Esempio n. 1
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    def test_delivery_note_gl_entry_packing_item(self):
        self.clear_stock_account_balance()
        set_perpetual_inventory()

        self._insert_purchase_receipt()
        self._insert_purchase_receipt("_Test Item Home Desktop 100")

        dn = webnotes.bean(copy=test_records[0])
        dn.doclist[1].item_code = "_Test Sales BOM Item"
        dn.doclist[1].qty = 1

        stock_in_hand_account = webnotes.conn.get_value("Account", {"master_name": dn.doclist[1].warehouse})

        from accounts.utils import get_balance_on

        prev_bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)

        dn.insert()
        dn.submit()

        gl_entries = get_gl_entries("Delivery Note", dn.doc.name)
        self.assertTrue(gl_entries)

        expected_values = {stock_in_hand_account: [0.0, 525], "Cost of Goods Sold - _TC": [525.0, 0.0]}
        for i, gle in enumerate(gl_entries):
            self.assertEquals([gle.debit, gle.credit], expected_values.get(gle.account))

            # check stock in hand balance
        bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)
        self.assertEquals(bal, prev_bal - 525.0)

        dn.cancel()
        self.assertFalse(get_gl_entries("Delivery Note", dn.doc.name))

        set_perpetual_inventory(0)
	def test_save_journal_voucher(self):
		expense_ac_balance = get_balance_on(get_name("Test Expense"), nowdate())
		supplier_ac_balance = get_balance_on(get_name("Test Supplier"), nowdate())
		
		dl = webnotes.model.insert(data["journal_voucher"])
		dl.submit()
		dl.load_from_db()
		
		# test submitted jv
		self.assertTrue(webnotes.conn.exists("Journal Voucher", dl.doclist[0].name))
		for d in dl.doclist[1:]:
			self.assertEquals(webnotes.conn.get_value("Journal Voucher Detail",
				d.name, "parent"), dl.doclist[0].name)
		
		# test gl entry
		gle = webnotes.conn.sql("""select account, debit, credit
			from `tabGL Entry` where voucher_no = %s order by account""",
			 dl.doclist[0].name)
		
		self.assertEquals((gle[0][0], flt(gle[0][1]), flt(gle[0][2])), 
			('Test Expense - %s' % abbr, 5000.0, 0.0))
		self.assertEquals((gle[1][0], flt(gle[1][1]), flt(gle[1][2])), 
			('Test Supplier - %s' % abbr, 0.0, 5000.0))
	
		# check balance as on today
		self.assertEqual(get_balance_on(get_name("Test Expense"), nowdate()),
			expense_ac_balance + 5000)
		self.assertEqual(get_balance_on(get_name("Test Supplier"), nowdate()),
			supplier_ac_balance + 5000)
			
		# check previous balance
		self.assertEqual(get_balance_on(get_name("Test Expense"), add_days(nowdate(), -1)), 0)
Esempio n. 3
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	def test_delivery_note_gl_entry(self):
		self.clear_stock_account_balance()
		set_perpetual_inventory()
		self.assertEqual(cint(webnotes.defaults.get_global_default("auto_accounting_for_stock")), 1)
		webnotes.conn.set_value("Item", "_Test Item", "valuation_method", "FIFO")
		
		_insert_purchase_receipt()
		
		dn = webnotes.bean(copy=test_records[0])
		dn.doclist[1].expense_account = "Cost of Goods Sold - _TC"
		dn.doclist[1].cost_center = "Main - _TC"

		stock_in_hand_account = webnotes.conn.get_value("Account", 
			{"master_name": dn.doclist[1].warehouse})
		
		from accounts.utils import get_balance_on
		prev_bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)

		dn.insert()
		dn.submit()
		
		gl_entries = get_gl_entries("Delivery Note", dn.doc.name)
		self.assertTrue(gl_entries)
		expected_values = {
			stock_in_hand_account: [0.0, 375.0],
			"Cost of Goods Sold - _TC": [375.0, 0.0]
		}
		for i, gle in enumerate(gl_entries):
			self.assertEquals([gle.debit, gle.credit], expected_values.get(gle.account))
		
		# check stock in hand balance
		bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)
		self.assertEquals(bal, prev_bal - 375.0)
				
		# back dated purchase receipt
		pr = webnotes.bean(copy=pr_test_records[0])
		pr.doc.posting_date = "2013-01-01"
		pr.doclist[1].import_rate = 100
		pr.doclist[1].amount = 100
		
		pr.insert()
		pr.submit()
		
		gl_entries = get_gl_entries("Delivery Note", dn.doc.name)
		self.assertTrue(gl_entries)
		expected_values = {
			stock_in_hand_account: [0.0, 666.65],
			"Cost of Goods Sold - _TC": [666.65, 0.0]
		}
		for i, gle in enumerate(gl_entries):
			self.assertEquals([gle.debit, gle.credit], expected_values.get(gle.account))
					
		dn.cancel()
		self.assertFalse(get_gl_entries("Delivery Note", dn.doc.name))
		set_perpetual_inventory(0)
Esempio n. 4
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def get_children():
	args = webnotes.form_dict
	ctype, company = args['ctype'], args['comp']
	
	company_field = ctype=='Account' and 'company' or 'company_name'

