315 lines
17 KiB
Python
315 lines
17 KiB
Python
# -*- coding: utf-8 -*-
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# Part of Odoo, Flectra. See LICENSE file for full copyright and licensing details.
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from flectra import api, fields, models, tools, _
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from flectra.exceptions import UserError
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from flectra.tools import float_is_zero, pycompat
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from flectra.addons import decimal_precision as dp
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class ProductTemplate(models.Model):
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_name = 'product.template'
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_inherit = 'product.template'
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property_valuation = fields.Selection([
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('manual_periodic', 'Periodic (manual)'),
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('real_time', 'Perpetual (automated)')], string='Inventory Valuation',
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company_dependent=True, copy=True, default='manual_periodic',
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help="""Manual: The accounting entries to value the inventory are not posted automatically.
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Automated: An accounting entry is automatically created to value the inventory when a product enters or leaves the company.""")
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valuation = fields.Char(compute='_compute_valuation_type', inverse='_set_valuation_type')
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property_cost_method = fields.Selection([
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('standard', 'Standard Price'),
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('fifo', 'First In First Out (FIFO)'),
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('average', 'Average Cost (AVCO)')], string='Costing Method',
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company_dependent=True, copy=True,
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help="""Standard Price: The products are valued at their standard cost defined on the product.
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Average Cost (AVCO): The products are valued at weighted average cost.
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First In First Out (FIFO): The products are valued supposing those that enter the company first will also leave it first.""")
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cost_method = fields.Char(compute='_compute_cost_method', inverse='_set_cost_method')
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property_stock_account_input = fields.Many2one(
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'account.account', 'Stock Input Account',
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company_dependent=True, domain=[('deprecated', '=', False)],
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help="When doing real-time inventory valuation, counterpart journal items for all incoming stock moves will be posted in this account, unless "
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"there is a specific valuation account set on the source location. When not set on the product, the one from the product category is used.")
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property_stock_account_output = fields.Many2one(
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'account.account', 'Stock Output Account',
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company_dependent=True, domain=[('deprecated', '=', False)],
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help="When doing real-time inventory valuation, counterpart journal items for all outgoing stock moves will be posted in this account, unless "
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"there is a specific valuation account set on the destination location. When not set on the product, the one from the product category is used.")
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@api.one
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@api.depends('property_valuation', 'categ_id.property_valuation')
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def _compute_valuation_type(self):
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self.valuation = self.property_valuation or self.categ_id.property_valuation
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@api.one
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def _set_valuation_type(self):
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return self.write({'property_valuation': self.valuation})
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@api.one
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@api.depends('property_cost_method', 'categ_id.property_cost_method')
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def _compute_cost_method(self):
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self.cost_method = self.property_cost_method or self.categ_id.property_cost_method
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def _is_cost_method_standard(self):
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return self.property_cost_method == 'standard'
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@api.one
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def _set_cost_method(self):
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# When going from FIFO to AVCO or to standard, we update the standard price with the
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# average value in stock.
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if self.property_cost_method == 'fifo' and self.cost_method in ['average', 'standard']:
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# Cannot use the `stock_value` computed field as it's already invalidated when
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# entering this method.
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valuation = sum([variant._sum_remaining_values() for variant in self.product_variant_ids])
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qty_available = self.with_context(company_owned=True).qty_available
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if qty_available:
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self.standard_price = valuation / qty_available
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return self.write({'property_cost_method': self.cost_method})
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@api.multi
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def _get_product_accounts(self):
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""" Add the stock accounts related to product to the result of super()
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@return: dictionary which contains information regarding stock accounts and super (income+expense accounts)
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"""
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accounts = super(ProductTemplate, self)._get_product_accounts()
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res = self._get_asset_accounts()
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accounts.update({
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'stock_input': res['stock_input'] or self.property_stock_account_input or self.categ_id.property_stock_account_input_categ_id,
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'stock_output': res['stock_output'] or self.property_stock_account_output or self.categ_id.property_stock_account_output_categ_id,
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'stock_valuation': self.categ_id.property_stock_valuation_account_id or False,
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})
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return accounts
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@api.multi
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def action_open_product_moves(self):
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self.ensure_one()
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action = self.env.ref('stock_account.stock_move_valuation_action').read()[0]
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action['domain'] = [('product_tmpl_id', '=', self.id)]
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action['context'] = {
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'search_default_outgoing': True,
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'search_default_incoming': True,
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'search_default_done': True,
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'is_avg': self.cost_method == 'average',
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}
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return action
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@api.multi
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def get_product_accounts(self, fiscal_pos=None):
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""" Add the stock journal related to product to the result of super()
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@return: dictionary which contains all needed information regarding stock accounts and journal and super (income+expense accounts)
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"""
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accounts = super(ProductTemplate, self).get_product_accounts(fiscal_pos=fiscal_pos)
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accounts.update({'stock_journal': self.categ_id.property_stock_journal or False})
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return accounts
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class ProductProduct(models.Model):
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_inherit = 'product.product'
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stock_value = fields.Float(
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'Value', compute='_compute_stock_value')
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@api.multi
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def do_change_standard_price(self, new_price, account_id):
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""" Changes the Standard Price of Product and creates an account move accordingly."""
