Compare commits

..

1 Commits

Author SHA1 Message Date
Sagar Sharma
f064368dbd Revert "fix: reference error while using exchange rate revaluation" 2023-06-15 11:44:55 +05:30
1789 changed files with 135408 additions and 79458 deletions

View File

@@ -2,32 +2,65 @@
"env": {
"browser": true,
"node": true,
"es2022": true
"es6": true
},
"parserOptions": {
"ecmaVersion": 11,
"sourceType": "module"
},
"extends": "eslint:recommended",
"rules": {
"indent": "off",
"brace-style": "off",
"no-mixed-spaces-and-tabs": "off",
"no-useless-escape": "off",
"space-unary-ops": ["error", { "words": true }],
"linebreak-style": "off",
"quotes": ["off"],
"semi": "off",
"camelcase": "off",
"no-unused-vars": "off",
"no-console": ["warn"],
"no-extra-boolean-cast": ["off"],
"no-control-regex": ["off"]
"indent": [
"error",
"tab",
{ "SwitchCase": 1 }
],
"brace-style": [
"error",
"1tbs"
],
"space-unary-ops": [
"error",
{ "words": true }
],
"linebreak-style": [
"error",
"unix"
],
"quotes": [
"off"
],
"semi": [
"warn",
"always"
],
"camelcase": [
"off"
],
"no-unused-vars": [
"warn"
],
"no-redeclare": [
"warn"
],
"no-console": [
"warn"
],
"no-extra-boolean-cast": [
"off"
],
"no-control-regex": [
"off"
],
"space-before-blocks": "warn",
"keyword-spacing": "warn",
"comma-spacing": "warn",
"key-spacing": "warn"
},
"root": true,
"globals": {
"frappe": true,
"Vue": true,
"SetVueGlobals": true,
"erpnext": true,
"hub": true,
"$": true,
@@ -64,10 +97,8 @@
"is_null": true,
"in_list": true,
"has_common": true,
"posthog": true,
"has_words": true,
"validate_email": true,
"open_web_template_values_editor": true,
"get_number_format": true,
"format_number": true,
"format_currency": true,
@@ -123,6 +154,7 @@
"before": true,
"beforeEach": true,
"onScan": true,
"html2canvas": true,
"extend_cscript": true,
"localforage": true
}

View File

@@ -28,7 +28,4 @@ b147b85e6ac19a9220cd1e2958a6ebd99373283a
494bd9ef78313436f0424b918f200dab8fc7c20b
# bulk format python code with black
baec607ff5905b1c67531096a9cf50ec7ff00a5d
# bulk refactor with sourcery
eb9ee3f79b94e594fc6dfa4f6514580e125eee8c
baec607ff5905b1c67531096a9cf50ec7ff00a5d

View File

@@ -4,9 +4,7 @@ set -e
cd ~ || exit
sudo apt update
sudo apt remove mysql-server mysql-client
sudo apt install libcups2-dev redis-server mariadb-client-10.6
sudo apt update && sudo apt install redis-server libcups2-dev
pip install frappe-bench
@@ -27,14 +25,14 @@ fi
if [ "$DB" == "mariadb" ];then
mariadb --host 127.0.0.1 --port 3306 -u root -proot -e "SET GLOBAL character_set_server = 'utf8mb4'"
mariadb --host 127.0.0.1 --port 3306 -u root -proot -e "SET GLOBAL collation_server = 'utf8mb4_unicode_ci'"
mysql --host 127.0.0.1 --port 3306 -u root -proot -e "SET GLOBAL character_set_server = 'utf8mb4'"
mysql --host 127.0.0.1 --port 3306 -u root -proot -e "SET GLOBAL collation_server = 'utf8mb4_unicode_ci'"
mariadb --host 127.0.0.1 --port 3306 -u root -proot -e "CREATE USER 'test_frappe'@'localhost' IDENTIFIED BY 'test_frappe'"
mariadb --host 127.0.0.1 --port 3306 -u root -proot -e "CREATE DATABASE test_frappe"
mariadb --host 127.0.0.1 --port 3306 -u root -proot -e "GRANT ALL PRIVILEGES ON \`test_frappe\`.* TO 'test_frappe'@'localhost'"
mysql --host 127.0.0.1 --port 3306 -u root -proot -e "CREATE USER 'test_frappe'@'localhost' IDENTIFIED BY 'test_frappe'"
mysql --host 127.0.0.1 --port 3306 -u root -proot -e "CREATE DATABASE test_frappe"
mysql --host 127.0.0.1 --port 3306 -u root -proot -e "GRANT ALL PRIVILEGES ON \`test_frappe\`.* TO 'test_frappe'@'localhost'"
mariadb --host 127.0.0.1 --port 3306 -u root -proot -e "FLUSH PRIVILEGES"
mysql --host 127.0.0.1 --port 3306 -u root -proot -e "FLUSH PRIVILEGES"
fi
if [ "$DB" == "postgres" ];then
@@ -70,6 +68,6 @@ if [ "$TYPE" == "server" ]; then bench setup requirements --dev; fi
wait $wkpid
bench start &>> ~/frappe-bench/bench_start.log &
bench start &> bench_run_logs.txt &
CI=Yes bench build --app frappe &
bench --site test_site reinstall --yes

View File

@@ -21,6 +21,6 @@ jobs:
- name: Run backport
uses: ./actions/backport
with:
token: ${{secrets.RELEASE_TOKEN}}
token: ${{secrets.BACKPORT_BOT_TOKEN}}
labelsToAdd: "backport"
title: "{{originalTitle}}"

View File

@@ -9,13 +9,13 @@ on:
workflow_dispatch:
jobs:
stable-release:
release:
name: Release
runs-on: ubuntu-latest
strategy:
fail-fast: false
matrix:
version: ["14", "15"]
version: ["13", "14"]
steps:
- uses: octokit/request-action@v2.x

View File

@@ -9,22 +9,21 @@ jobs:
name: linters
runs-on: ubuntu-latest
steps:
- uses: actions/checkout@v3
- uses: actions/checkout@v2
- name: Set up Python 3.10
uses: actions/setup-python@v4
uses: actions/setup-python@v2
with:
python-version: '3.10'
cache: pip
- name: Install and Run Pre-commit
uses: pre-commit/action@v3.0.0
uses: pre-commit/action@v2.0.3
- name: Download Semgrep rules
run: git clone --depth 1 https://github.com/frappe/semgrep-rules.git frappe-semgrep-rules
- name: Download semgrep
run: pip install semgrep
run: pip install semgrep==0.97.0
- name: Run Semgrep rules
run: semgrep ci --config ./frappe-semgrep-rules/rules --config r/python.lang.correctness

View File

@@ -1,21 +0,0 @@
name: 'Lock threads'
on:
schedule:
- cron: '0 0 * * *'
workflow_dispatch:
permissions:
issues: write
pull-requests: write
jobs:
lock:
runs-on: ubuntu-latest
steps:
- uses: dessant/lock-threads@v5
with:
github-token: ${{ github.token }}
issue-inactive-days: 14
pr-inactive-days: 14

View File

@@ -23,12 +23,12 @@ jobs:
services:
mysql:
image: mariadb:10.6
image: mariadb:10.3
env:
MARIADB_ROOT_PASSWORD: 'root'
ports:
- 3306:3306
options: --health-cmd="mariadb-admin ping" --health-interval=5s --health-timeout=2s --health-retries=3
options: --health-cmd="mysqladmin ping" --health-interval=5s --health-timeout=2s --health-retries=3
steps:
- name: Clone
@@ -43,14 +43,14 @@ jobs:
fi
- name: Setup Python
uses: "actions/setup-python@v4"
uses: "gabrielfalcao/pyenv-action@v9"
with:
python-version: '3.10'
versions: 3.10:latest, 3.7:latest
- name: Setup Node
uses: actions/setup-node@v2
with:
node-version: 18
node-version: 14
check-latest: true
- name: Add to Hosts
@@ -92,6 +92,7 @@ jobs:
- name: Install
run: |
pip install frappe-bench
pyenv global $(pyenv versions | grep '3.10')
bash ${GITHUB_WORKSPACE}/.github/helper/install.sh
env:
DB: mariadb
@@ -100,61 +101,42 @@ jobs:
- name: Run Patch Tests
run: |
cd ~/frappe-bench/
bench remove-app payments --force
jq 'del(.install_apps)' ~/frappe-bench/sites/test_site/site_config.json > tmp.json
mv tmp.json ~/frappe-bench/sites/test_site/site_config.json
wget https://erpnext.com/files/v13-erpnext.sql.gz
bench --site test_site --force restore ~/frappe-bench/v13-erpnext.sql.gz
wget https://erpnext.com/files/v10-erpnext.sql.gz
bench --site test_site --force restore ~/frappe-bench/v10-erpnext.sql.gz
git -C "apps/frappe" remote set-url upstream https://github.com/frappe/frappe.git
git -C "apps/erpnext" remote set-url upstream https://github.com/frappe/erpnext.git
pyenv global $(pyenv versions | grep '3.7')
for version in $(seq 12 13)
do
echo "Updating to v$version"
branch_name="version-$version-hotfix"
function update_to_version() {
version=$1
git -C "apps/frappe" fetch --depth 1 upstream $branch_name:$branch_name
git -C "apps/erpnext" fetch --depth 1 upstream $branch_name:$branch_name
branch_name="version-$version-hotfix"
echo "Updating to v$version"
git -C "apps/frappe" checkout -q -f $branch_name
git -C "apps/erpnext" checkout -q -f $branch_name
# Fetch and checkout branches
git -C "apps/frappe" fetch --depth 1 upstream $branch_name:$branch_name
git -C "apps/erpnext" fetch --depth 1 upstream $branch_name:$branch_name
git -C "apps/frappe" checkout -q -f $branch_name
git -C "apps/erpnext" checkout -q -f $branch_name
rm -rf ~/frappe-bench/env
bench setup env
bench pip install -e ./apps/payments
bench pip install -e ./apps/erpnext
# Resetup env and install apps
pgrep honcho | xargs kill
rm -rf ~/frappe-bench/env
bench -v setup env
bench pip install -e ./apps/erpnext
bench start &>> ~/frappe-bench/bench_start.log &
bench --site test_site migrate
done
bench --site test_site migrate
}
update_to_version 14
update_to_version 15
echo "Updating to latest version"
git -C "apps/frappe" checkout -q -f "${GITHUB_BASE_REF:-${GITHUB_REF##*/}}"
git -C "apps/erpnext" checkout -q -f "$GITHUB_SHA"
pgrep honcho | xargs kill
pyenv global $(pyenv versions | grep '3.10')
rm -rf ~/frappe-bench/env
bench -v setup env
bench pip install -e ./apps/payments
bench pip install -e ./apps/erpnext
bench start &>> ~/frappe-bench/bench_start.log &
bench --site test_site migrate
- name: Show bench output
if: ${{ always() }}
run: |
cd ~/frappe-bench
cat bench_start.log || true
cd logs
for f in ./*.log*; do
echo "Printing log: $f";
cat $f
done
bench --site test_site install-app payments

View File

@@ -1,38 +0,0 @@
# This action:
#
# 1. Generates release notes using github API.
# 2. Strips unnecessary info like chore/style etc from notes.
# 3. Updates release info.
# This action needs to be maintained on all branches that do releases.
name: 'Release Notes'
on:
workflow_dispatch:
inputs:
tag_name:
description: 'Tag of release like v13.0.0'
required: true
type: string
release:
types: [released]
permissions:
contents: read
jobs:
regen-notes:
name: 'Regenerate release notes'
runs-on: ubuntu-latest
steps:
- name: Update notes
run: |
NEW_NOTES=$(gh api --method POST -H "Accept: application/vnd.github+json" /repos/frappe/erpnext/releases/generate-notes -f tag_name=$RELEASE_TAG | jq -r '.body' | sed -E '/^\* (chore|ci|test|docs|style)/d' )
RELEASE_ID=$(gh api -H "Accept: application/vnd.github+json" /repos/frappe/erpnext/releases/tags/$RELEASE_TAG | jq -r '.id')
gh api --method PATCH -H "Accept: application/vnd.github+json" /repos/frappe/erpnext/releases/$RELEASE_ID -f body="$NEW_NOTES"
env:
GH_TOKEN: ${{ secrets.RELEASE_TOKEN }}
RELEASE_TAG: ${{ github.event.inputs.tag_name || github.event.release.tag_name }}

View File

@@ -21,7 +21,7 @@ jobs:
- uses: actions/setup-node@v3
with:
node-version: 18
node-version: 14
check-latest: true
- name: Check commit titles

View File

@@ -7,9 +7,11 @@ on:
- '**.css'
- '**.md'
- '**.html'
schedule:
# Run everday at midnight UTC / 5:30 IST
- cron: "0 0 * * *"
push:
branches: [ develop ]
paths-ignore:
- '**.js'
- '**.md'
workflow_dispatch:
inputs:
user:
@@ -47,7 +49,7 @@ jobs:
MARIADB_ROOT_PASSWORD: 'root'
ports:
- 3306:3306
options: --health-cmd="mariadb-admin ping" --health-interval=5s --health-timeout=2s --health-retries=3
options: --health-cmd="mysqladmin ping" --health-interval=5s --health-timeout=2s --health-retries=3
steps:
- name: Clone
@@ -69,7 +71,7 @@ jobs:
- name: Setup Node
uses: actions/setup-node@v2
with:
node-version: 18
node-version: 14
check-latest: true
- name: Add to Hosts
@@ -123,10 +125,6 @@ jobs:
CI_BUILD_ID: ${{ github.run_id }}
ORCHESTRATOR_URL: http://test-orchestrator.frappe.io
- name: Show bench output
if: ${{ always() }}
run: cat ~/frappe-bench/bench_start.log || true
- name: Upload coverage data
uses: actions/upload-artifact@v3
with:

View File

@@ -59,7 +59,7 @@ jobs:
- name: Setup Node
uses: actions/setup-node@v2
with:
node-version: 18
node-version: 14
check-latest: true
- name: Add to Hosts

View File

@@ -15,9 +15,6 @@ pull_request_rules:
- or:
- base=version-13
- base=version-12
- base=version-14
- base=version-15
- base=version-16
actions:
close:
comment:
@@ -25,6 +22,16 @@ pull_request_rules:
@{{author}}, thanks for the contribution, but we do not accept pull requests on a stable branch. Please raise PR on an appropriate hotfix branch.
https://github.com/frappe/erpnext/wiki/Pull-Request-Checklist#which-branch
- name: Auto-close PRs on pre-release branch
conditions:
- base=version-13-pre-release
actions:
close:
comment:
message: |
@{{author}}, pre-release branch is not maintained anymore. Releases are directly done by merging hotfix branch to stable branches.
- name: backport to develop
conditions:
- label="backport develop"
@@ -45,13 +52,13 @@ pull_request_rules:
assignees:
- "{{ author }}"
- name: backport to version-15-hotfix
- name: backport to version-14-pre-release
conditions:
- label="backport version-15-hotfix"
- label="backport version-14-pre-release"
actions:
backport:
branches:
- version-15-hotfix
- version-14-pre-release
assignees:
- "{{ author }}"
@@ -65,6 +72,35 @@ pull_request_rules:
assignees:
- "{{ author }}"
- name: backport to version-13-pre-release
conditions:
- label="backport version-13-pre-release"
actions:
backport:
branches:
- version-13-pre-release
assignees:
- "{{ author }}"
- name: backport to version-12-hotfix
conditions:
- label="backport version-12-hotfix"
actions:
backport:
branches:
- version-12-hotfix
assignees:
- "{{ author }}"
- name: backport to version-12-pre-release
conditions:
- label="backport version-12-pre-release"
actions:
backport:
branches:
- version-12-pre-release
assignees:
- "{{ author }}"
- name: Automatic merge on CI success and review
conditions:

View File

@@ -5,7 +5,7 @@ fail_fast: false
repos:
- repo: https://github.com/pre-commit/pre-commit-hooks
rev: v4.3.0
rev: v4.0.1
hooks:
- id: trailing-whitespace
files: "erpnext.*"
@@ -15,36 +15,13 @@ repos:
args: ['--branch', 'develop']
- id: check-merge-conflict
- id: check-ast
- id: check-json
- id: check-toml
- id: check-yaml
- id: debug-statements
- repo: https://github.com/pre-commit/mirrors-eslint
rev: v8.44.0
hooks:
- id: eslint
types_or: [javascript]
args: ['--quiet']
# Ignore any files that might contain jinja / bundles
exclude: |
(?x)^(
erpnext/public/dist/.*|
cypress/.*|
.*node_modules.*|
.*boilerplate.*|
erpnext/public/js/controllers/.*|
erpnext/templates/pages/order.js|
erpnext/templates/includes/.*
)$
- repo: https://github.com/PyCQA/flake8
rev: 6.0.0
rev: 5.0.4
hooks:
- id: flake8
additional_dependencies: [
'flake8-bugbear',
'flake8-tuple',
]
args: ['--config', '.github/helper/.flake8_strict']
exclude: ".*setup.py$"

View File

@@ -5,6 +5,7 @@
erpnext/accounts/ @deepeshgarg007 @ruthra-kumar
erpnext/assets/ @anandbaburajan @deepeshgarg007
erpnext/loan_management/ @deepeshgarg007
erpnext/regional @deepeshgarg007 @ruthra-kumar
erpnext/selling @deepeshgarg007 @ruthra-kumar
erpnext/support/ @deepeshgarg007

View File

@@ -73,6 +73,8 @@ New passwords will be created for the ERPNext "Administrator" user, the MariaDB
1. [Issue Guidelines](https://github.com/frappe/erpnext/wiki/Issue-Guidelines)
1. [Report Security Vulnerabilities](https://erpnext.com/security)
1. [Pull Request Requirements](https://github.com/frappe/erpnext/wiki/Contribution-Guidelines)
1. [Translations](https://translate.erpnext.com)
## License

View File

@@ -3,7 +3,7 @@ import inspect
import frappe
__version__ = "16.0.0-dev"
__version__ = "15.0.0-dev"
def get_default_company(user=None):
@@ -36,7 +36,7 @@ def get_default_cost_center(company):
if not frappe.flags.company_cost_center:
frappe.flags.company_cost_center = {}
if company not in frappe.flags.company_cost_center:
if not company in frappe.flags.company_cost_center:
frappe.flags.company_cost_center[company] = frappe.get_cached_value(
"Company", company, "cost_center"
)
@@ -47,7 +47,7 @@ def get_company_currency(company):
"""Returns the default company currency"""
if not frappe.flags.company_currency:
frappe.flags.company_currency = {}
if company not in frappe.flags.company_currency:
if not company in frappe.flags.company_currency:
frappe.flags.company_currency[company] = frappe.db.get_value(
"Company", company, "default_currency", cache=True
)
@@ -81,7 +81,7 @@ def is_perpetual_inventory_enabled(company):
if not hasattr(frappe.local, "enable_perpetual_inventory"):
frappe.local.enable_perpetual_inventory = {}
if company not in frappe.local.enable_perpetual_inventory:
if not company in frappe.local.enable_perpetual_inventory:
frappe.local.enable_perpetual_inventory[company] = (
frappe.get_cached_value("Company", company, "enable_perpetual_inventory") or 0
)
@@ -96,7 +96,7 @@ def get_default_finance_book(company=None):
if not hasattr(frappe.local, "default_finance_book"):
frappe.local.default_finance_book = {}
if company not in frappe.local.default_finance_book:
if not company in frappe.local.default_finance_book:
frappe.local.default_finance_book[company] = frappe.get_cached_value(
"Company", company, "default_finance_book"
)
@@ -108,7 +108,7 @@ def get_party_account_type(party_type):
if not hasattr(frappe.local, "party_account_types"):
frappe.local.party_account_types = {}
if party_type not in frappe.local.party_account_types:
if not party_type in frappe.local.party_account_types:
frappe.local.party_account_types[party_type] = (
frappe.db.get_value("Party Type", party_type, "account_type") or ""
)

View File

@@ -4,19 +4,18 @@
"creation": "2020-07-17 11:25:34.593061",
"docstatus": 0,
"doctype": "Dashboard Chart",
"dynamic_filters_json": "{\"company\":\"frappe.defaults.get_user_default(\\\"Company\\\")\",\"from_fiscal_year\":\"erpnext.utils.get_fiscal_year()\",\"to_fiscal_year\":\"erpnext.utils.get_fiscal_year()\"}",
"dynamic_filters_json": "{\"company\":\"frappe.defaults.get_user_default(\\\"Company\\\")\",\"from_fiscal_year\":\"frappe.sys_defaults.fiscal_year\",\"to_fiscal_year\":\"frappe.sys_defaults.fiscal_year\"}",
"filters_json": "{\"period\":\"Monthly\",\"budget_against\":\"Cost Center\",\"show_cumulative\":0}",
"idx": 0,
"is_public": 1,
"is_standard": 1,
"modified": "2023-07-19 13:13:13.307073",
"modified": "2020-07-22 12:24:49.144210",
"modified_by": "Administrator",
"module": "Accounts",
"name": "Budget Variance",
"number_of_groups": 0,
"owner": "Administrator",
"report_name": "Budget Variance Report",
"roles": [],
"timeseries": 0,
"type": "Bar",
"use_report_chart": 1,

View File

@@ -4,19 +4,18 @@
"creation": "2020-07-17 11:25:34.448572",
"docstatus": 0,
"doctype": "Dashboard Chart",
"dynamic_filters_json": "{\"company\":\"frappe.defaults.get_user_default(\\\"Company\\\")\",\"from_fiscal_year\":\"erpnext.utils.get_fiscal_year()\",\"to_fiscal_year\":\"erpnext.utils.get_fiscal_year()\"}",
"dynamic_filters_json": "{\"company\":\"frappe.defaults.get_user_default(\\\"Company\\\")\",\"from_fiscal_year\":\"frappe.sys_defaults.fiscal_year\",\"to_fiscal_year\":\"frappe.sys_defaults.fiscal_year\"}",
"filters_json": "{\"filter_based_on\":\"Fiscal Year\",\"period_start_date\":\"2020-04-01\",\"period_end_date\":\"2021-03-31\",\"periodicity\":\"Yearly\",\"include_default_book_entries\":1}",
"idx": 0,
"is_public": 1,
"is_standard": 1,
"modified": "2023-07-19 13:08:56.470390",
"modified": "2020-07-22 12:33:48.888943",
"modified_by": "Administrator",
"module": "Accounts",
"name": "Profit and Loss",
"number_of_groups": 0,
"owner": "Administrator",
"report_name": "Profit and Loss Statement",
"roles": [],
"timeseries": 0,
"type": "Bar",
"use_report_chart": 1,

View File

@@ -136,7 +136,7 @@ def convert_deferred_revenue_to_income(
send_mail(deferred_process)
def get_booking_dates(doc, item, posting_date=None, prev_posting_date=None):
def get_booking_dates(doc, item, posting_date=None):
if not posting_date:
posting_date = add_days(today(), -1)
@@ -146,42 +146,39 @@ def get_booking_dates(doc, item, posting_date=None, prev_posting_date=None):
"deferred_revenue_account" if doc.doctype == "Sales Invoice" else "deferred_expense_account"
)
if not prev_posting_date:
prev_gl_entry = frappe.db.sql(
"""
select name, posting_date from `tabGL Entry` where company=%s and account=%s and
voucher_type=%s and voucher_no=%s and voucher_detail_no=%s
and is_cancelled = 0
order by posting_date desc limit 1
""",
(doc.company, item.get(deferred_account), doc.doctype, doc.name, item.name),
as_dict=True,
)
prev_gl_entry = frappe.db.sql(
"""
select name, posting_date from `tabGL Entry` where company=%s and account=%s and
voucher_type=%s and voucher_no=%s and voucher_detail_no=%s
and is_cancelled = 0
order by posting_date desc limit 1
""",
(doc.company, item.get(deferred_account), doc.doctype, doc.name, item.name),
as_dict=True,
)
prev_gl_via_je = frappe.db.sql(
"""
SELECT p.name, p.posting_date FROM `tabJournal Entry` p, `tabJournal Entry Account` c
WHERE p.name = c.parent and p.company=%s and c.account=%s
and c.reference_type=%s and c.reference_name=%s
and c.reference_detail_no=%s and c.docstatus < 2 order by posting_date desc limit 1
""",
(doc.company, item.get(deferred_account), doc.doctype, doc.name, item.name),
as_dict=True,
)
prev_gl_via_je = frappe.db.sql(
"""
SELECT p.name, p.posting_date FROM `tabJournal Entry` p, `tabJournal Entry Account` c
WHERE p.name = c.parent and p.company=%s and c.account=%s
and c.reference_type=%s and c.reference_name=%s
and c.reference_detail_no=%s and c.docstatus < 2 order by posting_date desc limit 1
""",
(doc.company, item.get(deferred_account), doc.doctype, doc.name, item.name),
as_dict=True,
)
if prev_gl_via_je:
if (not prev_gl_entry) or (
prev_gl_entry and prev_gl_entry[0].posting_date < prev_gl_via_je[0].posting_date
):
prev_gl_entry = prev_gl_via_je
if prev_gl_entry:
start_date = getdate(add_days(prev_gl_entry[0].posting_date, 1))
else:
start_date = item.service_start_date
if prev_gl_via_je:
if (not prev_gl_entry) or (
prev_gl_entry and prev_gl_entry[0].posting_date < prev_gl_via_je[0].posting_date
):
prev_gl_entry = prev_gl_via_je
if prev_gl_entry:
start_date = getdate(add_days(prev_gl_entry[0].posting_date, 1))
else:
start_date = getdate(add_days(prev_posting_date, 1))
start_date = item.service_start_date
end_date = get_last_day(start_date)
if end_date >= item.service_end_date:
end_date = item.service_end_date
@@ -232,7 +229,7 @@ def calculate_monthly_amount(
if amount + already_booked_amount_in_account_currency > item.net_amount:
amount = item.net_amount - already_booked_amount_in_account_currency
if get_first_day(start_date) != start_date or get_last_day(end_date) != end_date:
if not (get_first_day(start_date) == start_date and get_last_day(end_date) == end_date):
partial_month = flt(date_diff(end_date, start_date)) / flt(
date_diff(get_last_day(end_date), get_first_day(start_date))
)
@@ -341,28 +338,20 @@ def book_deferred_income_or_expense(doc, deferred_process, posting_date=None):
"enable_deferred_revenue" if doc.doctype == "Sales Invoice" else "enable_deferred_expense"
)
accounts_frozen_upto = frappe.db.get_single_value("Accounts Settings", "acc_frozen_upto")
accounts_frozen_upto = frappe.get_cached_value("Accounts Settings", "None", "acc_frozen_upto")
def _book_deferred_revenue_or_expense(
item,
via_journal_entry,
submit_journal_entry,
book_deferred_entries_based_on,
prev_posting_date=None,
item, via_journal_entry, submit_journal_entry, book_deferred_entries_based_on
):
start_date, end_date, last_gl_entry = get_booking_dates(
doc, item, posting_date=posting_date, prev_posting_date=prev_posting_date
)
start_date, end_date, last_gl_entry = get_booking_dates(doc, item, posting_date=posting_date)
if not (start_date and end_date):
return
account_currency = get_account_currency(item.expense_account or item.income_account)
if doc.doctype == "Sales Invoice":
against_type = "Customer"
against, project = doc.customer, doc.project
credit_account, debit_account = item.income_account, item.deferred_revenue_account
else:
against_type = "Supplier"
against, project = doc.supplier, item.project
credit_account, debit_account = item.deferred_expense_account, item.expense_account
@@ -388,12 +377,9 @@ def book_deferred_income_or_expense(doc, deferred_process, posting_date=None):
if not amount:
return
gl_posting_date = end_date
prev_posting_date = None
# check if books nor frozen till endate:
if accounts_frozen_upto and getdate(end_date) <= getdate(accounts_frozen_upto):
gl_posting_date = get_last_day(add_days(accounts_frozen_upto, 1))
prev_posting_date = end_date
end_date = get_last_day(add_days(accounts_frozen_upto, 1))
if via_journal_entry:
book_revenue_via_journal_entry(
@@ -402,7 +388,7 @@ def book_deferred_income_or_expense(doc, deferred_process, posting_date=None):
debit_account,
amount,
base_amount,
gl_posting_date,
end_date,
project,
account_currency,
item.cost_center,
@@ -415,11 +401,10 @@ def book_deferred_income_or_expense(doc, deferred_process, posting_date=None):
doc,
credit_account,
debit_account,
against_type,
against,
amount,
base_amount,
gl_posting_date,
end_date,
project,
account_currency,
item.cost_center,
@@ -433,11 +418,7 @@ def book_deferred_income_or_expense(doc, deferred_process, posting_date=None):
if getdate(end_date) < getdate(posting_date) and not last_gl_entry:
_book_deferred_revenue_or_expense(
item,
via_journal_entry,
submit_journal_entry,
book_deferred_entries_based_on,
prev_posting_date,
item, via_journal_entry, submit_journal_entry, book_deferred_entries_based_on
)
via_journal_entry = cint(
@@ -497,7 +478,6 @@ def make_gl_entries(
doc,
credit_account,
debit_account,
against_type,
against,
amount,
base_amount,
@@ -519,9 +499,7 @@ def make_gl_entries(
doc.get_gl_dict(
{
"account": credit_account,
"against_type": against_type,
"against": against,
"against_link": against,
"credit": base_amount,
"credit_in_account_currency": amount,
"cost_center": cost_center,
@@ -540,9 +518,7 @@ def make_gl_entries(
doc.get_gl_dict(
{
"account": debit_account,
"against_type": against_type,
"against": against,
"against_link": against,
"debit": base_amount,
"debit_in_account_currency": amount,
"cost_center": cost_center,

