2265 lines
76 KiB
Python
2265 lines
76 KiB
Python
# Copyright (c) 2022, Frappe Technologies Pvt. Ltd. and contributors
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# For license information, please see license.txt
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from datetime import datetime
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import frappe
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from frappe import qb
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from frappe.query_builder.functions import Sum
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from frappe.tests import IntegrationTestCase
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from frappe.utils import add_days, getdate, nowdate
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from frappe.utils.data import getdate as convert_to_date
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from erpnext.accounts.doctype.payment_entry.payment_entry import get_payment_entry
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from erpnext.accounts.doctype.payment_entry.test_payment_entry import create_payment_entry
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from erpnext.accounts.doctype.purchase_invoice.test_purchase_invoice import make_purchase_invoice
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from erpnext.accounts.doctype.sales_invoice.test_sales_invoice import create_sales_invoice
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from erpnext.accounts.party import get_party_account
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from erpnext.buying.doctype.purchase_order.test_purchase_order import prepare_data_for_internal_transfer
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from erpnext.projects.doctype.project.test_project import make_project
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from erpnext.stock.doctype.item.test_item import create_item
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def make_customer(customer_name, currency=None):
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if not frappe.db.exists("Customer", customer_name):
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customer = frappe.new_doc("Customer")
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customer.customer_name = customer_name
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customer.customer_type = "Individual"
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if currency:
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customer.default_currency = currency
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customer.save()
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return customer.name
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else:
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return customer_name
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def make_supplier(supplier_name, currency=None):
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if not frappe.db.exists("Supplier", supplier_name):
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supplier = frappe.new_doc("Supplier")
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supplier.supplier_name = supplier_name
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supplier.supplier_type = "Individual"
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supplier.supplier_group = "All Supplier Groups"
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if currency:
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supplier.default_currency = currency
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supplier.save()
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return supplier.name
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else:
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return supplier_name
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class TestAccountsController(IntegrationTestCase):
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"""
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Test Exchange Gain/Loss booking on various scenarios.
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Test Cases are numbered for better organization
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10 series - Sales Invoice against Payment Entries
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20 series - Sales Invoice against Journals
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30 series - Sales Invoice against Credit Notes
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40 series - Company default Cost center is unset
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50 series - Journals against Journals
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60 series - Journals against Payment Entries
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70 series - Advances in Separate party account. Both Party and Advance account are in Foreign currency.
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90 series - Dimension inheritence
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"""
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def setUp(self):
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self.create_company()
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self.create_account()
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self.create_item()
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self.create_parties()
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self.clear_old_entries()
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def tearDown(self):
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frappe.db.rollback()
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def create_company(self):
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company_name = "_Test Company"
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self.company_abbr = abbr = "_TC"
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if frappe.db.exists("Company", company_name):
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company = frappe.get_doc("Company", company_name)
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else:
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company = frappe.get_doc(
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{
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"doctype": "Company",
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"company_name": company_name,
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"country": "India",
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"default_currency": "INR",
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"create_chart_of_accounts_based_on": "Standard Template",
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"chart_of_accounts": "Standard",
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}
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)
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company = company.save()
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self.company = company.name
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self.cost_center = company.cost_center
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self.warehouse = "Stores - " + abbr
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self.finished_warehouse = "Finished Goods - " + abbr
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self.income_account = "Sales - " + abbr
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self.expense_account = "Cost of Goods Sold - " + abbr
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self.debit_to = "Debtors - " + abbr
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self.debit_usd = "Debtors USD - " + abbr
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self.cash = "Cash - " + abbr
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self.creditors = "Creditors - " + abbr
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def create_item(self):
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item = create_item(
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item_code="_Test Notebook", is_stock_item=0, company=self.company, warehouse=self.warehouse
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)
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self.item = item if isinstance(item, str) else item.item_code
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def create_parties(self):
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self.create_customer()
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self.create_supplier()
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def create_customer(self):
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self.customer = make_customer("_Test MC Customer USD", "USD")
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def create_supplier(self):
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self.supplier = make_supplier("_Test MC Supplier USD", "USD")
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def create_account(self):
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accounts = [
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frappe._dict(
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{
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"attribute_name": "debtors_usd",
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"name": "Debtors USD",
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"account_type": "Receivable",
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"account_currency": "USD",
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"parent_account": "Accounts Receivable - " + self.company_abbr,
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}
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),
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frappe._dict(
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{
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"attribute_name": "creditors_usd",
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"name": "Creditors USD",
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"account_type": "Payable",
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"account_currency": "USD",
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"parent_account": "Accounts Payable - " + self.company_abbr,
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}
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),
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# Advance accounts under Asset and Liability header
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frappe._dict(
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{
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"attribute_name": "advance_received_usd",
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"name": "Advance Received USD",
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"account_type": "Receivable",
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"account_currency": "USD",
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"parent_account": "Current Liabilities - " + self.company_abbr,
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}
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),
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frappe._dict(
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{
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"attribute_name": "advance_paid_usd",
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"name": "Advance Paid USD",
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"account_type": "Payable",
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"account_currency": "USD",
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"parent_account": "Current Assets - " + self.company_abbr,
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}
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),
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]
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for x in accounts:
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if not frappe.db.get_value("Account", filters={"account_name": x.name, "company": self.company}):
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acc = frappe.new_doc("Account")
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acc.account_name = x.name
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acc.parent_account = x.parent_account
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acc.company = self.company
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acc.account_currency = x.account_currency
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acc.account_type = x.account_type
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acc.insert()
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else:
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name = frappe.db.get_value(
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"Account",
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filters={"account_name": x.name, "company": self.company},
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fieldname="name",
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pluck=True,
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)
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acc = frappe.get_doc("Account", name)
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setattr(self, x.attribute_name, acc.name)
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def setup_advance_accounts_in_party_master(self):
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company = frappe.get_doc("Company", self.company)
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company.book_advance_payments_in_separate_party_account = 1
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company.save()
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customer = frappe.get_doc("Customer", self.customer)
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customer.append(
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"accounts",
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{
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"company": self.company,
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"account": self.debtors_usd,
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"advance_account": self.advance_received_usd,
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},
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)
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customer.save()
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supplier = frappe.get_doc("Supplier", self.supplier)
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supplier.append(
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"accounts",
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{
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"company": self.company,
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"account": self.creditors_usd,
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"advance_account": self.advance_paid_usd,
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},
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)
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supplier.save()
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def remove_advance_accounts_from_party_master(self):
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company = frappe.get_doc("Company", self.company)
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company.book_advance_payments_in_separate_party_account = 0
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company.save()
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customer = frappe.get_doc("Customer", self.customer)
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customer.accounts = []
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customer.save()
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supplier = frappe.get_doc("Supplier", self.supplier)
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supplier.accounts = []
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supplier.save()
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def create_sales_invoice(
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self,
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qty=1,
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rate=1,
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conversion_rate=80,
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posting_date=None,
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do_not_save=False,
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do_not_submit=False,
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):
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"""
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Helper function to populate default values in sales invoice
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"""
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if posting_date is None:
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posting_date = nowdate()
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sinv = create_sales_invoice(
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qty=qty,
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rate=rate,
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company=self.company,
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customer=self.customer,
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item_code=self.item,
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item_name=self.item,
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cost_center=self.cost_center,
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warehouse=self.warehouse,
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debit_to=self.debit_usd,
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parent_cost_center=self.cost_center,
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update_stock=0,
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currency="USD",
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conversion_rate=conversion_rate,
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is_pos=0,
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is_return=0,
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return_against=None,
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income_account=self.income_account,
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expense_account=self.expense_account,
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do_not_save=do_not_save,
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do_not_submit=do_not_submit,
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)
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return sinv
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def create_payment_entry(
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self, amount=1, source_exc_rate=75, posting_date=None, customer=None, submit=True
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):
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"""
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Helper function to populate default values in payment entry
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"""
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if posting_date is None:
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posting_date = nowdate()
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payment = create_payment_entry(
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company=self.company,
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payment_type="Receive",
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party_type="Customer",
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party=customer or self.customer,
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paid_from=self.debit_usd,
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paid_to=self.cash,
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paid_amount=amount,
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)
