Merge branch 'master' of github.com:webnotes/erpnext
diff --git a/accounts/doctype/account/account.js b/accounts/doctype/account/account.js
index 6b06572..9ccb16b 100644
--- a/accounts/doctype/account/account.js
+++ b/accounts/doctype/account/account.js
@@ -18,12 +18,22 @@
cur_frm.toggle_display('account_name', doc.__islocal);
// hide fields if group
- cur_frm.toggle_display(['account_type', 'master_type', 'master_name', 'freeze_account',
+ cur_frm.toggle_display(['account_type', 'master_type', 'master_name',
'credit_days', 'credit_limit', 'tax_rate'], doc.group_or_ledger=='Ledger')
// disable fields
cur_frm.toggle_enable(['account_name', 'debit_or_credit', 'group_or_ledger',
'is_pl_account', 'company'], false);
+
+ if(doc.group_or_ledger=='Ledger') {
+ wn.model.with_doc("Accounts Settings", "Accounts Settings", function (name) {
+ var accounts_settings = wn.model.get_doc("Accounts Settings", name);
+ var display = accounts_settings["frozen_accounts_modifier"]
+ && in_list(user_roles, accounts_settings["frozen_accounts_modifier"]);
+
+ cur_frm.toggle_display('freeze_account', display);
+ });
+ }
// read-only for root accounts
if(!doc.parent_account) {
@@ -32,10 +42,10 @@
} else {
// credit days and type if customer or supplier
cur_frm.set_intro(null);
- cur_frm.toggle_display(['credit_days', 'credit_limit', 'master_name'],
- in_list(['Customer', 'Supplier'], doc.master_type));
-
- // hide tax_rate
+ cur_frm.toggle_display(['credit_days', 'credit_limit'], in_list(['Customer', 'Supplier'],
+ doc.master_type));
+
+ cur_frm.cscript.master_type(doc, cdt, cdn);
cur_frm.cscript.account_type(doc, cdt, cdn);
// show / hide convert buttons
@@ -44,7 +54,10 @@
}
cur_frm.cscript.master_type = function(doc, cdt, cdn) {
- cur_frm.toggle_display(['credit_days', 'credit_limit', 'master_name'],
+ cur_frm.toggle_display(['credit_days', 'credit_limit'], in_list(['Customer', 'Supplier'],
+ doc.master_type));
+
+ cur_frm.toggle_display('master_name', doc.account_type=='Warehouse' ||
in_list(['Customer', 'Supplier'], doc.master_type));
}
@@ -58,10 +71,10 @@
// -----------------------------------------
cur_frm.cscript.account_type = function(doc, cdt, cdn) {
if(doc.group_or_ledger=='Ledger') {
- cur_frm.toggle_display(['tax_rate'],
- doc.account_type == 'Tax');
- cur_frm.toggle_display(['master_type', 'master_name'],
- cstr(doc.account_type)=='');
+ cur_frm.toggle_display(['tax_rate'], doc.account_type == 'Tax');
+ cur_frm.toggle_display('master_type', cstr(doc.account_type)=='');
+ cur_frm.toggle_display('master_name', doc.account_type=='Warehouse' ||
+ in_list(['Customer', 'Supplier'], doc.master_type));
}
}
@@ -109,11 +122,15 @@
}
cur_frm.fields_dict['master_name'].get_query = function(doc) {
- if (doc.master_type) {
+ if (doc.master_type || doc.account_type=="Warehouse") {
+ var dt = doc.master_type || "Warehouse";
return {
- doctype: doc.master_type,
+ doctype: dt,
query: "accounts.doctype.account.account.get_master_name",
- filters: { "master_type": doc.master_type }
+ filters: {
+ "master_type": dt,
+ "company": doc.company
+ }
}
}
}
diff --git a/accounts/doctype/account/account.py b/accounts/doctype/account/account.py
index a6038dd..fba51a9 100644
--- a/accounts/doctype/account/account.py
+++ b/accounts/doctype/account/account.py
@@ -4,7 +4,7 @@
from __future__ import unicode_literals
