# -*- coding: utf-8 -*- import copy from odoo import api, fields, models, _ from odoo.exceptions import UserError from odoo.osv import expression from odoo.tools.misc import formatLang, format_date, parse_date class AccountReconciliation(models.AbstractModel): _name = 'account.reconciliation.widget' _description = 'Account Reconciliation widget' #################################################### # Public #################################################### @api.model def process_bank_statement_line(self, st_line_ids, data): """ Handles data sent from the bank statement reconciliation widget (and can otherwise serve as an old-API bridge) :param st_line_ids :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. :returns dict: used as a hook to add additional keys. """ st_lines = self.env['account.bank.statement.line'].browse(st_line_ids) AccountMoveLine = self.env['account.move.line'] ctx = dict(self._context, force_price_include=False) processed_moves = self.env['account.move'] for st_line, datum in zip(st_lines, copy.deepcopy(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']}) ctx['default_to_check'] = datum.get('to_check') moves = st_line.with_context(ctx).reconcile(datum.get('lines_vals_list', []), to_check=datum.get('to_check', False)) return {'moves': processed_moves.ids, 'statement_line_ids': processed_moves.mapped('line_ids.statement_line_id').ids} @api.model def get_move_lines_for_bank_statement_line(self, st_line_id, partner_id=None, excluded_ids=None, search_str=False, offset=0, limit=None, mode=None): """ Returns move lines for the bank statement reconciliation widget, formatted as a list of dicts :param st_line_id: ids of the statement lines :param partner_id: optional partner id to select only the moves line corresponding to the partner :param excluded_ids: optional move lines ids excluded from the result :param search_str: optional search (can be the amout, display_name, partner name, move line name) :param offset: useless but kept in stable to preserve api :param limit: number of the result to search :param mode: 'rp' for receivable/payable or 'other' """ st_line = self.env['account.bank.statement.line'].browse(st_line_id) # Blue lines = payment on bank account not assigned to a statement yet aml_accounts = [ st_line.journal_id.default_account_id.id ] if partner_id is None: partner_id = st_line.partner_id.id domain = self._domain_move_lines_for_reconciliation(st_line, aml_accounts, partner_id, excluded_ids=excluded_ids, search_str=search_str, mode=mode) recs_count = self.env['account.move.line'].search_count(domain) from_clause, where_clause, where_clause_params = self.env['account.move.line']._where_calc(domain).get_sql() query_str = ''' SELECT "account_move_line".id FROM {from_clause} {where_str} ORDER BY ("account_move_line".debit - "account_move_line".credit) = {amount} DESC, "account_move_line".date_maturity ASC, "account_move_line".id ASC {limit_str} '''.format( from_clause=from_clause, where_str=where_clause and (" WHERE %s" % where_clause) or '', amount=st_line.amount, limit_str=limit and ' LIMIT %s' or '', ) params = where_clause_params + (limit and [limit] or []) self.env['account.move'].flush() self.env['account.move.line'].flush() self.env['account.bank.statement'].flush() self._cr.execute(query_str, params) res = self._cr.fetchall() aml_recs = self.env['account.move.line'].browse([i[0] for i in res]) target_currency = st_line.currency_id or st_line.journal_id.currency_id or st_line.journal_id.company_id.currency_id return self._prepare_move_lines(aml_recs, target_currency=target_currency, target_date=st_line.date, recs_count=recs_count) @api.model def _get_bank_statement_line_partners(self, st_lines): params = [] # Add the res.partner.ban's IR rules. In case partners are not shared between companies, # identical bank accounts may exist in a company we don't have access to. ir_rules_query = self.env['res.partner.bank']._where_calc([]) self.env['res.partner.bank']._apply_ir_rules(ir_rules_query, 'read') from_clause, where_clause, where_clause_params = ir_rules_query.get_sql() if where_clause: where_bank = ('AND %s' % where_clause).replace('res_partner_bank', 'bank') params += where_clause_params else: where_bank = '' # Add the res.partner's IR rules. In case partners are not shared between companies, # identical partners may exist in a company we don't have access to. ir_rules_query = self.env['res.partner']._where_calc([]) self.env['res.partner']._apply_ir_rules(ir_rules_query, 'read') from_clause, where_clause, where_clause_params = ir_rules_query.get_sql() if where_clause: where_partner = ('AND %s' % where_clause).replace('res_partner', 'p3') params += where_clause_params else: where_partner = '' query = ''' SELECT st_line.id AS id, COALESCE(p1.id,p2.id,p3.id) AS partner_id FROM account_bank_statement_line st_line JOIN account_move move ON move.id = st_line.move_id ''' query += "LEFT JOIN res_partner_bank bank ON bank.id = move.partner_bank_id OR bank.sanitized_acc_number ILIKE regexp_replace(st_line.account_number, '\W+', '', 'g') %s\n" % (where_bank) query += 'LEFT JOIN res_partner p1 ON st_line.partner_id=p1.id \n' query += 'LEFT JOIN res_partner p2 ON bank.partner_id=p2.id \n' # By definition the commercial partner_id doesn't have a parent_id set query += 'LEFT JOIN res_partner p3 ON p3.name ILIKE st_line.partner_name %s AND p3.parent_id is NULL \n' % (where_partner) query += 'WHERE st_line.id IN %s' params += [tuple(st_lines.ids)] self._cr.execute(query, params) result = {} for res in self._cr.dictfetchall(): result[res['id']] = res['partner_id'] return result @api.model def get_bank_statement_line_data(self, st_line_ids, excluded_ids=None): """ Returns the data required to display a reconciliation widget, for each statement line in self :param st_line_id: ids of the statement lines :param excluded_ids: optional move lines ids excluded from the result """ results = { 'lines': [], 'value_min': 0, 'value_max': 0, 'reconciled_aml_ids': [], } if not st_line_ids: return results excluded_ids = excluded_ids or [] # Make a search to preserve the table's order. bank_statement_lines = self.env['account.bank.statement.line'].search([('id', 'in', st_line_ids)]) results['value_max'] = len(bank_statement_lines) reconcile_model = self.env['account.reconcile.model'].search([('rule_type', '!=', 'writeoff_button')]) # Search for missing partners when opening the reconciliation widget. if bank_statement_lines: partner_map = self._get_bank_statement_line_partners(bank_statement_lines) matching_amls = reconcile_model._apply_rules(bank_statement_lines, excluded_ids=excluded_ids, partner_map=partner_map) # Iterate on st_lines to keep the same order in the results list. bank_statements_left = self.env['account.bank.statement'] for line in bank_statement_lines: if matching_amls[line.id].get('status') == 'reconciled': reconciled_move_lines = matching_amls[line.id].get('reconciled_lines') results['value_min'] += 1 results['reconciled_aml_ids'] += reconciled_move_lines and reconciled_move_lines.ids or [] else: aml_ids = matching_amls[line.id]['aml_ids'] bank_statements_left += line.statement_id target_currency = line.currency_id or line.journal_id.currency_id or line.journal_id.company_id.currency_id amls = aml_ids and self.env['account.move.line'].browse(aml_ids) line_vals = { 'st_line': self._get_statement_line(line), 'reconciliation_proposition': aml_ids and self._prepare_move_lines(amls, target_currency=target_currency, target_date=line.date) or [], 'model_id': matching_amls[line.id].get('model') and matching_amls[line.id]['model'].id, 'write_off': matching_amls[line.id].get('status') == 'write_off', } if not line.partner_id and partner_map.get(line.id): partner = self.env['res.partner'].browse(partner_map[line.id]) line_vals.update({ 'partner_id': partner.id, 'partner_name': partner.name, }) results['lines'].append(line_vals) return results @api.model def get_bank_statement_data(self, bank_statement_line_ids, srch_domain=[]): """ 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. :param bank_statement_line_ids: ids of the bank statement lines """ if not bank_statement_line_ids: return {} domain = [['id', 'in', tuple(bank_statement_line_ids)], ('is_reconciled', '=', False)] + srch_domain bank_statement_lines = self.env['account.bank.statement.line'].search(domain) bank_statements = bank_statement_lines.mapped('statement_id') results = self.get_bank_statement_line_data(bank_statement_lines.ids) bank_statement_lines_left = self.env['account.bank.statement.line'].browse([line['st_line']['id'] for line in results['lines']]) bank_statements_left = bank_statement_lines_left.mapped('statement_id') results.update({ 'statement_name': len(bank_statements_left) == 1 and bank_statements_left.name or