# -*- coding: utf-8 -*- from flectra import api, fields, models, _ from flectra.osv import expression from flectra.tools import float_is_zero, pycompat from flectra.tools import float_compare, float_round, float_repr from flectra.tools.misc import formatLang from flectra.exceptions import UserError, ValidationError import time import math class AccountCashboxLine(models.Model): """ Cash Box Details """ _name = 'account.cashbox.line' _description = 'CashBox Line' _rec_name = 'coin_value' _order = 'coin_value' @api.one @api.depends('coin_value', 'number') def _sub_total(self): """ Calculates Sub total""" self.subtotal = self.coin_value * self.number coin_value = fields.Float(string='Coin/Bill Value', required=True, digits=0) number = fields.Integer(string='Number of Coins/Bills', help='Opening Unit Numbers') subtotal = fields.Float(compute='_sub_total', string='Subtotal', digits=0, readonly=True) cashbox_id = fields.Many2one('account.bank.statement.cashbox', string="Cashbox") class AccountBankStmtCashWizard(models.Model): """ Account Bank Statement popup that allows entering cash details. """ _name = 'account.bank.statement.cashbox' _description = 'Account Bank Statement Cashbox Details' cashbox_lines_ids = fields.One2many('account.cashbox.line', 'cashbox_id', string='Cashbox Lines') @api.multi def validate(self): bnk_stmt_id = self.env.context.get('bank_statement_id', False) or self.env.context.get('active_id', False) bnk_stmt = self.env['account.bank.statement'].browse(bnk_stmt_id) total = 0.0 for lines in self.cashbox_lines_ids: total += lines.subtotal if self.env.context.get('balance', False) == 'start': #starting balance bnk_stmt.write({'balance_start': total, 'cashbox_start_id': self.id}) else: #closing balance bnk_stmt.write({'balance_end_real': total, 'cashbox_end_id': self.id}) return {'type': 'ir.actions.act_window_close'} class AccountBankStmtCloseCheck(models.TransientModel): """ Account Bank Statement wizard that check that closing balance is correct. """ _name = 'account.bank.statement.closebalance' _description = 'Account Bank Statement closing balance' @api.multi def validate(self): bnk_stmt_id = self.env.context.get('active_id', False) if bnk_stmt_id: self.env['account.bank.statement'].browse(bnk_stmt_id).button_confirm_bank() return {'type': 'ir.actions.act_window_close'} class AccountBankStatement(models.Model): @api.one @api.depends('line_ids', 'balance_start', 'line_ids.amount', 'balance_end_real') def _end_balance(self): self.total_entry_encoding = sum([line.amount for line in self.line_ids]) self.balance_end = self.balance_start + self.total_entry_encoding self.difference = self.balance_end_real - self.balance_end @api.multi def _is_difference_zero(self): for bank_stmt in self: bank_stmt.is_difference_zero = float_is_zero(bank_stmt.difference, precision_digits=bank_stmt.currency_id.decimal_places) @api.one @api.depends('journal_id') def _compute_currency(self): self.currency_id = self.journal_id.currency_id or self.company_id.currency_id @api.one @api.depends('line_ids.journal_entry_ids') def _check_lines_reconciled(self): self.all_lines_reconciled = all([line.journal_entry_ids.ids or line.account_id.id for line in self.line_ids if not self.currency_id.is_zero(line.amount)]) @api.depends('move_line_ids') def _get_move_line_count(self): for payment in self: payment.move_line_count = len(payment.move_line_ids) @api.model def _default_journal(self): journal_type = self.env.context.get('journal_type', False) company_id = self.env['res.company']._company_default_get('account.bank.statement').id if journal_type: journals = self.env['account.journal'].search([('type', '=', journal_type), ('company_id', '=', company_id)]) if journals: return journals[0] return self.env['account.journal'] @api.multi def _get_opening_balance(self, journal_id): last_bnk_stmt = self.search([('journal_id', '=', journal_id)], limit=1) if last_bnk_stmt: return last_bnk_stmt.balance_end return 0 @api.multi def _set_opening_balance(self, journal_id): self.balance_start = self._get_opening_balance(journal_id) @api.model def _default_opening_balance(self): #Search last bank statement and set current opening balance as closing balance of previous one journal_id = self._context.get('default_journal_id', False) or self._context.get('journal_id', False) if journal_id: return self._get_opening_balance(journal_id) return 0 _name = "account.bank.statement" _description = "Bank Statement" _order = "date desc, id desc" _inherit = ['mail.thread'] name = fields.Char(string='Reference', states={'open': [('readonly', False)]}, copy=False, readonly=True) reference = fields.Char(string='External Reference', states={'open': [('readonly', False)]}, copy=False, readonly=True, help="Used to hold the reference of the external mean that created this statement (name of imported file, reference of online synchronization...)") date = fields.Date(required=True, states={'confirm': [('readonly', True)]}, index=True, copy=False, default=fields.Date.context_today) date_done = fields.Datetime(string="Closed On") balance_start = fields.Monetary(string='Starting Balance', states={'confirm': [('readonly', True)]}, default=_default_opening_balance) balance_end_real = fields.Monetary('Ending Balance', states={'confirm': [('readonly', True)]}) state = fields.Selection([('open', 'New'), ('confirm', 'Validated')], string='Status', required=True, readonly=True, copy=False, default='open') currency_id = fields.Many2one('res.currency', compute='_compute_currency', oldname='currency', string="Currency") journal_id = fields.Many2one('account.journal', string='Journal', required=True, states={'confirm': [('readonly', True)]}, default=_default_journal) journal_type = fields.Selection(related='journal_id.type', help="Technical field used for usability purposes") company_id = fields.Many2one('res.company', related='journal_id.company_id', string='Company', store=True, readonly=True, default=lambda