Tower: upload at_accounting 18.0.1.7 (via marketplace)
This commit is contained in:
446
addons/at_accounting/models/account_aged_partner_balance.py
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446
addons/at_accounting/models/account_aged_partner_balance.py
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# -*- coding: utf-8 -*-
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# Part of Odoo. See LICENSE file for full copyright and licensing details.
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import datetime
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from odoo import models, fields, _
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from odoo.tools import SQL
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from odoo.tools.misc import format_date
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from dateutil.relativedelta import relativedelta
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from itertools import chain
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class AgedPartnerBalanceCustomHandler(models.AbstractModel):
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_name = 'account.aged.partner.balance.report.handler'
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_inherit = 'account.report.custom.handler'
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_description = 'Aged Partner Balance Custom Handler'
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def _get_custom_display_config(self):
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return {
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'css_custom_class': 'aged_partner_balance',
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'templates': {
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'AccountReportLineName': 'at_accounting.AgedPartnerBalanceLineName',
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},
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'components': {
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'AccountReportFilters': 'at_accounting.AgedPartnerBalanceFilters',
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},
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}
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def _custom_options_initializer(self, report, options, previous_options):
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super()._custom_options_initializer(report, options, previous_options=previous_options)
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hidden_columns = set()
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options['multi_currency'] = report.env.user.has_group('base.group_multi_currency')
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options['show_currency'] = options['multi_currency'] and (previous_options or {}).get('show_currency', False)
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if not options['show_currency']:
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hidden_columns.update(['amount_currency', 'currency'])
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options['show_account'] = (previous_options or {}).get('show_account', False)
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if not options['show_account']:
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hidden_columns.add('account_name')
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options['columns'] = [
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column for column in options['columns']
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if column['expression_label'] not in hidden_columns
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]
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default_order_column = {
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'expression_label': 'invoice_date',
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'direction': 'ASC',
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}
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options['order_column'] = previous_options.get('order_column') or default_order_column
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options['aging_based_on'] = previous_options.get('aging_based_on') or 'base_on_maturity_date'
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options['aging_interval'] = previous_options.get('aging_interval') or 30
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# Set aging column names
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interval = options['aging_interval']
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for column in options['columns']:
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if column['expression_label'].startswith('period'):
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period_number = int(column['expression_label'].replace('period', '')) - 1
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if 0 <= period_number < 4:
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column['name'] = f'{interval * period_number + 1}-{interval * (period_number + 1)}'
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def _custom_line_postprocessor(self, report, options, lines):
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partner_lines_map = {}
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# Sort line dicts by partner
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for line in lines:
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model, model_id = report._get_model_info_from_id(line['id'])
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if model == 'res.partner':
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partner_lines_map[model_id] = line
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if partner_lines_map:
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for partner, line_dict in zip(
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self.env['res.partner'].browse(partner_lines_map),
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partner_lines_map.values()
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):
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line_dict['trust'] = partner.with_company(partner.company_id or self.env.company).trust
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return lines
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def _report_custom_engine_aged_receivable(self, expressions, options, date_scope, current_groupby, next_groupby, offset=0, limit=None, warnings=None):
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return self._aged_partner_report_custom_engine_common(options, 'asset_receivable', current_groupby, next_groupby, offset=offset, limit=limit)
