/
account.py
1197 lines (1048 loc) · 63.1 KB
/
account.py
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# -*- coding: utf-8 -*-
import time
import math
import re
from odoo.osv import expression
from odoo.tools.float_utils import float_round as round
from odoo.tools import DEFAULT_SERVER_DATETIME_FORMAT
from odoo.exceptions import UserError, ValidationError
from odoo import api, fields, models, _
class AccountAccountType(models.Model):
_name = "account.account.type"
_description = "Account Type"
name = fields.Char(string='Account Type', required=True, translate=True)
include_initial_balance = fields.Boolean(string="Bring Accounts Balance Forward", help="Used in reports to know if we should consider journal items from the beginning of time instead of from the fiscal year only. Account types that should be reset to zero at each new fiscal year (like expenses, revenue..) should not have this option set.")
type = fields.Selection([
('other', 'Regular'),
('receivable', 'Receivable'),
('payable', 'Payable'),
('liquidity', 'Liquidity'),
], required=True, default='other',
help="The 'Internal Type' is used for features available on "\
"different types of accounts: liquidity type is for cash or bank accounts"\
", payable/receivable is for vendor/customer accounts.")
internal_group = fields.Selection([
('equity', 'Equity'),
('asset', 'Asset'),
('liability', 'Liability'),
('income', 'Income'),
('expense', 'Expense'),
], string="Internal Group",
help="The 'Internal Group' is used to filter accounts based on the internal group set on the account type.")
note = fields.Text(string='Description')
class AccountAccountTag(models.Model):
_name = 'account.account.tag'
_description = 'Account Tag'
name = fields.Char(required=True)
applicability = fields.Selection([('accounts', 'Accounts'), ('taxes', 'Taxes')], required=True, default='accounts')
color = fields.Integer('Color Index')
active = fields.Boolean(default=True, help="Set active to false to hide the Account Tag without removing it.")
#----------------------------------------------------------
# Accounts
#----------------------------------------------------------
class AccountAccount(models.Model):
_name = "account.account"
_description = "Account"
_order = "code"
@api.multi
@api.constrains('internal_type', 'reconcile')
def _check_reconcile(self):
for account in self:
if account.internal_type in ('receivable', 'payable') and account.reconcile == False:
raise ValidationError(_('You cannot have a receivable/payable account that is not reconcilable. (account code: %s)') % account.code)
@api.multi
@api.constrains('user_type_id')
def _check_user_type_id(self):
data_unaffected_earnings = self.env.ref('account.data_unaffected_earnings')
result = self.read_group([('user_type_id', '=', data_unaffected_earnings.id)], ['company_id'], ['company_id'])
for res in result:
if res.get('company_id_count', 0) >= 2:
account_unaffected_earnings = self.search([('company_id', '=', res['company_id'][0]),
('user_type_id', '=', data_unaffected_earnings.id)])
raise ValidationError(_('You cannot have more than one account with "Current Year Earnings" as type. (accounts: %s)') % [a.code for a in account_unaffected_earnings])
name = fields.Char(required=True, index=True)
currency_id = fields.Many2one('res.currency', string='Account Currency',
help="Forces all moves for this account to have this account currency.")
code = fields.Char(size=64, required=True, index=True)
deprecated = fields.Boolean(index=True, default=False)
user_type_id = fields.Many2one('account.account.type', string='Type', required=True, oldname="user_type",
help="Account Type is used for information purpose, to generate country-specific legal reports, and set the rules to close a fiscal year and generate opening entries.")
internal_type = fields.Selection(related='user_type_id.type', string="Internal Type", store=True, readonly=True)
internal_group = fields.Selection(related='user_type_id.internal_group', string="Internal Group", store=True, readonly=True)
#has_unreconciled_entries = fields.Boolean(compute='_compute_has_unreconciled_entries',
# help="The account has at least one unreconciled debit and credit since last time the invoices & payments matching was performed.")
reconcile = fields.Boolean(string='Allow Reconciliation', default=False,
help="Check this box if this account allows invoices & payments matching of journal items.")
tax_ids = fields.Many2many('account.tax', 'account_account_tax_default_rel',
'account_id', 'tax_id', string='Default Taxes')
note = fields.Text('Internal Notes')
company_id = fields.Many2one('res.company', string='Company', required=True,
default=lambda self: self.env.company_id)
tag_ids = fields.Many2many('account.account.tag', 'account_account_account_tag', string='Tags', help="Optional tags you may want to assign for custom reporting")
group_id = fields.Many2one('account.group')
opening_debit = fields.Monetary(string="Opening debit", compute='_compute_opening_debit_credit', inverse='_set_opening_debit', help="Opening debit value for this account.")
opening_credit = fields.Monetary(string="Opening credit", compute='_compute_opening_debit_credit', inverse='_set_opening_credit', help="Opening credit value for this account.")
_sql_constraints = [
('code_company_uniq', 'unique (code,company_id)', 'The code of the account must be unique per company !')
]
@api.model
def _search_new_account_code(self, company, digits, prefix):
for num in range(1, 10000):
new_code = str(prefix.ljust(digits - 1, '0')) + str(num)
rec = self.search([('code', '=', new_code), ('company_id', '=', company.id)], limit=1)
if not rec:
return new_code
raise UserError(_('Cannot generate an unused account code.'))
def _compute_opening_debit_credit(self):
for record in self:
opening_debit = opening_credit = 0.0
if record.company_id.account_opening_move_id:
for line in self.env['account.move.line'].search([('account_id', '=', record.id),
('move_id','=', record.company_id.account_opening_move_id.id)]):
#could be executed at most twice: once for credit, once for debit
if line.debit:
opening_debit = line.debit
elif line.credit:
opening_credit = line.credit
record.opening_debit = opening_debit
record.opening_credit = opening_credit
def _set_opening_debit(self):
self._set_opening_debit_credit(self.opening_debit, 'debit')
def _set_opening_credit(self):
self._set_opening_debit_credit(self.opening_credit, 'credit')
def _set_opening_debit_credit(self, amount, field):
""" Generic function called by both opening_debit and opening_credit's
inverse function. 'Amount' parameter is the value to be set, and field
either 'debit' or 'credit', depending on which one of these two fields
got assigned.
