def _update_reserved_quantity(self, product_id, location_id, quantity, lot_id=None, package_id=None, owner_id=None, strict=False): """ Increase the reserved quantity, i.e. increase `reserved_quantity` for the set of quants sharing the combination of `product_id, location_id` if `strict` is set to False or sharing the *exact same characteristics* otherwise. Typically, this method is called when reserving a move or updating a reserved move line. When reserving a chained move, the strict flag should be enabled (to reserve exactly what was brought). When the move is MTS,it could take anything from the stock, so we disable the flag. When editing a move line, we naturally enable the flag, to reflect the reservation according to the edition. :return: a list of tuples (quant, quantity_reserved) showing on which quant the reservation was done and how much the system was able to reserve on it """ self = self.sudo() rounding = product_id.uom_id.rounding quants = self._gather(product_id, location_id, lot_id=lot_id, package_id=package_id, owner_id=owner_id, strict=strict) reserved_quants = [] if float_compare(quantity, 0, precision_rounding=rounding) > 0: # if we want to reserve available_quantity = self._get_available_quantity(product_id, location_id, lot_id=lot_id, package_id=package_id, owner_id=owner_id, strict=strict) if float_compare(quantity, available_quantity, precision_rounding=rounding) > 0: raise UserError(_('It is not possible to reserve more products of %s than you have in stock.') % product_id.display_name) elif float_compare(quantity, 0, precision_rounding=rounding) < 0: # if we want to unreserve available_quantity = sum(quants.mapped('reserved_quantity')) if float_compare(abs(quantity), available_quantity, precision_rounding=rounding) > 0: raise UserError(_('It is not possible to unreserve more products of %s than you have in stock.') % product_id.display_name) else: return reserved_quants for quant in quants: if float_compare(quantity, 0, precision_rounding=rounding) > 0: max_quantity_on_quant = quant.quantity - quant.reserved_quantity if float_compare(max_quantity_on_quant, 0, precision_rounding=rounding) <= 0: continue max_quantity_on_quant = min(max_quantity_on_quant, quantity) quant.reserved_quantity += max_quantity_on_quant reserved_quants.append((quant, max_quantity_on_quant)) quantity -= max_quantity_on_quant available_quantity -= max_quantity_on_quant else: max_quantity_on_quant = min(quant.reserved_quantity, abs(quantity)) quant.reserved_quantity -= max_quantity_on_quant reserved_quants.append((quant, -max_quantity_on_quant)) quantity += max_quantity_on_quant available_quantity += max_quantity_on_quant if float_is_zero(quantity, precision_rounding=rounding) or float_is_zero(available_quantity, precision_rounding=rounding): break return reserved_quants
def _auto_balance_opening_move(self): """ Checks the opening_move of this company. If it has not been posted yet and is unbalanced, balances it with a automatic account.move.line in the current year earnings account. """ if self.account_opening_move_id and self.account_opening_move_id.state == 'draft': debit_diff, credit_diff = self.get_opening_move_differences(self.account_opening_move_id.line_ids) currency = self.currency_id balancing_move_line = self.account_opening_move_id.line_ids.filtered(lambda x: x.account_id == self.get_unaffected_earnings_account()) if float_is_zero(debit_diff + credit_diff, precision_rounding=currency.rounding): if balancing_move_line: # zero difference and existing line : delete the line balancing_move_line.unlink() else: if balancing_move_line: # Non-zero difference and existing line : edit the line balancing_move_line.write({'debit': credit_diff, 'credit': debit_diff}) else: # Non-zero difference and no existing line : create a new line balancing_account = self.get_unaffected_earnings_account() self.env['account.move.line'].create({ 'name': _('Automatic Balancing Line'), 'move_id': self.account_opening_move_id.id, 'account_id': balancing_account.id, 'debit': credit_diff, 'credit': debit_diff, })
def _update_available_quantity(self, product_id, location_id, quantity, lot_id=None, package_id=None, owner_id=None, in_date=None): """ Increase or decrease `reserved_quantity` of a set of quants for a given set of product_id/location_id/lot_id/package_id/owner_id. :param product_id: :param location_id: :param quantity: :param lot_id: :param package_id: :param owner_id: :param datetime in_date: Should only be passed when calls to this method are done in order to move a quant. When creating a tracked quant, the current datetime will be used. :return: tuple (available_quantity, in_date as a datetime) """ self = self.sudo() quants = self._gather(product_id, location_id, lot_id=lot_id, package_id=package_id, owner_id=owner_id, strict=True) rounding = product_id.uom_id.rounding if lot_id: incoming_dates = quants.mapped('in_date') # `mapped` already filtered out falsy items incoming_dates = [fields.Datetime.from_string(incoming_date) for incoming_date in incoming_dates] if in_date: incoming_dates += [in_date] # If multiple incoming dates are available for a given lot_id/package_id/owner_id, we # consider only the oldest one as being relevant. if incoming_dates: in_date = fields.Datetime.to_string(min(incoming_dates)) else: in_date = fields.Datetime.now() for quant in quants: try: with self._cr.savepoint(): self._cr.execute("SELECT 1 FROM stock_quant WHERE id = %s FOR UPDATE NOWAIT", [quant.id], log_exceptions=False) quant.write({ 'quantity': quant.quantity + quantity, 'in_date': in_date, }) # cleanup empty quants if float_is_zero(quant.quantity, precision_rounding=rounding) and float_is_zero(quant.reserved_quantity, precision_rounding=rounding): quant.unlink() break except OperationalError as e: if e.pgcode == '55P03': # could not obtain the lock continue else: raise else: self.create({ 'product_id': product_id.id, 'location_id': location_id.id, 'quantity': quantity, 'lot_id': lot_id and lot_id.id, 'package_id': package_id and package_id.id, 'owner_id': owner_id and owner_id.id, 'in_date': in_date, }) return self._get_available_quantity(product_id, location_id, lot_id=lot_id, package_id=package_id, owner_id=owner_id, strict=False, allow_negative=True), fields.Datetime.from_string(in_date)
def _free_reservation(self, product_id, location_id, quantity, lot_id=None, package_id=None, owner_id=None, ml_to_ignore=None): """ When editing a done move line or validating one with some forced quantities, it is possible to impact quants that were not reserved. It is therefore necessary to edit or unlink the move lines that reserved a quantity now unavailable. :param ml_to_ignore: recordset of `stock.move.line` that should NOT be unreserved """ self.ensure_one() if ml_to_ignore is None: ml_to_ignore = self.env['stock.move.line'] ml_to_ignore |= self # Check the available quantity, with the `strict` kw set to `True`. If the available # quantity is greather than the quantity now unavailable, there is nothing to do. available_quantity = self.env['stock.quant']._get_available_quantity( product_id, location_id, lot_id=lot_id, package_id=package_id, owner_id=owner_id, strict=True ) if quantity > available_quantity: # We now have to find the move lines that reserved our now unavailable quantity. We # take care to exclude ourselves and the move lines were work had already been done. oudated_move_lines_domain = [ ('move_id.state', 'not in', ['done', 'cancel']), ('product_id', '=', product_id.id), ('lot_id', '=', lot_id.id if lot_id else False), ('location_id', '=', location_id.id), ('owner_id', '=', owner_id.id if owner_id else False), ('package_id', '=', package_id.id if package_id else False), ('product_qty', '>', 0.0), ('id', 'not in', ml_to_ignore.ids), ] oudated_candidates = self.env['stock.move.line'].search(oudated_move_lines_domain) # As the move's state is not computed over the move lines, we'll have to manually # recompute the moves which we adapted their lines. move_to_recompute_state = self.env['stock.move'] rounding = self.product_uom_id.rounding for candidate in oudated_candidates: if float_compare(candidate.product_qty, quantity, precision_rounding=rounding) <= 0: quantity -= candidate.product_qty move_to_recompute_state |= candidate.move_id if candidate.qty_done: candidate.product_uom_qty = 0.0 else: candidate.unlink() if float_is_zero(quantity, precision_rounding=rounding): break else: # split this move line and assign the new part to our extra move quantity_split = float_round( candidate.product_qty - quantity, precision_rounding=self.product_uom_id.rounding, rounding_method='UP') candidate.product_uom_qty = self.product_id.uom_id._compute_quantity(quantity_split, candidate.product_uom_id, rounding_method='HALF-UP') move_to_recompute_state |= candidate.move_id break move_to_recompute_state._recompute_state()
def check_reserved_done_quantity(self): for move_line in self: if move_line.state == 'done' and not float_is_zero(move_line.product_uom_qty, precision_digits=self.env['decimal.precision'].precision_get('Product Unit of Measure')): raise ValidationError(_('A done move line should never have a reserved quantity.'))
def unlink(self): precision = self.env['decimal.precision'].precision_get('Product Unit of Measure') for ml in self: if ml.state in ('done', 'cancel'): raise UserError(_('You can not delete product moves if the picking is done. You can only correct the done quantities.')) # Unlinking a move line should unreserve. if ml.product_id.type == 'product' and not ml.location_id.should_bypass_reservation() and not float_is_zero(ml.product_qty, precision_digits=precision): try: self.env['stock.quant']._update_reserved_quantity(ml.product_id, ml.location_id, -ml.product_qty, lot_id=ml.lot_id, package_id=ml.package_id, owner_id=ml.owner_id, strict=True) except UserError: if ml.lot_id: self.env['stock.quant']._update_reserved_quantity(ml.product_id, ml.location_id, -ml.product_qty, lot_id=False, package_id=ml.package_id, owner_id=ml.owner_id, strict=True) else: raise moves = self.mapped('move_id') res = super(StockMoveLine, self).unlink() if moves: moves._recompute_state() return res
def action_create_invoice(self): """Create the invoice associated to the PO. """ precision = self.env['decimal.precision'].precision_get('Product Unit of Measure') # 1) Prepare invoice vals and clean-up the section lines invoice_vals_list = [] for order in self: if order.invoice_status != 'to invoice': continue pending_section = None # Invoice values. invoice_vals = order._prepare_invoice() # Invoice line values (keep only necessary sections). for line in order.order_line: if line.display_type == 'line_section': pending_section = line continue if not float_is_zero(line.qty_to_invoice, precision_digits=precision): if pending_section: invoice_vals['invoice_line_ids'].append((0, 0, pending_section._prepare_account_move_line())) pending_section = None invoice_vals['invoice_line_ids'].append((0, 0, line._prepare_account_move_line())) invoice_vals_list.append(invoice_vals) if not invoice_vals_list: raise UserError(_('There is no invoiceable line. If a product has a control policy based on received quantity, please make sure that a quantity has been received.')) # 2) group by (company_id, partner_id, currency_id) for batch creation new_invoice_vals_list = [] for grouping_keys, invoices in groupby(invoice_vals_list, key=lambda x: (x.get('company_id'), x.get('partner_id'), x.get('currency_id'))): origins = set() payment_refs = set() refs = set() ref_invoice_vals = None for invoice_vals in invoices: if not ref_invoice_vals: ref_invoice_vals = invoice_vals else: ref_invoice_vals['invoice_line_ids'] += invoice_vals['invoice_line_ids'] origins.add(invoice_vals['invoice_origin']) payment_refs.add(invoice_vals['invoice_payment_ref']) refs.add(invoice_vals['ref']) ref_invoice_vals.update({ 'ref': ', '.join(refs)[:2000], 'invoice_origin': ', '.join(origins), 'invoice_payment_ref': len(payment_refs) == 1 and payment_refs.pop() or False, }) new_invoice_vals_list.append(ref_invoice_vals) invoice_vals_list = new_invoice_vals_list # 3) Create invoices. moves = self.env['account.move'] AccountMove = self.env['account.move'].with_context(default_move_type='in_invoice') for vals in invoice_vals_list: moves |= AccountMove.with_company(vals['company_id']).create(vals) # 4) Some moves might actually be refunds: convert them if the total amount is negative # We do this after the moves have been created since we need taxes, etc. to know if the total # is actually negative or not moves.filtered(lambda m: m.currency_id.round(m.amount_total) < 0).action_switch_invoice_into_refund_credit_note() return self.action_view_invoice(moves)
def unlink(self): precision = self.env['decimal.precision'].precision_get('Product Unit of Measure') for ml in self: if ml.state in ('done', 'cancel'): raise UserError(_('You can not delete product moves if the picking is done. You can only correct the done quantities.')) # Unlinking a move line should unreserve. if ml.product_id.type == 'product' and not ml.location_id.should_bypass_reservation() and not float_is_zero(ml.product_qty, precision_digits=precision): try: self.env['stock.quant']._update_reserved_quantity(ml.product_id, ml.location_id, -ml.product_qty, lot_id=ml.lot_id, package_id=ml.package_id, owner_id=ml.owner_id, strict=True) except UserError: if ml.lot_id: self.env['stock.quant']._update_reserved_quantity(ml.product_id, ml.location_id, -ml.product_qty, lot_id=False, package_id=ml.package_id, owner_id=ml.owner_id, strict=True) else: raise moves = self.mapped('move_id') res = super(StockMoveLine, self).unlink() if moves: moves._recompute_state() return res
