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# -*- coding: utf-8 -*-
##############################################################################
#
# OpenERP, Open Source Management Solution
#
# Copyright (c) 2013 Noviat nv/sa (www.noviat.com). All rights reserved.
#
# This program is free software: you can redistribute it and/or modify
# it under the terms of the GNU Affero General Public License as
# published by the Free Software Foundation, either version 3 of the
# License, or (at your option) any later version.
#
# This program is distributed in the hope that it will be useful,
# but WITHOUT ANY WARRANTY; without even the implied warranty of
# MERCHANTABILITY or FITNESS FOR A PARTICULAR PURPOSE. See the
# GNU Affero General Public License for more details.
#
# You should have received a copy of the GNU Affero General Public License
# along with this program. If not, see <http://www.gnu.org/licenses/>.
#
##############################################################################
import xlwt
from datetime import datetime
from openerp.addons.report_xls.report_xls import report_xls
from openerp.addons.report_xls.utils import rowcol_to_cell
from openerp.addons.account_financial_report_webkit.report.general_ledger \
import GeneralLedgerWebkit
from openerp.tools.translate import _
# import logging
# _logger = logging.getLogger(__name__)
class GeneralLedgerWebkitSupplier(GeneralLedgerWebkit):
""" Extends General Ledger Parser to add the supplier invoice
number in the move lines """
def _get_move_line_select(self):
res = super(GeneralLedgerWebkitSupplier, self)._get_move_line_select()
return res + """
, i.supplier_invoice_number AS supplier_invoice_number
"""
_column_sizes = [
('date', 12),
('period', 12),
('move', 20),
('supp_inv_no', 22),
('journal', 12),
('account_code', 12),
('partner', 30),
('label', 45),
('counterpart', 30),
('debit', 15),
('credit', 15),
('cumul_bal', 15),
('curr_bal', 15),
('curr_code', 7),
]
# Header column spans
COLS_COA = 3
COLS_FY = 1
COLS_DF = 3
COLS_AF = 1
COLS_TM = 2
COLS_IB = 2
# Full column span
COLS_TOT = sum((COLS_COA, COLS_FY, COLS_DF, COLS_AF, COLS_TM, COLS_IB))
class general_ledger_xls(report_xls):
column_sizes = [x[1] for x in _column_sizes]
def generate_xls_report(self, _p, _xs, data, objects, wb):
ws = wb.add_sheet(_p.report_name[:31])
ws.panes_frozen = True
ws.remove_splits = True
ws.portrait = 0 # Landscape
ws.fit_width_to_pages = 1
row_pos = 0
# set print header/footer
ws.header_str = self.xls_headers['standard']
ws.footer_str = self.xls_footers['standard']
# cf. account_report_general_ledger.mako
initial_balance_text = {'initial_balance': _('Computed'),
'opening_balance': _('Opening Entries'),
False: _('No')}
# Title
cell_style = xlwt.easyxf(_xs['xls_title'])
report_name = ' - '.join([_p.report_name.upper(),
_p.company.partner_id.name,
_p.company.currency_id.name])
c_specs = [
('report_name', COLS_TOT, 0, 'text', report_name),
]
row_data = self.xls_row_template(c_specs, [x[0] for x in c_specs])
row_pos = self.xls_write_row(
ws, row_pos, row_data, row_style=cell_style)
# write empty row to define column sizes
c_sizes = self.column_sizes
c_specs = [('empty%s' % i, 1, c_sizes[i], 'text', None)
for i in range(0, len(c_sizes))]
row_data = self.xls_row_template(c_specs, [x[0] for x in c_specs])
row_pos = self.xls_write_row(
ws, row_pos, row_data, set_column_size=True)
# Header Table
cell_format = _xs['bold'] + _xs['fill_blue'] + _xs['borders_all']
cell_style = xlwt.easyxf(cell_format)
cell_style_center = xlwt.easyxf(cell_format + _xs['center'])
c_specs = [
('coa', COLS_COA, 0, 'text', _('Chart of Account')),
('fy', COLS_FY, 0, 'text', _('Fiscal Year')),
('df', COLS_DF, 0, 'text', _p.filter_form(data) ==
'filter_date' and _('Dates Filter') or _('Periods Filter')),