"""
opening_move = self.company_id.account_opening_move_id
if not opening_move:
raise UserError(_("You must first define an opening move."))
if opening_move.state == 'draft':
# check whether we should create a new move line or modify an existing one
opening_move_line = self.env['account.move.line'].search([('account_id', '=', self.id),
('move_id','=', opening_move.id),
(field,'!=', False),
(field,'!=', 0.0)]) # 0.0 condition important for import
counter_part_map = {'debit': opening_move_line.credit, 'credit': opening_move_line.debit}
# No typo here! We want the credit value when treating debit and debit value when treating credit
if opening_move_line:
if amount:
# modify the line
setattr(opening_move_line.with_context({'check_move_validity': False}), field, amount)
elif counter_part_map[field]:
# delete the line (no need to keep a line with value = 0)
opening_move_line.with_context({'check_move_validity': False}).unlink()
elif amount:
# create a new line, as none existed before
self.env['account.move.line'].with_context({'check_move_validity': False}).create({
'name': _('Opening balance'),
field: amount,
'move_id': opening_move.id,
'account_id': self.id,
})
# Then, we automatically balance the opening move, to make sure it stays valid
if not 'import_file' in self.env.context:
# When importing a file, avoid recomputing the opening move for each account and do it at the end, for better performances
self.company_id._auto_balance_opening_move()
@api.model
def default_get(self, default_fields):
"""If we're creating a new account through a many2one, there are chances that we typed the account code
instead of its name. In that case, switch both fields values.
"""
default_name = self._context.get('default_name')
default_code = self._context.get('default_code')
if default_name and not default_code:
try:
default_code = int(default_name)
except ValueError:
pass
if default_code:
default_name = False
contextual_self = self.with_context(default_name=default_name, default_code=default_code)
return super(AccountAccount, contextual_self).default_get(default_fields)
@api.model
def _name_search(self, name, args=None, operator='ilike', limit=100, name_get_uid=None):
args = args or []
domain = []
if name:
domain = ['|', ('code', '=ilike', name.split(' ')[0] + '%'), ('name', operator, name)]
if operator in expression.NEGATIVE_TERM_OPERATORS:
domain = ['&', '!'] + domain[1:]
account_ids = self._search(expression.AND([domain, args]), limit=limit, access_rights_uid=name_get_uid)
return self.browse(account_ids).name_get()
@api.onchange('internal_type')
def onchange_internal_type(self):
self.reconcile = self.internal_type in ('receivable', 'payable')
if self.internal_type == 'liquidity':
self.reconcile = False
@api.onchange('code')
def onchange_code(self):
AccountGroup = self.env['account.group']
group = False
code_prefix = self.code
# find group with longest matching prefix
while code_prefix:
matching_group = AccountGroup.search([('code_prefix', '=', code_prefix)], limit=1)
if matching_group:
group = matching_group
break
code_prefix = code_prefix[:-1]
self.group_id = group
@api.multi
def name_get(self):
result = []
for account in self:
name = account.code + ' ' + account.name
result.append((account.id, name))
return result
@api.multi
@api.returns('self', lambda value: value.id)
def copy(self, default=None):
default = dict(default or {})
if default.get('code', False):
return super(AccountAccount, self).copy(default)
try:
default['code'] = (str(int(self.code) + 10) or '')
default.setdefault('name', _("%s (copy)") % (self.name or ''))
while self.env['account.account'].search([('code', '=', default['code']),
('company_id', '=', default.get('company_id', False) or self.company_id.id)], limit=1):
default['code'] = (str(int(default['code']) + 10) or '')
default['name'] = _("%s (copy)") % (self.name or '')
except ValueError:
default['code'] = _("%s (copy)") % (self.code or '')
default['name'] = self.name
return super(AccountAccount, self).copy(default)
@api.model
def load(self, fields, data):
""" Overridden for better performances when importing a list of account
with opening debit/credit. In that case, the auto-balance is postpone
until the whole file has been imported.
"""
rslt = super(AccountAccount, self).load(fields, data)
if 'import_file' in self.env.context:
companies = self.search([('id', 'in', rslt['ids'])]).mapped('company_id')
for company in companies:
company._auto_balance_opening_move()
return rslt
def _toggle_reconcile_to_true(self):
'''Toggle the `reconcile´ boolean from False -> True
Note that: lines with debit = credit = amount_currency = 0 are set to `reconciled´ = True
'''
if not self.ids:
return None
query = """
UPDATE account_move_line SET
reconciled = CASE WHEN debit = 0 AND credit = 0 AND amount_currency = 0
THEN true ELSE false END,
amount_residual = (debit-credit),
amount_residual_currency = amount_currency
WHERE full_reconcile_id IS NULL and account_id IN %s
"""
self.env.cr.execute(query, [tuple(self.ids)])
def _toggle_reconcile_to_false(self):
'''Toggle the `reconcile´ boolean from True -> False
Note that it is disallowed if some lines are partially reconciled.