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payment.source_exchange_rate = source_exc_rate
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payment.received_amount = source_exc_rate * amount
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payment.posting_date = posting_date
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return payment
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def create_purchase_invoice(
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self,
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qty=1,
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rate=1,
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conversion_rate=80,
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posting_date=None,
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do_not_save=False,
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do_not_submit=False,
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):
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"""
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Helper function to populate default values in purchase invoice
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"""
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if posting_date is None:
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posting_date = nowdate()
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pinv = make_purchase_invoice(
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posting_date=posting_date,
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qty=qty,
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rate=rate,
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company=self.company,
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supplier=self.supplier,
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item_code=self.item,
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item_name=self.item,
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cost_center=self.cost_center,
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warehouse=self.warehouse,
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parent_cost_center=self.cost_center,
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update_stock=0,
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currency="USD",
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conversion_rate=conversion_rate,
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is_pos=0,
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is_return=0,
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income_account=self.income_account,
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expense_account=self.expense_account,
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do_not_save=True,
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)
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pinv.credit_to = self.creditors_usd
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if not do_not_save:
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pinv.save()
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if not do_not_submit:
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pinv.submit()
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return pinv
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def clear_old_entries(self):
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doctype_list = [
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"GL Entry",
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"Payment Ledger Entry",
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"Sales Invoice",
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"Purchase Invoice",
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"Payment Entry",
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"Journal Entry",
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]
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for doctype in doctype_list:
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qb.from_(qb.DocType(doctype)).delete().where(qb.DocType(doctype).company == self.company).run()
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def create_payment_reconciliation(self):
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pr = frappe.new_doc("Payment Reconciliation")
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pr.company = self.company
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pr.party_type = "Customer"
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pr.party = self.customer
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pr.receivable_payable_account = get_party_account(pr.party_type, pr.party, pr.company)
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pr.from_invoice_date = pr.to_invoice_date = pr.from_payment_date = pr.to_payment_date = nowdate()
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return pr
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def create_journal_entry(
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self,
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acc1=None,
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acc1_exc_rate=None,
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acc2_exc_rate=None,
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acc2=None,
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acc1_amount=0,
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acc2_amount=0,
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posting_date=None,
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cost_center=None,
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):
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je = frappe.new_doc("Journal Entry")
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je.posting_date = posting_date or nowdate()
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je.company = self.company
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je.user_remark = "test"
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je.multi_currency = True
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if not cost_center:
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cost_center = self.cost_center
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je.set(
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"accounts",
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[
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{
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"account": acc1,
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"exchange_rate": acc1_exc_rate or 1,
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"cost_center": cost_center,
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"debit_in_account_currency": acc1_amount if acc1_amount > 0 else 0,
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"credit_in_account_currency": abs(acc1_amount) if acc1_amount < 0 else 0,
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"debit": acc1_amount * acc1_exc_rate if acc1_amount > 0 else 0,
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"credit": abs(acc1_amount * acc1_exc_rate) if acc1_amount < 0 else 0,
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},
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{
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"account": acc2,
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"exchange_rate": acc2_exc_rate or 1,
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"cost_center": cost_center,
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"credit_in_account_currency": acc2_amount if acc2_amount > 0 else 0,
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"debit_in_account_currency": abs(acc2_amount) if acc2_amount < 0 else 0,
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"credit": acc2_amount * acc2_exc_rate if acc2_amount > 0 else 0,
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"debit": abs(acc2_amount * acc2_exc_rate) if acc2_amount < 0 else 0,
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},
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],
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)
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return je
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def get_journals_for(self, voucher_type: str, voucher_no: str) -> list:
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journals = []
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if voucher_type and voucher_no:
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journals = frappe.db.get_all(
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"Journal Entry Account",
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filters={"reference_type": voucher_type, "reference_name": voucher_no, "docstatus": 1},
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fields=["parent"],
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)
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return journals
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def assert_ledger_outstanding(
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self,
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voucher_type: str,
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voucher_no: str,
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outstanding: float,
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outstanding_in_account_currency: float,
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) -> None:
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"""
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Assert outstanding amount based on ledger on both company/base currency and account currency
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"""
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ple = qb.DocType("Payment Ledger Entry")
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current_outstanding = (
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qb.from_(ple)
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.select(
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Sum(ple.amount).as_("outstanding"),
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Sum(ple.amount_in_account_currency).as_("outstanding_in_account_currency"),
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)
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.where(
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(ple.against_voucher_type == voucher_type)
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& (ple.against_voucher_no == voucher_no)
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& (ple.delinked == 0)
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)
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.run(as_dict=True)[0]
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)
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self.assertEqual(outstanding, current_outstanding.outstanding)
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self.assertEqual(outstanding_in_account_currency, current_outstanding.outstanding_in_account_currency)
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def test_10_payment_against_sales_invoice(self):
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# Sales Invoice in Foreign Currency
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rate = 80
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rate_in_account_currency = 1
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si = self.create_sales_invoice(qty=1, rate=rate_in_account_currency)
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# Test payments with different exchange rates
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for exc_rate in [75.9, 83.1, 80.01]:
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with self.subTest(exc_rate=exc_rate):
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pe = self.create_payment_entry(amount=1, source_exc_rate=exc_rate).save()
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pe.append(
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"references",
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{"reference_doctype": si.doctype, "reference_name": si.name, "allocated_amount": 1},
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)
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pe = pe.save().submit()
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# Outstanding in both currencies should be '0'
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si.reload()
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self.assertEqual(si.outstanding_amount, 0)
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self.assert_ledger_outstanding(si.doctype, si.name, 0.0, 0.0)
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# Exchange Gain/Loss Journal should've been created.
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exc_je_for_si = self.get_journals_for(si.doctype, si.name)
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exc_je_for_pe = self.get_journals_for(pe.doctype, pe.name)
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self.assertNotEqual(exc_je_for_si, [])
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self.assertEqual(len(exc_je_for_si), 1)
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self.assertEqual(len(exc_je_for_pe), 1)
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self.assertEqual(exc_je_for_si[0], exc_je_for_pe[0])
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# Cancel Payment
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pe.cancel()
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# outstanding should be same as grand total
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si.reload()
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self.assertEqual(si.outstanding_amount, rate_in_account_currency)
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self.assert_ledger_outstanding(si.doctype, si.name, rate, rate_in_account_currency)
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# Exchange Gain/Loss Journal should've been cancelled
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exc_je_for_si = self.get_journals_for(si.doctype, si.name)
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exc_je_for_pe = self.get_journals_for(pe.doctype, pe.name)
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self.assertEqual(exc_je_for_si, [])
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self.assertEqual(exc_je_for_pe, [])
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def test_11_advance_against_sales_invoice(self):
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# Advance Payment
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adv = self.create_payment_entry(amount=1, source_exc_rate=85).save().submit()
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adv.reload()
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# Sales Invoices in different exchange rates
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for exc_rate in [75.9, 83.1, 80.01]:
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with self.subTest(exc_rate=exc_rate):
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si = self.create_sales_invoice(qty=1, conversion_rate=exc_rate, rate=1, do_not_submit=True)
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advances = si.get_advance_entries()
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self.assertEqual(len(advances), 1)
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self.assertEqual(advances[0].reference_name, adv.name)
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si.append(
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"advances",
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{
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"doctype": "Sales Invoice Advance",
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"reference_type": advances[0].reference_type,
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"reference_name": advances[0].reference_name,
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"reference_row": advances[0].reference_row,
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"advance_amount": 1,
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"allocated_amount": 1,
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"ref_exchange_rate": advances[0].exchange_rate,
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"remarks": advances[0].remarks,
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},
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)
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si = si.save()
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si = si.submit()
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|
# Outstanding in both currencies should be '0'
|
|
adv.reload()
|
|
self.assertEqual(si.outstanding_amount, 0)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 0.0, 0.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created.
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 1)
|
|
self.assertEqual(len(exc_je_for_adv), 1)
|
|
self.assertEqual(exc_je_for_si, exc_je_for_adv)
|
|
|
|
# Cancel Invoice
|
|
si.cancel()
|
|
|
|
# Exchange Gain/Loss Journal should've been cancelled
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
self.assertEqual(exc_je_for_si, [])
|
|
self.assertEqual(exc_je_for_adv, [])
|
|
|
|
def test_12_partial_advance_and_payment_for_sales_invoice(self):
|
|
"""
|
|
Sales invoice with partial advance payment, and a normal payment reconciled
|
|
"""
|
|
# Partial Advance
|
|
adv = self.create_payment_entry(amount=1, source_exc_rate=85).save().submit()
|
|
adv.reload()
|
|
|
|
# sales invoice with advance(partial amount)
|
|
rate_in_account_currency = 1
|
|
si = self.create_sales_invoice(
|
|
qty=2, conversion_rate=80, rate=rate_in_account_currency, do_not_submit=True
|
|
)
|
|
advances = si.get_advance_entries()
|
|
self.assertEqual(len(advances), 1)
|
|
self.assertEqual(advances[0].reference_name, adv.name)
|
|
si.append(
|
|
"advances",
|
|
{
|
|
"doctype": "Sales Invoice Advance",
|
|
"reference_type": advances[0].reference_type,
|
|
"reference_name": advances[0].reference_name,
|
|
"advance_amount": 1,
|
|
"allocated_amount": 1,
|
|
"ref_exchange_rate": advances[0].exchange_rate,
|
|
"remarks": advances[0].remarks,
|
|
},
|
|
)
|
|
si = si.save()
|
|
si = si.submit()
|
|
|
|
# Outstanding should be there in both currencies
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 1) # account currency
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 80.0, 1.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created for the partial advance
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 1)
|
|
self.assertEqual(len(exc_je_for_adv), 1)
|
|
self.assertEqual(exc_je_for_si, exc_je_for_adv)
|
|
|
|
# Payment for remaining amount
|
|
pe = self.create_payment_entry(amount=1, source_exc_rate=75).save()
|
|
pe.append(
|
|
"references",
|
|
{"reference_doctype": si.doctype, "reference_name": si.name, "allocated_amount": 1},
|
|
)
|
|
pe = pe.save().submit()
|
|
|
|
# Outstanding in both currencies should be '0'
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 0)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 0.0, 0.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created for the payment
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_pe = self.get_journals_for(pe.doctype, pe.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
# There should be 2 JE's now. One for the advance and one for the payment
|
|
self.assertEqual(len(exc_je_for_si), 2)
|
|
self.assertEqual(len(exc_je_for_pe), 1)
|
|
self.assertEqual(exc_je_for_si, exc_je_for_pe + exc_je_for_adv)
|
|
|
|
# Cancel Invoice
|
|
si.reload()
|
|
si.cancel()
|
|
|
|
# Exchange Gain/Loss Journal should been cancelled
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_pe = self.get_journals_for(pe.doctype, pe.name)
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
self.assertEqual(exc_je_for_si, [])
|
|
self.assertEqual(exc_je_for_pe, [])
|
|
self.assertEqual(exc_je_for_adv, [])
|
|
|
|
def test_13_partial_advance_and_payment_for_invoice_with_cancellation(self):
|
|
"""
|
|
Invoice with partial advance payment, and a normal payment. Then cancel advance and payment.