	# root
	if args['parent'] == company:
		acc = webnotes.conn.sql(""" select 
			name as value, if(group_or_ledger='Group', 1, 0) as expandable
			from `tab%s`
			where ifnull(parent_%s,'') = ''
			and %s = %s	and docstatus<2 
			order by name""" % (ctype, ctype.lower().replace(' ','_'), company_field, '%s'),
				args['parent'], as_dict=1)
	else:	
		# other
		acc = webnotes.conn.sql("""select 
			name as value, if(group_or_ledger='Group', 1, 0) as expandable
	 		from `tab%s` 
			where ifnull(parent_%s,'') = %s
			and docstatus<2 
			order by name""" % (ctype, ctype.lower().replace(' ','_'), '%s'),
				args['parent'], as_dict=1)
				
	if ctype == 'Account':
		currency = webnotes.conn.sql("select default_currency from `tabCompany` where name = %s", company)[0][0]
		for each in acc:
			bal = get_balance_on(each.get("value"))
			each['balance'] = currency + ' ' + fmt_money(bal)
		
	return acc
Esempio n. 5
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def get_opening_accounts(company):
	"""get all balance sheet accounts for opening entry"""
	from accounts.utils import get_balance_on
	accounts = webnotes.conn.sql_list("""select name from tabAccount 
		where group_or_ledger='Ledger' and is_pl_account='No' and company=%s""", company)
	
	return [{"account": a, "balance": get_balance_on(a)} for a in accounts]
def execute(filters=None):
	if not filters: filters = {}
		
	columns = get_columns()	
	data = get_entries(filters)
	
	from accounts.utils import get_balance_on
	balance_as_per_company = get_balance_on(filters["account"], filters["report_date"])

	total_debit, total_credit = 0,0
	for d in data:
		total_debit += flt(d[4])
		total_credit += flt(d[5])

	if webnotes.conn.get_value("Account", filters["account"], "debit_or_credit") == 'Debit':
		bank_bal = flt(balance_as_per_company) - flt(total_debit) + flt(total_credit)
	else:
		bank_bal = flt(balance_as_per_company) + flt(total_debit) - flt(total_credit)
		
	data += [
		["", "", "", "Balance as per company books", balance_as_per_company, ""], 
		["", "", "", "Amounts not reflected in bank", total_debit, total_credit], 
		["", "", "", "Balance as per bank", bank_bal, ""]
	]
			
	return columns, data
Esempio n. 7
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def execute(filters=None):
    if not filters: filters = {}

    columns = get_columns()
    data = get_entries(filters)

    from accounts.utils import get_balance_on
    balance_as_per_company = get_balance_on(filters["account"],
                                            filters["report_date"])

    total_debit, total_credit = 0, 0
    for d in data:
        total_debit += flt(d[4])
        total_credit += flt(d[5])

    if webnotes.conn.get_value("Account", filters["account"],
                               "debit_or_credit") == 'Debit':
        bank_bal = flt(balance_as_per_company) - flt(total_debit) + flt(
            total_credit)
    else:
        bank_bal = flt(balance_as_per_company) + flt(total_debit) - flt(
            total_credit)

    data += [[
        "", "", "", "Balance as per company books", balance_as_per_company, ""
    ], [
        "", "", "", "Amounts not reflected in bank", total_debit, total_credit
    ], ["", "", "", "Balance as per bank", bank_bal, ""]]

    return columns, data
Esempio n. 8
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def get_children():
	args = webnotes.local.form_dict
	ctype, company = args['ctype'], args['comp']
	
	# root
	if args['parent'] in ("Accounts", "Cost Centers"):
		acc = webnotes.conn.sql(""" select 
			name as value, if(group_or_ledger='Group', 1, 0) as expandable
			from `tab%s`
			where ifnull(parent_%s,'') = ''
			and `company` = %s	and docstatus<2 
			order by name""" % (ctype, ctype.lower().replace(' ','_'), '%s'),
				company, as_dict=1)
	else:	
		# other
		acc = webnotes.conn.sql("""select 
			name as value, if(group_or_ledger='Group', 1, 0) as expandable
	 		from `tab%s` 
			where ifnull(parent_%s,'') = %s
			and docstatus<2 
			order by name""" % (ctype, ctype.lower().replace(' ','_'), '%s'),
				args['parent'], as_dict=1)
				
	if ctype == 'Account':
		currency = webnotes.conn.sql("select default_currency from `tabCompany` where name = %s", company)[0][0]
		for each in acc:
			bal = get_balance_on(each.get("value"))
			each["currency"] = currency
			each["balance"] = flt(bal)
		
	return acc
Esempio n. 9
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def get_opening_accounts(company):
	"""get all balance sheet accounts for opening entry"""
	from accounts.utils import get_balance_on
	accounts = webnotes.conn.sql_list("""select name from tabAccount 
		where group_or_ledger='Ledger' and is_pl_account='No' and company=%s""", company)
	
	return [{"account": a, "balance": get_balance_on(a)} for a in accounts]
Esempio n. 10
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def get_children():
	args = webnotes.form_dict
	ctype, company = args['ctype'], args['comp']
	
	company_field = ctype=='Account' and 'company' or 'company_name'