import webnotes
-from webnotes.utils import flt, fmt_money
+from webnotes.utils import flt, fmt_money, cstr, cint
from webnotes import msgprint, _
sql = webnotes.conn.sql
@@ -16,13 +16,36 @@
self.nsm_parent_field = 'parent_account'
def autoname(self):
- """Append abbreviation to company on naming"""
self.doc.name = self.doc.account_name.strip() + ' - ' + \
webnotes.conn.get_value("Company", self.doc.company, "abbr")
def get_address(self):
- address = webnotes.conn.get_value(self.doc.master_type, self.doc.master_name, "address")
- return {'address': address}
+ return {
+ 'address': webnotes.conn.get_value(self.doc.master_type,
+ self.doc.master_name, "address")
+ }
+
+ def validate(self):
+ self.validate_master_name()
+ self.validate_parent()
+ self.validate_duplicate_account()
+ self.validate_root_details()
+ self.validate_mandatory()
+ self.validate_warehouse_account()
+
+ if not self.doc.parent_account:
+ self.doc.parent_account = ''
+
+ def validate(self):
+ self.validate_master_name()
+ self.validate_parent()
+ self.validate_duplicate_account()
+ self.validate_root_details()
+ self.validate_mandatory()
+ self.validate_frozen_accounts_modifier()
+
+ if not self.doc.parent_account:
+ self.doc.parent_account = ''
def validate_master_name(self):
"""Remind to add master name"""
@@ -71,6 +94,15 @@
if webnotes.conn.exists("Account", self.doc.name):
if not webnotes.conn.get_value("Account", self.doc.name, "parent_account"):
webnotes.msgprint("Root cannot be edited.", raise_exception=1)
+
+ def validate_frozen_accounts_modifier(self):
+ old_value = webnotes.conn.get_value("Account", self.doc.name, "freeze_account")
+ if old_value and old_value != self.doc.freeze_account:
+ frozen_accounts_modifier = webnotes.conn.get_value( 'Accounts Settings', None,
+ 'frozen_accounts_modifier')
+ if not frozen_accounts_modifier or \
+ frozen_accounts_modifier not in webnotes.user.get_roles():
+ webnotes.throw(_("You are not authorized to set Frozen value"))
def convert_group_to_ledger(self):
if self.check_if_child_exists():
@@ -98,9 +130,7 @@
# Check if any previous balance exists
def check_gle_exists(self):
- exists = sql("""select name from `tabGL Entry` where account = %s
- and ifnull(is_cancelled, 'No') = 'No'""", self.doc.name)
- return exists and exists[0][0] or ''
+ return webnotes.conn.get_value("GL Entry", {"account": self.doc.name})
def check_if_child_exists(self):
return sql("""select name from `tabAccount` where parent_account = %s
@@ -111,16 +141,25 @@
msgprint("Debit or Credit field is mandatory", raise_exception=1)
if not self.doc.is_pl_account:
msgprint("Is PL Account field is mandatory", raise_exception=1)
-
- def validate(self):
- self.validate_master_name()
- self.validate_parent()
- self.validate_duplicate_account()
- self.validate_root_details()
- self.validate_mandatory()
-
- if not self.doc.parent_account:
- self.doc.parent_account = ''
+
+ def validate_warehouse_account(self):
+ if not cint(webnotes.defaults.get_global_default("auto_accounting_for_stock")):
+ return
+
+ if self.doc.account_type == "Warehouse":
+ old_warehouse = cstr(webnotes.conn.get_value("Account", self.doc.name, "master_name"))
+ if old_warehouse != cstr(self.doc.master_name):
+ if old_warehouse:
+ self.validate_warehouse(old_warehouse)
+ if self.doc.master_name:
