Steps to reproduce:
- Create a new journal Bank
- In Sequence, find the 'New Bank Check" and edit it so the sequence can be 10 number digits long
- Create a Vendor Payments with the the New Banck and Check as a method
- Click on Print a check
- Set the check number to 2147483648 and validate
- Create a new payment with the check method
- Click on Print a check
Issue:
Error is raised
Cause:
As for https://github.com/odoo/odoo/pull/112832 there is a second check in order to increment the check number
opw-3140973
closesodoo/odoo#114496
X-original-commit: 531147bb5fad6372c3742bc061f78687f7f11e5b
Signed-off-by: John Laterre (jol) <jol@odoo.com>
Signed-off-by: Yolann Sabaux (yosa) <yosa@odoo.com>
Steps to reproduce:
- Create a new journal Bank
- In Sequence, find the 'New Bank Check" and edit it so the sequence can be 10 number digits long
- Create a Vendor Payments with the the New Banck and Check as a method
- Click on Print a check
- Set any number > 2147483647 and validate
Issue:
Traceback
Cause:
The query SQL make a check to verifiy that the number is correct ('025'::integer == '25'::integer but '025'!='25)
But using INTEGER limits the number up to 2147483647 (https://www.postgresql.org/docs/current/datatype-numeric.html)
Solution:
Use BIGINT whose limit is 9223372036854775807
opw-3140973
closesodoo/odoo#113499
X-original-commit: 49dd9dffd7b96fd90860123f8b3f0e623979b246
Signed-off-by: Yolann Sabaux (yosa) <yosa@odoo.com>
Signed-off-by: John Laterre (jol) <jol@odoo.com>
TLDR:
* invoices are implemented using computed methods instead of onchange
* the synchronization only happens when switching tabs in the Form view
to improve perfs.
_______________________________________________________________________
The whole engine of the synchronization of Invoices to the Journal
Entries has been refactored
* by using computed fields instead of onchange functions
* by synchronizing only from invoice to journal entry in `create` and
`write`
* by saving when switching tabs on the Invoice form, to synchronize
before showing the values
This comes with numerous advantages:
* no need to call the onchange methods manually
* no need to use the Form emulator to build invoices (i.e. EDI, OCR,
intercompany, ...)
* the performance for invoices with many lines improves drastically, going
from 2 minutes to 4 seconds to create an invoice with 500 lines
* the model is more declarative, we can now see how the values are computed
instead of having the values being copied from various places.
* remove the hack in `onchange` that disabled the recursivity of it,
which was unexpected and needed to be managed manually in all the
onchange methods
This means that:
* Some fields need to be exclusively computed on journal entries values
or invoice values, more specifically the Tax Summary widget.
It is now
- computed from entry lines, when opening the view
- computed from invoice lines when changing those, because the tax lines
will need to be recomputed anyways, erasing previously set values
- set with an inverse function when saving; after the sync has been done
* Some possible operations previously possible have been dropped.
(i.e. look at the removed test test_in_invoice_line_onchange_accounting_fields_1)
This is because such a behavior was undefined (how is changing the balance going
to affect the unit price? How is the amount currency going to affect it?)
_______________________________________________________________________
Implementation Details
----------------------
The "dynamic lines", meaning the payment terms and the tax lines are now
only created in the `create` and `write` functions.
In order to reduce code duplication, it has been implemented using
context managers used in both `account.move` and `account.move.line`
These context managers help comparing the values before/after, acting
like a local `onchange`, but getting benefit from the dirty flags from
the `compute` dependences.
This is relying on computed fields on the move (`needed_terms`) and on
the lines (`compute_all_tax`) which contain the values needed for the
related move.
Depending on the needed values and the existing values (`term_key` and
`tax_key`, respectively) the context manager will determine what needs
to be created/updated/deleted.