self: self.env['res.company']._company_default_get('account.bank.statement')) total_entry_encoding = fields.Monetary('Transactions Subtotal', compute='_end_balance', store=True, help="Total of transaction lines.") balance_end = fields.Monetary('Computed Balance', compute='_end_balance', store=True, help='Balance as calculated based on Opening Balance and transaction lines') difference = fields.Monetary(compute='_end_balance', store=True, help="Difference between the computed ending balance and the specified ending balance.") line_ids = fields.One2many('account.bank.statement.line', 'statement_id', string='Statement lines', states={'confirm': [('readonly', True)]}, copy=True) move_line_ids = fields.One2many('account.move.line', 'statement_id', string='Entry lines', states={'confirm': [('readonly', True)]}) move_line_count = fields.Integer(compute="_get_move_line_count") all_lines_reconciled = fields.Boolean(compute='_check_lines_reconciled') user_id = fields.Many2one('res.users', string='Responsible', required=False, default=lambda self: self.env.user) cashbox_start_id = fields.Many2one('account.bank.statement.cashbox', string="Starting Cashbox") cashbox_end_id = fields.Many2one('account.bank.statement.cashbox', string="Ending Cashbox") is_difference_zero = fields.Boolean(compute='_is_difference_zero', string='Is zero', help="Check if difference is zero.") @api.onchange('journal_id') def onchange_journal_id(self): self._set_opening_balance(self.journal_id.id) @api.multi def _balance_check(self): for stmt in self: if not stmt.currency_id.is_zero(stmt.difference): if stmt.journal_type == 'cash': if stmt.difference < 0.0: account = stmt.journal_id.loss_account_id name = _('Loss') else: # statement.difference > 0.0 account = stmt.journal_id.profit_account_id name = _('Profit') if not account: raise UserError(_('There is no account defined on the journal %s for %s involved in a cash difference.') % (stmt.journal_id.name, name)) values = { 'statement_id': stmt.id, 'account_id': account.id, 'amount': stmt.difference, 'name': _("Cash difference observed during the counting (%s)") % name, } self.env['account.bank.statement.line'].create(values) else: balance_end_real = formatLang(self.env, stmt.balance_end_real, currency_obj=stmt.currency_id) balance_end = formatLang(self.env, stmt.balance_end, currency_obj=stmt.currency_id) raise UserError(_('The ending balance is incorrect !\nThe expected balance (%s) is different from the computed one. (%s)') % (balance_end_real, balance_end)) return True @api.multi def unlink(self): for statement in self: if statement.state != 'open': raise UserError(_('In order to delete a bank statement, you must first cancel it to delete related journal items.')) # Explicitly unlink bank statement lines so it will check that the related journal entries have been deleted first statement.line_ids.unlink() return super(AccountBankStatement, self).unlink() @api.multi def open_cashbox_id(self): context = dict(self.env.context or {}) if context.get('cashbox_id'): context['active_id'] = self.id return { 'name': _('Cash Control'), 'view_type': 'form', 'view_mode': 'form', 'res_model': 'account.bank.statement.cashbox', 'view_id': self.env.ref('account.view_account_bnk_stmt_cashbox').id, 'type': 'ir.actions.act_window', 'res_id': self.env.context.get('cashbox_id'), 'context': context, 'target': 'new' } @api.multi def check_confirm_bank(self): if self.journal_type == 'cash' and not self.currency_id.is_zero(self.difference): action_rec = self.env['ir.model.data'].xmlid_to_object('account.action_view_account_bnk_stmt_check') if action_rec: action = action_rec.read([])[0] return action return self.button_confirm_bank() @api.multi def button_confirm_bank(self): self._balance_check() statements = self.filtered(lambda r: r.state == 'open') for statement in statements: moves = self.env['account.move'] for st_line in statement.line_ids: if st_line.account_id and not st_line.journal_entry_ids.ids: st_line.fast_counterpart_creation() elif not st_line.journal_entry_ids.ids and not statement.currency_id.is_zero(st_line.amount): raise UserError(_('All the account entries lines must be processed in order to close the statement.')) for aml in st_line.journal_entry_ids: moves |= aml.move_id if moves: moves.filtered(lambda m: m.state != 'posted').post() statement.message_post(body=_('Statement %s confirmed, journal items were created.') % (statement.name,)) statements.link_bank_to_partner() statements.write({'state': 'confirm', 'date_done': time.strftime("%Y-%m-%d %H:%M:%S")}) @api.multi def button_journal_entries(self): context = dict(self._context or {}) context['journal_id'] = self.journal_id.id return { 'name': _('Journal Entries'), 'view_type': 'form', 'view_mode': 'tree,form', 'res_model': 'account.move', 'view_id': False, 'type': 'ir.actions.act_window', 'domain': [('id', 'in', self.mapped('move_line_ids').mapped('move_id').ids)], 'context': context, } @api.multi def button_open(self): """ Changes statement state to Running.""" for statement in self: if not statement.name: context = {'ir_sequence_date': statement.date} if statement.journal_id.sequence_id: st_number = statement.journal_id.sequence_id.with_context(**context).next_by_id() else: SequenceObj = self.env['ir.sequence'] st_number = SequenceObj.with_context(**context).next_by_code('account.bank.statement') statement.name = st_number statement.state = 'open' @api.multi def reconciliation_widget_preprocess(self): """ Get statement lines of the specified statements or all unreconciled statement lines and try to automatically reconcile them / find them a partner. Return ids of statement lines left to reconcile and other data for the reconciliation widget. """ statements = self # NB : The field account_id can be used at the statement line creation/import to avoid the reconciliation