+ self.validate_warehouse(self.doc.master_name)
+ else:
+ webnotes.throw(_("Master Name is mandatory if account type is Warehouse"))
+
+ def validate_warehouse(self, warehouse):
+ if webnotes.conn.get_value("Stock Ledger Entry", {"warehouse": warehouse}):
+ webnotes.throw(_("Stock transactions exist against warehouse ") + warehouse +
+ _(" .You can not assign / modify / remove Master Name"))
def update_nsm_model(self):
"""update lft, rgt indices for nested set model"""
@@ -173,10 +212,6 @@
self.validate_trash()
self.update_nsm_model()
- # delete all cancelled gl entry of this account
- sql("""delete from `tabGL Entry` where account = %s and
- ifnull(is_cancelled, 'No') = 'Yes'""", self.doc.name)
-
def on_rename(self, new, old, merge=False):
company_abbr = webnotes.conn.get_value("Company", self.doc.company, "abbr")
parts = new.split(" - ")
@@ -204,9 +239,11 @@
return " - ".join(parts)
def get_master_name(doctype, txt, searchfield, start, page_len, filters):
- return webnotes.conn.sql("""select name from `tab%s` where %s like %s
+ conditions = (" and company='%s'"% filters["company"]) if doctype == "Warehouse" else ""
+
+ return webnotes.conn.sql("""select name from `tab%s` where %s like %s %s
order by name limit %s, %s""" %
- (filters["master_type"], searchfield, "%s", "%s", "%s"),
+ (filters["master_type"], searchfield, "%s", conditions, "%s", "%s"),
("%%%s%%" % txt, start, page_len), as_list=1)
def get_parent_account(doctype, txt, searchfield, start, page_len, filters):
diff --git a/accounts/doctype/account/account.txt b/accounts/doctype/account/account.txt
index 7a6ebf8..459e102 100644
--- a/accounts/doctype/account/account.txt
+++ b/accounts/doctype/account/account.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-01-30 12:49:46",
"docstatus": 0,
- "modified": "2013-07-05 14:23:30",
+ "modified": "2013-09-24 11:22:18",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -23,7 +23,8 @@
"name": "__common__",
"parent": "Account",
"parentfield": "fields",
- "parenttype": "DocType"
+ "parenttype": "DocType",
+ "permlevel": 0
},
{
"amend": 0,
@@ -45,14 +46,12 @@
"fieldname": "properties",
"fieldtype": "Section Break",
"label": "Account Details",
- "oldfieldtype": "Section Break",
- "permlevel": 0
+ "oldfieldtype": "Section Break"
},
{
"doctype": "DocField",
"fieldname": "column_break0",
"fieldtype": "Column Break",
- "permlevel": 0,
"width": "50%"
},
{
@@ -64,7 +63,6 @@
"no_copy": 1,
"oldfieldname": "account_name",
"oldfieldtype": "Data",
- "permlevel": 0,
"read_only": 1,
"reqd": 1,
"search_index": 1
@@ -77,7 +75,6 @@
"label": "Level",
"oldfieldname": "level",
"oldfieldtype": "Int",
- "permlevel": 0,
"print_hide": 1,
"read_only": 1
},
@@ -91,7 +88,6 @@
"oldfieldname": "group_or_ledger",
"oldfieldtype": "Select",
"options": "\nLedger\nGroup",
- "permlevel": 0,
"read_only": 1,
"reqd": 1,
"search_index": 1
@@ -104,7 +100,6 @@
"label": "Debit or Credit",
"oldfieldname": "debit_or_credit",
"oldfieldtype": "Data",
- "permlevel": 0,
"read_only": 1,
"search_index": 1
},
@@ -117,7 +112,6 @@
"oldfieldname": "is_pl_account",
"oldfieldtype": "Select",
"options": "Yes\nNo",
- "permlevel": 0,
"read_only": 1,
"search_index": 1
},
@@ -130,7 +124,6 @@
"oldfieldname": "company",
"oldfieldtype": "Link",
"options": "Company",
- "permlevel": 0,
"read_only": 1,