|
|
"""
|
|
# Partial Advance
|
|
adv = self.create_payment_entry(amount=1, source_exc_rate=85).save().submit()
|
|
adv.reload()
|
|
|
|
# invoice with advance(partial amount)
|
|
si = self.create_sales_invoice(qty=2, conversion_rate=80, rate=1, do_not_submit=True)
|
|
advances = si.get_advance_entries()
|
|
self.assertEqual(len(advances), 1)
|
|
self.assertEqual(advances[0].reference_name, adv.name)
|
|
si.append(
|
|
"advances",
|
|
{
|
|
"doctype": "Sales Invoice Advance",
|
|
"reference_type": advances[0].reference_type,
|
|
"reference_name": advances[0].reference_name,
|
|
"advance_amount": 1,
|
|
"allocated_amount": 1,
|
|
"ref_exchange_rate": advances[0].exchange_rate,
|
|
"remarks": advances[0].remarks,
|
|
},
|
|
)
|
|
si = si.save()
|
|
si = si.submit()
|
|
|
|
# Outstanding should be there in both currencies
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 1) # account currency
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 80.0, 1.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created for the partial advance
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 1)
|
|
self.assertEqual(len(exc_je_for_adv), 1)
|
|
self.assertEqual(exc_je_for_si, exc_je_for_adv)
|
|
|
|
# Payment(remaining amount)
|
|
pe = self.create_payment_entry(amount=1, source_exc_rate=75).save()
|
|
pe.append(
|
|
"references",
|
|
{"reference_doctype": si.doctype, "reference_name": si.name, "allocated_amount": 1},
|
|
)
|
|
pe = pe.save().submit()
|
|
|
|
# Outstanding should be '0' in both currencies
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 0)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 0.0, 0.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created for the payment
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_pe = self.get_journals_for(pe.doctype, pe.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
# There should be 2 JE's now. One for the advance and one for the payment
|
|
self.assertEqual(len(exc_je_for_si), 2)
|
|
self.assertEqual(len(exc_je_for_pe), 1)
|
|
self.assertEqual(exc_je_for_si, exc_je_for_pe + exc_je_for_adv)
|
|
|
|
adv.reload()
|
|
adv.cancel()
|
|
|
|
# Outstanding should be there in both currencies, since advance is cancelled.
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 1) # account currency
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 80.0, 1.0)
|
|
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_pe = self.get_journals_for(pe.doctype, pe.name)
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
# Exchange Gain/Loss Journal for advance should been cancelled
|
|
self.assertEqual(len(exc_je_for_si), 1)
|
|
self.assertEqual(len(exc_je_for_pe), 1)
|
|
self.assertEqual(exc_je_for_adv, [])
|
|
|
|
def test_14_same_payment_split_against_invoice(self):
|
|
# Invoice in Foreign Currency
|
|
si = self.create_sales_invoice(qty=2, conversion_rate=80, rate=1)
|
|
# Payment
|
|
pe = self.create_payment_entry(amount=2, source_exc_rate=75).save()
|
|
pe.append(
|
|
"references",
|
|
{"reference_doctype": si.doctype, "reference_name": si.name, "allocated_amount": 1},
|
|
)
|
|
pe = pe.save().submit()
|
|
|
|
# There should be outstanding in both currencies
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 1)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 80.0, 1.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created.
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_pe = self.get_journals_for(pe.doctype, pe.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 1)
|
|
self.assertEqual(len(exc_je_for_pe), 1)
|
|
self.assertEqual(exc_je_for_si[0], exc_je_for_pe[0])
|
|
|
|
# Reconcile the remaining amount
|
|
pr = frappe.get_doc("Payment Reconciliation")
|
|
pr.company = self.company
|
|
pr.party_type = "Customer"
|
|
pr.party = self.customer
|
|
pr.receivable_payable_account = self.debit_usd
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
|
|
# Exc gain/loss journal should have been creaetd for the reconciled amount
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_pe = self.get_journals_for(pe.doctype, pe.name)
|
|
self.assertEqual(len(exc_je_for_si), 2)
|
|
self.assertEqual(len(exc_je_for_pe), 2)
|
|
self.assertEqual(exc_je_for_si, exc_je_for_pe)
|
|
|
|
# There should be no outstanding
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 0)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 0.0, 0.0)
|
|
|
|
# Cancel Payment
|
|
pe.reload()
|
|
pe.cancel()
|
|
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 2)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 160.0, 2.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been cancelled
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_pe = self.get_journals_for(pe.doctype, pe.name)
|
|
self.assertEqual(exc_je_for_si, [])
|
|
self.assertEqual(exc_je_for_pe, [])
|
|
|
|
def test_15_gain_loss_on_different_posting_date(self):
|
|
# Invoice in Foreign Currency
|
|
si = self.create_sales_invoice(
|
|
posting_date=add_days(nowdate(), -2), qty=2, conversion_rate=80, rate=1
|
|
)
|
|
# Payment
|
|
pe = (
|
|
self.create_payment_entry(posting_date=add_days(nowdate(), -1), amount=2, source_exc_rate=75)
|
|
.save()
|
|
.submit()
|
|
)
|
|
|
|
# There should be outstanding in both currencies
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 2)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 160.0, 2.0)
|
|
|
|
# Reconcile the remaining amount
|
|
pr = frappe.get_doc("Payment Reconciliation")
|
|
pr.company = self.company
|
|
pr.party_type = "Customer"
|
|
pr.party = self.customer
|
|
pr.receivable_payable_account = self.debit_usd
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.allocation[0].gain_loss_posting_date = add_days(nowdate(), 1)
|
|
pr.reconcile()
|
|
|
|
# Exchange Gain/Loss Journal should've been created.
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_pe = self.get_journals_for(pe.doctype, pe.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 1)
|
|
self.assertEqual(len(exc_je_for_pe), 1)
|
|
self.assertEqual(exc_je_for_si[0], exc_je_for_pe[0])
|
|
|
|
self.assertEqual(
|
|
frappe.db.get_value("Journal Entry", exc_je_for_si[0].parent, "posting_date"),
|
|
getdate(add_days(nowdate(), 1)),
|
|
)
|
|
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
|
|
# There should be no outstanding
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 0)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 0.0, 0.0)
|
|
|
|
# Cancel Payment
|
|
pe.reload()
|
|
pe.cancel()
|
|
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 2)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 160.0, 2.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been cancelled
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_pe = self.get_journals_for(pe.doctype, pe.name)
|
|
self.assertEqual(exc_je_for_si, [])
|
|
self.assertEqual(exc_je_for_pe, [])
|
|
|
|
@IntegrationTestCase.change_settings(
|
|
"Stock Settings", {"allow_internal_transfer_at_arms_length_price": 1}
|
|
)
|
|
def test_16_internal_transfer_at_arms_length_price(self):
|
|
from erpnext.accounts.doctype.sales_invoice.sales_invoice import make_inter_company_purchase_invoice
|
|
from erpnext.stock.doctype.warehouse.test_warehouse import create_warehouse
|
|
|
|
prepare_data_for_internal_transfer()
|
|
company = "_Test Company with perpetual inventory"
|
|
target_warehouse = create_warehouse("_Test Internal Warehouse New 1", company=company)
|
|
warehouse = create_warehouse("_Test Internal Warehouse New 2", company=company)
|
|
arms_length_price = 40
|
|
|
|
si = create_sales_invoice(
|
|
company=company,
|
|
customer="_Test Internal Customer 2",
|
|
debit_to="Debtors - TCP1",
|
|
target_warehouse=target_warehouse,
|
|
warehouse=warehouse,
|
|
income_account="Sales - TCP1",
|
|
expense_account="Cost of Goods Sold - TCP1",
|
|
cost_center="Main - TCP1",
|
|
update_stock=True,
|
|
do_not_save=True,
|
|
do_not_submit=True,
|
|
)
|
|
|
|
si.items[0].rate = arms_length_price
|
|
si.save()
|
|
# rate should not reset to incoming rate
|
|
self.assertEqual(si.items[0].rate, arms_length_price)
|
|
|
|
frappe.db.set_single_value("Stock Settings", "allow_internal_transfer_at_arms_length_price", 0)
|
|
si.items[0].rate = arms_length_price
|
|
si.save()
|
|
# rate should reset to incoming rate
|
|
self.assertEqual(si.items[0].rate, 100)
|
|
|
|
si.update_stock = 0
|
|
si.save()
|
|
si.submit()
|
|
|
|
pi = make_inter_company_purchase_invoice(si.name)
|
|
pi.update_stock = 1
|
|
pi.items[0].rate = arms_length_price
|
|
pi.items[0].warehouse = target_warehouse
|
|
pi.items[0].from_warehouse = warehouse
|
|
pi.save()
|
|
|
|
self.assertEqual(pi.items[0].rate, 100)
|
|
self.assertEqual(pi.items[0].valuation_rate, 100)
|
|
|
|
frappe.db.set_single_value("Stock Settings", "allow_internal_transfer_at_arms_length_price", 1)
|
|
pi = make_inter_company_purchase_invoice(si.name)
|
|
pi.update_stock = 1
|
|
pi.items[0].rate = arms_length_price
|
|
pi.items[0].warehouse = target_warehouse
|
|
pi.items[0].from_warehouse = warehouse
|
|
pi.save()
|
|
|
|
self.assertEqual(pi.items[0].rate, arms_length_price)
|
|
self.assertEqual(pi.items[0].valuation_rate, 100)
|
|
|
|
@IntegrationTestCase.change_settings(
|
|
"Accounts Settings", {"exchange_gain_loss_posting_date": "Reconciliation Date"}
|
|
)
|
|
def test_17_gain_loss_posting_date_for_normal_payment(self):
|
|
# Sales Invoice in Foreign Currency
|
|
rate = 80
|
|
rate_in_account_currency = 1
|
|
|
|
adv_date = convert_to_date(add_days(nowdate(), -2))
|
|
inv_date = convert_to_date(add_days(nowdate(), -1))
|
|
|
|
si = self.create_sales_invoice(posting_date=inv_date, qty=1, rate=rate_in_account_currency)
|
|
|
|
# Test payments with different exchange rates
|
|
pe = self.create_payment_entry(posting_date=adv_date, amount=1, source_exc_rate=75.1).save().submit()
|
|
|
|
pr = self.create_payment_reconciliation()
|
|
pr.from_invoice_date = add_days(nowdate(), -1)
|
|
pr.to_invoice_date = nowdate()
|
|
pr.from_payment_date = add_days(nowdate(), -2)
|
|
pr.to_payment_date = nowdate()
|
|
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
|
|
# Outstanding in both currencies should be '0'
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 0)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 0.0, 0.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created.