process on it later on, # this is why we filter out statements lines where account_id is set sql_query = """SELECT stl.id FROM account_bank_statement_line stl WHERE account_id IS NULL AND stl.amount != 0.0 AND not exists (select 1 from account_move_line aml where aml.statement_line_id = stl.id) AND company_id = %s """ params = (self.env.user.company_id.id,) if statements: sql_query += ' AND stl.statement_id IN %s' params += (tuple(statements.ids),) sql_query += ' ORDER BY stl.id' self.env.cr.execute(sql_query, params) st_lines_left = self.env['account.bank.statement.line'].browse([line.get('id') for line in self.env.cr.dictfetchall()]) #try to assign partner to bank_statement_line stl_to_assign = st_lines_left.filtered(lambda stl: not stl.partner_id) refs = set(stl_to_assign.mapped('name')) if stl_to_assign and refs\ and st_lines_left[0].journal_id.default_credit_account_id\ and st_lines_left[0].journal_id.default_debit_account_id: sql_query = """SELECT aml.partner_id, aml.ref, stl.id FROM account_move_line aml JOIN account_account acc ON acc.id = aml.account_id JOIN account_bank_statement_line stl ON aml.ref = stl.name WHERE (aml.company_id = %s AND aml.partner_id IS NOT NULL) AND ( (aml.statement_id IS NULL AND aml.account_id IN %s) OR (acc.internal_type IN ('payable', 'receivable') AND aml.reconciled = false) ) AND aml.ref IN %s """ params = (self.env.user.company_id.id, (st_lines_left[0].journal_id.default_credit_account_id.id, st_lines_left[0].journal_id.default_debit_account_id.id), tuple(refs)) if statements: sql_query += 'AND stl.id IN %s' params += (tuple(stl_to_assign.ids),) self.env.cr.execute(sql_query, params) results = self.env.cr.dictfetchall() st_line = self.env['account.bank.statement.line'] for line in results: st_line.browse(line.get('id')).write({'partner_id': line.get('partner_id')}) return { 'st_lines_ids': st_lines_left.ids, 'notifications': [], 'statement_name': len(statements) == 1 and statements[0].name or False, 'journal_id': statements and statements[0].journal_id.id or False, 'num_already_reconciled_lines': 0, } @api.multi def link_bank_to_partner(self): for statement in self: for st_line in statement.line_ids: if st_line.bank_account_id and st_line.partner_id and st_line.bank_account_id.partner_id != st_line.partner_id: st_line.bank_account_id.partner_id = st_line.partner_id class AccountBankStatementLine(models.Model): _name = "account.bank.statement.line" _description = "Bank Statement Line" _order = "statement_id desc, date desc, sequence, id desc" name = fields.Char(string='Label', required=True) date = fields.Date(required=True, default=lambda self: self._context.get('date', fields.Date.context_today(self))) amount = fields.Monetary(digits=0, currency_field='journal_currency_id') journal_currency_id = fields.Many2one('res.currency', related='statement_id.currency_id', help='Utility field to express amount currency', readonly=True) partner_id = fields.Many2one('res.partner', string='Partner') bank_account_id = fields.Many2one('res.partner.bank', string='Bank Account') account_id = fields.Many2one('account.account', string='Counterpart Account', domain=[('deprecated', '=', False)], help="This technical field can be used at the statement line creation/import time in order to avoid the reconciliation" " process on it later on. The statement line will simply create a counterpart on this account") statement_id = fields.Many2one('account.bank.statement', string='Statement', index=True, required=True, ondelete='cascade') journal_id = fields.Many2one('account.journal', related='statement_id.journal_id', string='Journal', store=True, readonly=True) partner_name = fields.Char(help="This field is used to record the third party name when importing bank statement in electronic format," " when the partner doesn't exist yet in the database (or cannot be found).") ref = fields.Char(string='Reference') note = fields.Text(string='Notes') sequence = fields.Integer(index=True, help="Gives the sequence order when displaying a list of bank statement lines.", default=1) company_id = fields.Many2one('res.company', related='statement_id.company_id', string='Company', store=True, readonly=True) journal_entry_ids = fields.One2many('account.move.line', 'statement_line_id', 'Journal Items', copy=False, readonly=True) amount_currency = fields.Monetary(help="The amount expressed in an optional other currency if it is a multi-currency entry.") currency_id = fields.Many2one('res.currency', string='Currency', help="The optional other currency if it is a multi-currency entry.") state = fields.Selection(related='statement_id.state', string='Status', readonly=True) move_name = fields.Char(string='Journal Entry Name', readonly=True, default=False, copy=False, help="Technical field holding the number given to the journal entry, automatically set when the statement line is reconciled then stored to set the same number again if the line is cancelled, set to draft and re-processed again.") @api.one @api.constrains('amount') def _check_amount(self): # Allow to enter bank statement line with an amount of 0, # so that user can enter/import the exact bank statement they have received from their bank in Flectra if self.journal_id.type != 'bank' and self.currency_id.is_zero(self.amount): raise ValidationError(_('A Cash transaction can\'t have a 0 amount.')) @api.one @api.constrains('amount', 'amount_currency') def _check_amount_currency(self): if self.amount_currency != 0 and self.amount == 0: raise ValidationError(_('If "Amount Currency" is specified, then "Amount" must be as well.')) @api.model def create(self, vals): line = super(AccountBankStatementLine, self).create(vals) # The most awesome fix you will ever see is below. # Explanation: during a 'create', the 'convert_to_cache' method is not called. Moreover, at # that point 'journal_currency_id' is not yet known since it is a related