View File

@@ -1,83 +1,67 @@
// Copyright (c) 2017, Frappe Technologies Pvt. Ltd. and Contributors
// License: GNU General Public License v3. See license.txt
frappe.ui.form.on("Account", {
setup: function (frm) {
frm.add_fetch("parent_account", "report_type", "report_type");
frm.add_fetch("parent_account", "root_type", "root_type");
frappe.ui.form.on('Account', {
setup: function(frm) {
frm.add_fetch('parent_account', 'report_type', 'report_type');
frm.add_fetch('parent_account', 'root_type', 'root_type');
},
onload: function (frm) {
frm.set_query("parent_account", function (doc) {
onload: function(frm) {
frm.set_query('parent_account', function(doc) {
return {
filters: {
is_group: 1,
company: doc.company,
},
"is_group": 1,
"company": doc.company
}
};
});
},
refresh: function (frm) {
frm.toggle_display("account_name", frm.is_new());
refresh: function(frm) {
frm.toggle_display('account_name', frm.is_new());
// hide fields if group
frm.toggle_display(["tax_rate"], cint(frm.doc.is_group) == 0);
frm.toggle_display(['account_type', 'tax_rate'], cint(frm.doc.is_group) == 0);
// disable fields
frm.toggle_enable(["is_group", "company"], false);
frm.toggle_enable(['is_group', 'company'], false);
if (cint(frm.doc.is_group) == 0) {
frm.toggle_display(
"freeze_account",
frm.doc.__onload && frm.doc.__onload.can_freeze_account
);
frm.toggle_display('freeze_account', frm.doc.__onload
&& frm.doc.__onload.can_freeze_account);
}
// read-only for root accounts
if (!frm.is_new()) {
if (!frm.doc.parent_account) {
frm.set_read_only();
frm.set_intro(
__("This is a root account and cannot be edited.")
);
frm.set_intro(__("This is a root account and cannot be edited."));
} else {
// credit days and type if customer or supplier
frm.set_intro(null);
frm.trigger("account_type");
frm.trigger('account_type');
// show / hide convert buttons
frm.trigger("add_toolbar_buttons");
frm.trigger('add_toolbar_buttons');
}
if (frm.has_perm("write")) {
frm.add_custom_button(
__("Merge Account"),
function () {
frm.trigger("merge_account");
},
__("Actions")
);
frm.add_custom_button(
__("Update Account Name / Number"),
function () {
frm.trigger("update_account_number");
},
__("Actions")
);
if (frm.has_perm('write')) {
frm.add_custom_button(__('Merge Account'), function () {
frm.trigger("merge_account");
}, __('Actions'));
frm.add_custom_button(__('Update Account Name / Number'), function () {
frm.trigger("update_account_number");
}, __('Actions'));
}
}
},
account_type: function (frm) {
if (frm.doc.is_group == 0) {
frm.toggle_display(["tax_rate"], frm.doc.account_type == "Tax");
frm.toggle_display("warehouse", frm.doc.account_type == "Stock");
frm.toggle_display(['tax_rate'], frm.doc.account_type == 'Tax');
frm.toggle_display('warehouse', frm.doc.account_type == 'Stock');
}
},
add_toolbar_buttons: function (frm) {
frm.add_custom_button(
__("Chart of Accounts"),
() => {
frappe.set_route("Tree", "Account");
},
__("View")
);
add_toolbar_buttons: function(frm) {
frm.add_custom_button(__('Chart of Accounts'), () => {
frappe.set_route("Tree", "Account");
}, __('View'));
if (frm.doc.is_group == 1) {
frm.add_custom_button(__('Convert to Non-Group'), function () {
@@ -95,88 +79,84 @@ frappe.ui.form.on("Account", {
frm.add_custom_button(__('General Ledger'), function () {
frappe.route_options = {
"account": frm.doc.name,
"from_date": erpnext.utils.get_fiscal_year(frappe.datetime.get_today(), true)[1],
"to_date": erpnext.utils.get_fiscal_year(frappe.datetime.get_today(), true)[2],
"from_date": frappe.sys_defaults.year_start_date,
"to_date": frappe.sys_defaults.year_end_date,
"company": frm.doc.company
};
frappe.set_route("query-report", "General Ledger");
}, __('View'));
frm.add_custom_button(
__("Convert to Group"),
function () {
return frappe.call({
doc: frm.doc,
method: "convert_ledger_to_group",
callback: function () {
frm.refresh();
},
});
},
__("Actions")
);
frm.add_custom_button(__('Convert to Group'), function () {
return frappe.call({
doc: frm.doc,
method: 'convert_ledger_to_group',
callback: function() {
frm.refresh();
}
});
}, __('Actions'));
}
},
merge_account: function (frm) {
merge_account: function(frm) {
var d = new frappe.ui.Dialog({
title: __("Merge with Existing Account"),
title: __('Merge with Existing Account'),
fields: [
{
label: "Name",
fieldname: "name",
fieldtype: "Data",
reqd: 1,
default: frm.doc.name,
},
"label" : "Name",
"fieldname": "name",
"fieldtype": "Data",
"reqd": 1,
"default": frm.doc.name
}
],
primary_action: function () {
primary_action: function() {
var data = d.get_values();
frappe.call({
method: "erpnext.accounts.doctype.account.account.merge_account",
args: {
old: frm.doc.name,
new: data.name,
is_group: frm.doc.is_group,
root_type: frm.doc.root_type,
company: frm.doc.company
},
callback: function (r) {
if (!r.exc) {
if (r.message) {
callback: function(r) {
if(!r.exc) {
if(r.message) {
frappe.set_route("Form", "Account", r.message);
}
d.hide();
}
},
}
});
},
primary_action_label: __("Merge"),
primary_action_label: __('Merge')
});
d.show();
},
update_account_number: function (frm) {
update_account_number: function(frm) {
var d = new frappe.ui.Dialog({
title: __("Update Account Number / Name"),
title: __('Update Account Number / Name'),
fields: [
{
label: "Account Name",
fieldname: "account_name",
fieldtype: "Data",
reqd: 1,
default: frm.doc.account_name,
"label": "Account Name",
"fieldname": "account_name",
"fieldtype": "Data",
"reqd": 1,
"default": frm.doc.account_name
},
{
label: "Account Number",
fieldname: "account_number",
fieldtype: "Data",
default: frm.doc.account_number,
},
"label": "Account Number",
"fieldname": "account_number",
"fieldtype": "Data",
"default": frm.doc.account_number
}
],
primary_action: function () {
primary_action: function() {
var data = d.get_values();
if (
data.account_number === frm.doc.account_number &&
data.account_name === frm.doc.account_name
) {
if(data.account_number === frm.doc.account_number && data.account_name === frm.doc.account_name) {
d.hide();
return;
}
@@ -186,29 +166,23 @@ frappe.ui.form.on("Account", {
args: {
account_number: data.account_number,
account_name: data.account_name,
name: frm.doc.name,
name: frm.doc.name
},
callback: function (r) {
if (!r.exc) {
if (r.message) {
callback: function(r) {
if(!r.exc) {
if(r.message) {
frappe.set_route("Form", "Account", r.message);
} else {
frm.set_value(
"account_number",
data.account_number
);
frm.set_value(
"account_name",
data.account_name
);
frm.set_value("account_number", data.account_number);
frm.set_value("account_name", data.account_name);
}
d.hide();
}
},
}
});
},
primary_action_label: __("Update"),
primary_action_label: __('Update')
});
d.show();
},
}
});

View File

@@ -123,7 +123,7 @@
"label": "Account Type",
"oldfieldname": "account_type",
"oldfieldtype": "Select",
"options": "\nAccumulated Depreciation\nAsset Received But Not Billed\nBank\nCash\nChargeable\nCapital Work in Progress\nCost of Goods Sold\nCurrent Asset\nCurrent Liability\nDepreciation\nDirect Expense\nDirect Income\nEquity\nExpense Account\nExpenses Included In Asset Valuation\nExpenses Included In Valuation\nFixed Asset\nIncome Account\nIndirect Expense\nIndirect Income\nLiability\nPayable\nReceivable\nRound Off\nStock\nStock Adjustment\nStock Received But Not Billed\nService Received But Not Billed\nTax\nTemporary"
"options": "\nAccumulated Depreciation\nAsset Received But Not Billed\nBank\nCash\nChargeable\nCapital Work in Progress\nCost of Goods Sold\nDepreciation\nEquity\nExpense Account\nExpenses Included In Asset Valuation\nExpenses Included In Valuation\nFixed Asset\nIncome Account\nPayable\nReceivable\nRound Off\nStock\nStock Adjustment\nStock Received But Not Billed\nService Received But Not Billed\nTax\nTemporary"
},
{
"description": "Rate at which this tax is applied",
@@ -192,7 +192,7 @@
"idx": 1,
"is_tree": 1,
"links": [],
"modified": "2023-07-20 18:18:44.405723",
"modified": "2023-04-11 16:08:46.983677",
"modified_by": "Administrator",
"module": "Accounts",
"name": "Account",
@@ -243,6 +243,7 @@
"read": 1,
"report": 1,
"role": "Accounts Manager",
"set_user_permissions": 1,
"share": 1,
"write": 1
}

View File

@@ -18,70 +18,7 @@ class BalanceMismatchError(frappe.ValidationError):
pass
class InvalidAccountMergeError(frappe.ValidationError):
pass
class Account(NestedSet):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
account_currency: DF.Link | None
account_name: DF.Data
account_number: DF.Data | None
account_type: DF.Literal[
"",
"Accumulated Depreciation",
"Asset Received But Not Billed",
"Bank",
"Cash",
"Chargeable",
"Capital Work in Progress",
"Cost of Goods Sold",
"Current Asset",
"Current Liability",
"Depreciation",
"Direct Expense",
"Direct Income",
"Equity",
"Expense Account",
"Expenses Included In Asset Valuation",
"Expenses Included In Valuation",
"Fixed Asset",
"Income Account",
"Indirect Expense",
"Indirect Income",
"Liability",
"Payable",
"Receivable",
"Round Off",
"Stock",
"Stock Adjustment",
"Stock Received But Not Billed",
"Service Received But Not Billed",
"Tax",
"Temporary",
]
balance_must_be: DF.Literal["", "Debit", "Credit"]
company: DF.Link
disabled: DF.Check
freeze_account: DF.Literal["No", "Yes"]
include_in_gross: DF.Check
is_group: DF.Check
lft: DF.Int
old_parent: DF.Data | None
parent_account: DF.Link
report_type: DF.Literal["", "Balance Sheet", "Profit and Loss"]
rgt: DF.Int
root_type: DF.Literal["", "Asset", "Liability", "Income", "Expense", "Equity"]
tax_rate: DF.Float
# end: auto-generated types
nsm_parent_field = "parent_account"
def on_update(self):
@@ -91,8 +28,8 @@ class Account(NestedSet):
super(Account, self).on_update()
def onload(self):
frozen_accounts_modifier = frappe.db.get_single_value(
"Accounts Settings", "frozen_accounts_modifier"
frozen_accounts_modifier = frappe.db.get_value(
"Accounts Settings", "Accounts Settings", "frozen_accounts_modifier"
)
if not frozen_accounts_modifier or frozen_accounts_modifier in frappe.get_roles():
self.set_onload("can_freeze_account", True)
@@ -108,7 +45,6 @@ class Account(NestedSet):
if frappe.local.flags.allow_unverified_charts:
return
self.validate_parent()
self.validate_parent_child_account_type()
self.validate_root_details()
validate_field_number("Account", self.name, self.account_number, self.company, "account_number")
self.validate_group_or_ledger()
@@ -119,20 +55,6 @@ class Account(NestedSet):
self.validate_account_currency()
self.validate_root_company_and_sync_account_to_children()
def validate_parent_child_account_type(self):
if self.parent_account:
if self.account_type in [
"Direct Income",
"Indirect Income",
"Current Asset",
"Current Liability",
"Direct Expense",
"Indirect Expense",
]:
parent_account_type = frappe.db.get_value("Account", self.parent_account, ["account_type"])
if parent_account_type == self.account_type:
throw(_("Only Parent can be of type {0}").format(self.account_type))
def validate_parent(self):
"""Fetch Parent Details and validate parent account"""
if self.parent_account:
@@ -523,34 +445,25 @@ def update_account_number(name, account_name, account_number=None, from_descenda
@frappe.whitelist()
def merge_account(old, new):
def merge_account(old, new, is_group, root_type, company):
# Validate properties before merging
new_account = frappe.get_cached_doc("Account", new)
old_account = frappe.get_cached_doc("Account", old)
if not new_account:
throw(_("Account {0} does not exist").format(new))
if (
cint(new_account.is_group),
new_account.root_type,
new_account.company,
cstr(new_account.account_currency),
) != (
cint(old_account.is_group),
old_account.root_type,
old_account.company,
cstr(old_account.account_currency),
if (new_account.is_group, new_account.root_type, new_account.company) != (
cint(is_group),
root_type,
company,
):
throw(
msg=_(
"""Merging is only possible if following properties are same in both records. Is Group, Root Type, Company and Account Currency"""
),
title=("Invalid Accounts"),
exc=InvalidAccountMergeError,
_(
"""Merging is only possible if following properties are same in both records. Is Group, Root Type, Company"""
)
)
if old_account.is_group and new_account.parent_account == old:
if is_group and new_account.parent_account == old:
new_account.db_set("parent_account", frappe.get_cached_value("Account", old, "parent_account"))
frappe.rename_doc("Account", old, new, merge=1, force=1)

View File

@@ -77,7 +77,7 @@ frappe.treeview_settings["Account"] = {
// show Dr if positive since balance is calculated as debit - credit else show Cr
const balance = account.balance_in_account_currency || account.balance;
const dr_or_cr = balance > 0 ? __("Dr"): __("Cr");
const dr_or_cr = balance > 0 ? "Dr": "Cr";
const format = (value, currency) => format_currency(Math.abs(value), currency);
if (account.balance!==undefined) {
@@ -194,8 +194,8 @@ frappe.treeview_settings["Account"] = {
click: function(node, btn) {
frappe.route_options = {
"account": node.label,
"from_date": erpnext.utils.get_fiscal_year(frappe.datetime.get_today(), true)[1],
"to_date": erpnext.utils.get_fiscal_year(frappe.datetime.get_today(), true)[2],
"from_date": frappe.sys_defaults.year_start_date,
"to_date": frappe.sys_defaults.year_end_date,
"company": frappe.treeview_settings['Account'].treeview.page.fields_dict.company.get_value()
};
frappe.set_route("query-report", "General Ledger");

View File

@@ -74,7 +74,7 @@ def create_charts(
# after all accounts are already inserted.
frappe.local.flags.ignore_update_nsm = True
_import_accounts(chart, None, None, root_account=True)
rebuild_tree("Account")
rebuild_tree("Account", "parent_account")
frappe.local.flags.ignore_update_nsm = False
@@ -231,8 +231,6 @@ def build_account_tree(tree, parent, all_accounts):
tree[child.account_name]["account_type"] = child.account_type
if child.tax_rate:
tree[child.account_name]["tax_rate"] = child.tax_rate
if child.account_currency:
tree[child.account_name]["account_currency"] = child.account_currency
if not parent:
tree[child.account_name]["root_type"] = child.root_type

View File

@@ -0,0 +1,289 @@
# Copyright (c) 2015, Frappe Technologies Pvt. Ltd. and Contributors
# License: GNU General Public License v3. See license.txt
"""
Import chart of accounts from OpenERP sources
"""
import ast
import json
import os
from xml.etree import ElementTree as ET
import frappe
from frappe.utils.csvutils import read_csv_content
path = "/Users/nabinhait/projects/odoo/addons"
accounts = {}
charts = {}
all_account_types = []
all_roots = {}
def go():
global accounts, charts
default_account_types = get_default_account_types()
country_dirs = []
for basepath, folders, files in os.walk(path):
basename = os.path.basename(basepath)
if basename.startswith("l10n_"):
country_dirs.append(basename)
for country_dir in country_dirs:
accounts, charts = {}, {}
country_path = os.path.join(path, country_dir)
manifest = ast.literal_eval(open(os.path.join(country_path, "__openerp__.py")).read())
data_files = (
manifest.get("data", []) + manifest.get("init_xml", []) + manifest.get("update_xml", [])
)
files_path = [os.path.join(country_path, d) for d in data_files]
xml_roots = get_xml_roots(files_path)
csv_content = get_csv_contents(files_path)
prefix = country_dir if csv_content else None
account_types = get_account_types(
xml_roots.get("account.account.type", []), csv_content.get("account.account.type", []), prefix
)
account_types.update(default_account_types)
if xml_roots:
make_maps_for_xml(xml_roots, account_types, country_dir)
if csv_content:
make_maps_for_csv(csv_content, account_types, country_dir)
make_account_trees()
make_charts()
create_all_roots_file()
def get_default_account_types():
default_types_root = []
default_types_root.append(
ET.parse(os.path.join(path, "account", "data", "data_account_type.xml")).getroot()
)
return get_account_types(default_types_root, None, prefix="account")
def get_xml_roots(files_path):
xml_roots = frappe._dict()
for filepath in files_path:
fname = os.path.basename(filepath)
if fname.endswith(".xml"):
tree = ET.parse(filepath)
root = tree.getroot()
for node in root[0].findall("record"):
if node.get("model") in [
"account.account.template",
"account.chart.template",
"account.account.type",
]:
xml_roots.setdefault(node.get("model"), []).append(root)
break
return xml_roots
def get_csv_contents(files_path):
csv_content = {}
for filepath in files_path:
fname = os.path.basename(filepath)
for file_type in ["account.account.template", "account.account.type", "account.chart.template"]:
if fname.startswith(file_type) and fname.endswith(".csv"):
with open(filepath, "r") as csvfile:
try:
csv_content.setdefault(file_type, []).append(read_csv_content(csvfile.read()))
except Exception as e:
continue
return csv_content
def get_account_types(root_list, csv_content, prefix=None):
types = {}
account_type_map = {
"cash": "Cash",
"bank": "Bank",
"tr_cash": "Cash",
"tr_bank": "Bank",
"receivable": "Receivable",
"tr_receivable": "Receivable",
"account rec": "Receivable",
"payable": "Payable",
"tr_payable": "Payable",
"equity": "Equity",
"stocks": "Stock",
"stock": "Stock",
"tax": "Tax",
"tr_tax": "Tax",
"tax-out": "Tax",
"tax-in": "Tax",
"charges_personnel": "Chargeable",
"fixed asset": "Fixed Asset",
"cogs": "Cost of Goods Sold",
}
for root in root_list:
for node in root[0].findall("record"):
if node.get("model") == "account.account.type":
data = {}
for field in node.findall("field"):
if (
field.get("name") == "code"
and field.text.lower() != "none"
and account_type_map.get(field.text)
):
data["account_type"] = account_type_map[field.text]
node_id = prefix + "." + node.get("id") if prefix else node.get("id")
types[node_id] = data
if csv_content and csv_content[0][0] == "id":
for row in csv_content[1:]:
row_dict = dict(zip(csv_content[0], row))
data = {}
if row_dict.get("code") and account_type_map.get(row_dict["code"]):
data["account_type"] = account_type_map[row_dict["code"]]
if data and data.get("id"):
node_id = prefix + "." + data.get("id") if prefix else data.get("id")
types[node_id] = data
return types
def make_maps_for_xml(xml_roots, account_types, country_dir):
"""make maps for `charts` and `accounts`"""
for model, root_list in xml_roots.items():
for root in root_list:
for node in root[0].findall("record"):
if node.get("model") == "account.account.template":
data = {}
for field in node.findall("field"):
if field.get("name") == "name":
data["name"] = field.text
if field.get("name") == "parent_id":
parent_id = field.get("ref") or field.get("eval")
data["parent_id"] = parent_id
if field.get("name") == "user_type":
value = field.get("ref")
if account_types.get(value, {}).get("account_type"):
data["account_type"] = account_types[value]["account_type"]
if data["account_type"] not in all_account_types:
all_account_types.append(data["account_type"])
data["children"] = []
accounts[node.get("id")] = data
if node.get("model") == "account.chart.template":
data = {}
for field in node.findall("field"):
if field.get("name") == "name":
data["name"] = field.text
if field.get("name") == "account_root_id":
data["account_root_id"] = field.get("ref")
data["id"] = country_dir
charts.setdefault(node.get("id"), {}).update(data)
def make_maps_for_csv(csv_content, account_types, country_dir):
for content in csv_content.get("account.account.template", []):
for row in content[1:]:
data = dict(zip(content[0], row))
account = {
"name": data.get("name"),
"parent_id": data.get("parent_id:id") or data.get("parent_id/id"),
"children": [],
}
user_type = data.get("user_type/id") or data.get("user_type:id")
if account_types.get(user_type, {}).get("account_type"):
account["account_type"] = account_types[user_type]["account_type"]
if account["account_type"] not in all_account_types:
all_account_types.append(account["account_type"])
accounts[data.get("id")] = account
if not account.get("parent_id") and data.get("chart_template_id:id"):
chart_id = data.get("chart_template_id:id")
charts.setdefault(chart_id, {}).update({"account_root_id": data.get("id")})
for content in csv_content.get("account.chart.template", []):
for row in content[1:]:
if row:
data = dict(zip(content[0], row))
charts.setdefault(data.get("id"), {}).update(
{
"account_root_id": data.get("account_root_id:id") or data.get("account_root_id/id"),
"name": data.get("name"),
"id": country_dir,
}
)
def make_account_trees():
"""build tree hierarchy"""
for id in accounts.keys():
account = accounts[id]
if account.get("parent_id"):
if accounts.get(account["parent_id"]):
# accounts[account["parent_id"]]["children"].append(account)
accounts[account["parent_id"]][account["name"]] = account
del account["parent_id"]
del account["name"]
# remove empty children
for id in accounts.keys():
if "children" in accounts[id] and not accounts[id].get("children"):
del accounts[id]["children"]
def make_charts():
"""write chart files in app/setup/doctype/company/charts"""
for chart_id in charts:
src = charts[chart_id]
if not src.get("name") or not src.get("account_root_id"):
continue
if not src["account_root_id"] in accounts:
continue
filename = src["id"][5:] + "_" + chart_id
print("building " + filename)
chart = {}
chart["name"] = src["name"]
chart["country_code"] = src["id"][5:]
chart["tree"] = accounts[src["account_root_id"]]
for key, val in chart["tree"].items():
if key in ["name", "parent_id"]:
chart["tree"].pop(key)
if type(val) == dict:
val["root_type"] = ""
if chart:
fpath = os.path.join(
"erpnext", "erpnext", "accounts", "doctype", "account", "chart_of_accounts", filename + ".json"
)
with open(fpath, "r") as chartfile:
old_content = chartfile.read()
if not old_content or (
json.loads(old_content).get("is_active", "No") == "No"
and json.loads(old_content).get("disabled", "No") == "No"
):
with open(fpath, "w") as chartfile:
chartfile.write(json.dumps(chart, indent=4, sort_keys=True))
all_roots.setdefault(filename, chart["tree"].keys())
def create_all_roots_file():
with open("all_roots.txt", "w") as f:
for filename, roots in sorted(all_roots.items()):
f.write(filename)
f.write("\n----------------------\n")
for r in sorted(roots):
f.write(r.encode("utf-8"))
f.write("\n")
f.write("\n\n\n")
if __name__ == "__main__":
go()

View File

@@ -26,7 +26,7 @@
"0360 Bauliche Investitionen in fremden (gepachteten) Betriebs- und Geschäftsgebäuden": {"account_type": "Fixed Asset"},
"0370 Bauliche Investitionen in fremden (gepachteten) Wohn- und Sozialgebäuden": {"account_type": "Fixed Asset"},
"0390 Kumulierte Abschreibungen zu Grundstücken ": {"account_type": "Fixed Asset"},
"0400 Maschinen und Geräte ": {"account_type": "Fixed Asset"},
"0400 Maschinen und Geräte ": {"account_type": "Fixed Asset"},
"0500 Maschinenwerkzeuge ": {"account_type": "Fixed Asset"},
"0510 Allgemeine Werkzeuge und Handwerkzeuge ": {"account_type": "Fixed Asset"},
"0520 Prototypen, Formen, Modelle ": {"account_type": "Fixed Asset"},
@@ -65,41 +65,42 @@
"0980 Geleistete Anzahlungen auf Finanzanlagen ": {"account_type": "Fixed Asset"},
"0990 Kumulierte Abschreibungen zu Finanzanlagen ": {"account_type": "Fixed Asset"},
"root_type": "Asset"
},
},
"Klasse 1 Aktiva: Vorr\u00e4te": {
"1000 Bezugsverrechnung": {"account_type": "Stock"},
"1100 Rohstoffe": {"account_type": "Stock"},
"1200 Bezogene Teile": {"account_type": "Stock"},
"1300 Hilfsstoffe": {"account_type": "Stock"},
"1350 Betriebsstoffe": {"account_type": "Stock"},
"1360 Vorrat Energietraeger": {"account_type": "Stock"},
"1360 Vorrat Energietraeger": {"account_type": "Stock"},
"1400 Unfertige Erzeugnisse": {"account_type": "Stock"},
"1500 Fertige Erzeugnisse": {"account_type": "Stock"},
"1600 Handelswarenvorrat": {"account_type": "Stock Received But Not Billed"},
"1700 Noch nicht abrechenbare Leistungen": {"account_type": "Stock"},
"1900 Wertberichtigungen": {"account_type": "Stock"},
"1800 Geleistete Anzahlungen": {"account_type": "Stock"},
"1900 Wertberichtigungen": {"account_type": "Stock"},
"root_type": "Asset"
},
},
"Klasse 3 Passiva: Verbindlichkeiten": {
"3000 Allgemeine Verbindlichkeiten (Schuld)": {"account_type": "Payable"},
"3010 R\u00fcckstellungen f\u00fcr Pensionen": {"account_type": "Payable"},
"3020 Steuerr\u00fcckstellungen": {"account_type": "Tax"},
"3041 Sonstige R\u00fcckstellungen": {"account_type": "Payable"},
"3041 Sonstige R\u00fcckstellungen": {"account_type": "Payable"},
"3110 Verbindlichkeiten gegen\u00fcber Bank": {"account_type": "Payable"},
"3150 Verbindlichkeiten Darlehen": {"account_type": "Payable"},
"3185 Verbindlichkeiten Kreditkarte": {"account_type": "Payable"},
"3185 Verbindlichkeiten Kreditkarte": {"account_type": "Payable"},
"3380 Verbindlichkeiten aus der Annahme gezogener Wechsel u. d. Ausstellungen eigener Wechsel": {
"account_type": "Payable"
},
"3400 Verbindlichkeiten gegen\u00fc. verb. Untern., Verbindl. gegen\u00fc. Untern., mit denen eine Beteiligungsverh\u00e4lnis besteht": {},
"3460 Verbindlichkeiten gegenueber Gesellschaftern": {"account_type": "Payable"},
"3470 Einlagen stiller Gesellschafter": {"account_type": "Payable"},
"3585 Verbindlichkeiten Lohnsteuer": {"account_type": "Tax"},
"3590 Verbindlichkeiten Kommunalabgaben": {"account_type": "Tax"},
"3595 Verbindlichkeiten Dienstgeberbeitrag": {"account_type": "Tax"},
"3585 Verbindlichkeiten Lohnsteuer": {"account_type": "Tax"},
"3590 Verbindlichkeiten Kommunalabgaben": {"account_type": "Tax"},
"3595 Verbindlichkeiten Dienstgeberbeitrag": {"account_type": "Tax"},
"3600 Verbindlichkeiten Sozialversicherung": {"account_type": "Payable"},
"3640 Verbindlichkeiten Loehne und Gehaelter": {"account_type": "Payable"},
"3640 Verbindlichkeiten Loehne und Gehaelter": {"account_type": "Payable"},
"3700 Sonstige Verbindlichkeiten": {"account_type": "Payable"},
"3900 Passive Rechnungsabgrenzungsposten": {"account_type": "Payable"},
"3100 Anleihen (einschlie\u00dflich konvertibler)": {"account_type": "Payable"},
@@ -118,13 +119,13 @@
},
"3515 Umsatzsteuer Inland 10%": {
"account_type": "Tax"
},
},
"3520 Umsatzsteuer aus i.g. Erwerb 20%": {
"account_type": "Tax"
},
"3525 Umsatzsteuer aus i.g. Erwerb 10%": {
"account_type": "Tax"
},
},
"3560 Umsatzsteuer-Evidenzkonto f\u00fcr erhaltene Anzahlungen auf Bestellungen": {},
"3360 Verbindlichkeiten aus Lieferungen u. Leistungen EU": {
"account_type": "Payable"
@@ -140,7 +141,7 @@
"account_type": "Tax"
},
"root_type": "Liability"
},
},
"Klasse 2 Aktiva: Umlaufverm\u00f6gen, Rechnungsabgrenzungen": {
"2030 Forderungen aus Lieferungen und Leistungen Inland (0% USt, umsatzsteuerfrei)": {
"account_type": "Receivable"
@@ -153,7 +154,7 @@
},
"2040 Forderungen aus Lieferungen und Leistungen Inland (sonstiger USt-Satz)": {
"account_type": "Receivable"
},
},
"2100 Forderungen aus Lieferungen und Leistungen EU": {
"account_type": "Receivable"
},
@@ -191,7 +192,7 @@
"account_type": "Receivable"
},
"2570 Einfuhrumsatzsteuer (bezahlt)": {"account_type": "Tax"},
"2460 Eingeforderte aber noch nicht eingezahlte Einlagen": {
"account_type": "Receivable"
},
@@ -242,10 +243,10 @@
},
"2800 Guthaben bei Bank": {
"account_type": "Bank"
},
},
"2801 Guthaben bei Bank - Sparkonto": {
"account_type": "Bank"
},
},
"2810 Guthaben bei Paypal": {
"account_type": "Bank"
},
@@ -263,19 +264,19 @@
},
"2895 Schwebende Geldbewegugen": {
"account_type": "Bank"
},
},
"2513 Vorsteuer Inland 5%": {
"account_type": "Tax"
},
"2515 Vorsteuer Inland 20%": {
"account_type": "Tax"
},
},
"2520 Vorsteuer aus innergemeinschaftlichem Erwerb 10%": {
"account_type": "Tax"
},
"2525 Vorsteuer aus innergemeinschaftlichem Erwerb 20%": {
"account_type": "Tax"
},
},
"2530 Vorsteuer \u00a719/Art 19 ( reverse charge ) ": {
"account_type": "Tax"
},
@@ -285,16 +286,16 @@
"root_type": "Asset"
},
"Klasse 4: Betriebliche Erträge": {
"4000 Erlöse 20 %": {"account_type": "Income Account"},
"4020 Erl\u00f6se 0 % steuerbefreit": {"account_type": "Income Account"},
"4000 Erlöse 20 %": {"account_type": "Income Account"},
"4020 Erl\u00f6se 0 % steuerbefreit": {"account_type": "Income Account"},
"4010 Erl\u00f6se 10 %": {"account_type": "Income Account"},
"4030 Erl\u00f6se 13 %": {"account_type": "Income Account"},
"4040 Erl\u00f6se 0 % innergemeinschaftliche Lieferungen": {"account_type": "Income Account"},
"4400 Erl\u00f6sreduktion 0 % steuerbefreit": {"account_type": "Expense Account"},
"4030 Erl\u00f6se 13 %": {"account_type": "Income Account"},
"4040 Erl\u00f6se 0 % innergemeinschaftliche Lieferungen": {"account_type": "Income Account"},
"4400 Erl\u00f6sreduktion 0 % steuerbefreit": {"account_type": "Expense Account"},
"4410 Erl\u00f6sreduktion 10 %": {"account_type": "Expense Account"},
"4420 Erl\u00f6sreduktion 20 %": {"account_type": "Expense Account"},
"4430 Erl\u00f6sreduktion 13 %": {"account_type": "Expense Account"},
"4440 Erl\u00f6sreduktion 0 % innergemeinschaftliche Lieferungen": {"account_type": "Expense Account"},
"4430 Erl\u00f6sreduktion 13 %": {"account_type": "Expense Account"},
"4440 Erl\u00f6sreduktion 0 % innergemeinschaftliche Lieferungen": {"account_type": "Expense Account"},
"4500 Ver\u00e4nderungen des Bestandes an fertigen und unfertigen Erzeugn. sowie an noch nicht abrechenbaren Leistungen": {"account_type": "Income Account"},
"4580 Aktivierte Eigenleistungen": {"account_type": "Income Account"},
"4600 Erl\u00f6se aus dem Abgang vom Anlageverm\u00f6gen, ausgen. Finanzanlagen": {"account_type": "Income Account"},
@@ -303,15 +304,15 @@
"4700 Ertr\u00e4ge aus der Aufl\u00f6sung von R\u00fcckstellungen": {"account_type": "Income Account"},
"4800 \u00dcbrige betriebliche Ertr\u00e4ge": {"account_type": "Income Account"},
"root_type": "Income"
},
},
"Klasse 5: Aufwand f\u00fcr Material und Leistungen": {
"5000 Einkauf Partnerleistungen": {"account_type": "Cost of Goods Sold"},
"5000 Einkauf Partnerleistungen": {"account_type": "Cost of Goods Sold"},
"5100 Verbrauch an Rohstoffen": {"account_type": "Cost of Goods Sold"},
"5200 Verbrauch von bezogenen Fertig- und Einzelteilen": {"account_type": "Cost of Goods Sold"},
"5300 Verbrauch von Hilfsstoffen": {"account_type": "Cost of Goods Sold"},
"5340 Verbrauch Verpackungsmaterial": {"account_type": "Cost of Goods Sold"},
"5470 Verbrauch von Kleinmaterial": {"account_type": "Cost of Goods Sold"},
"5450 Verbrauch von Reinigungsmaterial": {"account_type": "Cost of Goods Sold"},
"5450 Verbrauch von Reinigungsmaterial": {"account_type": "Cost of Goods Sold"},
"5400 Verbrauch von Betriebsstoffen": {"account_type": "Cost of Goods Sold"},
"5500 Verbrauch von Werkzeugen und anderen Erzeugungshilfsmittel": {"account_type": "Cost of Goods Sold"},
"5600 Verbrauch von Brenn- und Treibstoffen, Energie und Wasser": {"account_type": "Cost of Goods Sold"},
@@ -339,7 +340,7 @@
"6700 Sonstige Sozialaufwendungen": {"account_type": "Payable"},
"6900 Aufwandsstellenrechnung Personal": {"account_type": "Payable"},
"root_type": "Expense"
},
},
"Klasse 7: Abschreibungen und sonstige betriebliche Aufwendungen": {
"7010 Abschreibungen auf das Anlageverm\u00f6gen (ausgenommen Finanzanlagen)": {"account_type": "Depreciation"},
"7100 Sonstige Steuern und Geb\u00fchren": {"account_type": "Tax"},
@@ -348,7 +349,7 @@
"7310 Fahrrad - Aufwand": {"account_type": "Expense Account"},
"7320 Kfz - Aufwand": {"account_type": "Expense Account"},
"7330 LKW - Aufwand": {"account_type": "Expense Account"},
"7340 Lastenrad - Aufwand": {"account_type": "Expense Account"},
"7340 Lastenrad - Aufwand": {"account_type": "Expense Account"},
"7350 Reise- und Fahraufwand": {"account_type": "Expense Account"},
"7360 Tag- und N\u00e4chtigungsgelder": {"account_type": "Expense Account"},
"7380 Nachrichtenaufwand": {"account_type": "Expense Account"},
@@ -408,7 +409,7 @@
"8990 Gewinnabfuhr bzw. Verlust\u00fcberrechnung aus Ergebnisabf\u00fchrungsvertr\u00e4gen": {"account_type": "Expense Account"},
"8350 nicht ausgenutzte Lieferantenskonti": {"account_type": "Expense Account"},
"root_type": "Income"
},
},
"Klasse 9 Passiva: Eigenkapital, R\u00fccklagen, stille Einlagen, Abschlusskonten": {
"9000 Gezeichnetes bzw. gewidmetes Kapital": {
"account_type": "Equity"
@@ -434,5 +435,5 @@
},
"root_type": "Equity"
}
}
}
}