Some related changes are to produce a `dict` instead of a `str` for the
`tax_totals` (previously `tax_totals_json`) fields, by simplicity to
reduce the complexity of IO, and simplicity of debugging, because the
logic of the field needed to change (cannot be computed at the same time
anymore since it needed the lines to be synced)
By simplicity, and also because it makes more sense, some boolean fields
have been merged into `display_type`:
* `is_rounding_line`
* `exclude_from_invoice_tab`
* `is_anglo_saxon_line`
The `price_unit`, `quantity` and other "invoice fields" are now not set
anymore on lines that are not product lines since it didn't make any
sense to have it.
Performances
------------
You have to keep in mind that a simple `create` didn't compute a lot of
fields, for instance not taxes were set, no payment terms,...
Now it does.
```python
import random
from timeit import timeit
from odoo import Command
domain = [('company_id', 'in', (False, self.env.company.id))]
products = self.env['product.product'].search(domain).ids
partners = self.env['res.partner'].search(domain).ids
taxes = self.env['account.tax'].search(domain).ids
def create(nmove, nline):
self.env['account.move'].create([
{
'move_type': 'out_invoice',
'partner_id': random.choice(partners),
'invoice_line_ids': [
Command.create({
'name': f'line{i}',
'product_id': random.choice(products),
'tax_ids': [Command.set([random.choice(taxes)])],
})
for i in range(nline)
]
}
for j in range(nmove)
])
# After | Before
print(timeit("create(1, 1)", globals=globals(), number=1)) # 0.11 | 0.09
print(timeit("create(100, 1)", globals=globals(), number=1)) # 2.76 | 2.50
print(timeit("create(500, 1)", globals=globals(), number=1)) # 14.56 | 12.34
print(timeit("create(1, 100)", globals=globals(), number=1)) # 1.03 | 5.52
print(timeit("create(1, 500)", globals=globals(), number=1)) # 3.99 | 125.02
print(timeit("create(50, 50)", globals=globals(), number=1)) # 19.44 | 79.55
```
Another metric that can be used is running the test suite with
`--test-tags=/account` (only `account` installed)
* before: 404s, 267127 queries (366 tests)
* after: 318s, 232125 queries (362 tests)
Why this commit title?
----------------------
Someone told me that this was the perfect way of naming your commits.
c04065abd8
task-2711317
closesodoo/odoo#96134
Related: odoo/upgrade#3715
Related: odoo/enterprise#29758
Signed-off-by: Laurent Smet <las@odoo.com>
With this commit, we allow mutliple payments with manual
check printing.
Steps to reproduce:
- With manual check numbering
- Create +=3 vendor bills
- In bills list view, select all bills and register payment
- Select Checks as payment methos, and validate
-> Validation Error: The following numbers are already used ...
Setting the check_numbers before calling the super of
payment.action_post.
opw-2830586
closesodoo/odoo#91128
X-original-commit: c26cd9fa30ac9093f5c7500ca1dd9a9f9cfd06a5
Signed-off-by: Florian Gilbert <flg@odoo.com>
Signed-off-by: Guillaume Vanleynseele <guva@odoo.com>
In some languages and layout the currency symbol might be wrapped in a separate
line, which is not acceptable from accounting point of view. Fix it by replacing
space with a special symbol.
STEPS for v15:
* install MX localization;
* create a Spanish speaking customer
* generate a pdf:
1) Create quotation with products
2) Add IVA 16%tax
3) print a report
BEFORE: the currency symbol is incorrectly displayed on a separate line
AFTER: currency symbol is always with the amount
---
https://github.com/odoo/odoo/pull/89722
opw-2829138
closesodoo/odoo#90961
X-original-commit: 684687226b87022bc9f9ba7667b295e545100645
Related: odoo/enterprise#27138
Signed-off-by: William André (wan) <wan@odoo.com>
* Previously, when reconciling journal items in multi-currencies, the exchange difference entry was created only on the full reconciliation. It will now be created directly at each partial to ensure the ratio between amount_residual_currency and amount_residual is always kept identical.