field. It means # that the 'amount' field will not be properly rounded. The line below triggers a write on # the 'amount' field, which will trigger the 'convert_to_cache' method, and ultimately round # the field correctly. # This is obviously an awful workaround, but at the time of writing, the ORM does not # provide a clean mechanism to fix the issue. line.amount = line.amount return line @api.multi def unlink(self): for line in self: if line.journal_entry_ids.ids: raise UserError(_('In order to delete a bank statement line, you must first cancel it to delete related journal items.')) return super(AccountBankStatementLine, self).unlink() @api.multi def button_cancel_reconciliation(self): aml_to_unbind = self.env['account.move.line'] aml_to_cancel = self.env['account.move.line'] payment_to_unreconcile = self.env['account.payment'] payment_to_cancel = self.env['account.payment'] for st_line in self: aml_to_unbind |= st_line.journal_entry_ids for line in st_line.journal_entry_ids: payment_to_unreconcile |= line.payment_id if st_line.move_name and line.payment_id.payment_reference == st_line.move_name: #there can be several moves linked to a statement line but maximum one created by the line itself aml_to_cancel |= line payment_to_cancel |= line.payment_id aml_to_unbind = aml_to_unbind - aml_to_cancel if aml_to_unbind: aml_to_unbind.write({'statement_line_id': False}) payment_to_unreconcile = payment_to_unreconcile - payment_to_cancel if payment_to_unreconcile: payment_to_unreconcile.unreconcile() if aml_to_cancel: aml_to_cancel.remove_move_reconcile() moves_to_cancel = aml_to_cancel.mapped('move_id') moves_to_cancel.button_cancel() moves_to_cancel.unlink() if payment_to_cancel: payment_to_cancel.unlink() #################################################### # Reconciliation interface methods #################################################### @api.multi def reconciliation_widget_auto_reconcile(self, num_already_reconciled_lines): automatic_reconciliation_entries = self.env['account.bank.statement.line'] unreconciled = self.env['account.bank.statement.line'] for stl in self: res = stl.auto_reconcile() if res: automatic_reconciliation_entries += stl else: unreconciled += stl # Collect various informations for the reconciliation widget notifications = [] num_auto_reconciled = len(automatic_reconciliation_entries) if num_auto_reconciled > 0: auto_reconciled_message = num_auto_reconciled > 1 \ and _("%d transactions were automatically reconciled.") % num_auto_reconciled \ or _("1 transaction was automatically reconciled.") notifications += [{ 'type': 'info', 'message': auto_reconciled_message, 'details': { 'name': _("Automatically reconciled items"), 'model': 'account.move', 'ids': automatic_reconciliation_entries.mapped('journal_entry_ids').mapped('move_id').ids } }] return { 'st_lines_ids': unreconciled.ids, 'notifications': notifications, 'statement_name': False, 'num_already_reconciled_lines': num_auto_reconciled + num_already_reconciled_lines, } @api.multi def get_data_for_reconciliation_widget(self, excluded_ids=None): """ Returns the data required to display a reconciliation widget, for each statement line in self """ excluded_ids = excluded_ids or [] ret = [] for st_line in self: aml_recs = st_line.get_reconciliation_proposition(excluded_ids=excluded_ids) target_currency = st_line.currency_id or st_line.journal_id.currency_id or st_line.journal_id.company_id.currency_id rp = aml_recs.prepare_move_lines_for_reconciliation_widget(target_currency=target_currency, target_date=st_line.date) excluded_ids += [move_line['id'] for move_line in rp] ret.append({ 'st_line': st_line.get_statement_line_for_reconciliation_widget(), 'reconciliation_proposition': rp }) return ret def get_statement_line_for_reconciliation_widget(self): """ Returns the data required by the bank statement reconciliation widget to display a statement line """ statement_currency = self.journal_id.currency_id or self.journal_id.company_id.currency_id if self.amount_currency and self.currency_id: amount = self.amount_currency amount_currency = self.amount amount_currency_str = formatLang(self.env, abs(amount_currency), currency_obj=statement_currency) else: amount = self.amount amount_currency = amount amount_currency_str = "" amount_str = formatLang(self.env, abs(amount), currency_obj=self.currency_id or statement_currency) data = { 'id': self.id, 'ref': self.ref, 'note': self.note or "", 'name': self.name, 'date': self.date, 'amount': amount, 'amount_str': amount_str, # Amount in the statement line currency 'currency_id': self.currency_id.id or statement_currency.id, 'partner_id': self.partner_id.id, 'journal_id': self.journal_id.id, 'statement_id': self.statement_id.id, 'account_id': [self.journal_id.default_debit_account_id.id, self.journal_id.default_debit_account_id.display_name], 'account_code': self.journal_id.default_debit_account_id.code, 'account_name': self.journal_id.default_debit_account_id.name, 'partner_name': self.partner_id.name, 'communication_partner_name': self.partner_name, 'amount_currency_str': amount_currency_str, # Amount in the statement currency 'amount_currency': amount_currency, # Amount in the statement currency 'has_no_partner': not self.partner_id.id, } if self.partner_id: if amount > 0: data['open_balance_account_id'] = self.partner_id.property_account_receivable_id.id else: data['open_balance_account_id'] = self.partner_id.property_account_payable_id.id return data @api.multi def get_move_lines_for_reconciliation_widget(self, partner_id=None, excluded_ids=None, str=False, offset=0, limit=None): """ Returns move lines for the bank statement reconciliation widget, formatted as a list of dicts """ aml_recs = self.get_move_lines_for_reconciliation(partner_id=partner_id, excluded_ids=excluded_ids, str=str, offset=offset, limit=limit) target_currency = self.currency_id or self.journal_id.currency_id