'''
if not self.ids:
return None
partial_lines_count = self.env['account.move.line'].search_count([
('account_id', 'in', self.ids),
('full_reconcile_id', '=', False),
('|'),
('matched_debit_ids', '!=', False),
('matched_credit_ids', '!=', False),
])
if partial_lines_count > 0:
raise UserError(_('You cannot switch an account to prevent the reconciliation '
'if some partial reconciliations are still pending.'))
query = """
UPDATE account_move_line
SET amount_residual = 0, amount_residual_currency = 0
WHERE full_reconcile_id = NULL AND account_id IN %s
"""
self.env.cr.execute(query, [tuple(self.ids)])
@api.multi
def write(self, vals):
# Do not allow changing the company_id when account_move_line already exist
if vals.get('company_id', False):
move_lines = self.env['account.move.line'].search([('account_id', 'in', self.ids)], limit=1)
for account in self:
if (account.company_id.id != vals['company_id']) and move_lines:
raise UserError(_('You cannot change the owner company of an account that already contains journal items.'))
if 'reconcile' in vals:
if vals['reconcile']:
self.filtered(lambda r: not r.reconcile)._toggle_reconcile_to_true()
else:
self.filtered(lambda r: r.reconcile)._toggle_reconcile_to_false()
if vals.get('currency_id'):
for account in self:
if self.env['account.move.line'].search_count([('account_id', '=', account.id), ('currency_id', 'not in', (False, vals['currency_id']))]):
raise UserError(_('You cannot set a currency on this account as it already has some journal entries having a different foreign currency.'))
return super(AccountAccount, self).write(vals)
@api.multi
def unlink(self):
if self.env['account.move.line'].search([('account_id', 'in', self.ids)], limit=1):
raise UserError(_('You cannot perform this action on an account that contains journal items.'))
#Checking whether the account is set as a property to any Partner or not
values = ['account.account,%s' % (account_id,) for account_id in self.ids]
partner_prop_acc = self.env['ir.property'].search([('value_reference', 'in', values)], limit=1)
if partner_prop_acc:
raise UserError(_('You cannot remove/deactivate an account which is set on a customer or vendor.'))
return super(AccountAccount, self).unlink()
@api.multi
def action_open_reconcile(self):
self.ensure_one()
# Open reconciliation view for this account
if self.internal_type == 'payable':
action_context = {'show_mode_selector': False, 'mode': 'suppliers'}
elif self.internal_type == 'receivable':
action_context = {'show_mode_selector': False, 'mode': 'customers'}
else:
action_context = {'show_mode_selector': False, 'mode': 'accounts', 'account_ids': [self.id,]}
return {
'type': 'ir.actions.client',
'tag': 'manual_reconciliation_view',
'context': action_context,
}
class AccountGroup(models.Model):
_name = "account.group"
_description = 'Account Group'
_parent_store = True
_order = 'code_prefix'
parent_id = fields.Many2one('account.group', index=True, ondelete='cascade')
parent_path = fields.Char(index=True)
name = fields.Char(required=True)
code_prefix = fields.Char()
def name_get(self):
result = []
for group in self:
name = group.name
if group.code_prefix:
name = group.code_prefix + ' ' + name
result.append((group.id, name))
return result
@api.model
def _name_search(self, name, args=None, operator='ilike', limit=100, name_get_uid=None):
args = args or []
if operator == 'ilike' and not (name or '').strip():
domain = []
else:
criteria_operator = ['|'] if operator not in expression.NEGATIVE_TERM_OPERATORS else ['&', '!']
domain = criteria_operator + [('code_prefix', '=ilike', name + '%'), ('name', operator, name)]
group_ids = self._search(expression.AND([domain, args]), limit=limit, access_rights_uid=name_get_uid)
return self.browse(group_ids).name_get()
class AccountJournalGroup(models.Model):
_name = 'account.journal.group'
_description = "Account Journal Group"
name = fields.Char(required=True, translate=True)
company_id = fields.Many2one('res.company', required=True, default=lambda self: self.env.company_id)
account_journal_ids = fields.Many2many('account.journal', string="Journals")
sequence = fields.Integer(default=10)
class AccountJournal(models.Model):
_name = "account.journal"
_description = "Journal"
_order = 'sequence, type, code'
_inherit = ['mail.thread', 'mail.activity.mixin']
def _default_inbound_payment_methods(self):
return self.env.ref('account.account_payment_method_manual_in')
def _default_outbound_payment_methods(self):
return self.env.ref('account.account_payment_method_manual_out')
def __get_bank_statements_available_sources(self):
return [('undefined', _('Undefined Yet'))]
def _get_bank_statements_available_sources(self):
return self.__get_bank_statements_available_sources()
name = fields.Char(string='Journal Name', required=True)
code = fields.Char(string='Short Code', size=5, required=True, help="The journal entries of this journal will be named using this prefix.")
active = fields.Boolean(default=True, help="Set active to false to hide the Journal without removing it.")
type = fields.Selection([
('sale', 'Sales'),
('purchase', 'Purchase'),
('cash', 'Cash'),
('bank', 'Bank'),
('general', 'Miscellaneous'),
], required=True,
help="Select 'Sale' for customer invoices journals.\n"\
"Select 'Purchase' for vendor bills journals.\n"\
"Select 'Cash' or 'Bank' for journals that are used in customer or vendor payments.\n"\
"Select 'General' for miscellaneous operations journals.")