"reqd": 1,
"search_index": 1
@@ -139,7 +132,6 @@
"doctype": "DocField",
"fieldname": "column_break1",
"fieldtype": "Column Break",
- "permlevel": 0,
"width": "50%"
},
{
@@ -150,7 +142,6 @@
"oldfieldname": "parent_account",
"oldfieldtype": "Link",
"options": "Account",
- "permlevel": 0,
"search_index": 1
},
{
@@ -162,7 +153,7 @@
"label": "Account Type",
"oldfieldname": "account_type",
"oldfieldtype": "Select",
- "options": "\nFixed Asset Account\nBank or Cash\nExpense Account\nTax\nIncome Account\nChargeable",
+ "options": "\nFixed Asset Account\nBank or Cash\nExpense Account\nTax\nIncome Account\nChargeable\nWarehouse",
"permlevel": 0,
"search_index": 0
},
@@ -175,19 +166,17 @@
"label": "Rate",
"oldfieldname": "tax_rate",
"oldfieldtype": "Currency",
- "permlevel": 0,
"reqd": 0
},
{
- "description": "If the account is frozen, entries are allowed for the \"Account Manager\" only.",
+ "description": "If the account is frozen, entries are allowed to restricted users.",
"doctype": "DocField",
"fieldname": "freeze_account",
"fieldtype": "Select",
"label": "Frozen",
"oldfieldname": "freeze_account",
"oldfieldtype": "Select",
- "options": "No\nYes",
- "permlevel": 2
+ "options": "No\nYes"
},
{
"doctype": "DocField",
@@ -197,7 +186,6 @@
"label": "Credit Days",
"oldfieldname": "credit_days",
"oldfieldtype": "Int",
- "permlevel": 0,
"print_hide": 1
},
{
@@ -209,7 +197,6 @@
"oldfieldname": "credit_limit",
"oldfieldtype": "Currency",
"options": "Company:company:default_currency",
- "permlevel": 0,
"print_hide": 1
},
{
@@ -220,8 +207,7 @@
"label": "Master Type",
"oldfieldname": "master_type",
"oldfieldtype": "Select",
- "options": "\nSupplier\nCustomer\nEmployee",
- "permlevel": 0
+ "options": "\nSupplier\nCustomer\nEmployee"
},
{
"doctype": "DocField",
@@ -230,8 +216,7 @@
"label": "Master Name",
"oldfieldname": "master_name",
"oldfieldtype": "Link",
- "options": "[Select]",
- "permlevel": 0
+ "options": "[Select]"
},
{
"default": "1",
@@ -239,8 +224,7 @@
"doctype": "DocField",
"fieldname": "allow_negative_balance",
"fieldtype": "Check",
- "label": "Allow Negative Balance",
- "permlevel": 0
+ "label": "Allow Negative Balance"
},
{
"doctype": "DocField",
@@ -248,7 +232,6 @@
"fieldtype": "Int",
"hidden": 1,
"label": "Lft",
- "permlevel": 0,
"print_hide": 1,
"read_only": 1
},
@@ -258,7 +241,6 @@
"fieldtype": "Int",
"hidden": 1,
"label": "Rgt",
- "permlevel": 0,
"print_hide": 1,
"read_only": 1
},
@@ -268,7 +250,6 @@
"fieldtype": "Data",
"hidden": 1,
"label": "Old Parent",
- "permlevel": 0,
"print_hide": 1,
"read_only": 1
},
diff --git a/accounts/doctype/account/test_account.py b/accounts/doctype/account/test_account.py
index 502f0e5..fadb73b 100644
--- a/accounts/doctype/account/test_account.py
+++ b/accounts/doctype/account/test_account.py
@@ -9,36 +9,38 @@
accounts = [
# [account_name, parent_account, group_or_ledger]
- ["_Test Account Bank Account", "Bank Accounts - _TC", "Ledger"],
+ ["_Test Account Bank Account", "Bank Accounts", "Ledger"],
- ["_Test Account Stock Expenses", "Direct Expenses - _TC", "Group"],
- ["_Test Account Shipping Charges", "_Test Account Stock Expenses - _TC", "Ledger"],
- ["_Test Account Customs Duty", "_Test Account Stock Expenses - _TC", "Ledger"],
+ ["_Test Account Stock Expenses", "Direct Expenses", "Group"],
