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311 lines
14 KiB
311 lines
14 KiB
import re
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from odoo import models, fields, api
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class BalanceSheet(models.TransientModel):
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_inherit = "dynamic.balance.sheet.report"
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def view_report_pdf(self, acc, form):
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data = dict()
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report_lines = acc
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data['form'] = form
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# find the journal items of these accounts
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journal_items = self.find_journal_items(report_lines, data['form'])
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def set_report_level(rec):
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"""This function is used to set the level of each item.
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This level will be used to set the alignment in the dynamic reports."""
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level = 1
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if not rec['parent']:
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return level
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else:
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for line in report_lines:
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key = 'a_id' if line['type'] == 'account' else 'id'
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if line[key] == rec['parent']:
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return level + set_report_level(line)
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# finding the root
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for item in report_lines:
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item['balance'] = round(item['balance'], 2)
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if not item['parent']:
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item['level'] = 1
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parent = item
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report_name = item['name']
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item_id = item['id']
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report_id = item['r_id']
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else:
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item['level'] = set_report_level(item)
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data['journal_items'] = journal_items
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data['report_lines'] = report_lines
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return data
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def _compute_account_balance(self, accounts):
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""" compute the balance, debit
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and credit for the provided accounts
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"""
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mapping = {
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'balance':
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"COALESCE(SUM(debit),0) - COALESCE(SUM(credit), 0)"
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" as balance",
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'debit': "COALESCE(SUM(debit), 0) as debit",
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'credit': "COALESCE(SUM(credit), 0) as credit",
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}
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res = {}
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for account in accounts:
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res[account.id] = dict((fn, 0.0)
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for fn in mapping.keys())
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if accounts:
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tables, where_clause, where_params = (
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self.env['account.move.line']._query_get())
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tables = tables.replace(
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'"', '') if tables else "account_move_line"
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wheres = [""]
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if where_clause.strip():
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wheres.append(where_clause.strip())
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filters = " AND ".join(wheres)
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request = ("SELECT account_id as id, " +
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', '.join(mapping.values()) +
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" FROM " + tables +
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" WHERE account_id IN %s " +
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filters +
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" GROUP BY account_id")
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params = (tuple(accounts._ids),) + tuple(where_params)
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self.env.cr.execute(request, params)
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for row in self.env.cr.dictfetchall():
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res[row['id']] = row
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return res
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def _compute_report_balance(self, reports):
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"""returns a dictionary with key=the ID of a record and
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value=the credit, debit and balance amount
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computed for this record. If the record is of type :
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'accounts' : it's the sum of the linked accounts
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'account_type' : it's the sum of leaf accounts with
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such an account_type
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'account_report' : it's the amount of the related report
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'sum' : it's the sum of the children of this record
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(aka a 'view' record)"""
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res = {}
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fields = ['credit', 'debit', 'balance']
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for report in reports:
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if report.id in res:
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continue
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res[report.id] = dict((fn, 0.0) for fn in fields)
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if report.type == 'accounts':
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# it's the sum of the linked accounts
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res[report.id]['account'] = self._compute_account_balance(
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report.account_ids
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)
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for value in \
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res[report.id]['account'].values():
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for field in fields:
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res[report.id][field] += value.get(field)
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elif report.type == 'account_type':
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# it's the sum the leaf accounts
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# with such an account type
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"""Eccccc"""
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# if report.id == 11:
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# states = ['liability_payable','equity','liability_non_current','liability_current']
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# elif report.id ==9:
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# states = ['asset_fixed','asset_non_current','asset_current','asset_cash','asset_receivable']
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# elif report.id ==9:
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# states = ['asset_fixed','asset_non_current','asset_current','asset_cash','asset_receivable']
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# else:
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# states = [report.account_type_ids]
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"""end"""
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accounts = self.env['account.account'].search([
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('account_type', 'in',
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report.account_ids.mapped('account_type'))
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])
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res[report.id]['account'] = self._compute_account_balance(
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accounts)
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for value in res[report.id]['account'].values():
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for field in fields:
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res[report.id][field] += value.get(field)
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elif report.type == 'account_report' and report.account_report_id:
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# it's the amount of the linked report
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res2 = self._compute_report_balance(report.account_report_id)
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for key, value in res2.items():
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for field in fields:
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res[report.id][field] += value[field]
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elif report.type == 'sum':
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# it's the sum of the children of this account.report
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res2 = self._compute_report_balance(report.children_ids)
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for key, value in res2.items():
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for field in fields:
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res[report.id][field] += value[field]
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return res
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def get_account_lines(self, data):
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lines = []
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account_report = data['account_report_id']
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child_reports = account_report._get_children_by_order()
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res = self.with_context(
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data.get('used_context'))._compute_report_balance(child_reports)
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# data['enable_filter'] = False
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if data['enable_filter']:
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comparison_res = self._compute_report_balance(child_reports)
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for report_id, value in comparison_res.items():
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res[report_id]['comp_bal'] = value['balance']
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report_acc = res[report_id].get('account')
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if report_acc:
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for account_id, val in \
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comparison_res[report_id].get('account').items():
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report_acc[account_id]['comp_bal'] = val['balance']
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for report in child_reports:
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r_name = str(report.name)
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r_name = re.sub('[^0-9a-zA-Z]+', '', r_name)
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if report.parent_id:
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p_name = str(report.parent_id.name)
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p_name = re.sub('[^0-9a-zA-Z]+', '', p_name) + str(
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report.parent_id.id)
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else:
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p_name = False
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child_ids = []
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for chd in report.children_ids:
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child_ids.append(chd.id)
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vals = {
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'r_id': report.id,
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'p_id': report.parent_id.id,
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'report_type': report.type,
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'c_ids': child_ids,
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'id': r_name + str(report.id),
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'sequence': report.sequence,
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'parent': p_name,
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'name': report.name,
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'balance': res[report.id]['balance'] * int(report.sign),
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'type': 'report',
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'level': bool(
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report.style_overwrite) and report.style_overwrite or
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report.level,
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'account_type': report.type or False,
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'is_present': False,
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# used to underline the financial report balances
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}
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if data['debit_credit']:
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vals['debit'] = res[report.id]['debit']
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vals['credit'] = res[report.id]['credit']
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if data['enable_filter']:
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vals['balance_cmp'] = res[report.id]['comp_bal'] * int(
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report.sign)
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lines.append(vals)
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if report.display_detail == 'no_detail':
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# the rest of the loop is
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# used to display the details of the
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# financial report, so it's not needed here.