* Also when reconciling two lines, one with a foreign currency and one expressed in company currency, the reconciliation is now made based on the foreign currency.
==== RATIONALE ====
This patch allows to fix the following use cases (among others)
1) When everything is expressed in foreign currency, the reconciliation is made in that currency:
Suppose EUR is the foreign currency and USD is the company currency. Reconciling:
L1: 120 EUR 60 USD (rate 2:1)
L2: 240 EUR 80 USD (rate 3:1)
..leads to a partial of 120 EUR and min(80, 60) = 60 USD
After the reconciliation, L1 is fully matched but L2 is still open with 120 EUR but only 20 USD.
This is the first problem is the current reconciliation because L2 is supposed to have a rate 3:1 so the residual amount should be 120 / 3 = 40 USD.
Since the rate is no longer consistent on L2, the user will probably close the reconciliation by using another line in EUR or will close manually the reconciliation with 20 USD but without any additional exchange difference journal items explaining where this unconsistency comes from.
2) When the current lines are mixing multiple currencies, the reconciliation is made using the company's currency.
In some countries like Mexico, Ethiopia or Costa Rica, the customer is free to pay an invoice using the company's currency instead of the foreign one.
So, suppose USD is the foreign currency and MXN is the company currency.
The invoice is expressed by:
L1: 120 USD 60 MXN (rate 2:1)
If the customer is paying at a date in which the rate is 3:1, he is free to pay
either L2: 120 USD 40 MXN (rate 3:1), either L2: 40 MXN.
In the second case, he is expecting the invoice to be fully paid because its paiement is equivalent to 120 USD at the payment date.
In Odoo, the second case led to an open balance of 20 MXN and the invoice was not completely paid.
Even this situation could be easily fixed by a manual write-off, this makes the Mexican payment EDI very complicated to fullfil correctly because the government is expecting a complete matching between the invoice and the payment.
When the customer is paying multiple invoices or the invoices are paid using multiple payments, the currently generated mexican EDI file in Odoo was wrong.
==== REFERENCES ====
Original idea suggested by hbto@vauxoo.com. Thanks for the contribution and patience of the many persons having, at some point, helped on that.
github issue: https://github.com/odoo/odoo/issues/37469closesodoo/odoo#84201
Task: 2669371
Related: odoo/enterprise#24268
Signed-off-by: Quentin De Paoli <qdp@odoo.com>
To improve the payment method system, proceed to a few changes
such as changing the view a bit, making sure payment acquirers are not
linked to a journal by default and that only the manual payment method
type can be used multiple times in a single journal.
Task id #2573145closesodoo/odoo#73596
X-original-commit: 9122b367baea10e59b66e45bf7c458a6f1e82efb
Related: odoo/enterprise#19623
Signed-off-by: Xavier Dollé (xdo) <xdo@odoo.com>
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 2005940
account:
* Use stored compute methods instead of default for
{out,in}bound_payment_method_ids
* Track is_move_sent in the chatter
* Split 'Invoices' and 'Bills' in the smart button of payment form
* Because account.payment.method can be shown on the res.partner form,
we need to relax the security level to readonly for all users
account_check_printing:
* Add the preferred payment method for partners, with a related on
account move allowing to do a group by and doing payments in batch
* Add a constraint to forbid twice the same check number in the same
journal
* The amount in words is now readonly to prevent typos and mismatches
with the amount in digits
* Remove the field `check_number_int`. The check number is kept as Char
so that '000012345' is not displayed (and printed) as '12,345' but it
is parsed so that comparison and incrementation are possible.
closesodoo/odoo#56179
Related: odoo/upgrade#1669
Related: odoo/enterprise#12527
Signed-off-by: oco-odoo <oco-odoo@users.noreply.github.com>
Add an easy way to not post the entries in the future when calling
post() on it, but rather set it to be auto-posted at accounting date.
This is useful when we are creating a lot of entries in batch and some
might be in the future, some in the past, and we don't want to separate
that in two batch every time. (asset, accrual, transfer,... )
- Create journal entries as soon as bank/cash statement lines are created, temporary booked on a suspense account set on the journal.