+ ["_Test Account Shipping Charges", "_Test Account Stock Expenses", "Ledger"],
+ ["_Test Account Customs Duty", "_Test Account Stock Expenses", "Ledger"],
- ["_Test Account Tax Assets", "Current Assets - _TC", "Group"],
- ["_Test Account VAT", "_Test Account Tax Assets - _TC", "Ledger"],
- ["_Test Account Service Tax", "_Test Account Tax Assets - _TC", "Ledger"],
+
+ ["_Test Account Tax Assets", "Current Assets", "Group"],
+ ["_Test Account VAT", "_Test Account Tax Assets", "Ledger"],
+ ["_Test Account Service Tax", "_Test Account Tax Assets", "Ledger"],
+
+ ["_Test Account Reserves and Surplus", "Current Liabilities", "Ledger"],
- ["_Test Account Cost for Goods Sold", "Expenses - _TC", "Ledger"],
- ["_Test Account Excise Duty", "_Test Account Tax Assets - _TC", "Ledger"],
- ["_Test Account Education Cess", "_Test Account Tax Assets - _TC", "Ledger"],
- ["_Test Account S&H Education Cess", "_Test Account Tax Assets - _TC", "Ledger"],
- ["_Test Account CST", "Direct Expenses - _TC", "Ledger"],
- ["_Test Account Discount", "Direct Expenses - _TC", "Ledger"],
+ ["_Test Account Cost for Goods Sold", "Expenses", "Ledger"],
+ ["_Test Account Excise Duty", "_Test Account Tax Assets", "Ledger"],
+ ["_Test Account Education Cess", "_Test Account Tax Assets", "Ledger"],
+ ["_Test Account S&H Education Cess", "_Test Account Tax Assets", "Ledger"],
+ ["_Test Account CST", "Direct Expenses", "Ledger"],
+ ["_Test Account Discount", "Direct Expenses", "Ledger"],
# related to Account Inventory Integration
- ["_Test Account Stock In Hand", "Current Assets - _TC", "Ledger"],
+ ["_Test Account Stock In Hand", "Current Assets", "Ledger"],
+ ["_Test Account Fixed Assets", "Current Assets", "Ledger"],
]
- test_objects = make_test_objects("Account", [[{
- "doctype": "Account",
- "account_name": account_name,
- "parent_account": parent_account,
- "company": "_Test Company",
- "group_or_ledger": group_or_ledger
- }] for account_name, parent_account, group_or_ledger in accounts])
-
- webnotes.conn.set_value("Company", "_Test Company", "stock_in_hand_account",
- "_Test Account Stock In Hand - _TC")
+ for company, abbr in [["_Test Company", "_TC"], ["_Test Company 1", "_TC1"]]:
+ test_objects = make_test_objects("Account", [[{
+ "doctype": "Account",
+ "account_name": account_name,
+ "parent_account": parent_account + " - " + abbr,
+ "company": company,
+ "group_or_ledger": group_or_ledger
+ }] for account_name, parent_account, group_or_ledger in accounts])
return test_objects
\ No newline at end of file
diff --git a/accounts/doctype/accounts_settings/accounts_settings.py b/accounts/doctype/accounts_settings/accounts_settings.py
index 96f324a..0d106e8 100644
--- a/accounts/doctype/accounts_settings/accounts_settings.py
+++ b/accounts/doctype/accounts_settings/accounts_settings.py
@@ -5,23 +5,17 @@
from __future__ import unicode_literals
import webnotes
-from webnotes.utils import cint
+from webnotes.utils import cint, cstr
+from webnotes import msgprint, _
class DocType:
def __init__(self, d, dl):
self.doc, self.doclist = d, dl
- def validate(self):
- self.make_adjustment_jv_for_auto_inventory()
-
- def make_adjustment_jv_for_auto_inventory(self):
- previous_auto_inventory_accounting = cint(webnotes.conn.get_value("Accounts Settings",
- None, "auto_inventory_accounting"))