type_control_ids = fields.Many2many('account.account.type', 'account_journal_type_rel', 'journal_id', 'type_id', string='Account Types Allowed')
account_control_ids = fields.Many2many('account.account', 'account_account_type_rel', 'journal_id', 'account_id', string='Accounts Allowed',
domain=[('deprecated', '=', False)])
default_credit_account_id = fields.Many2one('account.account', string='Default Credit Account',
domain=[('deprecated', '=', False)], help="It acts as a default account for credit amount")
default_debit_account_id = fields.Many2one('account.account', string='Default Debit Account',
domain=[('deprecated', '=', False)], help="It acts as a default account for debit amount")
update_posted = fields.Boolean(string='Allow Cancelling Entries',
help="Check this box if you want to allow the cancellation the entries related to this journal or of the invoice related to this journal")
group_invoice_lines = fields.Boolean(string='Group Invoice Lines',
help="If this box is checked, the system will try to group the accounting lines when generating them from invoices.")
sequence_id = fields.Many2one('ir.sequence', string='Entry Sequence',
help="This field contains the information related to the numbering of the journal entries of this journal.", required=True, copy=False)
refund_sequence_id = fields.Many2one('ir.sequence', string='Credit Note Entry Sequence',
help="This field contains the information related to the numbering of the credit note entries of this journal.", copy=False)
sequence = fields.Integer(help='Used to order Journals in the dashboard view', default=10)
sequence_number_next = fields.Integer(string='Next Number',
help='The next sequence number will be used for the next invoice.',
compute='_compute_seq_number_next',
inverse='_inverse_seq_number_next')
refund_sequence_number_next = fields.Integer(string='Credit Notes: Next Number',
help='The next sequence number will be used for the next credit note.',
compute='_compute_refund_seq_number_next',
inverse='_inverse_refund_seq_number_next')
invoice_reference_type = fields.Selection(string='Communication Type', required=True, selection=[('none', 'Free'), ('partner', 'Based on Partner'), ('invoice', 'Based on Invoice')], default='invoice', help='You can set here the default communication that will appear on customer invoices, once validated, to help the customer to refer to that particular invoice when making the payment.')
invoice_reference_model = fields.Selection(string='Communication Standard', required=True, selection=[('odoo', 'Odoo'),('euro', 'European')], default='odoo', help="You can choose different models for each type of reference. The default one is the Odoo reference.")
#groups_id = fields.Many2many('res.groups', 'account_journal_group_rel', 'journal_id', 'group_id', string='Groups')
currency_id = fields.Many2one('res.currency', help='The currency used to enter statement', string="Currency", oldname='currency')
company_id = fields.Many2one('res.company', string='Company', required=True, index=True, default=lambda self: self.env.company_id,
help="Company related to this journal")
refund_sequence = fields.Boolean(string='Dedicated Credit Note Sequence', help="Check this box if you don't want to share the same sequence for invoices and credit notes made from this journal", default=False)
inbound_payment_method_ids = fields.Many2many('account.payment.method', 'account_journal_inbound_payment_method_rel', 'journal_id', 'inbound_payment_method',
domain=[('payment_type', '=', 'inbound')], string='For Incoming Payments', default=lambda self: self._default_inbound_payment_methods(),
help="Manual: Get paid by cash, check or any other method outside of Odoo.\n"\
"Electronic: Get paid automatically through a payment acquirer by requesting a transaction on a card saved by the customer when buying or subscribing online (payment token).\n"\
"Batch Deposit: Encase several customer checks at once by generating a batch deposit to submit to your bank. When encoding the bank statement in Odoo,you are suggested to reconcile the transaction with the batch deposit. Enable this option from the settings.")
outbound_payment_method_ids = fields.Many2many('account.payment.method', 'account_journal_outbound_payment_method_rel', 'journal_id', 'outbound_payment_method',
domain=[('payment_type', '=', 'outbound')], string='For Outgoing Payments', default=lambda self: self._default_outbound_payment_methods(),
help="Manual:Pay bill by cash or any other method outside of Odoo.\n"\
"Check:Pay bill by check and print it from Odoo.\n"\
"SEPA Credit Transfer: Pay bill from a SEPA Credit Transfer file you submit to your bank. Enable this option from the settings.")
at_least_one_inbound = fields.Boolean(compute='_methods_compute', store=True)
at_least_one_outbound = fields.Boolean(compute='_methods_compute', store=True)
profit_account_id = fields.Many2one('account.account', string='Profit Account', domain=[('deprecated', '=', False)], help="Used to register a profit when the ending balance of a cash register differs from what the system computes")
loss_account_id = fields.Many2one('account.account', string='Loss Account', domain=[('deprecated', '=', False)], help="Used to register a loss when the ending balance of a cash register differs from what the system computes")
belongs_to_company = fields.Boolean('Belong to the user\'s current company', compute="_belong_to_company", search="_search_company_journals",)
# Bank journals fields
company_partner_id = fields.Many2one('res.partner', related='company_id.partner_id', string='Account Holder', readonly=True, store=False)
bank_account_id = fields.Many2one('res.partner.bank', string="Bank Account", ondelete='restrict', copy=False, domain="[('partner_id','=', company_partner_id)]")
bank_statements_source = fields.Selection(selection=_get_bank_statements_available_sources, string='Bank Feeds', default='undefined', help="Defines how the bank statements will be registered")
bank_acc_number = fields.Char(related='bank_account_id.acc_number', readonly=False)
bank_id = fields.Many2one('res.bank', related='bank_account_id.bank_id', readonly=False)
post_at_bank_rec = fields.Boolean(string="Post At Bank Reconciliation", help="Whether or not the payments made in this journal should be generated in draft state, so that the related journal entries are only posted when performing bank reconciliation.")