View File

@@ -437,20 +437,12 @@
},
"Sales": {
"Sales from Other Regions": {
"Sales from Other Region": {
"account_type": "Income Account"
}
"Sales from Other Region": {}
},
"Sales of same region": {
"Management Consultancy Fees 1": {
"account_type": "Income Account"
},
"Sales Account": {
"account_type": "Income Account"
},
"Sales of I/C": {
"account_type": "Income Account"
}
"Management Consultancy Fees 1": {},
"Sales Account": {},
"Sales of I/C": {}
}
},
"root_type": "Income"

View File

@@ -33,9 +33,7 @@
},
"Stocks": {
"Mati\u00e8res premi\u00e8res": {},
"Stock de produits fini": {
"account_type": "Stock"
},
"Stock de produits fini": {},
"Stock exp\u00e9di\u00e9 non-factur\u00e9": {},
"Travaux en cours": {},
"account_type": "Stock"
@@ -397,11 +395,9 @@
},
"Produits": {
"Revenus de ventes": {
"Escomptes de volume sur ventes": {},
" Escomptes de volume sur ventes": {},
"Autres produits d'exploitation": {},
"Ventes": {
"account_type": "Income Account"
},
"Ventes": {},
"Ventes avec des provinces harmonis\u00e9es": {},
"Ventes avec des provinces non-harmonis\u00e9es": {},
"Ventes \u00e0 l'\u00e9tranger": {}

View File

@@ -53,13 +53,8 @@
},
"II. Forderungen und sonstige Vermögensgegenstände": {
"is_group": 1,
"Forderungen aus Lieferungen und Leistungen mit Kontokorrent": {
"Ford. a. Lieferungen und Leistungen": {
"account_number": "1400",
"account_type": "Receivable",
"is_group": 1
},
"Forderungen aus Lieferungen und Leistungen ohne Kontokorrent": {
"account_number": "1410",
"account_type": "Receivable"
},
"Durchlaufende Posten": {
@@ -185,13 +180,8 @@
},
"IV. Verbindlichkeiten aus Lieferungen und Leistungen": {
"is_group": 1,
"Verbindlichkeiten aus Lieferungen und Leistungen mit Kontokorrent": {
"Verbindlichkeiten aus Lieferungen u. Leistungen": {
"account_number": "1600",
"account_type": "Payable",
"is_group": 1
},
"Verbindlichkeiten aus Lieferungen und Leistungen ohne Kontokorrent": {
"account_number": "1610",
"account_type": "Payable"
}
},

View File

@@ -1,6 +1,4 @@
{
"country_code": "hu",
"name": "Hungary - Chart of Accounts for Microenterprises",
"tree": {
"SZ\u00c1MLAOSZT\u00c1LY BEFEKTETETT ESZK\u00d6Z\u00d6K": {
"account_number": 1,
@@ -1653,4 +1651,4 @@
}
}
}
}
}

View File

@@ -69,7 +69,8 @@
"Persediaan Barang": {
"Persediaan Barang": {
"account_number": "1141.000",
"account_type": "Stock"
"account_type": "Stock",
"is_group": 1
},
"Uang Muka Pembelian": {
"Uang Muka Pembelian": {
@@ -669,8 +670,7 @@
},
"Penjualan Barang Dagangan": {
"Penjualan": {
"account_number": "4110.000",
"account_type": "Income Account"
"account_number": "4110.000"
},
"Potongan Penjualan": {
"account_number": "4130.000"

View File

@@ -109,7 +109,8 @@
}
},
"INVENTARIOS": {
"account_type": "Stock"
"account_type": "Stock",
"is_group": 1
}
},
"ACTIVO LARGO PLAZO": {
@@ -397,18 +398,10 @@
"INGRESOS POR SERVICIOS 1": {}
},
"VENTAS": {
"VENTAS EXPORTACION": {
"account_type": "Income Account"
},
"VENTAS INMUEBLES": {
"account_type": "Income Account"
},
"VENTAS NACIONALES": {
"account_type": "Income Account"
},
"VENTAS NACIONALES AL DETAL": {
"account_type": "Income Account"
}
"VENTAS EXPORTACION": {},
"VENTAS INMUEBLES": {},
"VENTAS NACIONALES": {},
"VENTAS NACIONALES AL DETAL": {}
}
}
},

View File

@@ -1,6 +1,6 @@
{
"country_code": "ni",
"name": "Nicaragua - Catálogo de Cuentas",
"name": "Nicaragua - Catalogo de Cuentas",
"tree": {
"Activo": {
"Activo Corriente": {
@@ -491,4 +491,4 @@
"root_type": "Liability"
}
}
}
}

View File

@@ -2,13 +2,75 @@
"country_code": "nl",
"name": "Netherlands - Grootboekschema",
"tree": {
"FABRIKAGEREKENINGEN": {
"is_group": 1,
"root_type": "Expense"
},
"FINANCIELE REKENINGEN, KORTLOPENDE VORDERINGEN EN SCHULDEN": {
"Bank": {
"RABO Bank": {
"account_type": "Bank"
},
"account_type": "Bank"
},
},
"KORTLOPENDE SCHULDEN": {
"Af te dragen Btw-verlegd": {
"account_type": "Tax"
},
"Afdracht loonheffing": {},
"Btw af te dragen hoog": {
"account_type": "Tax"
},
"Btw af te dragen laag": {
"account_type": "Tax"
},
"Btw af te dragen overig": {
"account_type": "Tax"
},
"Btw oude jaren": {
"account_type": "Tax"
},
"Btw te vorderen hoog": {
"account_type": "Tax"
},
"Btw te vorderen laag": {
"account_type": "Tax"
},
"Btw te vorderen overig": {
"account_type": "Tax"
},
"Btw-afdracht": {
"account_type": "Tax"
},
"Crediteuren": {
"account_type": "Payable"
},
"Dividend": {},
"Dividendbelasting": {},
"Energiekosten 1": {},
"Investeringsaftrek": {},
"Loonheffing": {},
"Overige te betalen posten": {},
"Pensioenpremies 1": {},
"Premie WIR": {},
"Rekening-courant inkoopvereniging": {},
"Rente": {},
"Sociale lasten 1": {},
"Stock Recieved niet gefactureerd": {
"account_type": "Stock Received But Not Billed"
},
"Tanti\u00e8mes 1": {},
"Te vorderen Btw-verlegd": {
"account_type": "Tax"
},
"Telefoon/telefax 1": {},
"Termijnen onderh. werk": {},
"Vakantiedagen": {},
"Vakantiegeld 1": {},
"Vakantiezegels": {},
"Vennootschapsbelasting": {},
"Vooruit ontvangen bedr.": {}
},
"LIQUIDE MIDDELEN": {
"ABN-AMRO bank": {},
"Bankbetaalkaarten": {},
@@ -29,110 +91,6 @@
},
"account_type": "Cash"
},
"TUSSENREKENINGEN": {
"Betaalwijze cadeaubonnen": {
"account_type": "Cash"
},
"Betaalwijze chipknip": {
"account_type": "Cash"
},
"Betaalwijze contant": {
"account_type": "Cash"
},
"Betaalwijze pin": {
"account_type": "Cash"
},
"Inkopen Nederland hoog": {
"account_type": "Cash"
},
"Inkopen Nederland laag": {
"account_type": "Cash"
},
"Inkopen Nederland onbelast": {
"account_type": "Cash"
},
"Inkopen Nederland overig": {
"account_type": "Cash"
},
"Inkopen Nederland verlegd": {
"account_type": "Cash"
},
"Inkopen binnen EU hoog": {
"account_type": "Cash"
},
"Inkopen binnen EU laag": {
"account_type": "Cash"
},
"Inkopen binnen EU overig": {
"account_type": "Cash"
},
"Inkopen buiten EU hoog": {
"account_type": "Cash"
},
"Inkopen buiten EU laag": {
"account_type": "Cash"
},
"Inkopen buiten EU overig": {
"account_type": "Cash"
},
"Kassa 1": {
"account_type": "Cash"
},
"Kassa 2": {
"account_type": "Cash"
},
"Netto lonen": {
"account_type": "Cash"
},
"Tegenrekening Inkopen": {
"account_type": "Cash"
},
"Tussenrek. autom. betalingen": {
"account_type": "Cash"
},
"Tussenrek. autom. loonbetalingen": {
"account_type": "Cash"
},
"Tussenrek. cadeaubonbetalingen": {
"account_type": "Cash"
},
"Tussenrekening balans": {
"account_type": "Cash"
},
"Tussenrekening chipknip": {
"account_type": "Cash"
},
"Tussenrekening correcties": {
"account_type": "Cash"
},
"Tussenrekening pin": {
"account_type": "Cash"
},
"Vraagposten": {
"account_type": "Cash"
},
"VOORRAAD GRONDSTOFFEN, HULPMATERIALEN EN HANDELSGOEDEREN": {
"Emballage": {},
"Gereed product 1": {},
"Gereed product 2": {},
"Goederen 1": {},
"Goederen 2": {},
"Goederen in consignatie": {},
"Goederen onderweg": {},
"Grondstoffen 1": {},
"Grondstoffen 2": {},
"Halffabrikaten 1": {},
"Halffabrikaten 2": {},
"Hulpstoffen 1": {},
"Hulpstoffen 2": {},
"Kantoorbenodigdheden": {},
"Onderhanden werk": {},
"Verpakkingsmateriaal": {},
"Zegels": {},
"root_type": "Asset"
},
"root_type": "Asset"
},
"VORDERINGEN": {
"Debiteuren": {
"account_type": "Receivable"
@@ -146,299 +104,278 @@
"Voorziening dubieuze debiteuren": {}
},
"root_type": "Asset"
},
"KORTLOPENDE SCHULDEN": {
"Af te dragen Btw-verlegd": {
"account_type": "Tax"
},
"Afdracht loonheffing": {},
"Btw af te dragen hoog": {
"account_type": "Tax"
},
"Btw af te dragen laag": {
"account_type": "Tax"
},
"Btw af te dragen overig": {
"account_type": "Tax"
},
"Btw oude jaren": {
"account_type": "Tax"
},
"Btw te vorderen hoog": {
"account_type": "Tax"
},
"Btw te vorderen laag": {
"account_type": "Tax"
},
"Btw te vorderen overig": {
"account_type": "Tax"
},
"Btw-afdracht": {
"account_type": "Tax"
},
"Crediteuren": {
"account_type": "Payable"
},
"Dividend": {},
"Dividendbelasting": {},
"Energiekosten 1": {},
"Investeringsaftrek": {},
"Loonheffing": {},
"Overige te betalen posten": {},
"Pensioenpremies 1": {},
"Premie WIR": {},
"Rekening-courant inkoopvereniging": {},
"Rente": {},
"Sociale lasten 1": {},
"Stock Recieved niet gefactureerd": {
"account_type": "Stock Received But Not Billed"
},
"Tanti\u00e8mes 1": {},
"Te vorderen Btw-verlegd": {
"account_type": "Tax"
},
"Telefoon/telefax 1": {},
"Termijnen onderh. werk": {},
"Vakantiedagen": {},
"Vakantiegeld 1": {},
"Vakantiezegels": {},
"Vennootschapsbelasting": {},
"Vooruit ontvangen bedr.": {},
"is_group": 1,
"root_type": "Liability"
},
"FABRIKAGEREKENINGEN": {
},
"INDIRECTE KOSTEN": {
"is_group": 1,
"root_type": "Expense",
"INDIRECTE KOSTEN": {
"is_group": 1,
"root_type": "Expense"
},
"KOSTENREKENINGEN": {
"AFSCHRIJVINGEN": {
"Aanhangwagens": {},
"Aankoopkosten": {},
"Aanloopkosten": {},
"Auteursrechten": {},
"Bedrijfsgebouwen": {},
"Bedrijfsinventaris": {
"account_type": "Depreciation"
},
"Drankvergunningen": {},
"Fabrieksinventaris": {
"account_type": "Depreciation"
},
"Gebouwen": {},
"Gereedschappen": {},
"Goodwill": {},
"Grondverbetering": {},
"Heftrucks": {},
"Kantine-inventaris": {},
"Kantoorinventaris": {
"account_type": "Depreciation"
},
"Kantoormachines": {},
"Licenties": {},
"Machines 1": {},
"Magazijninventaris": {},
"Octrooien": {},
"Ontwikkelingskosten": {},
"Pachtersinvestering": {},
"Parkeerplaats": {},
"Personenauto's": {
"account_type": "Depreciation"
},
"Rijwielen en bromfietsen": {},
"Tonnagevergunningen": {},
"Verbouwingen": {},
"Vergunningen": {},
"Voorraadverschillen": {},
"Vrachtauto's": {},
"Winkels": {},
"Woon-winkelhuis": {},
"root_type": "Expense"
},
"KOSTENREKENINGEN": {
"AFSCHRIJVINGEN": {
"Aanhangwagens": {},
"Aankoopkosten": {},
"Aanloopkosten": {},
"Auteursrechten": {},
"Bedrijfsgebouwen": {},
"Bedrijfsinventaris": {
"account_type": "Depreciation"
},
"ALGEMENE KOSTEN": {
"Accountantskosten": {},
"Advieskosten": {},
"Assuranties 1": {},
"Bankkosten": {},
"Juridische kosten": {},
"Overige algemene kosten": {},
"Toev. Ass. eigen risico": {}
"Drankvergunningen": {},
"Fabrieksinventaris": {
"account_type": "Depreciation"
},
"BEDRIJFSKOSTEN": {
"Assuranties 2": {},
"Energie (krachtstroom)": {},
"Gereedschappen 1": {},
"Hulpmaterialen 1": {},
"Huur inventaris": {},
"Huur machines": {},
"Leasing invent.operational": {},
"Leasing mach. operational": {},
"Onderhoud inventaris": {},
"Onderhoud machines": {},
"Ophalen/vervoer afval": {},
"Overige bedrijfskosten": {}
"Gebouwen": {},
"Gereedschappen": {},
"Goodwill": {},
"Grondverbetering": {},
"Heftrucks": {},
"Kantine-inventaris": {},
"Kantoorinventaris": {
"account_type": "Depreciation"
},
"FINANCIERINGSKOSTEN 1": {
"Overige rentebaten": {},
"Overige rentelasten": {},
"Rente bankkrediet": {},
"Rente huurkoopcontracten": {},
"Rente hypotheek": {},
"Rente leasecontracten": {},
"Rente lening o/g": {},
"Rente lening u/g": {}
"Kantoormachines": {},
"Licenties": {},
"Machines 1": {},
"Magazijninventaris": {},
"Octrooien": {},
"Ontwikkelingskosten": {},
"Pachtersinvestering": {},
"Parkeerplaats": {},
"Personenauto's": {
"account_type": "Depreciation"
},
"HUISVESTINGSKOSTEN": {
"Assurantie onroerend goed": {},
"Belastingen onr. Goed": {},
"Energiekosten": {},
"Groot onderhoud onr. Goed": {},
"Huur": {},
"Huurwaarde woongedeelte": {},
"Onderhoud onroerend goed": {},
"Ontvangen huren": {},
"Overige huisvestingskosten": {},
"Pacht": {},
"Schoonmaakkosten": {},
"Toevoeging egalisatieres. Groot onderhoud": {}
},
"KANTOORKOSTEN": {
"Administratiekosten": {},
"Contributies/abonnementen": {},
"Huur kantoorapparatuur": {},
"Internetaansluiting": {},
"Kantoorbenodigdh./drukw.": {},
"Onderhoud kantoorinvent.": {},
"Overige kantoorkosten": {},
"Porti": {},
"Telefoon/telefax": {}
},
"OVERIGE BATEN EN LASTEN": {
"Betaalde schadevergoed.": {},
"Boekverlies vaste activa": {},
"Boekwinst van vaste activa": {},
"K.O. regeling OB": {},
"Kasverschillen": {},
"Kosten loonbelasting": {},
"Kosten omzetbelasting": {},
"Nadelige koersverschillen": {},
"Naheffing bedrijfsver.": {},
"Ontvangen schadevergoed.": {},
"Overige baten": {},
"Overige lasten": {},
"Voordelige koersverschil.": {}
},
"PERSONEELSKOSTEN": {
"Autokostenvergoeding": {},
"Bedrijfskleding": {},
"Belastingvrije uitkeringen": {},
"Bijzondere beloningen": {},
"Congressen, seminars en symposia": {},
"Gereedschapsgeld": {},
"Geschenken personeel": {},
"Gratificaties": {},
"Inhouding pensioenpremies": {},
"Inhouding sociale lasten": {},
"Kantinekosten": {},
"Lonen en salarissen": {},
"Loonwerk": {},
"Managementvergoedingen": {},
"Opleidingskosten": {},
"Oprenting stamrechtverpl.": {},
"Overhevelingstoeslag": {},
"Overige kostenverg.": {},
"Overige personeelskosten": {},
"Overige uitkeringen": {},
"Pensioenpremies": {},
"Provisie 1": {},
"Reiskosten": {},
"Rijwielvergoeding": {},
"Sociale lasten": {},
"Tanti\u00e8mes": {},
"Thuiswerkers": {},
"Toev. Backservice pens.verpl.": {},
"Toevoeging pensioenverpl.": {},
"Uitkering ziekengeld": {},
"Uitzendkrachten": {},
"Vakantiebonnen": {},
"Vakantiegeld": {},
"Vergoeding studiekosten": {},
"Wervingskosten personeel": {}
},
"VERKOOPKOSTEN": {
"Advertenties": {},
"Afschrijving dubieuze deb.": {},
"Beurskosten": {},
"Etalagekosten": {},
"Exportkosten": {},
"Kascorrecties": {},
"Overige verkoopkosten": {},
"Provisie": {},
"Reclame": {},
"Reis en verblijfkosten": {},
"Relatiegeschenken": {},
"Representatiekosten": {},
"Uitgaande vrachten": {},
"Veilingkosten": {},
"Verpakkingsmateriaal 1": {},
"Websitekosten": {}
},
"VERVOERSKOSTEN": {
"Assuranties auto's": {},
"Brandstoffen": {},
"Leasing auto's": {},
"Onderhoud personenauto's": {},
"Onderhoud vrachtauto's": {},
"Overige vervoerskosten": {},
"Priv\u00e9-gebruik auto's": {},
"Wegenbelasting": {}
},
"VOORRAAD GEREED PRODUCT EN ONDERHANDEN WERK": {
"Betalingskort. crediteuren": {},
"Garantiekosten": {},
"Hulpmaterialen": {},
"Inkomende vrachten": {
"account_type": "Expenses Included In Valuation"
},
"Inkoop import buiten EU hoog": {},
"Inkoop import buiten EU laag": {},
"Inkoop import buiten EU overig": {},
"Inkoopbonussen": {},
"Inkoopkosten": {},
"Inkoopprovisie": {},
"Inkopen BTW verlegd": {},
"Inkopen EU hoog tarief": {},
"Inkopen EU laag tarief": {},
"Inkopen EU overig": {},
"Inkopen hoog": {},
"Inkopen laag": {},
"Inkopen nul": {},
"Inkopen overig": {},
"Invoerkosten": {},
"Kosten inkoopvereniging": {},
"Kostprijs omzet grondstoffen": {
"account_type": "Cost of Goods Sold"
},
"Kostprijs omzet handelsgoederen": {},
"Onttrekking uitgev.garantie": {},
"Priv\u00e9-gebruik goederen": {},
"Stock aanpassing": {
"account_type": "Stock Adjustment"
},
"Tegenrekening inkoop": {},
"Toev. Voorz. incour. grondst.": {},
"Toevoeging garantieverpl.": {},
"Toevoeging voorz. incour. handelsgoed.": {},
"Uitbesteed werk": {},
"Voorz. Incourourant grondst.": {},
"Voorz.incour. handelsgoed.": {},
"root_type": "Expense"
},
"root_type": "Expense"
}
"Rijwielen en bromfietsen": {},
"Tonnagevergunningen": {},
"Verbouwingen": {},
"Vergunningen": {},
"Voorraadverschillen": {},
"Vrachtauto's": {},
"Winkels": {},
"Woon-winkelhuis": {},
"account_type": "Depreciation"
},
"ALGEMENE KOSTEN": {
"Accountantskosten": {},
"Advieskosten": {},
"Assuranties 1": {},
"Bankkosten": {},
"Juridische kosten": {},
"Overige algemene kosten": {},
"Toev. Ass. eigen risico": {}
},
"BEDRIJFSKOSTEN": {
"Assuranties 2": {},
"Energie (krachtstroom)": {},
"Gereedschappen 1": {},
"Hulpmaterialen 1": {},
"Huur inventaris": {},
"Huur machines": {},
"Leasing invent.operational": {},
"Leasing mach. operational": {},
"Onderhoud inventaris": {},
"Onderhoud machines": {},
"Ophalen/vervoer afval": {},
"Overige bedrijfskosten": {}
},
"FINANCIERINGSKOSTEN 1": {
"Overige rentebaten": {},
"Overige rentelasten": {},
"Rente bankkrediet": {},
"Rente huurkoopcontracten": {},
"Rente hypotheek": {},
"Rente leasecontracten": {},
"Rente lening o/g": {},
"Rente lening u/g": {}
},
"HUISVESTINGSKOSTEN": {
"Assurantie onroerend goed": {},
"Belastingen onr. Goed": {},
"Energiekosten": {},
"Groot onderhoud onr. Goed": {},
"Huur": {},
"Huurwaarde woongedeelte": {},
"Onderhoud onroerend goed": {},
"Ontvangen huren": {},
"Overige huisvestingskosten": {},
"Pacht": {},
"Schoonmaakkosten": {},
"Toevoeging egalisatieres. Groot onderhoud": {}
},
"KANTOORKOSTEN": {
"Administratiekosten": {},
"Contributies/abonnementen": {},
"Huur kantoorapparatuur": {},
"Internetaansluiting": {},
"Kantoorbenodigdh./drukw.": {},
"Onderhoud kantoorinvent.": {},
"Overige kantoorkosten": {},
"Porti": {},
"Telefoon/telefax": {}
},
"OVERIGE BATEN EN LASTEN": {
"Betaalde schadevergoed.": {},
"Boekverlies vaste activa": {},
"Boekwinst van vaste activa": {},
"K.O. regeling OB": {},
"Kasverschillen": {},
"Kosten loonbelasting": {},
"Kosten omzetbelasting": {},
"Nadelige koersverschillen": {},
"Naheffing bedrijfsver.": {},
"Ontvangen schadevergoed.": {},
"Overige baten": {},
"Overige lasten": {},
"Voordelige koersverschil.": {}
},
"PERSONEELSKOSTEN": {
"Autokostenvergoeding": {},
"Bedrijfskleding": {},
"Belastingvrije uitkeringen": {},
"Bijzondere beloningen": {},
"Congressen, seminars en symposia": {},
"Gereedschapsgeld": {},
"Geschenken personeel": {},
"Gratificaties": {},
"Inhouding pensioenpremies": {},
"Inhouding sociale lasten": {},
"Kantinekosten": {},
"Lonen en salarissen": {},
"Loonwerk": {},
"Managementvergoedingen": {},
"Opleidingskosten": {},
"Oprenting stamrechtverpl.": {},
"Overhevelingstoeslag": {},
"Overige kostenverg.": {},
"Overige personeelskosten": {},
"Overige uitkeringen": {},
"Pensioenpremies": {},
"Provisie 1": {},
"Reiskosten": {},
"Rijwielvergoeding": {},
"Sociale lasten": {},
"Tanti\u00e8mes": {},
"Thuiswerkers": {},
"Toev. Backservice pens.verpl.": {},
"Toevoeging pensioenverpl.": {},
"Uitkering ziekengeld": {},
"Uitzendkrachten": {},
"Vakantiebonnen": {},
"Vakantiegeld": {},
"Vergoeding studiekosten": {},
"Wervingskosten personeel": {}
},
"VERKOOPKOSTEN": {
"Advertenties": {},
"Afschrijving dubieuze deb.": {},
"Beurskosten": {},
"Etalagekosten": {},
"Exportkosten": {},
"Kascorrecties": {},
"Overige verkoopkosten": {},
"Provisie": {},
"Reclame": {},
"Reis en verblijfkosten": {},
"Relatiegeschenken": {},
"Representatiekosten": {},
"Uitgaande vrachten": {},
"Veilingkosten": {},
"Verpakkingsmateriaal 1": {},
"Websitekosten": {}
},
"VERVOERSKOSTEN": {
"Assuranties auto's": {},
"Brandstoffen": {},
"Leasing auto's": {},
"Onderhoud personenauto's": {},
"Onderhoud vrachtauto's": {},
"Overige vervoerskosten": {},
"Priv\u00e9-gebruik auto's": {},
"Wegenbelasting": {}
},
"root_type": "Expense"
},
"TUSSENREKENINGEN": {
"Betaalwijze cadeaubonnen": {
"account_type": "Cash"
},
"Betaalwijze chipknip": {
"account_type": "Cash"
},
"Betaalwijze contant": {
"account_type": "Cash"
},
"Betaalwijze pin": {
"account_type": "Cash"
},
"Inkopen Nederland hoog": {
"account_type": "Cash"
},
"Inkopen Nederland laag": {
"account_type": "Cash"
},
"Inkopen Nederland onbelast": {
"account_type": "Cash"
},
"Inkopen Nederland overig": {
"account_type": "Cash"
},
"Inkopen Nederland verlegd": {
"account_type": "Cash"
},
"Inkopen binnen EU hoog": {
"account_type": "Cash"
},
"Inkopen binnen EU laag": {
"account_type": "Cash"
},
"Inkopen binnen EU overig": {
"account_type": "Cash"
},
"Inkopen buiten EU hoog": {
"account_type": "Cash"
},
"Inkopen buiten EU laag": {
"account_type": "Cash"
},
"Inkopen buiten EU overig": {
"account_type": "Cash"
},
"Kassa 1": {
"account_type": "Cash"
},
"Kassa 2": {
"account_type": "Cash"
},
"Netto lonen": {
"account_type": "Cash"
},
"Tegenrekening Inkopen": {
"account_type": "Cash"
},
"Tussenrek. autom. betalingen": {
"account_type": "Cash"
},
"Tussenrek. autom. loonbetalingen": {
"account_type": "Cash"
},
"Tussenrek. cadeaubonbetalingen": {
"account_type": "Cash"
},
"Tussenrekening balans": {
"account_type": "Cash"
},
"Tussenrekening chipknip": {
"account_type": "Cash"
},
"Tussenrekening correcties": {
"account_type": "Cash"
},
"Tussenrekening pin": {
"account_type": "Cash"
},
"Vraagposten": {
"account_type": "Cash"
},
"root_type": "Asset"
},
"VASTE ACTIVA, EIGEN VERMOGEN, LANGLOPEND VREEMD VERMOGEN EN VOORZIENINGEN": {
"EIGEN VERMOGEN": {
@@ -665,7 +602,7 @@
"account_type": "Equity"
}
},
"root_type": "Equity"
"root_type": "Asset"
},
"VERKOOPRESULTATEN": {
"Diensten fabric. 0% niet-EU": {},
@@ -690,6 +627,67 @@
"Verleende Kredietbep. fabricage": {},
"Verleende Kredietbep. handel": {},
"root_type": "Income"
},
"VOORRAAD GEREED PRODUCT EN ONDERHANDEN WERK": {
"Betalingskort. crediteuren": {},
"Garantiekosten": {},
"Hulpmaterialen": {},
"Inkomende vrachten": {
"account_type": "Expenses Included In Valuation"
},
"Inkoop import buiten EU hoog": {},
"Inkoop import buiten EU laag": {},
"Inkoop import buiten EU overig": {},
"Inkoopbonussen": {},
"Inkoopkosten": {},
"Inkoopprovisie": {},
"Inkopen BTW verlegd": {},
"Inkopen EU hoog tarief": {},
"Inkopen EU laag tarief": {},
"Inkopen EU overig": {},
"Inkopen hoog": {},
"Inkopen laag": {},
"Inkopen nul": {},
"Inkopen overig": {},
"Invoerkosten": {},
"Kosten inkoopvereniging": {},
"Kostprijs omzet grondstoffen": {
"account_type": "Cost of Goods Sold"
},
"Kostprijs omzet handelsgoederen": {},
"Onttrekking uitgev.garantie": {},
"Priv\u00e9-gebruik goederen": {},
"Stock aanpassing": {
"account_type": "Stock Adjustment"
},
"Tegenrekening inkoop": {},
"Toev. Voorz. incour. grondst.": {},
"Toevoeging garantieverpl.": {},
"Toevoeging voorz. incour. handelsgoed.": {},
"Uitbesteed werk": {},
"Voorz. Incourourant grondst.": {},
"Voorz.incour. handelsgoed.": {},
"root_type": "Expense"
},
"VOORRAAD GRONDSTOFFEN, HULPMATERIALEN EN HANDELSGOEDEREN": {
"Emballage": {},
"Gereed product 1": {},
"Gereed product 2": {},
"Goederen 1": {},
"Goederen 2": {},
"Goederen in consignatie": {},
"Goederen onderweg": {},
"Grondstoffen 1": {},
"Grondstoffen 2": {},
"Halffabrikaten 1": {},
"Halffabrikaten 2": {},
"Hulpstoffen 1": {},
"Hulpstoffen 2": {},
"Kantoorbenodigdheden": {},
"Onderhanden werk": {},
"Verpakkingsmateriaal": {},
"Zegels": {},
"root_type": "Asset"
}
}
}