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AccountMove = self.env['account.move']
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quant_locs = self.env['stock.quant'].sudo().read_group([('product_id', 'in', self.ids)], ['location_id'], ['location_id'])
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quant_loc_ids = [loc['location_id'][0] for loc in quant_locs]
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locations = self.env['stock.location'].search([('usage', '=', 'internal'), ('company_id', '=', self.env.user.company_id.id), ('id', 'in', quant_loc_ids)])
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product_accounts = {product.id: product.product_tmpl_id.get_product_accounts() for product in self}
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for location in locations:
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for product in self.with_context(location=location.id, compute_child=False).filtered(lambda r: r.valuation == 'real_time'):
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diff = product.standard_price - new_price
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if float_is_zero(diff, precision_rounding=product.currency_id.rounding):
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raise UserError(_("No difference between standard price and new price!"))
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if not product_accounts[product.id].get('stock_valuation', False):
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raise UserError(_('You don\'t have any stock valuation account defined on your product category. You must define one before processing this operation.'))
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qty_available = product.qty_available
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if qty_available:
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# Accounting Entries
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if diff * qty_available > 0:
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debit_account_id = account_id
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credit_account_id = product_accounts[product.id]['stock_valuation'].id
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else:
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debit_account_id = product_accounts[product.id]['stock_valuation'].id
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credit_account_id = account_id
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move_vals = {
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'journal_id': product_accounts[product.id]['stock_journal'].id,
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'company_id': location.company_id.id,
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'line_ids': [(0, 0, {
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'name': _('Standard Price changed - %s') % (product.display_name),
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'account_id': debit_account_id,
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'debit': abs(diff * qty_available),
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'credit': 0,
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}), (0, 0, {
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'name': _('Standard Price changed - %s') % (product.display_name),
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'account_id': credit_account_id,
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'debit': 0,
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'credit': abs(diff * qty_available),
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})],
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}
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move = AccountMove.create(move_vals)
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move.post()
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self.write({'standard_price': new_price})
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return True
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def _get_fifo_candidates_in_move(self):
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""" Find IN moves that can be used to value OUT moves.
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"""
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self.ensure_one()
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domain = [('product_id', '=', self.id), ('remaining_qty', '>', 0.0)] + self.env['stock.move']._get_in_base_domain()
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candidates = self.env['stock.move'].search(domain, order='date, id')
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return candidates
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def _sum_remaining_values(self):
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StockMove = self.env['stock.move']
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domain = [('product_id', '=', self.id)] + StockMove._get_all_base_domain()
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moves = StockMove.search(domain)
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return sum(moves.mapped('remaining_value'))
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@api.multi
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@api.depends('stock_move_ids.product_qty', 'stock_move_ids.state', 'product_tmpl_id.cost_method')
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def _compute_stock_value(self):
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for product in self:
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if product.cost_method in ['standard', 'average']:
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product.stock_value = product.standard_price * product.with_context(company_owned=True).qty_available
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elif product.cost_method == 'fifo':
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product.stock_value = product._sum_remaining_values()
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@api.multi
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def action_open_product_moves(self):
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self.ensure_one()
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action = self.env.ref('stock_account.stock_move_valuation_action').read()[0]
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action['domain'] = [('product_id', '=', self.id)]
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action['context'] = {
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'search_default_outgoing': True,
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'search_default_incoming': True,
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'search_default_done': True,
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'is_avg': self.cost_method == 'average',
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}
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return action
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@api.model
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def _anglo_saxon_sale_move_lines(self, name, product, uom, qty, price_unit, currency=False, amount_currency=False, fiscal_position=False, account_analytic=False, analytic_tags=False):
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"""Prepare dicts describing new journal COGS journal items for a product sale.
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Returns a dict that should be passed to `_convert_prepared_anglosaxon_line()` to
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obtain the creation value for the new journal items.