def _stock_account_prepare_anglo_saxon_in_lines_vals(self): ''' Prepare values used to create the journal items (account.move.line) corresponding to the price difference lines for vendor bills. Example: Buy a product having a cost of 9 and a supplier price of 10 and being a storable product and having a perpetual valuation in FIFO. The vendor bill's journal entries looks like: Account | Debit | Credit --------------------------------------------------------------- 101120 Stock Interim Account (Received) | 10.0 | --------------------------------------------------------------- 101100 Account Payable | | 10.0 --------------------------------------------------------------- This method computes values used to make two additional journal items: --------------------------------------------------------------- 101120 Stock Interim Account (Received) | | 1.0 --------------------------------------------------------------- xxxxxx Price Difference Account | 1.0 | --------------------------------------------------------------- :return: A list of Python dictionary to be passed to env['account.move.line'].create. ''' lines_vals_list = [] for move in self: if move.type not in ('in_invoice', 'in_refund', 'in_receipt') or not move.company_id.anglo_saxon_accounting: continue for line in move.invoice_line_ids.filtered(lambda line: line.product_id.type == 'product' and line.product_id.valuation == 'real_time'): # Filter out lines being not eligible for price difference. if line.product_id.type != 'product' or line.product_id.valuation != 'real_time': continue # Retrieve accounts needed to generate the price difference. debit_pdiff_account = line.product_id.property_account_creditor_price_difference \ or line.product_id.categ_id.property_account_creditor_price_difference_categ debit_pdiff_account = move.fiscal_position_id.map_account(debit_pdiff_account) if line.product_id.cost_method != 'standard' and line.purchase_line_id: po_currency = line.purchase_line_id.currency_id po_company = line.purchase_line_id.company_id # Retrieve stock valuation moves. valuation_stock_moves = self.env['stock.move'].search([ ('purchase_line_id', '=', line.purchase_line_id.id), ('state', '=', 'done'), ('product_qty', '!=', 0.0), ]) if move.type == 'in_refund': valuation_stock_moves = valuation_stock_moves.filtered(lambda stock_move: stock_move._is_out()) else: valuation_stock_moves = valuation_stock_moves.filtered(lambda stock_move: stock_move._is_in()) if valuation_stock_moves: valuation_price_unit_total = 0 valuation_total_qty = 0 for val_stock_move in valuation_stock_moves: # In case val_stock_move is a return move, its valuation entries have been made with the # currency rate corresponding to the original stock move valuation_date = val_stock_move.origin_returned_move_id.date or val_stock_move.date svl = val_stock_move.mapped('stock_valuation_layer_ids').filtered(lambda l: l.quantity) layers_qty = sum(svl.mapped('quantity')) layers_values = sum(svl.mapped('value')) valuation_price_unit_total += line.company_currency_id._convert( layers_values, move.currency_id, move.company_id, valuation_date, round=False, ) valuation_total_qty += layers_qty if float_is_zero(valuation_total_qty, precision_rounding=line.product_uom_id.rounding or line.product_id.uom_id.rounding): raise UserError(_('Odoo is not able to generate the anglo saxon entries. The total valuation of %s is zero.') % _(line.product_id.display_name)) valuation_price_unit = valuation_price_unit_total / valuation_total_qty valuation_price_unit = line.product_id.uom_id._compute_price(valuation_price_unit, line.product_uom_id) elif line.product_id.cost_method == 'fifo': # In this condition, we have a real price-valuated product which has not yet been received valuation_price_unit = po_currency._convert( line.purchase_line_id.price_unit, move.currency_id, po_company, move.date, round=False, ) else: # For average/fifo/lifo costing method, fetch real cost price from incoming moves. price_unit = line.purchase_line_id.product_uom._compute_price(line.purchase_line_id.price_unit, line.product_uom_id) valuation_price_unit = po_currency._convert( price_unit, move.currency_id, po_company, move.date, round=False ) else: # Valuation_price unit is always expressed in invoice currency, so that it can always be computed with the good rate price_unit = line.product_id.uom_id._compute_price(line.product_id.standard_price, line.product_uom_id) valuation_price_unit = line.company_currency_id._convert( price_unit, move.currency_id, move.company_id, fields.Date.today(), round=False ) invoice_cur_prec = move.currency_id.decimal_places price_unit = line.price_unit * (1 - (line.discount or 0.0) / 100.0) if line.tax_ids: price_unit = line.tax_ids.compute_all( price_unit, currency=move.currency_id, quantity=1.0, is_refund=move.type == 'in_refund')['total_excluded'] if float_compare(valuation_price_unit, price_unit, precision_digits=invoice_cur_prec) != 0 \ and float_compare(line['price_unit'], line.price_unit, precision_digits=invoice_cur_prec) == 0: price_unit_val_dif = price_unit - valuation_price_unit if move.currency_id.compare_amounts(price_unit, valuation_price_unit) != 0 and debit_pdiff_account: # Add price difference account line. vals = { 'name': line.name[:64], 'move_id': move.id, 'currency_id': line.currency_id.id, 'product_id': line.product_id.id, 'product_uom_id': line.product_uom_id.id, 'quantity': line.quantity, 'price_unit': price_unit_val_dif, 'price_subtotal': line.quantity * price_unit_val_dif, 'account_id': debit_pdiff_account.id, 'analytic_account_id': line.analytic_account_id.id, 'analytic_tag_ids': [(6, 0, line.analytic_tag_ids.ids)], 'exclude_from_invoice_tab': True, 'is_anglo_saxon_line': True, } vals.update(line._get_fields_onchange_subtotal(price_subtotal=vals['price_subtotal'])) lines_vals_list.append(vals) # Correct the amount of the current line. vals = { 'name': line.name[:64], 'move_id': move.id, 'currency_id': line.currency_id.id, 'product_id': line.product_id.id, 'product_uom_id': line.product_uom_id.id, 'quantity': line.quantity, 'price_unit': -price_unit_val_dif, 'price_subtotal': line.quantity * -price_unit_val_dif, 'account_id': line.account_id.id, 'analytic_account_id': line.analytic_account_id.id, 'analytic_tag_ids': [(6, 0, line.analytic_tag_ids.ids)], 'exclude_from_invoice_tab': True, 'is_anglo_saxon_line': True, } vals.update(line._get_fields_onchange_subtotal(price_subtotal=vals['price_subtotal'])) lines_vals_list.append(vals) return lines_vals_list
def _action_assign(self): """ Reserve stock moves by creating their stock move lines. A stock move is considered reserved once the sum of `product_qty` for all its move lines is equal to its `product_qty`. If it is less, the stock move is considered partially available. """ assigned_moves = self.env['stock.move'] partially_available_moves = self.env['stock.move'] for move in self.filtered(lambda m: m.state in ['confirmed', 'waiting', 'partially_available']): missing_reserved_uom_quantity = move.product_uom_qty - move.reserved_availability missing_reserved_quantity = move.product_uom._compute_quantity(missing_reserved_uom_quantity, move.product_id.uom_id, rounding_method='HALF-UP') if move.location_id.should_bypass_reservation()\ or move.product_id.type == 'consu': # create the move line(s) but do not impact quants if move.product_id.tracking == 'serial' and (move.picking_type_id.use_create_lots or move.picking_type_id.use_existing_lots): for i in range(0, int(missing_reserved_quantity)): self.env['stock.move.line'].create(move._prepare_move_line_vals(quantity=1)) else: to_update = move.move_line_ids.filtered(lambda ml: ml.product_uom_id == move.product_uom and ml.location_id == move.location_id and ml.location_dest_id == move.location_dest_id and ml.picking_id == move.picking_id and not ml.lot_id and not ml.package_id and not ml.owner_id) if to_update: to_update[0].product_uom_qty += missing_reserved_uom_quantity else: # 'not' is removed at line 205 as 'not' is not working on odoo.sh so, for test purpose. # if not move.picking_id.picking_type_id.show_reserved: # self.env['stock.move.line'].create(move._prepare_move_line_vals(quantity=missing_reserved_quantity)) pass assigned_moves |= move else: if not move.move_orig_ids: if move.procure_method == 'make_to_order': continue # If we don't need any quantity, consider the move assigned. need = missing_reserved_quantity if float_is_zero(need, precision_rounding=move.product_id.uom_id.rounding): assigned_moves |= move continue # Reserve new quants and create move lines accordingly. forced_package_id = move.package_level_id.package_id or None available_quantity = self.env['stock.quant']._get_available_quantity(move.product_id, move.location_id, package_id=forced_package_id) if available_quantity <= 0: continue taken_quantity = move._update_reserved_quantity(need, available_quantity, move.location_id, package_id=forced_package_id, strict=False) if float_is_zero(taken_quantity, precision_rounding=move.product_id.uom_id.rounding): continue if need == taken_quantity: assigned_moves |= move else: partially_available_moves |= move else: # Check what our parents brought and what our siblings took in order to # determine what we can distribute. # `qty_done` is in `ml.product_uom_id` and, as we will later increase # the reserved quantity on the quants, convert it here in # `product_id.uom_id` (the UOM of the quants is the UOM of the product). move_lines_in = move.move_orig_ids.filtered(lambda m: m.state == 'done').mapped('move_line_ids') keys_in_groupby = ['location_dest_id', 'lot_id', 'result_package_id', 'owner_id'] def _keys_in_sorted(ml): return (ml.location_dest_id.id, ml.lot_id.id, ml.result_package_id.id, ml.owner_id.id) grouped_move_lines_in = {} for k, g in groupby(sorted(move_lines_in, key=_keys_in_sorted), key=itemgetter(*keys_in_groupby)): qty_done = 0 for ml in g: qty_done += ml.product_uom_id._compute_quantity(ml.qty_done, ml.product_id.uom_id) grouped_move_lines_in[k] = qty_done move_lines_out_done = (move.move_orig_ids.mapped('move_dest_ids') - move)\ .filtered(lambda m: m.state in ['done'])\ .mapped('move_line_ids') # As we defer the write on the stock.move's state at the end of the loop, there # could be moves to consider in what our siblings already took. moves_out_siblings = move.move_orig_ids.mapped('move_dest_ids') - move moves_out_siblings_to_consider = moves_out_siblings & (assigned_moves + partially_available_moves) reserved_moves_out_siblings = moves_out_siblings.filtered(lambda m: m.state in ['partially_available', 'assigned']) move_lines_out_reserved = (reserved_moves_out_siblings | moves_out_siblings_to_consider).mapped('move_line_ids') keys_out_groupby = ['location_id', 'lot_id', 'package_id', 'owner_id'] def _keys_out_sorted(ml): return (ml.location_id.id, ml.lot_id.id, ml.package_id.id, ml.owner_id.id) grouped_move_lines_out = {} for k, g in groupby(sorted(move_lines_out_done, key=_keys_out_sorted), key=itemgetter(*keys_out_groupby)): qty_done = 0 for ml in g: qty_done += ml.product_uom_id._compute_quantity(ml.qty_done, ml.product_id.uom_id) grouped_move_lines_out[k] = qty_done for k, g in groupby(sorted(move_lines_out_reserved, key=_keys_out_sorted), key=itemgetter(*keys_out_groupby)): grouped_move_lines_out[k] = sum(self.env['stock.move.line'].concat(*list(g)).mapped('product_qty')) available_move_lines = {key: grouped_move_lines_in[key] - grouped_move_lines_out.get(key, 0) for key in grouped_move_lines_in.keys()} # pop key if the quantity available amount to 0 available_move_lines = dict((k, v) for k, v in available_move_lines.items() if v) if not available_move_lines: continue for move_line in move.move_line_ids.filtered(lambda m: m.product_qty): if available_move_lines.get((move_line.location_id, move_line.lot_id, move_line.result_package_id, move_line.owner_id)): available_move_lines[(move_line.location_id, move_line.lot_id, move_line.result_package_id, move_line.owner_id)] -= move_line.product_qty for (location_id, lot_id, package_id, owner_id), quantity in available_move_lines.items(): need = move.product_qty - sum(move.move_line_ids.mapped('product_qty')) # `quantity` is what is brought by chained done move lines. We double check # here this quantity is available on the quants themselves. If not, this # could be the result of an inventory adjustment that removed totally of # partially `quantity`. When this happens, we chose to reserve the maximum # still available. This situation could not happen on MTS move, because in # this case `quantity` is directly the quantity on the quants themselves. available_quantity = self.env['stock.quant']._get_available_quantity( move.product_id, location_id, lot_id=lot_id, package_id=package_id, owner_id=owner_id, strict=True) if float_is_zero(available_quantity, precision_rounding=move.product_id.uom_id.rounding): continue taken_quantity = move._update_reserved_quantity(need, min(quantity, available_quantity), location_id, lot_id, package_id, owner_id) if float_is_zero(taken_quantity, precision_rounding=move.product_id.uom_id.rounding): continue if need - taken_quantity == 0.0: assigned_moves |= move break partially_available_moves |= move partially_available_moves.write({'state': 'partially_available'}) assigned_moves.write({'state': 'assigned'}) self.mapped('picking_id')._check_entire_pack()
