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account_move_line.py
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# -*- coding: utf-8 -*-
##############################################################################
#
# OpenERP, Open Source Management Solution
# Copyright (C) 2004-2010 Tiny SPRL (<http://tiny.be>).
#
# This program is free software: you can redistribute it and/or modify
# it under the terms of the GNU Affero General Public License as
# published by the Free Software Foundation, either version 3 of the
# License, or (at your option) any later version.
#
# This program is distributed in the hope that it will be useful,
# but WITHOUT ANY WARRANTY; without even the implied warranty of
# MERCHANTABILITY or FITNESS FOR A PARTICULAR PURPOSE. See the
# GNU Affero General Public License for more details.
#
# You should have received a copy of the GNU Affero General Public License
# along with this program. If not, see <http://www.gnu.org/licenses/>.
#
##############################################################################
import time
from datetime import datetime
from openerp import workflow
from openerp.osv import fields, osv
from openerp.tools.translate import _
import openerp.addons.decimal_precision as dp
from openerp import tools
from openerp.report import report_sxw
import openerp
class account_move_line(osv.osv):
_name = "account.move.line"
_description = "Journal Items"
def _query_get(self, cr, uid, obj='l', context=None):
fiscalyear_obj = self.pool.get('account.fiscalyear')
fiscalperiod_obj = self.pool.get('account.period')
account_obj = self.pool.get('account.account')
fiscalyear_ids = []
context = dict(context or {})
initial_bal = context.get('initial_bal', False)
company_clause = " "
if context.get('company_id', False):
company_clause = " AND " +obj+".company_id = %s" % context.get('company_id', False)
if not context.get('fiscalyear', False):
if context.get('all_fiscalyear', False):
#this option is needed by the aged balance report because otherwise, if we search only the draft ones, an open invoice of a closed fiscalyear won't be displayed
fiscalyear_ids = fiscalyear_obj.search(cr, uid, [])
else:
fiscalyear_ids = fiscalyear_obj.search(cr, uid, [('state', '=', 'draft')])
else:
#for initial balance as well as for normal query, we check only the selected FY because the best practice is to generate the FY opening entries
fiscalyear_ids = [context['fiscalyear']]
fiscalyear_clause = (','.join([str(x) for x in fiscalyear_ids])) or '0'
state = context.get('state', False)
where_move_state = ''
where_move_lines_by_date = ''
if context.get('date_from', False) and context.get('date_to', False):
if initial_bal:
where_move_lines_by_date = " AND " +obj+".move_id IN (SELECT id FROM account_move WHERE date < '" +context['date_from']+"')"
else:
where_move_lines_by_date = " AND " +obj+".move_id IN (SELECT id FROM account_move WHERE date >= '" +context['date_from']+"' AND date <= '"+context['date_to']+"')"
if state:
if state.lower() not in ['all']:
where_move_state= " AND "+obj+".move_id IN (SELECT id FROM account_move WHERE account_move.state = '"+state+"')"
if context.get('period_from', False) and context.get('period_to', False) and not context.get('periods', False):
if initial_bal:
period_company_id = fiscalperiod_obj.browse(cr, uid, context['period_from'], context=context).company_id.id
first_period = fiscalperiod_obj.search(cr, uid, [('company_id', '=', period_company_id)], order='date_start', limit=1)[0]
context['periods'] = fiscalperiod_obj.build_ctx_periods(cr, uid, first_period, context['period_from'])
else:
context['periods'] = fiscalperiod_obj.build_ctx_periods(cr, uid, context['period_from'], context['period_to'])
if context.get('periods', False):
if initial_bal:
query = obj+".state <> 'draft' AND "+obj+".period_id IN (SELECT id FROM account_period WHERE fiscalyear_id IN (%s)) %s %s" % (fiscalyear_clause, where_move_state, where_move_lines_by_date)
period_ids = fiscalperiod_obj.search(cr, uid, [('id', 'in', context['periods'])], order='date_start', limit=1)
if period_ids and period_ids[0]:
first_period = fiscalperiod_obj.browse(cr, uid, period_ids[0], context=context)
ids = ','.join([str(x) for x in context['periods']])
query = obj+".state <> 'draft' AND "+obj+".period_id IN (SELECT id FROM account_period WHERE fiscalyear_id IN (%s) AND date_start <= '%s' AND id NOT IN (%s)) %s %s" % (fiscalyear_clause, first_period.date_start, ids, where_move_state, where_move_lines_by_date)
else:
ids = ','.join([str(x) for x in context['periods']])
query = obj+".state <> 'draft' AND "+obj+".period_id IN (SELECT id FROM account_period WHERE fiscalyear_id IN (%s) AND id IN (%s)) %s %s" % (fiscalyear_clause, ids, where_move_state, where_move_lines_by_date)
else:
query = obj+".state <> 'draft' AND "+obj+".period_id IN (SELECT id FROM account_period WHERE fiscalyear_id IN (%s)) %s %s" % (fiscalyear_clause, where_move_state, where_move_lines_by_date)
if initial_bal and not context.get('periods', False) and not where_move_lines_by_date:
#we didn't pass any filter in the context, and the initial balance can't be computed using only the fiscalyear otherwise entries will be summed twice
#so we have to invalidate this query
raise osv.except_osv(_('Warning!'),_("You have not supplied enough arguments to compute the initial balance, please select a period and a journal in the context."))
if context.get('journal_ids', False):
query += ' AND '+obj+'.journal_id IN (%s)' % ','.join(map(str, context['journal_ids']))
if context.get('chart_account_id', False):
child_ids = account_obj._get_children_and_consol(cr, uid, [context['chart_account_id']], context=context)
query += ' AND '+obj+'.account_id IN (%s)' % ','.join(map(str, child_ids))
query += company_clause
return query
def _amount_residual(self, cr, uid, ids, field_names, args, context=None):
"""
This function returns the residual amount on a receivable or payable account.move.line.