False, 'journal_id': bank_statements and bank_statements[0].journal_id.id or False, 'notifications': [] }) if len(results['lines']) < len(bank_statement_lines): results['notifications'].append({ 'type': 'info', 'template': 'reconciliation.notification.reconciled', 'reconciled_aml_ids': results['reconciled_aml_ids'], 'nb_reconciled_lines': results['value_min'], 'details': { 'name': _('Journal Items'), 'model': 'account.move.line', 'ids': results['reconciled_aml_ids'], } }) return results @api.model def get_move_lines_for_manual_reconciliation(self, account_id, partner_id=False, excluded_ids=None, search_str=False, offset=0, limit=None, target_currency_id=False): """ Returns unreconciled move lines for an account or a partner+account, formatted for the manual reconciliation widget """ Account_move_line = self.env['account.move.line'] Account = self.env['account.account'] Currency = self.env['res.currency'] domain = self._domain_move_lines_for_manual_reconciliation(account_id, partner_id, excluded_ids, search_str) recs_count = Account_move_line.search_count(domain) lines = Account_move_line.search(domain, limit=limit, order="date_maturity desc, id desc") if target_currency_id: target_currency = Currency.browse(target_currency_id) else: account = Account.browse(account_id) target_currency = account.currency_id or account.company_id.currency_id return self._prepare_move_lines(lines, target_currency=target_currency,recs_count=recs_count) @api.model def get_all_data_for_manual_reconciliation(self, partner_ids, account_ids): """ Returns the data required for the invoices & payments matching of partners/accounts. If an argument is None, fetch all related reconciliations. Use [] to fetch nothing. """ MoveLine = self.env['account.move.line'] aml_ids = self._context.get('active_ids') and self._context.get('active_model') == 'account.move.line' and tuple(self._context.get('active_ids')) if aml_ids: aml = MoveLine.browse(aml_ids) aml._check_reconcile_validity() account = aml[0].account_id currency = account.currency_id or account.company_id.currency_id return { 'accounts': [{ 'reconciliation_proposition': self._prepare_move_lines(aml, target_currency=currency), 'company_id': account.company_id.id, 'currency_id': currency.id, 'mode': 'accounts', 'account_id': account.id, 'account_name': account.name, 'account_code': account.code, }], 'customers': [], 'suppliers': [], } # If we have specified partner_ids, don't return the list of reconciliation for specific accounts as it will # show entries that are not reconciled with other partner. Asking for a specific partner on a specific account # is never done. accounts_data = [] if not partner_ids or not any(partner_ids): accounts_data = self.get_data_for_manual_reconciliation('account', account_ids) return { 'customers': self.get_data_for_manual_reconciliation('partner', partner_ids, 'receivable'), 'suppliers': self.get_data_for_manual_reconciliation('partner', partner_ids, 'payable'), 'accounts': accounts_data, } @api.model def get_data_for_manual_reconciliation(self, res_type, res_ids=None, account_type=None): """ Returns the data required for the invoices & payments matching of partners/accounts (list of dicts). If no res_ids is passed, returns data for all partners/accounts that can be reconciled. :param res_type: either 'partner' or 'account' :param res_ids: ids of the partners/accounts to reconcile, use None to fetch data indiscriminately of the id, use [] to prevent from fetching any data at all. :param account_type: if a partner is both customer and vendor, you can use 'payable' to reconcile the vendor-related journal entries and 'receivable' for the customer-related entries. """ Account = self.env['account.account'] Partner = self.env['res.partner'] if res_ids is not None and len(res_ids) == 0: # Note : this short-circuiting is better for performances, but also required # since postgresql doesn't implement empty list (so 'AND id in ()' is useless) return [] res_ids = res_ids and tuple(res_ids) assert res_type in ('partner', 'account') assert account_type in ('payable', 'receivable', None) is_partner = res_type == 'partner' res_alias = is_partner and 'p' or 'a' aml_ids = self._context.get('active_ids') and self._context.get('active_model') == 'account.move.line' and tuple(self._context.get('active_ids')) all_entries = self._context.get('all_entries', False) all_entries_query = """ AND EXISTS ( SELECT NULL FROM account_move_line l JOIN account_move move ON l.move_id = move.id JOIN account_journal journal ON l.journal_id = journal.id WHERE l.account_id = a.id {inner_where} AND l.amount_residual != 0 AND move.state = 'posted' ) """.format(inner_where=is_partner and 'AND l.partner_id = p.id' or ' ') only_dual_entries_query = """ AND EXISTS ( SELECT NULL FROM account_move_line l JOIN account_move move ON l.move_id = move.id JOIN account_journal journal ON l.journal_id = journal.id WHERE l.account_id = a.id {inner_where} AND l.amount_residual > 0 AND move.state = 'posted' ) AND EXISTS ( SELECT NULL FROM account_move_line l JOIN account_move move ON l.move_id = move.id JOIN account_journal journal ON l.journal_id = journal.id WHERE l.account_id = a.id {inner_where} AND l.amount_residual < 0 AND move.state = 'posted' ) """.format(inner_where=is_partner and 'AND l.partner_id = p.id' or ' ') query = (""" SELECT {select} account_id, account_name, account_code, max_date FROM ( SELECT {inner_select} a.id AS account_id, a.name AS account_name, a.code AS account_code, MAX(l.write_date) AS max_date FROM account_move_line l RIGHT JOIN account_account a ON (a.id = l.account_id) RIGHT JOIN account_account_type at ON (at.id = a.user_type_id) {inner_from} WHERE a.reconcile IS TRUE AND l.full_reconcile_id is NULL {where1} {where2} {where3} AND l.company_id = {company_id} {where4} {where5} GROUP BY {group_by1} a.id, a.name, a.code {group_by2} {order_by} ) as s {outer_where} """.format( select=is_partner and "partner_id, partner_name, to_char(last_time_entries_checked, 'YYYY-MM-DD') AS last_time_entries_checked," or ' ', inner_select=is_partner and 'p.id AS partner_id, p.name AS partner_name, p.last_time_entries_checked AS last_time_entries_checked,' or ' ', inner_from=is_partner and 'RIGHT JOIN res_partner p ON (l.partner_id = p.id)' or ' ', where1=is_partner and ' ' or "AND ((at.type <> 'payable' AND at.type <> 'receivable') OR l.partner_id IS NULL)", where2=account_type and "AND at.type = %(account_type)s" or '', where3=res_ids and 'AND ' + res_alias + '.id in %(res_ids)s' or '', company_id=self.env.company.id, where4=aml_ids and 'AND l.id IN %(aml_ids)s' or ' ', where5=all_entries and all_entries_query or only_dual_entries_query, group_by1=is_partner and 'l.partner_id, p.id,' or ' ', group_by2=is_partner and ', p.last_time_entries_checked' or ' ', order_by=is_partner and 'ORDER BY p.last_time_entries_checked' or 'ORDER BY a.code', outer_where=is_partner and 'WHERE (last_time_entries_checked IS NULL OR max_date > last_time_entries_checked)' or ' ', )) self.env['account.move.line'].flush() self.env['account.account'].flush() self.env.cr.execute(query, locals()) # Apply ir_rules by filtering out rows = self.env.cr.dictfetchall() ids = [x['account_id'] for x in rows] allowed_ids = set(Account.browse(ids).ids) rows = [row for row in rows if row['account_id'] in allowed_ids] if is_partner: ids = [x['partner_id'] for x in rows] allowed_ids = set(Partner.browse(ids).ids) rows = [row for row in rows if row['partner_id'] in allowed_ids] # Keep mode for future use in JS if res_type == 'account': mode = 'accounts' else: mode = 'customers' if account_type == 'receivable' else 'suppliers' # Fetch other data for row in rows: account = Account.browse(row['account_id']) currency = account.currency_id or account.company_id.currency_id row['currency_id'] = currency.id partner_id = is_partner and row['partner_id'] or None rec_prop = aml_ids and self.env['account.move.line'].browse(aml_ids) or self._get_move_line_reconciliation_proposition(account.id, partner_id) row['reconciliation_proposition'] = self._prepare_move_lines(rec_prop, target_currency=currency) row['mode'] = mode row['company_id'] = account.company_id.id # Return the partners with a reconciliation proposition first, since they are most likely to # be reconciled. return [r for r in rows if r['reconciliation_proposition']] + [r for r in rows if not r['reconciliation_proposition']] @api.model def process_move_lines(self, data): """ Used to validate a batch of reconciliations in a single call :param data: list of dicts containing: - 'type': either 'partner' or 'account' - 'id': id of the affected res.partner or account.account - 'mv_line_ids': ids of existing account.move.line to reconcile - 'new_mv_line_dicts': list of dicts containing values suitable for