def _free_reservation(self, product_id, location_id, quantity, lot_id=None, package_id=None, owner_id=None, ml_to_ignore=None): """ When editing a done move line or validating one with some forced quantities, it is possible to impact quants that were not reserved. It is therefore necessary to edit or unlink the move lines that reserved a quantity now unavailable. :param ml_to_ignore: recordset of `stock.move.line` that should NOT be unreserved """ self.ensure_one() if ml_to_ignore is None: ml_to_ignore = self.env['stock.move.line'] ml_to_ignore |= self # Check the available quantity, with the `strict` kw set to `True`. If the available # quantity is greather than the quantity now unavailable, there is nothing to do. available_quantity = self.env['stock.quant']._get_available_quantity( product_id, location_id, lot_id=lot_id, package_id=package_id, owner_id=owner_id, strict=True) if quantity > available_quantity: # We now have to find the move lines that reserved our now unavailable quantity. We # take care to exclude ourselves and the move lines were work had already been done. oudated_move_lines_domain = [ ('move_id.state', 'not in', ['done', 'cancel']), ('product_id', '=', product_id.id), ('lot_id', '=', lot_id.id if lot_id else False), ('location_id', '=', location_id.id), ('owner_id', '=', owner_id.id if owner_id else False), ('package_id', '=', package_id.id if package_id else False), ('product_qty', '>', 0.0), ('id', 'not in', ml_to_ignore.ids), ] oudated_candidates = self.env['stock.move.line'].search( oudated_move_lines_domain) # As the move's state is not computed over the move lines, we'll have to manually # recompute the moves which we adapted their lines. move_to_recompute_state = self.env['stock.move'] rounding = self.product_uom_id.rounding for candidate in oudated_candidates: if float_compare(candidate.product_qty, quantity, precision_rounding=rounding) <= 0: quantity -= candidate.product_qty move_to_recompute_state |= candidate.move_id if candidate.qty_done: candidate.product_uom_qty = 0.0 else: candidate.unlink() if float_is_zero(quantity, precision_rounding=rounding): break else: # split this move line and assign the new part to our extra move quantity_split = float_round( candidate.product_qty - quantity, precision_rounding=self.product_uom_id.rounding, rounding_method='UP') candidate.product_uom_qty = self.product_id.uom_id._compute_quantity( quantity_split, candidate.product_uom_id, rounding_method='HALF-UP') move_to_recompute_state |= candidate.move_id break move_to_recompute_state._recompute_state()
def validate_documents(self, key, xml, account_id): """ Validate the incoming or outcoming document before create or attach the xml to invoice :param key: Name of the document that is being validated :type key: str :param xml: xml file with the datas of purchase :type xml: etree :param account_id: The account by default that must be used in the lines of the invoice if this is created :type account_id: int :return: Result of the validation of the CFDI and the invoices created. :rtype: dict """ wrongfiles = {} invoices = {} inv_obj = self.env['account.move'] partner_obj = self.env['res.partner'] currency_obj = self.env['res.currency'] inv = inv_obj inv_id = False xml_str = etree.tostring(xml, pretty_print=True, encoding='UTF-8') xml_vat_emitter, xml_vat_receiver, xml_amount, xml_currency, version,\ xml_name_supplier, xml_type_of_document, xml_uuid, xml_folio,\ xml_taxes = self._get_xml_data(xml) xml_related_uuid = related_invoice = False exist_supplier = partner_obj.search( [('vat', '=', xml_vat_emitter)], limit=1) domain = [ '|', ('partner_id', 'child_of', exist_supplier.id), ('partner_id', '=', exist_supplier.id)] invoice = xml_folio if xml_folio: domain.append(('ref', '=ilike', xml_folio)) else: domain.append(('amount_total', '>=', xml_amount - 1)) domain.append(('amount_total', '<=', xml_amount + 1)) domain.append(('l10n_mx_edi_cfdi_name', '=', False)) domain.append(('state', '!=', 'cancel')) invoice = inv_obj.search(domain, limit=1) exist_reference = invoice if invoice and xml_uuid != invoice.l10n_mx_edi_cfdi_uuid else False # noqa if exist_reference and not exist_reference.l10n_mx_edi_cfdi_uuid: inv = exist_reference inv_id = inv.id exist_reference = False inv.l10n_mx_edi_update_sat_status() xml_status = inv.l10n_mx_edi_sat_status inv_vat_receiver = ( self.env.user.company_id.vat or '').upper() inv_vat_emitter = ( inv and inv.commercial_partner_id.vat or '').upper() inv_amount = inv.amount_total inv_folio = inv.ref or '' domain = [('l10n_mx_edi_cfdi_name', '!=', False)] if exist_supplier: domain += [('partner_id', 'child_of', exist_supplier.id)] if xml_type_of_document == 'I': domain += [('type', '=', 'in_invoice')] if xml_type_of_document == 'E': domain += [('type', '=', 'in_refund')] uuid_dupli = xml_uuid in inv_obj.search(domain).mapped( 'l10n_mx_edi_cfdi_uuid') mxns = [ 'mxp', 'mxn', 'pesos', 'peso mexicano', 'pesos mexicanos', 'mn'] xml_currency = 'MXN' if xml_currency.lower( ) in mxns else xml_currency exist_currency = currency_obj.search( [('name', '=', xml_currency)], limit=1) xml_related_uuid = False if xml_type_of_document == 'E' and hasattr(xml, 'CfdiRelacionados'): xml_related_uuid = xml.CfdiRelacionados.CfdiRelacionado.get('UUID') related_invoice = xml_related_uuid in inv_obj.search([ ('l10n_mx_edi_cfdi_name', '!=', False), ('type', '=', 'in_invoice')]).mapped('l10n_mx_edi_cfdi_uuid') omit_cfdi_related = self._context.get('omit_cfdi_related') force_save = False if self.env.user.has_group( 'l10n_mx_edi_vendor_bills.allow_force_invoice_generation'): force_save = self._context.get('force_save') errors = [ (not xml_uuid, {'signed': True}), (xml_status == 'cancelled', {'cancel': True}), ((xml_uuid and uuid_dupli), {'uuid_duplicate': xml_uuid}), ((inv_vat_receiver != xml_vat_receiver), {'rfc': (xml_vat_receiver, inv_vat_receiver)}), ((not inv_id and exist_reference), {'reference': (xml_name_supplier, xml_folio)}), (version != '3.3', {'version': True}), ((not inv_id and not exist_supplier), {'supplier': xml_name_supplier}), ((not inv_id and xml_currency and not exist_currency), {'currency': xml_currency}), ((not inv_id and xml_taxes.get('wrong_taxes', False)), {'taxes': xml_taxes.get('wrong_taxes', False)}), ((not inv_id and xml_taxes.get('withno_account', False)), {'taxes_wn_accounts': xml_taxes.get( 'withno_account', False)}), ((inv_id and inv_folio != xml_folio), {'folio': (xml_folio, inv_folio)}), ((inv_id and inv_vat_emitter != xml_vat_emitter), { 'rfc_supplier': (xml_vat_emitter, inv_vat_emitter)}), ((inv_id and not float_is_zero( float(inv_amount) - xml_amount, precision_digits=2)), {'amount': (xml_amount, inv_amount)}), ((xml_related_uuid and not related_invoice and not force_save), {'invoice_not_found': xml_related_uuid}), ((not omit_cfdi_related and xml_type_of_document == 'E' and not xml_related_uuid), {'no_xml_related_uuid': True}), ] msg = {} for error in errors: if error[0]: msg.update(error[1]) if msg: msg.update({'xml64': True}) wrongfiles.update({key: msg}) return {'wrongfiles': wrongfiles, 'invoices': invoices} if not inv_id: invoice_status = self.create_invoice( xml, exist_supplier, exist_currency, xml_taxes.get('taxes_ids', {}), account_id) if invoice_status['key'] is False: del invoice_status['key'] invoice_status.update({'xml64': True}) wrongfiles.update({key: invoice_status}) return {'wrongfiles': wrongfiles, 'invoices': invoices} del invoice_status['key'] invoices.update({key: invoice_status}) return {'wrongfiles': wrongfiles, 'invoices': invoices} inv.l10n_mx_edi_cfdi = xml_str.decode('UTF-8') inv.generate_xml_attachment() inv.reference = '%s|%s' % (xml_folio, xml_uuid.split('-')[0]) invoices.update({key: {'invoice_id': inv.id}}) if not float_is_zero(float(inv.amount_total) - xml_amount, precision_digits=0): inv.message_post( body=_('The XML attached total amount is different to ' 'the total amount in this invoice. The XML total ' 'amount is %s') % xml_amount) return {'wrongfiles': wrongfiles, 'invoices': invoices}
def _update_overtime(self, employee_attendance_dates=None): if employee_attendance_dates is None: employee_attendance_dates = self._get_attendances_dates() overtime_to_unlink = self.env['hr.attendance.overtime'] overtime_vals_list = [] for emp, attendance_dates in employee_attendance_dates.items(): # get_attendances_dates returns the date translated from the local timezone without tzinfo, # and contains all the date which we need to check for overtime emp_tz = pytz.timezone(emp._get_tz()) attendance_domain = [] for attendance_date in attendance_dates: attendance_domain = OR([ attendance_domain, [ ('check_in', '>=', attendance_date[0]), ('check_in', '<', attendance_date[0] + timedelta(hours=24)), ] ]) attendance_domain = AND([[('employee_id', '=', emp.id)], attendance_domain]) # Attendances per LOCAL day attendances_per_day = defaultdict( lambda: self.env['hr.attendance']) all_attendances = self.env['hr.attendance'].search( attendance_domain) for attendance in all_attendances: check_in_day_start = attendance._get_day_start_and_day( attendance.employee_id, attendance.check_in) attendances_per_day[check_in_day_start[1]] += attendance # As _attendance_intervals_batch and _leave_intervals_batch both take localized dates we need to localize those date start = pytz.utc.localize( min(attendance_dates, key=itemgetter(0))[0]) stop = pytz.utc.localize( max(attendance_dates, key=itemgetter(0))[0] + timedelta(hours=24)) # Retrieve expected attendance intervals expected_attendances = emp.resource_calendar_id._attendance_intervals_batch( start, stop, emp.resource_id)[emp.resource_id.id] # Substract Global Leaves expected_attendances -= emp.resource_calendar_id._leave_intervals_batch( start, stop, None)[False] # working_times = {date: [(start, stop)]} working_times = defaultdict(lambda: []) for expected_attendance in expected_attendances: # Exclude resource.calendar.attendance working_times[expected_attendance[0].date()].append( expected_attendance[:2]) overtimes = self.env['hr.attendance.overtime'].sudo().search([ ('employee_id', '=', emp.id), ('date', 'in', [day_data[1] for day_data in attendance_dates]), ('adjustment', '=', False), ]) company_threshold = emp.company_id.overtime_company_threshold / 60.0 employee_threshold = emp.company_id.overtime_employee_threshold / 60.0 for day_data in attendance_dates: attendance_date = day_data[1] attendances = attendances_per_day.get(attendance_date, self.browse()) unfinished_shifts = attendances.filtered( lambda a: not a.check_out) overtime_duration = 0 overtime_duration_real = 0 # Overtime is not counted if any shift is not closed or if there are no attendances for that day, # this could happen when deleting attendances. if not unfinished_shifts and attendances: # The employee usually doesn't work on that day if not working_times[attendance_date]: # User does not have any resource_calendar_attendance for that day (week-end for example) overtime_duration = sum( attendances.mapped('worked_hours')) overtime_duration_real = overtime_duration # The employee usually work on that day else: # Compute start and end time for that day planned_start_dt, planned_end_dt = False, False planned_work_duration = 0 for calendar_attendance in working_times[ attendance_date]: planned_start_dt = min( planned_start_dt, calendar_attendance[0] ) if planned_start_dt else calendar_attendance[0] planned_end_dt = max( planned_end_dt, calendar_attendance[1] ) if planned_end_dt else calendar_attendance[1] planned_work_duration += ( calendar_attendance[1] - calendar_attendance[0] ).total_seconds() / 3600.0 # Count time before, during and after 'working hours' pre_work_time, work_duration, post_work_time = 0, 0, 0 for attendance in attendances: # consider check_in as planned_start_dt if within threshold # if delta_in < 0: Checked in after supposed start of the day # if delta_in > 0: Checked in before supposed start of the day local_check_in = emp_tz.localize( attendance.check_in) delta_in = (planned_start_dt - local_check_in ).total_seconds() / 3600.0 # Started before or after planned date within the threshold interval if (delta_in > 0 and delta_in <= company_threshold) or\ (delta_in < 0 and abs(delta_in) <= employee_threshold): local_check_in = planned_start_dt local_check_out = emp_tz.localize( attendance.check_out) # same for check_out as planned_end_dt delta_out = (local_check_out - planned_end_dt ).total_seconds() / 3600.0 # if delta_out < 0: Checked out before supposed start of the day # if delta_out > 0: Checked out after supposed start of the day # Finised before or after planned date within the threshold interval if (delta_out > 0 and delta_out <= company_threshold) or\ (delta_out < 0 and abs(delta_out) <= employee_threshold): local_check_out = planned_end_dt # There is an overtime at the start of the day if local_check_in < planned_start_dt: pre_work_time += ( min(planned_start_dt, local_check_out) - local_check_in).total_seconds() / 3600.0 # Interval inside the working hours -> Considered as working time if local_check_in <= planned_end_dt and local_check_out >= planned_start_dt: work_duration += ( min(planned_end_dt, local_check_out) - max(planned_start_dt, local_check_in) ).total_seconds() / 3600.0 # There is an overtime at the end of the day if local_check_out > planned_end_dt: post_work_time += (local_check_out - max( planned_end_dt, local_check_in)).total_seconds() / 3600.0 # Overtime within the planned work hours + overtime before/after work hours is > company threshold overtime_duration = work_duration - planned_work_duration if pre_work_time > company_threshold: overtime_duration += pre_work_time if post_work_time > company_threshold: overtime_duration += post_work_time # Global overtime including the thresholds overtime_duration_real = sum( attendances.mapped( 'worked_hours')) - planned_work_duration overtime = overtimes.filtered( lambda o: o.date == attendance_date) if not float_is_zero(overtime_duration, 2) or unfinished_shifts: # Do not create if any attendance doesn't have a check_out, update if exists if unfinished_shifts: overtime_duration = 0 if not overtime and overtime_duration: overtime_vals_list.append({ 'employee_id': emp.id, 'date': attendance_date, 'duration': overtime_duration, 'duration_real': overtime_duration_real, }) elif overtime: overtime.sudo().write({ 'duration': overtime_duration, 'duration_real': overtime_duration }) elif overtime: overtime_to_unlink |= overtime self.env['hr.attendance.overtime'].sudo().create(overtime_vals_list) overtime_to_unlink.sudo().unlink()
