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Hamza
erp5-Boxiang
Commits
ed21149a
Commit
ed21149a
authored
Jul 28, 2014
by
Jérome Perrin
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Accounting: Fix bug with closing period when all accounts have 0 balance
parent
7b917688
Changes
3
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3 changed files
with
86 additions
and
2 deletions
+86
-2
bt5/erp5_accounting/SkinTemplateItem/portal_skins/erp5_accounting/AccountingPeriod_createBalanceTransaction.xml
..._accounting/AccountingPeriod_createBalanceTransaction.xml
+29
-1
bt5/erp5_accounting/bt/revision
bt5/erp5_accounting/bt/revision
+1
-1
product/ERP5/tests/testAccounting.py
product/ERP5/tests/testAccounting.py
+56
-0
No files found.
bt5/erp5_accounting/SkinTemplateItem/portal_skins/erp5_accounting/AccountingPeriod_createBalanceTransaction.xml
View file @
ed21149a
...
...
@@ -158,7 +158,17 @@ for section in section_list:\n
precision=section_currency_precision,\n
portal_type=portal.getPortalAccountingMovementTypeList(),\n
at_date=at_date.latestTime(),)\n
\n
\n
# Calculate the sum of profit and loss accounts balances for that period.\n
# This must match the difference between assets, liability and equity accounts.\n
profit_and_loss_accounts_balance = portal.portal_simulation.getInventoryAssetPrice(\n
from_date=context.getStartDate(),\n
node_category=profit_and_loss_node_category_list,\n
**inventory_param_dict)\n
selected_profit_and_loss_account_balance = portal.portal_simulation.getInventoryAssetPrice(\n
node=profit_and_loss_account,\n
**inventory_param_dict)\n
\n
section_currency_uid = context.getParentValue().getPriceCurrencyUid()\n
\n
profit_and_loss_quantity = 0\n
...
...
@@ -300,8 +310,26 @@ for section in section_list:\n
\n
if balance_transaction is None:\n
# we did not have any transaction for this section\n
\n
# One possible corner case is that we have only transactions that brings\n
# the balance of all balance sheets accounts to 0. In this case we want to\n
# create a balance transaction that notes that the current balance of profit\n
# and loss account is 0, so that the delta gets indexed. \n
if profit_and_loss_accounts_balance:\n
balance_transaction = createBalanceTransaction(section)\n
balance_transaction.newContent(\n
activate_kw=activate_kw,\n
portal_type=\'Balance Transaction Line\',\n
destination=profit_and_loss_account,\n
quantity=0)\n
balance_transaction.stop()\n
balance_transaction.deliver()\n
continue\n
\n
assert roundCurrency(profit_and_loss_accounts_balance, section_currency) == (\n
- roundCurrency(selected_profit_and_loss_account_balance, section_currency)\n
- roundCurrency(profit_and_loss_quantity, section_currency))\n
\n
# add a final line for p&l\n
balance_transaction.newContent(\n
id=\'%03d\' % (line_count + 1),\n
...
...
bt5/erp5_accounting/bt/revision
View file @
ed21149a
1571
\ No newline at end of file
1572
\ No newline at end of file
product/ERP5/tests/testAccounting.py
View file @
ed21149a
...
...
@@ -1854,6 +1854,62 @@ class TestClosingPeriod(AccountingTestCase):
balance_transaction
.
reindexObject
()
self
.
tic
()
def
test_BalanceTransactionWhenProfitAndLossBalanceIsZero
(
self
):
# The case of a balance transaction after all accounts have a 0 balance.
period1
=
self
.
section
.
newContent
(
portal_type
=
'Accounting Period'
)
period1
.
setStartDate
(
DateTime
(
2006
,
1
,
1
))
period1
.
setStopDate
(
DateTime
(
2006
,
12
,
31
))
period2
=
self
.
section
.
newContent
(
portal_type
=
'Accounting Period'
)
period2
.
setStartDate
(
DateTime
(
2007
,
1
,
1
))
period2
.
setStopDate
(
DateTime
(
2007
,
12
,
31
))
pl
=
self
.
portal
.
account_module
.
newContent
(
portal_type
=
'Account'
,
account_type
=
'equity'
)
transaction1
=
self
.
_makeOne
(
start_date
=
DateTime
(
2006
,
1
,
1
),
portal_type
=
'Sale Invoice Transaction'
,
destination_section_value
=
self
.
organisation_module
.
client_1
,
simulation_state
=
'delivered'
,
lines
=
(
dict
(
source_value
=
self
.
account_module
.
receivable
,
source_debit
=
100
),
dict
(
source_value
=
self
.
account_module
.
goods_sales
,
source_credit
=
100
)))
self
.
tic
()
period1
.
AccountingPeriod_createBalanceTransaction
(
profit_and_loss_account
=
pl
.
getRelativeUrl
())
year_1_accounting_transaction_list
=
self
.
accounting_module
.
contentValues
()
self
.
assertEqual
(
2
,
len
(
year_1_accounting_transaction_list
))
self
.
tic
()
transaction2
=
self
.
_makeOne
(
start_date
=
DateTime
(
2007
,
1
,
1
),
portal_type
=
'Sale Invoice Transaction'
,
destination_section_value
=
self
.
organisation_module
.
client_1
,
simulation_state
=
'delivered'
,
lines
=
(
dict
(
source_value
=
self
.
account_module
.
receivable
,
source_debit
=-
100
),
dict
(
source_value
=
self
.
account_module
.
goods_sales
,
source_credit
=-
100
)))
self
.
tic
()
period2
.
AccountingPeriod_createBalanceTransaction
(
profit_and_loss_account
=
pl
.
getRelativeUrl
())
accounting_transaction_list
=
self
.
accounting_module
.
contentValues
()
self
.
assertEqual
(
4
,
len
(
accounting_transaction_list
))
self
.
tic
()
balance_transaction
,
=
[
t
for
t
in
accounting_transaction_list
if
t
not
in
year_1_accounting_transaction_list
and
t
!=
transaction2
]
# Maybe we want to add line for each account in that case ?
line
,
=
balance_transaction
.
contentValues
()
self
.
assertEquals
(
line
.
getDestinationValue
(),
pl
)
self
.
assertEquals
(
line
.
getQuantity
(),
0
)
self
.
assertEquals
(
line
.
getDestinationTotalAssetPrice
(),
None
)
def
test_InventoryIndexingNodeAndMirrorSection
(
self
):
# Balance Transactions are indexed as Inventories.
transaction1
=
self
.
_makeOne
(
...
...
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