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def _report_custom_engine_aged_payable(self, expressions, options, date_scope, current_groupby, next_groupby, offset=0, limit=None, warnings=None):
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return self._aged_partner_report_custom_engine_common(options, 'liability_payable', current_groupby, next_groupby, offset=offset, limit=limit)
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def _aged_partner_report_custom_engine_common(self, options, internal_type, current_groupby, next_groupby, offset=0, limit=None):
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report = self.env['account.report'].browse(options['report_id'])
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report._check_groupby_fields((next_groupby.split(',') if next_groupby else []) + ([current_groupby] if current_groupby else []))
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def minus_days(date_obj, days):
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return fields.Date.to_string(date_obj - relativedelta(days=days))
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aging_date_field = SQL.identifier('invoice_date') if options['aging_based_on'] == 'base_on_invoice_date' else SQL.identifier('date_maturity')
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date_to = fields.Date.from_string(options['date']['date_to'])
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interval = options['aging_interval']
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periods = [(False, fields.Date.to_string(date_to))]
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# Since we added the first period in the list we have to do one less iteration
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nb_periods = len([column for column in options['columns'] if column['expression_label'].startswith('period')]) - 1
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for i in range(nb_periods):
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start_date = minus_days(date_to, (interval * i) + 1)
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# The last element of the list will have False for the end date
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end_date = minus_days(date_to, interval * (i + 1)) if i < nb_periods - 1 else False
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periods.append((start_date, end_date))
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def build_result_dict(report, query_res_lines):
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rslt = {f'period{i}': 0 for i in range(len(periods))}
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for query_res in query_res_lines:
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for i in range(len(periods)):
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period_key = f'period{i}'
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rslt[period_key] += query_res[period_key]
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if current_groupby == 'id':
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query_res = query_res_lines[0] # We're grouping by id, so there is only 1 element in query_res_lines anyway
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currency = self.env['res.currency'].browse(query_res['currency_id'][0]) if len(query_res['currency_id']) == 1 else None
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rslt.update({
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'invoice_date': query_res['invoice_date'][0] if len(query_res['invoice_date']) == 1 else None,
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'due_date': query_res['due_date'][0] if len(query_res['due_date']) == 1 else None,
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'amount_currency': query_res['amount_currency'],
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'currency_id': query_res['currency_id'][0] if len(query_res['currency_id']) == 1 else None,
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'currency': currency.display_name if currency else None,
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'account_name': query_res['account_name'][0] if len(query_res['account_name']) == 1 else None,
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'total': None,
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'has_sublines': query_res['aml_count'] > 0,
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# Needed by the custom_unfold_all_batch_data_generator, to speed-up unfold_all
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'partner_id': query_res['partner_id'][0] if query_res['partner_id'] else None,
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})
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else:
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rslt.update({
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'invoice_date': None,
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'due_date': None,
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'amount_currency': None,
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'currency_id': None,
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'currency': None,
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'account_name': None,
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'total': sum(rslt[f'period{i}'] for i in range(len(periods))),
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'has_sublines': False,
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})
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return rslt
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# Build period table
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period_table_format = ('(VALUES %s)' % ','.join("(%s, %s, %s)" for period in periods))
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params = list(chain.from_iterable(
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(period[0] or None, period[1] or None, i)
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for i, period in enumerate(periods)
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))
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period_table = SQL(period_table_format, *params)
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# Build query
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query = report._get_report_query(options, 'strict_range', domain=[('account_id.account_type', '=', internal_type)])
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account_alias = query.left_join(lhs_alias='account_move_line', lhs_column='account_id', rhs_table='account_account', rhs_column='id', link='account_id')
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account_code = self.env['account.account']._field_to_sql(account_alias, 'code', query)
