From d37effb75e88c53e4f5f440e92a84701ba7e7d85 Mon Sep 17 00:00:00 2001 From: git_admin Date: Fri, 1 May 2026 14:26:33 +0000 Subject: [PATCH] Tower: upload base_accounting_kit 19.0.2.3.1 (via marketplace) --- .../wizard/financial_report.py | 438 ++++++++++++++++++ 1 file changed, 438 insertions(+) create mode 100644 addons/base_accounting_kit/wizard/financial_report.py diff --git a/addons/base_accounting_kit/wizard/financial_report.py b/addons/base_accounting_kit/wizard/financial_report.py new file mode 100644 index 0000000..ef1f465 --- /dev/null +++ b/addons/base_accounting_kit/wizard/financial_report.py @@ -0,0 +1,438 @@ +# -*- coding: utf-8 -*- +############################################################################# +# +# Cybrosys Technologies Pvt. Ltd. +# +# Copyright (C) 2025-TODAY Cybrosys Technologies() +# Author: Cybrosys Techno Solutions() +# +# You can modify it under the terms of the GNU LESSER +# GENERAL PUBLIC LICENSE (LGPL v3), Version 3. +# +# This program is distributed in the hope that it will be useful, +# but WITHOUT ANY WARRANTY; without even the implied warranty of +# MERCHANTABILITY or FITNESS FOR A PARTICULAR PURPOSE. See the +# GNU LESSER GENERAL PUBLIC LICENSE (LGPL v3) for more details. +# +# You should have received a copy of the GNU LESSER GENERAL PUBLIC LICENSE +# (LGPL v3) along with this program. +# If not, see . +# +############################################################################# +import re +from odoo import api, models, fields + + +class FinancialReport(models.TransientModel): + _name = "financial.report" + _inherit = "account.report" + _description = "Financial Reports" + + section_main_report_ids = fields.Many2many(string="Section Of", + comodel_name='account.report', + relation="account_financial_report_section_rel", + column1="sub_report_id", + column2="main_report_id") + section_report_ids = fields.Many2many(string="Sections", + comodel_name='account.report', + relation="account_financial_report_section_rel", + column1="main_report_id", + column2="sub_report_id") + name = fields.Char(string="Financial Report", default="Financial Report", required=True, translate=True) + + target_move = fields.Selection([('posted', 'All Posted Entries'), + ('all', 'All Entries'), + ], string='Target Moves', required=True, default='posted') + + view_format = fields.Selection([ + ('vertical', 'Vertical'), + ('horizontal', 'Horizontal')], + default='vertical', + string="Format") + + + def _build_contexts(self, data): + result = {} + result['journal_ids'] = 'journal_ids' in data['form'] and data['form'][ + 'journal_ids'] or False + result['state'] = 'target_move' in data['form'] and data['form'][ + 'target_move'] or '' + result['date_from'] = data['form']['date_from'] or False + result['date_to'] = data['form']['date_to'] or False + result['strict_range'] = True if result['date_from'] else False + return result + + @api.model + def _get_account_report(self): + reports = [] + if self._context.get('active_id'): + menu = self.env['ir.ui.menu'].browse( + self._context.get('active_id')).name + reports = self.env['account.financial.report'].search([ + ('name', 'ilike', menu)]) + return reports and reports[0] or False + + enable_filter = fields.Boolean( + string='Enable Comparison', + default=False) + account_report_id = fields.Many2one( + 'account.financial.report', + string='Account Reports', + required=True) + + date_from = fields.Date(string='Start Date') + date_to = fields.Date(string='End Date') + debit_credit = fields.Boolean( + string='Display Debit/Credit Columns', + default=True, + help="This option allows you to" + " get more details about the " + "way your balances are computed." + " Because it is space consuming," + " we do not allow to use it " + "while doing a comparison.") + company_id = fields.Many2one( + 'res.company', + string='Company', + index=True, + default=lambda self: self.env.company.id) + + def view_report_pdf(self): + """This function will be executed when we click the view button + from the wizard. Based on the values provided in the wizard, this + function will print pdf report""" + self.ensure_one() + data = dict() + data['ids'] = self.env.context.get('active_ids', []) + data['model'] = self.env.context.get('active_model', 'ir.ui.menu') + data['form'] = self.read( + ['date_from', 'enable_filter', 'debit_credit', 'date_to', + 'account_report_id', 'target_move', 'view_format', + 'company_id'])[0] + used_context = self._build_contexts(data) + data['form']['used_context'] = dict( + used_context, + lang=self.env.context.get('lang') or 'en_US') + + report_lines = self.get_account_lines(data['form']) + # find the journal items of these accounts + journal_items = self.find_journal_items(report_lines, data['form']) + + def set_report_level(rec): + """This function is used to set the level of each item. + This level will be used to set the alignment in the dynamic reports.""" + level = 1 + if not rec['parent']: + return level + else: + for