	# root
	if args['parent'] == company:
		acc = webnotes.conn.sql(""" select 
			name as value, if(group_or_ledger='Group', 1, 0) as expandable
			from `tab%s`
			where ifnull(parent_%s,'') = ''
			and %s = %s	and docstatus<2 
			order by name""" % (ctype, ctype.lower().replace(' ','_'), company_field, '%s'),
				args['parent'], as_dict=1)
	else:	
		# other
		acc = webnotes.conn.sql("""select 
			name as value, if(group_or_ledger='Group', 1, 0) as expandable
	 		from `tab%s` 
			where ifnull(parent_%s,'') = %s
			and docstatus<2 
			order by name""" % (ctype, ctype.lower().replace(' ','_'), '%s'),
				args['parent'], as_dict=1)
				
	if ctype == 'Account':
		currency = webnotes.conn.sql("select default_currency from `tabCompany` where name = %s", company)[0][0]
		for each in acc:
			bal = get_balance_on(each.get("value"))
			each["currency"] = currency
			each["balance"] = flt(bal)
		
	return acc
Esempio n. 11
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def get_default_bank_cash_account(company, voucher_type):
    from accounts.utils import get_balance_on
    account = webnotes.conn.get_value(
        "Company", company,
        voucher_type == "Bank Voucher" and "default_bank_account"
        or "default_cash_account")
    if account:
        return {"account": account, "balance": get_balance_on(account)}
Esempio n. 12
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def get_default_bank_cash_account(company, voucher_type):
	from accounts.utils import get_balance_on
	account = webnotes.conn.get_value("Company", company,
		voucher_type=="Bank Voucher" and "default_bank_account" or "default_cash_account")
	if account:
		return [{
			"account": account,
			"balance": get_balance_on(account)
		}]
Esempio n. 13
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    def test_delivery_note_gl_entry(self):
        webnotes.conn.sql("""delete from `tabBin`""")
        webnotes.conn.sql("delete from `tabStock Ledger Entry`")

        webnotes.defaults.set_global_default("auto_inventory_accounting", 1)
        self.assertEqual(
            cint(
                webnotes.defaults.get_global_default(
                    "auto_inventory_accounting")), 1)

        self._insert_purchase_receipt()

        dn = webnotes.bean(copy=test_records[0])
        dn.doclist[1].expense_account = "Cost of Goods Sold - _TC"
        dn.doclist[1].cost_center = "Main - _TC"

        stock_in_hand_account = webnotes.conn.get_value(
            "Company", dn.doc.company, "stock_in_hand_account")

        from accounts.utils import get_balance_on
        prev_bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)

        dn.insert()
        dn.submit()

        gl_entries = webnotes.conn.sql("""select account, debit, credit
			from `tabGL Entry` where voucher_type='Delivery Note' and voucher_no=%s
			order by account asc""",
                                       dn.doc.name,
                                       as_dict=1)
        self.assertTrue(gl_entries)

        expected_values = sorted([[stock_in_hand_account, 0.0, 375.0],
                                  ["Cost of Goods Sold - _TC", 375.0, 0.0]])
        for i, gle in enumerate(gl_entries):
            self.assertEquals(expected_values[i][0], gle.account)
            self.assertEquals(expected_values[i][1], gle.debit)
            self.assertEquals(expected_values[i][2], gle.credit)

        # check stock in hand balance
        bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)
        self.assertEquals(bal, prev_bal - 375.0)

        webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
Esempio n. 14
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    def get_period_balance(self, acc, pl):
        ret, i = [], 0
        for p in self.period_list:
            period_end_date = self.period_end_date[p].strftime('%Y-%m-%d')
            bal = get_balance_on(acc, period_end_date)
            if pl == 'Yes':
                bal = bal - sum(ret)

            ret.append(bal)
        return ret
Esempio n. 15
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    def get_period_balance(self, acc, pl):
        ret, i = [], 0
        for p in self.period_list:
            period_end_date = self.period_end_date[p].strftime("%Y-%m-%d")
            bal = get_balance_on(acc, period_end_date)
            if pl == "Yes":
                bal = bal - sum(ret)

            ret.append(bal)
        return ret
Esempio n. 16
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	def test_delivery_note_gl_entry(self):
		webnotes.conn.sql("""delete from `tabBin`""")
		webnotes.conn.sql("delete from `tabStock Ledger Entry`")
		
		webnotes.defaults.set_global_default("auto_inventory_accounting", 1)
		self.assertEqual(cint(webnotes.defaults.get_global_default("auto_inventory_accounting")), 1)
		