or self.journal_id.company_id.currency_id return aml_recs.prepare_move_lines_for_reconciliation_widget(target_currency=target_currency, target_date=self.date) #################################################### # Reconciliation methods #################################################### def get_move_lines_for_reconciliation(self, partner_id=None, excluded_ids=None, str=False, offset=0, limit=None, additional_domain=None, overlook_partner=False): """ Return account.move.line records which can be used for bank statement reconciliation. :param partner_id: :param excluded_ids: :param str: :param offset: :param limit: :param additional_domain: :param overlook_partner: """ if partner_id is None: partner_id = self.partner_id.id # Blue lines = payment on bank account not assigned to a statement yet reconciliation_aml_accounts = [self.journal_id.default_credit_account_id.id, self.journal_id.default_debit_account_id.id] domain_reconciliation = ['&', '&', ('statement_line_id', '=', False), ('account_id', 'in', reconciliation_aml_accounts), ('payment_id','<>', False)] # Black lines = unreconciled & (not linked to a payment or open balance created by statement domain_matching = [('reconciled', '=', False)] if partner_id or overlook_partner: domain_matching = expression.AND([domain_matching, [('account_id.internal_type', 'in', ['payable', 'receivable'])]]) else: # TODO : find out what use case this permits (match a check payment, registered on a journal whose account type is other instead of liquidity) domain_matching = expression.AND([domain_matching, [('account_id.reconcile', '=', True)]]) # Let's add what applies to both domain = expression.OR([domain_reconciliation, domain_matching]) if partner_id and not overlook_partner: domain = expression.AND([domain, [('partner_id', '=', partner_id)]]) # Domain factorized for all reconciliation use cases if str: str_domain = self.env['account.move.line'].domain_move_lines_for_reconciliation(str=str) if not partner_id: str_domain = expression.OR([str_domain, [('partner_id.name', 'ilike', str)]]) domain = expression.AND([domain, str_domain]) if excluded_ids: domain = expression.AND([[('id', 'not in', excluded_ids)], domain]) # Domain from caller if additional_domain is None: additional_domain = [] else: additional_domain = expression.normalize_domain(additional_domain) domain = expression.AND([domain, additional_domain]) return self.env['account.move.line'].search(domain, offset=offset, limit=limit, order="date_maturity desc, id desc") def _get_common_sql_query(self, overlook_partner = False, excluded_ids = None, split = False): acc_type = "acc.internal_type IN ('payable', 'receivable')" if (self.partner_id or overlook_partner) else "acc.reconcile = true" select_clause = "SELECT aml.id " from_clause = "FROM account_move_line aml JOIN account_account acc ON acc.id = aml.account_id " account_clause = '' if self.journal_id.default_credit_account_id and self.journal_id.default_debit_account_id: account_clause = "(aml.statement_id IS NULL AND aml.account_id IN %(account_payable_receivable)s AND aml.payment_id IS NOT NULL) OR" where_clause = """WHERE aml.company_id = %(company_id)s AND ( """ + account_clause + """ ("""+acc_type+""" AND aml.reconciled = false) )""" where_clause = where_clause + ' AND aml.partner_id = %(partner_id)s' if self.partner_id else where_clause where_clause = where_clause + ' AND aml.id NOT IN %(excluded_ids)s' if excluded_ids else where_clause if split: return select_clause, from_clause, where_clause return select_clause + from_clause + where_clause def get_reconciliation_proposition(self, excluded_ids=None): """ Returns move lines that constitute the best guess to reconcile a statement line Note: it only looks for move lines in the same currency as the statement line. """ self.ensure_one() if not excluded_ids: excluded_ids = [] amount = self.amount_currency or self.amount company_currency = self.journal_id.company_id.currency_id st_line_currency = self.currency_id or self.journal_id.currency_id currency = (st_line_currency and st_line_currency != company_currency) and st_line_currency.id or False precision = st_line_currency and st_line_currency.decimal_places or company_currency.decimal_places params = {'company_id': self.env.user.company_id.id, 'account_payable_receivable': (self.journal_id.default_credit_account_id.id, self.journal_id.default_debit_account_id.id), 'amount': float_repr(float_round(amount, precision_digits=precision), precision_digits=precision), 'partner_id': self.partner_id.id, 'excluded_ids': tuple(excluded_ids), 'ref': self.name, } # Look for structured communication match if self.name: add_to_select = ", CASE WHEN aml.ref = %(ref)s THEN 1 ELSE 2 END as temp_field_order " add_to_from = " JOIN account_move m ON m.id = aml.move_id " select_clause, from_clause, where_clause = self._get_common_sql_query(overlook_partner=True, excluded_ids=excluded_ids, split=True) sql_query = select_clause + add_to_select + from_clause + add_to_from + where_clause sql_query += " AND (aml.ref= %(ref)s or m.name = %(ref)s) \ ORDER BY temp_field_order, date_maturity desc, aml.id desc" self.env.cr.execute(sql_query, params) results = self.env.cr.fetchone() if results: return self.env['account.move.line'].browse(results[0]) # Look for a single move line with the same amount field = currency and 'amount_residual_currency' or 'amount_residual' liquidity_field = currency and 'amount_currency' or amount > 0 and 'debit' or 'credit' liquidity_amt_clause = currency and '%(amount)s::numeric' or 'abs(%(amount)s::numeric)' sql_query = self._get_common_sql_query(excluded_ids=excluded_ids) + \ " AND ("+field+" = %(amount)s::numeric OR (acc.internal_type = 'liquidity' AND "+liquidity_field+" = " + liquidity_amt_clause + ")) \ ORDER BY date_maturity desc, aml.id desc LIMIT 1" self.env.cr.execute(sql_query, params) results = self.env.cr.fetchone() if