line in report_lines: + key = 'a_id' if line['type'] == 'account' else 'id' + if line[key] == rec['parent']: + return level + set_report_level(line) + + # finding the root + for item in report_lines: + item['balance'] = round(item['balance'], 2) + if not item['parent']: + item['level'] = 1 + parent = item + report_name = item['name'] + id = item['id'] + report_id = item['r_id'] + else: + item['level'] = set_report_level(item) + currency = self._get_currency() + data['currency'] = currency + data['journal_items'] = journal_items + data['report_lines'] = report_lines + # checking view type + return self.env.ref( + 'base_accounting_kit.financial_report_pdf').report_action(self, + data) + + def _compute_account_balance(self, accounts): + """ compute the balance, debit + and credit for the provided accounts + """ + mapping = { + 'balance': + "COALESCE(SUM(debit),0) - COALESCE(SUM(credit), 0)" + " as balance", + 'debit': "COALESCE(SUM(debit), 0) as debit", + 'credit': "COALESCE(SUM(credit), 0) as credit", + } + + res = {} + for account in accounts: + res[account.id] = dict((fn, 0.0) + for fn in mapping.keys()) + if accounts: + tables, where_clause, where_params = ( + self.env['account.move.line']._query_get()) + tables = tables.replace( + '"', '') if tables else "account_move_line" + wheres = [""] + if where_clause.strip(): + wheres.append(where_clause.strip()) + filters = " AND ".join(wheres) + request = ("SELECT account_id as id, " + + ', '.join(mapping.values()) + + " FROM " + tables + + " WHERE account_id IN %s " + + filters + + " GROUP BY account_id") + params = (tuple(accounts._ids),) + tuple(where_params) + self.env.cr.execute(request, params) + for row in self.env.cr.dictfetchall(): + res[row['id']] = row + return res + + def _compute_report_balance(self, reports): + """returns a dictionary with key=the ID of a record and + value=the credit, debit and balance amount + computed for this record. If the record is of type : + 'accounts' : it's the sum of the linked accounts + 'account_type' : it's the sum of leaf accounts with + such an account_type + 'account_report' : it's the amount of the related report + 'sum' : it's the sum of the children of this record + (aka a 'view' record)""" + res = {} + fields = ['credit', 'debit', 'balance'] + for report in reports: + if report.id in res: + continue + res[report.id] = dict((fn, 0.0) for fn in fields) + if report.type == 'accounts': + # it's the sum of the linked accounts + res[report.id]['account'] = self._compute_account_balance( + report.account_ids + ) + for value in \ + res[report.id]['account'].values(): + for field in fields: + res[report.id][field] += value.get(field) + elif report.type == 'account_type': + # it's the sum the leaf accounts + # with such an account type + accounts = self.env['account.account'].search([ + ('account_type', '=', report.account_type_ids) + ]) + if report.name == "Expenses": + accounts = self.env['account.account'].search([ + ('account_type', 'in', ["expense","expense_depreciation","expense_direct_cost"]) + ]) + if report.name == "Liability": + accounts = self.env['account.account'].search([ + ('account_type', 'in', ["liability_payable","equity","liability_current","liability_non_current"]) + ]) + if report.name == "Assets": + accounts = self.env['account.account'].search([ + ('account_type', 'in', ["asset_receivable","asset_cash","asset_current","asset_non_current","asset_prepayments","asset_fixed"]) + ]) + + res[report.id]['account'] = self._compute_account_balance( + accounts) + + for value in res[report.id]['account'].values(): + for field in fields: + res[report.id][field] += value.get(field) + elif report.type == 'account_report' and report.account_report_id: + # it's the amount of the linked report + res2 = self._compute_report_balance(report.account_report_id) + for key, value in res2.items(): + for field in fields: + res[report.id][field] += value[field] + elif report.type == 'sum': + # it's the sum of the children of this account.report + res2 = self._compute_report_balance(report.children_ids) + for key, value in res2.items(): + for field in fields: + res[report.id][field] += value[field] + return res + + def get_account_lines(self, data): + lines = [] + account_report = self.env['account.financial.report'].search([ + ('id', '=', data['account_report_id'][0]) + ]) + child_reports = account_report._get_children_by_order() + res = self.with_context( + data.get('used_context'))._compute_report_balance(child_reports) + if data['enable_filter']: + comparison_res = self._compute_report_balance(child_reports) + for report_id, value in comparison_res.items(): + res[report_id]['comp_bal'] = value['balance'] + report_acc = res[report_id].get('account') + if report_acc: + for account_id, val in \ + comparison_res[report_id].get('account').items(): + report_acc[account_id]['comp_bal'] = val['balance'] + + for report in child_reports: + r_name = str(report.name) + r_name = re.sub('[^0-9a-zA-Z]+', '', r_name) + if