('af', COLS_AF, 0, 'text', _('Accounts Filter')),
('tm', COLS_TM, 0, 'text', _('Target Moves')),
('ib', COLS_IB, 0, 'text', _('Initial Balance')),
]
row_data = self.xls_row_template(c_specs, [x[0] for x in c_specs])
row_pos = self.xls_write_row(
ws, row_pos, row_data, row_style=cell_style_center)
cell_format = _xs['borders_all']
cell_style = xlwt.easyxf(cell_format)
cell_style_center = xlwt.easyxf(cell_format + _xs['center'])
c_specs = [
('coa', COLS_COA, 0, 'text', _p.chart_account.name),
('fy', COLS_FY, 0, 'text',
_p.fiscalyear.name if _p.fiscalyear else '-'),
]
df = _('From') + ': '
if _p.filter_form(data) == 'filter_date':
df += _p.start_date if _p.start_date else u''
else:
df += _p.start_period.name if _p.start_period else u''
df += ' ' + _('To') + ': '
if _p.filter_form(data) == 'filter_date':
df += _p.stop_date if _p.stop_date else u''
else:
df += _p.stop_period.name if _p.stop_period else u''
c_specs += [
('df', COLS_DF, 0, 'text', df),
('af', COLS_AF, 0, 'text', _p.accounts(data) and ', '.join(
[account.code for account in _p.accounts(data)]) or _('All')),
('tm', COLS_TM, 0, 'text', _p.display_target_move(data)),
('ib', COLS_IB, 0, 'text', initial_balance_text[
_p.initial_balance_mode]),
]
row_data = self.xls_row_template(c_specs, [x[0] for x in c_specs])
row_pos = self.xls_write_row(
ws, row_pos, row_data, row_style=cell_style_center)
ws.set_horz_split_pos(row_pos)
row_pos += 1
# Column Title Row
cell_format = _xs['bold']
c_title_cell_style = xlwt.easyxf(cell_format)
# Column Header Row
cell_format = _xs['bold'] + _xs['fill'] + _xs['borders_all']
c_hdr_cell_style = xlwt.easyxf(cell_format)
c_hdr_cell_style_right = xlwt.easyxf(cell_format + _xs['right'])
c_hdr_cell_style_center = xlwt.easyxf(cell_format + _xs['center'])
c_hdr_cell_style_decimal = xlwt.easyxf(
cell_format + _xs['right'],
num_format_str=report_xls.decimal_format)
# Column Initial Balance Row
cell_format = _xs['italic'] + _xs['borders_all']
c_init_cell_style = xlwt.easyxf(cell_format)
c_init_cell_style_decimal = xlwt.easyxf(
cell_format + _xs['right'],
num_format_str=report_xls.decimal_format)
c_specs = [
('date', 1, 0, 'text', _('Date'), None, c_hdr_cell_style),
('period', 1, 0, 'text', _('Period'), None, c_hdr_cell_style),
('move', 1, 0, 'text', _('Entry'), None, c_hdr_cell_style),
('supp_inv_no', 1, 0, 'text', _('Supplier Invoice Number'),
None, c_hdr_cell_style),
('journal', 1, 0, 'text', _('Journal'), None, c_hdr_cell_style),
('account_code', 1, 0, 'text',
_('Account'), None, c_hdr_cell_style),
('partner', 1, 0, 'text', _('Partner'), None, c_hdr_cell_style),
('label', 1, 0, 'text', _('Label'), None, c_hdr_cell_style),
('counterpart', 1, 0, 'text',
_('Counterpart'), None, c_hdr_cell_style),
('debit', 1, 0, 'text', _('Debit'), None, c_hdr_cell_style_right),
('credit', 1, 0, 'text', _('Credit'),
None, c_hdr_cell_style_right),
('cumul_bal', 1, 0, 'text', _('Cumul. Bal.'),
None, c_hdr_cell_style_right),
]
if _p.amount_currency(data):
c_specs += [
('curr_bal', 1, 0, 'text', _('Curr. Bal.'),
None, c_hdr_cell_style_right),
('curr_code', 1, 0, 'text', _('Curr.'),
None, c_hdr_cell_style_center),
]
c_hdr_data = self.xls_row_template(c_specs, [x[0] for x in c_specs])
# cell styles for ledger lines
ll_cell_format = _xs['borders_all']
ll_cell_style = xlwt.easyxf(ll_cell_format)
ll_cell_style_center = xlwt.easyxf(ll_cell_format + _xs['center'])
ll_cell_style_date = xlwt.easyxf(
ll_cell_format + _xs['left'],
num_format_str=report_xls.date_format)
ll_cell_style_decimal = xlwt.easyxf(
ll_cell_format + _xs['right'],
num_format_str=report_xls.decimal_format)
cnt = 0
for account in objects:
display_initial_balance = account.init_balance and \
(account.init_balance.get(
'debit', 0.0) != 0.0 or account.
