Users may want to be able to have transactions coming from multiple
payment acquirers to be registered in the same journal.
This will allows that.
Task id #2414749closesodoo/odoo#67331
Related: odoo/upgrade#2500
Related: odoo/enterprise#17258
Signed-off-by: William André (wan) <wan@odoo.com>
Task 2092079
Accounting firms that want to give access to their customers avoiding
mistakes and risks will love this profile that can't do anything
wrong... Maybe as well as companies auditors..?
closesodoo/odoo#39860
Related: odoo/enterprise#6576
Signed-off-by: Quentin De Paoli (qdp) <qdp@openerp.com>
* check_printing, voucher
For the model 'account.account',
- Replace the action menu 'Journal Items' by the stat button.
- Hide menu 'Journal Items for Tax Audit' from actions menu.
For the model 'account.invoice',
- Set action menu 'Share' only for the form view.
- Rename the action menu 'Confirm Draft Invoices' by 'Validate'.
- Rename 'Register Payment' by 'Register payment'.
- Rename 'Send' by 'Send & print'.
For the model 'account.move',
- Remove the menu 'Journal Items'.
- Rename 'Reverse Moves' by 'Reverse' and set it only for the list
view.
- Rename 'Post Journal Entries' by 'Post entries' and set it only for
the list view.
For the model 'account.move.line',r ename 'Reconcile Entries' by
'Reconcile' and 'Unreconcile Entries' by 'Unreconcile' and set it only
for the list view.
For the model 'account.payment',
- Rename 'Send Receipt By Email' by 'Send receipt by email' and set it
for both form and list views.
- Rename 'Post Payments' by 'Confirm' and set it for the list view only
- Rename 'Print Checks' by 'Print checks' and set it for the list view
only.
For the model 'account.journal', remove the menus 'Unpaid Invoices',
'Bank statements' and 'Voucher Entries'.
Linked to task 1984526
Related to PR #33720
Allow to configure the bank statement import mode from kanban
When doing a manual journal entry, don't show the maturity date
Removing Issued total, using credit instead (less code, more
useful to have due amounts, instead of overdue)
Creating a bank, set a name 'BofA Current' and an
account number (that way, the account.account is based
on name)
Settings Wizard & menus: better sentences
Statement CSV Import: installed by default (it
does not add any menu)
remove use_in_payment: complex field, only
used for a default value
Small code cleanup
[IMP] sale: moving order date to secondary tab (strange on a quotation)
During the conversion of the server action "action_account_print_checks",
the "self.env" variable was wrongly kept. Now in server actions we
are using the variable "env" directly.
The account_check_writing module offers the structure for other modules
to add check printing facilities (like l10n_us_check_printing), in and of
itself it brings no functionality.