View File

@@ -7,11 +7,7 @@ import unittest
import frappe
from frappe.test_runner import make_test_records
from erpnext.accounts.doctype.account.account import (
InvalidAccountMergeError,
merge_account,
update_account_number,
)
from erpnext.accounts.doctype.account.account import merge_account, update_account_number
from erpnext.stock import get_company_default_inventory_account, get_warehouse_account
test_dependencies = ["Company"]
@@ -51,53 +47,49 @@ class TestAccount(unittest.TestCase):
frappe.delete_doc("Account", "1211-11-4 - 6 - Debtors 1 - Test - - _TC")
def test_merge_account(self):
create_account(
account_name="Current Assets",
is_group=1,
parent_account="Application of Funds (Assets) - _TC",
company="_Test Company",
)
create_account(
account_name="Securities and Deposits",
is_group=1,
parent_account="Current Assets - _TC",
company="_Test Company",
)
create_account(
account_name="Earnest Money",
parent_account="Securities and Deposits - _TC",
company="_Test Company",
)
create_account(
account_name="Cash In Hand",
is_group=1,
parent_account="Current Assets - _TC",
company="_Test Company",
)
create_account(
account_name="Receivable INR",
parent_account="Current Assets - _TC",
company="_Test Company",
account_currency="INR",
)
create_account(
account_name="Receivable USD",
parent_account="Current Assets - _TC",
company="_Test Company",
account_currency="USD",
)
if not frappe.db.exists("Account", "Current Assets - _TC"):
acc = frappe.new_doc("Account")
acc.account_name = "Current Assets"
acc.is_group = 1
acc.parent_account = "Application of Funds (Assets) - _TC"
acc.company = "_Test Company"
acc.insert()
if not frappe.db.exists("Account", "Securities and Deposits - _TC"):
acc = frappe.new_doc("Account")
acc.account_name = "Securities and Deposits"
acc.parent_account = "Current Assets - _TC"
acc.is_group = 1
acc.company = "_Test Company"
acc.insert()
if not frappe.db.exists("Account", "Earnest Money - _TC"):
acc = frappe.new_doc("Account")
acc.account_name = "Earnest Money"
acc.parent_account = "Securities and Deposits - _TC"
acc.company = "_Test Company"
acc.insert()
if not frappe.db.exists("Account", "Cash In Hand - _TC"):
acc = frappe.new_doc("Account")
acc.account_name = "Cash In Hand"
acc.is_group = 1
acc.parent_account = "Current Assets - _TC"
acc.company = "_Test Company"
acc.insert()
if not frappe.db.exists("Account", "Accumulated Depreciation - _TC"):
acc = frappe.new_doc("Account")
acc.account_name = "Accumulated Depreciation"
acc.parent_account = "Fixed Assets - _TC"
acc.company = "_Test Company"
acc.account_type = "Accumulated Depreciation"
acc.insert()
doc = frappe.get_doc("Account", "Securities and Deposits - _TC")
parent = frappe.db.get_value("Account", "Earnest Money - _TC", "parent_account")
self.assertEqual(parent, "Securities and Deposits - _TC")
merge_account("Securities and Deposits - _TC", "Cash In Hand - _TC")
merge_account(
"Securities and Deposits - _TC", "Cash In Hand - _TC", doc.is_group, doc.root_type, doc.company
)
parent = frappe.db.get_value("Account", "Earnest Money - _TC", "parent_account")
# Parent account of the child account changes after merging
@@ -106,28 +98,30 @@ class TestAccount(unittest.TestCase):
# Old account doesn't exist after merging
self.assertFalse(frappe.db.exists("Account", "Securities and Deposits - _TC"))
doc = frappe.get_doc("Account", "Current Assets - _TC")
# Raise error as is_group property doesn't match
self.assertRaises(
InvalidAccountMergeError,
frappe.ValidationError,
merge_account,
"Current Assets - _TC",
"Accumulated Depreciation - _TC",
doc.is_group,
doc.root_type,
doc.company,
)
doc = frappe.get_doc("Account", "Capital Stock - _TC")
# Raise error as root_type property doesn't match
self.assertRaises(
InvalidAccountMergeError,
frappe.ValidationError,
merge_account,
"Capital Stock - _TC",
"Softwares - _TC",
)
# Raise error as currency doesn't match
self.assertRaises(
InvalidAccountMergeError,
merge_account,
"Receivable INR - _TC",
"Receivable USD - _TC",
doc.is_group,
doc.root_type,
doc.company,
)
def test_account_sync(self):
@@ -406,20 +400,11 @@ def create_account(**kwargs):
"Account", filters={"account_name": kwargs.get("account_name"), "company": kwargs.get("company")}
)
if account:
account = frappe.get_doc("Account", account)
account.update(
dict(
is_group=kwargs.get("is_group", 0),
parent_account=kwargs.get("parent_account"),
)
)
account.save()
return account.name
return account
else:
account = frappe.get_doc(
dict(
doctype="Account",
is_group=kwargs.get("is_group", 0),
account_name=kwargs.get("account_name"),
account_type=kwargs.get("account_type"),
parent_account=kwargs.get("parent_account"),

View File

@@ -11,34 +11,13 @@ from erpnext.accounts.doctype.accounting_dimension.accounting_dimension import (
class AccountClosingBalance(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
account: DF.Link | None
account_currency: DF.Link | None
closing_date: DF.Date | None
company: DF.Link | None
cost_center: DF.Link | None
credit: DF.Currency
credit_in_account_currency: DF.Currency
debit: DF.Currency
debit_in_account_currency: DF.Currency
finance_book: DF.Link | None
is_period_closing_voucher_entry: DF.Check
period_closing_voucher: DF.Link | None
project: DF.Link | None
# end: auto-generated types
pass
def make_closing_entries(closing_entries, voucher_name, company, closing_date):
def make_closing_entries(closing_entries, voucher_name):
accounting_dimensions = get_accounting_dimensions()
company = closing_entries[0].get("company")
closing_date = closing_entries[0].get("closing_date")
previous_closing_entries = get_previous_closing_entries(
company, closing_date, accounting_dimensions
@@ -60,7 +39,6 @@ def make_closing_entries(closing_entries, voucher_name, company, closing_date):
}
)
cle.flags.ignore_permissions = True
cle.flags.ignore_links = True
cle.submit()

View File

@@ -15,17 +15,6 @@ frappe.ui.form.on('Accounting Dimension', {
};
});
frm.set_query("offsetting_account", "dimension_defaults", function(doc, cdt, cdn) {
let d = locals[cdt][cdn];
return {
filters: {
company: d.company,
root_type: ["in", ["Asset", "Liability"]],
is_group: 0
}
}
});
if (!frm.is_new()) {
frm.add_custom_button(__('Show {0}', [frm.doc.document_type]), function () {
frappe.set_route("List", frm.doc.document_type);

View File

@@ -13,25 +13,6 @@ from frappe.utils import cstr
class AccountingDimension(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
from erpnext.accounts.doctype.accounting_dimension_detail.accounting_dimension_detail import (
AccountingDimensionDetail,
)
dimension_defaults: DF.Table[AccountingDimensionDetail]
disabled: DF.Check
document_type: DF.Link
fieldname: DF.Data | None
label: DF.Data | None
# end: auto-generated types
def before_insert(self):
self.set_fieldname_and_label()
@@ -58,8 +39,6 @@ class AccountingDimension(Document):
if not self.is_new():
self.validate_document_type_change()
self.validate_dimension_defaults()
def validate_document_type_change(self):
doctype_before_save = frappe.db.get_value("Accounting Dimension", self.name, "document_type")
if doctype_before_save != self.document_type:
@@ -67,14 +46,6 @@ class AccountingDimension(Document):
message += _("Please create a new Accounting Dimension if required.")
frappe.throw(message)
def validate_dimension_defaults(self):
companies = []
for default in self.get("dimension_defaults"):
if default.company not in companies:
companies.append(default.company)
else:
frappe.throw(_("Company {0} is added more than once").format(frappe.bold(default.company)))
def after_insert(self):
if frappe.flags.in_test:
make_dimension_in_accounting_doctypes(doc=self)
@@ -284,28 +255,21 @@ def get_dimension_with_children(doctype, dimensions):
@frappe.whitelist()
def get_dimensions(with_cost_center_and_project=False):
c = frappe.qb.DocType("Accounting Dimension Detail")
p = frappe.qb.DocType("Accounting Dimension")
dimension_filters = (
frappe.qb.from_(p)
.select(p.label, p.fieldname, p.document_type)
.where(p.disabled == 0)
.run(as_dict=1)
)
default_dimensions = (
frappe.qb.from_(c)
.inner_join(p)
.on(c.parent == p.name)
.select(p.fieldname, c.company, c.default_dimension)
.run(as_dict=1)
dimension_filters = frappe.db.sql(
"""
SELECT label, fieldname, document_type
FROM `tabAccounting Dimension`
WHERE disabled = 0
""",
as_dict=1,
)
if isinstance(with_cost_center_and_project, str):
if with_cost_center_and_project.lower().strip() == "true":
with_cost_center_and_project = True
else:
with_cost_center_and_project = False
default_dimensions = frappe.db.sql(
"""SELECT p.fieldname, c.company, c.default_dimension
FROM `tabAccounting Dimension Detail` c, `tabAccounting Dimension` p
WHERE c.parent = p.name""",
as_dict=1,
)
if with_cost_center_and_project:
dimension_filters.extend(
@@ -321,30 +285,3 @@ def get_dimensions(with_cost_center_and_project=False):
default_dimensions_map[dimension.company][dimension.fieldname] = dimension.default_dimension
return dimension_filters, default_dimensions_map
def create_accounting_dimensions_for_doctype(doctype):
accounting_dimensions = frappe.db.get_all(
"Accounting Dimension", fields=["fieldname", "label", "document_type", "disabled"]
)
if not accounting_dimensions:
return
for d in accounting_dimensions:
field = frappe.db.get_value("Custom Field", {"dt": doctype, "fieldname": d.fieldname})
if field:
continue
df = {
"fieldname": d.fieldname,
"label": d.label,
"fieldtype": "Link",
"options": d.document_type,
"insert_after": "accounting_dimensions_section",
}
create_custom_field(doctype, df, ignore_validate=True)
frappe.clear_cache(doctype=doctype)

View File

@@ -84,22 +84,12 @@ def create_dimension():
frappe.set_user("Administrator")
if not frappe.db.exists("Accounting Dimension", {"document_type": "Department"}):
dimension = frappe.get_doc(
frappe.get_doc(
{
"doctype": "Accounting Dimension",
"document_type": "Department",
}
)
dimension.append(
"dimension_defaults",
{
"company": "_Test Company",
"reference_document": "Department",
"default_dimension": "_Test Department - _TC",
},
)
dimension.insert()
dimension.save()
).insert()
else:
dimension = frappe.get_doc("Accounting Dimension", "Department")
dimension.disabled = 0

View File

@@ -8,10 +8,7 @@
"reference_document",
"default_dimension",
"mandatory_for_bs",
"mandatory_for_pl",
"column_break_lqns",
"automatically_post_balancing_accounting_entry",
"offsetting_account"
"mandatory_for_pl"
],
"fields": [
{
@@ -53,23 +50,6 @@
"fieldtype": "Check",
"in_list_view": 1,
"label": "Mandatory For Profit and Loss Account"
},
{
"default": "0",
"fieldname": "automatically_post_balancing_accounting_entry",
"fieldtype": "Check",
"label": "Automatically post balancing accounting entry"
},
{
"fieldname": "offsetting_account",
"fieldtype": "Link",
"label": "Offsetting Account",
"mandatory_depends_on": "eval: doc.automatically_post_balancing_accounting_entry",
"options": "Account"
},
{
"fieldname": "column_break_lqns",
"fieldtype": "Column Break"
}
],
"istable": 1,

View File

@@ -7,24 +7,4 @@ from frappe.model.document import Document
class AccountingDimensionDetail(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
automatically_post_balancing_accounting_entry: DF.Check
company: DF.Link | None
default_dimension: DF.DynamicLink | None
mandatory_for_bs: DF.Check
mandatory_for_pl: DF.Check
offsetting_account: DF.Link | None
parent: DF.Data
parentfield: DF.Data
parenttype: DF.Data
reference_document: DF.Link | None
# end: auto-generated types
pass

View File

@@ -68,16 +68,6 @@ frappe.ui.form.on('Accounting Dimension Filter', {
frm.refresh_field("dimensions");
frm.trigger('setup_filters');
},
apply_restriction_on_values: function(frm) {
/** If restriction on values is not applied, we should set "allow_or_restrict" to "Restrict" with an empty allowed dimension table.
* Hence it's not "restricted" on any value.
*/
if (!frm.doc.apply_restriction_on_values) {
frm.set_value("allow_or_restrict", "Restrict");
frm.clear_table("dimensions");
frm.refresh_field("dimensions");
}
}
});
frappe.ui.form.on('Allowed Dimension', {

View File

@@ -10,7 +10,6 @@
"disabled",
"column_break_2",
"company",
"apply_restriction_on_values",
"allow_or_restrict",
"section_break_4",
"accounts",
@@ -25,80 +24,94 @@
"fieldtype": "Select",
"in_list_view": 1,
"label": "Accounting Dimension",
"reqd": 1
"reqd": 1,
"show_days": 1,
"show_seconds": 1
},
{
"fieldname": "column_break_2",
"fieldtype": "Column Break"
"fieldtype": "Column Break",
"show_days": 1,
"show_seconds": 1
},
{
"fieldname": "section_break_4",
"fieldtype": "Section Break",
"hide_border": 1
"hide_border": 1,
"show_days": 1,
"show_seconds": 1
},
{
"fieldname": "column_break_6",
"fieldtype": "Column Break"
"fieldtype": "Column Break",
"show_days": 1,
"show_seconds": 1
},
{
"depends_on": "eval:doc.apply_restriction_on_values == 1;",
"fieldname": "allow_or_restrict",
"fieldtype": "Select",
"label": "Allow Or Restrict Dimension",
"options": "Allow\nRestrict",
"reqd": 1
"reqd": 1,
"show_days": 1,
"show_seconds": 1
},
{
"fieldname": "accounts",
"fieldtype": "Table",
"label": "Applicable On Account",
"options": "Applicable On Account",
"reqd": 1
"reqd": 1,
"show_days": 1,
"show_seconds": 1
},
{
"depends_on": "eval:doc.accounting_dimension && doc.apply_restriction_on_values",
"depends_on": "eval:doc.accounting_dimension",
"fieldname": "dimensions",
"fieldtype": "Table",
"label": "Applicable Dimension",
"mandatory_depends_on": "eval:doc.apply_restriction_on_values == 1;",
"options": "Allowed Dimension"
"options": "Allowed Dimension",
"reqd": 1,
"show_days": 1,
"show_seconds": 1
},
{
"default": "0",
"fieldname": "disabled",
"fieldtype": "Check",
"label": "Disabled"
"label": "Disabled",
"show_days": 1,
"show_seconds": 1
},
{
"fieldname": "company",
"fieldtype": "Link",
"label": "Company",
"options": "Company",
"reqd": 1
"reqd": 1,
"show_days": 1,
"show_seconds": 1
},
{
"fieldname": "dimension_filter_help",
"fieldtype": "HTML",
"label": "Dimension Filter Help"
"label": "Dimension Filter Help",
"show_days": 1,
"show_seconds": 1
},
{
"fieldname": "section_break_10",
"fieldtype": "Section Break"
},
{
"default": "1",
"fieldname": "apply_restriction_on_values",
"fieldtype": "Check",
"label": "Apply restriction on dimension values"
"fieldtype": "Section Break",
"show_days": 1,
"show_seconds": 1
}
],
"index_web_pages_for_search": 1,
"links": [],
"modified": "2023-06-07 14:59:41.869117",
"modified": "2021-02-03 12:04:58.678402",
"modified_by": "Administrator",
"module": "Accounts",
"name": "Accounting Dimension Filter",
"naming_rule": "Expression",
"owner": "Administrator",
"permissions": [
{
@@ -141,6 +154,5 @@
"quick_entry": 1,
"sort_field": "modified",
"sort_order": "DESC",
"states": [],
"track_changes": 1
}

View File

@@ -8,34 +8,6 @@ from frappe.model.document import Document
class AccountingDimensionFilter(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
from erpnext.accounts.doctype.allowed_dimension.allowed_dimension import AllowedDimension
from erpnext.accounts.doctype.applicable_on_account.applicable_on_account import (
ApplicableOnAccount,
)
accounting_dimension: DF.Literal
accounts: DF.Table[ApplicableOnAccount]
allow_or_restrict: DF.Literal["Allow", "Restrict"]
apply_restriction_on_values: DF.Check
company: DF.Link
dimensions: DF.Table[AllowedDimension]
disabled: DF.Check
# end: auto-generated types
def before_save(self):
# If restriction is not applied on values, then remove all the dimensions and set allow_or_restrict to Restrict
if not self.apply_restriction_on_values:
self.allow_or_restrict = "Restrict"
self.set("dimensions", [])
def validate(self):
self.validate_applicable_accounts()
@@ -72,12 +44,12 @@ def get_dimension_filter_map():
a.applicable_on_account, d.dimension_value, p.accounting_dimension,
p.allow_or_restrict, a.is_mandatory
FROM
`tabApplicable On Account` a,
`tabApplicable On Account` a, `tabAllowed Dimension` d,
`tabAccounting Dimension Filter` p
LEFT JOIN `tabAllowed Dimension` d ON d.parent = p.name
WHERE
p.name = a.parent
AND p.disabled = 0
AND p.name = d.parent
""",
as_dict=1,
)
@@ -104,5 +76,4 @@ def build_map(map_object, dimension, account, filter_value, allow_or_restrict, i
(dimension, account),
{"allowed_dimensions": [], "is_mandatory": is_mandatory, "allow_or_restrict": allow_or_restrict},
)
if filter_value:
map_object[(dimension, account)]["allowed_dimensions"].append(filter_value)
map_object[(dimension, account)]["allowed_dimensions"].append(filter_value)

View File

@@ -64,7 +64,6 @@ def create_accounting_dimension_filter():
"accounting_dimension": "Cost Center",
"allow_or_restrict": "Allow",
"company": "_Test Company",
"apply_restriction_on_values": 1,
"accounts": [
{
"applicable_on_account": "Sales - _TC",
@@ -86,7 +85,6 @@ def create_accounting_dimension_filter():
"doctype": "Accounting Dimension Filter",
"accounting_dimension": "Department",
"allow_or_restrict": "Allow",
"apply_restriction_on_values": 1,
"company": "_Test Company",
"accounts": [{"applicable_on_account": "Sales - _TC", "is_mandatory": 1}],
"dimensions": [{"accounting_dimension": "Department", "dimension_value": "Accounts - _TC"}],

View File

@@ -20,11 +20,5 @@ frappe.ui.form.on('Accounting Period', {
}
});
}
frm.set_query("document_type", "closed_documents", () => {
return {
query: "erpnext.controllers.queries.get_doctypes_for_closing",
}
});
}
});

View File

@@ -11,28 +11,7 @@ class OverlapError(frappe.ValidationError):
pass
class ClosedAccountingPeriod(frappe.ValidationError):
pass
class AccountingPeriod(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
from erpnext.accounts.doctype.closed_document.closed_document import ClosedDocument
closed_documents: DF.Table[ClosedDocument]
company: DF.Link
end_date: DF.Date
period_name: DF.Data
start_date: DF.Date
# end: auto-generated types
def validate(self):
self.validate_overlap()
@@ -86,42 +65,3 @@ class AccountingPeriod(Document):
"closed_documents",
{"document_type": doctype_for_closing.document_type, "closed": doctype_for_closing.closed},
)
def validate_accounting_period_on_doc_save(doc, method=None):
if doc.doctype == "Bank Clearance":
return
elif doc.doctype == "Asset":
if doc.is_existing_asset:
return
else:
date = doc.available_for_use_date
elif doc.doctype == "Asset Repair":
date = doc.completion_date
else:
date = doc.posting_date
ap = frappe.qb.DocType("Accounting Period")
cd = frappe.qb.DocType("Closed Document")
accounting_period = (
frappe.qb.from_(ap)
.from_(cd)
.select(ap.name)
.where(
(ap.name == cd.parent)
& (ap.company == doc.company)
& (cd.closed == 1)
& (cd.document_type == doc.doctype)
& (date >= ap.start_date)
& (date <= ap.end_date)
)
).run(as_dict=1)
if accounting_period:
frappe.throw(
_("You cannot create a {0} within the closed Accounting Period {1}").format(
doc.doctype, frappe.bold(accounting_period[0]["name"])
),
ClosedAccountingPeriod,
)

View File

@@ -6,11 +6,9 @@ import unittest
import frappe
from frappe.utils import add_months, nowdate
from erpnext.accounts.doctype.accounting_period.accounting_period import (
ClosedAccountingPeriod,
OverlapError,
)
from erpnext.accounts.doctype.accounting_period.accounting_period import OverlapError
from erpnext.accounts.doctype.sales_invoice.test_sales_invoice import create_sales_invoice
from erpnext.accounts.general_ledger import ClosedAccountingPeriod
test_dependencies = ["Item"]
@@ -35,9 +33,9 @@ class TestAccountingPeriod(unittest.TestCase):
ap1.save()
doc = create_sales_invoice(
do_not_save=1, cost_center="_Test Company - _TC", warehouse="Stores - _TC"
do_not_submit=1, cost_center="_Test Company - _TC", warehouse="Stores - _TC"
)
self.assertRaises(ClosedAccountingPeriod, doc.save)
self.assertRaises(ClosedAccountingPeriod, doc.submit)
def tearDown(self):
for d in frappe.get_all("Accounting Period"):

View File

@@ -32,7 +32,6 @@
"column_break_19",
"add_taxes_from_item_tax_template",
"book_tax_discount_loss",
"round_row_wise_tax",
"print_settings",
"show_inclusive_tax_in_print",
"show_taxes_as_table_in_print",
@@ -59,19 +58,10 @@
"closing_settings_tab",
"period_closing_settings_section",
"acc_frozen_upto",
"ignore_account_closing_balance",
"column_break_25",
"frozen_accounts_modifier",
"tab_break_dpet",
"show_balance_in_coa",
"banking_tab",
"enable_party_matching",
"enable_fuzzy_matching",
"reports_tab",
"remarks_section",
"general_ledger_remarks_length",
"column_break_lvjk",
"receivable_payable_remarks_length"
"show_balance_in_coa"
],
"fields": [
{
@@ -393,68 +383,6 @@
"fieldname": "show_taxes_as_table_in_print",
"fieldtype": "Check",
"label": "Show Taxes as Table in Print"
},
{
"fieldname": "banking_tab",
"fieldtype": "Tab Break",
"label": "Banking"
},
{
"default": "0",
"description": "Auto match and set the Party in Bank Transactions",
"fieldname": "enable_party_matching",
"fieldtype": "Check",
"label": "Enable Automatic Party Matching"
},
{
"default": "0",
"depends_on": "enable_party_matching",
"description": "Approximately match the description/party name against parties",
"fieldname": "enable_fuzzy_matching",
"fieldtype": "Check",
"label": "Enable Fuzzy Matching"
},
{
"default": "0",
"description": "Financial reports will be generated using GL Entry doctypes (should be enabled if Period Closing Voucher is not posted for all years sequentially or missing) ",
"fieldname": "ignore_account_closing_balance",
"fieldtype": "Check",
"label": "Ignore Account Closing Balance"
},
{
"default": "0",
"description": "Tax Amount will be rounded on a row(items) level",
"fieldname": "round_row_wise_tax",
"fieldtype": "Check",
"label": "Round Tax Amount Row-wise"
},
{
"fieldname": "reports_tab",
"fieldtype": "Tab Break",
"label": "Reports"
},
{
"default": "0",
"description": "Truncates 'Remarks' column to set character length",
"fieldname": "general_ledger_remarks_length",
"fieldtype": "Int",
"label": "General Ledger"
},
{
"default": "0",
"description": "Truncates 'Remarks' column to set character length",
"fieldname": "receivable_payable_remarks_length",
"fieldtype": "Int",
"label": "Accounts Receivable/Payable"
},
{
"fieldname": "column_break_lvjk",
"fieldtype": "Column Break"
},
{
"fieldname": "remarks_section",
"fieldtype": "Section Break",
"label": "Remarks Column Length"
}
],
"icon": "icon-cog",
@@ -462,7 +390,7 @@
"index_web_pages_for_search": 1,
"issingle": 1,
"links": [],
"modified": "2023-11-20 09:37:47.650347",
"modified": "2023-06-13 18:47:46.430291",
"modified_by": "Administrator",
"module": "Accounts",
"name": "Accounts Settings",

