flectra/addons/account/models/account_journal_dashboard.py

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import json
from datetime import datetime, timedelta
from babel.dates import format_datetime, format_date
2018-01-16 11:34:37 +01:00
from flectra import models, api, _, fields
from flectra.release import version
from flectra.tools import DEFAULT_SERVER_DATE_FORMAT as DF
from flectra.tools.misc import formatLang
class account_journal(models.Model):
_inherit = "account.journal"
@api.one
def _kanban_dashboard(self):
self.kanban_dashboard = json.dumps(self.get_journal_dashboard_datas())
@api.one
def _kanban_dashboard_graph(self):
if (self.type in ['sale', 'purchase']):
self.kanban_dashboard_graph = json.dumps(self.get_bar_graph_datas())
elif (self.type in ['cash', 'bank']):
self.kanban_dashboard_graph = json.dumps(self.get_line_graph_datas())
kanban_dashboard = fields.Text(compute='_kanban_dashboard')
kanban_dashboard_graph = fields.Text(compute='_kanban_dashboard_graph')
show_on_dashboard = fields.Boolean(string='Show journal on dashboard', help="Whether this journal should be displayed on the dashboard or not", default=True)
color = fields.Integer("Color Index", default=0)
account_setup_bank_data_done = fields.Boolean(string='Bank setup marked as done', related='company_id.account_setup_bank_data_done', help="Technical field used in the special view for the setup bar step.")
def _graph_title_and_key(self):
if self.type == 'sale':
return ['', _('Sales: Untaxed Total')]
elif self.type == 'purchase':
return ['', _('Purchase: Untaxed Total')]
elif self.type == 'cash':
return ['', _('Cash: Balance')]
elif self.type == 'bank':
return ['', _('Bank: Balance')]
@api.multi
def get_line_graph_datas(self):
data = []
today = datetime.today()
last_month = today + timedelta(days=-30)
bank_stmt = []
# Query to optimize loading of data for bank statement graphs
# Return a list containing the latest bank statement balance per day for the
# last 30 days for current journal
query = """SELECT a.date, a.balance_end
FROM account_bank_statement AS a,
(SELECT c.date, max(c.id) AS stmt_id
FROM account_bank_statement AS c
WHERE c.journal_id = %s
AND c.date > %s
AND c.date <= %s
GROUP BY date, id
ORDER BY date, id) AS b
WHERE a.id = b.stmt_id;"""
self.env.cr.execute(query, (self.id, last_month, today))
bank_stmt = self.env.cr.dictfetchall()
last_bank_stmt = self.env['account.bank.statement'].search([('journal_id', 'in', self.ids),('date', '<=', last_month.strftime(DF))], order="date desc, id desc", limit=1)
start_balance = last_bank_stmt and last_bank_stmt[0].balance_end or 0
locale = self._context.get('lang') or 'en_US'
show_date = last_month
#get date in locale format
name = format_date(show_date, 'd LLLL Y', locale=locale)
short_name = format_date(show_date, 'd MMM', locale=locale)
data.append({'x':short_name,'y':start_balance, 'name':name})
for stmt in bank_stmt:
#fill the gap between last data and the new one
number_day_to_add = (datetime.strptime(stmt.get('date'), DF) - show_date).days
last_balance = data[len(data) - 1]['y']
for day in range(0,number_day_to_add + 1):
show_date = show_date + timedelta(days=1)
#get date in locale format
name = format_date(show_date, 'd LLLL Y', locale=locale)
short_name = format_date(show_date, 'd MMM', locale=locale)
data.append({'x': short_name, 'y':last_balance, 'name': name})
#add new stmt value
data[len(data) - 1]['y'] = stmt.get('balance_end')
#continue the graph if the last statement isn't today
if show_date != today:
number_day_to_add = (today - show_date).days
last_balance = data[len(data) - 1]['y']
for day in range(0,number_day_to_add):
show_date = show_date + timedelta(days=1)
#get date in locale format
name = format_date(show_date, 'd LLLL Y', locale=locale)
short_name = format_date(show_date, 'd MMM', locale=locale)
data.append({'x': short_name, 'y':last_balance, 'name': name})
[graph_title, graph_key] = self._graph_title_and_key()
color = '#875A7B' if '+e' in version else '#7c7bad'