		self._insert_purchase_receipt()
		
		dn = webnotes.bean(copy=test_records[0])
		dn.doclist[1].expense_account = "Cost of Goods Sold - _TC"
		dn.doclist[1].cost_center = "Main - _TC"

		stock_in_hand_account = webnotes.conn.get_value("Company", dn.doc.company, 
			"stock_in_hand_account")
		
		from accounts.utils import get_balance_on
		prev_bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)

		dn.insert()
		dn.submit()
		
		
		gl_entries = webnotes.conn.sql("""select account, debit, credit
			from `tabGL Entry` where voucher_type='Delivery Note' and voucher_no=%s
			order by account asc""", dn.doc.name, as_dict=1)
		self.assertTrue(gl_entries)
		
		expected_values = sorted([
			[stock_in_hand_account, 0.0, 375.0],
			["Cost of Goods Sold - _TC", 375.0, 0.0]
		])
		for i, gle in enumerate(gl_entries):
			self.assertEquals(expected_values[i][0], gle.account)
			self.assertEquals(expected_values[i][1], gle.debit)
			self.assertEquals(expected_values[i][2], gle.credit)
		
		# check stock in hand balance
		bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)
		self.assertEquals(bal, prev_bal - 375.0)
		
		webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
Esempio n. 17
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    def test_delivery_note_gl_entry_packing_item(self):
        self.clear_stock_account_balance()
        set_perpetual_inventory()

        _insert_purchase_receipt()
        _insert_purchase_receipt("_Test Item Home Desktop 100")

        dn = webnotes.bean(copy=test_records[0])
        dn.doclist[1].item_code = "_Test Sales BOM Item"
        dn.doclist[1].qty = 1

        stock_in_hand_account = webnotes.conn.get_value(
            "Account", {"master_name": dn.doclist[1].warehouse})

        from accounts.utils import get_balance_on
        prev_bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)

        dn.insert()
        dn.submit()

        gl_entries = get_gl_entries("Delivery Note", dn.doc.name)
        self.assertTrue(gl_entries)

        expected_values = {
            stock_in_hand_account: [0.0, 525],
            "Cost of Goods Sold - _TC": [525.0, 0.0]
        }
        for i, gle in enumerate(gl_entries):
            self.assertEquals([gle.debit, gle.credit],
                              expected_values.get(gle.account))

        # check stock in hand balance
        bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)
        self.assertEquals(bal, prev_bal - 525.0)

        dn.cancel()
        self.assertFalse(get_gl_entries("Delivery Note", dn.doc.name))

        set_perpetual_inventory(0)
Esempio n. 18
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    def test_save_journal_voucher(self):
        expense_ac_balance = get_balance_on(get_name("Test Expense"),
                                            nowdate())
        supplier_ac_balance = get_balance_on(get_name("Test Supplier"),
                                             nowdate())

        dl = webnotes.model.insert(data["journal_voucher"])
        dl.submit()
        dl.load_from_db()

        # test submitted jv
        self.assertTrue(
            webnotes.conn.exists("Journal Voucher", dl.doclist[0].name))
        for d in dl.doclist[1:]:
            self.assertEquals(
                webnotes.conn.get_value("Journal Voucher Detail", d.name,
                                        "parent"), dl.doclist[0].name)

        # test gl entry
        gle = webnotes.conn.sql(
            """select account, debit, credit
			from `tabGL Entry` where voucher_no = %s order by account""",
            dl.doclist[0].name)

        self.assertEquals((gle[0][0], flt(gle[0][1]), flt(gle[0][2])),
                          ('Test Expense - %s' % abbr, 5000.0, 0.0))
        self.assertEquals((gle[1][0], flt(gle[1][1]), flt(gle[1][2])),
                          ('Test Supplier - %s' % abbr, 0.0, 5000.0))

        # check balance as on today
        self.assertEqual(get_balance_on(get_name("Test Expense"), nowdate()),
                         expense_ac_balance + 5000)
        self.assertEqual(get_balance_on(get_name("Test Supplier"), nowdate()),
                         supplier_ac_balance + 5000)

        # check previous balance
        self.assertEqual(
            get_balance_on(get_name("Test Expense"), add_days(nowdate(), -1)),
            0)
Esempio n. 19
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def make_return_jv(stock_entry):
    se = webnotes.bean("Stock Entry", stock_entry)
    if not se.doc.purpose in ["Sales Return", "Purchase Return"]:
        return

    ref = get_return_doclist_and_details(se.doc.fields)

    if ref.doclist[0].doctype == "Delivery Note":
        result = make_return_jv_from_delivery_note(se, ref)
    elif ref.doclist[0].doctype == "Sales Invoice":
        result = make_return_jv_from_sales_invoice(se, ref)
    elif ref.doclist[0].doctype == "Purchase Receipt":
        result = make_return_jv_from_purchase_receipt(se, ref)

