self.id, self.id,) self.env.cr.execute(query_update_account_group, query_update_account_params) def _update_account_group_computed_values(self): """Compute values for report_trial_balance_account group in compute.""" query_update_account_group = """ WITH RECURSIVE accgroup AS (SELECT accgroup.id, coalesce(sum(ra.initial_balance),0) as initial_balance, coalesce(sum(ra.initial_balance_foreign_currency),0) as initial_balance_foreign_currency, coalesce(sum(ra.debit),0) as debit, coalesce(sum(ra.credit),0) as credit, coalesce(sum(ra.final_balance),0) as final_balance, coalesce(sum(ra.final_balance_foreign_currency),0) as final_balance_foreign_currency FROM account_group accgroup LEFT OUTER JOIN account_account AS acc ON strpos(acc.code, accgroup.code_prefix) = 1 LEFT OUTER JOIN report_trial_balance_account AS ra ON ra.account_id = acc.id WHERE ra.report_id = %s GROUP BY accgroup.id ) UPDATE report_trial_balance_account SET initial_balance = accgroup.initial_balance, initial_balance_foreign_currency = accgroup.initial_balance_foreign_currency, debit = accgroup.debit, credit = accgroup.credit, final_balance = accgroup.final_balance, final_balance_foreign_currency = accgroup.final_balance_foreign_currency FROM accgroup WHERE report_trial_balance_account.account_group_id = accgroup.id """ query_update_account_params = (self.id,) self.env.cr.execute(query_update_account_group, query_update_account_params) def _update_account_sequence(self): """Compute sequence, level for report_trial_balance_account account.""" query_update_account_group = """ UPDATE report_trial_balance_account SET sequence = newline.sequence + 1, level = newline.level + 1 FROM report_trial_balance_account as newline WHERE newline.account_group_id = report_trial_balance_account.parent_id AND report_trial_balance_account.report_id = newline.report_id AND report_trial_balance_account.account_id is not null AND report_trial_balance_account.report_id = %s""" query_update_account_params = (self.id,) self.env.cr.execute(query_update_account_group, query_update_account_params) def _compute_group_accounts(self): groups = self.account_ids.filtered( lambda a: a.account_group_id is not False) for group in groups: if self.hierarchy_on == 'compute': group.compute_account_ids = \ group.account_group_id.compute_account_ids else: if group.child_account_ids: chacc = group.child_account_ids.replace( '}', '').replace('{', '').split(',') if 'NULL' in chacc: chacc.remove('NULL') if chacc: group.compute_account_ids = [ (6, 0, [int(g) for g in chacc])]