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:param Model product: a product.product record of the product being sold
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:param Model uom: a product.uom record of the UoM of the sale line
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:param Integer qty: quantity of the product being sold
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:param Integer price_unit: unit price of the product being sold
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:param Model currency: a res.currency record from the order of the product being sold
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:param Interger amount_currency: unit price in the currency from the order of the product being sold
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:param Model fiscal_position: a account.fiscal.position record from the order of the product being sold
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:param Model account_analytic: a account.account.analytic record from the line of the product being sold
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"""
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if product.type == 'product' and product.valuation == 'real_time':
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accounts = product.product_tmpl_id.get_product_accounts(fiscal_pos=fiscal_position)
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# debit account dacc will be the output account
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dacc = accounts['stock_output'].id
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# credit account cacc will be the expense account
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cacc = accounts['expense'].id
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if dacc and cacc:
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return [
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{
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'type': 'src',
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'name': name[:64],
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'price_unit': price_unit,
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'quantity': qty,
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'price': price_unit * qty,
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'currency_id': currency and currency.id,
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'amount_currency': amount_currency,
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'account_id': dacc,
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'product_id': product.id,
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'uom_id': uom.id,
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'account_analytic_id': account_analytic and account_analytic.id,
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'analytic_tag_ids': analytic_tags and analytic_tags.ids and [(6, 0, analytic_tags.ids)] or False,
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},
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{
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'type': 'src',
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'name': name[:64],
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'price_unit': price_unit,
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'quantity': qty,
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'price': -1 * price_unit * qty,
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'currency_id': currency and currency.id,
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'amount_currency': -1 * amount_currency,
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'account_id': cacc,
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'product_id': product.id,
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'uom_id': uom.id,
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'account_analytic_id': account_analytic and account_analytic.id,
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'analytic_tag_ids': analytic_tags and analytic_tags.ids and [(6, 0, analytic_tags.ids)] or False,
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},
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]
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return []
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def _get_anglo_saxon_price_unit(self, uom=False):
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price = self.standard_price
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if not self or not uom or self.uom_id.id == uom.id:
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return price or 0.0
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return self.uom_id._compute_price(price, uom)
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class ProductCategory(models.Model):
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_inherit = 'product.category'
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property_valuation = fields.Selection([
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('manual_periodic', 'Manual'),
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('real_time', 'Automated')], string='Inventory Valuation',
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company_dependent=True, copy=True, required=True,
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help="""Manual: The accounting entries to value the inventory are not posted automatically.
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Automated: An accounting entry is automatically created to value the inventory when a product enters or leaves the company.
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""")
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property_cost_method = fields.Selection([
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('standard', 'Standard Price'),
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('fifo', 'First In First Out (FIFO)'),
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('average', 'Average Cost (AVCO)')], string="Costing Method",
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company_dependent=True, copy=True, required=True,
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help="""Standard Price: The products are valued at their standard cost defined on the product.
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Average Cost (AVCO): The products are valued at weighted average cost.
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First In First Out (FIFO): The products are valued supposing those that enter the company first will also leave it first.
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""")
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property_stock_journal = fields.Many2one(
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'account.journal', 'Stock Journal', company_dependent=True,
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help="When doing real-time inventory valuation, this is the Accounting Journal in which entries will be automatically posted when stock moves are processed.")
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property_stock_account_input_categ_id = fields.Many2one(
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'account.account', 'Stock Input Account', company_dependent=True,
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domain=[('deprecated', '=', False)], oldname="property_stock_account_input_categ",
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help="When doing real-time inventory valuation, counterpart journal items for all incoming stock moves will be posted in this account, unless "
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"there is a specific valuation account set on the source location. This is the default value for all products in this category. It "
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"can also directly be set on each product")
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property_stock_account_output_categ_id = fields.Many2one(
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'account.account', 'Stock Output Account', company_dependent=True,
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domain=[('deprecated', '=', False)], oldname="property_stock_account_output_categ",
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help="When doing real-time inventory valuation, counterpart journal items for all outgoing stock moves will be posted in this account, unless "
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"there is a specific valuation account set on the destination location. This is the default value for all products in this category. It "
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"can also directly be set on each product")
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property_stock_valuation_account_id = fields.Many2one(
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'account.account', 'Stock Valuation Account', company_dependent=True,
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domain=[('deprecated', '=', False)],
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help="When real-time inventory valuation is enabled on a product, this account will hold the current value of the products.",)
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@api.onchange('property_cost_method')
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def onchange_property_valuation(self):
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if not self._origin:
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# don't display the warning when creating a product category
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return
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return {
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'warning': {
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'title': _("Warning"),
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'message': _("Changing your cost method is an important change that will impact your inventory valuation. Are you sure you want to make that change?"),
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}
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}
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