account_move_line.create() """ Partner = self.env['res.partner'] Account = self.env['account.account'] for datum in data: if len(datum['mv_line_ids']) >= 1 or len(datum['mv_line_ids']) + len(datum['new_mv_line_dicts']) >= 2: self._process_move_lines(datum['mv_line_ids'], datum['new_mv_line_dicts']) if datum['type'] == 'partner': partners = Partner.browse(datum['id']) partners.mark_as_reconciled() #################################################### # Private #################################################### def _str_domain_for_mv_line(self, search_str): return [ '|', ('account_id.code', 'ilike', search_str), '|', ('move_id.name', 'ilike', search_str), '|', ('move_id.ref', 'ilike', search_str), '|', ('date_maturity', 'like', parse_date(self.env, search_str)), '&', ('name', '!=', '/'), ('name', 'ilike', search_str) ] @api.model def _domain_move_lines(self, search_str): """ Returns the domain from the search_str search :param search_str: search string """ if not search_str: return [] str_domain = self._str_domain_for_mv_line(search_str) if search_str[0] in ['-', '+']: try: amounts_str = search_str.split('|') for amount_str in amounts_str: amount = amount_str[0] == '-' and float(amount_str) or float(amount_str[1:]) amount_domain = [ '|', ('amount_residual', '=', amount), '|', ('amount_residual_currency', '=', amount), '|', (amount_str[0] == '-' and 'credit' or 'debit', '=', float(amount_str[1:])), ('amount_currency', '=', amount), ] str_domain = expression.OR([str_domain, amount_domain]) except: pass else: try: amount = float(search_str) amount_domain = [ '|', ('amount_residual', '=', amount), '|', ('amount_residual_currency', '=', amount), '|', ('amount_residual', '=', -amount), '|', ('amount_residual_currency', '=', -amount), '&', ('account_id.internal_type', '=', 'liquidity'), '|', '|', '|', ('debit', '=', amount), ('credit', '=', amount), ('amount_currency', '=', amount), ('amount_currency', '=', -amount), ] str_domain = expression.OR([str_domain, amount_domain]) except: pass return str_domain @api.model def _domain_move_lines_for_reconciliation(self, st_line, aml_accounts, partner_id, excluded_ids=[], search_str=False, mode='rp'): """ Return the domain for account.move.line records which can be used for bank statement reconciliation. :param aml_accounts: :param partner_id: :param excluded_ids: :param search_str: :param mode: 'rp' for receivable/payable or 'other' """ AccountMoveLine = self.env['account.move.line'] #Always exclude the journal items that have been marked as 'to be checked' in a former bank statement reconciliation to_check_excluded = AccountMoveLine.search(AccountMoveLine._get_suspense_moves_domain()).ids excluded_ids.extend(to_check_excluded) domain_reconciliation = [ '&', '&', '&', ('statement_line_id', '=', False), ('account_id', 'in', aml_accounts), ('payment_id', '<>', False), ('balance', '!=', 0.0), ] # default domain matching domain_matching = [ '&', '&', ('reconciled', '=', False), ('account_id.reconcile', '=', True), ('balance', '!=', 0.0), ] domain = expression.OR([domain_reconciliation, domain_matching]) if partner_id: domain = expression.AND([domain, [('partner_id', '=', partner_id)]]) if mode == 'rp': domain = expression.AND([domain, [('account_id.internal_type', 'in', ['receivable', 'payable', 'liquidity'])] ]) else: domain = expression.AND([domain, [('account_id.internal_type', 'not in', ['receivable', 'payable', 'liquidity'])] ]) # Domain factorized for all reconciliation use cases if search_str: str_domain = self._domain_move_lines(search_str=search_str) str_domain = expression.OR([ str_domain, [('partner_id.name', 'ilike', search_str)] ]) domain = expression.AND([ domain, str_domain ]) if excluded_ids: domain = expression.AND([ [('id', 'not in', excluded_ids)], domain ]) # filter on account.move.line having the same company as the statement line domain = expression.AND([domain, [('company_id', '=', st_line.company_id.id)]]) # take only moves in valid state. Draft is accepted only when "Post At" is set # to "Bank Reconciliation" in the associated journal domain_post_at = [ ('move_id.state', 'not in', ['draft', 'cancel']), ] domain = expression.AND([domain, domain_post_at]) # if st_line.company_id.account_bank_reconciliation_start: # domain = expression.AND([domain, [('date', '>=', st_line.company_id.account_bank_reconciliation_start)]]) return domain @api.model def _domain_move_lines_for_manual_reconciliation(self, account_id, partner_id=False, excluded_ids=None, search_str=False): """ Create domain criteria that are relevant to manual reconciliation. """ domain = [ ('reconciled', '=', False), ('account_id', '=', account_id), ('move_id.state', '=', 'posted') ] domain = expression.AND([domain, [('balance', '!