By default, it returns an amount in the currency of this journal entry (maybe different
of the company currency), but if you pass 'residual_in_company_currency' = True in the
context then the returned amount will be in company currency.
"""
res = {}
if context is None:
context = {}
cur_obj = self.pool.get('res.currency')
for move_line in self.browse(cr, uid, ids, context=context):
res[move_line.id] = {
'amount_residual': 0.0,
'amount_residual_currency': 0.0,
}
if move_line.reconcile_id:
continue
if not move_line.account_id.reconcile:
#this function does not suport to be used on move lines not related to a reconcilable account
continue
if move_line.currency_id:
move_line_total = move_line.amount_currency
sign = move_line.amount_currency < 0 and -1 or 1
else:
move_line_total = move_line.debit - move_line.credit
sign = (move_line.debit - move_line.credit) < 0 and -1 or 1
line_total_in_company_currency = move_line.debit - move_line.credit
context_unreconciled = context.copy()
if move_line.reconcile_partial_id:
for payment_line in move_line.reconcile_partial_id.line_partial_ids:
if payment_line.id == move_line.id:
continue
if payment_line.currency_id and move_line.currency_id and payment_line.currency_id.id == move_line.currency_id.id:
move_line_total += payment_line.amount_currency
else:
if move_line.currency_id:
context_unreconciled.update({'date': payment_line.date})
amount_in_foreign_currency = cur_obj.compute(cr, uid, move_line.company_id.currency_id.id, move_line.currency_id.id, (payment_line.debit - payment_line.credit), round=False, context=context_unreconciled)
move_line_total += amount_in_foreign_currency
else:
move_line_total += (payment_line.debit - payment_line.credit)
line_total_in_company_currency += (payment_line.debit - payment_line.credit)
result = move_line_total
res[move_line.id]['amount_residual_currency'] = sign * (move_line.currency_id and self.pool.get('res.currency').round(cr, uid, move_line.currency_id, result) or result)
res[move_line.id]['amount_residual'] = sign * line_total_in_company_currency
return res
def default_get(self, cr, uid, fields, context=None):
data = self._default_get(cr, uid, fields, context=context)
for f in data.keys():
if f not in fields:
del data[f]
return data
def _prepare_analytic_line(self, cr, uid, obj_line, context=None):
"""
Prepare the values given at the create() of account.analytic.line upon the validation of a journal item having
an analytic account. This method is intended to be extended in other modules.
:param obj_line: browse record of the account.move.line that triggered the analytic line creation
"""
return {'name': obj_line.name,
'date': obj_line.date,
'account_id': obj_line.analytic_account_id.id,
'unit_amount': obj_line.quantity,
'product_id': obj_line.product_id and obj_line.product_id.id or False,
'product_uom_id': obj_line.product_uom_id and obj_line.product_uom_id.id or False,
'amount': (obj_line.credit or 0.0) - (obj_line.debit or 0.0),
'general_account_id': obj_line.account_id.id,
'journal_id': obj_line.journal_id.analytic_journal_id.id,
'ref': obj_line.ref,
'move_id': obj_line.id,
'user_id': uid,
}
def create_analytic_lines(self, cr, uid, ids, context=None):
acc_ana_line_obj = self.pool.get('account.analytic.line')
for obj_line in self.browse(cr, uid, ids, context=context):
if obj_line.analytic_lines:
acc_ana_line_obj.unlink(cr,uid,[obj.id for obj in obj_line.analytic_lines])
if obj_line.analytic_account_id:
if not obj_line.journal_id.analytic_journal_id:
raise osv.except_osv(_('No Analytic Journal!'),_("You have to define an analytic journal on the '%s' journal!") % (obj_line.journal_id.name, ))
vals_line = self._prepare_analytic_line(cr, uid, obj_line, context=context)
acc_ana_line_obj.create(cr, uid, vals_line)
return True
def _default_get_move_form_hook(self, cursor, user, data):
'''Called in the end of default_get method for manual entry in account_move form'''
if data.has_key('analytic_account_id'):
del(data['analytic_account_id'])
if data.has_key('account_tax_id'):
del(data['account_tax_id'])
return data
def convert_to_period(self, cr, uid, context=None):
if context is None:
context = {}
period_obj = self.pool.get('account.period')
#check if the period_id changed in the context from client side
if context.get('period_id', False):
period_id = context.get('period_id')
if type(period_id) == str:
ids = period_obj.search(cr, uid, [('name', 'ilike', period_id)])
context = dict(context, period_id=ids and ids[0] or False)
return context
def _default_get(self, cr, uid, fields, context=None):
#default_get should only do the following:
# -propose the next amount in debit/credit in order to balance the move
# -propose the next account from the journal (default debit/credit account) accordingly
context = dict(context or {})
account_obj = self.pool.get('account.account')
period_obj = self.pool.get('account.period')
journal_obj = self.pool.get('account.journal')
move_obj = self.pool.get('account.move')
tax_obj = self.pool.get('account.tax')
fiscal_pos_obj = self.pool.get('account.fiscal.position')
partner_obj = self.pool.get('res.partner')
currency_obj = self.pool.get('res.currency')
if not context.get('journal_id', False):
context['journal_id'] = context.get('search_default_journal_id', False)
if not context.get('period_id', False):
context['period_id'] = context.get('search_default_period_id', False)
context = self.convert_to_period(cr, uid, context)
# Compute simple values
data = super(account_move_line, self).default_get(cr, uid, fields, context=context)
if context.get('journal_id'):
total = 0.0
#in account.move form view, it is not possible to compute total debit and credit using
#a browse record. So we must use the context to pass the whole one2many field and compute the total
if context.get('line_id'):
for move_line_dict in move_obj.resolve_2many_commands(cr, uid, 'line_id', context.get('line_id'), context=context):
data['name'] = data.get('name') or move_line_dict.get('name')
data['partner_id'] = data.get('partner_id') or move_line_dict.get('partner_id')
total += move_line_dict.get('debit', 0.0) - move_line_dict.get('credit', 0.0)
elif context.get('period_id'):
#find the date and the ID of the last unbalanced account.move encoded by the current user in that journal and period
move_id = False
cr.execute('''SELECT move_id, date FROM account_move_line
WHERE journal_id = %s AND period_id = %s AND create_uid = %s AND state = %s
ORDER BY id DESC limit 1''', (context['journal_id'], context['period_id'], uid, 'draft'))
res = cr.fetchone()
move_id = res and res[0] or False
data['date'] = res and res[1] or period_obj.browse(cr, uid, context['period_id'], context=context).date_start
data['move_id'] = move_id
if move_id:
#if there exist some unbalanced accounting entries that match the journal and the period,
#we propose to continue the same move by copying the ref, the name, the partner...