    # create jv doclist and fetch balance for each unique row item
    jv_list = [{
        "__islocal":
        1,
        "doctype":
        "Journal Voucher",
        "posting_date":
        se.doc.posting_date,
        "voucher_type":
        se.doc.purpose == "Sales Return" and "Credit Note" or "Debit Note",
        "fiscal_year":
        se.doc.fiscal_year,
        "company":
        se.doc.company
    }]

    from accounts.utils import get_balance_on
    for r in result:
        jv_list.append({
            "__islocal":
            1,
            "doctype":
            "Journal Voucher Detail",
            "parentfield":
            "entries",
            "account":
            r.get("account"),
            "against_invoice":
            r.get("against_invoice"),
            "against_voucher":
            r.get("against_voucher"),
            "balance":
            get_balance_on(r.get("account"), se.doc.posting_date)
        })

    return jv_list
Esempio n. 20
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def get_payment_entry_from_purchase_invoice(purchase_invoice):
    from accounts.utils import get_balance_on
    pi = webnotes.bean("Purchase Invoice", purchase_invoice)
    jv = get_payment_entry(pi.doc)
    jv.doc.remark = 'Payment against Purchase Invoice %(name)s. %(remarks)s' % pi.doc.fields

    # credit supplier
    jv.doclist[1].account = pi.doc.credit_to
    jv.doclist[1].balance = get_balance_on(pi.doc.credit_to)
    jv.doclist[1].debit = pi.doc.outstanding_amount
    jv.doclist[1].against_voucher = pi.doc.name

    # credit bank
    jv.doclist[2].credit = pi.doc.outstanding_amount

    return [d.fields for d in jv.doclist]
Esempio n. 21
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def get_payment_entry_from_sales_invoice(sales_invoice):
	from accounts.utils import get_balance_on
	si = webnotes.bean("Sales Invoice", sales_invoice)
	jv = get_payment_entry(si.doc)
	jv.doc.remark = 'Payment received against Sales Invoice %(name)s. %(remarks)s' % si.doc.fields

	# credit customer
	jv.doclist[1].account = si.doc.debit_to
	jv.doclist[1].balance = get_balance_on(si.doc.debit_to)
	jv.doclist[1].credit = si.doc.outstanding_amount
	jv.doclist[1].against_invoice = si.doc.name

	# debit bank
	jv.doclist[2].debit = si.doc.outstanding_amount
	
	return [d.fields for d in jv.doclist]
Esempio n. 22
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def get_payment_entry_from_sales_invoice(sales_invoice):
    from accounts.utils import get_balance_on
    si = webnotes.bean("Sales Invoice", sales_invoice)
    jv = get_payment_entry(si.doc)
    jv.doc.remark = 'Payment received against Sales Invoice %(name)s. %(remarks)s' % si.doc.fields

    # credit customer
    jv.doclist[1].account = si.doc.debit_to
    jv.doclist[1].balance = get_balance_on(si.doc.debit_to)
    jv.doclist[1].credit = si.doc.outstanding_amount
    jv.doclist[1].against_invoice = si.doc.name

    # debit bank
    jv.doclist[2].debit = si.doc.outstanding_amount

    return [d.fields for d in jv.doclist]
Esempio n. 23
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def get_payment_entry_from_purchase_invoice(purchase_invoice):
	from accounts.utils import get_balance_on
	pi = webnotes.bean("Purchase Invoice", purchase_invoice)
	jv = get_payment_entry(pi.doc)
	jv.doc.remark = 'Payment against Purchase Invoice %(name)s. %(remarks)s' % pi.doc.fields
	
	# credit supplier
	jv.doclist[1].account = pi.doc.credit_to
	jv.doclist[1].balance = get_balance_on(pi.doc.credit_to)
	jv.doclist[1].debit = pi.doc.outstanding_amount
	jv.doclist[1].against_voucher = pi.doc.name

	# credit bank
	jv.doclist[2].credit = pi.doc.outstanding_amount
	
	return [d.fields for d in jv.doclist]
Esempio n. 24
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def make_return_jv(stock_entry):
    se = webnotes.bean("Stock Entry", stock_entry)
    if not se.doc.purpose in ["Sales Return", "Purchase Return"]:
        return

    ref = get_return_doclist_and_details(se.doc.fields)

    if ref.doclist[0].doctype == "Delivery Note":
        result = make_return_jv_from_delivery_note(se, ref)
    elif ref.doclist[0].doctype == "Sales Invoice":
        result = make_return_jv_from_sales_invoice(se, ref)
    elif ref.doclist[0].doctype == "Purchase Receipt":
        result = make_return_jv_from_purchase_receipt(se, ref)