=', 0.0)]]) if partner_id: domain = expression.AND([domain, [('partner_id', '=', partner_id)]]) if excluded_ids: domain = expression.AND([[('id', 'not in', excluded_ids)], domain]) if search_str: str_domain = self._domain_move_lines(search_str=search_str) domain = expression.AND([domain, str_domain]) # filter on account.move.line having the same company as the given account account = self.env['account.account'].browse(account_id) domain = expression.AND([domain, [('company_id', '=', account.company_id.id)]]) return domain @api.model def _prepare_move_lines(self, move_lines, target_currency=False, target_date=False, recs_count=0): """ Returns move lines formatted for the manual/bank reconciliation widget :param move_line_ids: :param target_currency: currency (browse) you want the move line debit/credit converted into :param target_date: date to use for the monetary conversion """ context = dict(self._context or {}) ret = [] for line in move_lines: company_currency = line.company_id.currency_id line_currency = (line.currency_id and line.amount_currency) and line.currency_id or company_currency ret_line = { 'id': line.id, 'name': line.name and line.name != '/' and line.move_id.name != line.name and line.move_id.name + ': ' + line.name or line.move_id.name, 'ref': line.move_id.ref or '', # For reconciliation between statement transactions and already registered payments (eg. checks) # NB : we don't use the 'reconciled' field because the line we're selecting is not the one that gets reconciled 'account_id': [line.account_id.id, line.account_id.display_name], 'already_paid': line.account_id.internal_type == 'liquidity', 'account_code': line.account_id.code, 'account_name': line.account_id.name, 'account_type': line.account_id.internal_type, 'date_maturity': format_date(self.env, line.date_maturity), 'date': format_date(self.env, line.date), 'journal_id': [line.journal_id.id, line.journal_id.display_name], 'partner_id': line.partner_id.id, 'partner_name': line.partner_id.name, 'currency_id': line_currency.id, } debit = line.debit credit = line.credit amount = line.amount_residual amount_currency = line.amount_residual_currency # For already reconciled lines, don't use amount_residual(_currency) if line.account_id.internal_type == 'liquidity': amount = debit - credit amount_currency = line.amount_currency target_currency = target_currency or company_currency # Use case: # Let's assume that company currency is in USD and that we have the 3 following move lines # Debit Credit Amount currency Currency # 1) 25 0 0 NULL # 2) 17 0 25 EUR # 3) 33 0 25 YEN # # If we ask to see the information in the reconciliation widget in company currency, we want to see # The following information # 1) 25 USD (no currency information) # 2) 17 USD [25 EUR] (show 25 euro in currency information, in the little bill) # 3) 33 USD [25 YEN] (show 25 yen in currency information) # # If we ask to see the information in another currency than the company let's say EUR # 1) 35 EUR [25 USD] # 2) 25 EUR (no currency information) # 3) 50 EUR [25 YEN] # In that case, we have to convert the debit-credit to the currency we want and we show next to it # the value of the amount_currency or the debit-credit if no amount currency if target_currency == company_currency: if line_currency == target_currency: amount = amount amount_currency = "" total_amount = debit - credit total_amount_currency = "" else: amount = amount amount_currency = amount_currency total_amount = debit - credit total_amount_currency = line.amount_currency if target_currency != company_currency: if line_currency == target_currency: amount = amount_currency amount_currency = "" total_amount = line.amount_currency total_amount_currency = "" else: amount_currency = line.currency_id and amount_currency or amount company = line.account_id.company_id date = target_date or line.date amount = company_currency._convert(amount, target_currency, company, date) total_amount = company_currency._convert((line.debit - line.credit), target_currency, company, date) total_amount_currency = line.currency_id and line.amount_currency or (line.debit - line.credit) ret_line['recs_count'] = recs_count ret_line['debit'] = amount > 0 and amount or 0 ret_line['credit'] = amount < 0 and -amount or 0 ret_line['amount_currency'] = amount_currency ret_line['amount_str'] = formatLang(self.env, abs(amount), currency_obj=target_currency) ret_line['total_amount_str'] = formatLang(self.env, abs(total_amount), currency_obj=target_currency) ret_line['amount_currency_str'] = amount_currency and formatLang(self.env, abs(amount_currency), currency_obj=line_currency) or "" ret_line['total_amount_currency_str'] = total_amount_currency and formatLang(self.env, abs(total_amount_currency), currency_obj=line_currency) or "" ret.append(ret_line) return ret @api.model def _get_statement_line(self, st_line): """ Returns the data required by the bank statement reconciliation widget to display a statement line """ statement_currency = st_line.journal_id.currency_id or st_line.journal_id.company_id.currency_id if st_line.amount_currency and st_line.currency_id: amount = st_line.amount_currency amount_currency = st_line.amount amount_currency_str = formatLang(self.env, abs(amount_currency), currency_obj=statement_currency) else: amount = st_line.amount amount_currency = amount amount_currency_str = "" amount_str = formatLang(self.env, abs(amount), currency_obj=st_line.currency_id or statement_currency) data = { 'id': st_line.id, 'ref': st_line.ref, 'note': st_line.narration or "", 'name': st_line.name, 'date': format_date(self.env, st_line.date), 'amount': amount, 'amount_str': amount_str, # Amount in the statement line currency 'currency_id': st_line.currency_id.id or statement_currency.id, 'partner_id': st_line.partner_id.id, 'journal_id': st_line.journal_id.id, 'statement_id': st_line.statement_id.id, 'account_id': [st_line.journal_id.default_account_id.id, st_line.journal_id.default_account_id.display_name], 'account_code': st_line.journal_id.default_account_id.code, 'account_name': st_line.journal_id.default_account_id.name, 'partner_name': st_line.partner_id.name, 'communication_partner_name': st_line.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 st_line.partner_id.id, 'company_id': st_line.company_id.id, } if st_line.partner_id: data['open_balance_account_id'] = amount > 0 and st_line.partner_id.property_account_receivable_id.id or st_line.partner_id.property_account_payable_id.id return data @api.model def _get_move_line_reconciliation_proposition(self, account_id, partner_id=None): """ Returns two lines whose amount are opposite """ Account_move_line = self.env['account.move.line'] ir_rules_query = Account_move_line._where_calc([]) Account_move_line._apply_ir_rules(ir_rules_query, 'read') from_clause, where_clause, where_clause_params = ir_rules_query.get_sql() where_str = where_clause and (" WHERE %s" % where_clause) or '' # Get pairs query = """ SELECT a.id, b.id FROM account_move_line a, account_move_line b, account_move move_a, account_move move_b, account_journal journal_a, account_journal journal_b WHERE a.id != b.id AND move_a.id = a.move_id AND move_a.state = 'posted' AND move_a.journal_id = journal_a.id AND move_b.id = b.move_id AND move_b.journal_id = journal_b.id AND move_b.state = 'posted' AND a.amount_residual = -b.amount_residual AND a.balance != 0.0 AND b.balance != 0.0 AND NOT a.reconciled AND a.account_id = %s AND (%s IS NULL AND b.account_id = %s) AND (%s IS NULL AND NOT b.reconciled OR b.id = %s) AND (%s is NULL OR (a.partner_id = %s AND b.partner_id = %s)) AND a.id IN (SELECT "account_move_line".id FROM {0}) AND b.id IN (SELECT "account_move_line".id FROM {0}) ORDER BY a.date desc LIMIT 1 """.format(from_clause + where_str) move_line_id = self.env.context.get('move_line_id') or None params = [ account_id, move_line_id, account_id, move_line_id, move_line_id, partner_id, partner_id, partner_id, ] + where_clause_params + where_clause_params self.env.cr.execute(query, params) pairs = self.env.cr.fetchall() if pairs: return Account_move_line.browse(pairs[0]) return Account_move_line @api.model def _process_move_lines(self, move_line_ids, new_mv_line_dicts): """ Create new move lines from new_mv_line_dicts (if not empty) then call reconcile_partial on self and new move lines :param new_mv_line_dicts: list of dicts containing values suitable for account_move_line.create() """ if