View File

@@ -14,78 +14,21 @@ from erpnext.stock.utils import check_pending_reposting
class AccountsSettings(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
acc_frozen_upto: DF.Date | None
add_taxes_from_item_tax_template: DF.Check
allow_multi_currency_invoices_against_single_party_account: DF.Check
allow_stale: DF.Check
auto_reconcile_payments: DF.Check
automatically_fetch_payment_terms: DF.Check
automatically_process_deferred_accounting_entry: DF.Check
book_asset_depreciation_entry_automatically: DF.Check
book_deferred_entries_based_on: DF.Literal["Days", "Months"]
book_deferred_entries_via_journal_entry: DF.Check
book_tax_discount_loss: DF.Check
check_supplier_invoice_uniqueness: DF.Check
credit_controller: DF.Link | None
delete_linked_ledger_entries: DF.Check
determine_address_tax_category_from: DF.Literal["Billing Address", "Shipping Address"]
enable_common_party_accounting: DF.Check
enable_fuzzy_matching: DF.Check
enable_party_matching: DF.Check
frozen_accounts_modifier: DF.Link | None
general_ledger_remarks_length: DF.Int
ignore_account_closing_balance: DF.Check
make_payment_via_journal_entry: DF.Check
merge_similar_account_heads: DF.Check
over_billing_allowance: DF.Currency
post_change_gl_entries: DF.Check
receivable_payable_remarks_length: DF.Int
role_allowed_to_over_bill: DF.Link | None
round_row_wise_tax: DF.Check
show_balance_in_coa: DF.Check
show_inclusive_tax_in_print: DF.Check
show_payment_schedule_in_print: DF.Check
show_taxes_as_table_in_print: DF.Check
stale_days: DF.Int
submit_journal_entries: DF.Check
unlink_advance_payment_on_cancelation_of_order: DF.Check
unlink_payment_on_cancellation_of_invoice: DF.Check
# end: auto-generated types
def on_update(self):
frappe.clear_cache()
def validate(self):
old_doc = self.get_doc_before_save()
clear_cache = False
frappe.db.set_default(
"add_taxes_from_item_tax_template", self.get("add_taxes_from_item_tax_template", 0)
)
if old_doc.add_taxes_from_item_tax_template != self.add_taxes_from_item_tax_template:
frappe.db.set_default(
"add_taxes_from_item_tax_template", self.get("add_taxes_from_item_tax_template", 0)
)
clear_cache = True
if old_doc.enable_common_party_accounting != self.enable_common_party_accounting:
frappe.db.set_default(
"enable_common_party_accounting", self.get("enable_common_party_accounting", 0)
)
clear_cache = True
frappe.db.set_default(
"enable_common_party_accounting", self.get("enable_common_party_accounting", 0)
)
self.validate_stale_days()
if old_doc.show_payment_schedule_in_print != self.show_payment_schedule_in_print:
self.enable_payment_schedule_in_print()
if old_doc.acc_frozen_upto != self.acc_frozen_upto:
self.validate_pending_reposts()
if clear_cache:
frappe.clear_cache()
self.enable_payment_schedule_in_print()
self.validate_pending_reposts()
def validate_stale_days(self):
if not self.allow_stale and cint(self.stale_days) <= 0:

View File

@@ -6,22 +6,4 @@ from frappe.model.document import Document
class AdvanceTax(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
account_head: DF.Link | None
allocated_amount: DF.Currency
parent: DF.Data
parentfield: DF.Data
parenttype: DF.Data
reference_detail: DF.Data | None
reference_name: DF.DynamicLink | None
reference_type: DF.Link | None
# end: auto-generated types
pass

View File

@@ -7,33 +7,4 @@ from frappe.model.document import Document
class AdvanceTaxesandCharges(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
account_head: DF.Link
add_deduct_tax: DF.Literal["Add", "Deduct"]
allocated_amount: DF.Currency
base_tax_amount: DF.Currency
base_total: DF.Currency
charge_type: DF.Literal[
"", "Actual", "On Paid Amount", "On Previous Row Amount", "On Previous Row Total"
]
cost_center: DF.Link | None
currency: DF.Link | None
description: DF.SmallText
included_in_paid_amount: DF.Check
parent: DF.Data
parentfield: DF.Data
parenttype: DF.Data
rate: DF.Float
row_id: DF.Data | None
tax_amount: DF.Currency
total: DF.Currency
# end: auto-generated types
pass

View File

@@ -7,19 +7,4 @@ from frappe.model.document import Document
class AllowedDimension(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
accounting_dimension: DF.Link | None
dimension_value: DF.DynamicLink | None
parent: DF.Data
parentfield: DF.Data
parenttype: DF.Data
# end: auto-generated types
pass

View File

@@ -11,7 +11,6 @@
{
"fieldname": "company",
"fieldtype": "Link",
"ignore_user_permissions": 1,
"in_list_view": 1,
"label": "Company",
"options": "Company",
@@ -20,7 +19,7 @@
],
"istable": 1,
"links": [],
"modified": "2024-01-03 11:13:02.669632",
"modified": "2020-05-01 12:32:34.044911",
"modified_by": "Administrator",
"module": "Accounts",
"name": "Allowed To Transact With",
@@ -29,6 +28,5 @@
"quick_entry": 1,
"sort_field": "modified",
"sort_order": "DESC",
"states": [],
"track_changes": 1
}

View File

@@ -6,18 +6,4 @@ from frappe.model.document import Document
class AllowedToTransactWith(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
company: DF.Link
parent: DF.Data
parentfield: DF.Data
parenttype: DF.Data
# end: auto-generated types
pass

View File

@@ -7,19 +7,4 @@ from frappe.model.document import Document
class ApplicableOnAccount(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
applicable_on_account: DF.Link
is_mandatory: DF.Check
parent: DF.Data
parentfield: DF.Data
parenttype: DF.Data
# end: auto-generated types
pass

View File

@@ -8,6 +8,9 @@ frappe.ui.form.on('Bank', {
},
refresh: function(frm) {
add_fields_to_mapping_table(frm);
frappe.dynamic_link = { doc: frm.doc, fieldname: 'name', doctype: 'Bank' };
frm.toggle_display(['address_html','contact_html'], !frm.doc.__islocal);
if (frm.doc.__islocal) {
@@ -102,7 +105,7 @@ erpnext.integrations.refreshPlaidLink = class refreshPlaidLink {
}
onScriptLoaded(me) {
me.linkHandler = Plaid.create({ // eslint-disable-line no-undef
me.linkHandler = Plaid.create({
env: me.plaid_env,
token: me.token,
onSuccess: me.plaid_success

View File

@@ -10,25 +10,6 @@ from frappe.model.document import Document
class Bank(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
from erpnext.accounts.doctype.bank_transaction_mapping.bank_transaction_mapping import (
BankTransactionMapping,
)
bank_name: DF.Data
bank_transaction_mapping: DF.Table[BankTransactionMapping]
plaid_access_token: DF.Data | None
swift_number: DF.Data | None
website: DF.Data | None
# end: auto-generated types
def onload(self):
"""Load address and contacts in `__onload`"""
load_address_and_contact(self)

View File

@@ -13,7 +13,6 @@
"account_type",
"account_subtype",
"column_break_7",
"disabled",
"is_default",
"is_company_account",
"company",
@@ -200,16 +199,10 @@
"fieldtype": "Data",
"in_global_search": 1,
"label": "Branch Code"
},
{
"default": "0",
"fieldname": "disabled",
"fieldtype": "Check",
"label": "Disabled"
}
],
"links": [],
"modified": "2023-09-22 21:31:34.763977",
"modified": "2022-05-04 15:49:42.620630",
"modified_by": "Administrator",
"module": "Accounts",
"name": "Bank Account",

View File

@@ -12,33 +12,6 @@ from frappe.model.document import Document
class BankAccount(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
account: DF.Link | None
account_name: DF.Data
account_subtype: DF.Link | None
account_type: DF.Link | None
bank: DF.Link
bank_account_no: DF.Data | None
branch_code: DF.Data | None
company: DF.Link | None
disabled: DF.Check
iban: DF.Data | None
integration_id: DF.Data | None
is_company_account: DF.Check
is_default: DF.Check
last_integration_date: DF.Date | None
mask: DF.Data | None
party: DF.DynamicLink | None
party_type: DF.Link | None
# end: auto-generated types
def onload(self):
"""Load address and contacts in `__onload`"""
load_address_and_contact(self)
@@ -97,6 +70,7 @@ def make_bank_account(doctype, docname):
return doc
@frappe.whitelist()
def get_party_bank_account(party_type, party):
return frappe.db.get_value(party_type, party, "default_bank_account")

View File

@@ -6,15 +6,4 @@ from frappe.model.document import Document
class BankAccountSubtype(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
account_subtype: DF.Data | None
# end: auto-generated types
pass

View File

@@ -7,15 +7,4 @@ from frappe.model.document import Document
class BankAccountType(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
account_type: DF.Data | None
# end: auto-generated types
pass

View File

@@ -5,6 +5,7 @@
import frappe
from frappe import _, msgprint
from frappe.model.document import Document
from frappe.query_builder.custom import ConstantColumn
from frappe.utils import flt, fmt_money, getdate
import erpnext
@@ -13,28 +14,6 @@ form_grid_templates = {"journal_entries": "templates/form_grid/bank_reconciliati
class BankClearance(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
from erpnext.accounts.doctype.bank_clearance_detail.bank_clearance_detail import (
BankClearanceDetail,
)
account: DF.Link
account_currency: DF.Link | None
bank_account: DF.Link | None
from_date: DF.Date
include_pos_transactions: DF.Check
include_reconciled_entries: DF.Check
payment_entries: DF.Table[BankClearanceDetail]
to_date: DF.Date
# end: auto-generated types
@frappe.whitelist()
def get_payment_entries(self):
if not (self.from_date and self.to_date):
@@ -43,24 +22,167 @@ class BankClearance(Document):
if not self.account:
frappe.throw(_("Account is mandatory to get payment entries"))
entries = []
condition = ""
if not self.include_reconciled_entries:
condition = "and (clearance_date IS NULL or clearance_date='0000-00-00')"
# get entries from all the apps
for method_name in frappe.get_hooks("get_payment_entries_for_bank_clearance"):
entries += (
frappe.get_attr(method_name)(
self.from_date,
self.to_date,
self.account,
self.bank_account,
self.include_reconciled_entries,
self.include_pos_transactions,
)
or []
journal_entries = frappe.db.sql(
"""
select
"Journal Entry" as payment_document, t1.name as payment_entry,
t1.cheque_no as cheque_number, t1.cheque_date,
sum(t2.debit_in_account_currency) as debit, sum(t2.credit_in_account_currency) as credit,
t1.posting_date, t2.against_account, t1.clearance_date, t2.account_currency
from
`tabJournal Entry` t1, `tabJournal Entry Account` t2
where
t2.parent = t1.name and t2.account = %(account)s and t1.docstatus=1
and t1.posting_date >= %(from)s and t1.posting_date <= %(to)s
and ifnull(t1.is_opening, 'No') = 'No' {condition}
group by t2.account, t1.name
order by t1.posting_date ASC, t1.name DESC
""".format(
condition=condition
),
{"account": self.account, "from": self.from_date, "to": self.to_date},
as_dict=1,
)
if self.bank_account:
condition += "and bank_account = %(bank_account)s"
payment_entries = frappe.db.sql(
"""
select
"Payment Entry" as payment_document, name as payment_entry,
reference_no as cheque_number, reference_date as cheque_date,
if(paid_from=%(account)s, paid_amount + total_taxes_and_charges, 0) as credit,
if(paid_from=%(account)s, 0, received_amount) as debit,
posting_date, ifnull(party,if(paid_from=%(account)s,paid_to,paid_from)) as against_account, clearance_date,
if(paid_to=%(account)s, paid_to_account_currency, paid_from_account_currency) as account_currency
from `tabPayment Entry`
where
(paid_from=%(account)s or paid_to=%(account)s) and docstatus=1
and posting_date >= %(from)s and posting_date <= %(to)s
{condition}
order by
posting_date ASC, name DESC
""".format(
condition=condition
),
{
"account": self.account,
"from": self.from_date,
"to": self.to_date,
"bank_account": self.bank_account,
},
as_dict=1,
)
loan_disbursement = frappe.qb.DocType("Loan Disbursement")
query = (
frappe.qb.from_(loan_disbursement)
.select(
ConstantColumn("Loan Disbursement").as_("payment_document"),
loan_disbursement.name.as_("payment_entry"),
loan_disbursement.disbursed_amount.as_("credit"),
ConstantColumn(0).as_("debit"),
loan_disbursement.reference_number.as_("cheque_number"),
loan_disbursement.reference_date.as_("cheque_date"),
loan_disbursement.clearance_date.as_("clearance_date"),
loan_disbursement.disbursement_date.as_("posting_date"),
loan_disbursement.applicant.as_("against_account"),
)
.where(loan_disbursement.docstatus == 1)
.where(loan_disbursement.disbursement_date >= self.from_date)
.where(loan_disbursement.disbursement_date <= self.to_date)
.where(loan_disbursement.disbursement_account.isin([self.bank_account, self.account]))
.orderby(loan_disbursement.disbursement_date)
.orderby(loan_disbursement.name, order=frappe.qb.desc)
)
if not self.include_reconciled_entries:
query = query.where(loan_disbursement.clearance_date.isnull())
loan_disbursements = query.run(as_dict=1)
loan_repayment = frappe.qb.DocType("Loan Repayment")
query = (
frappe.qb.from_(loan_repayment)
.select(
ConstantColumn("Loan Repayment").as_("payment_document"),
loan_repayment.name.as_("payment_entry"),
loan_repayment.amount_paid.as_("debit"),
ConstantColumn(0).as_("credit"),
loan_repayment.reference_number.as_("cheque_number"),
loan_repayment.reference_date.as_("cheque_date"),
loan_repayment.clearance_date.as_("clearance_date"),
loan_repayment.applicant.as_("against_account"),
loan_repayment.posting_date,
)
.where(loan_repayment.docstatus == 1)
.where(loan_repayment.posting_date >= self.from_date)
.where(loan_repayment.posting_date <= self.to_date)
.where(loan_repayment.payment_account.isin([self.bank_account, self.account]))
)
if not self.include_reconciled_entries:
query = query.where(loan_repayment.clearance_date.isnull())
if frappe.db.has_column("Loan Repayment", "repay_from_salary"):
query = query.where((loan_repayment.repay_from_salary == 0))
query = query.orderby(loan_repayment.posting_date).orderby(
loan_repayment.name, order=frappe.qb.desc
)
loan_repayments = query.run(as_dict=True)
pos_sales_invoices, pos_purchase_invoices = [], []
if self.include_pos_transactions:
pos_sales_invoices = frappe.db.sql(
"""
select
"Sales Invoice Payment" as payment_document, sip.name as payment_entry, sip.amount as debit,
si.posting_date, si.customer as against_account, sip.clearance_date,
account.account_currency, 0 as credit
from `tabSales Invoice Payment` sip, `tabSales Invoice` si, `tabAccount` account
where
sip.account=%(account)s and si.docstatus=1 and sip.parent = si.name
and account.name = sip.account and si.posting_date >= %(from)s and si.posting_date <= %(to)s
order by
si.posting_date ASC, si.name DESC
""",
{"account": self.account, "from": self.from_date, "to": self.to_date},
as_dict=1,
)
pos_purchase_invoices = frappe.db.sql(
"""
select
"Purchase Invoice" as payment_document, pi.name as payment_entry, pi.paid_amount as credit,
pi.posting_date, pi.supplier as against_account, pi.clearance_date,
account.account_currency, 0 as debit
from `tabPurchase Invoice` pi, `tabAccount` account
where
pi.cash_bank_account=%(account)s and pi.docstatus=1 and account.name = pi.cash_bank_account
and pi.posting_date >= %(from)s and pi.posting_date <= %(to)s
order by
pi.posting_date ASC, pi.name DESC
""",
{"account": self.account, "from": self.from_date, "to": self.to_date},
as_dict=1,
)
entries = sorted(
entries,
list(payment_entries)
+ list(journal_entries)
+ list(pos_sales_invoices)
+ list(pos_purchase_invoices)
+ list(loan_disbursements)
+ list(loan_repayments),
key=lambda k: getdate(k["posting_date"]),
)
@@ -113,111 +235,3 @@ class BankClearance(Document):
msgprint(_("Clearance Date updated"))
else:
msgprint(_("Clearance Date not mentioned"))
def get_payment_entries_for_bank_clearance(
from_date, to_date, account, bank_account, include_reconciled_entries, include_pos_transactions
):
entries = []
condition = ""
if not include_reconciled_entries:
condition = "and (clearance_date IS NULL or clearance_date='0000-00-00')"
journal_entries = frappe.db.sql(
"""
select
"Journal Entry" as payment_document, t1.name as payment_entry,
t1.cheque_no as cheque_number, t1.cheque_date,
sum(t2.debit_in_account_currency) as debit, sum(t2.credit_in_account_currency) as credit,
t1.posting_date, t2.against_account, t1.clearance_date, t2.account_currency
from
`tabJournal Entry` t1, `tabJournal Entry Account` t2
where
t2.parent = t1.name and t2.account = %(account)s and t1.docstatus=1
and t1.posting_date >= %(from)s and t1.posting_date <= %(to)s
and ifnull(t1.is_opening, 'No') = 'No' {condition}
group by t2.account, t1.name
order by t1.posting_date ASC, t1.name DESC
""".format(
condition=condition
),
{"account": account, "from": from_date, "to": to_date},
as_dict=1,
)
if bank_account:
condition += "and bank_account = %(bank_account)s"
payment_entries = frappe.db.sql(
"""
select
"Payment Entry" as payment_document, name as payment_entry,
reference_no as cheque_number, reference_date as cheque_date,
if(paid_from=%(account)s, paid_amount + total_taxes_and_charges, 0) as credit,
if(paid_from=%(account)s, 0, received_amount) as debit,
posting_date, ifnull(party,if(paid_from=%(account)s,paid_to,paid_from)) as against_account, clearance_date,
if(paid_to=%(account)s, paid_to_account_currency, paid_from_account_currency) as account_currency
from `tabPayment Entry`
where
(paid_from=%(account)s or paid_to=%(account)s) and docstatus=1
and posting_date >= %(from)s and posting_date <= %(to)s
{condition}
order by
posting_date ASC, name DESC
""".format(
condition=condition
),
{
"account": account,
"from": from_date,
"to": to_date,
"bank_account": bank_account,
},
as_dict=1,
)
pos_sales_invoices, pos_purchase_invoices = [], []
if include_pos_transactions:
pos_sales_invoices = frappe.db.sql(
"""
select
"Sales Invoice Payment" as payment_document, sip.name as payment_entry, sip.amount as debit,
si.posting_date, si.customer as against_account, sip.clearance_date,
account.account_currency, 0 as credit
from `tabSales Invoice Payment` sip, `tabSales Invoice` si, `tabAccount` account
where
sip.account=%(account)s and si.docstatus=1 and sip.parent = si.name
and account.name = sip.account and si.posting_date >= %(from)s and si.posting_date <= %(to)s
order by
si.posting_date ASC, si.name DESC
""",
{"account": account, "from": from_date, "to": to_date},
as_dict=1,
)
pos_purchase_invoices = frappe.db.sql(
"""
select
"Purchase Invoice" as payment_document, pi.name as payment_entry, pi.paid_amount as credit,
pi.posting_date, pi.supplier as against_account, pi.clearance_date,
account.account_currency, 0 as debit
from `tabPurchase Invoice` pi, `tabAccount` account
where
pi.cash_bank_account=%(account)s and pi.docstatus=1 and account.name = pi.cash_bank_account
and pi.posting_date >= %(from)s and pi.posting_date <= %(to)s
order by
pi.posting_date ASC, pi.name DESC
""",
{"account": account, "from": from_date, "to": to_date},
as_dict=1,
)
entries = (
list(payment_entries)
+ list(journal_entries)
+ list(pos_sales_invoices)
+ list(pos_purchase_invoices)
)
return entries

View File

@@ -8,76 +8,26 @@ from frappe.utils import add_months, getdate
from erpnext.accounts.doctype.payment_entry.test_payment_entry import get_payment_entry
from erpnext.accounts.doctype.purchase_invoice.test_purchase_invoice import make_purchase_invoice
from erpnext.tests.utils import if_lending_app_installed, if_lending_app_not_installed
from erpnext.loan_management.doctype.loan.test_loan import (
create_loan,
create_loan_accounts,
create_loan_type,
create_repayment_entry,
make_loan_disbursement_entry,
)
class TestBankClearance(unittest.TestCase):
@classmethod
def setUpClass(cls):
clear_payment_entries()
clear_loan_transactions()
make_bank_account()
create_loan_accounts()
create_loan_masters()
add_transactions()
# Basic test case to test if bank clearance tool doesn't break
# Detailed test can be added later
@if_lending_app_not_installed
def test_bank_clearance(self):
bank_clearance = frappe.get_doc("Bank Clearance")
bank_clearance.account = "_Test Bank Clearance - _TC"
bank_clearance.from_date = add_months(getdate(), -1)
bank_clearance.to_date = getdate()
bank_clearance.get_payment_entries()
self.assertEqual(len(bank_clearance.payment_entries), 1)
@if_lending_app_installed
def test_bank_clearance_with_loan(self):
from lending.loan_management.doctype.loan.test_loan import (
create_loan,
create_loan_accounts,
create_loan_product,
create_repayment_entry,
make_loan_disbursement_entry,
)
def create_loan_masters():
create_loan_product(
"Clearance Loan",
"Clearance Loan",
2000000,
13.5,
25,
0,
5,
"Cash",
"_Test Bank Clearance - _TC",
"_Test Bank Clearance - _TC",
"Loan Account - _TC",
"Interest Income Account - _TC",
"Penalty Income Account - _TC",
)
def make_loan():
loan = create_loan(
"_Test Customer",
"Clearance Loan",
280000,
"Repay Over Number of Periods",
20,
applicant_type="Customer",
)
loan.submit()
make_loan_disbursement_entry(loan.name, loan.loan_amount, disbursement_date=getdate())
repayment_entry = create_repayment_entry(
loan.name, "_Test Customer", getdate(), loan.loan_amount
)
repayment_entry.save()
repayment_entry.submit()
create_loan_accounts()
create_loan_masters()
make_loan()
bank_clearance = frappe.get_doc("Bank Clearance")
bank_clearance.account = "_Test Bank Clearance - _TC"
bank_clearance.from_date = add_months(getdate(), -1)
@@ -86,19 +36,6 @@ class TestBankClearance(unittest.TestCase):
self.assertEqual(len(bank_clearance.payment_entries), 3)
def clear_payment_entries():
frappe.db.delete("Payment Entry")
@if_lending_app_installed
def clear_loan_transactions():
for dt in [
"Loan Disbursement",
"Loan Repayment",
]:
frappe.db.delete(dt)
def make_bank_account():
if not frappe.db.get_value("Account", "_Test Bank Clearance - _TC"):
frappe.get_doc(
@@ -112,8 +49,42 @@ def make_bank_account():
).insert()
def create_loan_masters():
create_loan_type(
"Clearance Loan",
2000000,
13.5,
25,
0,
5,
"Cash",
"_Test Bank Clearance - _TC",
"_Test Bank Clearance - _TC",
"Loan Account - _TC",
"Interest Income Account - _TC",
"Penalty Income Account - _TC",
)
def add_transactions():
make_payment_entry()
make_loan()
def make_loan():
loan = create_loan(
"_Test Customer",
"Clearance Loan",
280000,
"Repay Over Number of Periods",
20,
applicant_type="Customer",
)
loan.submit()
make_loan_disbursement_entry(loan.name, loan.loan_amount, disbursement_date=getdate())
repayment_entry = create_repayment_entry(loan.name, "_Test Customer", getdate(), loan.loan_amount)
repayment_entry.save()
repayment_entry.submit()
def make_payment_entry():

View File

@@ -6,25 +6,4 @@ from frappe.model.document import Document
class BankClearanceDetail(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
against_account: DF.Data | None
amount: DF.Data | None
cheque_date: DF.Date | None
cheque_number: DF.Data | None
clearance_date: DF.Date | None
parent: DF.Data
parentfield: DF.Data
parenttype: DF.Data
payment_document: DF.Link | None
payment_entry: DF.DynamicLink | None
posting_date: DF.Date | None
# end: auto-generated types
pass

View File

@@ -8,40 +8,6 @@ from frappe.model.document import Document
class BankGuarantee(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
account: DF.Link | None
amended_from: DF.Link | None
amount: DF.Currency
bank: DF.Link | None
bank_account: DF.Link | None
bank_account_no: DF.Data | None
bank_guarantee_number: DF.Data | None
bg_type: DF.Literal["", "Receiving", "Providing"]
branch_code: DF.Data | None
charges: DF.Currency
customer: DF.Link | None
end_date: DF.Date | None
fixed_deposit_number: DF.Data | None
iban: DF.Data | None
margin_money: DF.Currency
more_information: DF.TextEditor | None
name_of_beneficiary: DF.Data | None
project: DF.Link | None
reference_docname: DF.DynamicLink | None
reference_doctype: DF.Link | None
start_date: DF.Date
supplier: DF.Link | None
swift_number: DF.Data | None
validity: DF.Int
# end: auto-generated types
def validate(self):
if not (self.customer or self.supplier):
frappe.throw(_("Select the customer or supplier."))

View File

@@ -19,7 +19,7 @@ frappe.ui.form.on("Bank Reconciliation Tool", {
onload: function (frm) {
// Set default filter dates
let today = frappe.datetime.get_today()
today = frappe.datetime.get_today()
frm.doc.bank_statement_from_date = frappe.datetime.add_months(today, -1);
frm.doc.bank_statement_to_date = today;
frm.trigger('bank_account');
@@ -137,7 +137,7 @@ frappe.ui.form.on("Bank Reconciliation Tool", {
"erpnext.accounts.doctype.bank_reconciliation_tool.bank_reconciliation_tool.get_account_balance",
args: {
bank_account: frm.doc.bank_account,
till_date: frappe.datetime.add_days(frm.doc.bank_statement_from_date, -1)
till_date: frm.doc.bank_statement_from_date,
},
callback: (response) => {
frm.set_value("account_opening_balance", response.message);