- if cint(self.doc.auto_inventory_accounting) != previous_auto_inventory_accounting:
- from accounts.utils import create_stock_in_hand_jv
- create_stock_in_hand_jv(reverse = \
- cint(self.doc.auto_inventory_accounting) < previous_auto_inventory_accounting)
-
def on_update(self):
- for key in ["auto_inventory_accounting"]:
- webnotes.conn.set_default(key, self.doc.fields.get(key, ''))
+ webnotes.conn.set_default("auto_accounting_for_stock", self.doc.auto_accounting_for_stock)
+
+ if self.doc.auto_accounting_for_stock:
+ for wh in webnotes.conn.sql("select name from `tabWarehouse`"):
+ wh_bean = webnotes.bean("Warehouse", wh[0])
+ wh_bean.save()
\ No newline at end of file
diff --git a/accounts/doctype/accounts_settings/accounts_settings.txt b/accounts/doctype/accounts_settings/accounts_settings.txt
index b8be161..026cf61 100644
--- a/accounts/doctype/accounts_settings/accounts_settings.txt
+++ b/accounts/doctype/accounts_settings/accounts_settings.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-06-24 15:49:57",
"docstatus": 0,
- "modified": "2013-07-05 14:23:40",
+ "modified": "2013-09-24 11:52:58",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -39,11 +39,12 @@
"name": "Accounts Settings"
},
{
+ "default": "1",
"description": "If enabled, the system will post accounting entries for inventory automatically.",
"doctype": "DocField",
- "fieldname": "auto_inventory_accounting",
+ "fieldname": "auto_accounting_for_stock",
"fieldtype": "Check",
- "label": "Enable Auto Inventory Accounting"
+ "label": "Make Accounting Entry For Every Stock Movement"
},
{
"description": "Accounting entry frozen up to this date, nobody can do / modify entry except role specified below.",
@@ -53,11 +54,19 @@
"label": "Accounts Frozen Upto"
},
{
- "description": "Users with this role are allowed to do / modify accounting entry before frozen date",
+ "description": "Users with this role are allowed to create / modify accounting entry before frozen date",
"doctype": "DocField",
"fieldname": "bde_auth_role",
"fieldtype": "Link",
- "label": "Allow Editing of Frozen Accounts For",
+ "label": "Allowed Role to Edit Entries Before Frozen Date",
+ "options": "Role"
+ },
+ {
+ "description": "Users with this role are allowed to set frozen accounts and create / modify accounting entries against frozen accounts",
+ "doctype": "DocField",
+ "fieldname": "frozen_accounts_modifier",
+ "fieldtype": "Link",
+ "label": "Frozen Accounts Modifier",
"options": "Role"
},
{
diff --git a/accounts/doctype/budget_control/README.md b/accounts/doctype/budget_control/README.md
deleted file mode 100644
index 2821015..0000000
--- a/accounts/doctype/budget_control/README.md
+++ /dev/null
@@ -1 +0,0 @@
-Backend scripts for Budget Management.
\ No newline at end of file
diff --git a/accounts/doctype/budget_control/__init__.py b/accounts/doctype/budget_control/__init__.py
deleted file mode 100644
index baffc48..0000000
--- a/accounts/doctype/budget_control/__init__.py
+++ /dev/null
@@ -1 +0,0 @@
-from __future__ import unicode_literals
diff --git a/accounts/doctype/budget_control/budget_control.py b/accounts/doctype/budget_control/budget_control.py
deleted file mode 100644
index 0aa64c8..0000000
--- a/accounts/doctype/budget_control/budget_control.py
+++ /dev/null
@@ -1,97 +0,0 @@
-# Copyright (c) 2013, Web Notes Technologies Pvt. Ltd.