return [{'values': data, 'title': graph_title, 'key': graph_key, 'area': True, 'color': color}]
@api.multi
def get_bar_graph_datas(self):
data = []
today = datetime.strptime(fields.Date.context_today(self), DF)
data.append({'label': _('Past'), 'value':0.0, 'type': 'past'})
day_of_week = int(format_datetime(today, 'e', locale=self._context.get('lang') or 'en_US'))
first_day_of_week = today + timedelta(days=-day_of_week+1)
for i in range(-1,4):
if i==0:
label = _('This Week')
elif i==3:
label = _('Future')
else:
start_week = first_day_of_week + timedelta(days=i*7)
end_week = start_week + timedelta(days=6)
if start_week.month == end_week.month:
label = str(start_week.day) + '-' +str(end_week.day)+ ' ' + format_date(end_week, 'MMM', locale=self._context.get('lang') or 'en_US')
else:
label = format_date(start_week, 'd MMM', locale=self._context.get('lang') or 'en_US')+'-'+format_date(end_week, 'd MMM', locale=self._context.get('lang') or 'en_US')
data.append({'label':label,'value':0.0, 'type': 'past' if i<0 else 'future'})
# Build SQL query to find amount aggregated by week
(select_sql_clause, query_args) = self._get_bar_graph_select_query()
query = ''
start_date = (first_day_of_week + timedelta(days=-7))
for i in range(0,6):
if i == 0:
query += "("+select_sql_clause+" and date < '"+start_date.strftime(DF)+"')"
elif i == 5:
query += " UNION ALL ("+select_sql_clause+" and date >= '"+start_date.strftime(DF)+"')"
else:
next_date = start_date + timedelta(days=7)
query += " UNION ALL ("+select_sql_clause+" and date >= '"+start_date.strftime(DF)+"' and date < '"+next_date.strftime(DF)+"')"
start_date = next_date
self.env.cr.execute(query, query_args)
query_results = self.env.cr.dictfetchall()
for index in range(0, len(query_results)):
if query_results[index].get('aggr_date') != None:
data[index]['value'] = query_results[index].get('total')
[graph_title, graph_key] = self._graph_title_and_key()
return [{'values': data, 'title': graph_title, 'key': graph_key}]
def _get_bar_graph_select_query(self):
"""
Returns a tuple containing the base SELECT SQL query used to gather
the bar graph's data as its first element, and the arguments dictionary
for it as its second.
"""
return ("""SELECT sum(residual_company_signed) as total, min(date) as aggr_date
FROM account_invoice
WHERE journal_id = %(journal_id)s and state = 'open'""", {'journal_id':self.id})
@api.multi
def get_journal_dashboard_datas(self):
currency = self.currency_id or self.company_id.currency_id
number_to_reconcile = last_balance = account_sum = 0
title = ''
number_draft = number_waiting = number_late = 0
sum_draft = sum_waiting = sum_late = 0.0
if self.type in ['bank', 'cash']:
last_bank_stmt = self.env['account.bank.statement'].search([('journal_id', 'in', self.ids)], order="date desc, id desc", limit=1)
last_balance = last_bank_stmt and last_bank_stmt[0].balance_end or 0
#Get the number of items to reconcile for that bank journal
self.env.cr.execute("""SELECT COUNT(DISTINCT(line.id))
FROM account_bank_statement_line AS line
LEFT JOIN account_bank_statement AS st
ON line.statement_id = st.id
WHERE st.journal_id IN %s AND st.state = 'open' AND line.amount != 0.0
AND not exists (select 1 from account_move_line aml where aml.statement_line_id = line.id)
""", (tuple(self.ids),))
number_to_reconcile = self.env.cr.fetchone()[0]
# optimization to read sum of balance from account_move_line
account_ids = tuple(ac for ac in [self.default_debit_account_id.id, self.default_credit_account_id.id] if ac)
if account_ids:
amount_field = 'balance' if (not self.currency_id or self.currency_id == self.company_id.currency_id) else 'amount_currency'
query = """SELECT sum(%s) FROM account_move_line WHERE account_id in %%s AND date <= %%s;""" % (amount_field,)
self.env.cr.execute(query, (account_ids, fields.Date.today(),))
query_results = self.env.cr.dictfetchall()
if query_results and query_results[0].get('sum') != None:
account_sum = query_results[0].get('sum')
#TODO need to check if all invoices are in the same currency than the journal!!!!