        # create jv doclist and fetch balance for each unique row item
    jv_list = [
        {
            "__islocal": 1,
            "doctype": "Journal Voucher",
            "posting_date": se.doc.posting_date,
            "voucher_type": se.doc.purpose == "Sales Return" and "Credit Note" or "Debit Note",
            "fiscal_year": se.doc.fiscal_year,
            "company": se.doc.company,
        }
    ]

    from accounts.utils import get_balance_on

    for r in result:
        jv_list.append(
            {
                "__islocal": 1,
                "doctype": "Journal Voucher Detail",
                "parentfield": "entries",
                "account": r.get("account"),
                "against_invoice": r.get("against_invoice"),
                "against_voucher": r.get("against_voucher"),
                "balance": get_balance_on(r.get("account"), se.doc.posting_date) if r.get("account") else 0,
            }
        )

    return jv_list
Esempio n. 25
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def get_invoice_account_jv_record(doc, children, fiscal_year, obj):
    """
		Build customer/supplier account jv detail record
	"""
    # Calculate total return amount
    total_amt = sum([(flt(ch.get("rate")) * flt(ch.get("returned_qty"))) for ch in children])

    ret = {}

    if doc.get("return_type") == "Sales Return":
        account = obj.doc.debit_to
        ret["against_invoice"] = doc.get("sales_invoice_no")
        ret["credit"] = total_amt
    else:
        account = obj.doc.credit_to
        ret["against_voucher"] = doc.get("purchase_invoice_no")
        ret["debit"] = total_amt

    ret.update({"account": account, "balance": get_balance_on(account, doc.get("return_date"))})

    return ret
Esempio n. 26
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def get_item_accountwise_jv_record(doc, children, fiscal_year, obj):
	"""
		Build item accountwise jv detail records
	"""
	if doc.get('return_type')=='Sales Return':
		amt_field = 'debit'
		ac_field = 'income_account'
	else:
		amt_field = 'credit'
		ac_field = 'expense_head'
	
	inv_children = dict([[ic.fields.get('item_code'), ic] for ic in obj.doclist if ic.fields.get('item_code')])

	accwise_list = []
	
	for ch in children:
		inv_ch = inv_children.get(ch.get('item_code'))
		if not inv_ch: continue

		amount = flt(ch.get('rate')) * flt(ch.get('returned_qty'))

		accounts = [[jvd['account'], jvd['cost_center']] for jvd in accwise_list]
		
		if [inv_ch.fields.get(ac_field), inv_ch.fields.get('cost_center')] not in accounts:
			rec = {
				'account': inv_ch.fields.get(ac_field),
				'cost_center': inv_ch.fields.get('cost_center'),
				'balance': get_balance_on(inv_ch.fields.get(ac_field),
					doc.get("return_date"))
			}
			rec[amt_field] = amount
			accwise_list.append(rec)
		else:
			rec = accwise_list[accounts.index([inv_ch.fields.get(ac_field), inv_ch.fields.get('cost_center')])]
			rec[amt_field] = rec[amt_field] + amount
		
	return accwise_list
Esempio n. 27
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def get_item_accountwise_jv_record(doc, children, fiscal_year, obj):
	"""
		Build item accountwise jv detail records
	"""
	if doc.get('return_type')=='Sales Return':
		amt_field = 'debit'
		ac_field = 'income_account'
	else:
		amt_field = 'credit'
		ac_field = 'expense_head'
	
	inv_children = dict([[ic.fields.get('item_code'), ic] for ic in obj.doclist if ic.fields.get('item_code')])

	accwise_list = []
	
	for ch in children:
		inv_ch = inv_children.get(ch.get('item_code'))
		if not inv_ch: continue

		amount = flt(ch.get('rate')) * flt(ch.get('returned_qty'))

		accounts = [[jvd['account'], jvd['cost_center']] for jvd in accwise_list]
		
		if [inv_ch.fields.get(ac_field), inv_ch.fields.get('cost_center')] not in accounts:
			rec = {
				'account': inv_ch.fields.get(ac_field),
				'cost_center': inv_ch.fields.get('cost_center'),
				'balance': get_balance_on(inv_ch.fields.get(ac_field),
					doc.get("return_date"))
			}
			rec[amt_field] = amount
			accwise_list.append(rec)
		else:
			rec = accwise_list[accounts.index([inv_ch.fields.get(ac_field), inv_ch.fields.get('cost_center')])]
			rec[amt_field] = rec[amt_field] + amount
		
	return accwise_list
Esempio n. 28
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def get_item_accountwise_jv_record(doc, children, fiscal_year, obj):
    """
		Build item accountwise jv detail records
	"""
    if doc.get("return_type") == "Sales Return":
        amt_field = "debit"
        ac_field = "income_account"
    else:
        amt_field = "credit"
        ac_field = "expense_head"

    inv_children = dict([[ic.fields.get("item_code"), ic] for ic in obj.doclist if ic.fields.get("item_code")])

    accwise_list = []

    for ch in children:
        inv_ch = inv_children.get(ch.get("item_code"))
        if not inv_ch:
            continue

        amount = flt(ch.get("rate")) * flt(ch.get("returned_qty"))

        accounts = [[jvd["account"], jvd["cost_center"]] for jvd in accwise_list]