-# License: GNU General Public License v3. See license.txt
-
-from __future__ import unicode_literals
-import webnotes
-from webnotes.utils import cstr, flt, getdate
-from webnotes import msgprint
-
-class DocType:
- def __init__(self,d,dl):
- self.doc, self.doclist = d, dl
-
- # Get monthly budget
- #-------------------
- def get_monthly_budget(self, distribution_id, cfy, st_date, post_dt, budget_allocated):
-
- # get month_list
- st_date, post_dt = getdate(st_date), getdate(post_dt)
-
- if distribution_id:
- if st_date.month <= post_dt.month:
- tot_per_allocated = webnotes.conn.sql("select ifnull(sum(percentage_allocation),0) from `tabBudget Distribution Detail` where parent='%s' and idx between '%s' and '%s'" % (distribution_id, st_date.month, post_dt.month))[0][0]
-
- if st_date.month > post_dt.month:
-
- tot_per_allocated = flt(webnotes.conn.sql("select ifnull(sum(percentage_allocation),0) from `tabBudget Distribution Detail` where parent='%s' and idx between '%s' and '%s'" % (distribution_id, st_date.month, 12 ))[0][0])
- tot_per_allocated = flt(tot_per_allocated) + flt(webnotes.conn.sql("select ifnull(sum(percentage_allocation),0) from `tabBudget Distribution Detail` where parent='%s' and idx between '%s' and '%s'" % (distribution_id, 1, post_dt.month))[0][0])
-
- return (flt(budget_allocated) * flt(tot_per_allocated)) / 100
- period_diff = webnotes.conn.sql("select PERIOD_DIFF('%s','%s')" % (post_dt.strftime('%Y%m'), st_date.strftime('%Y%m')))
-
- return (flt(budget_allocated) * (flt(period_diff[0][0]) + 1)) / 12
-
- def validate_budget(self, acct, cost_center, actual, budget, action):
- # action if actual exceeds budget
- if flt(actual) > flt(budget):
- msgprint("Your monthly expense "+ cstr((action == 'stop') and "will exceed" or "has exceeded") +" budget for <b>Account - "+cstr(acct)+" </b> under <b>Cost Center - "+ cstr(cost_center) + "</b>"+cstr((action == 'Stop') and ", you can not have this transaction." or "."))
- if action == 'Stop': raise Exception
-
- def check_budget(self,gle,cancel):
- # get allocated budget
-
- bgt = webnotes.conn.sql("""select t1.budget_allocated, t1.actual, t2.distribution_id
- from `tabBudget Detail` t1, `tabCost Center` t2
- where t1.account='%s' and t1.parent=t2.name and t2.name = '%s'
- and t1.fiscal_year='%s'""" %
- (gle['account'], gle['cost_center'], gle['fiscal_year']), as_dict =1)
-
- curr_amt = flt(gle['debit']) - flt(gle['credit'])
- if cancel: curr_amt = -1 * curr_amt
-
- if bgt and bgt[0]['budget_allocated']:
- # check budget flag in Company
- bgt_flag = webnotes.conn.sql("""select yearly_bgt_flag, monthly_bgt_flag
- from `tabCompany` where name = '%s'""" % gle['company'], as_dict =1)
-
- if bgt_flag and bgt_flag[0]['monthly_bgt_flag'] in ['Stop', 'Warn']:
- # get start date and last date
- start_date = webnotes.conn.get_value('Fiscal Year', gle['fiscal_year'], \
- 'year_start_date').strftime('%Y-%m-%d')
- end_date = webnotes.conn.sql("select LAST_DAY('%s')" % gle['posting_date'])
-
- # get Actual
- actual = self.get_period_difference(gle['account'] +
- '~~~' + cstr(start_date) + '~~~' + cstr(end_date[0][0]), gle['cost_center'])
-
- # Get Monthly budget
- budget = self.get_monthly_budget(bgt and bgt[0]['distribution_id'] or '' , \
- gle['fiscal_year'], start_date, gle['posting_date'], bgt[0]['budget_allocated'])