- Simplify the management of "blue" lines in the reconciliation widget. A "blue" line is now a journal item using a temporary liquidity account (outstanding payment/receipt accounts, set on the journal).
- Adapt and simplify the bank reconciliation report.
- Remove the bank reconciliation threshold date. The reconciliation report will show the not already reconciled journal entries using a liquidity account and the not already reconciled journal entries using a temporary liquidity account. Without accounting, an account.payment will involve directly the liquidity account and then, will be considered as a statement line directly.
- Remove the post_at bank reconciliation feature. The "paid" state will be set on the invoices only if reconciled with a journal entry involving the journal's liquidity account.
With invoicing, the payment will do that so the "in_payment" state should never be shown up.
With accounting, only the statement lines have the power to move an invoice to the "paid" state.
- Fix various corner cases about the management of multi-currency in bank statement lines.
- Fix the conversion dates in multi-currency: Since the bank/cash is always used on the statement lines, it will use always the real "bank" date instead of the fictive payment one.
- Ensure the 'reconcile' method will raise an error if the involved moves are not posted.
related enterprise PR odoo/enterprise#7019closesodoo/odoo#41301
--task: 2092096
Related: odoo/upgrade#1018
Signed-off-by: Quentin De Paoli (qdp) <qdp@openerp.com>
This commit merges the following models
* account.invoice and account.move
* account.invoice.line and account.move.line
* account.voucher and account.move
* account.voucher.line and account.move.line
It was the opportunity for a big cleanup of the code, so it also restructures the whole account module, its different models/fields, the tests etc. for a better world and a better code readability.
==== Rationale ====
The rationale of this huge change is that we want journal entries / invoices to be easily edited, and changes reflected in the other model. It's a HUGE feature and very strategic for the fiduciary companies. For example, changing the account of a journal entry needs to be automatically reflected on the related invoice.
The same reasoning applies to sale/purchase vouchers.
==== Changes made in features =====
When creating an invoice, you are now creating a journal entry directly.
--> The object account.invoice no longer exists.
In the same fashion when creating an invoice line, you're now adding journal items directly in the journal entry representing the invoice. If this invoice line has some tax, it may create additional journal items as well.
--> The models account.invoice.line & account.invoice.tax no longer exist
Identically, when creating a sale/purchase receipt with its lines, you are now creating a journal entry directly and there's no more usability difference between encoding a receipt or an invoice.
--> The object account.voucher no longer exists.
--> The object account.voucher.line no longer exists.
--> The whole account_voucher module no longer exists.
Positive side-effects coming from these changes are
* draft invoices/bills/sale or purchase receipts now create a draft accounting entry. Validate these objects now simply post its journal entry. That means that draft invoices/bills/sale or purchase receipt can straightforwardly be included in reporting or budgets.
* opening a journal entry in form view will now always open the correct view: if it's a sale/purchase journal entry we will have a customer invoice/vendor bill view or a sale/purchase receipt view, whatever the menu we're coming from.
* code & business logic simplification. It is also condensed in a single place instead of being partially duplicated on invoices, vouchers and journal entries.
There should be no feature loss, except the one allowing to group multiple journal items together based on the same product during the invoice validation.