move = move_obj.browse(cr, uid, move_id, context=context)
data.setdefault('name', move.line_id[-1].name)
for l in move.line_id:
data['partner_id'] = data.get('partner_id') or l.partner_id.id
data['ref'] = data.get('ref') or l.ref
total += (l.debit or 0.0) - (l.credit or 0.0)
#compute the total of current move
data['debit'] = total < 0 and -total or 0.0
data['credit'] = total > 0 and total or 0.0
#pick the good account on the journal accordingly if the next proposed line will be a debit or a credit
journal_data = journal_obj.browse(cr, uid, context['journal_id'], context=context)
account = total > 0 and journal_data.default_credit_account_id or journal_data.default_debit_account_id
#map the account using the fiscal position of the partner, if needed
part = data.get('partner_id') and partner_obj.browse(cr, uid, data['partner_id'], context=context) or False
if account and data.get('partner_id'):
account = fiscal_pos_obj.map_account(cr, uid, part and part.property_account_position or False, account.id)
account = account_obj.browse(cr, uid, account, context=context)
data['account_id'] = account and account.id or False
#compute the amount in secondary currency of the account, if needed
if account and account.currency_id:
data['currency_id'] = account.currency_id.id
#set the context for the multi currency change
compute_ctx = context.copy()
compute_ctx.update({
#the following 2 parameters are used to choose the currency rate, in case where the account
#doesn't work with an outgoing currency rate method 'at date' but 'average'
'res.currency.compute.account': account,
'res.currency.compute.account_invert': True,
})
if data.get('date'):
compute_ctx.update({'date': data['date']})
data['amount_currency'] = currency_obj.compute(cr, uid, account.company_id.currency_id.id, data['currency_id'], -total, context=compute_ctx)
data = self._default_get_move_form_hook(cr, uid, data)
return data
def on_create_write(self, cr, uid, id, context=None):
if not id:
return []
ml = self.browse(cr, uid, id, context=context)
return map(lambda x: x.id, ml.move_id.line_id)
def _balance(self, cr, uid, ids, name, arg, context=None):
if context is None:
context = {}
c = context.copy()
c['initital_bal'] = True
sql = """SELECT l1.id, COALESCE(SUM(l2.debit-l2.credit), 0)
FROM account_move_line l1 LEFT JOIN account_move_line l2
ON (l1.account_id = l2.account_id
AND l2.id <= l1.id
AND """ + \
self._query_get(cr, uid, obj='l2', context=c) + \
") WHERE l1.id IN %s GROUP BY l1.id"
cr.execute(sql, [tuple(ids)])
return dict(cr.fetchall())
def _invoice(self, cursor, user, ids, name, arg, context=None):
invoice_obj = self.pool.get('account.invoice')
res = {}
for line_id in ids:
res[line_id] = False
cursor.execute('SELECT l.id, i.id ' \
'FROM account_move_line l, account_invoice i ' \
'WHERE l.move_id = i.move_id ' \
'AND l.id IN %s',
(tuple(ids),))
invoice_ids = []
for line_id, invoice_id in cursor.fetchall():
res[line_id] = invoice_id
invoice_ids.append(invoice_id)
invoice_names = {}
for invoice_id, name in invoice_obj.name_get(cursor, user, invoice_ids, context=context):
invoice_names[invoice_id] = name
for line_id in res.keys():
invoice_id = res[line_id]
res[line_id] = invoice_id and (invoice_id, invoice_names[invoice_id]) or False
return res
def name_get(self, cr, uid, ids, context=None):
if not ids:
return []
result = []
for line in self.browse(cr, uid, ids, context=context):
if line.ref:
result.append((line.id, (line.move_id.name or '')+' ('+line.ref+')'))
else:
result.append((line.id, line.move_id.name))
return result
def _balance_search(self, cursor, user, obj, name, args, domain=None, context=None):
if context is None:
context = {}
if not args:
return []
where = ' AND '.join(map(lambda x: '(abs(sum(debit-credit))'+x[1]+str(x[2])+')',args))
cursor.execute('SELECT id, SUM(debit-credit) FROM account_move_line \
GROUP BY id, debit, credit having '+where)
res = cursor.fetchall()
if not res:
return [('id', '=', '0')]
return [('id', 'in', [x[0] for x in res])]
def _invoice_search(self, cursor, user, obj, name, args, context=None):
if not args:
return []
invoice_obj = self.pool.get('account.invoice')
i = 0
while i < len(args):
fargs = args[i][0].split('.', 1)
if len(fargs) > 1:
args[i] = (fargs[0], 'in', invoice_obj.search(cursor, user,
[(fargs[1], args[i][1], args[i][2])]))
i += 1
continue
if isinstance(args[i][2], basestring):
res_ids = invoice_obj.name_search(cursor, user, args[i][2], [],
args[i][1])
args[i] = (args[i][0], 'in', [x[0] for x in res_ids])
i += 1
qu1, qu2 = [], []
for x in args:
if x[1] != 'in':
if (x[2] is False) and (x[1] == '='):
qu1.append('(i.id IS NULL)')
elif (x[2] is False) and (x[1] == '<>' or x[1] == '!='):
qu1.append('(i.id IS NOT NULL)')
else:
qu1.append('(i.id %s %s)' % (x[1], '%s'))
qu2.append(x[2])
elif x[1] == 'in':
if len(x[2]) > 0:
qu1.append('(i.id IN (%s))' % (','.join(['%s'] * len(x[2]))))
qu2 += x[2]
else:
qu1.append(' (False)')
if qu1:
qu1 = ' AND' + ' AND'.join(qu1)
else:
qu1 = ''
cursor.execute('SELECT l.id ' \
'FROM account_move_line l, account_invoice i ' \
'WHERE l.move_id = i.move_id ' + qu1, qu2)
res = cursor.fetchall()
if not res:
return [('id', '=', '0')]
return [('id', 'in', [x[0] for x in res])]
def _get_move_lines(self, cr, uid, ids, context=None):
result = []
for move in self.pool.get('account.move').browse(cr, uid, ids, context=context):
for line in move.line_id:
result.append(line.id)
return result
def _get_reconcile(self, cr, uid, ids,name, unknow_none, context=None):
res = dict.fromkeys(ids, False)