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continue
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if res[report.id].get('account'):
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sub_lines = []
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for account_id, value \
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in res[report.id]['account'].items():
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# if there are accounts to display,
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# we add them to the lines with a level equals
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# to their level in
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# the COA + 1 (to avoid having them with a too low level
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# that would conflicts with the level of data
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# financial reports for Assets, liabilities...)
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flag = False
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account = self.env['account.account'].browse(account_id)
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vals = {
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'r_id': False,
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'p_id': report.id,
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'report_type': 'accounts',
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'c_ids': [],
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'account': account.id,
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'code': account.code,
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'a_id': account.code + re.sub('[^0-9a-zA-Z]+', 'acnt',
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account.name) + str(
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account.id),
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'name': account.code + '-' + account.name,
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'balance': value['balance'] * int(report.sign) or 0.0,
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'type': 'account',
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'parent': r_name + str(report.id),
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'level': (
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report.display_detail == 'detail_with_hierarchy' and
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4),
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'account_type': account.account_type,
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}
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if data['debit_credit']:
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vals['debit'] = value['debit']
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vals['credit'] = value['credit']
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if not account.company_id.currency_id.is_zero(
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vals['debit']) or \
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not account.company_id.currency_id.is_zero(
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vals['credit']):
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flag = True
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if not account.company_id.currency_id.is_zero(
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vals['balance']):
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flag = True
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if data['enable_filter']:
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vals['balance_cmp'] = value['comp_bal'] * int(
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report.sign)
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if not account.company_id.currency_id.is_zero(
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vals['balance_cmp']):
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flag = True
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if flag:
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sub_lines.append(vals)
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# sub_lines.append({'r_id': False, 'p_id': 11, 'report_type': 'accounts', 'c_ids': [], 'account': 14, 'code': '211000', 'a_id': '211000AccountacntPayable14', 'name': '211000-Account Payable', 'balance': -2036.77, 'type': 'account', 'parent': 'Liability11', 'level': 4, 'debit': 0.0, 'credit': 2036.77, 'balance_cmp': -2036.77})
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lines += sorted(sub_lines,
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key=lambda sub_line: sub_line['name'])
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return lines
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def find_journal_items(self, report_lines, form):
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cr = self.env.cr
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journal_items = []
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for i in report_lines:
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if i['type'] == 'account':
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account = i['account']
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if form['target_move'] == 'posted':
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search_query = "select aml.id, am.id as j_id, aml.account_id, aml.date," \
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" aml.name as label, am.name, " \
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+ "(aml.debit-aml.credit) as balance, aml.debit, aml.credit, aml.partner_id " \
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+ " from account_move_line aml join account_move am " \
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"on (aml.move_id=am.id and am.state=%s) " \
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+ " where aml.account_id=%s"
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vals = [form['target_move']]
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else:
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search_query = "select aml.id, am.id as j_id, aml.account_id, aml.date, " \
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"aml.name as label, am.name, " \
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+ "(aml.debit-aml.credit) as balance, aml.debit, aml.credit, aml.partner_id " \
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+ " from account_move_line aml join account_move am on (aml.move_id=am.id) " \
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+ " where aml.account_id=%s"
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vals = []
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if form['date_from'] and form['date_to']:
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search_query += " and aml.date>=%s and aml.date<=%s"
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vals += [account, form['date_from'], form['date_to']]
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elif form['date_from']:
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search_query += " and aml.date>=%s"
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vals += [account, form['date_from']]
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elif form['date_to']:
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search_query += " and aml.date<=%s"
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vals += [account, form['date_to']]
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else:
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vals += [account]
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cr.execute(search_query, tuple(vals))
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items = cr.dictfetchall()
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for j in items:
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temp = j['id']
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j['id'] = re.sub('[^0-9a-zA-Z]+', '', i['name']) + str(
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temp)
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j['p_id'] = str(i['a_id'])
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j['type'] = 'journal_item'
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journal_items.append(j)
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return journal_items
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