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_pe = self.get_journals_for(pe.doctype, pe.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 1)
|
|
self.assertEqual(len(exc_je_for_pe), 1)
|
|
self.assertEqual(exc_je_for_si[0], exc_je_for_pe[0])
|
|
|
|
self.assertEqual(
|
|
getdate(nowdate()), frappe.db.get_value("Journal Entry", exc_je_for_pe[0].parent, "posting_date")
|
|
)
|
|
# Cancel Payment
|
|
pe.reload()
|
|
pe.cancel()
|
|
|
|
# outstanding should be same as grand total
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, rate_in_account_currency)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, rate, rate_in_account_currency)
|
|
|
|
# Exchange Gain/Loss Journal should've been cancelled
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_pe = self.get_journals_for(pe.doctype, pe.name)
|
|
self.assertEqual(exc_je_for_si, [])
|
|
self.assertEqual(exc_je_for_pe, [])
|
|
|
|
@IntegrationTestCase.change_settings(
|
|
"Accounts Settings",
|
|
{"add_taxes_from_item_tax_template": 0, "add_taxes_from_taxes_and_charges_template": 1},
|
|
)
|
|
def test_18_fetch_taxes_based_on_taxes_and_charges_template(self):
|
|
# Create a Sales Taxes and Charges Template
|
|
if not frappe.db.exists("Sales Taxes and Charges Template", "_Test Tax - _TC"):
|
|
doc = frappe.new_doc("Sales Taxes and Charges Template")
|
|
doc.company = self.company
|
|
doc.title = "_Test Tax"
|
|
doc.append(
|
|
"taxes",
|
|
{
|
|
"charge_type": "On Net Total",
|
|
"account_head": "Sales Expenses - _TC",
|
|
"description": "Test taxes",
|
|
"rate": 9,
|
|
},
|
|
)
|
|
doc.insert()
|
|
|
|
# Create a Sales Invoice
|
|
sinv = frappe.new_doc("Sales Invoice")
|
|
sinv.customer = self.customer
|
|
sinv.company = self.company
|
|
sinv.currency = "INR"
|
|
sinv.taxes_and_charges = "_Test Tax - _TC"
|
|
sinv.append("items", {"item_code": "_Test Item", "qty": 1, "rate": 50})
|
|
sinv.insert()
|
|
|
|
self.assertEqual(sinv.total_taxes_and_charges, 4.5)
|
|
|
|
@IntegrationTestCase.change_settings(
|
|
"Accounts Settings",
|
|
{"add_taxes_from_item_tax_template": 1, "add_taxes_from_taxes_and_charges_template": 0},
|
|
)
|
|
def test_19_fetch_taxes_based_on_item_tax_template_template(self):
|
|
# Create a Sales Invoice
|
|
sinv = frappe.new_doc("Sales Invoice")
|
|
sinv.customer = self.customer
|
|
sinv.company = self.company
|
|
sinv.currency = "INR"
|
|
sinv.append(
|
|
"items",
|
|
{
|
|
"item_code": "_Test Item",
|
|
"qty": 1,
|
|
"rate": 50,
|
|
"item_tax_template": "_Test Account Excise Duty @ 10 - _TC",
|
|
},
|
|
)
|
|
sinv.insert()
|
|
|
|
self.assertEqual(sinv.taxes[0].account_head, "_Test Account Excise Duty - _TC")
|
|
self.assertEqual(sinv.total_taxes_and_charges, 5)
|
|
|
|
def test_20_journal_against_sales_invoice(self):
|
|
# Invoice in Foreign Currency
|
|
si = self.create_sales_invoice(qty=1, conversion_rate=80, rate=1)
|
|
# Payment
|
|
je = self.create_journal_entry(
|
|
acc1=self.debit_usd,
|
|
acc1_exc_rate=75,
|
|
acc2=self.cash,
|
|
acc1_amount=-1,
|
|
acc2_amount=-75,
|
|
acc2_exc_rate=1,
|
|
)
|
|
je.accounts[0].party_type = "Customer"
|
|
je.accounts[0].party = self.customer
|
|
je = je.save().submit()
|
|
|
|
# Reconcile the remaining amount
|
|
pr = self.create_payment_reconciliation()
|
|
# pr.receivable_payable_account = self.debit_usd
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
|
|
# There should be no outstanding in both currencies
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 0)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 0.0, 0.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created.
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_je = self.get_journals_for(je.doctype, je.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(
|
|
len(exc_je_for_si), 2
|
|
) # payment also has reference. so, there are 2 journals referencing invoice
|
|
self.assertEqual(len(exc_je_for_je), 1)
|
|
self.assertIn(exc_je_for_je[0], exc_je_for_si)
|
|
|
|
# Cancel Payment
|
|
je.reload()
|
|
je.cancel()
|
|
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 1)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 80.0, 1.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been cancelled
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_je = self.get_journals_for(je.doctype, je.name)
|
|
self.assertEqual(exc_je_for_si, [])
|
|
self.assertEqual(exc_je_for_je, [])
|
|
|
|
def test_21_advance_journal_against_sales_invoice(self):
|
|
# Advance Payment
|
|
adv_exc_rate = 80
|
|
adv = self.create_journal_entry(
|
|
acc1=self.debit_usd,
|
|
acc1_exc_rate=adv_exc_rate,
|
|
acc2=self.cash,
|
|
acc1_amount=-1,
|
|
acc2_amount=adv_exc_rate * -1,
|
|
acc2_exc_rate=1,
|
|
)
|
|
adv.accounts[0].party_type = "Customer"
|
|
adv.accounts[0].party = self.customer
|
|
adv.accounts[0].is_advance = "Yes"
|
|
adv = adv.save().submit()
|
|
adv.reload()
|
|
|
|
# Sales Invoices in different exchange rates
|
|
for exc_rate in [75.9, 83.1]:
|
|
with self.subTest(exc_rate=exc_rate):
|
|
si = self.create_sales_invoice(qty=1, conversion_rate=exc_rate, rate=1, do_not_submit=True)
|
|
advances = si.get_advance_entries()
|
|
self.assertEqual(len(advances), 1)
|
|
self.assertEqual(advances[0].reference_name, adv.name)
|
|
si.append(
|
|
"advances",
|
|
{
|
|
"doctype": "Sales Invoice Advance",
|
|
"reference_type": advances[0].reference_type,
|
|
"reference_name": advances[0].reference_name,
|
|
"reference_row": advances[0].reference_row,
|
|
"advance_amount": 1,
|
|
"allocated_amount": 1,
|
|
"ref_exchange_rate": advances[0].exchange_rate,
|
|
"remarks": advances[0].remarks,
|
|
},
|
|
)
|
|
|
|
si = si.save()
|
|
si = si.submit()
|
|
|
|
# Outstanding in both currencies should be '0'
|
|
adv.reload()
|
|
self.assertEqual(si.outstanding_amount, 0)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 0.0, 0.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created.
|
|
exc_je_for_si = [
|
|
x for x in self.get_journals_for(si.doctype, si.name) if x.parent != adv.name
|
|
]
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 1)
|
|
self.assertEqual(len(exc_je_for_adv), 1)
|
|
self.assertEqual(exc_je_for_si, exc_je_for_adv)
|
|
|
|
# Cancel Invoice
|
|
si.cancel()
|
|
|
|
# Exchange Gain/Loss Journal should've been cancelled
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
self.assertEqual(exc_je_for_si, [])
|
|
self.assertEqual(exc_je_for_adv, [])
|
|
|
|
def test_22_partial_advance_and_payment_for_invoice_with_cancellation(self):
|
|
"""
|
|
Invoice with partial advance payment as Journal, and a normal payment. Then cancel advance and payment.
|
|
"""
|
|
# Partial Advance
|
|
adv_exc_rate = 75
|
|
adv = self.create_journal_entry(
|
|
acc1=self.debit_usd,
|
|
acc1_exc_rate=adv_exc_rate,
|
|
acc2=self.cash,
|
|
acc1_amount=-1,
|
|
acc2_amount=adv_exc_rate * -1,
|
|
acc2_exc_rate=1,
|
|
)
|
|
adv.accounts[0].party_type = "Customer"
|
|
adv.accounts[0].party = self.customer
|
|
adv.accounts[0].is_advance = "Yes"
|
|
adv = adv.save().submit()
|
|
adv.reload()
|
|
|
|
# invoice with advance(partial amount)
|
|
si = self.create_sales_invoice(qty=3, conversion_rate=80, rate=1, do_not_submit=True)
|
|
advances = si.get_advance_entries()
|
|
self.assertEqual(len(advances), 1)
|
|
self.assertEqual(advances[0].reference_name, adv.name)
|
|
si.append(
|
|
"advances",
|
|
{
|
|
"doctype": "Sales Invoice Advance",
|
|
"reference_type": advances[0].reference_type,
|
|
"reference_name": advances[0].reference_name,
|
|
"reference_row": advances[0].reference_row,
|
|
"advance_amount": 1,
|
|
"allocated_amount": 1,
|
|
"ref_exchange_rate": advances[0].exchange_rate,
|
|
"remarks": advances[0].remarks,
|
|
},
|
|
)
|
|
|
|
si = si.save()
|
|
si = si.submit()
|
|
|
|
# Outstanding should be there in both currencies
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 2) # account currency
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 160.0, 2.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created for the partial advance
|
|
exc_je_for_si = [x for x in self.get_journals_for(si.doctype, si.name) if x.parent != adv.name]
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 1)
|
|
self.assertEqual(len(exc_je_for_adv), 1)
|
|
self.assertEqual(exc_je_for_si, exc_je_for_adv)
|
|
|
|
# Payment
|
|
adv2_exc_rate = 83
|
|
pay = self.create_journal_entry(
|
|
acc1=self.debit_usd,
|
|
acc1_exc_rate=adv2_exc_rate,
|
|
acc2=self.cash,
|
|
acc1_amount=-2,
|
|
acc2_amount=adv2_exc_rate * -2,
|
|
acc2_exc_rate=1,
|
|
)
|
|
pay.accounts[0].party_type = "Customer"
|
|
pay.accounts[0].party = self.customer
|
|
pay.accounts[0].is_advance = "Yes"
|
|
pay = pay.save().submit()
|
|
pay.reload()
|
|
|
|
# Reconcile the remaining amount
|
|
pr = self.create_payment_reconciliation()
|
|
# pr.receivable_payable_account = self.debit_usd
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
|
|
# Outstanding should be '0' in both currencies
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 0)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 0.0, 0.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created for the payment
|
|
exc_je_for_si = [
|
|
x
|
|
for x in self.get_journals_for(si.doctype, si.name)
|
|
if x.parent != adv.name and x.parent != pay.name
|
|
]
|
|
exc_je_for_pe = self.get_journals_for(pay.doctype, pay.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
# There should be 2 JE's now. One for the advance and one for the payment
|
|
self.assertEqual(len(exc_je_for_si), 2)
|
|
self.assertEqual(len(exc_je_for_pe), 1)
|
|
self.assertEqual(exc_je_for_si, exc_je_for_pe + exc_je_for_adv)
|
|
|
|
adv.reload()
|
|
adv.cancel()