for line in self.browse(cr, uid, ids, context=context):
if line.reconcile_id:
res[line.id] = str(line.reconcile_id.name)
elif line.reconcile_partial_id:
res[line.id] = str(line.reconcile_partial_id.name)
return res
def _get_move_from_reconcile(self, cr, uid, ids, context=None):
move = {}
for r in self.pool.get('account.move.reconcile').browse(cr, uid, ids, context=context):
for line in r.line_partial_ids:
move[line.move_id.id] = True
for line in r.line_id:
move[line.move_id.id] = True
move_line_ids = []
if move:
move_line_ids = self.pool.get('account.move.line').search(cr, uid, [('journal_id','in',move.keys())], context=context)
return move_line_ids
_columns = {
'name': fields.char('Name', required=True),
'quantity': fields.float('Quantity', digits=(16,2), help="The optional quantity expressed by this line, eg: number of product sold. The quantity is not a legal requirement but is very useful for some reports."),
'product_uom_id': fields.many2one('product.uom', 'Unit of Measure'),
'product_id': fields.many2one('product.product', 'Product'),
'debit': fields.float('Debit', digits_compute=dp.get_precision('Account')),
'credit': fields.float('Credit', digits_compute=dp.get_precision('Account')),
'account_id': fields.many2one('account.account', 'Account', required=True, ondelete="cascade", domain=[('type','<>','view'), ('type', '<>', 'closed')], select=2),
'move_id': fields.many2one('account.move', 'Journal Entry', ondelete="cascade", help="The move of this entry line.", select=2, required=True),
'narration': fields.related('move_id','narration', type='text', relation='account.move', string='Internal Note'),
'ref': fields.related('move_id', 'ref', string='Reference', type='char', store=True),
'statement_id': fields.many2one('account.bank.statement', 'Statement', help="The bank statement used for bank reconciliation", select=1, copy=False),
'reconcile_id': fields.many2one('account.move.reconcile', 'Reconcile', readonly=True, ondelete='set null', select=2, copy=False),
'reconcile_partial_id': fields.many2one('account.move.reconcile', 'Partial Reconcile', readonly=True, ondelete='set null', select=2, copy=False),
'reconcile_ref': fields.function(_get_reconcile, type='char', string='Reconcile Ref', oldname='reconcile', store={
'account.move.line': (lambda self, cr, uid, ids, c={}: ids, ['reconcile_id','reconcile_partial_id'], 50),'account.move.reconcile': (_get_move_from_reconcile, None, 50)}),
'amount_currency': fields.float('Amount Currency', help="The amount expressed in an optional other currency if it is a multi-currency entry.", digits_compute=dp.get_precision('Account')),
'amount_residual_currency': fields.function(_amount_residual, string='Residual Amount in Currency', multi="residual", help="The residual amount on a receivable or payable of a journal entry expressed in its currency (maybe different of the company currency)."),
'amount_residual': fields.function(_amount_residual, string='Residual Amount', multi="residual", help="The residual amount on a receivable or payable of a journal entry expressed in the company currency."),
'currency_id': fields.many2one('res.currency', 'Currency', help="The optional other currency if it is a multi-currency entry."),
'journal_id': fields.related('move_id', 'journal_id', string='Journal', type='many2one', relation='account.journal', required=True, select=True,
store = {
'account.move': (_get_move_lines, ['journal_id'], 20)
}),
'period_id': fields.related('move_id', 'period_id', string='Period', type='many2one', relation='account.period', required=True, select=True,
store = {
'account.move': (_get_move_lines, ['period_id'], 20)
}),
'blocked': fields.boolean('No Follow-up', help="You can check this box to mark this journal item as a litigation with the associated partner"),
'partner_id': fields.many2one('res.partner', 'Partner', select=1, ondelete='restrict'),
'date_maturity': fields.date('Due date', select=True ,help="This field is used for payable and receivable journal entries. You can put the limit date for the payment of this line."),
'date': fields.related('move_id','date', string='Effective date', type='date', required=True, select=True,
store = {
'account.move': (_get_move_lines, ['date'], 20)
}),
'date_created': fields.date('Creation date', select=True),
'analytic_lines': fields.one2many('account.analytic.line', 'move_id', 'Analytic lines'),
'centralisation': fields.selection([('normal','Normal'),('credit','Credit Centralisation'),('debit','Debit Centralisation'),('currency','Currency Adjustment')], 'Centralisation', size=8),
'balance': fields.function(_balance, fnct_search=_balance_search, string='Balance'),
'state': fields.selection([('draft','Unbalanced'), ('valid','Balanced')], 'Status', readonly=True, copy=False),
'tax_code_id': fields.many2one('account.tax.code', 'Tax Account', help="The Account can either be a base tax code or a tax code account."),
'tax_amount': fields.float('Tax/Base Amount', digits_compute=dp.get_precision('Account'), select=True, help="If the Tax account is a tax code account, this field will contain the taxed amount.If the tax account is base tax code, "\
"this field will contain the basic amount(without tax)."),
'invoice': fields.function(_invoice, string='Invoice',
type='many2one', relation='account.invoice', fnct_search=_invoice_search),
'account_tax_id':fields.many2one('account.tax', 'Tax', copy=False),
'analytic_account_id': fields.many2one('account.analytic.account', 'Analytic Account'),