def _create_exchanges(self): """ To finalize data and create the Exchanged picking and Invoices if necessary :return: Int of the new created picking ID, Int of the picking type ID """ # create new picking for exchanged products if self.picking_id.picking_type_id.exchange_picking_type_id: picking_type_id = self.picking_id.picking_type_id.exchange_picking_type_id.id elif self.picking_id.picking_type_id.return_picking_type_id: picking_type_id = self.picking_id.picking_type_id.return_picking_type_id.id else: picking_type_id = self.picking_id.picking_type_id.id moves = self.picking_id.move_ids_without_package purchase_lines = moves.mapped('purchase_line_id') purchase_order = purchase_lines.mapped('order_id') new_picking = self.picking_id.copy({ 'move_lines': [], 'sale_id': False, 'picking_type_id': picking_type_id, 'exchange_sale_id': self.picking_id.sale_id.id, 'exchange_purchase_id': purchase_order and purchase_order[0].id, 'state': 'draft', 'origin': _("Exchange of %s") % self.picking_id.name, 'location_id': self.picking_id.location_dest_id.id, 'location_dest_id': self.location_id.id }) new_picking.message_post_with_view( 'mail.message_origin_link', values={ 'self': new_picking, 'origin': self.picking_id }, subtype_id=self.env.ref('mail.mt_note').id) exchanged_lines = 0 invoices_values = [] for exchange_line in self.exchange_line_ids: if not exchange_line.move_id: raise UserError( _("You have manually created product lines, " "please delete them to proceed.")) if not float_is_zero( exchange_line.quantity, precision_rounding=exchange_line.uom_id.rounding): exchanged_lines += 1 vals = self._prepare_move_default_values( exchange_line, new_picking) move = exchange_line.move_id.copy(vals) exchange_line.move_id.exchanged = True val = {'exchange_move_id': move.id} line = move.sale_line_id or move.purchase_line_id invoice_value = self._prepare_invoice_lines( exchange_line, line) if invoice_value: invoices_values.append(invoice_value) line.write(val) if not exchanged_lines: raise UserError( _("Please specify at least one non-zero quantity.")) if invoices_values: self.action_create_invoices(invoices_values) new_picking.action_confirm() new_picking.action_assign() return new_picking.id, picking_type_id
def _update_reserved_quantity(self, product_id, location_id, quantity, lot_id=None, package_id=None, owner_id=None, strict=False): self = self.sudo() rounding = product_id.uom_id.rounding quants = self._gather(product_id, location_id, lot_id=lot_id, package_id=package_id, owner_id=owner_id, strict=strict) lista = quants transf_oper = self.env['transf.operaciones'].search([ ('id_user', '=', self.env.user.id) ]) series_start = '' trasfe_id = 0 type_transfer = '' for tras in transf_oper: if product_id.id == tras.id_producto.id: series_start = tras.serie_start if str(series_start) != '' and str(series_start) != 'False': cont = 0 for lot in quants: if str(lot.lot_id.name) == str(series_start): cont += 1 max_quantity_on_quan = lot.quantity - lot.reserved_quantity if float_compare(max_quantity_on_quan, 0, precision_rounding=rounding) <= 0: raise ValidationError( _('Ya ha sido utilizada la serie %s en el producto %s.' ) % (series_start, product_id.name)) if cont == 0: raise ValidationError( _('No se encuentra la serie %s en el producto %s.') % (series_start, product_id.name)) for trasfe in transf_oper: if product_id.id == trasfe.id_producto.id and str( trasfe.serie_start) == str(series_start): count = 0 if trasfe.type_transfer == 'ov-ac': while int(count) < int(trasfe.demanda): if '-' in series_start: letter = series_start.split('-')[0] number = series_start.split('-')[1] new_serie = letter + '-' + str( int(number) + int(count)).zfill(len(number)) for lo in quants: if str(lo.lot_id.name) == str(new_serie): max_quantity_on_qua = lo.quantity - lo.reserved_quantity if float_compare( max_quantity_on_qua, 0, precision_rounding=rounding) <= 0: raise ValidationError( _('Ya ha sido utilizada la serie %s en el producto %s.' ) % (new_serie, product_id.name)) count += 1 else: new_serie = str(int(series_start) + count).zfill( len(series_start)) for lo in quants: if str(lo.lot_id.name) == str(new_serie): max_quantity_on_qua = lo.quantity - lo.reserved_quantity if float_compare( max_quantity_on_qua, 0, precision_rounding=rounding) <= 0: raise ValidationError( _('Ya ha sido utilizada la serie %s en el producto %s.' ) % (new_serie, product_id.name)) count += 1 if trasfe.type_transfer == 'ov-ac': contad = 0 while int(contad) < int(trasfe.demanda): trasfe_id = trasfe.id if '-' in series_start: lette = series_start.split('-')[0] numbe = series_start.split('-')[1] new_seri = lette + '-' + str( int(numbe) + int(contad)).zfill(len(numbe)) contad += 1 self.env['det.operaciones'].create({ 'transf_operaciones': trasfe.id, 'serie': new_seri }) else: new_seri = str(int(series_start) + contad).zfill( len(series_start)) contad += 1 self.env['det.operaciones'].create({ 'transf_operaciones': trasfe.id, 'serie': new_seri }) else: trasfe_id = trasfe.id type_transfer = trasfe.type_transfer self.env['det.operaciones'].create({ 'transf_operaciones': trasfe.id, 'serie': series_start }) reserved_quants = [] if float_compare(quantity, 0, precision_rounding=rounding) > 0: # if we want to reserve available_quantity = self._get_available_quantity( product_id, location_id, lot_id=lot_id, package_id=package_id, owner_id=owner_id, strict=strict) if float_compare(quantity, available_quantity, precision_rounding=rounding) > 0: raise UserError( _('It is not possible to reserve more products of %s than you have in stock.' ) % product_id.display_name) elif float_compare(quantity, 0, precision_rounding=rounding) < 0: # if we want to unreserve available_quantity = sum(quants.mapped('reserved_quantity')) if float_compare(abs(quantity), available_quantity, precision_rounding=rounding) > 0: raise UserError( _('It is not possible to unreserve more products of %s than you have in stock.' ) % product_id.display_name) else: return reserved_quants det_oper = self.env['det.operaciones'].search([('transf_operaciones', '=', int(trasfe_id))]) for det_op in det_oper: available_quantityy, quantityy, buscar_serie = self.buscar_serie( lista, det_op.serie, quantity, rounding, available_quantity, type_transfer) quantity = quantityy available_quantity = available_quantityy for re in buscar_serie: reserved_quants.append( (re['lot_'], re['max_quantity_on_quan'])) if len(det_oper) == 0: for quant in quants: if float_compare(quantity, 0, precision_rounding=rounding) > 0: max_quantity_on_quant = quant.quantity - quant.reserved_quantity if float_compare(max_quantity_on_quant, 0, precision_rounding=rounding) <= 0: continue max_quantity_on_quant = min(max_quantity_on_quant, quantity) quant.reserved_quantity += max_quantity_on_quant reserved_quants.append((quant, max_quantity_on_quant)) quantity -= max_quantity_on_quant available_quantity -= max_quantity_on_quant else: max_quantity_on_quant = min(quant.reserved_quantity, abs(quantity)) quant.reserved_quantity -= max_quantity_on_quant reserved_quants.append((quant, -max_quantity_on_quant)) quantity += max_quantity_on_quant available_quantity += max_quantity_on_quant if float_is_zero(quantity, precision_rounding=rounding) or float_is_zero( available_quantity, precision_rounding=rounding): break return reserved_quants return reserved_quants
def check_xml(self, files, account_id=False): """Validate that attributes in the XML before create invoice or attach XML in it. If the invoice is not found in the system, will be created and validated using the same 'Serie-Folio' that in the CFDI. :param files: dictionary of CFDIs in b64 :type files: dict :param account_id: The account by default that must be used in the lines of the invoice if this is created :type account_id: int :return: the Result of the CFDI validation :rtype: dict """ if self._context.get('l10n_mx_edi_invoice_type') != 'out': return super().check_xml(files, account_id=account_id) if not isinstance(files, dict): raise UserError( _("Something went wrong. The parameter for XML " "files must be a dictionary.")) inv_obj = self.env['account.invoice'] partner_obj = self.env['res.partner'] currency_obj = self.env['res.currency'] wrongfiles = {} invoices = {} account_id = self._context.get('account_id', False) for key, xml64 in files.items(): inv = inv_obj inv_id = False try: xml64 = xml64.decode() if isinstance(xml64, bytes) else xml64 xml_str = base64.b64decode( xml64.replace('data:text/xml;base64,', '')) # Fix the CFDIs emitted by the SAT xml_str = xml_str.replace(b'xmlns:schemaLocation', b'xsi:schemaLocation') xml = objectify.fromstring(xml_str) except (AttributeError, SyntaxError) as exce: wrongfiles.update({ key: { 'xml64': xml64, 'where': 'CheckXML', 'error': [exce.__class__.__name__, str(exce)] } }) continue xml = self._l10n_mx_edi_convert_cfdi32_to_cfdi33(xml) if xml.get('TipoDeComprobante', False) != 'I': wrongfiles.update({key: {'cfdi_type': True, 'xml64': xml64}}) continue xml_vat_emitter = xml.Emisor.get('Rfc', '').upper() xml_vat_receiver = xml.Receptor.get('Rfc', '').upper() xml_amount = xml.get('Total', 0.0) xml_tfd = inv_obj.l10n_mx_edi_get_tfd_etree(xml) xml_uuid = False if xml_tfd is None else xml_tfd.get('UUID', '') xml_folio = xml.get('Folio', '') xml_currency = xml.get('Moneda', 'MXN') xml_taxes = self.get_impuestos(xml) xml_local_taxes = self.get_local_taxes(xml) xml_taxes['wrong_taxes'] = xml_taxes.get( 'wrong_taxes', []) + xml_local_taxes.get('wrong_taxes', []) xml_taxes['withno_account'] = xml_taxes.get( 'withno_account', []) + xml_local_taxes.get( 'withno_account', []) version = xml.get('Version', xml.get('version')) xml_name_supplier = xml.Receptor.get('Nombre', '') domain = ['&', ('vat', '=', xml_vat_receiver)] if (xml_vat_receiver not in [ 'XEXX010101000', 'XAXX010101000' ]) else ['&', ('name', '=ilike', xml_name_supplier)] domain.extend( ['|', ('supplier', '=', True), ('customer', '=', True)]) exist_supplier = partner_obj.search(domain, limit=1) exist_reference = xml_folio and inv_obj.search( [('origin', '=', xml_folio), ('type', '=', 'out_invoice'), ('partner_id', '=', exist_supplier.id)], limit=1) if exist_reference and (not exist_reference.l10n_mx_edi_cfdi_uuid or exist_reference.l10n_mx_edi_cfdi_uuid == xml_uuid): inv = exist_reference inv_id = inv.id exist_reference = False inv.l10n_mx_edi_update_sat_status() xml_status = inv.l10n_mx_edi_sat_status inv_vat_emitter = (self.env.user.company_id.vat or '').upper() inv_vat_receiver = (inv and inv.commercial_partner_id.vat or '').upper() inv_amount = inv.amount_total diff = inv.journal_id.l10n_mx_edi_amount_authorized_diff or 1 inv_folio = inv.origin domain = [('l10n_mx_edi_cfdi_name', '!=', False), ('type', '=', 'out_invoice'), ('id', '!=', inv_id)] if exist_supplier: domain += [('partner_id', '=', exist_supplier.id)] uuid_dupli = xml_uuid in inv_obj.search(domain).mapped( 'l10n_mx_edi_cfdi_uuid') mxns = ['mxp', 'mxn', 'pesos', 'peso mexicano', 'pesos mexicanos'] xml_currency = 'MXN' if xml_currency.lower( ) in mxns else xml_currency exist_currency = currency_obj.search([ '|', ('name', '=', xml_currency), ('currency_unit_label', '=ilike', xml_currency) ], limit=1) errors = [ (not xml_uuid, { 'signed': True }), (xml_status == 'cancelled', { 'cancel': True }), ((xml_uuid and uuid_dupli), { 'uuid_duplicate': xml_uuid }), ( (inv_id and inv_vat_receiver and inv_vat_receiver != xml_vat_receiver), # noqa { 'rfc_supplier': (xml_vat_receiver, inv_vat_receiver) }), ((not inv_id and exist_reference), { 'reference': (xml_name_supplier, xml_folio) }), (version != '3.3', { 'version': True }), ((not inv_id and not exist_supplier), { 'customer': xml_name_supplier }), ((not inv_id and xml_currency and not exist_currency), { 'currency': xml_currency }), ((not inv_id and xml_taxes.get('wrong_taxes', False)), { 'taxes': xml_taxes.get('wrong_taxes', False) }), ((not inv_id and xml_taxes.get('withno_account', False)), { 'taxes_wn_accounts': xml_taxes.get('withno_account', False) }), ((inv_id and inv_folio != xml_folio), { 'folio': (xml_folio, inv_folio) }), ((inv_vat_emitter != xml_vat_emitter), { 'rfc_cust': (xml_vat_emitter, inv_vat_emitter) }), ((inv_id and abs(round(float(inv_amount) - float(xml_amount), 2)) > diff), { 'amount': (xml_amount, inv_amount) }), ] msg = {} for error in errors: if error[0]: msg.update(error[1]) if msg: msg.update({'xml64': xml64}) wrongfiles.update({key: msg}) continue if not inv_id: invoice_status = self.create_invoice( xml, exist_supplier, exist_currency, xml_taxes.get('taxes_ids', {}), account_id) if invoice_status['key'] is False: del invoice_status['key'] invoice_status.update({'xml64': xml64}) wrongfiles.update({key: invoice_status}) continue del invoice_status['key'] invoices.update({key: invoice_status}) continue inv.l10n_mx_edi_cfdi = xml_str.decode('UTF-8') inv.generate_xml_attachment() inv.action_invoice_open() inv.l10n_mx_edi_update_sat_status() invoices.update({key: {'invoice_id': inv.id}}) if not float_is_zero(float(inv_amount) - float(xml_amount), precision_digits=0): inv.message_post( body=_('The XML attached total amount is different to ' 'the total amount in this invoice. The XML total ' 'amount is %s' '') % xml_amount) return {'wrongfiles': wrongfiles, 'invoices': invoices}