|
|
|
|
# Outstanding should be there in both currencies, since advance is cancelled.
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 1) # account currency
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 80.0, 1.0)
|
|
|
|
exc_je_for_si = [
|
|
x
|
|
for x in self.get_journals_for(si.doctype, si.name)
|
|
if x.parent != adv.name and x.parent != pay.name
|
|
]
|
|
exc_je_for_pe = self.get_journals_for(pay.doctype, pay.name)
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
# Exchange Gain/Loss Journal for advance should been cancelled
|
|
self.assertEqual(len(exc_je_for_si), 1)
|
|
self.assertEqual(len(exc_je_for_pe), 1)
|
|
self.assertEqual(exc_je_for_adv, [])
|
|
|
|
def test_23_same_journal_split_against_single_invoice(self):
|
|
# Invoice in Foreign Currency
|
|
si = self.create_sales_invoice(qty=2, conversion_rate=80, rate=1)
|
|
# Payment
|
|
je = self.create_journal_entry(
|
|
acc1=self.debit_usd,
|
|
acc1_exc_rate=75,
|
|
acc2=self.cash,
|
|
acc1_amount=-2,
|
|
acc2_amount=-150,
|
|
acc2_exc_rate=1,
|
|
)
|
|
je.accounts[0].party_type = "Customer"
|
|
je.accounts[0].party = self.customer
|
|
je = je.save().submit()
|
|
|
|
# Reconcile the first half
|
|
pr = self.create_payment_reconciliation()
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
difference_amount = pr.calculate_difference_on_allocation_change(
|
|
[x.as_dict() for x in pr.payments], [x.as_dict() for x in pr.invoices], 1
|
|
)
|
|
pr.allocation[0].allocated_amount = 1
|
|
pr.allocation[0].difference_amount = difference_amount
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
|
|
# There should be outstanding in both currencies
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 1)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 80.0, 1.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created.
|
|
exc_je_for_si = [x for x in self.get_journals_for(si.doctype, si.name) if x.parent != je.name]
|
|
exc_je_for_je = self.get_journals_for(je.doctype, je.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 1)
|
|
self.assertEqual(len(exc_je_for_je), 1)
|
|
self.assertIn(exc_je_for_je[0], exc_je_for_si)
|
|
|
|
# reconcile remaining half
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.allocation[0].allocated_amount = 1
|
|
pr.allocation[0].difference_amount = difference_amount
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created.
|
|
exc_je_for_si = [x for x in self.get_journals_for(si.doctype, si.name) if x.parent != je.name]
|
|
exc_je_for_je = self.get_journals_for(je.doctype, je.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 2)
|
|
self.assertEqual(len(exc_je_for_je), 2)
|
|
self.assertIn(exc_je_for_je[0], exc_je_for_si)
|
|
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 0)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 0.0, 0.0)
|
|
|
|
# Cancel Payment
|
|
je.reload()
|
|
je.cancel()
|
|
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 2)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 160.0, 2.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been cancelled
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_je = self.get_journals_for(je.doctype, je.name)
|
|
self.assertEqual(exc_je_for_si, [])
|
|
self.assertEqual(exc_je_for_je, [])
|
|
|
|
def test_24_journal_against_multiple_invoices(self):
|
|
si1 = self.create_sales_invoice(qty=1, conversion_rate=80, rate=1)
|
|
si2 = self.create_sales_invoice(qty=1, conversion_rate=80, rate=1)
|
|
|
|
# Payment
|
|
je = self.create_journal_entry(
|
|
acc1=self.debit_usd,
|
|
acc1_exc_rate=75,
|
|
acc2=self.cash,
|
|
acc1_amount=-2,
|
|
acc2_amount=-150,
|
|
acc2_exc_rate=1,
|
|
)
|
|
je.accounts[0].party_type = "Customer"
|
|
je.accounts[0].party = self.customer
|
|
je = je.save().submit()
|
|
|
|
pr = self.create_payment_reconciliation()
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 2)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
|
|
si1.reload()
|
|
si2.reload()
|
|
|
|
self.assertEqual(si1.outstanding_amount, 0)
|
|
self.assertEqual(si2.outstanding_amount, 0)
|
|
self.assert_ledger_outstanding(si1.doctype, si1.name, 0.0, 0.0)
|
|
self.assert_ledger_outstanding(si2.doctype, si2.name, 0.0, 0.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created
|
|
# remove payment JE from list
|
|
exc_je_for_si1 = [x for x in self.get_journals_for(si1.doctype, si1.name) if x.parent != je.name]
|
|
exc_je_for_si2 = [x for x in self.get_journals_for(si2.doctype, si2.name) if x.parent != je.name]
|
|
exc_je_for_je = [x for x in self.get_journals_for(je.doctype, je.name) if x.parent != je.name]
|
|
self.assertEqual(len(exc_je_for_si1), 1)
|
|
self.assertEqual(len(exc_je_for_si2), 1)
|
|
self.assertEqual(len(exc_je_for_je), 2)
|
|
|
|
si1.cancel()
|
|
# Gain/Loss JE of si1 should've been cancelled
|
|
exc_je_for_si1 = [x for x in self.get_journals_for(si1.doctype, si1.name) if x.parent != je.name]
|
|
exc_je_for_si2 = [x for x in self.get_journals_for(si2.doctype, si2.name) if x.parent != je.name]
|
|
exc_je_for_je = [x for x in self.get_journals_for(je.doctype, je.name) if x.parent != je.name]
|
|
self.assertEqual(len(exc_je_for_si1), 0)
|
|
self.assertEqual(len(exc_je_for_si2), 1)
|
|
self.assertEqual(len(exc_je_for_je), 1)
|
|
|
|
def test_30_cr_note_against_sales_invoice(self):
|
|
"""
|
|
Reconciling Cr Note against Sales Invoice, both having different exchange rates
|
|
"""
|
|
# Invoice in Foreign currency
|
|
si = self.create_sales_invoice(qty=2, conversion_rate=80, rate=1)
|
|
|
|
# Cr Note in Foreign currency of different exchange rate
|
|
cr_note = self.create_sales_invoice(qty=-2, conversion_rate=75, rate=1, do_not_save=True)
|
|
cr_note.is_return = 1
|
|
cr_note.save().submit()
|
|
|
|
# Reconcile the first half
|
|
pr = self.create_payment_reconciliation()
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
difference_amount = pr.calculate_difference_on_allocation_change(
|
|
[x.as_dict() for x in pr.payments], [x.as_dict() for x in pr.invoices], 1
|
|
)
|
|
pr.allocation[0].allocated_amount = 1
|
|
pr.allocation[0].difference_amount = difference_amount
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
|
|
# Exchange Gain/Loss Journal should've been created.
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_cr = self.get_journals_for(cr_note.doctype, cr_note.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 2)
|
|
self.assertEqual(len(exc_je_for_cr), 2)
|
|
self.assertEqual(exc_je_for_cr, exc_je_for_si)
|
|
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 1)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 80.0, 1.0)
|
|
|
|
cr_note.reload()
|
|
cr_note.cancel()
|
|
|
|
# with the introduction of 'cancel_system_generated_credit_debit_notes' in accounts controller
|
|
# JE(Credit Note) will be cancelled once the parent is cancelled
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_cr = self.get_journals_for(cr_note.doctype, cr_note.name)
|
|
self.assertEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 0)
|
|
self.assertEqual(len(exc_je_for_cr), 0)
|
|
|
|
# No references, full outstanding
|
|
si.reload()
|
|
self.assertEqual(si.outstanding_amount, 2)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 160.0, 2.0)
|
|
|
|
def test_40_cost_center_from_payment_entry(self):
|
|
"""
|
|
Gain/Loss JE should inherit cost center from payment if company default is unset
|
|
"""
|
|
# remove default cost center
|
|
cc = frappe.db.get_value("Company", self.company, "cost_center")
|
|
frappe.db.set_value("Company", self.company, "cost_center", None)
|
|
|
|
rate_in_account_currency = 1
|
|
si = self.create_sales_invoice(qty=1, rate=rate_in_account_currency, do_not_submit=True)
|
|
si.cost_center = None
|
|
si.save().submit()
|
|
|
|
pe = get_payment_entry(si.doctype, si.name)
|
|
pe.source_exchange_rate = 75
|
|
pe.received_amount = 75
|
|
pe.cost_center = self.cost_center
|
|
pe = pe.save().submit()
|
|
|
|
# Exchange Gain/Loss Journal should've been created.
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_pe = self.get_journals_for(pe.doctype, pe.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 1)
|
|
self.assertEqual(len(exc_je_for_pe), 1)
|
|
self.assertEqual(exc_je_for_si[0], exc_je_for_pe[0])
|
|
|
|
self.assertEqual(
|
|
[self.cost_center, self.cost_center],
|
|
frappe.db.get_all(
|
|
"Journal Entry Account", filters={"parent": exc_je_for_si[0].parent}, pluck="cost_center"
|
|
),
|
|
)
|
|
frappe.db.set_value("Company", self.company, "cost_center", cc)
|
|
|
|
def test_41_cost_center_from_journal_entry(self):
|
|
"""
|
|
Gain/Loss JE should inherit cost center from payment if company default is unset
|
|
"""
|
|
# remove default cost center
|
|
cc = frappe.db.get_value("Company", self.company, "cost_center")
|
|
frappe.db.set_value("Company", self.company, "cost_center", None)
|
|
|
|
rate_in_account_currency = 1
|
|
si = self.create_sales_invoice(qty=1, rate=rate_in_account_currency, do_not_submit=True)
|
|
si.cost_center = None
|
|
si.save().submit()
|
|
|
|
je = self.create_journal_entry(
|
|
acc1=self.debit_usd,
|
|
acc1_exc_rate=75,
|
|
acc2=self.cash,
|
|
acc1_amount=-1,
|
|
acc2_amount=-75,
|
|
acc2_exc_rate=1,
|
|
)
|
|
je.accounts[0].party_type = "Customer"
|
|
je.accounts[0].party = self.customer
|
|
je.accounts[0].cost_center = self.cost_center
|
|
je = je.save().submit()
|
|
|
|
# Reconcile
|
|
pr = self.create_payment_reconciliation()
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created.