View File

@@ -9,39 +9,16 @@ from frappe import _
from frappe.model.document import Document
from frappe.query_builder.custom import ConstantColumn
from frappe.utils import cint, flt
from pypika.terms import Parameter
from erpnext import get_default_cost_center
from erpnext.accounts.doctype.bank_transaction.bank_transaction import get_total_allocated_amount
from erpnext.accounts.report.bank_reconciliation_statement.bank_reconciliation_statement import (
get_amounts_not_reflected_in_system,
get_entries,
)
from erpnext.accounts.utils import get_account_currency, get_balance_on
from erpnext.setup.utils import get_exchange_rate
from erpnext.accounts.utils import get_balance_on
class BankReconciliationTool(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
account_currency: DF.Link | None
account_opening_balance: DF.Currency
bank_account: DF.Link | None
bank_statement_closing_balance: DF.Currency
bank_statement_from_date: DF.Date | None
bank_statement_to_date: DF.Date | None
company: DF.Link | None
filter_by_reference_date: DF.Check
from_reference_date: DF.Date | None
to_reference_date: DF.Date | None
# end: auto-generated types
pass
@@ -151,7 +128,7 @@ def create_journal_entry_bts(
bank_transaction = frappe.db.get_values(
"Bank Transaction",
bank_transaction_name,
fieldname=["name", "deposit", "withdrawal", "bank_account", "currency"],
fieldname=["name", "deposit", "withdrawal", "bank_account"],
as_dict=True,
)[0]
company_account = frappe.get_value("Bank Account", bank_transaction.bank_account, "account")
@@ -163,96 +140,28 @@ def create_journal_entry_bts(
second_account
)
)
company = frappe.get_value("Account", company_account, "company")
company_default_currency = frappe.get_cached_value("Company", company, "default_currency")
company_account_currency = frappe.get_cached_value("Account", company_account, "account_currency")
second_account_currency = frappe.get_cached_value("Account", second_account, "account_currency")
# determine if multi-currency Journal or not
is_multi_currency = (
True
if company_default_currency != company_account_currency
or company_default_currency != second_account_currency
or company_default_currency != bank_transaction.currency
else False
accounts = []
# Multi Currency?
accounts.append(
{
"account": second_account,
"credit_in_account_currency": bank_transaction.deposit,
"debit_in_account_currency": bank_transaction.withdrawal,
"party_type": party_type,
"party": party,
}
)
accounts = []
second_account_dict = {
"account": second_account,
"account_currency": second_account_currency,
"credit_in_account_currency": bank_transaction.deposit,
"debit_in_account_currency": bank_transaction.withdrawal,
"party_type": party_type,
"party": party,
"cost_center": get_default_cost_center(company),
}
accounts.append(
{
"account": company_account,
"bank_account": bank_transaction.bank_account,
"credit_in_account_currency": bank_transaction.withdrawal,
"debit_in_account_currency": bank_transaction.deposit,
}
)
company_account_dict = {
"account": company_account,
"account_currency": company_account_currency,
"bank_account": bank_transaction.bank_account,
"credit_in_account_currency": bank_transaction.withdrawal,
"debit_in_account_currency": bank_transaction.deposit,
"cost_center": get_default_cost_center(company),
}
# convert transaction amount to company currency
if is_multi_currency:
exc_rate = get_exchange_rate(bank_transaction.currency, company_default_currency, posting_date)
withdrawal_in_company_currency = flt(exc_rate * abs(bank_transaction.withdrawal))
deposit_in_company_currency = flt(exc_rate * abs(bank_transaction.deposit))
else:
withdrawal_in_company_currency = bank_transaction.withdrawal
deposit_in_company_currency = bank_transaction.deposit
# if second account is of foreign currency, convert and set debit and credit fields.
if second_account_currency != company_default_currency:
exc_rate = get_exchange_rate(second_account_currency, company_default_currency, posting_date)
second_account_dict.update(
{
"exchange_rate": exc_rate,
"credit": deposit_in_company_currency,
"debit": withdrawal_in_company_currency,
"credit_in_account_currency": flt(deposit_in_company_currency / exc_rate) or 0,
"debit_in_account_currency": flt(withdrawal_in_company_currency / exc_rate) or 0,
}
)
else:
second_account_dict.update(
{
"exchange_rate": 1,
"credit": deposit_in_company_currency,
"debit": withdrawal_in_company_currency,
"credit_in_account_currency": deposit_in_company_currency,
"debit_in_account_currency": withdrawal_in_company_currency,
}
)
# if company account is of foreign currency, convert and set debit and credit fields.
if company_account_currency != company_default_currency:
exc_rate = get_exchange_rate(company_account_currency, company_default_currency, posting_date)
company_account_dict.update(
{
"exchange_rate": exc_rate,
"credit": withdrawal_in_company_currency,
"debit": deposit_in_company_currency,
}
)
else:
company_account_dict.update(
{
"exchange_rate": 1,
"credit": withdrawal_in_company_currency,
"debit": deposit_in_company_currency,
"credit_in_account_currency": withdrawal_in_company_currency,
"debit_in_account_currency": deposit_in_company_currency,
}
)
accounts.append(second_account_dict)
accounts.append(company_account_dict)
company = frappe.get_value("Account", company_account, "company")
journal_entry_dict = {
"voucher_type": entry_type,
@@ -262,9 +171,6 @@ def create_journal_entry_bts(
"cheque_no": reference_number,
"mode_of_payment": mode_of_payment,
}
if is_multi_currency:
journal_entry_dict.update({"multi_currency": True})
journal_entry = frappe.new_doc("Journal Entry")
journal_entry.update(journal_entry_dict)
journal_entry.set("accounts", accounts)
@@ -374,68 +280,68 @@ def auto_reconcile_vouchers(
to_reference_date=None,
):
frappe.flags.auto_reconcile_vouchers = True
reconciled, partially_reconciled = set(), set()
document_types = ["payment_entry", "journal_entry"]
bank_transactions = get_bank_transactions(bank_account)
matched_transaction = []
for transaction in bank_transactions:
linked_payments = get_linked_payments(
transaction.name,
["payment_entry", "journal_entry"],
document_types,
from_date,
to_date,
filter_by_reference_date,
from_reference_date,
to_reference_date,
)
if not linked_payments:
continue
vouchers = list(
map(
lambda entry: {
"payment_doctype": entry.get("doctype"),
"payment_name": entry.get("name"),
"amount": entry.get("paid_amount"),
},
linked_payments,
vouchers = []
for r in linked_payments:
vouchers.append(
{
"payment_doctype": r[1],
"payment_name": r[2],
"amount": r[4],
}
)
)
updated_transaction = reconcile_vouchers(transaction.name, json.dumps(vouchers))
if updated_transaction.status == "Reconciled":
reconciled.add(updated_transaction.name)
elif flt(transaction.unallocated_amount) != flt(updated_transaction.unallocated_amount):
# Partially reconciled (status = Unreconciled & unallocated amount changed)
partially_reconciled.add(updated_transaction.name)
alert_message, indicator = get_auto_reconcile_message(partially_reconciled, reconciled)
frappe.msgprint(title=_("Auto Reconciliation"), msg=alert_message, indicator=indicator)
transaction = frappe.get_doc("Bank Transaction", transaction.name)
account = frappe.db.get_value("Bank Account", transaction.bank_account, "account")
matched_trans = 0
for voucher in vouchers:
gl_entry = frappe.db.get_value(
"GL Entry",
dict(
account=account, voucher_type=voucher["payment_doctype"], voucher_no=voucher["payment_name"]
),
["credit", "debit"],
as_dict=1,
)
gl_amount, transaction_amount = (
(gl_entry.credit, transaction.deposit)
if gl_entry.credit > 0
else (gl_entry.debit, transaction.withdrawal)
)
allocated_amount = gl_amount if gl_amount >= transaction_amount else transaction_amount
transaction.append(
"payment_entries",
{
"payment_document": voucher["payment_doctype"],
"payment_entry": voucher["payment_name"],
"allocated_amount": allocated_amount,
},
)
matched_transaction.append(str(transaction.name))
transaction.save()
transaction.update_allocations()
matched_transaction_len = len(set(matched_transaction))
if matched_transaction_len == 0:
frappe.msgprint(_("No matching references found for auto reconciliation"))
elif matched_transaction_len == 1:
frappe.msgprint(_("{0} transaction is reconcilied").format(matched_transaction_len))
else:
frappe.msgprint(_("{0} transactions are reconcilied").format(matched_transaction_len))
frappe.flags.auto_reconcile_vouchers = False
return reconciled, partially_reconciled
def get_auto_reconcile_message(partially_reconciled, reconciled):
"""Returns alert message and indicator for auto reconciliation depending on result state."""
alert_message, indicator = "", "blue"
if not partially_reconciled and not reconciled:
alert_message = _("No matches occurred via auto reconciliation")
return alert_message, indicator
indicator = "green"
if reconciled:
alert_message += _("{0} Transaction(s) Reconciled").format(len(reconciled))
alert_message += "<br>"
if partially_reconciled:
alert_message += _("{0} {1} Partially Reconciled").format(
len(partially_reconciled),
_("Transactions") if len(partially_reconciled) > 1 else _("Transaction"),
)
return alert_message, indicator
return frappe.get_doc("Bank Transaction", transaction.name)
@frappe.whitelist()
@@ -444,13 +350,7 @@ def reconcile_vouchers(bank_transaction_name, vouchers):
vouchers = json.loads(vouchers)
transaction = frappe.get_doc("Bank Transaction", bank_transaction_name)
transaction.add_payment_entries(vouchers)
transaction.validate_duplicate_references()
transaction.allocate_payment_entries()
transaction.update_allocated_amount()
transaction.set_status()
transaction.save()
return transaction
return frappe.get_doc("Bank Transaction", bank_transaction_name)
@frappe.whitelist()
@@ -487,13 +387,19 @@ def subtract_allocations(gl_account, vouchers):
"Look up & subtract any existing Bank Transaction allocations"
copied = []
for voucher in vouchers:
rows = get_total_allocated_amount(voucher.get("doctype"), voucher.get("name"))
filtered_row = list(filter(lambda row: row.get("gl_account") == gl_account, rows))
rows = get_total_allocated_amount(voucher[1], voucher[2])
amount = None
for row in rows:
if row["gl_account"] == gl_account:
amount = row["total"]
break
if amount := None if not filtered_row else filtered_row[0]["total"]:
voucher["paid_amount"] -= amount
copied.append(voucher)
if amount:
l = list(voucher)
l[3] -= amount
copied.append(tuple(l))
else:
copied.append(voucher)
return copied
@@ -509,7 +415,8 @@ def check_matching(
to_reference_date,
):
exact_match = True if "exact_match" in document_types else False
queries = get_queries(
# combine all types of vouchers
subquery = get_queries(
bank_account,
company,
transaction,
@@ -521,7 +428,6 @@ def check_matching(
to_reference_date,
exact_match,
)
filters = {
"amount": transaction.unallocated_amount,
"payment_type": "Receive" if transaction.deposit > 0.0 else "Pay",
@@ -532,13 +438,20 @@ def check_matching(
}
matching_vouchers = []
for query in queries:
matching_vouchers.extend(frappe.db.sql(query, filters, as_dict=True))
return (
sorted(matching_vouchers, key=lambda x: x["rank"], reverse=True) if matching_vouchers else []
matching_vouchers.extend(
get_loan_vouchers(bank_account, transaction, document_types, filters, exact_match)
)
for query in subquery:
matching_vouchers.extend(
frappe.db.sql(
query,
filters,
)
)
return sorted(matching_vouchers, key=lambda x: x[0], reverse=True) if matching_vouchers else []
def get_queries(
bank_account,
@@ -592,8 +505,6 @@ def get_matching_queries(
to_reference_date,
):
queries = []
currency = get_account_currency(bank_account)
if "payment_entry" in document_types:
query = get_pe_matching_query(
exact_match,
@@ -620,12 +531,12 @@ def get_matching_queries(
queries.append(query)
if transaction.deposit > 0.0 and "sales_invoice" in document_types:
query = get_si_matching_query(exact_match, currency)
query = get_si_matching_query(exact_match)
queries.append(query)
if transaction.withdrawal > 0.0:
if "purchase_invoice" in document_types:
query = get_pi_matching_query(exact_match, currency)
query = get_pi_matching_query(exact_match)
queries.append(query)
if "bank_transaction" in document_types:
@@ -635,52 +546,128 @@ def get_matching_queries(
return queries
def get_loan_vouchers(bank_account, transaction, document_types, filters, exact_match):
vouchers = []
if transaction.withdrawal > 0.0 and "loan_disbursement" in document_types:
vouchers.extend(get_ld_matching_query(bank_account, exact_match, filters))
if transaction.deposit > 0.0 and "loan_repayment" in document_types:
vouchers.extend(get_lr_matching_query(bank_account, exact_match, filters))
return vouchers
def get_bt_matching_query(exact_match, transaction):
# get matching bank transaction query
# find bank transactions in the same bank account with opposite sign
# same bank account must have same company and currency
bt = frappe.qb.DocType("Bank Transaction")
field = "deposit" if transaction.withdrawal > 0.0 else "withdrawal"
amount_equality = getattr(bt, field) == transaction.unallocated_amount
amount_rank = frappe.qb.terms.Case().when(amount_equality, 1).else_(0)
amount_condition = amount_equality if exact_match else getattr(bt, field) > 0.0
ref_rank = (
frappe.qb.terms.Case().when(bt.reference_number == transaction.reference_number, 1).else_(0)
)
unallocated_rank = (
frappe.qb.terms.Case().when(bt.unallocated_amount == transaction.unallocated_amount, 1).else_(0)
)
return f"""
party_condition = (
(bt.party_type == transaction.party_type)
& (bt.party == transaction.party)
& bt.party.isnotnull()
)
party_rank = frappe.qb.terms.Case().when(party_condition, 1).else_(0)
SELECT
(CASE WHEN reference_number = %(reference_no)s THEN 1 ELSE 0 END
+ CASE WHEN {field} = %(amount)s THEN 1 ELSE 0 END
+ CASE WHEN ( party_type = %(party_type)s AND party = %(party)s ) THEN 1 ELSE 0 END
+ CASE WHEN unallocated_amount = %(amount)s THEN 1 ELSE 0 END
+ 1) AS rank,
'Bank Transaction' AS doctype,
name,
unallocated_amount AS paid_amount,
reference_number AS reference_no,
date AS reference_date,
party,
party_type,
date AS posting_date,
currency
FROM
`tabBank Transaction`
WHERE
status != 'Reconciled'
AND name != '{transaction.name}'
AND bank_account = '{transaction.bank_account}'
AND {field} {'= %(amount)s' if exact_match else '> 0.0'}
"""
def get_ld_matching_query(bank_account, exact_match, filters):
loan_disbursement = frappe.qb.DocType("Loan Disbursement")
matching_reference = loan_disbursement.reference_number == filters.get("reference_number")
matching_party = loan_disbursement.applicant_type == filters.get(
"party_type"
) and loan_disbursement.applicant == filters.get("party")
rank = frappe.qb.terms.Case().when(matching_reference, 1).else_(0)
rank1 = frappe.qb.terms.Case().when(matching_party, 1).else_(0)
query = (
frappe.qb.from_(bt)
frappe.qb.from_(loan_disbursement)
.select(
(ref_rank + amount_rank + party_rank + unallocated_rank + 1).as_("rank"),
ConstantColumn("Bank Transaction").as_("doctype"),
bt.name,
bt.unallocated_amount.as_("paid_amount"),
bt.reference_number.as_("reference_no"),
bt.date.as_("reference_date"),
bt.party,
bt.party_type,
bt.date.as_("posting_date"),
bt.currency,
rank + rank1 + 1,
ConstantColumn("Loan Disbursement").as_("doctype"),
loan_disbursement.name,
loan_disbursement.disbursed_amount,
loan_disbursement.reference_number,
loan_disbursement.reference_date,
loan_disbursement.applicant_type,
loan_disbursement.disbursement_date,
)
.where(bt.status != "Reconciled")
.where(bt.name != transaction.name)
.where(bt.bank_account == transaction.bank_account)
.where(amount_condition)
.where(bt.docstatus == 1)
.where(loan_disbursement.docstatus == 1)
.where(loan_disbursement.clearance_date.isnull())
.where(loan_disbursement.disbursement_account == bank_account)
)
return str(query)
if exact_match:
query.where(loan_disbursement.disbursed_amount == filters.get("amount"))
else:
query.where(loan_disbursement.disbursed_amount > 0.0)
vouchers = query.run(as_list=True)
return vouchers
def get_lr_matching_query(bank_account, exact_match, filters):
loan_repayment = frappe.qb.DocType("Loan Repayment")
matching_reference = loan_repayment.reference_number == filters.get("reference_number")
matching_party = loan_repayment.applicant_type == filters.get(
"party_type"
) and loan_repayment.applicant == filters.get("party")
rank = frappe.qb.terms.Case().when(matching_reference, 1).else_(0)
rank1 = frappe.qb.terms.Case().when(matching_party, 1).else_(0)
query = (
frappe.qb.from_(loan_repayment)
.select(
rank + rank1 + 1,
ConstantColumn("Loan Repayment").as_("doctype"),
loan_repayment.name,
loan_repayment.amount_paid,
loan_repayment.reference_number,
loan_repayment.reference_date,
loan_repayment.applicant_type,
loan_repayment.posting_date,
)
.where(loan_repayment.docstatus == 1)
.where(loan_repayment.clearance_date.isnull())
.where(loan_repayment.payment_account == bank_account)
)
if frappe.db.has_column("Loan Repayment", "repay_from_salary"):
query = query.where((loan_repayment.repay_from_salary == 0))
if exact_match:
query.where(loan_repayment.amount_paid == filters.get("amount"))
else:
query.where(loan_repayment.amount_paid > 0.0)
vouchers = query.run()
return vouchers
def get_pe_matching_query(
@@ -694,56 +681,45 @@ def get_pe_matching_query(
to_reference_date,
):
# get matching payment entries query
to_from = "to" if transaction.deposit > 0.0 else "from"
currency_field = f"paid_{to_from}_account_currency"
payment_type = "Receive" if transaction.deposit > 0.0 else "Pay"
pe = frappe.qb.DocType("Payment Entry")
ref_condition = pe.reference_no == transaction.reference_number
ref_rank = frappe.qb.terms.Case().when(ref_condition, 1).else_(0)
amount_equality = pe.paid_amount == transaction.unallocated_amount
amount_rank = frappe.qb.terms.Case().when(amount_equality, 1).else_(0)
amount_condition = amount_equality if exact_match else pe.paid_amount > 0.0
party_condition = (
(pe.party_type == transaction.party_type)
& (pe.party == transaction.party)
& pe.party.isnotnull()
)
party_rank = frappe.qb.terms.Case().when(party_condition, 1).else_(0)
filter_by_date = pe.posting_date.between(from_date, to_date)
if transaction.deposit > 0.0:
currency_field = "paid_to_account_currency as currency"
else:
currency_field = "paid_from_account_currency as currency"
filter_by_date = f"AND posting_date between '{from_date}' and '{to_date}'"
order_by = " posting_date"
filter_by_reference_no = ""
if cint(filter_by_reference_date):
filter_by_date = pe.reference_date.between(from_reference_date, to_reference_date)
query = (
frappe.qb.from_(pe)
.select(
(ref_rank + amount_rank + party_rank + 1).as_("rank"),
ConstantColumn("Payment Entry").as_("doctype"),
pe.name,
pe.paid_amount,
pe.reference_no,
pe.reference_date,
pe.party,
pe.party_type,
pe.posting_date,
getattr(pe, currency_field).as_("currency"),
)
.where(pe.docstatus == 1)
.where(pe.payment_type.isin([payment_type, "Internal Transfer"]))
.where(pe.clearance_date.isnull())
.where(getattr(pe, account_from_to) == Parameter("%(bank_account)s"))
.where(amount_condition)
.where(filter_by_date)
.orderby(pe.reference_date if cint(filter_by_reference_date) else pe.posting_date)
)
filter_by_date = f"AND reference_date between '{from_reference_date}' and '{to_reference_date}'"
order_by = " reference_date"
if frappe.flags.auto_reconcile_vouchers == True:
query = query.where(ref_condition)
return str(query)
filter_by_reference_no = f"AND reference_no = '{transaction.reference_number}'"
return f"""
SELECT
(CASE WHEN reference_no=%(reference_no)s THEN 1 ELSE 0 END
+ CASE WHEN (party_type = %(party_type)s AND party = %(party)s ) THEN 1 ELSE 0 END
+ CASE WHEN paid_amount = %(amount)s THEN 1 ELSE 0 END
+ 1 ) AS rank,
'Payment Entry' as doctype,
name,
paid_amount,
reference_no,
reference_date,
party,
party_type,
posting_date,
{currency_field}
FROM
`tabPayment Entry`
WHERE
docstatus = 1
AND payment_type IN (%(payment_type)s, 'Internal Transfer')
AND ifnull(clearance_date, '') = ""
AND {account_from_to} = %(bank_account)s
AND paid_amount {'= %(amount)s' if exact_match else '> 0.0'}
{filter_by_date}
{filter_by_reference_no}
order by{order_by}
"""
def get_je_matching_query(
@@ -760,121 +736,100 @@ def get_je_matching_query(
# So one bank could have both types of bank accounts like asset and liability
# So cr_or_dr should be judged only on basis of withdrawal and deposit and not account type
cr_or_dr = "credit" if transaction.withdrawal > 0.0 else "debit"
je = frappe.qb.DocType("Journal Entry")
jea = frappe.qb.DocType("Journal Entry Account")
ref_condition = je.cheque_no == transaction.reference_number
ref_rank = frappe.qb.terms.Case().when(ref_condition, 1).else_(0)
amount_field = f"{cr_or_dr}_in_account_currency"
amount_equality = getattr(jea, amount_field) == transaction.unallocated_amount
amount_rank = frappe.qb.terms.Case().when(amount_equality, 1).else_(0)
filter_by_date = je.posting_date.between(from_date, to_date)
filter_by_date = f"AND je.posting_date between '{from_date}' and '{to_date}'"
order_by = " je.posting_date"
filter_by_reference_no = ""
if cint(filter_by_reference_date):
filter_by_date = je.cheque_date.between(from_reference_date, to_reference_date)
query = (
frappe.qb.from_(jea)
.join(je)
.on(jea.parent == je.name)
.select(
(ref_rank + amount_rank + 1).as_("rank"),
ConstantColumn("Journal Entry").as_("doctype"),
filter_by_date = f"AND je.cheque_date between '{from_reference_date}' and '{to_reference_date}'"
order_by = " je.cheque_date"
if frappe.flags.auto_reconcile_vouchers == True:
filter_by_reference_no = f"AND je.cheque_no = '{transaction.reference_number}'"
return f"""
SELECT
(CASE WHEN je.cheque_no=%(reference_no)s THEN 1 ELSE 0 END
+ CASE WHEN jea.{cr_or_dr}_in_account_currency = %(amount)s THEN 1 ELSE 0 END
+ 1) AS rank ,
'Journal Entry' AS doctype,
je.name,
getattr(jea, amount_field).as_("paid_amount"),
je.cheque_no.as_("reference_no"),
je.cheque_date.as_("reference_date"),
je.pay_to_recd_from.as_("party"),
jea.{cr_or_dr}_in_account_currency AS paid_amount,
je.cheque_no AS reference_no,
je.cheque_date AS reference_date,
je.pay_to_recd_from AS party,
jea.party_type,
je.posting_date,
jea.account_currency.as_("currency"),
)
.where(je.docstatus == 1)
.where(je.voucher_type != "Opening Entry")
.where(je.clearance_date.isnull())
.where(jea.account == Parameter("%(bank_account)s"))
.where(amount_equality if exact_match else getattr(jea, amount_field) > 0.0)
.where(je.docstatus == 1)
.where(filter_by_date)
.orderby(je.cheque_date if cint(filter_by_reference_date) else je.posting_date)
)
if frappe.flags.auto_reconcile_vouchers == True:
query = query.where(ref_condition)
return str(query)
jea.account_currency AS currency
FROM
`tabJournal Entry Account` AS jea
JOIN
`tabJournal Entry` AS je
ON
jea.parent = je.name
WHERE
je.docstatus = 1
AND je.voucher_type NOT IN ('Opening Entry')
AND (je.clearance_date IS NULL OR je.clearance_date='0000-00-00')
AND jea.account = %(bank_account)s
AND jea.{cr_or_dr}_in_account_currency {'= %(amount)s' if exact_match else '> 0.0'}
AND je.docstatus = 1
{filter_by_date}
{filter_by_reference_no}
order by {order_by}
"""
def get_si_matching_query(exact_match, currency):
def get_si_matching_query(exact_match):
# get matching sales invoice query
si = frappe.qb.DocType("Sales Invoice")
sip = frappe.qb.DocType("Sales Invoice Payment")
amount_equality = sip.amount == Parameter("%(amount)s")
amount_rank = frappe.qb.terms.Case().when(amount_equality, 1).else_(0)
amount_condition = amount_equality if exact_match else sip.amount > 0.0
party_condition = si.customer == Parameter("%(party)s")
party_rank = frappe.qb.terms.Case().when(party_condition, 1).else_(0)
query = (
frappe.qb.from_(sip)
.join(si)
.on(sip.parent == si.name)
.select(
(party_rank + amount_rank + 1).as_("rank"),
ConstantColumn("Sales Invoice").as_("doctype"),
return f"""
SELECT
( CASE WHEN si.customer = %(party)s THEN 1 ELSE 0 END
+ CASE WHEN sip.amount = %(amount)s THEN 1 ELSE 0 END
+ 1 ) AS rank,
'Sales Invoice' as doctype,
si.name,
sip.amount.as_("paid_amount"),
ConstantColumn("").as_("reference_no"),
ConstantColumn("").as_("reference_date"),
si.customer.as_("party"),
ConstantColumn("Customer").as_("party_type"),
sip.amount as paid_amount,
'' as reference_no,
'' as reference_date,
si.customer as party,
'Customer' as party_type,
si.posting_date,
si.currency,
)
.where(si.docstatus == 1)
.where(sip.clearance_date.isnull())
.where(sip.account == Parameter("%(bank_account)s"))
.where(amount_condition)
.where(si.currency == currency)
)
si.currency
return str(query)
FROM
`tabSales Invoice Payment` as sip
JOIN
`tabSales Invoice` as si
ON
sip.parent = si.name
WHERE
si.docstatus = 1
AND (sip.clearance_date is null or sip.clearance_date='0000-00-00')
AND sip.account = %(bank_account)s
AND sip.amount {'= %(amount)s' if exact_match else '> 0.0'}
"""
def get_pi_matching_query(exact_match, currency):
def get_pi_matching_query(exact_match):
# get matching purchase invoice query when they are also used as payment entries (is_paid)
purchase_invoice = frappe.qb.DocType("Purchase Invoice")
amount_equality = purchase_invoice.paid_amount == Parameter("%(amount)s")
amount_rank = frappe.qb.terms.Case().when(amount_equality, 1).else_(0)
amount_condition = amount_equality if exact_match else purchase_invoice.paid_amount > 0.0
party_condition = purchase_invoice.supplier == Parameter("%(party)s")
party_rank = frappe.qb.terms.Case().when(party_condition, 1).else_(0)
query = (
frappe.qb.from_(purchase_invoice)
.select(
(party_rank + amount_rank + 1).as_("rank"),
ConstantColumn("Purchase Invoice").as_("doctype"),
purchase_invoice.name,
purchase_invoice.paid_amount,
ConstantColumn("").as_("reference_no"),
ConstantColumn("").as_("reference_date"),
purchase_invoice.supplier.as_("party"),
ConstantColumn("Supplier").as_("party_type"),
purchase_invoice.posting_date,
purchase_invoice.currency,
)
.where(purchase_invoice.docstatus == 1)
.where(purchase_invoice.is_paid == 1)
.where(purchase_invoice.clearance_date.isnull())
.where(purchase_invoice.cash_bank_account == Parameter("%(bank_account)s"))
.where(amount_condition)
.where(purchase_invoice.currency == currency)
)
return str(query)
return f"""
SELECT
( CASE WHEN supplier = %(party)s THEN 1 ELSE 0 END
+ CASE WHEN paid_amount = %(amount)s THEN 1 ELSE 0 END
+ 1 ) AS rank,
'Purchase Invoice' as doctype,
name,
paid_amount,
'' as reference_no,
'' as reference_date,
supplier as party,
'Supplier' as party_type,
posting_date,
currency
FROM
`tabPurchase Invoice`
WHERE
docstatus = 1
AND is_paid = 1
AND ifnull(clearance_date, '') = ""
AND cash_bank_account = %(bank_account)s
AND paid_amount {'= %(amount)s' if exact_match else '> 0.0'}
"""

View File

@@ -1,100 +1,9 @@
# Copyright (c) 2020, Frappe Technologies Pvt. Ltd. and Contributors
# See license.txt
# import frappe
import unittest
import frappe
from frappe import qb
from frappe.tests.utils import FrappeTestCase, change_settings
from frappe.utils import add_days, flt, getdate, today
from erpnext.accounts.doctype.bank_reconciliation_tool.bank_reconciliation_tool import (
auto_reconcile_vouchers,
get_bank_transactions,
)
from erpnext.accounts.doctype.payment_entry.test_payment_entry import create_payment_entry
from erpnext.accounts.test.accounts_mixin import AccountsTestMixin
class TestBankReconciliationTool(AccountsTestMixin, FrappeTestCase):
def setUp(self):
self.create_company()
self.create_customer()
self.clear_old_entries()
bank_dt = qb.DocType("Bank")
q = qb.from_(bank_dt).delete().where(bank_dt.name == "HDFC").run()
self.create_bank_account()
def tearDown(self):
frappe.db.rollback()
def create_bank_account(self):
bank = frappe.get_doc(
{
"doctype": "Bank",
"bank_name": "HDFC",
}
).save()
self.bank_account = (
frappe.get_doc(
{
"doctype": "Bank Account",
"account_name": "HDFC _current_",
"bank": bank,
"is_company_account": True,
"account": self.bank, # account from Chart of Accounts
}
)
.insert()
.name
)
def test_auto_reconcile(self):
# make payment
from_date = add_days(today(), -1)
to_date = today()
payment = create_payment_entry(
company=self.company,
posting_date=from_date,
payment_type="Receive",
party_type="Customer",
party=self.customer,
paid_from=self.debit_to,
paid_to=self.bank,
paid_amount=100,
).save()
payment.reference_no = "123"
payment = payment.save().submit()
# make bank transaction
bank_transaction = (
frappe.get_doc(
{
"doctype": "Bank Transaction",
"date": to_date,
"deposit": 100,
"bank_account": self.bank_account,
"reference_number": "123",
}
)
.save()
.submit()
)
# assert API output pre reconciliation
transactions = get_bank_transactions(self.bank_account, from_date, to_date)
self.assertEqual(len(transactions), 1)
self.assertEqual(transactions[0].name, bank_transaction.name)
# auto reconcile
auto_reconcile_vouchers(
bank_account=self.bank_account,
from_date=from_date,
to_date=to_date,
filter_by_reference_date=False,
)
# assert API output post reconciliation
transactions = get_bank_transactions(self.bank_account, from_date, to_date)
self.assertEqual(len(transactions), 0)
class TestBankReconciliationTool(unittest.TestCase):
pass

View File

@@ -2,16 +2,6 @@
// For license information, please see license.txt
frappe.ui.form.on("Bank Statement Import", {
onload(frm) {
frm.set_query("bank_account", function (doc) {
return {
filters: {
company: doc.company,
},
};
});
},
setup(frm) {
frappe.realtime.on("data_import_refresh", ({ data_import }) => {
frm.import_in_progress = false;
@@ -362,11 +352,10 @@ frappe.ui.form.on("Bank Statement Import", {
export_errored_rows(frm) {
open_url_post(
"/api/method/erpnext.accounts.doctype.bank_statement_import.bank_statement_import.download_errored_template",
"/api/method/frappe.core.doctype.data_import.data_import.download_errored_template",
{
data_import_name: frm.doc.name,
},
true
}
);
},

View File

@@ -20,30 +20,6 @@ INVALID_VALUES = ("", None)
class BankStatementImport(DataImport):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
bank: DF.Link | None
bank_account: DF.Link
company: DF.Link
google_sheets_url: DF.Data | None
import_file: DF.Attach | None
import_type: DF.Literal["", "Insert New Records", "Update Existing Records"]
mute_emails: DF.Check
reference_doctype: DF.Link
show_failed_logs: DF.Check
statement_import_log: DF.Code | None
status: DF.Literal["Pending", "Success", "Partial Success", "Error"]
submit_after_import: DF.Check
template_options: DF.Code | None
template_warnings: DF.Code | None
# end: auto-generated types
def __init__(self, *args, **kwargs):
super(BankStatementImport, self).__init__(*args, **kwargs)