# alias configuration for journals
alias_id = fields.Many2one('mail.alias', string='Alias', copy=False)
alias_domain = fields.Char('Alias domain', compute='_compute_alias_domain', default=lambda self: self.env["ir.config_parameter"].sudo().get_param("mail.catchall.domain"))
alias_name = fields.Char('Alias Name', related='alias_id.alias_name', help="It creates draft invoices and bills by sending an email.", readonly=False)
journal_group_ids = fields.Many2many('account.journal.group', string="Journal Groups")
_sql_constraints = [
('code_company_uniq', 'unique (code, name, company_id)', 'The code and name of the journal must be unique per company !'),
]
@api.multi
def _compute_alias_domain(self):
alias_domain = self.env["ir.config_parameter"].sudo().get_param("mail.catchall.domain")
for record in self:
record.alias_domain = alias_domain
@api.multi
# do not depend on 'sequence_id.date_range_ids', because
# sequence_id._get_current_sequence() may invalidate it!
@api.depends('sequence_id.use_date_range', 'sequence_id.number_next_actual')
def _compute_seq_number_next(self):
'''Compute 'sequence_number_next' according to the current sequence in use,
an ir.sequence or an ir.sequence.date_range.
'''
for journal in self:
if journal.sequence_id:
sequence = journal.sequence_id._get_current_sequence()
journal.sequence_number_next = sequence.number_next_actual
else:
journal.sequence_number_next = 1
@api.multi
def _inverse_seq_number_next(self):
'''Inverse 'sequence_number_next' to edit the current sequence next number.
'''
for journal in self:
if journal.sequence_id and journal.sequence_number_next:
sequence = journal.sequence_id._get_current_sequence()
sequence.sudo().number_next = journal.sequence_number_next
@api.multi
# do not depend on 'refund_sequence_id.date_range_ids', because
# refund_sequence_id._get_current_sequence() may invalidate it!
@api.depends('refund_sequence_id.use_date_range', 'refund_sequence_id.number_next_actual')
def _compute_refund_seq_number_next(self):
'''Compute 'sequence_number_next' according to the current sequence in use,
an ir.sequence or an ir.sequence.date_range.
'''
for journal in self:
if journal.refund_sequence_id and journal.refund_sequence:
sequence = journal.refund_sequence_id._get_current_sequence()
journal.refund_sequence_number_next = sequence.number_next_actual
else:
journal.refund_sequence_number_next = 1
@api.multi
def _inverse_refund_seq_number_next(self):
'''Inverse 'refund_sequence_number_next' to edit the current sequence next number.
'''
for journal in self:
if journal.refund_sequence_id and journal.refund_sequence and journal.refund_sequence_number_next:
sequence = journal.refund_sequence_id._get_current_sequence()
sequence.number_next = journal.refund_sequence_number_next
@api.one
@api.constrains('currency_id', 'default_credit_account_id', 'default_debit_account_id')
def _check_currency(self):
if self.currency_id:
if self.default_credit_account_id and not self.default_credit_account_id.currency_id.id == self.currency_id.id:
raise ValidationError(_('The currency of the journal should be the same than the default credit account.'))
if self.default_debit_account_id and not self.default_debit_account_id.currency_id.id == self.currency_id.id:
raise ValidationError(_('The currency of the journal should be the same than the default debit account.'))
@api.one
@api.constrains('type', 'bank_account_id')
def _check_bank_account(self):
if self.type == 'bank' and self.bank_account_id:
if self.bank_account_id.company_id != self.company_id:
raise ValidationError(_('The bank account of a bank journal must belong to the same company (%s).') % self.company_id.name)
# A bank account can belong to a customer/supplier, in which case their partner_id is the customer/supplier.
# Or they are part of a bank journal and their partner_id must be the company's partner_id.
if self.bank_account_id.partner_id != self.company_id.partner_id:
raise ValidationError(_('The holder of a journal\'s bank account must be the company (%s).') % self.company_id.name)
@api.onchange('default_debit_account_id')
def onchange_debit_account_id(self):
if not self.default_credit_account_id:
self.default_credit_account_id = self.default_debit_account_id
@api.onchange('default_credit_account_id')
def onchange_credit_account_id(self):
if not self.default_debit_account_id:
self.default_debit_account_id = self.default_credit_account_id
@api.multi
def _get_alias_values(self, type, alias_name=None):
if not alias_name:
alias_name = self.name
if self.company_id != self.env.ref('base.main_company'):
alias_name += '-' + str(self.company_id.name)
return {
'alias_defaults': {'type': type == 'purchase' and 'in_invoice' or 'out_invoice', 'company_id': self.company_id.id},
'alias_parent_thread_id': self.id,
'alias_name': re.sub(r'[^\w]+', '-', alias_name)
}
@api.multi
def unlink(self):
bank_accounts = self.env['res.partner.bank'].browse()
for bank_account in self.mapped('bank_account_id'):
accounts = self.search([('bank_account_id', '=', bank_account.id)])
if accounts <= self:
bank_accounts += bank_account
self.mapped('alias_id').unlink()
ret = super(AccountJournal, self).unlink()
bank_accounts.unlink()
return ret
@api.multi
@api.returns('self', lambda value: value.id)
def copy(self, default=None):
default = dict(default or {})
default.update(
code=_("%s (copy)") % (self.code or ''),
name=_("%s (copy)") % (self.name or ''))
return super(AccountJournal, self).copy(default)
def _update_mail_alias(self, vals):
self.ensure_one()
alias_values = self._get_alias_values(type=vals.get('type') or self.type, alias_name=vals.get('alias_name'))
if self.alias_id:
self.alias_id.write(alias_values)
else:
self.alias_id = self.env['mail.alias'].with_context(alias_model_name='account.invoice',
alias_parent_model_name='account.journal').create(alias_values)
if vals.get('alias_name'):
# remove alias_name to avoid useless write on alias
del(vals['alias_name'])
@api.multi
def write(self, vals):
for journal in self:
company = journal.company_id
if ('company_id' in vals and journal.company_id.id != vals['company_id']):
if self.env['account.move'].search([('journal_id', '=', journal.id)], limit=1):
raise UserError(_('This journal already contains items, therefore you cannot modify its company.'))