elif self.type in ['sale', 'purchase']:
title = _('Bills to pay') if self.type == 'purchase' else _('Invoices owed to you')
(query, query_args) = self._get_open_bills_to_pay_query()
self.env.cr.execute(query, query_args)
query_results_to_pay = self.env.cr.dictfetchall()
(query, query_args) = self._get_draft_bills_query()
self.env.cr.execute(query, query_args)
query_results_drafts = self.env.cr.dictfetchall()
today = datetime.today()
query = """SELECT amount_total, currency_id AS currency, type FROM account_invoice WHERE journal_id = %s AND date < %s AND state = 'open';"""
self.env.cr.execute(query, (self.id, today))
late_query_results = self.env.cr.dictfetchall()
(number_waiting, sum_waiting) = self._count_results_and_sum_amounts(query_results_to_pay, currency)
(number_draft, sum_draft) = self._count_results_and_sum_amounts(query_results_drafts, currency)
(number_late, sum_late) = self._count_results_and_sum_amounts(late_query_results, currency)
difference = currency.round(last_balance-account_sum) + 0.0
return {
'number_to_reconcile': number_to_reconcile,
'account_balance': formatLang(self.env, currency.round(account_sum) + 0.0, currency_obj=currency),
'last_balance': formatLang(self.env, currency.round(last_balance) + 0.0, currency_obj=currency),
'difference': formatLang(self.env, difference, currency_obj=currency) if difference else False,
'number_draft': number_draft,
'number_waiting': number_waiting,
'number_late': number_late,
'sum_draft': formatLang(self.env, currency.round(sum_draft) + 0.0, currency_obj=currency),
'sum_waiting': formatLang(self.env, currency.round(sum_waiting) + 0.0, currency_obj=currency),
'sum_late': formatLang(self.env, currency.round(sum_late) + 0.0, currency_obj=currency),
'currency_id': currency.id,
'bank_statements_source': self.bank_statements_source,
'title': title,
}
def _get_open_bills_to_pay_query(self):
"""
Returns a tuple contaning the SQL query used to gather the open bills
data as its first element, and the arguments dictionary to use to run
it as its second.
"""
return ("""SELECT state, amount_total, currency_id AS currency, type
FROM account_invoice
WHERE journal_id = %(journal_id)s AND state = 'open';""", {'journal_id':self.id})
def _get_draft_bills_query(self):
"""
Returns a tuple containing as its first element the SQL query used to
gather the bills in draft state data, and the arguments
dictionary to use to run it as its second.
"""
return ("""SELECT state, amount_total, currency_id AS currency, type
FROM account_invoice
WHERE journal_id = %(journal_id)s AND state = 'draft';""", {'journal_id':self.id})
def _count_results_and_sum_amounts(self, results_dict, target_currency):
""" Loops on a query result to count the total number of invoices and sum
their amount_total field (expressed in the given target currency).
"""
rslt_count = 0
rslt_sum = 0.0
for result in results_dict:
cur = self.env['res.currency'].browse(result.get('currency'))
rslt_count += 1
type_factor = result.get('type') in ('in_refund', 'out_refund') and -1 or 1
rslt_sum += type_factor * cur.compute(result.get('amount_total'), target_currency)
return (rslt_count, rslt_sum)
@api.multi
def action_create_new(self):
ctx = self._context.copy()
model = 'account.invoice'
if self.type == 'sale':
ctx.update({'journal_type': self.type, 'default_type': 'out_invoice', 'type': 'out_invoice', 'default_journal_id': self.id})
if ctx.get('refund'):
ctx.update({'default_type':'out_refund', 'type':'out_refund'})
view_id = self.env.ref('account.invoice_form').id
elif self.type == 'purchase':
ctx.update({'journal_type': self.type, 'default_type': 'in_invoice', 'type': 'in_invoice', 'default_journal_id': self.id})
if ctx.get('refund'):
ctx.update({'default_type': 'in_refund', 'type': 'in_refund'})
view_id = self.env.ref('account.invoice_supplier_form').id
else:
ctx.update({'default_journal_id': self.id, 'view_no_maturity': True})
view_id = self.env.ref('account.view_move_form').id
model = 'account.move'
return {
'name': _('Create invoice/bill'),
'type': 'ir.actions.act_window',
'view_type': 'form',
'view_mode': 'form',
'res_model': model,
'view_id': view_id,
'context': ctx,
}
@api.multi
def create_cash_statement(self):
ctx = self._context.copy()
ctx.update({'journal_id': self.id, 'default_journal_id': self.id, 'default_journal_type': 'cash'})
return {
'name': _('Create cash statement'),
'type': 'ir.actions.act_window',
'view_type': 'form',
'view_mode': 'form',
'res_model': 'account.bank.statement',
'context': ctx,
}
@api.multi
def action_open_reconcile(self):
if self.type in ['bank', 'cash']:
# Open reconciliation view for bank statements belonging to this journal
bank_stmt = self.env['account.bank.statement'].search([('journal_id', 'in', self.ids)])
return {
'type': 'ir.actions.client',
'tag': 'bank_statement_reconciliation_view',