'company_id': fields.related('account_id', 'company_id', type='many2one', relation='res.company',
string='Company', store=True, readonly=True)
}
def _get_date(self, cr, uid, context=None):
if context is None:
context or {}
period_obj = self.pool.get('account.period')
dt = time.strftime('%Y-%m-%d')
if context.get('journal_id') and context.get('period_id'):
cr.execute('SELECT date FROM account_move_line ' \
'WHERE journal_id = %s AND period_id = %s ' \
'ORDER BY id DESC limit 1',
(context['journal_id'], context['period_id']))
res = cr.fetchone()
if res:
dt = res[0]
else:
period = period_obj.browse(cr, uid, context['period_id'], context=context)
dt = period.date_start
return dt
def _get_currency(self, cr, uid, context=None):
if context is None:
context = {}
if not context.get('journal_id', False):
return False
cur = self.pool.get('account.journal').browse(cr, uid, context['journal_id']).currency
return cur and cur.id or False
def _get_period(self, cr, uid, context=None):
"""
Return default account period value
"""
context = context or {}
if context.get('period_id', False):
return context['period_id']
account_period_obj = self.pool.get('account.period')
ids = account_period_obj.find(cr, uid, context=context)
period_id = False
if ids:
period_id = ids[0]
return period_id
def _get_journal(self, cr, uid, context=None):
"""
Return journal based on the journal type
"""
context = context or {}
if context.get('journal_id', False):
return context['journal_id']
journal_id = False
journal_pool = self.pool.get('account.journal')
if context.get('journal_type', False):
jids = journal_pool.search(cr, uid, [('type','=', context.get('journal_type'))])
if not jids:
model, action_id = self.pool['ir.model.data'].get_object_reference(cr, uid, 'account', 'action_account_journal_form')
msg = _("""Cannot find any account journal of "%s" type for this company, You should create one.\n Please go to Journal Configuration""") % context.get('journal_type').replace('_', ' ').title()
raise openerp.exceptions.RedirectWarning(msg, action_id, _('Go to the configuration panel'))
journal_id = jids[0]
return journal_id
_defaults = {
'blocked': False,
'centralisation': 'normal',
'date': _get_date,
'date_created': fields.date.context_today,
'state': 'draft',
'currency_id': _get_currency,
'journal_id': _get_journal,
'credit': 0.0,
'debit': 0.0,
'amount_currency': 0.0,
'account_id': lambda self, cr, uid, c: c.get('account_id', False),
'period_id': _get_period,
'company_id': lambda self, cr, uid, c: self.pool.get('res.company')._company_default_get(cr, uid, 'account.move.line', context=c)
}
_order = "date desc, id desc"
_sql_constraints = [
('credit_debit1', 'CHECK (credit*debit=0)', 'Wrong credit or debit value in accounting entry !'),
('credit_debit2', 'CHECK (credit+debit>=0)', 'Wrong credit or debit value in accounting entry !'),
]
def _auto_init(self, cr, context=None):
res = super(account_move_line, self)._auto_init(cr, context=context)
cr.execute('SELECT indexname FROM pg_indexes WHERE indexname = \'account_move_line_journal_id_period_id_index\'')
if not cr.fetchone():
cr.execute('CREATE INDEX account_move_line_journal_id_period_id_index ON account_move_line (journal_id, period_id)')
cr.execute('SELECT indexname FROM pg_indexes WHERE indexname = %s', ('account_move_line_date_id_index',))
if not cr.fetchone():
cr.execute('CREATE INDEX account_move_line_date_id_index ON account_move_line (date DESC, id desc)')
return res
def _check_no_view(self, cr, uid, ids, context=None):
lines = self.browse(cr, uid, ids, context=context)
for l in lines:
if l.account_id.type in ('view', 'consolidation'):
return False
return True
def _check_no_closed(self, cr, uid, ids, context=None):
lines = self.browse(cr, uid, ids, context=context)
for l in lines:
if l.account_id.type == 'closed':
raise osv.except_osv(_('Error!'), _('You cannot create journal items on a closed account %s %s.') % (l.account_id.code, l.account_id.name))
return True
def _check_company_id(self, cr, uid, ids, context=None):
lines = self.browse(cr, uid, ids, context=context)
for l in lines:
if l.company_id != l.account_id.company_id or l.company_id != l.period_id.company_id:
return False
return True
def _check_date(self, cr, uid, ids, context=None):
for l in self.browse(cr, uid, ids, context=context):
if l.journal_id.allow_date:
if not time.strptime(l.date[:10],'%Y-%m-%d') >= time.strptime(l.period_id.date_start, '%Y-%m-%d') or not time.strptime(l.date[:10], '%Y-%m-%d') <= time.strptime(l.period_id.date_stop, '%Y-%m-%d'):
return False
return True
def _check_currency(self, cr, uid, ids, context=None):
for l in self.browse(cr, uid, ids, context=context):
if l.account_id.currency_id:
if not l.currency_id or not l.currency_id.id == l.account_id.currency_id.id:
return False
return True
def _check_currency_and_amount(self, cr, uid, ids, context=None):
for l in self.browse(cr, uid, ids, context=context):
if (l.amount_currency and not l.currency_id):
return False
return True
def _check_currency_amount(self, cr, uid, ids, context=None):
for l in self.browse(cr, uid, ids, context=context):
if l.amount_currency:
if (l.amount_currency > 0.0 and l.credit > 0.0) or (l.amount_currency < 0.0 and l.debit > 0.0):
return False
return True
def _check_currency_company(self, cr, uid, ids, context=None):
for l in self.browse(cr, uid, ids, context=context):
if l.currency_id.id == l.company_id.currency_id.id:
return False
return True
_constraints = [
(_check_no_view, 'You cannot create journal items on an account of type view or consolidation.', ['account_id']),