def button_validate(self): if any(cost.state != 'draft' for cost in self): raise UserError(_('Only draft landed costs can be validated')) if not all(cost.picking_ids for cost in self): raise UserError( _('Please define the transfers on which those additional costs should apply.' )) cost_without_adjusment_lines = self.filtered( lambda c: not c.valuation_adjustment_lines) if cost_without_adjusment_lines: cost_without_adjusment_lines.compute_landed_cost() if not self._check_sum(): raise UserError( _('Cost and adjustments lines do not match. You should maybe recompute the landed costs.' )) for cost in self: move = self.env['account.move'] move_vals = { 'journal_id': cost.account_journal_id.id, 'date': cost.date, 'ref': cost.name, 'line_ids': [], 'type': 'entry', } valuation_layer_ids = [] cost_to_add_byproduct = defaultdict(lambda: 0.0) for line in cost.valuation_adjustment_lines.filtered( lambda line: line.move_id): remaining_qty = sum( line.move_id.stock_valuation_layer_ids.mapped( 'remaining_qty')) linked_layer = line.move_id.stock_valuation_layer_ids[:1] # Prorate the value at what's still in stock cost_to_add = (remaining_qty / line.move_id.product_qty ) * line.additional_landed_cost if not cost.company_id.currency_id.is_zero(cost_to_add): valuation_layer = self.env['stock.valuation.layer'].create( { 'value': cost_to_add, 'unit_cost': 0, 'quantity': 0, 'remaining_qty': 0, 'stock_valuation_layer_id': linked_layer.id, 'description': cost.name, 'stock_move_id': line.move_id.id, 'product_id': line.move_id.product_id.id, 'stock_landed_cost_id': cost.id, 'company_id': cost.company_id.id, }) linked_layer.remaining_value += cost_to_add valuation_layer_ids.append(valuation_layer.id) # Update the AVCO product = line.move_id.product_id if product.cost_method == 'average': cost_to_add_byproduct[product] += cost_to_add # Products with manual inventory valuation are ignored because they do not need to create journal entries. if product.valuation != "real_time": continue # `remaining_qty` is negative if the move is out and delivered proudcts that were not # in stock. qty_out = 0 if line.move_id._is_in(): qty_out = line.move_id.product_qty - remaining_qty elif line.move_id._is_out(): qty_out = line.move_id.product_qty move_vals['line_ids'] += line._create_accounting_entries( move, qty_out) # batch standard price computation avoid recompute quantity_svl at each iteration products = self.env['product.product'].browse( p.id for p in cost_to_add_byproduct.keys()) for product in products: # iterate on recordset to prefetch efficiently quantity_svl if not float_is_zero( product.quantity_svl, precision_rounding=product.uom_id.rounding): product.with_context( force_company=cost.company_id.id).sudo( ).standard_price += cost_to_add_byproduct[ product] / product.quantity_svl move_vals['stock_valuation_layer_ids'] = [(6, None, valuation_layer_ids)] # We will only create the accounting entry when there are defined lines (the lines will be those linked to products of real_time valuation category). cost_vals = {'state': 'done'} if move_vals.get("line_ids"): move = move.create(move_vals) cost_vals.update({'account_move_id': move.id}) cost.write(cost_vals) if cost.account_move_id: move.post() if cost.vendor_bill_id and cost.vendor_bill_id.state == 'posted' and cost.company_id.anglo_saxon_accounting: all_amls = cost.vendor_bill_id.line_ids | cost.account_move_id.line_ids for product in cost.cost_lines.product_id: accounts = product.product_tmpl_id.get_product_accounts() input_account = accounts['stock_input'] all_amls.filtered( lambda aml: aml.account_id == input_account and not aml .full_reconcile_id).reconcile() return True
def write(self, vals): if self.env.context.get('bypass_reservation_update'): return super(StockMoveLine, self).write(vals) if 'product_id' in vals and any(vals.get('state', ml.state) != 'draft' and vals['product_id'] != ml.product_id.id for ml in self): raise UserError(_("Changing the product is only allowed in 'Draft' state.")) moves_to_recompute_state = self.env['stock.move'] Quant = self.env['stock.quant'] precision = self.env['decimal.precision'].precision_get('Product Unit of Measure') triggers = [ ('location_id', 'stock.location'), ('location_dest_id', 'stock.location'), ('lot_id', 'stock.production.lot'), ('package_id', 'stock.quant.package'), ('result_package_id', 'stock.quant.package'), ('owner_id', 'res.partner'), ('product_uom_id', 'uom.uom') ] updates = {} for key, model in triggers: if key in vals: updates[key] = self.env[model].browse(vals[key]) if 'result_package_id' in updates: for ml in self.filtered(lambda ml: ml.package_level_id): if updates.get('result_package_id'): ml.package_level_id.package_id = updates.get('result_package_id') else: # TODO: make package levels less of a pain and fix this package_level = ml.package_level_id ml.package_level_id = False package_level.unlink() # When we try to write on a reserved move line any fields from `triggers` or directly # `product_uom_qty` (the actual reserved quantity), we need to make sure the associated # quants are correctly updated in order to not make them out of sync (i.e. the sum of the # move lines `product_uom_qty` should always be equal to the sum of `reserved_quantity` on # the quants). If the new charateristics are not available on the quants, we chose to # reserve the maximum possible. if updates or 'product_uom_qty' in vals: for ml in self.filtered(lambda ml: ml.state in ['partially_available', 'assigned'] and ml.product_id.type == 'product'): if 'product_uom_qty' in vals: new_product_uom_qty = ml.product_uom_id._compute_quantity( vals['product_uom_qty'], ml.product_id.uom_id, rounding_method='HALF-UP') # Make sure `product_uom_qty` is not negative. if float_compare(new_product_uom_qty, 0, precision_rounding=ml.product_id.uom_id.rounding) < 0: raise UserError(_('Reserving a negative quantity is not allowed.')) else: new_product_uom_qty = ml.product_qty # Unreserve the old charateristics of the move line. if not ml._should_bypass_reservation(ml.location_id): Quant._update_reserved_quantity(ml.product_id, ml.location_id, -ml.product_qty, lot_id=ml.lot_id, package_id=ml.package_id, owner_id=ml.owner_id, strict=True) # Reserve the maximum available of the new charateristics of the move line. if not ml._should_bypass_reservation(updates.get('location_id', ml.location_id)): reserved_qty = 0 try: q = Quant._update_reserved_quantity(ml.product_id, updates.get('location_id', ml.location_id), new_product_uom_qty, lot_id=updates.get('lot_id', ml.lot_id), package_id=updates.get('package_id', ml.package_id), owner_id=updates.get('owner_id', ml.owner_id), strict=True) reserved_qty = sum([x[1] for x in q]) except UserError: pass if reserved_qty != new_product_uom_qty: new_product_uom_qty = ml.product_id.uom_id._compute_quantity(reserved_qty, ml.product_uom_id, rounding_method='HALF-UP') moves_to_recompute_state |= ml.move_id ml.with_context(bypass_reservation_update=True).product_uom_qty = new_product_uom_qty # When editing a done move line, the reserved availability of a potential chained move is impacted. Take care of running again `_action_assign` on the concerned moves. next_moves = self.env['stock.move'] if updates or 'qty_done' in vals: mls = self.filtered(lambda ml: ml.move_id.state == 'done' and ml.product_id.type == 'product') if not updates: # we can skip those where qty_done is already good up to UoM rounding mls = mls.filtered(lambda ml: not float_is_zero(ml.qty_done - vals['qty_done'], precision_rounding=ml.product_uom_id.rounding)) for ml in mls: # undo the original move line qty_done_orig = ml.product_uom_id._compute_quantity(ml.qty_done, ml.move_id.product_id.uom_id, rounding_method='HALF-UP') in_date = Quant._update_available_quantity(ml.product_id, ml.location_dest_id, -qty_done_orig, lot_id=ml.lot_id, package_id=ml.result_package_id, owner_id=ml.owner_id)[1] Quant._update_available_quantity(ml.product_id, ml.location_id, qty_done_orig, lot_id=ml.lot_id, package_id=ml.package_id, owner_id=ml.owner_id, in_date=in_date) # move what's been actually done product_id = ml.product_id location_id = updates.get('location_id', ml.location_id) location_dest_id = updates.get('location_dest_id', ml.location_dest_id) qty_done = vals.get('qty_done', ml.qty_done) lot_id = updates.get('lot_id', ml.lot_id) package_id = updates.get('package_id', ml.package_id) result_package_id = updates.get('result_package_id', ml.result_package_id) owner_id = updates.get('owner_id', ml.owner_id) product_uom_id = updates.get('product_uom_id', ml.product_uom_id) quantity = product_uom_id._compute_quantity(qty_done, ml.move_id.product_id.uom_id, rounding_method='HALF-UP') if not ml._should_bypass_reservation(location_id): ml._free_reservation(product_id, location_id, quantity, lot_id=lot_id, package_id=package_id, owner_id=owner_id) if not float_is_zero(quantity, precision_digits=precision): available_qty, in_date = Quant._update_available_quantity(product_id, location_id, -quantity, lot_id=lot_id, package_id=package_id, owner_id=owner_id) if available_qty < 0 and lot_id: # see if we can compensate the negative quants with some untracked quants untracked_qty = Quant._get_available_quantity(product_id, location_id, lot_id=False, package_id=package_id, owner_id=owner_id, strict=True) if untracked_qty: taken_from_untracked_qty = min(untracked_qty, abs(available_qty)) Quant._update_available_quantity(product_id, location_id, -taken_from_untracked_qty, lot_id=False, package_id=package_id, owner_id=owner_id) Quant._update_available_quantity(product_id, location_id, taken_from_untracked_qty, lot_id=lot_id, package_id=package_id, owner_id=owner_id) if not ml._should_bypass_reservation(location_id): ml._free_reservation(ml.product_id, location_id, untracked_qty, lot_id=False, package_id=package_id, owner_id=owner_id) Quant._update_available_quantity(product_id, location_dest_id, quantity, lot_id=lot_id, package_id=result_package_id, owner_id=owner_id, in_date=in_date) # Unreserve and reserve following move in order to have the real reserved quantity on move_line. next_moves |= ml.move_id.move_dest_ids.filtered(lambda move: move.state not in ('done', 'cancel')) # Log a note if ml.picking_id: ml._log_message(ml.picking_id, ml, 'stock.track_move_template', vals) res = super(StockMoveLine, self).write(vals) # Update scrap object linked to move_lines to the new quantity. if 'qty_done' in vals: for move in self.mapped('move_id'): if move.scrapped: move.scrap_ids.write({'scrap_qty': move.quantity_done}) # As stock_account values according to a move's `product_uom_qty`, we consider that any # done stock move should have its `quantity_done` equals to its `product_uom_qty`, and # this is what move's `action_done` will do. So, we replicate the behavior here. if updates or 'qty_done' in vals: moves = self.filtered(lambda ml: ml.move_id.state == 'done').mapped('move_id') moves |= self.filtered(lambda ml: ml.move_id.state not in ('done', 'cancel') and ml.move_id.picking_id.immediate_transfer and not ml.product_uom_qty).mapped('move_id') for move in moves: move.product_uom_qty = move.quantity_done next_moves._do_unreserve() next_moves._action_assign() if moves_to_recompute_state: moves_to_recompute_state._recompute_state() return res
def _update_reserved_quantity(self, product_id, location_id, quantity, lot_id=None, package_id=None, owner_id=None, strict=False): """ Increase the reserved quantity, i.e. increase `reserved_quantity` for the set of quants sharing the combination of `product_id, location_id` if `strict` is set to False or sharing the *exact same characteristics* otherwise. Typically, this method is called when reserving a move or updating a reserved move line. When reserving a chained move, the strict flag should be enabled (to reserve exactly what was brought). When the move is MTS,it could take anything from the stock, so we disable the flag. When editing a move line, we naturally enable the flag, to reflect the reservation according to the edition. :return: a list of tuples (quant, quantity_reserved) showing on which quant the reservation was done and how much the system was able to reserve on it """ self = self.sudo() rounding = product_id.uom_id.rounding quants = self._gather(product_id, location_id, lot_id=lot_id, package_id=package_id, owner_id=owner_id, strict=strict) reserved_quants = [] if float_compare(quantity, 0, precision_rounding=rounding) > 0: # if we want to reserve available_quantity = self._get_available_quantity( product_id, location_id, lot_id=lot_id, package_id=package_id, owner_id=owner_id, strict=strict) if float_compare(quantity, available_quantity, precision_rounding=rounding) > 0: raise UserError( _( 'It is not possible to reserve more products of %s than you have in stock.', product_id.display_name)) elif float_compare(quantity, 0, precision_rounding=rounding) < 0: # if we want to unreserve available_quantity = sum(quants.mapped('reserved_quantity')) if float_compare(abs(quantity), available_quantity, precision_rounding=rounding) > 0: raise UserError( _( 'It is not possible to unreserve more products of %s than you have in stock.', product_id.display_name)) else: return reserved_quants for quant in quants: if float_compare(quantity, 0, precision_rounding=rounding) > 0: max_quantity_on_quant = quant.quantity - quant.reserved_quantity if float_compare(max_quantity_on_quant, 0, precision_rounding=rounding) <= 0: continue max_quantity_on_quant = min(max_quantity_on_quant, quantity) quant.reserved_quantity += max_quantity_on_quant reserved_quants.append((quant, max_quantity_on_quant)) quantity -= max_quantity_on_quant available_quantity -= max_quantity_on_quant else: max_quantity_on_quant = min(quant.reserved_quantity, abs(quantity)) quant.reserved_quantity -= max_quantity_on_quant reserved_quants.append((quant, -max_quantity_on_quant)) quantity += max_quantity_on_quant available_quantity += max_quantity_on_quant if float_is_zero( quantity, precision_rounding=rounding) or float_is_zero( available_quantity, precision_rounding=rounding): break return reserved_quants
