Exemplo n.º 1
0
    def setUp(self):
        BookSession.setUp(self)

        self.today = datetime.today()

        self.bank = Account(self.book)
        self.bank.SetType(ACCT_TYPE_BANK)
        self.bank.SetCommodity(self.currency)
        self.income = Account(self.book)
        self.income.SetType(ACCT_TYPE_INCOME)
        self.income.SetCommodity(self.currency)
        self.receivable = Account(self.book)
        self.receivable.SetType(ACCT_TYPE_RECEIVABLE)
        self.receivable.SetCommodity(self.currency)

        self.customer = Customer(self.book,'CustomerID',self.currency)
        self.vendor = Vendor(self.book,'VendorID',self.currency)
        self.employee = Employee(self.book,'EmployeeID',self.currency)
        self.job = Job(self.book,'JobID',self.customer)

        self.invoice = Invoice(self.book,'InvoiceID',self.currency,self.customer)
        self.invoice.SetDateOpened(self.today)
        entry = Entry(self.book)
        entry.SetDate(self.today)
        entry.SetDescription("Some income")
        entry.SetQuantity(GncNumeric(1))
        entry.SetInvAccount(self.income)
        entry.SetInvPrice(GncNumeric(100))
        self.invoice.AddEntry(entry)

        self.invoice.PostToAccount(self.receivable,
            self.today, self.today, "", True, False)
Exemplo n.º 2
0
    invoice_vendor = Invoice(book, "7", CAD, new_vendor)
    vendor_extract = invoice_vendor.GetOwner()
    assert (isinstance(vendor_extract, Vendor))
    assert (vendor_extract.GetName() == new_vendor.GetName())

    invoice_job = Invoice(book, "8", CAD, new_job)
    job_extract = invoice_job.GetOwner()
    assert (isinstance(job_extract, Job))
    assert (job_extract.GetName() == new_job.GetName())

    invoice_entry = Entry(book, invoice_customer)
    invoice_entry.SetInvTaxTable(tax_table)
    invoice_entry.SetInvTaxIncluded(False)
    invoice_entry.SetDescription("excellent product")
    invoice_entry.SetQuantity(GncNumeric(1))
    invoice_entry.SetInvAccount(a3)
    invoice_entry.SetInvPrice(GncNumeric(1))
    invoice_entry.SetDateEntered(datetime.datetime.now())

    invoice_customer.PostToAccount(a2, datetime.date.today(),
                                   datetime.date.today(), "the memo", True,
                                   False)

    new_customer.ApplyPayment(None, None, a2, a6, GncNumeric(100, 100),
                              GncNumeric(1), datetime.date.today(), "", "",
                              True)

    invoice_customer.ApplyPayment(None, a6, GncNumeric(7, 100), GncNumeric(1),
                                  datetime.date.today(), "", "")

    vendor_bill_returns = book.BillLoookupByID("7")
Exemplo n.º 3
0
book = s.book
root = book.get_root_account()
commod_table = book.get_table()
CAD = commod_table.lookup('CURRENCY', 'CAD')

my_customer = book.CustomerLookupByID(argv[2])
assert (my_customer != None)
assert (isinstance(my_customer, Customer))

assets = root.lookup_by_name("Assets")
receivables = assets.lookup_by_name("Receivables")
income = root.lookup_by_name("Income")

invoice = Invoice(book, argv[3], CAD, my_customer)
description = argv[4]
invoice_value = gnc_numeric_from_decimal(Decimal(argv[5]))
tax_table = book.TaxTableLookupByName('good tax')
invoice_entry = Entry(book, invoice)
invoice_entry.SetInvTaxTable(tax_table)
invoice_entry.SetInvTaxIncluded(False)
invoice_entry.SetDescription(description)
invoice_entry.SetQuantity(GncNumeric(1))
invoice_entry.SetInvAccount(income)
invoice_entry.SetInvPrice(invoice_value)

invoice.PostToAccount(receivables, datetime.date.today(),
                      datetime.date.today(), "", True, False)

s.save()
s.end()
Exemplo n.º 4
0
Arquivo: tax.py Projeto: jfishe/qb2gnc
def new_transaction(root, book, out, USD):
    # global existing_customers, existing_vendors
    # Assemble the invoice dictionary
    isinvoice = False
    isbill = False
    isinvpayment = False
    isbillpayment = False
    isentry = False

    for row in out:
        if 'type' in row.keys():
            rtype = row['type']
        else:
            rtype = ''

        if rtype:
            new_rtype, date_opened = get_rtype(row)
            new_rtype['entries'] = []

            if rtype == 'Invoice':
                isinvoice = True
            elif rtype == 'Payment':
                isinvpayment = True
            elif rtype == 'Sales Tax Payment':
                isentry = True
            elif rtype == 'Paycheck':
                continue
            elif rtype == 'Bill':
                isbill = True
            elif rtype == 'Credit':
                isbill = True
            elif rtype == 'Bill Pmt -CCard':
                isbillpayment = True
            else:
                isentry = True

        elif 'account' in row.keys():
            if row['account']:
                test, new_entry = get_entries(row, date_opened)
                if test == 'tax_table':
                    new_rtype['tax_table'] = new_entry['tax_table']
                    new_rtype['tax_rate'] = new_entry['price']
                elif test == 'entry':
                    new_rtype['entries'].append(new_entry)