(_check_no_closed, 'You cannot create journal items on closed account.', ['account_id']),
(_check_company_id, 'Account and Period must belong to the same company.', ['company_id']),
(_check_date, 'The date of your Journal Entry is not in the defined period! You should change the date or remove this constraint from the journal.', ['date']),
(_check_currency, 'The selected account of your Journal Entry forces to provide a secondary currency. You should remove the secondary currency on the account or select a multi-currency view on the journal.', ['currency_id']),
(_check_currency_and_amount, "You cannot create journal items with a secondary currency without recording both 'currency' and 'amount currency' field.", ['currency_id','amount_currency']),
(_check_currency_amount, 'The amount expressed in the secondary currency must be positive when account is debited and negative when account is credited.', ['amount_currency']),
(_check_currency_company, "You cannot provide a secondary currency if it is the same than the company one." , ['currency_id']),
]
#TODO: ONCHANGE_ACCOUNT_ID: set account_tax_id
def onchange_currency(self, cr, uid, ids, account_id, amount, currency_id, date=False, journal=False, context=None):
if context is None:
context = {}
account_obj = self.pool.get('account.account')
journal_obj = self.pool.get('account.journal')
currency_obj = self.pool.get('res.currency')
if (not currency_id) or (not account_id):
return {}
result = {}
acc = account_obj.browse(cr, uid, account_id, context=context)
if (amount>0) and journal:
x = journal_obj.browse(cr, uid, journal).default_credit_account_id
if x: acc = x
context = dict(context)
context.update({
'date': date,
'res.currency.compute.account': acc,
})
v = currency_obj.compute(cr, uid, currency_id, acc.company_id.currency_id.id, amount, context=context)
result['value'] = {
'debit': v > 0 and v or 0.0,
'credit': v < 0 and -v or 0.0
}
return result
def onchange_partner_id(self, cr, uid, ids, move_id, partner_id, account_id=None, debit=0, credit=0, date=False, journal=False, context=None):
partner_obj = self.pool.get('res.partner')
payment_term_obj = self.pool.get('account.payment.term')
journal_obj = self.pool.get('account.journal')
fiscal_pos_obj = self.pool.get('account.fiscal.position')
val = {}
val['date_maturity'] = False
if not partner_id:
return {'value':val}
if not date:
date = datetime.now().strftime('%Y-%m-%d')
jt = False
if journal:
jt = journal_obj.browse(cr, uid, journal, context=context).type
part = partner_obj.browse(cr, uid, partner_id, context=context)
payment_term_id = False
if jt and jt in ('purchase', 'purchase_refund') and part.property_supplier_payment_term:
payment_term_id = part.property_supplier_payment_term.id
elif jt and part.property_payment_term:
payment_term_id = part.property_payment_term.id
if payment_term_id:
res = payment_term_obj.compute(cr, uid, payment_term_id, 100, date)
if res:
val['date_maturity'] = res[0][0]
if not account_id:
id1 = part.property_account_payable.id
id2 = part.property_account_receivable.id
if jt:
if jt in ('sale', 'purchase_refund'):
val['account_id'] = fiscal_pos_obj.map_account(cr, uid, part and part.property_account_position or False, id2)
elif jt in ('purchase', 'sale_refund'):
val['account_id'] = fiscal_pos_obj.map_account(cr, uid, part and part.property_account_position or False, id1)
elif jt in ('general', 'bank', 'cash'):
if part.customer:
val['account_id'] = fiscal_pos_obj.map_account(cr, uid, part and part.property_account_position or False, id2)
elif part.supplier:
val['account_id'] = fiscal_pos_obj.map_account(cr, uid, part and part.property_account_position or False, id1)
if val.get('account_id', False):
d = self.onchange_account_id(cr, uid, ids, account_id=val['account_id'], partner_id=part.id, context=context)
val.update(d['value'])
return {'value':val}
def onchange_account_id(self, cr, uid, ids, account_id=False, partner_id=False, context=None):
account_obj = self.pool.get('account.account')
partner_obj = self.pool.get('res.partner')
fiscal_pos_obj = self.pool.get('account.fiscal.position')
val = {}
if account_id:
res = account_obj.browse(cr, uid, account_id, context=context)
tax_ids = res.tax_ids
if tax_ids and partner_id:
part = partner_obj.browse(cr, uid, partner_id, context=context)
tax_id = fiscal_pos_obj.map_tax(cr, uid, part and part.property_account_position or False, tax_ids)[0]
else:
tax_id = tax_ids and tax_ids[0].id or False
val['account_tax_id'] = tax_id
return {'value': val}
#
# type: the type if reconciliation (no logic behind this field, for info)
#
# writeoff; entry generated for the difference between the lines
#
def search(self, cr, uid, args, offset=0, limit=None, order=None, context=None, count=False):
if context is None:
context = {}
if context.get('fiscalyear'):
args.append(('period_id.fiscalyear_id', '=', context.get('fiscalyear', False)))
if context and context.get('next_partner_only', False):
if not context.get('partner_id', False):
partner = self.list_partners_to_reconcile(cr, uid, context=context)
if partner:
partner = partner[0]
else:
partner = context.get('partner_id', False)
if not partner:
return []
args.append(('partner_id', '=', partner[0]))
return super(account_move_line, self).search(cr, uid, args, offset, limit, order, context, count)
def prepare_move_lines_for_reconciliation_widget(self, cr, uid, lines, target_currency=False, target_date=False, context=None):
""" Returns move lines formatted for the manual/bank reconciliation widget