company = self.env['res.company'].browse(vals['company_id'])
if journal.bank_account_id.company_id and journal.bank_account_id.company_id != company:
journal.bank_account_id.write({
'company_id': company.id,
'partner_id': company.partner_id.id,
})
if ('code' in vals and journal.code != vals['code']):
if self.env['account.move'].search([('journal_id', 'in', self.ids)], limit=1):
raise UserError(_('This journal already contains items, therefore you cannot modify its short name.'))
new_prefix = self._get_sequence_prefix(vals['code'], refund=False)
journal.sequence_id.write({'prefix': new_prefix})
if journal.refund_sequence_id:
new_prefix = self._get_sequence_prefix(vals['code'], refund=True)
journal.refund_sequence_id.write({'prefix': new_prefix})
if 'currency_id' in vals:
if not 'default_debit_account_id' in vals and journal.default_debit_account_id:
journal.default_debit_account_id.currency_id = vals['currency_id']
if not 'default_credit_account_id' in vals and journal.default_credit_account_id:
journal.default_credit_account_id.currency_id = vals['currency_id']
if journal.bank_account_id:
journal.bank_account_id.currency_id = vals['currency_id']
if 'bank_account_id' in vals:
if not vals.get('bank_account_id'):
raise UserError(_('You cannot remove the bank account from the journal once set.'))
else:
bank_account = self.env['res.partner.bank'].browse(vals['bank_account_id'])
if bank_account.partner_id != company.partner_id:
raise UserError(_("The partners of the journal's company and the related bank account mismatch."))
if 'alias_name' in vals:
journal._update_mail_alias(vals)
result = super(AccountJournal, self).write(vals)
# Create the bank_account_id if necessary
if 'bank_acc_number' in vals:
for journal in self.filtered(lambda r: r.type == 'bank' and not r.bank_account_id):
journal.set_bank_account(vals.get('bank_acc_number'), vals.get('bank_id'))
# create the relevant refund sequence
if vals.get('refund_sequence'):
for journal in self.filtered(lambda j: j.type in ('sale', 'purchase') and not j.refund_sequence_id):
journal_vals = {
'name': journal.name,
'company_id': journal.company_id.id,
'code': journal.code,
'refund_sequence_number_next': vals.get('refund_sequence_number_next', journal.refund_sequence_number_next),
}
journal.refund_sequence_id = self.sudo()._create_sequence(journal_vals, refund=True).id
# Changing the 'post_at_bank_rec' option will post the draft payment moves and change the related invoices' state.
if 'post_at_bank_rec' in vals and not vals['post_at_bank_rec']:
draft_moves = self.env['account.move'].search([('journal_id', 'in', self.ids), ('state', '=', 'draft')])
pending_payments = draft_moves.mapped('line_ids.payment_id')
pending_payments.mapped('move_line_ids.move_id').post()
pending_payments.mapped('reconciled_invoice_ids').filtered(lambda x: x.state == 'in_payment').write({'state': 'paid'})
return result
@api.model
def _get_sequence_prefix(self, code, refund=False):
prefix = code.upper()
if refund:
prefix = 'R' + prefix
return prefix + '/%(range_year)s/'
@api.model
def _create_sequence(self, vals, refund=False):
""" Create new no_gap entry sequence for every new Journal"""
prefix = self._get_sequence_prefix(vals['code'], refund)
seq_name = refund and vals['code'] + _(': Refund') or vals['code']
seq = {
'name': _('%s Sequence') % seq_name,
'implementation': 'no_gap',
'prefix': prefix,
'padding': 4,
'number_increment': 1,
'use_date_range': True,
}
if 'company_id' in vals:
seq['company_id'] = vals['company_id']
seq = self.env['ir.sequence'].create(seq)
seq_date_range = seq._get_current_sequence()
seq_date_range.number_next = refund and vals.get('refund_sequence_number_next', 1) or vals.get('sequence_number_next', 1)
return seq
@api.model
def _prepare_liquidity_account(self, name, company, currency_id, type):
'''
This function prepares the value to use for the creation of the default debit and credit accounts of a
liquidity journal (created through the wizard of generating COA from templates for example).
:param name: name of the bank account
:param company: company for which the wizard is running
:param currency_id: ID of the currency in which is the bank account
:param type: either 'cash' or 'bank'
:return: mapping of field names and values
:rtype: dict
'''
digits = 6
acc = self.env['account.account'].search([('company_id', '=', company.id)], limit=1)
if acc:
digits = len(acc.code)
# Seek the next available number for the account code
if type == 'bank':
account_code_prefix = company.bank_account_code_prefix or ''
else:
account_code_prefix = company.cash_account_code_prefix or company.bank_account_code_prefix or ''
liquidity_type = self.env.ref('account.data_account_type_liquidity')
return {
'name': name,
'currency_id': currency_id or False,
'code': self.env['account.account']._search_new_account_code(company, digits, account_code_prefix),
'user_type_id': liquidity_type and liquidity_type.id or False,
'company_id': company.id,
}
@api.model
def get_next_bank_cash_default_code(self, journal_type, company_id):
journal_code_base = (journal_type == 'cash' and 'CSH' or 'BNK')
journals = self.env['account.journal'].search([('code', 'like', journal_code_base + '%'), ('company_id', '=', company_id)])
for num in range(1, 100):
# journal_code has a maximal size of 5, hence we can enforce the boundary num < 100
journal_code = journal_code_base + str(num)
if journal_code not in journals.mapped('code'):
return journal_code
@api.model
def create(self, vals):
company_id = vals.get('company_id', self.env.company_id.id)
if vals.get('type') in ('bank', 'cash'):
# For convenience, the name can be inferred from account number
if not vals.get('name') and 'bank_acc_number' in vals:
vals['name'] = vals['bank_acc_number']
# If no code provided, loop to find next available journal code
if not vals.get('code'):
vals['code'] = self.get_next_bank_cash_default_code(vals['type'], company_id)
if not vals['code']:
raise UserError(_("Cannot generate an unused journal code. Please fill the 'Shortcode' field."))