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always_present_groupby = SQL("period_table.period_index")
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if current_groupby:
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select_from_groupby = SQL("%s AS grouping_key,", SQL.identifier("account_move_line", current_groupby))
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groupby_clause = SQL("%s, %s", SQL.identifier("account_move_line", current_groupby), always_present_groupby)
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else:
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select_from_groupby = SQL()
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groupby_clause = always_present_groupby
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multiplicator = -1 if internal_type == 'liability_payable' else 1
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select_period_query = SQL(',').join(
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SQL("""
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CASE WHEN period_table.period_index = %(period_index)s
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THEN %(multiplicator)s * SUM(%(balance_select)s)
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ELSE 0 END AS %(column_name)s
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""",
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period_index=i,
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multiplicator=multiplicator,
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column_name=SQL.identifier(f"period{i}"),
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balance_select=report._currency_table_apply_rate(SQL(
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"account_move_line.balance - COALESCE(part_debit.amount, 0) + COALESCE(part_credit.amount, 0)"
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)),
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)
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for i in range(len(periods))
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)
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tail_query = report._get_engine_query_tail(offset, limit)
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query = SQL(
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"""
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WITH period_table(date_start, date_stop, period_index) AS (%(period_table)s)
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SELECT
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%(select_from_groupby)s
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%(multiplicator)s * (
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SUM(account_move_line.amount_currency)
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- COALESCE(SUM(part_debit.debit_amount_currency), 0)
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+ COALESCE(SUM(part_credit.credit_amount_currency), 0)
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) AS amount_currency,
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ARRAY_AGG(DISTINCT account_move_line.partner_id) AS partner_id,
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ARRAY_AGG(account_move_line.payment_id) AS payment_id,
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ARRAY_AGG(DISTINCT move.invoice_date) AS invoice_date,
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ARRAY_AGG(DISTINCT COALESCE(account_move_line.%(aging_date_field)s, account_move_line.date)) AS report_date,
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ARRAY_AGG(DISTINCT %(account_code)s) AS account_name,
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ARRAY_AGG(DISTINCT COALESCE(account_move_line.%(aging_date_field)s, account_move_line.date)) AS due_date,
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ARRAY_AGG(DISTINCT account_move_line.currency_id) AS currency_id,
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COUNT(account_move_line.id) AS aml_count,
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ARRAY_AGG(%(account_code)s) AS account_code,
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%(select_period_query)s
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FROM %(table_references)s
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JOIN account_journal journal ON journal.id = account_move_line.journal_id
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JOIN account_move move ON move.id = account_move_line.move_id
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%(currency_table_join)s
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LEFT JOIN LATERAL (
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SELECT
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SUM(part.amount) AS amount,
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SUM(part.debit_amount_currency) AS debit_amount_currency,
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part.debit_move_id
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FROM account_partial_reconcile part
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WHERE part.max_date <= %(date_to)s AND part.debit_move_id = account_move_line.id
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GROUP BY part.debit_move_id
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) part_debit ON TRUE
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LEFT JOIN LATERAL (
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SELECT
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SUM(part.amount) AS amount,
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SUM(part.credit_amount_currency) AS credit_amount_currency,
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part.credit_move_id
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FROM account_partial_reconcile part
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WHERE part.max_date <= %(date_to)s AND part.credit_move_id = account_move_line.id
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GROUP BY part.credit_move_id
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) part_credit ON TRUE
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JOIN period_table ON
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(
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period_table.date_start IS NULL
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OR COALESCE(account_move_line.%(aging_date_field)s, account_move_line.date) <= DATE(period_table.date_start)
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)
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AND
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(
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period_table.date_stop IS NULL