results: return self.env['account.move.line'].browse(results[0]) return self.env['account.move.line'] def _get_move_lines_for_auto_reconcile(self): """ Returns the move lines that the method auto_reconcile can use to try to reconcile the statement line """ pass @api.multi def auto_reconcile(self): """ Try to automatically reconcile the statement.line ; return the counterpart journal entry/ies if the automatic reconciliation succeeded, False otherwise. TODO : this method could be greatly improved and made extensible """ self.ensure_one() match_recs = self.env['account.move.line'] amount = self.amount_currency or self.amount company_currency = self.journal_id.company_id.currency_id st_line_currency = self.currency_id or self.journal_id.currency_id currency = (st_line_currency and st_line_currency != company_currency) and st_line_currency.id or False precision = st_line_currency and st_line_currency.decimal_places or company_currency.decimal_places params = {'company_id': self.env.user.company_id.id, 'account_payable_receivable': (self.journal_id.default_credit_account_id.id, self.journal_id.default_debit_account_id.id), 'amount': float_round(amount, precision_digits=precision), 'partner_id': self.partner_id.id, 'ref': self.name, } field = currency and 'amount_residual_currency' or 'amount_residual' liquidity_field = currency and 'amount_currency' or amount > 0 and 'debit' or 'credit' # Look for structured communication match if self.name: sql_query = self._get_common_sql_query() + \ " AND aml.ref = %(ref)s AND ("+field+" = %(amount)s OR (acc.internal_type = 'liquidity' AND "+liquidity_field+" = %(amount)s)) \ ORDER BY date_maturity asc, aml.id asc" self.env.cr.execute(sql_query, params) match_recs = self.env.cr.dictfetchall() if len(match_recs) > 1: return False # Look for a single move line with the same partner, the same amount if not match_recs: if self.partner_id: sql_query = self._get_common_sql_query() + \ " AND ("+field+" = %(amount)s OR (acc.internal_type = 'liquidity' AND "+liquidity_field+" = %(amount)s)) \ ORDER BY date_maturity asc, aml.id asc" self.env.cr.execute(sql_query, params) match_recs = self.env.cr.dictfetchall() if len(match_recs) > 1: return False if not match_recs: return False match_recs = self.env['account.move.line'].browse([aml.get('id') for aml in match_recs]) # Now reconcile counterpart_aml_dicts = [] payment_aml_rec = self.env['account.move.line'] for aml in match_recs: if aml.account_id.internal_type == 'liquidity': payment_aml_rec = (payment_aml_rec | aml) else: amount = aml.currency_id and aml.amount_residual_currency or aml.amount_residual counterpart_aml_dicts.append({ 'name': aml.name if aml.name != '/' else aml.move_id.name, 'debit': amount < 0 and -amount or 0, 'credit': amount > 0 and amount or 0, 'move_line': aml }) try: with self._cr.savepoint(): counterpart = self.process_reconciliation(counterpart_aml_dicts=counterpart_aml_dicts, payment_aml_rec=payment_aml_rec) return counterpart except UserError: # A configuration / business logic error that makes it impossible to auto-reconcile should not be raised # since automatic reconciliation is just an amenity and the user will get the same exception when manually # reconciling. Other types of exception are (hopefully) programmation errors and should cause a stacktrace. self.invalidate_cache() self.env['account.move'].invalidate_cache() self.env['account.move.line'].invalidate_cache() return False def _prepare_reconciliation_move(self, move_ref): """ Prepare the dict of values to create the move from a statement line. This method may be overridden to adapt domain logic through model inheritance (make sure to call super() to establish a clean extension chain). :param char move_ref: will be used as the reference of the generated account move :return: dict of value to create() the account.move """ ref = move_ref or '' if self.ref: ref = move_ref + ' - ' + self.ref if move_ref else self.ref data = { 'journal_id': self.statement_id.journal_id.id, 'date': self.date, 'ref': ref, } if self.move_name: data.update(name=self.move_name) return data def _prepare_reconciliation_move_line(self, move, amount): """ Prepare the dict of values to balance the move. :param recordset move: the account.move to link the move line :param float amount: the amount of transaction that wasn't already reconciled """ company_currency = self.journal_id.company_id.currency_id statement_currency = self.journal_id.currency_id or company_currency st_line_currency = self.currency_id or statement_currency amount_currency = False st_line_currency_rate = self.currency_id and (self.amount_currency / self.amount) or False # We have several use case here to compure the currency and amount currency of counterpart line to balance the move: if st_line_currency != company_currency and st_line_currency == statement_currency: # company in currency A, statement in currency B and transaction in currency B # counterpart line must have currency B and correct amount is inverse of already existing lines amount_currency = -sum([x.amount_currency for x in move.line_ids]) elif st_line_currency != company_currency and statement_currency == company_currency: # company in currency A, statement in currency A and transaction in currency B # counterpart line must have currency B and correct amount is inverse of already existing lines amount_currency = -sum([x.amount_currency for x in move.line_ids]) elif st_line_currency != company_currency and st_line_currency != statement_currency: # company in currency A, statement in currency B and transaction in currency C # counterpart line must have currency B and use rate between B and C to compute correct amount amount_currency = -sum([x.amount_currency for x in move.line_ids])/st_line_currency_rate elif st_line_currency == company_currency and statement_currency != company_currency: # company in currency