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# © 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
from odoo.tools import float_is_zero
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'
_inherit = 'account_financial_report_abstract'
# 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_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')
filter_journal_ids = fields.Many2many(comodel_name='account.journal')
show_partner_details = fields.Boolean()
hierarchy_on = fields.Selection(
[('computed', 'Computed Accounts'),
('relation', 'Child Accounts'),
('none', 'No hierarchy')],
string='Hierarchy On',
required=True,
default='computed',
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)
# 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'
_inherit = 'account_financial_report_abstract'
_order = 'sequence, code ASC, name'
report_id = fields.Many2one(
comodel_name='report_trial_balance',
ondelete='cascade',
index=True
)
hide_line = fields.Boolean(compute='_compute_hide_line')
# Data fields, used to keep link with real object.
# Sequence is a Char later built with 'code_prefix' for groups
# and code_prefix + account code for accounts
sequence = fields.Char(index=True, default='1')
level = fields.Integer(index=True, default=1)
# 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="Child accounts")
compute_account_ids = fields.Many2many(
'account.account',
string="Compute 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))
period_balance = 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'
)
@api.depends(
'currency_id',
'report_id',
'report_id.hide_account_at_0',
'report_id.limit_hierarchy_level',
'report_id.show_hierarchy_level',
'initial_balance',
'final_balance',
'debit',
'credit',
)
def _compute_hide_line(self):
for rec in self:
report = rec.report_id
r = (rec.currency_id or report.company_id.currency_id).rounding
if report.hide_account_at_0 and (
float_is_zero(rec.initial_balance, precision_rounding=r)
and float_is_zero(rec.final_balance, precision_rounding=r)
and float_is_zero(rec.debit, precision_rounding=r)
and float_is_zero(rec.credit, precision_rounding=r)):
rec.hide_line = True
elif report.limit_hierarchy_level and report.show_hierarchy_level:
if report.hide_parent_hierarchy_level:
distinct_level = rec.level != report.show_hierarchy_level
if rec.account_group_id and distinct_level:
rec.hide_line = True
elif rec.level and distinct_level:
rec.hide_line = True
elif not report.hide_parent_hierarchy_level and \
rec.level > report.show_hierarchy_level:
rec.hide_line = True
class TrialBalanceReportPartner(models.TransientModel):
_name = 'report_trial_balance_partner'
_inherit = 'account_financial_report_abstract'
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))
period_balance = 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, config=False)
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,
# This is postprocessed later with a computed field
'hide_account_at_0': False,
'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)],
'filter_journal_ids': [(6, 0, self.filter_journal_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:
if self.hierarchy_on != 'none':
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 and self.hierarchy_on != 'none':
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,
period_balance,
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 - rag.initial_balance, 0) AS period_balance,
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
"""
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,
period_balance,
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 - rpg.initial_balance AS period_balance,
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"""
allowed_groups = self.env["account.group"].search([])
if not allowed_groups:
return
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.code_prefix,
accgroup.level
FROM
account_group accgroup
WHERE
accgroup.id in %s
"""
query_inject_account_params = (
self.id,
self.env.uid,
tuple(allowed_groups.ids),
)
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,
period_balance, 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.period_balance, 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(debit) - sum(credit) AS period_balance,
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,
period_balance = computed.period_balance,
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,
sum(coalesce(ra.initial_balance, 0)) as initial_balance,
sum(coalesce(ra.initial_balance_foreign_currency, 0))
as initial_balance_foreign_currency,
sum(coalesce(ra.debit, 0)) as debit,
sum(coalesce(ra.credit, 0)) as credit,
sum(coalesce(ra.debit, 0)) - sum(coalesce(ra.credit, 0)) as period_balance,
sum(coalesce(ra.final_balance, 0)) as final_balance,
sum(coalesce(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,
period_balance = accgroup.period_balance,
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 = CONCAT(newline.sequence, newline.code),
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 == 'computed':
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])]