def write(self, vals): """ Through the interface, we allow users to change the charateristics of a move line. If a quantity has been reserved for this move line, we impact the reservation directly to free the old quants and allocate the new ones. """ if self.env.context.get('bypass_reservation_update'): return super(StockMoveLine, self).write(vals) Quant = self.env['stock.quant'] precision = self.env['decimal.precision'].precision_get( 'Product Unit of Measure') # We forbid to change the reserved quantity in the interace, but it is needed in the # case of stock.move's split. # TODO Move me in the update if 'product_uom_qty' in vals: for ml in self.filtered(lambda m: m.state in ('partially_available', 'assigned' ) and m.product_id.type == 'product'): if not ml.location_id.should_bypass_reservation(): qty_to_decrease = ml.product_qty - ml.product_uom_id._compute_quantity( vals['product_uom_qty'], ml.product_id.uom_id, rounding_method='HALF-UP') try: Quant._update_reserved_quantity( ml.product_id, ml.location_id, -qty_to_decrease, lot_id=ml.lot_id, package_id=ml.package_id, owner_id=ml.owner_id, strict=True) except UserError: if ml.lot_id: Quant._update_reserved_quantity( ml.product_id, ml.location_id, -qty_to_decrease, lot_id=False, package_id=ml.package_id, owner_id=ml.owner_id, strict=True) else: raise triggers = [('location_id', 'stock.location'), ('location_dest_id', 'stock.location'), ('lot_id', 'stock.production.lot'), ('package_id', 'stock.quant.package'), ('result_package_id', 'stock.quant.package'), ('owner_id', 'res.partner')] updates = {} for key, model in triggers: if key in vals: updates[key] = self.env[model].browse(vals[key]) if updates: for ml in self.filtered( lambda ml: ml.state in ['partially_available', 'assigned'] and ml.product_id.type == 'product'): if not ml.location_id.should_bypass_reservation(): try: Quant._update_reserved_quantity( ml.product_id, ml.location_id, -ml.product_qty, lot_id=ml.lot_id, package_id=ml.package_id, owner_id=ml.owner_id, strict=True) except UserError: if ml.lot_id: Quant._update_reserved_quantity( ml.product_id, ml.location_id, -ml.product_qty, lot_id=False, package_id=ml.package_id, owner_id=ml.owner_id, strict=True) else: raise if not updates.get('location_id', ml.location_id).should_bypass_reservation(): new_product_qty = 0 try: q = Quant._update_reserved_quantity( ml.product_id, updates.get('location_id', ml.location_id), ml.product_qty, lot_id=updates.get('lot_id', ml.lot_id), package_id=updates.get('package_id', ml.package_id), owner_id=updates.get('owner_id', ml.owner_id), strict=True) new_product_qty = sum([x[1] for x in q]) except UserError: if updates.get('lot_id'): # If we were not able to reserve on tracked quants, we can use untracked ones. try: q = Quant._update_reserved_quantity( ml.product_id, updates.get('location_id', ml.location_id), ml.product_qty, lot_id=False, package_id=updates.get( 'package_id', ml.package_id), owner_id=updates.get( 'owner_id', ml.owner_id), strict=True) new_product_qty = sum([x[1] for x in q]) except UserError: pass if new_product_qty != ml.product_qty: new_product_uom_qty = ml.product_id.uom_id._compute_quantity( new_product_qty, ml.product_uom_id, rounding_method='HALF-UP') ml.with_context(bypass_reservation_update=True ).product_uom_qty = new_product_uom_qty # When editing a done move line, the reserved availability of a potential chained move is impacted. Take care of running again `_action_assign` on the concerned moves. next_moves = self.env['stock.move'] if updates or 'qty_done' in vals: for ml in self.filtered(lambda ml: ml.move_id.state == 'done' and ml.product_id.type == 'product'): # undo the original move line qty_done_orig = ml.move_id.product_uom._compute_quantity( ml.qty_done, ml.move_id.product_id.uom_id, rounding_method='HALF-UP') in_date = Quant._update_available_quantity( ml.product_id, ml.location_dest_id, -qty_done_orig, lot_id=ml.lot_id, package_id=ml.result_package_id, owner_id=ml.owner_id)[1] Quant._update_available_quantity(ml.product_id, ml.location_id, qty_done_orig, lot_id=ml.lot_id, package_id=ml.package_id, owner_id=ml.owner_id, in_date=in_date) # move what's been actually done product_id = ml.product_id location_id = updates.get('location_id', ml.location_id) location_dest_id = updates.get('location_dest_id', ml.location_dest_id) qty_done = vals.get('qty_done', ml.qty_done) lot_id = updates.get('lot_id', ml.lot_id) package_id = updates.get('package_id', ml.package_id) result_package_id = updates.get('result_package_id', ml.result_package_id) owner_id = updates.get('owner_id', ml.owner_id) quantity = ml.move_id.product_uom._compute_quantity( qty_done, ml.move_id.product_id.uom_id, rounding_method='HALF-UP') if not location_id.should_bypass_reservation(): ml._free_reservation(product_id, location_id, quantity, lot_id=lot_id, package_id=package_id, owner_id=owner_id) if not float_is_zero(quantity, precision_digits=precision): available_qty, in_date = Quant._update_available_quantity( product_id, location_id, -quantity, lot_id=lot_id, package_id=package_id, owner_id=owner_id) if available_qty < 0 and lot_id: # see if we can compensate the negative quants with some untracked quants untracked_qty = Quant._get_available_quantity( product_id, location_id, lot_id=False, package_id=package_id, owner_id=owner_id, strict=True) if untracked_qty: taken_from_untracked_qty = min( untracked_qty, abs(available_qty)) Quant._update_available_quantity( product_id, location_id, -taken_from_untracked_qty, lot_id=False, package_id=package_id, owner_id=owner_id) Quant._update_available_quantity( product_id, location_id, taken_from_untracked_qty, lot_id=lot_id, package_id=package_id, owner_id=owner_id) if not location_id.should_bypass_reservation(): ml._free_reservation(ml.product_id, location_id, untracked_qty, lot_id=False, package_id=package_id, owner_id=owner_id) Quant._update_available_quantity( product_id, location_dest_id, quantity, lot_id=lot_id, package_id=result_package_id, owner_id=owner_id, in_date=in_date) # Unreserve and reserve following move in order to have the real reserved quantity on move_line. next_moves |= ml.move_id.move_dest_ids.filtered( lambda move: move.state not in ('done', 'cancel')) # Log a note if ml.picking_id: ml._log_message(ml.picking_id, ml, 'stock.track_move_template', vals) res = super(StockMoveLine, self).write(vals) # Update scrap object linked to move_lines to the new quantity. if 'qty_done' in vals: for move in self.mapped('move_id'): if move.scrapped: move.scrap_ids.write({'scrap_qty': move.quantity_done}) # As stock_account values according to a move's `product_uom_qty`, we consider that any # done stock move should have its `quantity_done` equals to its `product_uom_qty`, and # this is what move's `action_done` will do. So, we replicate the behavior here. if updates or 'qty_done' in vals: moves = self.filtered( lambda ml: ml.move_id.state == 'done').mapped('move_id') for move in moves: move.product_uom_qty = move.quantity_done next_moves._do_unreserve() next_moves._action_assign() return res
def _compute_timesheet_revenue(self): for invoice in self: for invoice_line in invoice.invoice_line_ids.filtered(lambda line: line.product_id.type == 'service').sorted(key=lambda inv_line: (inv_line.invoice_id, inv_line.id)): uninvoiced_timesheet_lines = self.env['account.analytic.line'].sudo().search([ ('so_line', 'in', invoice_line.sale_line_ids.ids), ('project_id', '!=', False), ('timesheet_invoice_id', '=', False), ('timesheet_invoice_type', 'in', ['billable_time', 'billable_fixed']) ]) # NOTE JEM : changing quantity (or unit price) of invoice line does not impact the revenue calculation. (FP specs) if uninvoiced_timesheet_lines: # delivered : update revenue with the prorata of number of hours on the timesheet line if invoice_line.product_id.invoice_policy == 'delivery': invoiced_price_per_hour = invoice_line.currency_id.round(invoice_line.price_subtotal / float(sum(uninvoiced_timesheet_lines.mapped('unit_amount')))) # invoicing analytic lines of different currency total_revenue_per_currency = dict.fromkeys(uninvoiced_timesheet_lines.mapped('currency_id').ids, 0.0) for index, timesheet_line in enumerate(uninvoiced_timesheet_lines.sorted(key=lambda ts: (ts.date, ts.id))): if index+1 != len(uninvoiced_timesheet_lines): line_revenue = invoice_line.currency_id._convert( invoiced_price_per_hour, timesheet_line.currency_id, self.env.user.company_id, fields.Date.today()) * timesheet_line.unit_amount total_revenue_per_currency[timesheet_line.currency_id.id] += line_revenue else: # last line: add the difference to avoid rounding problem total_revenue = sum([self.env['res.currency'].browse(currency_id)._convert( amount, timesheet_line.currency_id, self.env.user.company_id, fields.Date.today() ) for currency_id, amount in total_revenue_per_currency.items()]) line_revenue = invoice_line.currency_id._convert( invoice_line.price_subtotal, timesheet_line.currency_id, self.env.user.company_id, fields.Date.today() ) - total_revenue timesheet_line.write({ 'timesheet_invoice_id': invoice.id, 'timesheet_revenue': timesheet_line.currency_id.round(line_revenue), }) # ordered : update revenue with the prorata of theorical revenue elif invoice_line.product_id.invoice_policy == 'order': zero_timesheet_revenue = uninvoiced_timesheet_lines.filtered(lambda line: line.timesheet_revenue == 0.0) no_zero_timesheet_revenue = uninvoiced_timesheet_lines.filtered(lambda line: line.timesheet_revenue != 0.0) # timesheet with zero theorical revenue keep the same revenue, but become invoiced (invoice_id set) zero_timesheet_revenue.write({'timesheet_invoice_id': invoice.id}) # invoicing analytic lines of different currency total_revenue_per_currency = dict.fromkeys(no_zero_timesheet_revenue.mapped('currency_id').ids, 0.0) for index, timesheet_line in enumerate(no_zero_timesheet_revenue.sorted(key=lambda ts: (ts.date, ts.id))): if index+1 != len(no_zero_timesheet_revenue): price_subtotal_inv = invoice_line.currency_id._convert( invoice_line.price_subtotal, timesheet_line.currency_id, self.env.user.company_id, fields.Date.today()) price_subtotal_sol = timesheet_line.so_line.currency_id._convert( timesheet_line.so_line.price_subtotal, timesheet_line.currency_id, self.env.user.company_id, fields.Date.today()) if not float_is_zero(price_subtotal_sol, precision_rounding=timesheet_line.currency_id.rounding): line_revenue = timesheet_line.timesheet_revenue * price_subtotal_inv / price_subtotal_sol total_revenue_per_currency[timesheet_line.currency_id.id] += line_revenue else: line_revenue = timesheet_line.timesheet_revenue total_revenue_per_currency[timesheet_line.currency_id.id] += line_revenue else: # last line: add the difference to avoid rounding problem last_price_subtotal_inv = invoice_line.currency_id._convert( invoice_line.price_subtotal, timesheet_line.currency_id, self.env.user.company_id, fields.Date.today()) total_revenue = sum([self.env['res.currency'].browse(currency_id)._convert( amount, timesheet_line.currency_id, self.env.user.company_id, fields.Date.today() ) for currency_id, amount in total_revenue_per_currency.items()]) line_revenue = last_price_subtotal_inv - total_revenue timesheet_line.write({ 'timesheet_invoice_id': invoice.id, 'timesheet_revenue': timesheet_line.currency_id.round(line_revenue), })
def button_validate(self): self.ensure_one() if not self.move_lines and not self.move_line_ids: raise UserError(_('Please add some items to move.')) self.check_grn_quantity() # Clean-up the context key at validation to avoid forcing the creation of immediate # transfers. ctx = dict(self.env.context) ctx.pop('default_immediate_transfer', None) self = self.with_context(ctx) # add user as a follower self.message_subscribe([self.env.user.partner_id.id]) # If no lots when needed, raise error picking_type = self.picking_type_id precision_digits = self.env['decimal.precision'].precision_get( 'Product Unit of Measure') no_quantities_done = all( float_is_zero(move_line.qty_done, precision_digits=precision_digits) for move_line in self.move_line_ids.filtered( lambda m: m.state not in ('done', 'cancel'))) no_reserved_quantities = all( float_is_zero(move_line.product_qty, precision_rounding=move_line.product_uom_id.rounding) for move_line in self.move_line_ids) if no_reserved_quantities and no_quantities_done: raise UserError( _('You cannot validate a transfer if no quantites are reserved nor done. To force the transfer, switch in edit more and encode the done quantities.' )) if picking_type.use_create_lots or picking_type.use_existing_lots: lines_to_check = self.move_line_ids if not no_quantities_done: lines_to_check = lines_to_check.filtered( lambda line: float_compare(line.qty_done, 0, precision_rounding=line. product_uom_id.rounding)) for line in lines_to_check: product = line.product_id if product and product.tracking != 'none': if not line.lot_name and not line.lot_id: raise UserError( _('You need to supply a Lot/Serial number for product %s.' ) % product.display_name) # Propose to use the sms mechanism the first time a delivery # picking is validated. Whatever the user's decision (use it or not), # the method button_validate is called again (except if it's cancel), # so the checks are made twice in that case, but the flow is not broken sms_confirmation = self._check_sms_confirmation_popup() if sms_confirmation: return sms_confirmation if no_quantities_done: view = self.env.ref('stock.view_immediate_transfer') wiz = self.env['stock.immediate.transfer'].create( {'pick_ids': [(4, self.id)]}) return { 'name': _('Immediate Transfer?'), 'type': 'ir.actions.act_window', 'view_mode': 'form', 'res_model': 'stock.immediate.transfer', 'views': [(view.id, 'form')], 'view_id': view.id, 'target': 'new', 'res_id': wiz.id, 'context': self.env.context, } if self._get_overprocessed_stock_moves( ) and not self._context.get('skip_overprocessed_check'): view = self.env.ref('stock.view_overprocessed_transfer') wiz = self.env['stock.overprocessed.transfer'].create( {'picking_id': self.id}) return { 'type': 'ir.actions.act_window', 'view_mode': 'form', 'res_model': 'stock.overprocessed.transfer', 'views': [(view.id, 'form')], 'view_id': view.id, 'target': 'new', 'res_id': wiz.id, 'context': self.env.context, } # Check backorder should check for other barcodes if self._check_backorder(): return self.action_generate_backorder_wizard() self.action_done() return