|
|
exc_je_for_si = [x for x in self.get_journals_for(si.doctype, si.name) if x.parent != je.name]
|
|
exc_je_for_je = [x for x in self.get_journals_for(je.doctype, je.name) if x.parent != je.name]
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 1)
|
|
self.assertEqual(len(exc_je_for_je), 1)
|
|
self.assertEqual(exc_je_for_si[0], exc_je_for_je[0])
|
|
|
|
self.assertEqual(
|
|
[self.cost_center, self.cost_center],
|
|
frappe.db.get_all(
|
|
"Journal Entry Account", filters={"parent": exc_je_for_si[0].parent}, pluck="cost_center"
|
|
),
|
|
)
|
|
frappe.db.set_value("Company", self.company, "cost_center", cc)
|
|
|
|
def test_42_cost_center_from_cr_note(self):
|
|
"""
|
|
Gain/Loss JE should inherit cost center from payment if company default is unset
|
|
"""
|
|
# remove default cost center
|
|
cc = frappe.db.get_value("Company", self.company, "cost_center")
|
|
frappe.db.set_value("Company", self.company, "cost_center", None)
|
|
|
|
rate_in_account_currency = 1
|
|
si = self.create_sales_invoice(qty=1, rate=rate_in_account_currency, do_not_submit=True)
|
|
si.cost_center = None
|
|
si.save().submit()
|
|
|
|
cr_note = self.create_sales_invoice(qty=-1, conversion_rate=75, rate=1, do_not_save=True)
|
|
cr_note.cost_center = self.cost_center
|
|
cr_note.is_return = 1
|
|
cr_note.save().submit()
|
|
|
|
# Reconcile
|
|
pr = self.create_payment_reconciliation()
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created.
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_cr_note = self.get_journals_for(cr_note.doctype, cr_note.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 2)
|
|
self.assertEqual(len(exc_je_for_cr_note), 2)
|
|
self.assertEqual(exc_je_for_si, exc_je_for_cr_note)
|
|
|
|
for x in exc_je_for_si + exc_je_for_cr_note:
|
|
with self.subTest(x=x):
|
|
self.assertEqual(
|
|
[self.cost_center, self.cost_center],
|
|
frappe.db.get_all(
|
|
"Journal Entry Account", filters={"parent": x.parent}, pluck="cost_center"
|
|
),
|
|
)
|
|
|
|
frappe.db.set_value("Company", self.company, "cost_center", cc)
|
|
|
|
def setup_dimensions(self):
|
|
# create dimension
|
|
from erpnext.accounts.doctype.accounting_dimension.test_accounting_dimension import (
|
|
create_dimension,
|
|
)
|
|
|
|
create_dimension()
|
|
# make it non-mandatory
|
|
loc = frappe.get_doc("Accounting Dimension", "Location")
|
|
for x in loc.dimension_defaults:
|
|
x.mandatory_for_bs = False
|
|
x.mandatory_for_pl = False
|
|
loc.save()
|
|
|
|
def test_90_dimensions_filter(self):
|
|
"""
|
|
Test workings of dimension filters
|
|
"""
|
|
self.setup_dimensions()
|
|
rate_in_account_currency = 1
|
|
|
|
# Invoices
|
|
si1 = self.create_sales_invoice(qty=1, rate=rate_in_account_currency, do_not_submit=True)
|
|
si1.department = "Management - _TC"
|
|
si1.save().submit()
|
|
|
|
si2 = self.create_sales_invoice(qty=1, rate=rate_in_account_currency, do_not_submit=True)
|
|
si2.department = "Operations - _TC"
|
|
si2.save().submit()
|
|
|
|
# Payments
|
|
cr_note1 = self.create_sales_invoice(qty=-1, conversion_rate=75, rate=1, do_not_save=True)
|
|
cr_note1.department = "Management - _TC"
|
|
cr_note1.is_return = 1
|
|
cr_note1.save().submit()
|
|
|
|
cr_note2 = self.create_sales_invoice(qty=-1, conversion_rate=75, rate=1, do_not_save=True)
|
|
cr_note2.department = "Legal - _TC"
|
|
cr_note2.is_return = 1
|
|
cr_note2.save().submit()
|
|
|
|
pe1 = get_payment_entry(si1.doctype, si1.name)
|
|
pe1.references = []
|
|
pe1.department = "Research & Development - _TC"
|
|
pe1.save().submit()
|
|
|
|
pe2 = get_payment_entry(si1.doctype, si1.name)
|
|
pe2.references = []
|
|
pe2.department = "Management - _TC"
|
|
pe2.save().submit()
|
|
|
|
je1 = self.create_journal_entry(
|
|
acc1=self.debit_usd,
|
|
acc1_exc_rate=75,
|
|
acc2=self.cash,
|
|
acc1_amount=-1,
|
|
acc2_amount=-75,
|
|
acc2_exc_rate=1,
|
|
)
|
|
je1.accounts[0].party_type = "Customer"
|
|
je1.accounts[0].party = self.customer
|
|
je1.accounts[0].department = "Management - _TC"
|
|
je1.save().submit()
|
|
|
|
# assert dimension filter's result
|
|
pr = self.create_payment_reconciliation()
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 2)
|
|
self.assertEqual(len(pr.payments), 5)
|
|
|
|
pr.department = "Legal - _TC"
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
|
|
pr.department = "Management - _TC"
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 3)
|
|
|
|
pr.department = "Research & Development - _TC"
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
|
|
def test_91_cr_note_should_inherit_dimension(self):
|
|
self.setup_dimensions()
|
|
rate_in_account_currency = 1
|
|
|
|
# Invoice
|
|
si = self.create_sales_invoice(qty=1, rate=rate_in_account_currency, do_not_submit=True)
|
|
si.department = "Management - _TC"
|
|
si.save().submit()
|
|
|
|
# Payment
|
|
cr_note = self.create_sales_invoice(qty=-1, conversion_rate=75, rate=1, do_not_save=True)
|
|
cr_note.department = "Management - _TC"
|
|
cr_note.is_return = 1
|
|
cr_note.save().submit()
|
|
|
|
pr = self.create_payment_reconciliation()
|
|
pr.department = "Management - _TC"
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
|
|
# There should be 2 journals, JE(Cr Note) and JE(Exchange Gain/Loss)
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_cr_note = self.get_journals_for(cr_note.doctype, cr_note.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(len(exc_je_for_si), 2)
|
|
self.assertEqual(len(exc_je_for_cr_note), 2)
|
|
self.assertEqual(exc_je_for_si, exc_je_for_cr_note)
|
|
|
|
for x in exc_je_for_si + exc_je_for_cr_note:
|
|
with self.subTest(x=x):
|
|
self.assertEqual(
|
|
[cr_note.department, cr_note.department],
|
|
frappe.db.get_all(
|
|
"Journal Entry Account", filters={"parent": x.parent}, pluck="department"
|
|
),
|
|
)
|
|
|
|
def test_92_dimension_inhertiance_exc_gain_loss(self):
|
|
# Sales Invoice in Foreign Currency
|
|
self.setup_dimensions()
|
|
rate_in_account_currency = 1
|
|
dpt = "Research & Development - _TC"
|
|
|
|
si = self.create_sales_invoice(qty=1, rate=rate_in_account_currency, do_not_save=True)
|
|
si.department = dpt
|
|
si.save().submit()
|
|
|
|
pe = self.create_payment_entry(amount=1, source_exc_rate=82).save()
|
|
pe.department = dpt
|
|
pe = pe.save().submit()
|
|
|
|
pr = self.create_payment_reconciliation()
|
|
pr.department = dpt
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
|
|
# Exc Gain/Loss journals should inherit dimension from parent
|
|
journals = self.get_journals_for(si.doctype, si.name)
|
|
self.assertEqual(
|
|
[dpt, dpt],
|
|
frappe.db.get_all(
|
|
"Journal Entry Account",
|
|
filters={"parent": ("in", [x.parent for x in journals])},
|
|
pluck="department",
|
|
),
|
|
)
|
|
|
|
def test_93_dimension_inheritance_on_advance(self):
|
|
self.setup_dimensions()
|
|
dpt = "Research & Development - _TC"
|
|
|
|
adv = self.create_payment_entry(amount=1, source_exc_rate=85)
|
|
adv.department = dpt
|
|
adv.save().submit()
|
|
adv.reload()
|
|
|
|
# Sales Invoices in different exchange rates
|
|
si = self.create_sales_invoice(qty=1, conversion_rate=82, rate=1, do_not_submit=True)
|
|
si.department = dpt
|
|
advances = si.get_advance_entries()
|
|
self.assertEqual(len(advances), 1)
|
|
self.assertEqual(advances[0].reference_name, adv.name)
|
|
si.append(
|
|
"advances",
|
|
{
|
|
"doctype": "Sales Invoice Advance",
|
|
"reference_type": advances[0].reference_type,
|
|
"reference_name": advances[0].reference_name,
|
|
"reference_row": advances[0].reference_row,
|
|
"advance_amount": 1,
|
|
"allocated_amount": 1,
|
|
"ref_exchange_rate": advances[0].exchange_rate,
|
|
"remarks": advances[0].remarks,
|
|
},
|
|
)
|
|
si = si.save().submit()
|
|
|
|
# Outstanding in both currencies should be '0'
|
|
adv.reload()
|
|
self.assertEqual(si.outstanding_amount, 0)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 0.0, 0.0)
|
|
|
|
# Exc Gain/Loss journals should inherit dimension from parent
|
|
journals = self.get_journals_for(si.doctype, si.name)
|
|
self.assertEqual(
|
|
[dpt, dpt],
|
|
frappe.db.get_all(
|
|
"Journal Entry Account",
|
|
filters={"parent": ("in", [x.parent for x in journals])},
|
|
pluck="department",
|
|
),
|
|
)
|
|
|
|
def test_50_journal_against_journal(self):
|
|
# Invoice in Foreign Currency
|
|
journal_as_invoice = self.create_journal_entry(
|
|
acc1=self.debit_usd,
|
|
acc1_exc_rate=83,
|
|
acc2=self.cash,
|
|
acc1_amount=1,
|
|
acc2_amount=83,
|
|
acc2_exc_rate=1,
|
|
)
|
|
journal_as_invoice.accounts[0].party_type = "Customer"
|
|
journal_as_invoice.accounts[0].party = self.customer
|
|
journal_as_invoice = journal_as_invoice.save().submit()
|
|
|
|
# Payment
|
|
journal_as_payment = self.create_journal_entry(
|
|
acc1=self.debit_usd,
|
|
acc1_exc_rate=75,
|
|
acc2=self.cash,
|
|
acc1_amount=-1,
|
|
acc2_amount=-75,
|
|
acc2_exc_rate=1,
|
|
)
|
|
journal_as_payment.accounts[0].party_type = "Customer"
|
|
journal_as_payment.accounts[0].party = self.customer
|
|
journal_as_payment = journal_as_payment.save().submit()
|
|
|
|
# Reconcile the remaining amount
|
|
pr = self.create_payment_reconciliation()
|
|
# pr.receivable_payable_account = self.debit_usd
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
|
|
# There should be no outstanding in both currencies
|
|
journal_as_invoice.reload()
|
|
self.assert_ledger_outstanding(journal_as_invoice.doctype, journal_as_invoice.name, 0.0, 0.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created.
