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7 Commits

Author SHA1 Message Date
OCA-git-bot
203601f210 [UPD] README.rst 2023-10-31 14:52:20 +01:00
Víctor Martínez
1864bc402b [MIG] account_netting: Migration to 15.0
TT36939
2023-10-31 14:52:20 +01:00
Alexis de Lattre
39a011db15 [MIG] account_netting to v14
[UPD] README.rst
2023-10-31 14:52:20 +01:00
Sergio Teruel
eaab9aac1f [MIG] account_netting: Migration to v13.0
[UPD] Update account_netting.pot

Update translation files

Updated by "Update PO files to match POT (msgmerge)" hook in Weblate.

Translation: account-financial-tools-13.0/account-financial-tools-13.0-account_netting
Translate-URL: https://translation.odoo-community.org/projects/account-financial-tools-13-0/account-financial-tools-13-0-account_netting/
2023-10-31 14:52:20 +01:00
Josep M
4899938a99 Translated using Weblate (Spanish)
Currently translated at 100.0% (24 of 24 strings)

Translation: account-financial-tools-12.0/account-financial-tools-12.0-account_netting
Translate-URL: https://translation.odoo-community.org/projects/account-financial-tools-12-0/account-financial-tools-12-0-account_netting/es/
2023-10-31 14:52:19 +01:00
Kitti U
08fd53e208 Fix net amount, using amount_residual instead of debit-credit
[UPD] README.rst

[UPD] Update account_netting.pot

Update translation files

Updated by "Update PO files to match POT (msgmerge)" hook in Weblate.

Translation: account-financial-tools-12.0/account-financial-tools-12.0-account_netting
Translate-URL: https://translation.odoo-community.org/projects/account-financial-tools-12-0/account-financial-tools-12-0-account_netting/
2023-10-31 14:52:19 +01:00
Pedro M. Baeza
4f66b5d55b account_netting: AR/AP netting
AR/AP netting
=============

This module allows to compensate the balance of a receivable account with the
balance of a payable account for the same partner, creating a journal item
that reflects this operation.

**WARNING**: This operation can be forbidden in your country by the accounting
regulations, so you should check current laws before using it. For example, in
Spain, this is not allowed at first instance, unless you document well the
operation from both parties.

Usage
=====

From any account journal entries view:

* Accounting/Journal Entries/Journal Items
* Accounting/Periodic Processing/Reconciliation/Manual Reconciliation

select all the lines that corresponds to both AR/AP operations from the same
partner. Click on "More > Compensate". If the items don't correspond to the
same partner or they aren't AR/AP accounts, you will get an error.

On contrary, a dialog box will be presented with the result of the operation
and a selection of the journal to register the operation. When you click on the
"Compensate" button, a journal entry is created with the corresponding
counterparts of the AR/AP operations.

OCA Transbot updated translations from Transifex
2023-10-31 14:52:19 +01:00