# Create a default debit/credit account if not given
default_account = vals.get('default_debit_account_id') or vals.get('default_credit_account_id')
if not default_account:
company = self.env['res.company'].browse(company_id)
account_vals = self._prepare_liquidity_account(vals.get('name'), company, vals.get('currency_id'), vals.get('type'))
default_account = self.env['account.account'].create(account_vals)
vals['default_debit_account_id'] = default_account.id
vals['default_credit_account_id'] = default_account.id
# We just need to create the relevant sequences according to the chosen options
if not vals.get('sequence_id'):
vals.update({'sequence_id': self.sudo()._create_sequence(vals).id})
if vals.get('type') in ('sale', 'purchase') and vals.get('refund_sequence') and not vals.get('refund_sequence_id'):
vals.update({'refund_sequence_id': self.sudo()._create_sequence(vals, refund=True).id})
journal = super(AccountJournal, self.with_context(mail_create_nolog=True)).create(vals)
if 'alias_name' in vals:
journal._update_mail_alias(vals)
# Create the bank_account_id if necessary
if journal.type == 'bank' and not journal.bank_account_id and vals.get('bank_acc_number'):
journal.set_bank_account(vals.get('bank_acc_number'), vals.get('bank_id'))
return journal
def set_bank_account(self, acc_number, bank_id=None):
""" Create a res.partner.bank and set it as value of the field bank_account_id """
self.ensure_one()
self.bank_account_id = self.env['res.partner.bank'].create({
'acc_number': acc_number,
'bank_id': bank_id,
'company_id': self.company_id.id,
'currency_id': self.currency_id.id,
'partner_id': self.company_id.partner_id.id,
}).id
@api.multi
def name_get(self):
res = []
for journal in self:
currency = journal.currency_id or journal.company_id.currency_id
name = "%s (%s)" % (journal.name, currency.name)
res += [(journal.id, name)]
return res
@api.model
def _name_search(self, name, args=None, operator='ilike', limit=100, name_get_uid=None):
args = args or []
if operator == 'ilike' and not (name or '').strip():
domain = []
else:
connector = '&' if operator in expression.NEGATIVE_TERM_OPERATORS else '|'
domain = [connector, ('code', operator, name), ('name', operator, name)]
journal_ids = self._search(expression.AND([domain, args]), limit=limit, access_rights_uid=name_get_uid)
return self.browse(journal_ids).name_get()
@api.multi
@api.depends('company_id')
def _belong_to_company(self):
for journal in self:
journal.belong_to_company = (journal.company_id.id == self.env.company_id.id)
@api.multi
def _search_company_journals(self, operator, value):
if value:
recs = self.search([('company_id', operator, self.env.company_id.id)])
elif operator == '=':
recs = self.search([('company_id', '!=', self.env.company_id.id)])
else:
recs = self.search([('company_id', operator, self.env.company_id.id)])
return [('id', 'in', [x.id for x in recs])]
@api.multi
@api.depends('inbound_payment_method_ids', 'outbound_payment_method_ids')
def _methods_compute(self):
for journal in self:
journal.at_least_one_inbound = bool(len(journal.inbound_payment_method_ids))
journal.at_least_one_outbound = bool(len(journal.outbound_payment_method_ids))
def action_configure_bank_journal(self):
""" This function is called by the "configure" button of bank journals,
visible on dashboard if no bank statement source has been defined yet
"""
# We simply call the setup bar function.
return self.env['res.company'].setting_init_bank_account_action()
class ResPartnerBank(models.Model):
_inherit = "res.partner.bank"
journal_id = fields.One2many('account.journal', 'bank_account_id', domain=[('type', '=', 'bank')], string='Account Journal', readonly=True,
help="The accounting journal corresponding to this bank account.")
@api.one
@api.constrains('journal_id')
def _check_journal_id(self):
if len(self.journal_id) > 1:
raise ValidationError(_('A bank account can belong to only one journal.'))
#----------------------------------------------------------
# Tax
#----------------------------------------------------------
class AccountTaxGroup(models.Model):
_name = 'account.tax.group'
_description = 'Tax Group'
_order = 'sequence asc'
name = fields.Char(required=True, translate=True)
sequence = fields.Integer(default=10)
class AccountTax(models.Model):
_name = 'account.tax'
_description = 'Tax'
_order = 'sequence,id'
@api.model
def _default_tax_group(self):
return self.env['account.tax.group'].search([], limit=1)
name = fields.Char(string='Tax Name', required=True)
type_tax_use = fields.Selection([('sale', 'Sales'), ('purchase', 'Purchases'), ('none', 'None'), ('adjustment', 'Adjustment')], string='Tax Scope', required=True, default="sale",
help="Determines where the tax is selectable. Note : 'None' means a tax can't be used by itself, however it can still be used in a group. 'adjustment' is used to perform tax adjustment.")