View File

@@ -1,183 +0,0 @@
from typing import Tuple, Union
import frappe
from frappe.utils import flt
from rapidfuzz import fuzz, process
class AutoMatchParty:
"""
Matches by Account/IBAN and then by Party Name/Description sequentially.
Returns when a result is obtained.
Result (if present) is of the form: (Party Type, Party,)
"""
def __init__(self, **kwargs) -> None:
self.__dict__.update(kwargs)
def get(self, key):
return self.__dict__.get(key, None)
def match(self) -> Union[Tuple, None]:
result = None
result = AutoMatchbyAccountIBAN(
bank_party_account_number=self.bank_party_account_number,
bank_party_iban=self.bank_party_iban,
deposit=self.deposit,
).match()
fuzzy_matching_enabled = frappe.db.get_single_value("Accounts Settings", "enable_fuzzy_matching")
if not result and fuzzy_matching_enabled:
result = AutoMatchbyPartyNameDescription(
bank_party_name=self.bank_party_name, description=self.description, deposit=self.deposit
).match()
return result
class AutoMatchbyAccountIBAN:
def __init__(self, **kwargs) -> None:
self.__dict__.update(kwargs)
def get(self, key):
return self.__dict__.get(key, None)
def match(self):
if not (self.bank_party_account_number or self.bank_party_iban):
return None
result = self.match_account_in_party()
return result
def match_account_in_party(self) -> Union[Tuple, None]:
"""Check if there is a IBAN/Account No. match in Customer/Supplier/Employee"""
result = None
parties = get_parties_in_order(self.deposit)
or_filters = self.get_or_filters()
for party in parties:
party_result = frappe.db.get_all(
"Bank Account", or_filters=or_filters, pluck="party", limit_page_length=1
)
if party == "Employee" and not party_result:
# Search in Bank Accounts first for Employee, and then Employee record
if "bank_account_no" in or_filters:
or_filters["bank_ac_no"] = or_filters.pop("bank_account_no")
party_result = frappe.db.get_all(
party, or_filters=or_filters, pluck="name", limit_page_length=1
)
if party_result:
result = (
party,
party_result[0],
)
break
return result
def get_or_filters(self) -> dict:
or_filters = {}
if self.bank_party_account_number:
or_filters["bank_account_no"] = self.bank_party_account_number
if self.bank_party_iban:
or_filters["iban"] = self.bank_party_iban
return or_filters
class AutoMatchbyPartyNameDescription:
def __init__(self, **kwargs) -> None:
self.__dict__.update(kwargs)
def get(self, key):
return self.__dict__.get(key, None)
def match(self) -> Union[Tuple, None]:
# fuzzy search by customer/supplier & employee
if not (self.bank_party_name or self.description):
return None
result = self.match_party_name_desc_in_party()
return result
def match_party_name_desc_in_party(self) -> Union[Tuple, None]:
"""Fuzzy search party name and/or description against parties in the system"""
result = None
parties = get_parties_in_order(self.deposit)
for party in parties:
filters = {"status": "Active"} if party == "Employee" else {"disabled": 0}
field = party.lower() + "_name"
names = frappe.get_all(party, filters=filters, fields=[f"{field} as party_name", "name"])
for field in ["bank_party_name", "description"]:
if not self.get(field):
continue
result, skip = self.fuzzy_search_and_return_result(party, names, field)
if result or skip:
break
if result or skip:
# Skip If: It was hard to distinguish between close matches and so match is None
# OR if the right match was found
break
return result
def fuzzy_search_and_return_result(self, party, names, field) -> Union[Tuple, None]:
skip = False
result = process.extract(
query=self.get(field),
choices={row.get("name"): row.get("party_name") for row in names},
scorer=fuzz.token_set_ratio,
)
party_name, skip = self.process_fuzzy_result(result)
if not party_name:
return None, skip
return (
party,
party_name,
), skip
def process_fuzzy_result(self, result: Union[list, None]):
"""
If there are multiple valid close matches return None as result may be faulty.
Return the result only if one accurate match stands out.
Returns: Result, Skip (whether or not to discontinue matching)
"""
SCORE, PARTY_ID, CUTOFF = 1, 2, 80
if not result or not len(result):
return None, False
first_result = result[0]
if len(result) == 1:
return (first_result[PARTY_ID] if first_result[SCORE] > CUTOFF else None), True
second_result = result[1]
if first_result[SCORE] > CUTOFF:
# If multiple matches with the same score, return None but discontinue matching
# Matches were found but were too close to distinguish between
if first_result[SCORE] == second_result[SCORE]:
return None, True
return first_result[PARTY_ID], True
else:
return None, False
def get_parties_in_order(deposit: float) -> list:
parties = ["Supplier", "Employee", "Customer"] # most -> least likely to receive
if flt(deposit) > 0:
parties = ["Customer", "Supplier", "Employee"] # most -> least likely to pay
return parties

View File

@@ -13,11 +13,10 @@ frappe.ui.form.on("Bank Transaction", {
});
},
refresh(frm) {
if (!frm.is_dirty() && frm.doc.payment_entries.length > 0) {
frm.add_custom_button(__("Unreconcile Transaction"), () => {
frm.call("remove_payment_entries").then(() => frm.refresh());
});
}
frm.add_custom_button(__('Unreconcile Transaction'), () => {
frm.call('remove_payment_entries')
.then( () => frm.refresh() );
});
},
bank_account: function (frm) {
set_bank_statement_filter(frm);

View File

@@ -13,7 +13,6 @@
"status",
"bank_account",
"company",
"amended_from",
"section_break_4",
"deposit",
"withdrawal",
@@ -26,19 +25,15 @@
"transaction_id",
"transaction_type",
"section_break_14",
"column_break_oufv",
"payment_entries",
"section_break_18",
"allocated_amount",
"amended_from",
"column_break_17",
"unallocated_amount",
"party_section",
"party_type",
"party",
"column_break_3czf",
"bank_party_name",
"bank_party_account_number",
"bank_party_iban"
"party"
],
"fields": [
{
@@ -68,7 +63,7 @@
"fieldtype": "Select",
"in_standard_filter": 1,
"label": "Status",
"options": "\nPending\nSettled\nUnreconciled\nReconciled\nCancelled"
"options": "\nPending\nSettled\nUnreconciled\nReconciled"
},
{
"fieldname": "bank_account",
@@ -139,12 +134,10 @@
"fieldtype": "Section Break"
},
{
"allow_on_submit": 1,
"fieldname": "allocated_amount",
"fieldtype": "Currency",
"label": "Allocated Amount",
"options": "currency",
"read_only": 1
"options": "currency"
},
{
"fieldname": "amended_from",
@@ -160,12 +153,10 @@
"fieldtype": "Column Break"
},
{
"allow_on_submit": 1,
"fieldname": "unallocated_amount",
"fieldtype": "Currency",
"label": "Unallocated Amount",
"options": "currency",
"read_only": 1
"options": "currency"
},
{
"fieldname": "party_section",
@@ -211,34 +202,11 @@
"fieldtype": "Data",
"label": "Transaction Type",
"length": 50
},
{
"fieldname": "column_break_3czf",
"fieldtype": "Column Break"
},
{
"fieldname": "bank_party_name",
"fieldtype": "Data",
"label": "Party Name/Account Holder (Bank Statement)"
},
{
"fieldname": "bank_party_iban",
"fieldtype": "Data",
"label": "Party IBAN (Bank Statement)"
},
{
"fieldname": "bank_party_account_number",
"fieldtype": "Data",
"label": "Party Account No. (Bank Statement)"
},
{
"fieldname": "column_break_oufv",
"fieldtype": "Column Break"
}
],
"is_submittable": 1,
"links": [],
"modified": "2023-11-18 18:32:47.203694",
"modified": "2022-05-29 18:36:50.475964",
"modified_by": "Administrator",
"module": "Accounts",
"name": "Bank Transaction",
@@ -292,4 +260,4 @@
"states": [],
"title_field": "bank_account",
"track_changes": 1
}
}

View File

@@ -2,117 +2,75 @@
# For license information, please see license.txt
import frappe
from frappe import _
from frappe.model.document import Document
from frappe.utils import flt
from erpnext.controllers.status_updater import StatusUpdater
class BankTransaction(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
class BankTransaction(StatusUpdater):
def after_insert(self):
self.unallocated_amount = abs(flt(self.withdrawal) - flt(self.deposit))
if TYPE_CHECKING:
from frappe.types import DF
from erpnext.accounts.doctype.bank_transaction_payments.bank_transaction_payments import (
BankTransactionPayments,
)
allocated_amount: DF.Currency
amended_from: DF.Link | None
bank_account: DF.Link | None
bank_party_account_number: DF.Data | None
bank_party_iban: DF.Data | None
bank_party_name: DF.Data | None
company: DF.Link | None
currency: DF.Link | None
date: DF.Date | None
deposit: DF.Currency
description: DF.SmallText | None
naming_series: DF.Literal["ACC-BTN-.YYYY.-"]
party: DF.DynamicLink | None
party_type: DF.Link | None
payment_entries: DF.Table[BankTransactionPayments]
reference_number: DF.Data | None
status: DF.Literal["", "Pending", "Settled", "Unreconciled", "Reconciled", "Cancelled"]
transaction_id: DF.Data | None
transaction_type: DF.Data | None
unallocated_amount: DF.Currency
withdrawal: DF.Currency
# end: auto-generated types
def before_validate(self):
self.update_allocated_amount()
def validate(self):
self.validate_duplicate_references()
def set_status(self):
if self.docstatus == 2:
self.db_set("status", "Cancelled")
elif self.docstatus == 1:
if self.unallocated_amount > 0:
self.db_set("status", "Unreconciled")
elif self.unallocated_amount <= 0:
self.db_set("status", "Reconciled")
def validate_duplicate_references(self):
"""Make sure the same voucher is not allocated twice within the same Bank Transaction"""
if not self.payment_entries:
return
pe = []
for row in self.payment_entries:
reference = (row.payment_document, row.payment_entry)
if reference in pe:
frappe.throw(
_("{0} {1} is allocated twice in this Bank Transaction").format(
row.payment_document, row.payment_entry
)
)
pe.append(reference)
def update_allocated_amount(self):
self.allocated_amount = (
sum(p.allocated_amount for p in self.payment_entries) if self.payment_entries else 0.0
)
self.unallocated_amount = abs(flt(self.withdrawal) - flt(self.deposit)) - self.allocated_amount
def before_submit(self):
self.allocate_payment_entries()
def on_submit(self):
self.clear_linked_payment_entries()
self.set_status()
if frappe.db.get_single_value("Accounts Settings", "enable_party_matching"):
self.auto_set_party()
_saving_flag = False
def before_update_after_submit(self):
self.validate_duplicate_references()
self.allocate_payment_entries()
self.update_allocated_amount()
self.set_status()
# nosemgrep: frappe-semgrep-rules.rules.frappe-modifying-but-not-comitting
def on_update_after_submit(self):
"Run on save(). Avoid recursion caused by multiple saves"
if not self._saving_flag:
self._saving_flag = True
self.clear_linked_payment_entries()
self.update_allocations()
self._saving_flag = False
def on_cancel(self):
for payment_entry in self.payment_entries:
self.clear_linked_payment_entry(payment_entry, for_cancel=True)
self.clear_linked_payment_entries(for_cancel=True)
self.set_status(update=True)
self.set_status()
def update_allocations(self):
"The doctype does not allow modifications after submission, so write to the db direct"
if self.payment_entries:
allocated_amount = sum(p.allocated_amount for p in self.payment_entries)
else:
allocated_amount = 0.0
amount = abs(flt(self.withdrawal) - flt(self.deposit))
self.db_set("allocated_amount", flt(allocated_amount))
self.db_set("unallocated_amount", amount - flt(allocated_amount))
self.reload()
self.set_status(update=True)
def add_payment_entries(self, vouchers):
"Add the vouchers with zero allocation. Save() will perform the allocations and clearance"
if 0.0 >= self.unallocated_amount:
frappe.throw(_("Bank Transaction {0} is already fully reconciled").format(self.name))
frappe.throw(frappe._("Bank Transaction {0} is already fully reconciled").format(self.name))
added = False
for voucher in vouchers:
self.append(
"payment_entries",
{
# Can't add same voucher twice
found = False
for pe in self.payment_entries:
if (
pe.payment_document == voucher["payment_doctype"]
and pe.payment_entry == voucher["payment_name"]
):
found = True
if not found:
pe = {
"payment_document": voucher["payment_doctype"],
"payment_entry": voucher["payment_name"],
"allocated_amount": 0.0, # Temporary
},
)
}
child = self.append("payment_entries", pe)
added = True
# runs on_update_after_submit
if added:
self.save()
def allocate_payment_entries(self):
"""Refactored from bank reconciliation tool.
@@ -128,8 +86,8 @@ class BankTransaction(Document):
- 0 > a: Error: already over-allocated
- clear means: set the latest transaction date as clearance date
"""
gl_bank_account = frappe.db.get_value("Bank Account", self.bank_account, "account")
remaining_amount = self.unallocated_amount
to_remove = []
for payment_entry in self.payment_entries:
if payment_entry.allocated_amount == 0.0:
unallocated_amount, should_clear, latest_transaction = get_clearance_details(
@@ -139,64 +97,55 @@ class BankTransaction(Document):
if 0.0 == unallocated_amount:
if should_clear:
latest_transaction.clear_linked_payment_entry(payment_entry)
to_remove.append(payment_entry)
self.db_delete_payment_entry(payment_entry)
elif remaining_amount <= 0.0:
to_remove.append(payment_entry)
self.db_delete_payment_entry(payment_entry)
elif 0.0 < unallocated_amount <= remaining_amount:
payment_entry.allocated_amount = unallocated_amount
elif 0.0 < unallocated_amount and unallocated_amount <= remaining_amount:
payment_entry.db_set("allocated_amount", unallocated_amount)
remaining_amount -= unallocated_amount
if should_clear:
latest_transaction.clear_linked_payment_entry(payment_entry)
elif 0.0 < unallocated_amount:
payment_entry.allocated_amount = remaining_amount
elif 0.0 < unallocated_amount and unallocated_amount > remaining_amount:
payment_entry.db_set("allocated_amount", remaining_amount)
remaining_amount = 0.0
elif 0.0 > unallocated_amount:
frappe.throw(_("Voucher {0} is over-allocated by {1}").format(unallocated_amount))
self.db_delete_payment_entry(payment_entry)
frappe.throw(frappe._("Voucher {0} is over-allocated by {1}").format(unallocated_amount))
for payment_entry in to_remove:
self.remove(to_remove)
self.reload()
def db_delete_payment_entry(self, payment_entry):
frappe.db.delete("Bank Transaction Payments", {"name": payment_entry.name})
@frappe.whitelist()
def remove_payment_entries(self):
for payment_entry in self.payment_entries:
self.remove_payment_entry(payment_entry)
self.save() # runs before_update_after_submit
# runs on_update_after_submit
self.save()
def remove_payment_entry(self, payment_entry):
"Clear payment entry and clearance"
self.clear_linked_payment_entry(payment_entry, for_cancel=True)
self.remove(payment_entry)
def clear_linked_payment_entries(self, for_cancel=False):
if for_cancel:
for payment_entry in self.payment_entries:
self.clear_linked_payment_entry(payment_entry, for_cancel)
else:
self.allocate_payment_entries()
def clear_linked_payment_entry(self, payment_entry, for_cancel=False):
clearance_date = None if for_cancel else self.date
set_voucher_clearance(
payment_entry.payment_document, payment_entry.payment_entry, clearance_date, self
)
def auto_set_party(self):
from erpnext.accounts.doctype.bank_transaction.auto_match_party import AutoMatchParty
if self.party_type and self.party:
return
result = AutoMatchParty(
bank_party_account_number=self.bank_party_account_number,
bank_party_iban=self.bank_party_iban,
bank_party_name=self.bank_party_name,
description=self.description,
deposit=self.deposit,
).match()
if not result:
return
self.party_type, self.party = result
@frappe.whitelist()
def get_doctypes_for_bank_reconciliation():
@@ -227,7 +176,9 @@ def get_clearance_details(transaction, payment_entry):
if gle["gl_account"] == gl_bank_account:
if gle["amount"] <= 0.0:
frappe.throw(
_("Voucher {0} value is broken: {1}").format(payment_entry.payment_entry, gle["amount"])
frappe._("Voucher {0} value is broken: {1}").format(
payment_entry.payment_entry, gle["amount"]
)
)
unmatched_gles -= 1
@@ -248,7 +199,7 @@ def get_clearance_details(transaction, payment_entry):
def get_related_bank_gl_entries(doctype, docname):
# nosemgrep: frappe-semgrep-rules.rules.frappe-using-db-sql
return frappe.db.sql(
result = frappe.db.sql(
"""
SELECT
ABS(gle.credit_in_account_currency - gle.debit_in_account_currency) AS amount,
@@ -266,6 +217,7 @@ def get_related_bank_gl_entries(doctype, docname):
dict(doctype=doctype, docname=docname),
as_dict=True,
)
return result
def get_total_allocated_amount(doctype, docname):
@@ -368,32 +320,36 @@ def get_paid_amount(payment_entry, currency, gl_bank_account):
def set_voucher_clearance(doctype, docname, clearance_date, self):
if doctype in get_doctypes_for_bank_reconciliation():
if doctype in [
"Payment Entry",
"Journal Entry",
"Purchase Invoice",
"Expense Claim",
"Loan Repayment",
"Loan Disbursement",
]:
if (
doctype == "Payment Entry"
and frappe.db.get_value("Payment Entry", docname, "payment_type") == "Internal Transfer"
and len(get_reconciled_bank_transactions(doctype, docname)) < 2
):
return
if doctype == "Sales Invoice":
frappe.db.set_value(
"Sales Invoice Payment",
dict(parenttype=doctype, parent=docname),
"clearance_date",
clearance_date,
)
return
frappe.db.set_value(doctype, docname, "clearance_date", clearance_date)
elif doctype == "Sales Invoice":
frappe.db.set_value(
"Sales Invoice Payment",
dict(parenttype=doctype, parent=docname),
"clearance_date",
clearance_date,
)
elif doctype == "Bank Transaction":
# For when a second bank transaction has fixed another, e.g. refund
bt = frappe.get_doc(doctype, docname)
if clearance_date:
vouchers = [{"payment_doctype": "Bank Transaction", "payment_name": self.name}]
bt.add_payment_entries(vouchers)
bt.save()
else:
for pe in bt.payment_entries:
if pe.payment_document == self.doctype and pe.payment_entry == self.name:

View File

@@ -1,151 +0,0 @@
# Copyright (c) 2023, Frappe Technologies Pvt. Ltd. and Contributors
# License: GNU General Public License v3. See license.txt
import frappe
from frappe.tests.utils import FrappeTestCase
from frappe.utils import nowdate
from erpnext.accounts.doctype.bank_transaction.test_bank_transaction import create_bank_account
class TestAutoMatchParty(FrappeTestCase):
@classmethod
def setUpClass(cls):
create_bank_account()
frappe.db.set_single_value("Accounts Settings", "enable_party_matching", 1)
frappe.db.set_single_value("Accounts Settings", "enable_fuzzy_matching", 1)
return super().setUpClass()
@classmethod
def tearDownClass(cls):
frappe.db.set_single_value("Accounts Settings", "enable_party_matching", 0)
frappe.db.set_single_value("Accounts Settings", "enable_fuzzy_matching", 0)
def test_match_by_account_number(self):
create_supplier_for_match(account_no="000000003716541159")
doc = create_bank_transaction(
withdrawal=1200,
transaction_id="562213b0ca1bf838dab8f2c6a39bbc3b",
account_no="000000003716541159",
iban="DE02000000003716541159",
)
self.assertEqual(doc.party_type, "Supplier")
self.assertEqual(doc.party, "John Doe & Co.")
def test_match_by_iban(self):
create_supplier_for_match(iban="DE02000000003716541159")
doc = create_bank_transaction(
withdrawal=1200,
transaction_id="c5455a224602afaa51592a9d9250600d",
account_no="000000003716541159",
iban="DE02000000003716541159",
)
self.assertEqual(doc.party_type, "Supplier")
self.assertEqual(doc.party, "John Doe & Co.")
def test_match_by_party_name(self):
create_supplier_for_match(supplier_name="Jackson Ella W.")
doc = create_bank_transaction(
withdrawal=1200,
transaction_id="1f6f661f347ff7b1ea588665f473adb1",
party_name="Ella Jackson",
iban="DE04000000003716545346",
)
self.assertEqual(doc.party_type, "Supplier")
self.assertEqual(doc.party, "Jackson Ella W.")
def test_match_by_description(self):
create_supplier_for_match(supplier_name="Microsoft")
doc = create_bank_transaction(
description="Auftraggeber: microsoft payments Buchungstext: msft ..e3006b5hdy. ref. j375979555927627/5536",
withdrawal=1200,
transaction_id="8df880a2d09c3bed3fea358ca5168c5a",
party_name="",
)
self.assertEqual(doc.party_type, "Supplier")
self.assertEqual(doc.party, "Microsoft")
def test_skip_match_if_multiple_close_results(self):
create_supplier_for_match(supplier_name="Adithya Medical & General Stores")
create_supplier_for_match(supplier_name="Adithya Medical And General Stores")
doc = create_bank_transaction(
description="Paracetamol Consignment, SINV-0009",
withdrawal=24.85,
transaction_id="3a1da4ee2dc5a980138d56ef3460cbd9",
party_name="Adithya Medical & General",
)
# Mapping is skipped as both Supplier names have the same match score
self.assertEqual(doc.party_type, None)
self.assertEqual(doc.party, None)
def create_supplier_for_match(supplier_name="John Doe & Co.", iban=None, account_no=None):
if frappe.db.exists("Supplier", {"supplier_name": supplier_name}):
# Update related Bank Account details
if not (iban or account_no):
return
frappe.db.set_value(
dt="Bank Account",
dn={"party": supplier_name},
field={"iban": iban, "bank_account_no": account_no},
)
return
# Create Supplier and Bank Account for the same
supplier = frappe.new_doc("Supplier")
supplier.supplier_name = supplier_name
supplier.supplier_group = "Services"
supplier.supplier_type = "Company"
supplier.insert()
if not frappe.db.exists("Bank", "TestBank"):
bank = frappe.new_doc("Bank")
bank.bank_name = "TestBank"
bank.insert(ignore_if_duplicate=True)
if not frappe.db.exists("Bank Account", supplier.name + " - " + "TestBank"):
bank_account = frappe.new_doc("Bank Account")
bank_account.account_name = supplier.name
bank_account.bank = "TestBank"
bank_account.iban = iban
bank_account.bank_account_no = account_no
bank_account.party_type = "Supplier"
bank_account.party = supplier.name
bank_account.insert()
def create_bank_transaction(
description=None,
withdrawal=0,
deposit=0,
transaction_id=None,
party_name=None,
account_no=None,
iban=None,
):
doc = frappe.new_doc("Bank Transaction")
doc.update(
{
"doctype": "Bank Transaction",
"description": description or "1512567 BG/000002918 OPSKATTUZWXXX AT776000000098709837 Herr G",
"date": nowdate(),
"withdrawal": withdrawal,
"deposit": deposit,
"currency": "INR",
"bank_account": "Checking Account - Citi Bank",
"transaction_id": transaction_id,
"bank_party_name": party_name,
"bank_party_account_number": account_no,
"bank_party_iban": iban,
}
)
doc.insert()
doc.submit()
doc.reload()
return doc

View File

@@ -16,7 +16,6 @@ from erpnext.accounts.doctype.payment_entry.test_payment_entry import get_paymen
from erpnext.accounts.doctype.pos_profile.test_pos_profile import make_pos_profile
from erpnext.accounts.doctype.purchase_invoice.test_purchase_invoice import make_purchase_invoice
from erpnext.accounts.doctype.sales_invoice.test_sales_invoice import create_sales_invoice
from erpnext.tests.utils import if_lending_app_installed
test_dependencies = ["Item", "Cost Center"]
@@ -24,13 +23,14 @@ test_dependencies = ["Item", "Cost Center"]
class TestBankTransaction(FrappeTestCase):
def setUp(self):
for dt in [
"Loan Repayment",
"Bank Transaction",
"Payment Entry",
"Payment Entry Reference",
"POS Profile",
]:
frappe.db.delete(dt)
clear_loan_transactions()
make_pos_profile()
add_transactions()
add_vouchers()
@@ -47,7 +47,7 @@ class TestBankTransaction(FrappeTestCase):
from_date=bank_transaction.date,
to_date=utils.today(),
)
self.assertTrue(linked_payments[0]["party"] == "Conrad Electronic")
self.assertTrue(linked_payments[0][6] == "Conrad Electronic")
# This test validates a simple reconciliation leading to the clearance of the bank transaction and the payment
def test_reconcile(self):
@@ -93,7 +93,7 @@ class TestBankTransaction(FrappeTestCase):
from_date=bank_transaction.date,
to_date=utils.today(),
)
self.assertTrue(linked_payments[0]["paid_amount"])
self.assertTrue(linked_payments[0][3])
# Check error if already reconciled
def test_already_reconciled(self):
@@ -160,9 +160,8 @@ class TestBankTransaction(FrappeTestCase):
is not None
)
@if_lending_app_installed
def test_matching_loan_repayment(self):
from lending.loan_management.doctype.loan.test_loan import create_loan_accounts
from erpnext.loan_management.doctype.loan.test_loan import create_loan_accounts
create_loan_accounts()
bank_account = frappe.get_doc(
@@ -188,12 +187,7 @@ class TestBankTransaction(FrappeTestCase):
repayment_entry = create_loan_and_repayment()
linked_payments = get_linked_payments(bank_transaction.name, ["loan_repayment", "exact_match"])
self.assertEqual(linked_payments[0]["name"], repayment_entry.name)
@if_lending_app_installed
def clear_loan_transactions():
frappe.db.delete("Loan Repayment")
self.assertEqual(linked_payments[0][2], repayment_entry.name)
def create_bank_account(bank_name="Citi Bank", account_name="_Test Bank - _TC"):
@@ -406,22 +400,19 @@ def add_vouchers():
si.submit()
@if_lending_app_installed
def create_loan_and_repayment():
from lending.loan_management.doctype.loan.test_loan import (
from erpnext.loan_management.doctype.loan.test_loan import (
create_loan,
create_loan_product,
create_loan_type,
create_repayment_entry,
make_loan_disbursement_entry,
)
from lending.loan_management.doctype.process_loan_interest_accrual.process_loan_interest_accrual import (
from erpnext.loan_management.doctype.process_loan_interest_accrual.process_loan_interest_accrual import (
process_loan_interest_accrual_for_term_loans,
)
from erpnext.setup.doctype.employee.test_employee import make_employee
create_loan_product(
"Personal Loan",
create_loan_type(
"Personal Loan",
500000,
8.4,
@@ -442,7 +433,7 @@ def create_loan_and_repayment():
"applicant_type": "Employee",
"company": "_Test Company",
"applicant": applicant,
"loan_product": "Personal Loan",
"loan_type": "Personal Loan",
"loan_amount": 5000,
"repayment_method": "Repay Fixed Amount per Period",
"monthly_repayment_amount": 500,

View File

@@ -6,19 +6,4 @@ from frappe.model.document import Document
class BankTransactionMapping(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
bank_transaction_field: DF.Literal
file_field: DF.Data
parent: DF.Data
parentfield: DF.Data
parenttype: DF.Data
# end: auto-generated types
pass

View File

@@ -6,21 +6,4 @@ from frappe.model.document import Document
class BankTransactionPayments(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
allocated_amount: DF.Currency
clearance_date: DF.Date | None
parent: DF.Data
parentfield: DF.Data
parenttype: DF.Data
payment_document: DF.Link
payment_entry: DF.DynamicLink
# end: auto-generated types
pass

View File

@@ -1,100 +0,0 @@
// Copyright (c) 2023, Frappe Technologies Pvt. Ltd. and contributors
// For license information, please see license.txt
frappe.ui.form.on("Bisect Accounting Statements", {
onload(frm) {
frm.trigger("render_heatmap");
},
refresh(frm) {
frm.add_custom_button(__('Bisect Left'), () => {
frm.trigger("bisect_left");
});
frm.add_custom_button(__('Bisect Right'), () => {
frm.trigger("bisect_right");
});
frm.add_custom_button(__('Up'), () => {
frm.trigger("move_up");
});
frm.add_custom_button(__('Build Tree'), () => {
frm.trigger("build_tree");
});
},
render_heatmap(frm) {
let bisect_heatmap = frm.get_field("bisect_heatmap").$wrapper;
bisect_heatmap.addClass("bisect_heatmap_location");
// milliseconds in a day
let msiad=24*60*60*1000;
let datapoints = {};
let fr_dt = new Date(frm.doc.from_date).getTime();
let to_dt = new Date(frm.doc.to_date).getTime();
let bisect_start = new Date(frm.doc.current_from_date).getTime();
let bisect_end = new Date(frm.doc.current_to_date).getTime();
for(let x=fr_dt; x <= to_dt; x+=msiad){
let epoch_in_seconds = x/1000;
if ((bisect_start <= x) && (x <= bisect_end )) {
datapoints[epoch_in_seconds] = 1.0;
} else {
datapoints[epoch_in_seconds] = 0.0;
}
}
new frappe.Chart(".bisect_heatmap_location", {
type: "heatmap",
data: {
dataPoints: datapoints,
start: new Date(frm.doc.from_date),
end: new Date(frm.doc.to_date),
},
countLabel: 'Bisecting',
discreteDomains: 1,
});
},
bisect_left(frm) {
frm.call({
doc: frm.doc,
method: 'bisect_left',
freeze: true,
freeze_message: __("Bisecting Left ..."),
callback: (r) => {
frm.trigger("render_heatmap");
}
});
},
bisect_right(frm) {
frm.call({
doc: frm.doc,
freeze: true,
freeze_message: __("Bisecting Right ..."),
method: 'bisect_right',
callback: (r) => {
frm.trigger("render_heatmap");
}
});
},
move_up(frm) {
frm.call({
doc: frm.doc,
freeze: true,
freeze_message: __("Moving up in tree ..."),
method: 'move_up',
callback: (r) => {
frm.trigger("render_heatmap");
}
});
},
build_tree(frm) {
frm.call({
doc: frm.doc,
freeze: true,
freeze_message: __("Rebuilding BTree for period ..."),
method: 'build_tree',
callback: (r) => {
frm.trigger("render_heatmap");
}
});
},
});