                    # No account in total row, so process entries
        elif isentry:
            trans1 = Transaction(book)
            trans1.BeginEdit()
            trans1.SetCurrency(USD)
            if 'owner' in new_rtype.keys():
                trans1.SetDescription(new_rtype['owner'])
            trans1.SetDateEnteredTS(
                new_rtype['date_opened'] + datetime.timedelta(microseconds=1))
            trans1.SetDatePostedTS(
                new_rtype['date_opened'] + datetime.timedelta(microseconds=1))
            if 'num' in new_rtype.keys():
                trans1.SetNum(new_rtype['num'])
            if 'notes' in new_rtype.keys():
                trans1.SetNotes = new_rtype['notes']

            if new_rtype['account'] != '-SPLIT-':
                split1 = Split(book)
                split1.SetParent(trans1)
                # if new_rtype['type'] == 'Deposit':
                # new_rtype['amount'] = new_rtype['amount'].neg()
                split1.SetAccount(root.lookup_by_name(new_rtype['account']))
                # if split1.GetAccount() == ACCT_TYPE_EQUITY:
                # isequity = True
                # new_rtype['amount'] = new_rtype['amount'].neg()
                # else:
                # isequity = False
                split1.SetValue(new_rtype['amount'])
                if 'owner' in new_rtype.keys():
                    split1.SetMemo(new_rtype['owner'])
                    # split1.SetAction(get_action(new_rtype['type']))

            for entry in new_rtype['entries']:
                if 'amount' in entry.keys():
                    split1 = Split(book)
                    split1.SetParent(trans1)
                    # if isequity:
                    # entry['amount'] = entry['amount'].neg()
                    split1.SetValue(entry['amount'])
                    split1.SetAccount(root.lookup_by_name(entry['account']))
                    if 'description' in entry.keys():
                        split1.SetMemo(entry['description'])
            # split1.SetAction(get_action(new_rtype['type']))
            trans1.CommitEdit()

            isentry = False

        elif isinvpayment:
            try:
                owner = GetCustomers.iscustomer(new_rtype['owner'])
                assert (isinstance(owner, Customer))
            except AssertionError:
                print 'Customer %s does not exist; skipping' % \
                      new_rtype['owner']
                continue

            xfer_acc = root.lookup_by_name(new_rtype['account'])
            date_opened = new_rtype['date_opened']
            if 'notes' in new_rtype.keys():
                notes = new_rtype['notes']
            else:
                notes = ''
            if 'num' in new_rtype.keys():
                num = new_rtype['num']
            else:
                num = ''
            for entry in new_rtype['entries']:
                posted_acc = root.lookup_by_name(entry['account'])

                owner.ApplyPayment(None, None, posted_acc, xfer_acc,
                                   new_rtype['amount'], entry['amount'],
                                   date_opened, notes, num, False)
            isinvpayment = False

        elif isbillpayment:
            try:
                owner = GetVendors.isvendor(new_rtype['owner'])
                assert (isinstance(owner, Vendor))
            except AssertionError:
                print 'Vendor %s does not exist; skipping' % \
                      new_rtype['owner']
                continue

            xfer_acc = root.lookup_by_name(new_rtype['account'])
            date_opened = new_rtype['date_opened']
            if 'notes' in new_rtype.keys():
                notes = new_rtype['notes']
            else:
                notes = ''
            if 'num' in new_rtype.keys():
                num = new_rtype['num']
            else:
                num = ''
            for entry in new_rtype['entries']:
                posted_acc = root.lookup_by_name(entry['account'])

                owner.ApplyPayment(None, None, posted_acc, xfer_acc,
                                   new_rtype['amount'], entry['amount'],
                                   date_opened, notes, num, False)
            isbillpayment = False

        # new_customer.ApplyPayment(self, invoice, posted_acc, xfer_acc, amount,
        # exch, date, memo, num)
        # new_customer.ApplyPayment(None, None, a2, a6, GncNumeric(100,100),
        # GncNumeric(1), datetime.date.today(), "", "", False)