len(move_line_ids) < 1 or len(move_line_ids) + len(new_mv_line_dicts) < 2: raise UserError(_('A reconciliation must involve at least 2 move lines.')) account_move_line = self.env['account.move.line'].browse(move_line_ids) writeoff_lines = self.env['account.move.line'] # Create writeoff move lines if len(new_mv_line_dicts) > 0: company_currency = account_move_line[0].account_id.company_id.currency_id same_currency = False currencies = list(set([aml.currency_id or company_currency for aml in account_move_line])) if len(currencies) == 1 and currencies[0] != company_currency: same_currency = True # We don't have to convert debit/credit to currency as all values in the reconciliation widget are displayed in company currency # If all the lines are in the same currency, create writeoff entry with same currency also for mv_line_dict in new_mv_line_dicts: if not same_currency: mv_line_dict['amount_currency'] = False writeoff_lines += account_move_line._create_writeoff([mv_line_dict]) (account_move_line + writeoff_lines).reconcile() else: account_move_line.reconcile() class AccountInvoiceLine(models.Model): _inherit = 'account.move.line' def _create_writeoff(self, writeoff_vals): def compute_writeoff_counterpart_vals(values): line_values = values.copy() line_values['debit'], line_values['credit'] = line_values['credit'], line_values['debit'] if 'amount_currency' in values: line_values['amount_currency'] = -line_values['amount_currency'] return line_values # Group writeoff_vals by journals writeoff_dict = {} for val in writeoff_vals: journal_id = val.get('journal_id', False) if not writeoff_dict.get(journal_id, False): writeoff_dict[journal_id] = [val] else: writeoff_dict[journal_id].append(val) partner_id = self.env['res.partner']._find_accounting_partner(self[0].partner_id).id company_currency = self[0].account_id.company_id.currency_id writeoff_currency = self[0].account_id.currency_id or company_currency line_to_reconcile = self.env['account.move.line'] # Iterate and create one writeoff by journal writeoff_moves = self.env['account.move'] for journal_id, lines in writeoff_dict.items(): total = 0 total_currency = 0 writeoff_lines = [] date = fields.Date.today() for vals in lines: # Check and complete vals if 'account_id' not in vals or 'journal_id' not in vals: raise UserError(_("It is mandatory to specify an account and a journal to create a write-off.")) if ('debit' in vals) ^ ('credit' in vals): raise UserError(_("Either pass both debit and credit or none.")) if 'date' not in vals: vals['date'] = self._context.get('date_p') or fields.Date.today() vals['date'] = fields.Date.to_date(vals['date']) if vals['date'] and vals['date'] < date: date = vals['date'] if 'name' not in vals: vals['name'] = self._context.get('comment') or _('Write-Off') if 'analytic_account_id' not in vals: vals['analytic_account_id'] = self.env.context.get('analytic_id', False) #compute the writeoff amount if not given if 'credit' not in vals and 'debit' not in vals: amount = sum([r.amount_residual for r in self]) vals['credit'] = amount > 0 and amount or 0.0 vals['debit'] = amount < 0 and abs(amount) or 0.0 vals['partner_id'] = partner_id total += vals['debit']-vals['credit'] if 'amount_currency' not in vals and writeoff_currency != company_currency: vals['currency_id'] = writeoff_currency.id sign = 1 if vals['debit'] > 0 else -1 vals['amount_currency'] = sign * abs(sum([r.amount_residual_currency for r in self])) total_currency += vals['amount_currency'] writeoff_lines.append(compute_writeoff_counterpart_vals(vals)) # Create balance line writeoff_lines.append({ 'name': _('Write-Off'), 'debit': total > 0 and total or 0.0, 'credit': total < 0 and -total or 0.0, 'amount_currency': total_currency, 'currency_id': total_currency and writeoff_currency.id or False, 'journal_id': journal_id, 'account_id': self[0].account_id.id, 'partner_id': partner_id }) # Create the move writeoff_move = self.env['account.move'].create({ 'journal_id': journal_id, 'date': date, 'state': 'draft', 'line_ids': [(0, 0, line) for line in writeoff_lines], }) writeoff_moves += writeoff_move line_to_reconcile += writeoff_move.line_ids.filtered(lambda r: r.account_id == self[0].account_id).sorted(key='id')[-1:] #post all the writeoff moves at once if writeoff_moves: writeoff_moves.action_post() # Return the writeoff move.line which is to be reconciled return line_to_reconcile