View File

@@ -1,194 +0,0 @@
{
"actions": [],
"allow_rename": 1,
"creation": "2023-09-15 21:28:28.054773",
"default_view": "List",
"doctype": "DocType",
"editable_grid": 1,
"engine": "InnoDB",
"field_order": [
"section_break_cvfg",
"company",
"column_break_hcam",
"from_date",
"column_break_qxbi",
"to_date",
"column_break_iwny",
"algorithm",
"section_break_8ph9",
"current_node",
"section_break_ngid",
"bisect_heatmap",
"section_break_hmsy",
"bisecting_from",
"current_from_date",
"column_break_uqyd",
"bisecting_to",
"current_to_date",
"section_break_hbyo",
"heading_cppb",
"p_l_summary",
"column_break_aivo",
"balance_sheet_summary",
"b_s_summary",
"column_break_gvwx",
"difference_heading",
"difference"
],
"fields": [
{
"fieldname": "column_break_qxbi",
"fieldtype": "Column Break"
},
{
"fieldname": "from_date",
"fieldtype": "Datetime",
"label": "From Date"
},
{
"fieldname": "to_date",
"fieldtype": "Datetime",
"label": "To Date"
},
{
"default": "BFS",
"fieldname": "algorithm",
"fieldtype": "Select",
"label": "Algorithm",
"options": "BFS\nDFS"
},
{
"fieldname": "column_break_iwny",
"fieldtype": "Column Break"
},
{
"fieldname": "current_node",
"fieldtype": "Link",
"label": "Current Node",
"options": "Bisect Nodes"
},
{
"fieldname": "section_break_hmsy",
"fieldtype": "Section Break"
},
{
"fieldname": "current_from_date",
"fieldtype": "Datetime",
"read_only": 1
},
{
"fieldname": "current_to_date",
"fieldtype": "Datetime",
"read_only": 1
},
{
"fieldname": "column_break_uqyd",
"fieldtype": "Column Break"
},
{
"fieldname": "section_break_hbyo",
"fieldtype": "Section Break"
},
{
"fieldname": "p_l_summary",
"fieldtype": "Float",
"read_only": 1
},
{
"fieldname": "b_s_summary",
"fieldtype": "Float",
"read_only": 1
},
{
"fieldname": "difference",
"fieldtype": "Float",
"read_only": 1
},
{
"fieldname": "column_break_aivo",
"fieldtype": "Column Break"
},
{
"fieldname": "column_break_gvwx",
"fieldtype": "Column Break"
},
{
"fieldname": "company",
"fieldtype": "Link",
"label": "Company",
"options": "Company"
},
{
"fieldname": "column_break_hcam",
"fieldtype": "Column Break"
},
{
"fieldname": "section_break_ngid",
"fieldtype": "Section Break"
},
{
"fieldname": "section_break_8ph9",
"fieldtype": "Section Break",
"hidden": 1
},
{
"fieldname": "bisect_heatmap",
"fieldtype": "HTML",
"label": "Heatmap"
},
{
"fieldname": "heading_cppb",
"fieldtype": "Heading",
"label": "Profit and Loss Summary"
},
{
"fieldname": "balance_sheet_summary",
"fieldtype": "Heading",
"label": "Balance Sheet Summary"
},
{
"fieldname": "difference_heading",
"fieldtype": "Heading",
"label": "Difference"
},
{
"fieldname": "bisecting_from",
"fieldtype": "Heading",
"label": "Bisecting From"
},
{
"fieldname": "bisecting_to",
"fieldtype": "Heading",
"label": "Bisecting To"
},
{
"fieldname": "section_break_cvfg",
"fieldtype": "Section Break"
}
],
"hide_toolbar": 1,
"index_web_pages_for_search": 1,
"issingle": 1,
"links": [],
"modified": "2023-12-01 16:49:54.073890",
"modified_by": "Administrator",
"module": "Accounts",
"name": "Bisect Accounting Statements",
"owner": "Administrator",
"permissions": [
{
"create": 1,
"delete": 1,
"email": 1,
"print": 1,
"read": 1,
"role": "Administrator",
"share": 1,
"write": 1
}
],
"read_only": 1,
"sort_field": "modified",
"sort_order": "DESC",
"states": []
}

View File

@@ -1,226 +0,0 @@
# Copyright (c) 2023, Frappe Technologies Pvt. Ltd. and contributors
# For license information, please see license.txt
import datetime
from collections import deque
from math import floor
import frappe
from dateutil.relativedelta import relativedelta
from frappe import _
from frappe.model.document import Document
from frappe.utils import getdate
from frappe.utils.data import guess_date_format
class BisectAccountingStatements(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
algorithm: DF.Literal["BFS", "DFS"]
b_s_summary: DF.Float
company: DF.Link | None
current_from_date: DF.Datetime | None
current_node: DF.Link | None
current_to_date: DF.Datetime | None
difference: DF.Float
from_date: DF.Datetime | None
p_l_summary: DF.Float
to_date: DF.Datetime | None
# end: auto-generated types
def validate(self):
self.validate_dates()
def validate_dates(self):
if getdate(self.from_date) > getdate(self.to_date):
frappe.throw(
_("From Date: {0} cannot be greater than To date: {1}").format(
frappe.bold(self.from_date), frappe.bold(self.to_date)
)
)
def bfs(self, from_date: datetime, to_date: datetime):
# Make Root node
node = frappe.new_doc("Bisect Nodes")
node.root = None
node.period_from_date = from_date
node.period_to_date = to_date
node.insert()
period_queue = deque([node])
while period_queue:
cur_node = period_queue.popleft()
delta = cur_node.period_to_date - cur_node.period_from_date
if delta.days == 0:
continue
else:
cur_floor = floor(delta.days / 2)
next_to_date = cur_node.period_from_date + relativedelta(days=+cur_floor)
left_node = frappe.new_doc("Bisect Nodes")
left_node.period_from_date = cur_node.period_from_date
left_node.period_to_date = next_to_date
left_node.root = cur_node.name
left_node.generated = False
left_node.insert()
cur_node.left_child = left_node.name
period_queue.append(left_node)
next_from_date = cur_node.period_from_date + relativedelta(days=+(cur_floor + 1))
right_node = frappe.new_doc("Bisect Nodes")
right_node.period_from_date = next_from_date
right_node.period_to_date = cur_node.period_to_date
right_node.root = cur_node.name
right_node.generated = False
right_node.insert()
cur_node.right_child = right_node.name
period_queue.append(right_node)
cur_node.save()
def dfs(self, from_date: datetime, to_date: datetime):
# Make Root node
node = frappe.new_doc("Bisect Nodes")
node.root = None
node.period_from_date = from_date
node.period_to_date = to_date
node.insert()
period_stack = [node]
while period_stack:
cur_node = period_stack.pop()
delta = cur_node.period_to_date - cur_node.period_from_date
if delta.days == 0:
continue
else:
cur_floor = floor(delta.days / 2)
next_to_date = cur_node.period_from_date + relativedelta(days=+cur_floor)
left_node = frappe.new_doc("Bisect Nodes")
left_node.period_from_date = cur_node.period_from_date
left_node.period_to_date = next_to_date
left_node.root = cur_node.name
left_node.generated = False
left_node.insert()
cur_node.left_child = left_node.name
period_stack.append(left_node)
next_from_date = cur_node.period_from_date + relativedelta(days=+(cur_floor + 1))
right_node = frappe.new_doc("Bisect Nodes")
right_node.period_from_date = next_from_date
right_node.period_to_date = cur_node.period_to_date
right_node.root = cur_node.name
right_node.generated = False
right_node.insert()
cur_node.right_child = right_node.name
period_stack.append(right_node)
cur_node.save()
@frappe.whitelist()
def build_tree(self):
frappe.db.delete("Bisect Nodes")
# Convert str to datetime format
dt_format = guess_date_format(self.from_date)
from_date = datetime.datetime.strptime(self.from_date, dt_format)
to_date = datetime.datetime.strptime(self.to_date, dt_format)
if self.algorithm == "BFS":
self.bfs(from_date, to_date)
if self.algorithm == "DFS":
self.dfs(from_date, to_date)
# set root as current node
root = frappe.db.get_all("Bisect Nodes", filters={"root": ["is", "not set"]})[0]
self.get_report_summary()
self.current_node = root.name
self.current_from_date = self.from_date
self.current_to_date = self.to_date
self.save()
def get_report_summary(self):
filters = {
"company": self.company,
"filter_based_on": "Date Range",
"period_start_date": self.current_from_date,
"period_end_date": self.current_to_date,
"periodicity": "Yearly",
}
pl_summary = frappe.get_doc("Report", "Profit and Loss Statement")
self.p_l_summary = pl_summary.execute_script_report(filters=filters)[5]
bs_summary = frappe.get_doc("Report", "Balance Sheet")
self.b_s_summary = bs_summary.execute_script_report(filters=filters)[5]
self.difference = abs(self.p_l_summary - self.b_s_summary)
def update_node(self):
current_node = frappe.get_doc("Bisect Nodes", self.current_node)
current_node.balance_sheet_summary = self.b_s_summary
current_node.profit_loss_summary = self.p_l_summary
current_node.difference = self.difference
current_node.generated = True
current_node.save()
def current_node_has_summary_info(self):
"Assertion method"
return frappe.db.get_value("Bisect Nodes", self.current_node, "generated")
def fetch_summary_info_from_current_node(self):
current_node = frappe.get_doc("Bisect Nodes", self.current_node)
self.p_l_summary = current_node.balance_sheet_summary
self.b_s_summary = current_node.profit_loss_summary
self.difference = abs(self.p_l_summary - self.b_s_summary)
def fetch_or_calculate(self):
if self.current_node_has_summary_info():
self.fetch_summary_info_from_current_node()
else:
self.get_report_summary()
self.update_node()
@frappe.whitelist()
def bisect_left(self):
if self.current_node is not None:
cur_node = frappe.get_doc("Bisect Nodes", self.current_node)
if cur_node.left_child is not None:
lft_node = frappe.get_doc("Bisect Nodes", cur_node.left_child)
self.current_node = cur_node.left_child
self.current_from_date = lft_node.period_from_date
self.current_to_date = lft_node.period_to_date
self.fetch_or_calculate()
self.save()
else:
frappe.msgprint(_("No more children on Left"))
@frappe.whitelist()
def bisect_right(self):
if self.current_node is not None:
cur_node = frappe.get_doc("Bisect Nodes", self.current_node)
if cur_node.right_child is not None:
rgt_node = frappe.get_doc("Bisect Nodes", cur_node.right_child)
self.current_node = cur_node.right_child
self.current_from_date = rgt_node.period_from_date
self.current_to_date = rgt_node.period_to_date
self.fetch_or_calculate()
self.save()
else:
frappe.msgprint(_("No more children on Right"))
@frappe.whitelist()
def move_up(self):
if self.current_node is not None:
cur_node = frappe.get_doc("Bisect Nodes", self.current_node)
if cur_node.root is not None:
root = frappe.get_doc("Bisect Nodes", cur_node.root)
self.current_node = cur_node.root
self.current_from_date = root.period_from_date
self.current_to_date = root.period_to_date
self.fetch_or_calculate()
self.save()
else:
frappe.msgprint(_("Reached Root"))

View File

@@ -1,9 +0,0 @@
# Copyright (c) 2023, Frappe Technologies Pvt. Ltd. and Contributors
# See license.txt
# import frappe
from frappe.tests.utils import FrappeTestCase
class TestBisectAccountingStatements(FrappeTestCase):
pass

View File

@@ -1,8 +0,0 @@
// Copyright (c) 2023, Frappe Technologies Pvt. Ltd. and contributors
// For license information, please see license.txt
// frappe.ui.form.on("Bisect Nodes", {
// refresh(frm) {
// },
// });

View File

@@ -1,97 +0,0 @@
{
"actions": [],
"autoname": "autoincrement",
"creation": "2023-09-27 14:56:38.112462",
"default_view": "List",
"doctype": "DocType",
"editable_grid": 1,
"engine": "InnoDB",
"field_order": [
"root",
"left_child",
"right_child",
"period_from_date",
"period_to_date",
"difference",
"balance_sheet_summary",
"profit_loss_summary",
"generated"
],
"fields": [
{
"fieldname": "root",
"fieldtype": "Link",
"label": "Root",
"options": "Bisect Nodes"
},
{
"fieldname": "left_child",
"fieldtype": "Link",
"label": "Left Child",
"options": "Bisect Nodes"
},
{
"fieldname": "right_child",
"fieldtype": "Link",
"label": "Right Child",
"options": "Bisect Nodes"
},
{
"fieldname": "period_from_date",
"fieldtype": "Datetime",
"label": "Period_from_date"
},
{
"fieldname": "period_to_date",
"fieldtype": "Datetime",
"label": "Period To Date"
},
{
"fieldname": "difference",
"fieldtype": "Float",
"label": "Difference"
},
{
"fieldname": "balance_sheet_summary",
"fieldtype": "Float",
"label": "Balance Sheet Summary"
},
{
"fieldname": "profit_loss_summary",
"fieldtype": "Float",
"label": "Profit and Loss Summary"
},
{
"default": "0",
"fieldname": "generated",
"fieldtype": "Check",
"label": "Generated"
}
],
"index_web_pages_for_search": 1,
"links": [],
"modified": "2023-12-01 17:46:12.437996",
"modified_by": "Administrator",
"module": "Accounts",
"name": "Bisect Nodes",
"naming_rule": "Autoincrement",
"owner": "Administrator",
"permissions": [
{
"create": 1,
"delete": 1,
"email": 1,
"export": 1,
"print": 1,
"read": 1,
"report": 1,
"role": "Administrator",
"share": 1,
"write": 1
}
],
"read_only": 1,
"sort_field": "modified",
"sort_order": "DESC",
"states": []
}

View File

@@ -1,29 +0,0 @@
# Copyright (c) 2023, Frappe Technologies Pvt. Ltd. and contributors
# For license information, please see license.txt
# import frappe
from frappe.model.document import Document
class BisectNodes(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
balance_sheet_summary: DF.Float
difference: DF.Float
generated: DF.Check
left_child: DF.Link | None
name: DF.Int | None
period_from_date: DF.Datetime | None
period_to_date: DF.Datetime | None
profit_loss_summary: DF.Float
right_child: DF.Link | None
root: DF.Link | None
# end: auto-generated types
pass

View File

@@ -1,9 +0,0 @@
# Copyright (c) 2023, Frappe Technologies Pvt. Ltd. and Contributors
# See license.txt
# import frappe
from frappe.tests.utils import FrappeTestCase
class TestBisectNodes(FrappeTestCase):
pass

View File

@@ -22,36 +22,6 @@ class DuplicateBudgetError(frappe.ValidationError):
class Budget(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
from erpnext.accounts.doctype.budget_account.budget_account import BudgetAccount
accounts: DF.Table[BudgetAccount]
action_if_accumulated_monthly_budget_exceeded: DF.Literal["", "Stop", "Warn", "Ignore"]
action_if_accumulated_monthly_budget_exceeded_on_mr: DF.Literal["", "Stop", "Warn", "Ignore"]
action_if_accumulated_monthly_budget_exceeded_on_po: DF.Literal["", "Stop", "Warn", "Ignore"]
action_if_annual_budget_exceeded: DF.Literal["", "Stop", "Warn", "Ignore"]
action_if_annual_budget_exceeded_on_mr: DF.Literal["", "Stop", "Warn", "Ignore"]
action_if_annual_budget_exceeded_on_po: DF.Literal["", "Stop", "Warn", "Ignore"]
amended_from: DF.Link | None
applicable_on_booking_actual_expenses: DF.Check
applicable_on_material_request: DF.Check
applicable_on_purchase_order: DF.Check
budget_against: DF.Literal["", "Cost Center", "Project"]
company: DF.Link
cost_center: DF.Link | None
fiscal_year: DF.Link
monthly_distribution: DF.Link | None
naming_series: DF.Data | None
project: DF.Link | None
# end: auto-generated types
def validate(self):
if not self.get(frappe.scrub(self.budget_against)):
frappe.throw(_("{0} is mandatory").format(self.budget_against))

View File

@@ -6,19 +6,4 @@ from frappe.model.document import Document
class BudgetAccount(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
account: DF.Link
budget_amount: DF.Currency
parent: DF.Data
parentfield: DF.Data
parenttype: DF.Data
# end: auto-generated types
pass

View File

@@ -6,18 +6,4 @@ from frappe.model.document import Document
class CampaignItem(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
campaign: DF.Link | None
parent: DF.Data
parentfield: DF.Data
parenttype: DF.Data
# end: auto-generated types
pass

View File

@@ -1,152 +1,457 @@
{
"actions": [],
"allow_copy": 0,
"allow_events_in_timeline": 0,
"allow_guest_to_view": 0,
"allow_import": 0,
"allow_rename": 0,
"autoname": "naming_series:",
"beta": 0,
"creation": "2018-06-18 16:51:49.994750",
"custom": 0,
"docstatus": 0,
"doctype": "DocType",
"document_type": "",
"editable_grid": 1,
"engine": "InnoDB",
"field_order": [
"naming_series",
"user",
"date",
"from_time",
"time",
"expense",
"custody",
"returns",
"outstanding_amount",
"payments",
"net_amount",
"amended_from"
],
"fields": [
{
"allow_bulk_edit": 0,
"allow_in_quick_entry": 0,
"allow_on_submit": 0,
"bold": 0,
"collapsible": 0,
"columns": 0,
"default": "POS-CLO-",
"fieldname": "naming_series",
"fieldtype": "Select",
"hidden": 0,
"ignore_user_permissions": 0,
"ignore_xss_filter": 0,
"in_filter": 1,
"in_global_search": 1,
"in_list_view": 0,
"in_standard_filter": 1,
"label": "Series",
"length": 0,
"no_copy": 0,
"options": "POS-CLO-",
"read_only": 1
"permlevel": 0,
"precision": "",
"print_hide": 0,
"print_hide_if_no_value": 0,
"read_only": 1,
"remember_last_selected_value": 0,
"report_hide": 0,
"reqd": 0,
"search_index": 0,
"set_only_once": 0,
"translatable": 0,
"unique": 0
},
{
"allow_bulk_edit": 0,
"allow_in_quick_entry": 0,
"allow_on_submit": 0,
"bold": 0,
"collapsible": 0,
"columns": 0,
"fieldname": "user",
"fieldtype": "Link",
"hidden": 0,
"ignore_user_permissions": 0,
"ignore_xss_filter": 0,
"in_filter": 1,
"in_global_search": 0,
"in_list_view": 1,
"in_standard_filter": 1,
"label": "User",
"length": 0,
"no_copy": 0,
"options": "User",
"permlevel": 0,
"precision": "",
"print_hide": 0,
"print_hide_if_no_value": 0,
"read_only": 1,
"reqd": 1
"remember_last_selected_value": 0,
"report_hide": 0,
"reqd": 1,
"search_index": 0,
"set_only_once": 0,
"translatable": 0,
"unique": 0
},
{
"allow_bulk_edit": 0,
"allow_in_quick_entry": 0,
"allow_on_submit": 0,
"bold": 0,
"collapsible": 0,
"columns": 0,
"default": "Today",
"fieldname": "date",
"fieldtype": "Date",
"hidden": 0,
"ignore_user_permissions": 0,
"ignore_xss_filter": 0,
"in_filter": 1,
"in_global_search": 0,
"in_list_view": 0,
"in_standard_filter": 1,
"label": "Date",
"read_only": 1
"length": 0,
"no_copy": 0,
"permlevel": 0,
"precision": "",
"print_hide": 0,
"print_hide_if_no_value": 0,
"read_only": 1,
"remember_last_selected_value": 0,
"report_hide": 0,
"reqd": 0,
"search_index": 0,
"set_only_once": 0,
"translatable": 0,
"unique": 0
},
{
"allow_bulk_edit": 0,
"allow_in_quick_entry": 0,
"allow_on_submit": 0,
"bold": 0,
"collapsible": 0,
"columns": 0,
"fieldname": "from_time",
"fieldtype": "Time",
"hidden": 0,
"ignore_user_permissions": 0,
"ignore_xss_filter": 0,
"in_filter": 1,
"in_global_search": 0,
"in_list_view": 0,
"in_standard_filter": 1,
"label": "From Time",
"reqd": 1
"length": 0,
"no_copy": 0,
"permlevel": 0,
"precision": "",
"print_hide": 0,
"print_hide_if_no_value": 0,
"read_only": 0,
"remember_last_selected_value": 0,
"report_hide": 0,
"reqd": 1,
"search_index": 0,
"set_only_once": 0,
"translatable": 0,
"unique": 0
},
{
"allow_bulk_edit": 0,
"allow_in_quick_entry": 0,
"allow_on_submit": 0,
"bold": 0,
"collapsible": 0,
"columns": 0,
"default": "",
"fieldname": "time",
"fieldtype": "Time",
"hidden": 0,
"ignore_user_permissions": 0,
"ignore_xss_filter": 0,
"in_filter": 1,
"in_global_search": 0,
"in_list_view": 0,
"in_standard_filter": 1,
"label": "To Time",
"reqd": 1
"length": 0,
"no_copy": 0,
"permlevel": 0,
"precision": "",
"print_hide": 0,
"print_hide_if_no_value": 0,
"read_only": 0,
"remember_last_selected_value": 0,
"report_hide": 0,
"reqd": 1,
"search_index": 0,
"set_only_once": 0,
"translatable": 0,
"unique": 0
},
{
"allow_bulk_edit": 0,
"allow_in_quick_entry": 0,
"allow_on_submit": 0,
"bold": 0,
"collapsible": 0,
"columns": 0,
"default": "0.00",
"fieldname": "expense",
"fieldtype": "Float",
"hidden": 0,
"ignore_user_permissions": 0,
"ignore_xss_filter": 0,
"in_filter": 1,
"label": "Expense"
"in_global_search": 0,
"in_list_view": 0,
"in_standard_filter": 0,
"label": "Expense",
"length": 0,
"no_copy": 0,
"permlevel": 0,
"precision": "",
"print_hide": 0,
"print_hide_if_no_value": 0,
"read_only": 0,
"remember_last_selected_value": 0,
"report_hide": 0,
"reqd": 0,
"search_index": 0,
"set_only_once": 0,
"translatable": 0,
"unique": 0
},
{
"allow_bulk_edit": 0,
"allow_in_quick_entry": 0,
"allow_on_submit": 0,
"bold": 0,
"collapsible": 0,
"columns": 0,
"default": "0.00",
"fieldname": "custody",
"fieldtype": "Float",
"hidden": 0,
"ignore_user_permissions": 0,
"ignore_xss_filter": 0,
"in_filter": 1,
"label": "Custody"
"in_global_search": 0,
"in_list_view": 0,
"in_standard_filter": 0,
"label": "Custody",
"length": 0,
"no_copy": 0,
"permlevel": 0,
"precision": "",
"print_hide": 0,
"print_hide_if_no_value": 0,
"read_only": 0,
"remember_last_selected_value": 0,
"report_hide": 0,
"reqd": 0,
"search_index": 0,
"set_only_once": 0,
"translatable": 0,
"unique": 0
},
{
"allow_bulk_edit": 0,
"allow_in_quick_entry": 0,
"allow_on_submit": 0,
"bold": 0,
"collapsible": 0,
"columns": 0,
"default": "0.00",
"fieldname": "returns",
"fieldtype": "Float",
"hidden": 0,
"ignore_user_permissions": 0,
"ignore_xss_filter": 0,
"in_filter": 1,
"in_global_search": 0,
"in_list_view": 0,
"in_standard_filter": 0,
"label": "Returns",
"precision": "2"
"length": 0,
"no_copy": 0,
"permlevel": 0,
"precision": "2",
"print_hide": 0,
"print_hide_if_no_value": 0,
"read_only": 0,
"remember_last_selected_value": 0,
"report_hide": 0,
"reqd": 0,
"search_index": 0,
"set_only_once": 0,
"unique": 0
},
{
"allow_bulk_edit": 0,
"allow_on_submit": 0,
"bold": 0,
"collapsible": 0,
"columns": 0,
"default": "0.00",
"fieldname": "outstanding_amount",
"fieldtype": "Float",
"hidden": 0,
"ignore_user_permissions": 0,
"ignore_xss_filter": 0,
"in_filter": 0,
"in_global_search": 0,
"in_list_view": 0,
"in_standard_filter": 0,
"label": "Outstanding Amount",
"read_only": 1
"length": 0,
"no_copy": 0,
"permlevel": 0,
"precision": "",
"print_hide": 0,
"print_hide_if_no_value": 0,
"read_only": 1,
"remember_last_selected_value": 0,
"report_hide": 0,
"reqd": 0,
"search_index": 0,
"set_only_once": 0,
"translatable": 0,
"unique": 0
},
{
"allow_bulk_edit": 0,
"allow_in_quick_entry": 0,
"allow_on_submit": 0,
"bold": 0,
"collapsible": 0,
"columns": 0,
"default": "0.0",
"fieldname": "payments",
"fieldtype": "Table",
"hidden": 0,
"ignore_user_permissions": 0,
"ignore_xss_filter": 0,
"in_filter": 1,
"in_global_search": 0,
"in_list_view": 0,
"in_standard_filter": 0,
"label": "Payments",
"options": "Cashier Closing Payments"
"length": 0,
"no_copy": 0,
"options": "Cashier Closing Payments",
"permlevel": 0,
"precision": "",
"print_hide": 0,
"print_hide_if_no_value": 0,
"read_only": 0,
"remember_last_selected_value": 0,
"report_hide": 0,
"reqd": 0,
"search_index": 0,
"set_only_once": 0,
"translatable": 0,
"unique": 0
},
{
"allow_bulk_edit": 0,
"allow_in_quick_entry": 0,
"allow_on_submit": 0,
"bold": 0,
"collapsible": 0,
"columns": 0,
"fieldname": "net_amount",
"fieldtype": "Float",
"hidden": 0,
"ignore_user_permissions": 0,
"ignore_xss_filter": 0,
"in_filter": 1,
"in_global_search": 0,
"in_list_view": 1,
"in_standard_filter": 1,
"label": "Net Amount",
"read_only": 1
"length": 0,
"no_copy": 0,
"permlevel": 0,
"precision": "",
"print_hide": 0,
"print_hide_if_no_value": 0,
"read_only": 1,
"remember_last_selected_value": 0,
"report_hide": 0,
"reqd": 0,
"search_index": 0,
"set_only_once": 0,
"translatable": 0,
"unique": 0
},
{
"allow_bulk_edit": 0,
"allow_in_quick_entry": 0,
"allow_on_submit": 0,
"bold": 0,
"collapsible": 0,
"columns": 0,
"fieldname": "amended_from",
"fieldtype": "Link",
"hidden": 0,
"ignore_user_permissions": 0,
"ignore_xss_filter": 0,
"in_filter": 0,
"in_global_search": 0,
"in_list_view": 0,
"in_standard_filter": 0,
"label": "Amended From",
"length": 0,
"no_copy": 1,
"options": "Cashier Closing",
"permlevel": 0,
"print_hide": 1,
"read_only": 1
"print_hide_if_no_value": 0,
"read_only": 1,
"remember_last_selected_value": 0,
"report_hide": 0,
"reqd": 0,
"search_index": 0,
"set_only_once": 0,
"translatable": 0,
"unique": 0
}
],
"has_web_view": 0,
"hide_heading": 0,
"hide_toolbar": 0,
"idx": 0,
"image_view": 0,
"in_create": 0,
"is_submittable": 1,
"links": [],
"modified": "2023-12-28 13:15:46.858427",
"issingle": 0,
"istable": 0,
"max_attachments": 0,
"modified": "2019-02-19 08:35:24.157327",
"modified_by": "Administrator",
"module": "Accounts",
"name": "Cashier Closing",
"naming_rule": "By \"Naming Series\" field",
"name_case": "",
"owner": "Administrator",
"permissions": [
{
"amend": 0,
"cancel": 0,
"create": 1,
"delete": 1,
"email": 1,
"export": 1,
"if_owner": 0,
"import": 0,
"permlevel": 0,
"print": 1,
"read": 1,
"report": 1,
"role": "System Manager",
"set_user_permissions": 0,
"share": 1,
"submit": 1,
"write": 1
}
],
"quick_entry": 0,
"read_only": 0,
"read_only_onload": 0,
"show_name_in_global_search": 0,
"sort_field": "modified",
"sort_order": "DESC",
"states": [],
"track_changes": 1
}
"track_changes": 1,
"track_seen": 0,
"track_views": 0
}

View File

@@ -9,32 +9,6 @@ from frappe.utils import flt
class CashierClosing(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
from erpnext.accounts.doctype.cashier_closing_payments.cashier_closing_payments import (
CashierClosingPayments,
)
amended_from: DF.Link | None
custody: DF.Float
date: DF.Date | None
expense: DF.Float
from_time: DF.Time
naming_series: DF.Literal["POS-CLO-"]
net_amount: DF.Float
outstanding_amount: DF.Float
payments: DF.Table[CashierClosingPayments]
returns: DF.Float
time: DF.Time
user: DF.Link
# end: auto-generated types
def validate(self):
self.validate_time()

View File

@@ -6,19 +6,4 @@ from frappe.model.document import Document
class CashierClosingPayments(Document):
# begin: auto-generated types
# This code is auto-generated. Do not modify anything in this block.
from typing import TYPE_CHECKING
if TYPE_CHECKING:
from frappe.types import DF
amount: DF.Float
mode_of_payment: DF.Link
parent: DF.Data
parentfield: DF.Data
parenttype: DF.Data
# end: auto-generated types
pass

View File

@@ -53,18 +53,10 @@ frappe.ui.form.on('Chart of Accounts Importer', {
of Accounts. Please enter the account names and add more rows as per your requirement.`);
}
}
},
{
label : "Company",
fieldname: "company",
fieldtype: "Link",
reqd: 1,
hidden: 1,
default: frm.doc.company,
},
}
],
primary_action: function() {
let data = d.get_values();
var data = d.get_values();
if (!data.template_type) {
frappe.throw(__('Please select <b>Template Type</b> to download template'));
@@ -74,8 +66,7 @@ frappe.ui.form.on('Chart of Accounts Importer', {
'/api/method/erpnext.accounts.doctype.chart_of_accounts_importer.chart_of_accounts_importer.download_template',
{
file_type: data.file_type,
template_type: data.template_type,
company: data.company
template_type: data.template_type
}
);

Some files were not shown because too many files have changed in this diff Show More