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OR COALESCE(account_move_line.%(aging_date_field)s, account_move_line.date) >= DATE(period_table.date_stop)
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)
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WHERE %(search_condition)s
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GROUP BY %(groupby_clause)s
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HAVING
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ROUND(SUM(%(having_debit)s), %(currency_precision)s) != 0
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OR ROUND(SUM(%(having_credit)s), %(currency_precision)s) != 0
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ORDER BY %(groupby_clause)s
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%(tail_query)s
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""",
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account_code=account_code,
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period_table=period_table,
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select_from_groupby=select_from_groupby,
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select_period_query=select_period_query,
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multiplicator=multiplicator,
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aging_date_field=aging_date_field,
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table_references=query.from_clause,
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currency_table_join=report._currency_table_aml_join(options),
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date_to=date_to,
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search_condition=query.where_clause,
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groupby_clause=groupby_clause,
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having_debit=report._currency_table_apply_rate(SQL("CASE WHEN account_move_line.balance > 0 THEN account_move_line.balance else 0 END - COALESCE(part_debit.amount, 0)")),
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having_credit=report._currency_table_apply_rate(SQL("CASE WHEN account_move_line.balance < 0 THEN -account_move_line.balance else 0 END - COALESCE(part_credit.amount, 0)")),
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currency_precision=self.env.company.currency_id.decimal_places,
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tail_query=tail_query,
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)
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self._cr.execute(query)
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query_res_lines = self._cr.dictfetchall()
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if not current_groupby:
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return build_result_dict(report, query_res_lines)
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else:
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rslt = []
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all_res_per_grouping_key = {}
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for query_res in query_res_lines:
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grouping_key = query_res['grouping_key']
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all_res_per_grouping_key.setdefault(grouping_key, []).append(query_res)
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for grouping_key, query_res_lines in all_res_per_grouping_key.items():
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rslt.append((grouping_key, build_result_dict(report, query_res_lines)))
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return rslt
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def open_journal_items(self, options, params):
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params['view_ref'] = 'account.view_move_line_tree_grouped_partner'
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options_for_audit = {**options, 'date': {**options['date'], 'date_from': None}}
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report = self.env['account.report'].browse(options['report_id'])
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action = report.open_journal_items(options=options_for_audit, params=params)
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action.get('context', {}).update({'search_default_group_by_account': 0, 'search_default_group_by_partner': 1})
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return action
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def open_partner_ledger(self, options, params):
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report = self.env['account.report'].browse(options['report_id'])
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record_model, record_id = report._get_model_info_from_id(params.get('line_id'))
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return self.env[record_model].browse(record_id).open_partner_ledger()
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def _common_custom_unfold_all_batch_data_generator(self, internal_type, report, options, lines_to_expand_by_function):
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rslt = {} # In the form {full_sub_groupby_key: all_column_group_expression_totals for this groupby computation}
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report_periods = 6 # The report has 6 periods
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for expand_function_name, lines_to_expand in lines_to_expand_by_function.items():
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for line_to_expand in lines_to_expand: # In standard, this loop will execute only once
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if expand_function_name == '_report_expand_unfoldable_line_with_groupby':
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report_line_id = report._get_res_id_from_line_id(line_to_expand['id'], 'account.report.line')
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expressions_to_evaluate = report.line_ids.expression_ids.filtered(lambda x: x.report_line_id.id == report_line_id and x.engine == 'custom')
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if not expressions_to_evaluate:
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continue
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for column_group_key, column_group_options in report._split_options_per_column_group(options).items():
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# Get all aml results by partner
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aml_data_by_partner = {}
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||||||
|
for aml_id, aml_result in self._aged_partner_report_custom_engine_common(column_group_options, internal_type, 'id', None):