:param target_currency: curreny you want the move line debit/credit converted into
:param target_date: date to use for the monetary conversion
"""
if not lines:
return []
if context is None:
context = {}
ctx = context.copy()
currency_obj = self.pool.get('res.currency')
company_currency = self.pool.get('res.users').browse(cr, uid, uid, context=context).company_id.currency_id
rml_parser = report_sxw.rml_parse(cr, uid, 'reconciliation_widget_aml', context=context)
ret = []
for line in lines:
partial_reconciliation_siblings_ids = []
if line.reconcile_partial_id:
partial_reconciliation_siblings_ids = self.search(cr, uid, [('reconcile_partial_id', '=', line.reconcile_partial_id.id)], context=context)
partial_reconciliation_siblings_ids.remove(line.id)
ret_line = {
'id': line.id,
'name': line.name != '/' and line.move_id.name + ': ' + line.name or line.move_id.name,
'ref': line.move_id.ref,
'account_code': line.account_id.code,
'account_name': line.account_id.name,
'account_type': line.account_id.type,
'date_maturity': line.date_maturity,
'date': line.date,
'period_name': line.period_id.name,
'journal_name': line.journal_id.name,
'partner_id': line.partner_id.id,
'partner_name': line.partner_id.name,
'is_partially_reconciled': bool(line.reconcile_partial_id),
'partial_reconciliation_siblings_ids': partial_reconciliation_siblings_ids,
}
# Amount residual can be negative
debit = line.debit
credit = line.credit
total_amount = abs(debit - credit)
total_amount_currency = line.amount_currency
amount_residual = line.amount_residual
amount_residual_currency = line.amount_residual_currency
if line.amount_residual < 0:
debit, credit = credit, debit
amount_residual = -amount_residual
amount_residual_currency = -amount_residual_currency
# Get right debit / credit:
line_currency = line.currency_id or company_currency
amount_currency_str = ""
total_amount_currency_str = ""
if line.currency_id and line.amount_currency:
amount_currency_str = rml_parser.formatLang(amount_residual_currency, currency_obj=line.currency_id)
total_amount_currency_str = rml_parser.formatLang(total_amount_currency, currency_obj=line.currency_id)
if target_currency and line_currency == target_currency and target_currency != company_currency:
debit = debit > 0 and amount_residual_currency or 0.0
credit = credit > 0 and amount_residual_currency or 0.0
amount_currency_str = rml_parser.formatLang(amount_residual, currency_obj=company_currency)
total_amount_currency_str = rml_parser.formatLang(total_amount, currency_obj=company_currency)
amount_str = rml_parser.formatLang(debit or credit, currency_obj=target_currency)
total_amount_str = rml_parser.formatLang(total_amount_currency, currency_obj=target_currency)
else:
debit = debit > 0 and amount_residual or 0.0
credit = credit > 0 and amount_residual or 0.0
amount_str = rml_parser.formatLang(debit or credit, currency_obj=company_currency)
total_amount_str = rml_parser.formatLang(total_amount, currency_obj=company_currency)
if target_currency and target_currency != company_currency:
amount_currency_str = rml_parser.formatLang(debit or credit, currency_obj=line_currency)
total_amount_currency_str = rml_parser.formatLang(total_amount, currency_obj=line_currency)
ctx = context.copy()
if target_date:
ctx.update({'date': target_date})
debit = currency_obj.compute(cr, uid, company_currency.id, target_currency.id, debit, context=ctx)
credit = currency_obj.compute(cr, uid, company_currency.id, target_currency.id, credit, context=ctx)
amount_str = rml_parser.formatLang(debit or credit, currency_obj=target_currency)
total_amount = currency_obj.compute(cr, uid, company_currency.id, target_currency.id, total_amount, context=ctx)
total_amount_str = rml_parser.formatLang(total_amount, currency_obj=target_currency)
ret_line['credit'] = credit
ret_line['debit'] = debit
ret_line['amount_str'] = amount_str
ret_line['amount_currency_str'] = amount_currency_str
ret_line['total_amount_str'] = total_amount_str # For partial reconciliations
ret_line['total_amount_currency_str'] = total_amount_currency_str
ret.append(ret_line)
return ret
def list_partners_to_reconcile(self, cr, uid, context=None):
cr.execute(
"""SELECT partner_id FROM (
SELECT l.partner_id, p.last_reconciliation_date, SUM(l.debit) AS debit, SUM(l.credit) AS credit, MAX(l.create_date) AS max_date
FROM account_move_line l
RIGHT JOIN account_account a ON (a.id = l.account_id)
RIGHT JOIN res_partner p ON (l.partner_id = p.id)
WHERE a.reconcile IS TRUE
AND l.reconcile_id IS NULL
AND l.state <> 'draft'
GROUP BY l.partner_id, p.last_reconciliation_date
) AS s
WHERE debit > 0 AND credit > 0 AND (last_reconciliation_date IS NULL OR max_date > last_reconciliation_date)
ORDER BY last_reconciliation_date""")
ids = [x[0] for x in cr.fetchall()]
if not ids:
return []
# To apply the ir_rules
partner_obj = self.pool.get('res.partner')
ids = partner_obj.search(cr, uid, [('id', 'in', ids)], context=context)
return partner_obj.name_get(cr, uid, ids, context=context)
def reconcile_partial(self, cr, uid, ids, type='auto', context=None, writeoff_acc_id=False, writeoff_period_id=False, writeoff_journal_id=False):
move_rec_obj = self.pool.get('account.move.reconcile')
merges = []
unmerge = []
total = 0.0
merges_rec = []
company_list = []
if context is None:
context = {}
for line in self.browse(cr, uid, ids, context=context):
if company_list and not line.company_id.id in company_list:
raise osv.except_osv(_('Warning!'), _('To reconcile the entries company should be the same for all entries.'))