==== Changes made in models =====
* account.invoice: model removed. Instead, now use account.move with following mapping
field (account.invoice) field (account.move)
----------------------- --------------------
name invoice_payment_ref
number name
reference ref
comment narration
user_id invoice_user_id
amount_ total_company_signed amount_total_signed
residual amount_residual
state state + invoice_payment_state /!\ selection changed
date_invoice invoice_date
date_due invoice_date_due
sent invoice_sent
origin invoice_origin
payment_term_id invoice_payment_term_id
partner_bank_id invoice_partner_bank_id
incoterm_id invoice_incoterm_id
vendor_bill_id invoice_vendor_bill_id
source_email invoice_source_email
vendor_display_name invoice_vendor_display_name
invoice_icon invoice_vendor_icon
cash_rounding_id invoice_cash_rounding_id
sequence_number_next invoice_sequence_number_next
sequence_number_next_prefix invoice_sequence_number_next_prefix
'invoices' subset of account.move can be accessed by using the selection field 'type' or one of the many helpers like is_invoice()
* account.move: now has a valid state 'cancel' that has to be excluded from all business logic
* account.move: field 'amount' renamed into 'amount_total'
* account.move: field 'reverse_entry_id' renamed into 'reversed_entry_id'
* account.move.line: now has a field 'display_type' that has to be excluded from all business logic, in order to support invoice layouting
* account.invoice.line: model removed. Instead, now use account.move.line with following mapping
field (account.invoice.line) field (account.move.line)
---------------------------- -------------------------
invoice_id move_id
uom_id product_uom_id
invoice_line_tax_ids tax_ids
account_analytic_id analytic_account_id
'invoice lines' subset of all account.move.line from a journal entry can be accessed by using the boolean field 'exclude_from_invoice_tab'
* account.invoice.tax: model removed. Instead, now use account.move.line with following mapping
field (account.invoice.tax) field (account.move.line)
--------------------------- -------------------------
invoice_id move_id
account_analytic_id analytic_account_id
amount price_unit
base tax_base_amount
'tax lines' subset of all account.move.line from a journal entry can be accessed by using the relational field 'tax_line_id'
* account.invoice.confirm: model removed. Instead, now use the 'post()' function of account.move
* account.invoice.refund: model removed. Instead, now use account.move.reversal to reverse the entries with the same options as we had for invoices
* account.voucher: model removed. Instead, now use account.move of type in ['out_receipt', 'in_receipt]
* account.voucher.line: model removed. Instead, now use account.move.line
==== Changes made in functions ====
* on account.move, method _run_post_draft_to_post() renamed into _autopost_draft_entries()
* on account.move, method action_account_invoice_payment() renamed into action_invoice_register_payment()
* on account.move, method action_invoice_reconcile_to_check() renamed into action_open_matching_suspense_moves()
* on account.move, method _get_domain_edition_mode_available() renamed into _get_domain_matching_supsense_moves()
* on account.move, method _get_intrastat_country_id() renamed into _get_invoice_intrastat_country_id()
* on account.move.line, method _get_domain_for_edition_mode() renamed into _get_suspense_moves_domain()
* in account.bank.statement, contextual key 'edition_mode' renamed into 'suspense_moves_mode'
Was task 1917430
When making a manual payment with account_sepa we want to allow people to add a bank account as it might display the European QR code for banking app, but this should stay optional.
So we made sure that the conditions making the field visible and required weren't the same.
part of task #1918423closesodoo/odoo#32198
Signed-off-by: Quentin De Paoli (qdp) <qdp@openerp.com>
simplification of payments objects and refactoring of the code
* registering payment(s) from the list of invoice now generate a single payment per invoice selected
* no more abstract object for payments/payment wizard as the logic is now really simple:
- group_invoices option is now removed and we never try to group payments based on the currency/customer of whatsoever (see above),
- the payment amount is the full residual amount of invoice and users cannot change it anymore
* partner_bank_account_id not required as soon as visible (depends on the payment method)
* refactoring to name tags and allow easier inheritance via xpath
part of task #1918423
On the accounting config, you can select an automatic way to compute the
reference on invoice and then, improve the reconciliation in a later task:
- free communication: set what you want as reference (default)
- based on partner: find the partner more easily
- based on number: retrieve the invoice directly
Was task: 1847703
Was part of PR #25921
* localized checks layout of US and CA introduced in enterprise
* account settings now install account_check_printing instead of the US checks layout
Wsa PR #18791. Was task 33298
Since account_check_printing doesn't add a functionality without a 'concrete'
check printing module like l10n_us_check_printing, move tests to this module
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.