        if [inv_ch.fields.get(ac_field), inv_ch.fields.get("cost_center")] not in accounts:
            rec = {
                "account": inv_ch.fields.get(ac_field),
                "cost_center": inv_ch.fields.get("cost_center"),
                "balance": get_balance_on(inv_ch.fields.get(ac_field), doc.get("return_date")),
            }
            rec[amt_field] = amount
            accwise_list.append(rec)
        else:
            rec = accwise_list[accounts.index([inv_ch.fields.get(ac_field), inv_ch.fields.get("cost_center")])]
            rec[amt_field] = rec[amt_field] + amount

    return accwise_list
Esempio n. 29
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def get_invoice_account_jv_record(doc, children, fiscal_year, obj):
	"""
		Build customer/supplier account jv detail record
	"""
	# Calculate total return amount
	total_amt = sum([(flt(ch.get('rate')) * flt(ch.get('returned_qty'))) for ch in children])

	ret = {}

	if doc.get('return_type')=='Sales Return':
		account = obj.doc.debit_to
		ret['against_invoice'] = doc.get('sales_invoice_no')
		ret['credit'] = total_amt
	else:
		account = obj.doc.credit_to
		ret['against_voucher'] = doc.get('purchase_invoice_no')
		ret['debit'] = total_amt
	
	ret.update({
		'account': account,
		'balance': get_balance_on(account, doc.get("return_date"))
	})

	return ret
Esempio n. 30
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def get_invoice_account_jv_record(doc, children, fiscal_year, obj):
	"""
		Build customer/supplier account jv detail record
	"""
	# Calculate total return amount
	total_amt = sum([(flt(ch.get('rate')) * flt(ch.get('returned_qty'))) for ch in children])

	ret = {}

	if doc.get('return_type')=='Sales Return':
		account = obj.doc.debit_to
		ret['against_invoice'] = doc.get('sales_invoice_no')
		ret['credit'] = total_amt
	else:
		account = obj.doc.credit_to
		ret['against_voucher'] = doc.get('purchase_invoice_no')
		ret['debit'] = total_amt
	
	ret.update({
		'account': account,
		'balance': get_balance_on(account, doc.get("return_date"))
	})

	return ret
Esempio n. 31
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    % query_where_clause)

for t in tot:
    total_debit += t and flt(t[0]) or 0
    total_credit += t and flt(t[1]) or 0

total_diff = total_debit - total_credit

# opening
account = filter_values.get('account')
if account:
    acc_det = sql(
        "select debit_or_credit, is_pl_account, lft, rgt, group_or_ledger from tabAccount where name = '%s'"
        % account)
    from accounts.utils import get_balance_on
    opening_bal = get_balance_on(account, add_days(from_date, -1))

    if acc_det[0][0] == 'Credit':
        opening_bal = -1 * opening_bal

out = []
count = 0
for r in res:
    count += 1
    det = r[1].split('~~~')
    if from_export == 1:
        a = "Account: " + det[0] + NEWLINE + det[
            1] + NEWLINE + "Against: " + det[
                2] + NEWLINE + "Voucher No: " + det[4]
    else:
        a = "Account: <b>" + det[0] + "</b>" + NEWLINE + "<div class='comment'>" + det[
Esempio n. 32
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def get_opening_balance_row(filters):
	opening_balance = get_balance_on(filters["account"], add_days(filters["from_date"], -1))
	return ["", "Opening Balance", opening_balance, 0.0, "", "", ""]
Esempio n. 33
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def get_closing_balance_row(filters):
	closing_balance = get_balance_on(filters["account"], filters["to_date"])
	return ["", "Closing Balance", closing_balance, 0.0, "", "", ""]
Esempio n. 34
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    raise Exception
else:
    acc_name = filter_values.get('account')

if len(res) > 300 and from_export == 0:
    msgprint(
        "This is a very large report and cannot be shown in the browser as it is likely to make your browser very slow.Please select Account or click on 'Export' to open in excel"
    )
    raise Exception

acc = sql(
    "select debit_or_credit, is_pl_account, lft, rgt from tabAccount where name = '%s'"
    % acc_name)

from accounts.utils import get_balance_on
opening = get_balance_on(acc_name, to_date)

total_debit, total_credit = 0, 0
out = []

for r in res:
    total_debit = flt(total_debit) + flt(r[col_idx['Debit']])
    total_credit = flt(total_credit) + flt(r[col_idx['Credit']])
    out.append(r)

if acc and acc[0][0] == 'Debit':
    bank_bal = flt(opening) - flt(total_debit) + flt(total_credit)
else:
    bank_bal = flt(opening) + flt(total_debit) - flt(total_credit)

out.append([
Esempio n. 35
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	query_where_clause = q[0]

tot = sql('select sum(`tabGL Entry`.debit),sum(`tabGL Entry`.credit) from `tabGL Entry`, tabAccount where %s' % query_where_clause)

for t in tot:
	total_debit += t and flt(t[0]) or 0
	total_credit += t and flt(t[1]) or 0