'context': {'statement_ids': bank_stmt.ids, 'company_ids': self.mapped('company_id').ids},
}
else:
# Open reconciliation view for customers/suppliers
action_context = {'show_mode_selector': False, 'company_ids': self.mapped('company_id').ids}
if self.type == 'sale':
action_context.update({'mode': 'customers'})
elif self.type == 'purchase':
action_context.update({'mode': 'suppliers'})
return {
'type': 'ir.actions.client',
'tag': 'manual_reconciliation_view',
'context': action_context,
}
@api.multi
def open_action(self):
"""return action based on type for related journals"""
action_name = self._context.get('action_name', False)
if not action_name:
if self.type == 'bank':
action_name = 'action_bank_statement_tree'
elif self.type == 'cash':
action_name = 'action_view_bank_statement_tree'
elif self.type == 'sale':
action_name = 'action_invoice_tree1'
elif self.type == 'purchase':
action_name = 'action_invoice_tree2'
else:
action_name = 'action_move_journal_line'
_journal_invoice_type_map = {
('sale', None): 'out_invoice',
('purchase', None): 'in_invoice',
('sale', 'refund'): 'out_refund',
('purchase', 'refund'): 'in_refund',
('bank', None): 'bank',
('cash', None): 'cash',
('general', None): 'general',
}
invoice_type = _journal_invoice_type_map[(self.type, self._context.get('invoice_type'))]
ctx = self._context.copy()
ctx.pop('group_by', None)
ctx.update({
'journal_type': self.type,
'default_journal_id': self.id,
'search_default_journal_id': self.id,
'default_type': invoice_type,
'type': invoice_type
})
[action] = self.env.ref('account.%s' % action_name).read()
if not self.env.context.get('use_domain'):
ctx['search_default_journal_id'] = self.id
action['context'] = ctx
action['domain'] = self._context.get('use_domain', [])
account_invoice_filter = self.env.ref('account.view_account_invoice_filter', False)
if action_name in ['action_invoice_tree1', 'action_invoice_tree2']:
action['search_view_id'] = account_invoice_filter and account_invoice_filter.id or False
if action_name in ['action_bank_statement_tree', 'action_view_bank_statement_tree']:
action['views'] = False
action['view_id'] = False
return action
@api.multi
def open_spend_money(self):
return self.open_payments_action('outbound')
@api.multi
def open_collect_money(self):
return self.open_payments_action('inbound')
@api.multi
def open_transfer_money(self):
return self.open_payments_action('transfer')
@api.multi
def open_payments_action(self, payment_type):
ctx = self._context.copy()
ctx.update({
'default_payment_type': payment_type,
'default_journal_id': self.id
})
ctx.pop('group_by', None)
action_rec = self.env['ir.model.data'].xmlid_to_object('account.action_account_payments')
if action_rec:
action = action_rec.read([])[0]
action['context'] = ctx
action['domain'] = [('journal_id','=',self.id),('payment_type','=',payment_type)]
return action
@api.multi
def open_action_with_context(self):
action_name = self.env.context.get('action_name', False)
if not action_name:
return False
ctx = dict(self.env.context, default_journal_id=self.id)
if ctx.get('search_default_journal', False):
ctx.update(search_default_journal_id=self.id)
ctx.pop('group_by', None)
ir_model_obj = self.env['ir.model.data']
model, action_id = ir_model_obj.get_object_reference('account', action_name)
[action] = self.env[model].browse(action_id).read()
action['context'] = ctx
if ctx.get('use_domain', False):
action['domain'] = ['|', ('journal_id', '=', self.id), ('journal_id', '=', False)]
action['name'] += ' for journal ' + self.name
return action
@api.multi
def create_bank_statement(self):
"""return action to create a bank statements. This button should be called only on journals with type =='bank'"""
self.bank_statements_source = 'manual'
action = self.env.ref('account.action_bank_statement_tree').read()[0]
action.update({
'views': [[False, 'form']],
'context': "{'default_journal_id': " + str(self.id) + "}",
})
return action
#####################
# Setup Steps Stuff #
#####################
@api.model
def retrieve_account_dashboard_setup_bar(self):
""" Returns the data used by the setup bar on the Accounting app dashboard."""
company = self.env.user.company_id
return {
'show_setup_bar': not company.account_setup_bar_closed,
'company': company.account_setup_company_data_done,
'bank': company.account_setup_bank_data_done,
'fiscal_year': company.account_setup_fy_data_done,
'chart_of_accounts': company.account_setup_coa_done,
'initial_balance': company.opening_move_posted(),
}
def mark_bank_setup_as_done_action(self):
""" Marks the 'bank setup' step as done in the setup bar and in the company."""
self.company_id.account_setup_bank_data_done = True
def unmark_bank_setup_as_done_action(self):
""" Marks the 'bank setup' step as not done in the setup bar and in the company."""
self.company_id.account_setup_bank_data_done = False