        # invoice_customer.ApplyPayment(None, a6, GncNumeric(7,100),
        # GncNumeric(1), datetime.date.today(), "", "")

        elif isbill:
            # put item on entries!!!
            # Accumulate splits
            # QuickBooks Journal has a total row after splits,
            # which is used to detect the end of splits.
            try:
                owner = GetVendors.isvendor(new_rtype['owner'])
                assert (isinstance(owner, Vendor))
            except AssertionError:
                print 'Vendor %s does not exist; skipping' % \
                      new_rtype['owner']
                continue

            try:
                cid = book.BillNextID(owner)
            # save Bill ID and tax rate for xml overlay.
            # ReplaceTax.bill(cid, new_rtype['tax_rate'])
            except:
                raise

            bill_vendor = Bill(book, cid, USD, owner)
            vendor_extract = bill_vendor.GetOwner()
            assert (isinstance(vendor_extract, Vendor))
            assert (vendor_extract.GetName() == owner.GetName())

            if new_rtype['type'] == 'Credit':
                bill_vendor.SetIsCreditNote(True)

            bill_vendor.SetDateOpened(new_rtype['date_opened'])

            if 'notes' in new_rtype.keys():
                bill_vendor.SetNotes(new_rtype['notes'])

            if 'num' in new_rtype.keys():
                bill_vendor.SetBillingID(new_rtype['num'])

            if 'tax_table' in new_rtype.keys():
                tax_table = book.TaxTableLookupByName(new_rtype['tax_table'])
                assert (isinstance(tax_table, TaxTable))

            # Add the entries
            for entry in new_rtype['entries']:
                # skip entries that link COGS and Billentory
                if 'quantity' not in entry.keys():
                    continue
                bill_entry = Entry(book, bill_vendor)

                account = root.lookup_by_name(entry['account'])
                assert (isinstance(account, Account))
                bill_entry.SetBillAccount(account)

                if 'tax_table' in new_rtype.keys():
                    bill_entry.SetBillTaxTable(tax_table)
                    bill_entry.SetBillTaxIncluded(False)
                else:
                    bill_entry.SetBillTaxable(False)

                if 'description' in entry.keys():
                    bill_entry.SetDescription(entry['description'])
                bill_entry.SetQuantity(entry['quantity'])
                bill_entry.SetBillPrice(entry['price'])
                bill_entry.SetDateEntered(entry['date'])
                bill_entry.SetDate(entry['date'])
                if 'notes' in entry.keys():
                    bill_entry.SetNotes(entry['notes'])

            isbill = False

            # Post bill
            account = root.lookup_by_name(new_rtype['account'])
            assert (isinstance(account, Account))
            bill_vendor.PostToAccount(account, new_rtype['date_opened'], new_rtype['date_opened'],
                                      str(new_rtype['owner']), True, False)

        elif isinvoice:
            # put item on entries!!!
            # Accumulate splits
            # QuickBooks Journal has a total row after splits,
            # which is used to detect the end of splits.
            try:
                owner = GetCustomers.iscustomer(new_rtype['owner'])
                assert (isinstance(owner, Customer))
            except AssertionError:
                print 'Customer %s does not exist; skipping' % \
                      new_rtype['owner']
                continue

            try:
                cid = book.InvoiceNextID(owner)
            # save Invoice ID and tax rate for xml overlay.
            # ReplaceTax.invoice(cid, new_rtype['tax_rate'])
            except:
                raise

            invoice_customer = Invoice(book, cid, USD, owner)
            customer_extract = invoice_customer.GetOwner()
            assert (isinstance(customer_extract, Customer))
            assert (customer_extract.GetName() == owner.GetName())

            invoice_customer.SetDateOpened(new_rtype['date_opened'])

            if 'notes' in new_rtype.keys():
                invoice_customer.SetNotes(new_rtype['notes'])

            if 'num' in new_rtype.keys():
                invoice_customer.SetBillingID(new_rtype['num'])

            if 'tax_table' in new_rtype.keys():
                tax_table = book.TaxTableLookupByName(new_rtype['tax_table'])
                assert (isinstance(tax_table, TaxTable))

            # assert( not isinstance( \
            # book.InvoiceLookupByID(new_rtype['id']), Invoice))

            # Add the entries
            for entry in new_rtype['entries']:
                invoice_entry = Entry(book, invoice_customer)

                account = root.lookup_by_name(entry['account'])
                assert (isinstance(account, Account))
                invoice_entry.SetInvAccount(account)

                if 'tax_table' in new_rtype.keys():
                    invoice_entry.SetInvTaxTable(tax_table)
                    invoice_entry.SetInvTaxIncluded(False)
                else:
                    invoice_entry.SetInvTaxable(False)

                invoice_entry.SetDescription(entry['description'])
                invoice_entry.SetQuantity(entry['quantity'])
                invoice_entry.SetInvPrice(entry['price'])
                invoice_entry.SetDateEntered(entry['date'])
                invoice_entry.SetDate(entry['date'])
                if 'notes' in entry.keys():
                    invoice_entry.SetNotes(entry['notes'])

            isinvoice = False

            # Post invoice
            account = root.lookup_by_name(new_rtype['account'])
            assert (isinstance(account, Account))
            invoice_customer.PostToAccount(account, new_rtype['date_opened'], new_rtype['date_opened'],
                                           str(new_rtype['owner']), True, False)
            # ReplaceTax.replace(gnc_file.path)

    return 0