report.parent_id: + p_name = str(report.parent_id.name) + p_name = re.sub('[^0-9a-zA-Z]+', '', p_name) + str( + report.parent_id.id) + else: + p_name = False + vals = { + 'r_id': report.id, + 'id': r_name + str(report.id), + 'sequence': report.sequence, + 'parent': p_name, + 'name': report.name, + 'balance': res[report.id]['balance'] * int(report.sign), + 'type': 'report', + 'level': bool( + report.style_overwrite) and report.style_overwrite or + report.level, + 'account_type': report.type or False, + # used to underline the financial report balances + } + if data['debit_credit']: + vals['debit'] = res[report.id]['debit'] + vals['credit'] = res[report.id]['credit'] + + if data['enable_filter']: + vals['balance_cmp'] = res[report.id]['comp_bal'] * int( + report.sign) + + lines.append(vals) + if report.display_detail == 'no_detail': + # the rest of the loop is + # used to display the details of the + # financial report, so it's not needed here. + continue + + if res[report.id].get('account'): + sub_lines = [] + for account_id, value \ + in res[report.id]['account'].items(): + # if there are accounts to display, + # we add them to the lines with a level equals + # to their level in + # the COA + 1 (to avoid having them with a too low level + # that would conflicts with the level of data + # financial reports for Assets, liabilities...) + flag = False + account = self.env['account.account'].browse(account_id) + # new_r_name = str(report.name) + # new_r_name = new_r_name.replace(" ", "-") + "-" + vals = { + 'account': account.id, + 'a_id': account.code + re.sub('[^0-9a-zA-Z]+', 'acnt', + account.name) + str( + account.id), + 'name': account.code + '-' + account.name, + 'balance': value['balance'] * int(report.sign) or 0.0, + 'type': 'account', + 'parent': r_name + str(report.id), + 'level': ( + report.display_detail == 'detail_with_hierarchy' and + 4), + 'account_type': account.account_type, + } + if data['debit_credit']: + vals['debit'] = value['debit'] + vals['credit'] = value['credit'] + for company in account.company_ids: + if not company.currency_id.is_zero( + vals['debit']) or \ + not company.currency_id.is_zero( + vals['credit']): + flag = True + for company in account.company_ids: + if not company.currency_id.is_zero( + vals['balance']): + flag = True + if data['enable_filter']: + vals['balance_cmp'] = value['comp_bal'] * int( + report.sign) + for company in account.company_ids: + if not company.currency_id.is_zero( + vals['balance_cmp']): + flag = True + if flag: + sub_lines.append(vals) + lines += sorted(sub_lines, + key=lambda sub_line: sub_line['name']) + return lines + + def find_journal_items(self, report_lines, form): + cr = self.env.cr + journal_items = [] + for i in report_lines: + if i['type'] == 'account': + account = i['account'] + if form['target_move'] == 'posted': + search_query = ("select aml.id, am.id as j_id, " + "aml.account_id, aml.date, aml.name as " + "label, am.name, (aml.debit-aml.credit) as " + "balance, aml.debit, aml.credit, " + "aml.partner_id from " + "account_move_line aml " + "join account_move am on (aml.move_id=am.id" + " and am.state=%s) where aml.account_id=%s") + vals = [form['target_move']] + else: + search_query = ("select aml.id, am.id as j_id, " + "aml.account_id, aml.date, aml.name as " + "label, am.name, (aml.debit-aml.credit) as " + "balance, aml.debit, aml.credit, " + "aml.partner_id from account_move_line aml" + " join account_move am on " + "(aml.move_id=am.id) where " + "aml.account_id=%s") + vals = [] + if form['date_from'] and form['date_to']: + search_query += " and aml.date>=%s and aml.date<=%s" + vals += [account, form['date_from'], form['date_to']] + elif form['date_from']: + search_query += " and aml.date>=%s" + vals += [account, form['date_from']] + elif form['date_to']: + search_query += " and aml.date<=%s" + vals += [account, form['date_to']] + else: + vals += [account] + cr.execute(search_query, tuple(vals)) + items = cr.dictfetchall() + + for j in items: + temp = j['id'] + j['id'] = re.sub('[^0-9a-zA-Z]+', '', i['name']) + str( + temp) + j['p_id'] = str(i['a_id']) + j['type'] = 'journal_item' + journal_items.append(j) + return journal_items + + @api.model + def _get_currency(self): + journal = self.env['account.journal'].browse( + self.env.context.get('default_journal_id', False)) + if journal.currency_id: + return journal.currency_id.id + return self.env.company.currency_id.symbol + + +class ProfitLossPdf(models.AbstractModel): + """ Abstract model for generating PDF report value and send to template """ + + _name = 'report.base_accounting_kit.report_financial' + _description = 'Financial Report' + + @api.model + def _get_report_values(self, docids, data=None): + """ Provide report values to template """ + ctx = { + 'data': data, + 'journal_items': data['journal_items'], + 'report_lines': data['report_lines'], + 'account_report': data['form']['account_report_id'][1], + 'currency': data['currency'], + } + return ctx