A, statement in currency B and transaction in currency A # counterpart line must have currency B and amount is computed using the rate between A and B amount_currency = amount/st_line_currency_rate # last case is company in currency A, statement in currency A and transaction in currency A # and in this case counterpart line does not need any second currency nor amount_currency return { 'name': self.name, 'move_id': move.id, 'partner_id': self.partner_id and self.partner_id.id or False, 'account_id': amount >= 0 \ and self.statement_id.journal_id.default_credit_account_id.id \ or self.statement_id.journal_id.default_debit_account_id.id, 'credit': amount < 0 and -amount or 0.0, 'debit': amount > 0 and amount or 0.0, 'statement_line_id': self.id, 'currency_id': statement_currency != company_currency and statement_currency.id or (st_line_currency != company_currency and st_line_currency.id or False), 'amount_currency': amount_currency, } @api.multi def process_reconciliations(self, data): """ Handles data sent from the bank statement reconciliation widget (and can otherwise serve as an old-API bridge) :param list of dicts data: must contains the keys 'counterpart_aml_dicts', 'payment_aml_ids' and 'new_aml_dicts', whose value is the same as described in process_reconciliation except that ids are used instead of recordsets. """ AccountMoveLine = self.env['account.move.line'] ctx = dict(self._context, force_price_include=False) for st_line, datum in pycompat.izip(self, data): payment_aml_rec = AccountMoveLine.browse(datum.get('payment_aml_ids', [])) for aml_dict in datum.get('counterpart_aml_dicts', []): aml_dict['move_line'] = AccountMoveLine.browse(aml_dict['counterpart_aml_id']) del aml_dict['counterpart_aml_id'] if datum.get('partner_id') is not None: st_line.write({'partner_id': datum['partner_id']}) st_line.with_context(ctx).process_reconciliation(datum.get('counterpart_aml_dicts', []), payment_aml_rec, datum.get('new_aml_dicts', [])) def fast_counterpart_creation(self): for st_line in self: # Technical functionality to automatically reconcile by creating a new move line vals = { 'name': st_line.name, 'debit': st_line.amount < 0 and -st_line.amount or 0.0, 'credit': st_line.amount > 0 and st_line.amount or 0.0, 'account_id': st_line.account_id.id, } st_line.process_reconciliation(new_aml_dicts=[vals]) def _get_communication(self, payment_method_id): return self.name or '' def process_reconciliation(self, counterpart_aml_dicts=None, payment_aml_rec=None, new_aml_dicts=None): """ Match statement lines with existing payments (eg. checks) and/or payables/receivables (eg. invoices and credit notes) and/or new move lines (eg. write-offs). If any new journal item needs to be created (via new_aml_dicts or counterpart_aml_dicts), a new journal entry will be created and will contain those items, as well as a journal item for the bank statement line. Finally, mark the statement line as reconciled by putting the matched moves ids in the column journal_entry_ids. :param self: browse collection of records that are supposed to have no accounting entries already linked. :param (list of dicts) counterpart_aml_dicts: move lines to create to reconcile with existing payables/receivables. The expected keys are : - 'name' - 'debit' - 'credit' - 'move_line' # The move line to reconcile (partially if specified debit/credit is lower than move line's credit/debit) :param (list of recordsets) payment_aml_rec: recordset move lines representing existing payments (which are already fully reconciled) :param (list of dicts) new_aml_dicts: move lines to create. The expected keys are : - 'name' - 'debit' - 'credit' - 'account_id' - (optional) 'tax_ids' - (optional) Other account.move.line fields like analytic_account_id or analytics_id :returns: The journal entries with which the transaction was matched. If there was at least an entry in counterpart_aml_dicts or new_aml_dicts, this list contains the move created by the reconciliation, containing entries for the statement.line (1), the counterpart move lines (0..*) and the new move lines (0..*). """ counterpart_aml_dicts = counterpart_aml_dicts or [] payment_aml_rec = payment_aml_rec or self.env['account.move.line'] new_aml_dicts = new_aml_dicts or [] aml_obj = self.env['account.move.line'] company_currency = self.journal_id.company_id.currency_id statement_currency = self.journal_id.currency_id or company_currency st_line_currency = self.currency_id or statement_currency counterpart_moves = self.env['account.move'] # Check and prepare received data if any(rec.statement_id for rec in payment_aml_rec): raise UserError(_('A selected move line was already reconciled.')) for aml_dict in counterpart_aml_dicts: if aml_dict['move_line'].reconciled: raise UserError(_('A selected move line was already reconciled.')) if isinstance(aml_dict['move_line'], pycompat.integer_types): aml_dict['move_line'] = aml_obj.browse(aml_dict['move_line']) for aml_dict in (counterpart_aml_dicts + new_aml_dicts): if aml_dict.get('tax_ids') and isinstance(aml_dict['tax_ids'][0], pycompat.integer_types): # Transform the value in the format required for One2many and Many2many fields aml_dict['tax_ids'] = [(4, id, None) for id in aml_dict['tax_ids']] if any(line.journal_entry_ids for line in self): raise UserError(_('A selected statement line was already reconciled with an account move.')) # Fully reconciled moves are just linked to the bank statement total = self.amount for aml_rec in payment_aml_rec: total -= aml_rec.debit - aml_rec.credit aml_rec.with_context(check_move_validity=False).write({'statement_line_id': self.id}) counterpart_moves = (counterpart_moves | aml_rec.move_id) # Create move line(s). Either matching an existing journal entry (eg. invoice), in which # case we reconcile the existing and the new move lines together, or being a write-off. if counterpart_aml_dicts or new_aml_dicts: st_line_currency = self.currency_id or statement_currency st_line_currency_rate = self.currency_id and (self.amount_currency / self.amount) or False # Create the move self.sequence = self.statement_id.line_ids.ids.index(self.id) + 1 move_vals = self._prepare_reconciliation_move(self.statement_id.name) move = self.env['account.move'].create(move_vals) counterpart_moves = (counterpart_moves | move) # Create The payment payment = self.env['account.payment'] if abs(total)>0.00001: partner_id = self.partner_id and self.partner_id.id or False partner_type = False if partner_id: if total < 0: partner_type = 'supplier' else: partner_type = 'customer' payment_methods = (total>0) and self.journal_id.inbound_payment_method_ids or self.journal_id.outbound_payment_method_ids currency = self.journal_id.currency_id or self.company_id.currency_id payment = self.env['account.payment'].create({ 'payment_method_id': payment_methods and payment_methods[0].id or False, 'payment_type': total >0 and 'inbound' or 'outbound', 'partner_id': self.partner_id and self.partner_id.id or False, 'partner_type': partner_type, 'journal_id': self.statement_id.journal_id.id, 'payment_date': self.date, 'state': 'reconciled', 'currency_id': currency.id, 'amount': abs(total), 'communication': self._get_communication(payment_methods[0] if payment_methods else False), 'name': self.statement_id.name, }) # Complete dicts to create both counterpart move lines and write-offs to_create = (counterpart_aml_dicts + new_aml_dicts) ctx = dict(self._context, date=self.date) for aml_dict in to_create: aml_dict['move_id'] = move.id aml_dict['partner_id'] = self.partner_id.id aml_dict['statement_line_id'] = self.id if st_line_currency.id != company_currency.id: aml_dict['amount_currency'] = aml_dict['debit'] - aml_dict['credit'] aml_dict['currency_id'] = st_line_currency.id if self.currency_id and statement_currency.id == company_currency.id and st_line_currency_rate: # Statement is in company currency but the transaction is in foreign currency aml_dict['debit'] = company_currency.round(aml_dict['debit'] / st_line_currency_rate) aml_dict['credit'] = company_currency.round(aml_dict['credit'] / st_line_currency_rate) elif self.currency_id and st_line_currency_rate: # Statement is in foreign currency and the transaction is in another one aml_dict['debit'] = statement_currency.with_context(ctx).compute(aml_dict['debit'] / st_line_currency_rate, company_currency) aml_dict['credit'] = statement_currency.with_context(ctx).compute(aml_dict['credit'] / st_line_currency_rate, company_currency) else: # Statement is in foreign currency and no extra currency is given for the transaction aml_dict['debit'] = st_line_currency.with_context(ctx).compute(aml_dict['debit'], company_currency) aml_dict['credit'] = st_line_currency.with_context(ctx).compute(aml_dict['credit'], company_currency) elif statement_currency.id != company_currency.id: # Statement is in foreign currency but the transaction is in company currency prorata_factor = (aml_dict['debit'] - aml_dict['credit']) / self.amount_currency aml_dict['amount_currency'] = prorata_factor * self.amount aml_dict['currency_id'] = statement_currency.id # Create write-offs # When we register a payment on an invoice, the write-off line contains the amount # currency if all related invoices have the same currency. We apply the same logic in # the manual reconciliation. counterpart_aml = self.env['account.move.line'] for aml_dict in counterpart_aml_dicts: counterpart_aml |= aml_dict.get('move_line', self.env['account.move.line']) new_aml_currency = False if counterpart_aml\ and len(counterpart_aml.mapped('currency_id')) == 1\ and counterpart_aml[0].currency_id\ and counterpart_aml[0].currency_id != company_currency: new_aml_currency = counterpart_aml[0].currency_id for aml_dict in new_aml_dicts: aml_dict['payment_id'] = payment and payment.id or False if new_aml_currency and not aml_dict.get('currency_id'): aml_dict['currency_id'] = new_aml_currency.id aml_dict['amount_currency'] = company_currency.with_context(ctx).compute(aml_dict['debit'] - aml_dict['credit'], new_aml_currency) aml_obj.with_context(check_move_validity=False, apply_taxes=True).create(aml_dict) # Create counterpart move lines and reconcile them for aml_dict in counterpart_aml_dicts: if aml_dict['move_line'].partner_id.id: aml_dict['partner_id'] = aml_dict['move_line'].partner_id.id aml_dict['account_id'] = aml_dict['move_line'].account_id.id aml_dict['payment_id'] = payment and payment.id or False counterpart_move_line = aml_dict.pop('move_line') if counterpart_move_line.currency_id and counterpart_move_line.currency_id != company_currency and not aml_dict.get('currency_id'): aml_dict['currency_id'] = counterpart_move_line.currency_id.id aml_dict['amount_currency'] = company_currency.with_context(ctx).compute(aml_dict['debit'] - aml_dict['credit'], counterpart_move_line.currency_id) new_aml = aml_obj.with_context(check_move_validity=False).create(aml_dict) (new_aml | counterpart_move_line).reconcile() # Balance the move st_line_amount = -sum([x.balance for x in move.line_ids]) aml_dict = self._prepare_reconciliation_move_line(move, st_line_amount) aml_dict['payment_id'] = payment and payment.id or False aml_obj.with_context(check_move_validity=False).create(aml_dict) move.post() #record the move name on the statement line to be able to retrieve it in case of unreconciliation self.write({'move_name': move.name}) payment and payment.write({'payment_reference': move.name}) elif self.move_name: raise UserError(_('Operation not allowed. Since your statement line already received a number, you cannot reconcile it entirely with existing journal entries otherwise it would make a gap in the numbering. You should book an entry and make a regular revert of it in case you want to cancel it.')) counterpart_moves.assert_balanced() return counterpart_moves