total_diff = total_debit - total_credit

# opening
account = filter_values.get('account')
if account:
	acc_det = sql("select debit_or_credit, is_pl_account, lft, rgt, group_or_ledger from tabAccount where name = '%s'" % account)
	from accounts.utils import get_balance_on
	opening_bal = get_balance_on(account, add_days(from_date, -1))
	
	if acc_det[0][0] == 'Credit':
		opening_bal =	-1*opening_bal
	

out = []
count = 0
for r in res:
	count +=1
	det = r[1].split('~~~')
	if from_export == 1:
		a = "Account: " + det[0] + NEWLINE + det[1] + NEWLINE + "Against: " + det[2] + NEWLINE + "Voucher No: " + det[4]
	else:
		a = "Account: <b>" + det[0]+ "</b>" + NEWLINE + "<div class='comment'>" +det[1]+ "</div><div class = 'comment' style='padding-left:12px'>Against: <b>" + det[2] + "</b></div><div class = 'comment' style='padding-left:12px'>Voucher No: <span class='link_type' onclick='loaddoc(" + '"' + det[3] +'", ' + '"' + det[4] +'"' + ")'>" + det[4] + "</span></div>"
	r[1] = a
Esempio n. 36
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def get_opening_balance_row(filters, debit_or_credit):
	opening_balance = get_balance_on(filters["account"], add_days(filters["from_date"], -1))
	return get_balance_row(opening_balance, debit_or_credit, "Opening Balance")
# Account
if not filter_values.get('account'):
	msgprint('Please select Account in filter section')
	raise Exception
else:
	acc_name = filter_values.get('account')


if len(res) > 300 and from_export == 0:
	msgprint("This is a very large report and cannot be shown in the browser as it is likely to make your browser very slow.Please select Account or click on 'Export' to open in excel")
	raise Exception

acc = sql("select debit_or_credit, is_pl_account, lft, rgt from tabAccount where name = '%s'" % acc_name)

from accounts.utils import get_balance_on
opening = get_balance_on(acc_name, to_date)

total_debit, total_credit = 0,0
out = []

for r in res:
	total_debit = flt(total_debit) + flt(r[col_idx['Debit']])
	total_credit = flt(total_credit) + flt(r[col_idx['Credit']])
	out.append(r)

if acc and acc[0][0] == 'Debit':
	bank_bal = flt(opening)-flt(total_debit)+flt(total_credit)
else:
	bank_bal = flt(opening)+flt(total_debit)-flt(total_credit)

out.append(['','','','<font color = "#000"><b>Balance as per Company Books: </b></font>', opening,'', ''])
Esempio n. 38
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def get_closing_balance_row(filters, debit_or_credit):
	closing_balance = get_balance_on(filters["account"], filters["to_date"])
	return get_balance_row(closing_balance, debit_or_credit, "Closing Balance")
Esempio n. 39
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    def test_delivery_note_gl_entry(self):
        self.clear_stock_account_balance()
        set_perpetual_inventory()
        self.assertEqual(
            cint(
                webnotes.defaults.get_global_default(
                    "auto_accounting_for_stock")), 1)
        webnotes.conn.set_value("Item", "_Test Item", "valuation_method",
                                "FIFO")

        _insert_purchase_receipt()

        dn = webnotes.bean(copy=test_records[0])
        dn.doclist[1].expense_account = "Cost of Goods Sold - _TC"
        dn.doclist[1].cost_center = "Main - _TC"

        stock_in_hand_account = webnotes.conn.get_value(
            "Account", {"master_name": dn.doclist[1].warehouse})

        from accounts.utils import get_balance_on
        prev_bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)

        dn.insert()
        dn.submit()

        gl_entries = get_gl_entries("Delivery Note", dn.doc.name)
        self.assertTrue(gl_entries)
        expected_values = {
            stock_in_hand_account: [0.0, 375.0],
            "Cost of Goods Sold - _TC": [375.0, 0.0]
        }
        for i, gle in enumerate(gl_entries):
            self.assertEquals([gle.debit, gle.credit],
                              expected_values.get(gle.account))

        # check stock in hand balance
        bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)
        self.assertEquals(bal, prev_bal - 375.0)

        # back dated purchase receipt
        pr = webnotes.bean(copy=pr_test_records[0])
        pr.doc.posting_date = "2013-01-01"
        pr.doclist[1].import_rate = 100
        pr.doclist[1].amount = 100

        pr.insert()
        pr.submit()

        gl_entries = get_gl_entries("Delivery Note", dn.doc.name)
        self.assertTrue(gl_entries)
        expected_values = {
            stock_in_hand_account: [0.0, 666.65],
            "Cost of Goods Sold - _TC": [666.65, 0.0]
        }
        for i, gle in enumerate(gl_entries):
            self.assertEquals([gle.debit, gle.credit],
                              expected_values.get(gle.account))

        dn.cancel()
        self.assertFalse(get_gl_entries("Delivery Note", dn.doc.name))
        set_perpetual_inventory(0)