company_list.append(line.company_id.id)
for line in self.browse(cr, uid, ids, context=context):
if line.account_id.currency_id:
currency_id = line.account_id.currency_id
else:
currency_id = line.company_id.currency_id
if line.reconcile_id:
raise osv.except_osv(_('Warning'), _("Journal Item '%s' (id: %s), Move '%s' is already reconciled!") % (line.name, line.id, line.move_id.name))
if line.reconcile_partial_id:
for line2 in line.reconcile_partial_id.line_partial_ids:
if line2.state != 'valid':
raise osv.except_osv(_('Warning'), _("Journal Item '%s' (id: %s) cannot be used in a reconciliation as it is not balanced!") % (line2.name, line2.id))
if not line2.reconcile_id:
if line2.id not in merges:
merges.append(line2.id)
if line2.account_id.currency_id:
total += line2.amount_currency
else:
total += (line2.debit or 0.0) - (line2.credit or 0.0)
merges_rec.append(line.reconcile_partial_id.id)
else:
unmerge.append(line.id)
if line.account_id.currency_id:
total += line.amount_currency
else:
total += (line.debit or 0.0) - (line.credit or 0.0)
if self.pool.get('res.currency').is_zero(cr, uid, currency_id, total):
res = self.reconcile(cr, uid, merges+unmerge, context=context, writeoff_acc_id=writeoff_acc_id, writeoff_period_id=writeoff_period_id, writeoff_journal_id=writeoff_journal_id)
return res
# marking the lines as reconciled does not change their validity, so there is no need
# to revalidate their moves completely.
reconcile_context = dict(context, novalidate=True)
r_id = move_rec_obj.create(cr, uid, {
'type': type,
'line_partial_ids': map(lambda x: (4,x,False), merges+unmerge)
}, context=reconcile_context)
move_rec_obj.reconcile_partial_check(cr, uid, [r_id] + merges_rec, context=reconcile_context)
return r_id
def reconcile(self, cr, uid, ids, type='auto', writeoff_acc_id=False, writeoff_period_id=False, writeoff_journal_id=False, context=None):
account_obj = self.pool.get('account.account')
move_obj = self.pool.get('account.move')
move_rec_obj = self.pool.get('account.move.reconcile')
partner_obj = self.pool.get('res.partner')
currency_obj = self.pool.get('res.currency')
lines = self.browse(cr, uid, ids, context=context)
unrec_lines = filter(lambda x: not x['reconcile_id'], lines)
credit = debit = 0.0
currency = 0.0
account_id = False
partner_id = False
if context is None:
context = {}
company_list = []
for line in self.browse(cr, uid, ids, context=context):
if company_list and not line.company_id.id in company_list:
raise osv.except_osv(_('Warning!'), _('To reconcile the entries company should be the same for all entries.'))
company_list.append(line.company_id.id)
for line in unrec_lines:
if line.state <> 'valid':
raise osv.except_osv(_('Error!'),
_('Entry "%s" is not valid !') % line.name)
credit += line['credit']
debit += line['debit']
currency += line['amount_currency'] or 0.0
account_id = line['account_id']['id']
partner_id = (line['partner_id'] and line['partner_id']['id']) or False
writeoff = debit - credit
# Ifdate_p in context => take this date
if context.has_key('date_p') and context['date_p']:
date=context['date_p']
else:
date = time.strftime('%Y-%m-%d')
cr.execute('SELECT account_id, reconcile_id '\
'FROM account_move_line '\
'WHERE id IN %s '\
'GROUP BY account_id,reconcile_id',
(tuple(ids), ))
r = cr.fetchall()
#TODO: move this check to a constraint in the account_move_reconcile object
if len(r) != 1:
raise osv.except_osv(_('Error'), _('Entries are not of the same account or already reconciled ! '))
if not unrec_lines:
raise osv.except_osv(_('Error!'), _('Entry is already reconciled.'))
account = account_obj.browse(cr, uid, account_id, context=context)
if not account.reconcile:
raise osv.except_osv(_('Error'), _('The account is not defined to be reconciled !'))
if r[0][1] != None:
raise osv.except_osv(_('Error!'), _('Some entries are already reconciled.'))
if (not currency_obj.is_zero(cr, uid, account.company_id.currency_id, writeoff)) or \
(account.currency_id and (not currency_obj.is_zero(cr, uid, account.currency_id, currency))):
if not writeoff_acc_id:
raise osv.except_osv(_('Warning!'), _('You have to provide an account for the write off/exchange difference entry.'))
if writeoff > 0:
debit = writeoff
credit = 0.0
self_credit = writeoff
self_debit = 0.0
else:
debit = 0.0
credit = -writeoff
self_credit = 0.0
self_debit = -writeoff
# If comment exist in context, take it
if 'comment' in context and context['comment']:
libelle = context['comment']
else:
libelle = _('Write-Off')
cur_obj = self.pool.get('res.currency')
cur_id = False
amount_currency_writeoff = 0.0
if context.get('company_currency_id',False) != context.get('currency_id',False):
cur_id = context.get('currency_id',False)
for line in unrec_lines:
if line.currency_id and line.currency_id.id == context.get('currency_id',False):