from odoo import models import ast class account_journal(models.Model): _inherit = "account.journal" def action_open_reconcile(self): self.ensure_one() if self.type in ('bank', 'cash', 'credit'): return self.env['account.bank.statement.line']._action_open_bank_reconciliation_widget( default_context={ 'default_journal_id': self.id, 'search_default_journal_id': self.id, 'search_default_not_matched': True, }, ) else: # Open reconciliation view for customers/suppliers return self.env['ir.actions.act_window']._for_xml_id('at_accounting.action_move_line_posted_unreconciled') def action_open_to_check(self): self.ensure_one() return self.env['account.bank.statement.line']._action_open_bank_reconciliation_widget( default_context={ 'search_default_to_check': True, 'search_default_journal_id': self.id, 'default_journal_id': self.id, }, ) def action_open_bank_transactions(self): self.ensure_one() return self.env['account.bank.statement.line']._action_open_bank_reconciliation_widget( default_context={ 'search_default_journal_id': self.id, 'default_journal_id': self.id }, kanban_first=False, ) def action_open_reconcile_statement(self): return self.env['account.bank.statement.line']._action_open_bank_reconciliation_widget( default_context={ 'search_default_statement_id': self.env.context.get('statement_id'), }, ) def open_action(self): # EXTENDS account # set default action for liquidity journals in dashboard if self.type in ('bank', 'cash', 'credit') and not self._context.get('action_name'): self.ensure_one() return self.env['account.bank.statement.line']._action_open_bank_reconciliation_widget( extra_domain=[('line_ids.account_id', '=', self.default_account_id.id)], default_context={ 'default_journal_id': self.id, 'search_default_journal_id': self.id, }, ) return super().open_action() def _fill_general_dashboard_data(self, dashboard_data): super()._fill_general_dashboard_data(dashboard_data) for journal in self.filtered(lambda journal: journal.type == 'general'): dashboard_data[journal.id]['is_account_tax_periodicity_journal'] = journal == journal.company_id._get_tax_closing_journal() def action_open_bank_balance_in_gl(self): ''' Show the bank balance inside the General Ledger report. :return: An action opening the General Ledger. ''' self.ensure_one() action = self.env["ir.actions.actions"]._for_xml_id("at_accounting.action_account_report_general_ledger") action['context'] = dict(ast.literal_eval(action['context']), default_filter_accounts=self.default_account_id.code) return action