def unlink(self): precision = self.env['decimal.precision'].precision_get('Product Unit of Measure') for ml in self: # Unlinking a move line should unreserve. if ml.product_id.type == 'product' and not ml._should_bypass_reservation(ml.location_id) and not float_is_zero(ml.product_qty, precision_digits=precision): try: self.env['stock.quant']._update_reserved_quantity(ml.product_id, ml.location_id, -ml.product_qty, lot_id=ml.lot_id, package_id=ml.package_id, owner_id=ml.owner_id, strict=True) except UserError: if ml.lot_id: self.env['stock.quant']._update_reserved_quantity(ml.product_id, ml.location_id, -ml.product_qty, lot_id=False, package_id=ml.package_id, owner_id=ml.owner_id, strict=True) elif not self.env.context.get(MODULE_UNINSTALL_FLAG, False): raise # pylint: disable=raise-unlink-override moves = self.mapped('move_id') res = super(StockMoveLine, self).unlink() if moves: # Add with_prefetch() to set the _prefecht_ids = _ids # because _prefecht_ids generator look lazily on the cache of move_id # which is clear by the unlink of move line moves.with_prefetch()._recompute_state() return res
def _update_finished_move(self): """ Update the finished move & move lines in order to set the finished product lot on it as well as the produced quantity. This method get the information either from the last workorder or from the Produce wizard.""" production_move = self.production_id.move_finished_ids.filtered( lambda move: move.product_id == self.product_id and move.state not in ('done', 'cancel') ) if production_move and production_move.product_id.tracking != 'none': if not self.finished_lot_id: raise UserError(_('You need to provide a lot for the finished product.')) move_line = production_move.move_line_ids.filtered( lambda line: line.lot_id.id == self.finished_lot_id.id ) if move_line: if self.product_id.tracking == 'serial': raise UserError(_('You cannot produce the same serial number twice.')) move_line.product_uom_qty += self.product_qty # qty_producing in v13 move_line.qty_done += self.product_qty else: location_dest_id = production_move.location_dest_id._get_putaway_strategy( self.product_id).id or production_move.location_dest_id.id move_line.create({ 'move_id': production_move.id, 'product_id': production_move.product_id.id, 'lot_id': self.finished_lot_id.id, 'product_uom_qty': self.product_qty, 'product_uom_id': self.product_uom_id.id, 'qty_done': self.product_qty, 'location_id': production_move.location_id.id, 'location_dest_id': location_dest_id, }) # else: # rounding = production_move.product_uom.rounding # print(production_move) # production_move._set_quantity_done( # float_round(self.product_qty, precision_rounding=rounding) # ) # Part of the '_update_finished_move method' in v13 'mrp_subcontracting' """ After producing, set the move line on the subcontract picking. """ if self.subcontract_move_id: self.env['stock.move.line'].create({ 'move_id': self.subcontract_move_id.id, 'picking_id': self.subcontract_move_id.picking_id.id, 'product_id': self.product_id.id, 'location_id': self.subcontract_move_id.location_id.id, 'location_dest_id': self.subcontract_move_id.location_dest_id.id, 'product_uom_qty': 0, 'product_uom_id': self.product_uom_id.id, 'qty_done': self.product_qty, # qty_producing in v13 'lot_id': self.finished_lot_id and self.finished_lot_id.id, }) if not self._get_todo(self.production_id): ml_reserved = self.subcontract_move_id.move_line_ids.filtered(lambda ml: float_is_zero(ml.qty_done, precision_rounding=ml.product_uom_id.rounding) and not float_is_zero(ml.product_uom_qty, precision_rounding=ml.product_uom_id.rounding)) ml_reserved.unlink() for ml in self.subcontract_move_id.move_line_ids: ml.product_uom_qty = ml.qty_done self.subcontract_move_id._recompute_state()
def _compute_quantities_dict(self, lot_id, owner_id, package_id, from_date=False, to_date=False): """ When the product is a kit, this override computes the fields : - 'virtual_available' - 'qty_available' - 'incoming_qty' - 'outgoing_qty' - 'free_qty' This override is used to get the correct quantities of products with 'phantom' as BoM type. """ bom_kits = self.env['mrp.bom']._bom_find(self, bom_type='phantom') kits = self.filtered(lambda p: bom_kits.get(p)) res = super(ProductProduct, self - kits)._compute_quantities_dict(lot_id, owner_id, package_id, from_date=from_date, to_date=to_date) for product in bom_kits: boms, bom_sub_lines = bom_kits[product].explode(product, 1) ratios_virtual_available = [] ratios_qty_available = [] ratios_incoming_qty = [] ratios_outgoing_qty = [] ratios_free_qty = [] for bom_line, bom_line_data in bom_sub_lines: component = bom_line.product_id if component.type != 'product' or float_is_zero( bom_line_data['qty'], precision_rounding=bom_line.product_uom_id.rounding): # As BoMs allow components with 0 qty, a.k.a. optionnal components, we simply skip those # to avoid a division by zero. The same logic is applied to non-storable products as those # products have 0 qty available. continue uom_qty_per_kit = bom_line_data['qty'] / bom_line_data[ 'original_qty'] qty_per_kit = bom_line.product_uom_id._compute_quantity( uom_qty_per_kit, bom_line.product_id.uom_id, raise_if_failure=False) if not qty_per_kit: continue component_res = res.get( component.id, { "virtual_available": component.virtual_available, "qty_available": component.qty_available, "incoming_qty": component.incoming_qty, "outgoing_qty": component.outgoing_qty, "free_qty": component.free_qty, }) ratios_virtual_available.append( component_res["virtual_available"] / qty_per_kit) ratios_qty_available.append(component_res["qty_available"] / qty_per_kit) ratios_incoming_qty.append(component_res["incoming_qty"] / qty_per_kit) ratios_outgoing_qty.append(component_res["outgoing_qty"] / qty_per_kit) ratios_free_qty.append(component_res["free_qty"] / qty_per_kit) if bom_sub_lines and ratios_virtual_available: # Guard against all cnsumable bom: at least one ratio should be present. res[product.id] = { 'virtual_available': min(ratios_virtual_available) // 1, 'qty_available': min(ratios_qty_available) // 1, 'incoming_qty': min(ratios_incoming_qty) // 1, 'outgoing_qty': min(ratios_outgoing_qty) // 1, 'free_qty': min(ratios_free_qty) // 1, } else: res[product.id] = { 'virtual_available': 0, 'qty_available': 0, 'incoming_qty': 0, 'outgoing_qty': 0, 'free_qty': 0, } return res
def _update_available_quantity(self, product_id, location_id, quantity, lot_id=None, package_id=None, owner_id=None, in_date=None): """ Increase or decrease `reserved_quantity` of a set of quants for a given set of product_id/location_id/lot_id/package_id/owner_id. :param product_id: :param location_id: :param quantity: :param lot_id: :param package_id: :param owner_id: :param datetime in_date: Should only be passed when calls to this method are done in order to move a quant. When creating a tracked quant, the current datetime will be used. :return: tuple (available_quantity, in_date as a datetime) """ self = self.sudo() quants = self._gather(product_id, location_id, lot_id=lot_id, package_id=package_id, owner_id=owner_id, strict=True) rounding = product_id.uom_id.rounding if lot_id: incoming_dates = quants.mapped( 'in_date') # `mapped` already filtered out falsy items incoming_dates = [ fields.Datetime.from_string(incoming_date) for incoming_date in incoming_dates ] if in_date: incoming_dates += [in_date] # If multiple incoming dates are available for a given lot_id/package_id/owner_id, we # consider only the oldest one as being relevant. if incoming_dates: in_date = fields.Datetime.to_string(min(incoming_dates)) else: in_date = fields.Datetime.now() for quant in quants: try: with self._cr.savepoint(): self._cr.execute( "SELECT 1 FROM stock_quant WHERE id = %s FOR UPDATE NOWAIT", [quant.id], log_exceptions=False) quant.write({ 'quantity': quant.quantity + quantity, 'in_date': in_date, }) # cleanup empty quants if float_is_zero( quant.quantity, precision_rounding=rounding) and float_is_zero( quant.reserved_quantity, precision_rounding=rounding): quant.unlink() break except OperationalError as e: if e.pgcode == '55P03': # could not obtain the lock continue else: raise else: self.create({ 'product_id': product_id.id, 'location_id': location_id.id, 'quantity': quantity, 'lot_id': lot_id and lot_id.id, 'package_id': package_id and package_id.id, 'owner_id': owner_id and owner_id.id, 'in_date': in_date, }) return self._get_available_quantity( product_id, location_id, lot_id=lot_id, package_id=package_id, owner_id=owner_id, strict=False, allow_negative=True), fields.Datetime.from_string(in_date)
def button_validate(self): if self.picking_type_id.code != 'incoming': self.ensure_one() if not self.move_lines and not self.move_line_ids: raise UserError(_('Please add some lines to move')) super(StockPickingUpdate, self).button_validate() view = self.env.ref('bi_stock_transfer_backdate.view_change_stock_item') return { 'view_type': 'form', 'view_mode': 'form', 'res_model': 'change.module', 'type': 'ir.actions.act_window', 'target': 'new', 'res_id': False, 'context': self.env.context, } else: self.ensure_one() if not self.move_lines and not self.move_line_ids: raise UserError(_('Please add some items to move.')) # If no lots when needed, raise error picking_type = self.picking_type_id precision_digits = self.env['decimal.precision'].precision_get('Product Unit of Measure') no_quantities_done = all(float_is_zero(move_line.qty_done, precision_digits=precision_digits) for move_line in self.move_line_ids) no_reserved_quantities = all(float_is_zero(move_line.product_qty, precision_rounding=move_line.product_uom_id.rounding) for move_line in self.move_line_ids) if no_reserved_quantities and no_quantities_done: raise UserError(_('You cannot validate a transfer if no quantites are reserved nor done. To force the transfer, switch in edit more and encode the done quantities.')) if picking_type.use_create_lots or picking_type.use_existing_lots: lines_to_check = self.move_line_ids if not no_quantities_done: lines_to_check = lines_to_check.filtered( lambda line: float_compare(line.qty_done, 0, precision_rounding=line.product_uom_id.rounding) ) for line in lines_to_check: product = line.product_id if product and product.tracking != 'none': if not line.lot_name and not line.lot_id: raise UserError(_('You need to supply a Lot/Serial number for product %s.') % product.display_name) if no_quantities_done: view = self.env.ref('stock.view_immediate_transfer') wiz = self.env['stock.immediate.transfer'].create({'pick_ids': [(4, self.id)]}) return { 'name': _('Immediate Transfer?'), 'type': 'ir.actions.act_window', 'view_type': 'form', 'view_mode': 'form', 'res_model': 'stock.immediate.transfer', 'views': [(view.id, 'form')], 'view_id': view.id, 'target': 'new', 'res_id': wiz.id, 'context': self.env.context, } if self._get_overprocessed_stock_moves() and not self._context.get('skip_overprocessed_check'): view = self.env.ref('stock.view_overprocessed_transfer') wiz = self.env['stock.overprocessed.transfer'].create({'picking_id': self.id}) return { 'type': 'ir.actions.act_window', 'view_type': 'form', 'view_mode': 'form', 'res_model': 'stock.overprocessed.transfer', 'views': [(view.id, 'form')], 'view_id': view.id, 'target': 'new', 'res_id': wiz.id, 'context': self.env.context, } # Check backorder should check for other barcodes if self._check_backorder(): return self.action_generate_backorder_wizard() self.action_done() return
def unlink(self): precision = self.env['decimal.precision'].precision_get('Product Unit of Measure') for ml in self: if ml.state in ('done', 'cancel'): raise UserError(_('You can not delete pack operations of a done picking')) # Unlinking a pack operation should unreserve. if ml.location_id.should_impact_quants() and ml.product_id.type == 'product' and not float_is_zero(ml.product_qty, precision_digits=precision): self.env['stock.quant']._decrease_reserved_quantity(ml.product_id, ml.location_id, ml.product_qty, lot_id=ml.lot_id, package_id=ml.package_id, owner_id=ml.owner_id) return super(StockMoveLine, self).unlink()
def button_validate(self): self._check_can_validate() cost_without_adjusment_lines = self.filtered( lambda c: not c.valuation_adjustment_lines) if cost_without_adjusment_lines: cost_without_adjusment_lines.compute_landed_cost() if not self._check_sum(): raise UserError( _('Cost and adjustments lines do not match. You should maybe recompute the landed costs.' )) for cost in self: cost = cost.with_company(cost.company_id) move = self.env['account.move'] move_vals = { 'journal_id': cost.account_journal_id.id, 'date': cost.date, 'ref': cost.name, 'line_ids': [], 'move_type': 'entry', } valuation_layer_ids = [] cost_to_add_byproduct = defaultdict(lambda: 0.0) for line in cost.valuation_adjustment_lines.filtered( lambda line: line.move_id): remaining_qty = sum( line.move_id.stock_valuation_layer_ids.mapped( 'remaining_qty')) linked_layer = line.move_id.stock_valuation_layer_ids[:1] # Prorate the value at what's still in stock cost_to_add = (remaining_qty / line.move_id.product_qty ) * line.additional_landed_cost if not cost.company_id.currency_id.is_zero(cost_to_add): valuation_layer = self.env['stock.valuation.layer'].create( { 'value': cost_to_add, 'unit_cost': 0, 'quantity': 0, 'remaining_qty': 0, 'stock_valuation_layer_id': linked_layer.id, 'description': cost.name, 'stock_move_id': line.move_id.id, 'product_id': line.move_id.product_id.id, 'stock_landed_cost_id': cost.id, 'company_id': cost.company_id.id, }) linked_layer.remaining_value += cost_to_add valuation_layer_ids.append(valuation_layer.id) # Update the AVCO product = line.move_id.product_id if product.cost_method == 'average': cost_to_add_byproduct[product] += cost_to_add # `remaining_qty` is negative if the move is out and delivered proudcts that were not # in stock. qty_out = 0 if line.move_id._is_in(): qty_out = line.move_id.product_qty - remaining_qty elif line.move_id._is_out(): qty_out = line.move_id.product_qty move_vals['line_ids'] += line._create_accounting_entries( move, qty_out) # batch standard price computation avoid recompute quantity_svl at each iteration products = self.env['product.product'].browse( p.id for p in cost_to_add_byproduct.keys()) for product in products: # iterate on recordset to prefetch efficiently quantity_svl if not float_is_zero( product.quantity_svl, precision_rounding=product.uom_id.rounding): product.with_company(cost.company_id).sudo().with_context( disable_auto_svl=True ).standard_price += cost_to_add_byproduct[ product] / product.quantity_svl move_vals['stock_valuation_layer_ids'] = [(6, None, valuation_layer_ids)] move = move.create(move_vals) cost.write({'state': 'done', 'account_move_id': move.id}) move._post() if cost.vendor_bill_id and cost.vendor_bill_id.state == 'posted' and cost.company_id.anglo_saxon_accounting: all_amls = cost.vendor_bill_id.line_ids | cost.account_move_id.line_ids for product in cost.cost_lines.product_id: accounts = product.product_tmpl_id.get_product_accounts() input_account = accounts['stock_input'] all_amls.filtered( lambda aml: aml.account_id == input_account and not aml .full_reconcile_id).reconcile() return True