|
||||||
|
aml_result['aml_id'] = aml_id
|
||||||
|
aml_data_by_partner.setdefault(aml_result['partner_id'], []).append(aml_result)
|
||||||
|
|
||||||
|
# Iterate on results by partner to generate the content of the column group
|
||||||
|
partner_expression_totals = rslt.setdefault(f"[{report_line_id}]=>partner_id", {})\
|
||||||
|
.setdefault(column_group_key, {expression: {'value': []} for expression in expressions_to_evaluate})
|
||||||
|
for partner_id, aml_data_list in aml_data_by_partner.items():
|
||||||
|
partner_values = self._prepare_partner_values()
|
||||||
|
for i in range(report_periods):
|
||||||
|
partner_values[f'period{i}'] = 0
|
||||||
|
|
||||||
|
# Build expression totals under the right key
|
||||||
|
partner_aml_expression_totals = rslt.setdefault(f"[{report_line_id}]partner_id:{partner_id}=>id", {})\
|
||||||
|
.setdefault(column_group_key, {expression: {'value': []} for expression in expressions_to_evaluate})
|
||||||
|
for aml_data in aml_data_list:
|
||||||
|
for i in range(report_periods):
|
||||||
|
period_value = aml_data[f'period{i}']
|
||||||
|
partner_values[f'period{i}'] += period_value
|
||||||
|
partner_values['total'] += period_value
|
||||||
|
|
||||||
|
for expression in expressions_to_evaluate:
|
||||||
|
partner_aml_expression_totals[expression]['value'].append(
|
||||||
|
(aml_data['aml_id'], aml_data[expression.subformula])
|
||||||
|
)
|
||||||
|
|
||||||
|
for expression in expressions_to_evaluate:
|
||||||
|
partner_expression_totals[expression]['value'].append(
|
||||||
|
(partner_id, partner_values[expression.subformula])
|
||||||
|
)
|
||||||
|
|
||||||
|
return rslt
|
||||||
|
|
||||||
|
def _prepare_partner_values(self):
|
||||||
|
return {
|
||||||
|
'invoice_date': None,
|
||||||
|
'due_date': None,
|
||||||
|
'amount_currency': None,
|
||||||
|
'currency_id': None,
|
||||||
|
'currency': None,
|
||||||
|
'account_name': None,
|
||||||
|
'total': 0,
|
||||||
|
}
|
||||||
|
|
||||||
|
def aged_partner_balance_audit(self, options, params, journal_type):
|
||||||
|
""" Open a list of invoices/bills and/or deferral entries for the clicked cell
|
||||||
|
:param dict options: the report's `options`
|
||||||
|
:param dict params: a dict containing:
|
||||||
|
`calling_line_dict_id`: line id containing the optional account of the cell
|
||||||
|
`expression_label`: the expression label of the cell
|
||||||
|
"""
|
||||||
|
report = self.env['account.report'].browse(options['report_id'])
|
||||||
|
action = self.env['ir.actions.actions']._for_xml_id('account.action_amounts_to_settle')
|
||||||
|
journal_type_to_exclude = {'purchase': 'sale', 'sale': 'purchase'}
|
||||||
|
if options:
|
||||||
|
domain = [
|
||||||
|
('account_id.reconcile', '=', True),
|
||||||
|
('journal_id.type', '!=', journal_type_to_exclude.get(journal_type)),
|
||||||
|
*self._build_domain_from_period(options, params['expression_label']),
|
||||||
|
*report._get_options_domain(options, 'from_beginning'),
|
||||||
|
*report._get_audit_line_groupby_domain(params['calling_line_dict_id']),
|
||||||
|
]
|
||||||
|
action['domain'] = domain
|
||||||
|
return action
|
||||||
|
|
||||||
|
def _build_domain_from_period(self, options, period):
|
||||||
|
if period != "total" and period[-1].isdigit():
|
||||||
|
period_number = int(period[-1])
|
||||||
|
if period_number == 0:
|
||||||
|
domain = [('date_maturity', '>=', options['date']['date_to'])]
|
||||||
|
else:
|
||||||
|
options_date_to = datetime.datetime.strptime(options['date']['date_to'], '%Y-%m-%d')
|
||||||
|
period_end = options_date_to - datetime.timedelta(30*(period_number-1)+1)
|
||||||
|
period_start = options_date_to - datetime.timedelta(30*(period_number))
|
||||||
|
domain = [('date_maturity', '>=', period_start), ('date_maturity', '<=', period_end)]
|
||||||
|
if period_number == 5:
|
||||||
|
domain = [('date_maturity', '<=', period_end)]
|
||||||
|
else:
|
||||||
|
domain = []
|
||||||
|
return domain
|
||||||
|
|
||||||
|
class AgedPayableCustomHandler(models.AbstractModel):
|
||||||
|
_name = 'account.aged.payable.report.handler'
|
||||||
|
_inherit = 'account.aged.partner.balance.report.handler'
|
||||||
|
_description = 'Aged Payable Custom Handler'
|
||||||
|
|
||||||
|
def open_journal_items(self, options, params):
|
||||||
|
payable_account_type = {'id': 'trade_payable', 'name': _("Payable"), 'selected': True}
|
||||||
|
|
||||||
|
if 'account_type' in options:
|
||||||
|
options['account_type'].append(payable_account_type)
|
||||||
|
else:
|
||||||
|
options['account_type'] = [payable_account_type]
|
||||||
|
|
||||||
|
return super().open_journal_items(options, params)
|
||||||
|
|
||||||
|
def _custom_unfold_all_batch_data_generator(self, report, options, lines_to_expand_by_function):
|
||||||
|
# We only optimize the unfold all if the groupby value of the report has not been customized. Else, we'll just run the full computation
|
||||||
|
if self.env.ref('at_accounting.aged_payable_line').groupby.replace(' ', '') == 'partner_id,id':
|
||||||
|
return self._common_custom_unfold_all_batch_data_generator('liability_payable', report, options, lines_to_expand_by_function)
|
||||||
|
return {}
|
||||||
|
|
||||||
|
def action_audit_cell(self, options, params):
|
||||||
|
return super().aged_partner_balance_audit(options, params, 'purchase')
|
||||||
|
|
||||||
|
class AgedReceivableCustomHandler(models.AbstractModel):
|
||||||
|
_name = 'account.aged.receivable.report.handler'
|
||||||
|
_inherit = 'account.aged.partner.balance.report.handler'
|
||||||
|
_description = 'Aged Receivable Custom Handler'
|
||||||
|
|
||||||
|
def open_journal_items(self, options, params):
|
||||||
|
receivable_account_type = {'id': 'trade_receivable', 'name': _("Receivable"), 'selected': True}
|
||||||
|
|
||||||
|
if 'account_type' in options:
|
||||||
|
options['account_type'].append(receivable_account_type)
|
||||||
|
else:
|
||||||
|
options['account_type'] = [receivable_account_type]
|
||||||
|
|
||||||
|
return super().open_journal_items(options, params)
|
||||||
|
|
||||||
|
def _custom_unfold_all_batch_data_generator(self, report, options, lines_to_expand_by_function):
|
||||||
|
# We only optimize the unfold all if the groupby value of the report has not been customized. Else, we'll just run the full computation
|
||||||
|
if self.env.ref('at_accounting.aged_receivable_line').groupby.replace(' ', '') == 'partner_id,id':
|
||||||
|
return self._common_custom_unfold_all_batch_data_generator('asset_receivable', report, options, lines_to_expand_by_function)
|
||||||
|
return {}
|
||||||
|
|
||||||
|
def action_audit_cell(self, options, params):
|
||||||
|
return super().aged_partner_balance_audit(options, params, 'sale')
|
||||||
Reference in New Issue
Block a user