init_balance.get('credit', 0.0) != 0.0)
display_ledger_lines = account.ledger_lines
if _p.display_account_raw(data) == 'all' or \
(display_ledger_lines or display_initial_balance):
# TO DO : replace cumul amounts by xls formulas
cnt += 1
cumul_debit = 0.0
cumul_credit = 0.0
cumul_balance = 0.0
cumul_balance_curr = 0.0
c_specs = [
('acc_title', COLS_TOT, 0, 'text',
' - '.join([account.code, account.name])),
]
row_data = self.xls_row_template(
c_specs, [x[0] for x in c_specs])
row_pos = self.xls_write_row(
ws, row_pos, row_data, c_title_cell_style)
row_pos = self.xls_write_row(ws, row_pos, c_hdr_data)
row_start = row_pos
if display_initial_balance:
cumul_debit = account.init_balance.get('debit') or 0.0
cumul_credit = account.init_balance.get('credit') or 0.0
cumul_balance = account.init_balance.get(
'init_balance') or 0.0
cumul_balance_curr = account.init_balance.get(
'init_balance_currency') or 0.0
c_specs = [('empty%s' % x, 1, 0, 'text', None)
for x in range(7)]
c_specs += [
('init_bal', 1, 0, 'text', _('Initial Balance')),
('counterpart', 1, 0, 'text', None),
('debit', 1, 0, 'number', cumul_debit,
None, c_init_cell_style_decimal),
('credit', 1, 0, 'number', cumul_credit,
None, c_init_cell_style_decimal),
('cumul_bal', 1, 0, 'number', cumul_balance,
None, c_init_cell_style_decimal),
]
if _p.amount_currency(data):
c_specs += [
('curr_bal', 1, 0, 'number', cumul_balance_curr,
None, c_init_cell_style_decimal),
('curr_code', 1, 0, 'text', None),
]
row_data = self.xls_row_template(
c_specs, [x[0] for x in c_specs])
row_pos = self.xls_write_row(
ws, row_pos, row_data, c_init_cell_style)
for line in account.ledger_lines:
cumul_debit += line.get('debit') or 0.0
cumul_credit += line.get('credit') or 0.0
cumul_balance_curr += line.get('amount_currency') or 0.0
cumul_balance += line.get('balance') or 0.0
label_elements = [line.get('lname') or '']
if line.get('invoice_number'):
label_elements.append(
"(%s)" % (line['invoice_number'],))
label = ' '.join(label_elements)
if line.get('ldate'):
c_specs = [
('ldate', 1, 0, 'date', datetime.strptime(
line['ldate'], '%Y-%m-%d'), None,
ll_cell_style_date),
]
else:
c_specs = [
('ldate', 1, 0, 'text', None),
]
c_specs += [
('period', 1, 0, 'text',
line.get('period_code') or ''),
('move', 1, 0, 'text', line.get('move_name') or ''),
('supp_inv_no', 1, 0, 'text',
line.get('supplier_invoice_number') or ''),
('journal', 1, 0, 'text', line.get('jcode') or ''),
('account_code', 1, 0, 'text', account.code),
('partner', 1, 0, 'text',
line.get('partner_name') or ''),
('label', 1, 0, 'text', label),
('counterpart', 1, 0, 'text',
line.get('counterparts') or ''),
('debit', 1, 0, 'number', line.get('debit', 0.0),
None, ll_cell_style_decimal),
('credit', 1, 0, 'number', line.get('credit', 0.0),
None, ll_cell_style_decimal),
('cumul_bal', 1, 0, 'number', cumul_balance,
None, ll_cell_style_decimal),
]
if _p.amount_currency(data):
c_specs += [
('curr_bal', 1, 0, 'number', line.get(
'amount_currency') or 0.0, None,
ll_cell_style_decimal),
('curr_code', 1, 0, 'text', line.get(
'currency_code') or '', None,
ll_cell_style_center),
]
row_data = self.xls_row_template(
c_specs, [x[0] for x in c_specs])
row_pos = self.xls_write_row(
ws, row_pos, row_data, ll_cell_style)
debit_start = rowcol_to_cell(row_start, 9)
debit_end = rowcol_to_cell(row_pos - 1, 9)
debit_formula = 'SUM(' + debit_start + ':' + debit_end + ')'
credit_start = rowcol_to_cell(row_start, 10)
credit_end = rowcol_to_cell(row_pos - 1, 10)
credit_formula = 'SUM(' + credit_start + ':' + credit_end + ')'
balance_debit = rowcol_to_cell(row_pos, 9)
balance_credit = rowcol_to_cell(row_pos, 10)
balance_formula = balance_debit + '-' + balance_credit
c_specs = [
('acc_title', COLS_TOT - 4, 0, 'text',
' - '.join([account.code, account.name])),
('cum_bal', 1, 0, 'text',
_('Cumulated Balance on Account'),
None, c_hdr_cell_style_right),
('debit', 1, 0, 'number', None,
debit_formula, c_hdr_cell_style_decimal),
('credit', 1, 0, 'number', None,
credit_formula, c_hdr_cell_style_decimal),
('balance', 1, 0, 'number', None,
balance_formula, c_hdr_cell_style_decimal),
]
if _p.amount_currency(data):
if account.currency_id:
c_specs += [('curr_bal', 1, 0, 'number',
cumul_balance_curr, None,
c_hdr_cell_style_decimal)]
else:
c_specs += [('curr_bal', 1, 0, 'text', None)]
c_specs += [('curr_code', 1, 0, 'text', None)]
row_data = self.xls_row_template(
c_specs, [x[0] for x in c_specs])
row_pos = self.xls_write_row(
ws, row_pos, row_data, c_hdr_cell_style)
row_pos += 1
general_ledger_xls('report.account.account_report_general_ledger_xls',
'account.account',
parser=GeneralLedgerWebkitSupplier)