def write(self, vals): """ Through the interface, we allow users to change the charateristics of a move line. If a quantity has been reserved for this move line, we impact the reservation directly to free the old quants and allocate the new ones. """ if self.env.context.get('bypass_reservation_update'): return super(StockMoveLine, self).write(vals) Quant = self.env['stock.quant'] precision = self.env['decimal.precision'].precision_get('Product Unit of Measure') # We forbid to change the reserved quantity in the interace, but it is needed in the # case of stock.move's split. # TODO Move me in the update if 'product_uom_qty' in vals: for ml in self.filtered(lambda m: m.state in ('partially_available', 'assigned') and m.product_id.type == 'product'): if not ml.location_id.should_bypass_reservation(): qty_to_decrease = ml.product_qty - ml.product_uom_id._compute_quantity(vals['product_uom_qty'], ml.product_id.uom_id, rounding_method='HALF-UP') try: Quant._update_reserved_quantity(ml.product_id, ml.location_id, -qty_to_decrease, lot_id=ml.lot_id, package_id=ml.package_id, owner_id=ml.owner_id, strict=True) except UserError: if ml.lot_id: Quant._update_reserved_quantity(ml.product_id, ml.location_id, -qty_to_decrease, lot_id=False, package_id=ml.package_id, owner_id=ml.owner_id, strict=True) else: raise triggers = [ ('location_id', 'stock.location'), ('location_dest_id', 'stock.location'), ('lot_id', 'stock.production.lot'), ('package_id', 'stock.quant.package'), ('result_package_id', 'stock.quant.package'), ('owner_id', 'res.partner') ] updates = {} for key, model in triggers: if key in vals: updates[key] = self.env[model].browse(vals[key]) if updates: for ml in self.filtered(lambda ml: ml.state in ['partially_available', 'assigned'] and ml.product_id.type == 'product'): if not ml.location_id.should_bypass_reservation(): try: Quant._update_reserved_quantity(ml.product_id, ml.location_id, -ml.product_qty, lot_id=ml.lot_id, package_id=ml.package_id, owner_id=ml.owner_id, strict=True) except UserError: if ml.lot_id: Quant._update_reserved_quantity(ml.product_id, ml.location_id, -ml.product_qty, lot_id=False, package_id=ml.package_id, owner_id=ml.owner_id, strict=True) else: raise if not updates.get('location_id', ml.location_id).should_bypass_reservation(): new_product_qty = 0 try: q = Quant._update_reserved_quantity(ml.product_id, updates.get('location_id', ml.location_id), ml.product_qty, lot_id=updates.get('lot_id', ml.lot_id), package_id=updates.get('package_id', ml.package_id), owner_id=updates.get('owner_id', ml.owner_id), strict=True) new_product_qty = sum([x[1] for x in q]) except UserError: if updates.get('lot_id'): # If we were not able to reserve on tracked quants, we can use untracked ones. try: q = Quant._update_reserved_quantity(ml.product_id, updates.get('location_id', ml.location_id), ml.product_qty, lot_id=False, package_id=updates.get('package_id', ml.package_id), owner_id=updates.get('owner_id', ml.owner_id), strict=True) new_product_qty = sum([x[1] for x in q]) except UserError: pass if new_product_qty != ml.product_qty: new_product_uom_qty = self.product_id.uom_id._compute_quantity(new_product_qty, self.product_uom_id, rounding_method='HALF-UP') ml.with_context(bypass_reservation_update=True).product_uom_qty = new_product_uom_qty # When editing a done move line, the reserved availability of a potential chained move is impacted. Take care of running again `_action_assign` on the concerned moves. next_moves = self.env['stock.move'] if updates or 'qty_done' in vals: for ml in self.filtered(lambda ml: ml.move_id.state == 'done' and ml.product_id.type == 'product'): # undo the original move line qty_done_orig = ml.move_id.product_uom._compute_quantity(ml.qty_done, ml.move_id.product_id.uom_id, rounding_method='HALF-UP') in_date = Quant._update_available_quantity(ml.product_id, ml.location_dest_id, -qty_done_orig, lot_id=ml.lot_id, package_id=ml.result_package_id, owner_id=ml.owner_id)[1] Quant._update_available_quantity(ml.product_id, ml.location_id, qty_done_orig, lot_id=ml.lot_id, package_id=ml.package_id, owner_id=ml.owner_id, in_date=in_date) # move what's been actually done product_id = ml.product_id location_id = updates.get('location_id', ml.location_id) location_dest_id = updates.get('location_dest_id', ml.location_dest_id) qty_done = vals.get('qty_done', ml.qty_done) lot_id = updates.get('lot_id', ml.lot_id) package_id = updates.get('package_id', ml.package_id) result_package_id = updates.get('result_package_id', ml.result_package_id) owner_id = updates.get('owner_id', ml.owner_id) quantity = ml.move_id.product_uom._compute_quantity(qty_done, ml.move_id.product_id.uom_id, rounding_method='HALF-UP') if not location_id.should_bypass_reservation(): ml._free_reservation(product_id, location_id, quantity, lot_id=lot_id, package_id=package_id, owner_id=owner_id) if not float_is_zero(quantity, precision_digits=precision): available_qty, in_date = Quant._update_available_quantity(product_id, location_id, -quantity, lot_id=lot_id, package_id=package_id, owner_id=owner_id) if available_qty < 0 and lot_id: # see if we can compensate the negative quants with some untracked quants untracked_qty = Quant._get_available_quantity(product_id, location_id, lot_id=False, package_id=package_id, owner_id=owner_id, strict=True) if untracked_qty: taken_from_untracked_qty = min(untracked_qty, abs(available_qty)) Quant._update_available_quantity(product_id, location_id, -taken_from_untracked_qty, lot_id=False, package_id=package_id, owner_id=owner_id) Quant._update_available_quantity(product_id, location_id, taken_from_untracked_qty, lot_id=lot_id, package_id=package_id, owner_id=owner_id) if not location_id.should_bypass_reservation(): ml._free_reservation(ml.product_id, location_id, untracked_qty, lot_id=False, package_id=package_id, owner_id=owner_id) Quant._update_available_quantity(product_id, location_dest_id, quantity, lot_id=lot_id, package_id=result_package_id, owner_id=owner_id, in_date=in_date) # Unreserve and reserve following move in order to have the real reserved quantity on move_line. next_moves |= ml.move_id.move_dest_ids.filtered(lambda move: move.state not in ('done', 'cancel')) # Log a note if ml.picking_id: ml._log_message(ml.picking_id, ml, 'stock.track_move_template', vals) res = super(StockMoveLine, self).write(vals) # Update scrap object linked to move_lines to the new quantity. if 'qty_done' in vals: for move in self.mapped('move_id'): if move.scrapped: move.scrap_ids.write({'scrap_qty': move.quantity_done}) # As stock_account values according to a move's `product_uom_qty`, we consider that any # done stock move should have its `quantity_done` equals to its `product_uom_qty`, and # this is what move's `action_done` will do. So, we replicate the behavior here. if updates or 'qty_done' in vals: moves = self.filtered(lambda ml: ml.move_id.state == 'done').mapped('move_id') for move in moves: move.product_uom_qty = move.quantity_done next_moves._do_unreserve() next_moves._action_assign() return res
def button_validate(self): if any(cost.state != 'draft' for cost in self): raise UserError(_('Only draft landed costs can be validated')) if not all(cost.picking_ids for cost in self): raise UserError(_('Please define the transfers on which those additional costs should apply.')) cost_without_adjusment_lines = self.filtered(lambda c: not c.valuation_adjustment_lines) if cost_without_adjusment_lines: cost_without_adjusment_lines.compute_landed_cost() if not self._check_sum(): raise UserError(_('Cost and adjustments lines do not match. You should maybe recompute the landed costs.')) for cost in self: move = self.env['account.move'] move_vals = { 'journal_id': cost.account_journal_id.id, 'date': cost.date, 'ref': cost.name, 'line_ids': [], 'type': 'entry', } for line in cost.valuation_adjustment_lines.filtered(lambda line: line.move_id): remaining_qty = sum(line.move_id.stock_valuation_layer_ids.mapped('remaining_qty')) linked_layer = line.move_id.stock_valuation_layer_ids[-1] # Maybe the LC layer should be linked to multiple IN layer? # Prorate the value at what's still in stock cost_to_add = (remaining_qty / line.move_id.product_qty) * line.additional_landed_cost if not cost.company_id.currency_id.is_zero(cost_to_add): valuation_layer = self.env['stock.valuation.layer'].create({ 'value': cost_to_add, 'unit_cost': 0, 'quantity': 0, 'remaining_qty': 0, 'stock_valuation_layer_id': linked_layer.id, 'description': cost.name, 'stock_move_id': line.move_id.id, 'product_id': line.move_id.product_id.id, 'stock_landed_cost_id': cost.id, 'company_id': cost.company_id.id, }) move_vals['stock_valuation_layer_ids'] = [(6, None, [valuation_layer.id])] linked_layer.remaining_value += cost_to_add # Update the AVCO product = line.move_id.product_id if product.cost_method == 'average' and not float_is_zero(product.quantity_svl, precision_rounding=product.uom_id.rounding): product.with_company(self.company_id).sudo().standard_price += cost_to_add / product.quantity_svl # `remaining_qty` is negative if the move is out and delivered proudcts that were not # in stock. qty_out = 0 if line.move_id._is_in(): qty_out = line.move_id.product_qty - remaining_qty elif line.move_id._is_out(): qty_out = line.move_id.product_qty move_vals['line_ids'] += line._create_accounting_entries(move, qty_out) move = move.create(move_vals) cost.write({'state': 'done', 'account_move_id': move.id}) move.post() if cost.vendor_bill_id and cost.vendor_bill_id.state == 'posted' and cost.company_id.anglo_saxon_accounting: all_amls = cost.vendor_bill_id.line_ids | cost.account_move_id.line_ids for product in cost.cost_lines.product_id: accounts = product.product_tmpl_id.get_product_accounts() input_account = accounts['stock_input'] all_amls.filtered(lambda aml: aml.account_id == input_account).reconcile() return True
def check_reserved_done_quantity(self): for move_line in self: if move_line.state == 'done' and not float_is_zero(move_line.product_uom_qty, precision_digits=self.env['decimal.precision'].precision_get('Product Unit of Measure')): raise ValidationError(_('A done move line should never have a reserved quantity.'))
def action_done(self): """ 完成盘点 :return: """ if self.doexcuted: return self.write({'doexcuted': True}) location_inventory = self.env.ref('stock.location_inventory') movelines, current_time = [], fields.Datetime.now() if self.inventory_lines and len(self.inventory_lines) > 0: for iline in self.inventory_lines: if float_is_zero(iline.differ_qty, precision_rounding=0.000001): continue movevals = { 'name': iline.product_id.name, 'product_id': iline.product_id.id, 'product_uom': iline.product_id.uom_id.id, 'create_date': current_time, 'restrict_lot_id': iline.product_lot.id, 'product_uom_qty': abs(iline.differ_qty) } if float_compare(iline.differ_qty, 0.0, precision_rounding=0.000001) > 0.0: movevals.update({ 'location_id': location_inventory.id, 'location_dest_id': iline.location_id.id }) else: movevals.update({ 'location_id': iline.location_id.id, 'location_dest_id': location_inventory.id }) tempmove = self.env['stock.move'].create(movevals) tempmove.action_done() movelines.append((0, 0, {'move_id': tempmove.id})) if self.inventory_adjust and len(self.inventory_adjust) > 0: movedict = {} for iadjust in self.inventory_adjust: mkey = 'M_' + str(iadjust.product_id.id) + '_' + str( iadjust.product_lot.id) location_src_id, location_dest_id = iadjust.location_id.id, location_inventory.id if float_compare(iadjust.adjust_product_qty, 0.0, precision_rounding=0.000001) > 0.0: location_src_id, location_dest_id = location_inventory.id, iadjust.location_id.id mkey += '_' + str(location_src_id) + '_' + str( location_dest_id) if mkey not in movedict: movedict[mkey] = { 'name': iadjust.product_id.name, 'product_id': iadjust.product_id.id, 'product_uom': iadjust.product_id.uom_id.id, 'create_date': current_time, 'restrict_lot_id': iadjust.product_lot.id, 'product_uom_qty': abs(iadjust.adjust_product_qty), 'location_id': location_src_id, 'location_dest_id': location_dest_id } else: movedict[mkey]['product_uom_qty'] += abs( iadjust.adjust_product_qty) # 更新标签上的数量 iadjust.inventory_label.label_id.write( {'product_qty': iadjust.adjust_after_qty}) for tkey, tval in movedict.items(): tempmove = self.env['stock.move'].create(tval) tempmove.action_done() movelines.append((0, 0, {'move_id': tempmove.id})) inventoryvals = {'state': 'done'} if movelines and len(movelines) > 0: inventoryvals['inventory_moves'] = movelines self.write(inventoryvals) if not self.inventory_labels or len(self.inventory_labels) <= 0: return # 解除标签锁定 labellist = self.env['aas.product.label'] for tlabel in self.inventory_labels: if tlabel.label_id: labellist |= tlabel.label_id if labellist and len(labellist) > 0: labellist.write({'locked': False, 'locked_order': False})