|
|
exc_je_for_si = self.get_journals_for(journal_as_invoice.doctype, journal_as_invoice.name)
|
|
exc_je_for_je = self.get_journals_for(journal_as_payment.doctype, journal_as_payment.name)
|
|
self.assertNotEqual(exc_je_for_si, [])
|
|
self.assertEqual(
|
|
len(exc_je_for_si), 2
|
|
) # payment also has reference. so, there are 2 journals referencing invoice
|
|
self.assertEqual(len(exc_je_for_je), 1)
|
|
self.assertIn(exc_je_for_je[0], exc_je_for_si)
|
|
|
|
# Cancel Payment
|
|
journal_as_payment.reload()
|
|
journal_as_payment.cancel()
|
|
|
|
journal_as_invoice.reload()
|
|
self.assert_ledger_outstanding(journal_as_invoice.doctype, journal_as_invoice.name, 83.0, 1.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been cancelled
|
|
exc_je_for_si = self.get_journals_for(journal_as_invoice.doctype, journal_as_invoice.name)
|
|
exc_je_for_je = self.get_journals_for(journal_as_payment.doctype, journal_as_payment.name)
|
|
self.assertEqual(exc_je_for_si, [])
|
|
self.assertEqual(exc_je_for_je, [])
|
|
|
|
def test_60_payment_entry_against_journal(self):
|
|
# Invoices
|
|
exc_rate1 = 75
|
|
exc_rate2 = 77
|
|
amount = 1
|
|
je1 = self.create_journal_entry(
|
|
acc1=self.debit_usd,
|
|
acc1_exc_rate=exc_rate1,
|
|
acc2=self.cash,
|
|
acc1_amount=amount,
|
|
acc2_amount=(amount * 75),
|
|
acc2_exc_rate=1,
|
|
)
|
|
je1.accounts[0].party_type = "Customer"
|
|
je1.accounts[0].party = self.customer
|
|
je1 = je1.save().submit()
|
|
|
|
je2 = self.create_journal_entry(
|
|
acc1=self.debit_usd,
|
|
acc1_exc_rate=exc_rate2,
|
|
acc2=self.cash,
|
|
acc1_amount=amount,
|
|
acc2_amount=(amount * exc_rate2),
|
|
acc2_exc_rate=1,
|
|
)
|
|
je2.accounts[0].party_type = "Customer"
|
|
je2.accounts[0].party = self.customer
|
|
je2 = je2.save().submit()
|
|
|
|
# Payment
|
|
pe = self.create_payment_entry(amount=2, source_exc_rate=exc_rate1).save().submit()
|
|
|
|
pr = self.create_payment_reconciliation()
|
|
pr.receivable_payable_account = self.debit_usd
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 2)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
|
|
# There should be no outstanding in both currencies
|
|
self.assert_ledger_outstanding(je1.doctype, je1.name, 0.0, 0.0)
|
|
self.assert_ledger_outstanding(je2.doctype, je2.name, 0.0, 0.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created only for JE2
|
|
exc_je_for_je1 = self.get_journals_for(je1.doctype, je1.name)
|
|
exc_je_for_je2 = self.get_journals_for(je2.doctype, je2.name)
|
|
self.assertEqual(exc_je_for_je1, [])
|
|
self.assertEqual(len(exc_je_for_je2), 1)
|
|
|
|
# Cancel Payment
|
|
pe.reload()
|
|
pe.cancel()
|
|
|
|
self.assert_ledger_outstanding(je1.doctype, je1.name, (amount * exc_rate1), amount)
|
|
self.assert_ledger_outstanding(je2.doctype, je2.name, (amount * exc_rate2), amount)
|
|
|
|
# Exchange Gain/Loss Journal should've been cancelled
|
|
exc_je_for_je1 = self.get_journals_for(je1.doctype, je1.name)
|
|
exc_je_for_je2 = self.get_journals_for(je2.doctype, je2.name)
|
|
self.assertEqual(exc_je_for_je1, [])
|
|
self.assertEqual(exc_je_for_je2, [])
|
|
|
|
def test_61_payment_entry_against_journal_for_payable_accounts(self):
|
|
# Invoices
|
|
exc_rate1 = 75
|
|
exc_rate2 = 77
|
|
amount = 1
|
|
je1 = self.create_journal_entry(
|
|
acc1=self.creditors_usd,
|
|
acc1_exc_rate=exc_rate1,
|
|
acc2=self.cash,
|
|
acc1_amount=-amount,
|
|
acc2_amount=(-amount * 75),
|
|
acc2_exc_rate=1,
|
|
)
|
|
je1.accounts[0].party_type = "Supplier"
|
|
je1.accounts[0].party = self.supplier
|
|
je1 = je1.save().submit()
|
|
|
|
# Payment
|
|
pe = create_payment_entry(
|
|
company=self.company,
|
|
payment_type="Pay",
|
|
party_type="Supplier",
|
|
party=self.supplier,
|
|
paid_from=self.cash,
|
|
paid_to=self.creditors_usd,
|
|
paid_amount=amount,
|
|
)
|
|
pe.target_exchange_rate = exc_rate2
|
|
pe.received_amount = amount
|
|
pe.paid_amount = amount * exc_rate2
|
|
pe.save().submit()
|
|
|
|
pr = frappe.get_doc(
|
|
{
|
|
"doctype": "Payment Reconciliation",
|
|
"company": self.company,
|
|
"party_type": "Supplier",
|
|
"party": self.supplier,
|
|
"receivable_payable_account": get_party_account("Supplier", self.supplier, self.company),
|
|
}
|
|
)
|
|
pr.from_invoice_date = pr.to_invoice_date = pr.from_payment_date = pr.to_payment_date = nowdate()
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(len(pr.invoices), 1)
|
|
self.assertEqual(len(pr.payments), 1)
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
|
|
# There should be no outstanding in both currencies
|
|
self.assert_ledger_outstanding(je1.doctype, je1.name, 0.0, 0.0)
|
|
|
|
# Exchange Gain/Loss Journal should've been created
|
|
exc_je_for_je1 = self.get_journals_for(je1.doctype, je1.name)
|
|
self.assertEqual(len(exc_je_for_je1), 1)
|
|
|
|
# Cancel Payment
|
|
pe.reload()
|
|
pe.cancel()
|
|
|
|
self.assert_ledger_outstanding(je1.doctype, je1.name, (amount * exc_rate1), amount)
|
|
|
|
# Exchange Gain/Loss Journal should've been cancelled
|
|
exc_je_for_je1 = self.get_journals_for(je1.doctype, je1.name)
|
|
self.assertEqual(exc_je_for_je1, [])
|
|
|
|
def test_70_advance_payment_against_sales_invoice_in_foreign_currency(self):
|
|
"""
|
|
Customer advance booked under Liability
|
|
"""
|
|
self.setup_advance_accounts_in_party_master()
|
|
|
|
adv = self.create_payment_entry(amount=1, source_exc_rate=83)
|
|
adv.save() # explicit 'save' is needed to trigger set_liability_account()
|
|
self.assertEqual(adv.paid_from, self.advance_received_usd)
|
|
adv.submit()
|
|
|
|
si = self.create_sales_invoice(qty=1, conversion_rate=80, rate=1, do_not_submit=True)
|
|
si.debit_to = self.debtors_usd
|
|
si.save().submit()
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 80.0, 1.0)
|
|
|
|
pr = self.create_payment_reconciliation()
|
|
pr.receivable_payable_account = self.debtors_usd
|
|
pr.default_advance_account = self.advance_received_usd
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(pr.invoices[0].invoice_number, si.name)
|
|
self.assertEqual(pr.payments[0].reference_name, adv.name)
|
|
|
|
# Allocate and Reconcile
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 0.0, 0.0)
|
|
|
|
# Exc Gain/Loss journal should've been creatad
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
self.assertEqual(len(exc_je_for_si), 1)
|
|
self.assertEqual(len(exc_je_for_adv), 1)
|
|
self.assertEqual(exc_je_for_si, exc_je_for_adv)
|
|
|
|
adv.reload()
|
|
adv.cancel()
|
|
si.reload()
|
|
self.assert_ledger_outstanding(si.doctype, si.name, 80.0, 1.0)
|
|
# Exc Gain/Loss journal should've been cancelled
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
self.assertEqual(len(exc_je_for_si), 0)
|
|
self.assertEqual(len(exc_je_for_adv), 0)
|
|
|
|
self.remove_advance_accounts_from_party_master()
|
|
|
|
def test_71_advance_payment_against_purchase_invoice_in_foreign_currency(self):
|
|
"""
|
|
Supplier advance booked under Asset
|
|
"""
|
|
self.setup_advance_accounts_in_party_master()
|
|
|
|
usd_amount = 1
|
|
inr_amount = 85
|
|
exc_rate = 85
|
|
adv = create_payment_entry(
|
|
company=self.company,
|
|
payment_type="Pay",
|
|
party_type="Supplier",
|
|
party=self.supplier,
|
|
paid_from=self.cash,
|
|
paid_to=self.advance_paid_usd,
|
|
paid_amount=inr_amount,
|
|
)
|
|
adv.source_exchange_rate = 1
|
|
adv.target_exchange_rate = exc_rate
|
|
adv.received_amount = usd_amount
|
|
adv.paid_amount = exc_rate * usd_amount
|
|
adv.posting_date = nowdate()
|
|
adv.save()
|
|
# Make sure that advance account is still set
|
|
self.assertEqual(adv.paid_to, self.advance_paid_usd)
|
|
adv.submit()
|
|
|
|
pi = self.create_purchase_invoice(qty=1, conversion_rate=83, rate=1)
|
|
self.assertEqual(pi.credit_to, self.creditors_usd)
|
|
self.assert_ledger_outstanding(pi.doctype, pi.name, 83.0, 1.0)
|
|
|
|
pr = self.create_payment_reconciliation()
|
|
pr.party_type = "Supplier"
|
|
pr.party = self.supplier
|
|
pr.receivable_payable_account = self.creditors_usd
|
|
pr.default_advance_account = self.advance_paid_usd
|
|
pr.get_unreconciled_entries()
|
|
self.assertEqual(pr.invoices[0].invoice_number, pi.name)