amount_type = fields.Selection(default='percent', string="Tax Computation", required=True, oldname='type',
selection=[('group', 'Group of Taxes'), ('fixed', 'Fixed'), ('percent', 'Percentage of Price'), ('division', 'Percentage of Price Tax Included')])
active = fields.Boolean(default=True, help="Set active to false to hide the tax without removing it.")
company_id = fields.Many2one('res.company', string='Company', required=True, default=lambda self: self.env.company_id)
children_tax_ids = fields.Many2many('account.tax', 'account_tax_filiation_rel', 'parent_tax', 'child_tax', string='Children Taxes')
sequence = fields.Integer(required=True, default=1,
help="The sequence field is used to define order in which the tax lines are applied.")
amount = fields.Float(required=True, digits=(16, 4))
account_id = fields.Many2one('account.account', domain=[('deprecated', '=', False)], string='Tax Account', ondelete='restrict',
help="Account that will be set on invoice tax lines for invoices. Leave empty to use the expense account.", oldname='account_collected_id')
refund_account_id = fields.Many2one('account.account', domain=[('deprecated', '=', False)], string='Tax Account on Credit Notes', ondelete='restrict',
help="Account that will be set on invoice tax lines for credit notes. Leave empty to use the expense account.", oldname='account_paid_id')
description = fields.Char(string='Label on Invoices')
price_include = fields.Boolean(string='Included in Price', default=False,
help="Check this if the price you use on the product and invoices includes this tax.")
include_base_amount = fields.Boolean(string='Affect Base of Subsequent Taxes', default=False,
help="If set, taxes which are computed after this one will be computed based on the price tax included.")
analytic = fields.Boolean(string="Include in Analytic Cost", help="If set, the amount computed by this tax will be assigned to the same analytic account as the invoice line (if any)")
tag_ids = fields.Many2many('account.account.tag', 'account_tax_account_tag', string='Tags', help="Optional tags you may want to assign for custom reporting")
tax_group_id = fields.Many2one('account.tax.group', string="Tax Group", default=_default_tax_group, required=True)
# Technical field to make the 'tax_exigibility' field invisible if the same named field is set to false in 'res.company' model
hide_tax_exigibility = fields.Boolean(string='Hide Use Cash Basis Option', related='company_id.tax_exigibility', readonly=True)
tax_exigibility = fields.Selection(
[('on_invoice', 'Based on Invoice'),
('on_payment', 'Based on Payment'),
], string='Tax Due', default='on_invoice',
oldname='use_cash_basis',
help="Based on Invoice: the tax is due as soon as the invoice is validated.\n"
"Based on Payment: the tax is due as soon as the payment of the invoice is received.")
cash_basis_account_id = fields.Many2one(
'account.account',
string='Tax Received Account',
domain=[('deprecated', '=', False)],
oldname='cash_basis_account',
help='Account used as counterpart for the journal entry, for taxes eligible based on payments.')
cash_basis_base_account_id = fields.Many2one(
'account.account',
domain=[('deprecated', '=', False)],
string='Base Tax Received Account',
help='Account that will be set on lines created in cash basis journal entry and used to keep track of the tax base amount.')
_sql_constraints = [
('name_company_uniq', 'unique(name, company_id, type_tax_use)', 'Tax names must be unique !'),
]
@api.one
@api.constrains('children_tax_ids', 'type_tax_use')
def _check_children_scope(self):
if not self._check_m2m_recursion('children_tax_ids'):
raise ValidationError(_("Recursion found for tax '%s'.") % (self.name,))
if not all(child.type_tax_use in ('none', self.type_tax_use) for child in self.children_tax_ids):
raise ValidationError(_('The application scope of taxes in a group must be either the same as the group or left empty.'))
@api.multi
@api.returns('self', lambda value: value.id)
def copy(self, default=None):
default = dict(default or {}, name=_("%s (Copy)") % self.name)
return super(AccountTax, self).copy(default=default)
def name_get(self):
if not self._context.get('append_type_to_tax_name'):
return super(AccountTax, self).name_get()
tax_type = dict(self._fields['type_tax_use']._description_selection(self.env))
return [(tax.id, '%s (%s)' % (tax.name, tax_type.get(tax.type_tax_use))) for tax in self]
@api.model
def _name_search(self, name, args=None, operator='ilike', limit=100, name_get_uid=None):
""" Returns a list of tuples containing id, name, as internally it is called {def name_get}
result format: {[(id, name), (id, name), ...]}
"""
args = args or []
if operator == 'ilike' and not (name or '').strip():
domain = []
else:
connector = '&' if operator in expression.NEGATIVE_TERM_OPERATORS else '|'
domain = [connector, ('description', operator, name), ('name', operator, name)]
tax_ids = self._search(expression.AND([domain, args]), limit=limit, access_rights_uid=name_get_uid)
return self.browse(tax_ids).name_get()
@api.model
def _search(self, args, offset=0, limit=None, order=None, count=False, access_rights_uid=None):
context = self._context or {}
if context.get('type'):
if context.get('type') in ('out_invoice', 'out_refund'):
args += [('type_tax_use', '=', 'sale')]
elif context.get('type') in ('in_invoice', 'in_refund'):
args += [('type_tax_use', '=', 'purchase')]
if context.get('journal_id'):
journal = self.env['account.journal'].browse(context.get('journal_id'))
if journal.type in ('sale', 'purchase'):
args += [('type_tax_use', '=', journal.type)]
return super(AccountTax, self)._search(args, offset, limit, order, count=count, access_rights_uid=access_rights_uid)
@api.onchange('amount')
def onchange_amount(self):
if self.amount_type in ('percent', 'division') and self.amount != 0.0 and not self.description:
self.description = "{0:.4g}%".format(self.amount)
@api.onchange('amount_type')