|
|
self.assertEqual(pr.payments[0].reference_name, adv.name)
|
|
|
|
# Allocate and Reconcile
|
|
invoices = [x.as_dict() for x in pr.invoices]
|
|
payments = [x.as_dict() for x in pr.payments]
|
|
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
|
|
pr.reconcile()
|
|
self.assertEqual(len(pr.invoices), 0)
|
|
self.assertEqual(len(pr.payments), 0)
|
|
self.assert_ledger_outstanding(pi.doctype, pi.name, 0.0, 0.0)
|
|
|
|
# Exc Gain/Loss journal should've been creatad
|
|
exc_je_for_pi = self.get_journals_for(pi.doctype, pi.name)
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
self.assertEqual(len(exc_je_for_pi), 1)
|
|
self.assertEqual(len(exc_je_for_adv), 1)
|
|
self.assertEqual(exc_je_for_pi, exc_je_for_adv)
|
|
|
|
adv.reload()
|
|
adv.cancel()
|
|
pi.reload()
|
|
self.assert_ledger_outstanding(pi.doctype, pi.name, 83.0, 1.0)
|
|
# Exc Gain/Loss journal should've been cancelled
|
|
exc_je_for_pi = self.get_journals_for(pi.doctype, pi.name)
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
self.assertEqual(len(exc_je_for_pi), 0)
|
|
self.assertEqual(len(exc_je_for_adv), 0)
|
|
|
|
self.remove_advance_accounts_from_party_master()
|
|
|
|
def test_difference_posting_date_in_pi_and_si(self):
|
|
self.setup_advance_accounts_in_party_master()
|
|
|
|
# create payment entry for customer
|
|
adv = self.create_payment_entry(amount=1, source_exc_rate=83)
|
|
adv.save()
|
|
self.assertEqual(adv.paid_from, self.advance_received_usd)
|
|
adv.submit()
|
|
adv.reload()
|
|
|
|
# create sales invoice with advance received
|
|
si = self.create_sales_invoice(qty=1, conversion_rate=80, rate=1, do_not_submit=True)
|
|
si.debit_to = self.debtors_usd
|
|
si.append(
|
|
"advances",
|
|
{
|
|
"reference_type": adv.doctype,
|
|
"reference_name": adv.name,
|
|
"remarks": "Amount INR 1 received from _Test MC Customer USD\nTransaction reference no Test001 dated 2024-12-19",
|
|
"advance_amount": 1.0,
|
|
"allocated_amount": 1.0,
|
|
"exchange_gain_loss": 3.0,
|
|
"ref_exchange_rate": 83.0,
|
|
"difference_posting_date": add_days(nowdate(), -2),
|
|
},
|
|
)
|
|
si.save().submit()
|
|
|
|
# exc Gain/Loss journal should've been creatad
|
|
exc_je_for_si = self.get_journals_for(si.doctype, si.name)
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
self.assertEqual(len(exc_je_for_si), 1)
|
|
self.assertEqual(len(exc_je_for_adv), 1)
|
|
self.assertEqual(exc_je_for_si, exc_je_for_adv)
|
|
|
|
# check jv created with difference_posting_date in sales invoice
|
|
jv = frappe.get_doc("Journal Entry", exc_je_for_si[0].parent)
|
|
sales_invoice = frappe.get_doc("Sales Invoice", si.name)
|
|
self.assertEqual(sales_invoice.advances[0].difference_posting_date, jv.posting_date)
|
|
|
|
# create payment entry for supplier
|
|
usd_amount = 1
|
|
inr_amount = 85
|
|
exc_rate = 85
|
|
adv = create_payment_entry(
|
|
company=self.company,
|
|
payment_type="Pay",
|
|
party_type="Supplier",
|
|
party=self.supplier,
|
|
paid_from=self.cash,
|
|
paid_to=self.advance_paid_usd,
|
|
paid_amount=inr_amount,
|
|
)
|
|
adv.source_exchange_rate = 1
|
|
adv.target_exchange_rate = exc_rate
|
|
adv.received_amount = usd_amount
|
|
adv.paid_amount = exc_rate * usd_amount
|
|
adv.posting_date = nowdate()
|
|
adv.save()
|
|
self.assertEqual(adv.paid_to, self.advance_paid_usd)
|
|
adv.submit()
|
|
|
|
# create purchase invoice with advance paid
|
|
pi = self.create_purchase_invoice(qty=1, conversion_rate=80, rate=1, do_not_submit=True)
|
|
pi.append(
|
|
"advances",
|
|
{
|
|
"reference_type": adv.doctype,
|
|
"reference_name": adv.name,
|
|
"remarks": "Amount INR 1 paid to _Test MC Supplier USD\nTransaction reference no Test001 dated 2024-12-20",
|
|
"advance_amount": 1.0,
|
|
"allocated_amount": 1.0,
|
|
"exchange_gain_loss": 5.0,
|
|
"ref_exchange_rate": 85.0,
|
|
"difference_posting_date": add_days(nowdate(), -2),
|
|
},
|
|
)
|
|
pi.save().submit()
|
|
self.assertEqual(pi.credit_to, self.creditors_usd)
|
|
|
|
# exc Gain/Loss journal should've been creatad
|
|
exc_je_for_pi = self.get_journals_for(pi.doctype, pi.name)
|
|
exc_je_for_adv = self.get_journals_for(adv.doctype, adv.name)
|
|
self.assertEqual(len(exc_je_for_pi), 1)
|
|
self.assertEqual(len(exc_je_for_adv), 1)
|
|
self.assertEqual(exc_je_for_pi, exc_je_for_adv)
|
|
|
|
# check jv created with difference_posting_date in purchase invoice
|
|
journal_voucher = frappe.get_doc("Journal Entry", exc_je_for_pi[0].parent)
|
|
purchase_invoice = frappe.get_doc("Purchase Invoice", pi.name)
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self.assertEqual(purchase_invoice.advances[0].difference_posting_date, journal_voucher.posting_date)
|
|
|
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def test_company_validation_in_dimension(self):
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si = create_sales_invoice(do_not_submit=True)
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project = make_project({"project_name": "_Test Demo Project1", "company": "_Test Company 1"})
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si.project = project.name
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self.assertRaises(frappe.ValidationError, si.save)
|
|
|
|
si_1 = create_sales_invoice(do_not_submit=True)
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|
si_1.items[0].project = project.name
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self.assertRaises(frappe.ValidationError, si_1.save)
|
|
|
|
def test_party_billing_and_shipping_address(self):
|
|
from erpnext.crm.doctype.prospect.test_prospect import make_address
|
|
|
|
customer_billing = make_address(address_title="Customer")
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customer_billing.append("links", {"link_doctype": "Customer", "link_name": "_Test Customer"})
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|
customer_billing.save()
|
|
supplier_billing = make_address(address_title="Supplier", address_line1="2", city="Ahmedabad")
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|
supplier_billing.append("links", {"link_doctype": "Supplier", "link_name": "_Test Supplier"})
|
|
supplier_billing.save()
|
|
|
|
customer_shipping = make_address(
|
|
address_title="Customer", address_type="Shipping", address_line1="10"
|
|
)
|
|
customer_shipping.append("links", {"link_doctype": "Customer", "link_name": "_Test Customer"})
|
|
customer_shipping.save()
|
|
supplier_shipping = make_address(
|
|
address_title="Supplier", address_type="Shipping", address_line1="20", city="Ahmedabad"
|
|
)
|
|
supplier_shipping.append("links", {"link_doctype": "Supplier", "link_name": "_Test Supplier"})
|
|
supplier_shipping.save()
|
|
|
|
si = create_sales_invoice(do_not_save=True)
|
|
si.customer_address = supplier_billing.name
|
|
self.assertRaises(frappe.ValidationError, si.save)
|
|
si.customer_address = customer_billing.name
|
|
si.save()
|
|
|
|
si.shipping_address_name = supplier_shipping.name
|
|
self.assertRaises(frappe.ValidationError, si.save)
|
|
si.shipping_address_name = customer_shipping.name
|
|
si.reload()
|
|
si.save()
|
|
|
|
pi = make_purchase_invoice(do_not_save=True)
|
|
pi.supplier_address = customer_shipping.name
|
|
self.assertRaises(frappe.ValidationError, pi.save)
|
|
pi.supplier_address = supplier_shipping.name
|
|
pi.save()
|
|
|
|
def test_party_contact(self):
|
|
from frappe.contacts.doctype.contact.test_contact import create_contact
|
|
|
|
customer_contact = create_contact(name="Customer", salutation="Mr", save=False)
|
|
customer_contact.append("links", {"link_doctype": "Customer", "link_name": "_Test Customer"})
|
|
customer_contact.save()
|
|
|
|
supplier_contact = create_contact(name="Supplier", salutation="Mr", save=False)
|
|
supplier_contact.append("links", {"link_doctype": "Supplier", "link_name": "_Test Supplier"})
|
|
supplier_contact.save()
|
|
|
|
si = create_sales_invoice(do_not_save=True)
|
|
si.contact_person = supplier_contact.name
|
|
self.assertRaises(frappe.ValidationError, si.save)
|
|
si.contact_person = customer_contact.name
|
|
si.save()
|