-
- # validate monthly budget
- self.validate_budget(gle['account'], gle['cost_center'], \
- flt(actual) + flt(curr_amt), budget, bgt_flag[0]['monthly_bgt_flag'])
-
- # update actual against budget allocated in cost center
- webnotes.conn.sql("""update `tabBudget Detail` set actual = ifnull(actual,0) + %s
- where account = '%s' and fiscal_year = '%s' and parent = '%s'""" %
- (curr_amt, gle['account'],gle['fiscal_year'], gle['cost_center']))
-
-
- def get_period_difference(self, arg, cost_center =''):
- # used in General Ledger Page Report
- # used for Budget where cost center passed as extra argument
- acc, f, t = arg.split('~~~')
- c, fy = '', webnotes.conn.get_defaults()['fiscal_year']
-
- det = webnotes.conn.sql("select debit_or_credit, lft, rgt, is_pl_account from tabAccount where name=%s", acc)
- if f: c += (' and t1.posting_date >= "%s"' % f)
- if t: c += (' and t1.posting_date <= "%s"' % t)
- if cost_center: c += (' and t1.cost_center = "%s"' % cost_center)
- bal = webnotes.conn.sql("select sum(ifnull(t1.debit,0))-sum(ifnull(t1.credit,0)) from `tabGL Entry` t1 where t1.account='%s' %s" % (acc, c))
- bal = bal and flt(bal[0][0]) or 0
-
- if det[0][0] != 'Debit':
- bal = (-1) * bal
-
- return flt(bal)
\ No newline at end of file
diff --git a/accounts/doctype/budget_control/budget_control.txt b/accounts/doctype/budget_control/budget_control.txt
deleted file mode 100644
index 13adf4b..0000000
--- a/accounts/doctype/budget_control/budget_control.txt
+++ /dev/null
@@ -1,19 +0,0 @@
-[
- {
- "creation": "2012-03-27 14:35:41",
- "docstatus": 0,
- "modified": "2013-07-10 14:54:06",
- "modified_by": "Administrator",
- "owner": "nabin@webnotestech.com"
- },
- {
- "doctype": "DocType",
- "issingle": 1,
- "module": "Accounts",
- "name": "__common__"
- },
- {
- "doctype": "DocType",
- "name": "Budget Control"
- }
-]
\ No newline at end of file
diff --git a/accounts/doctype/budget_detail/budget_detail.txt b/accounts/doctype/budget_detail/budget_detail.txt
index f16190d..f53ff52 100644
--- a/accounts/doctype/budget_detail/budget_detail.txt
+++ b/accounts/doctype/budget_detail/budget_detail.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-03-07 11:55:04",
"docstatus": 0,
- "modified": "2013-07-10 14:54:06",
+ "modified": "2013-08-22 17:27:59",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -20,7 +20,8 @@
"parent": "Budget Detail",
"parentfield": "fields",
"parenttype": "DocType",
- "permlevel": 0
+ "permlevel": 0,
+ "reqd": 1
},
{
"doctype": "DocType",
@@ -35,7 +36,6 @@
"oldfieldname": "account",
"oldfieldtype": "Link",
"options": "Account",
- "reqd": 1,
"search_index": 1
},
{
@@ -45,18 +45,7 @@
"label": "Budget Allocated",
"oldfieldname": "budget_allocated",
"oldfieldtype": "Currency",
- "options": "Company:company:default_currency",
- "reqd": 1
- },
- {
- "doctype": "DocField",
- "fieldname": "actual",
- "fieldtype": "Currency",
- "label": "Actual",
- "oldfieldname": "actual",
- "oldfieldtype": "Currency",
- "options": "Company:company:default_currency",
- "read_only": 1
+ "options": "Company:company:default_currency"
},
{
"doctype": "DocField",
@@ -67,7 +56,6 @@
"oldfieldname": "fiscal_year",
"oldfieldtype": "Select",
"options": "link:Fiscal Year",
- "reqd": 1,
"search_index": 1
}
]
\ No newline at end of file
diff --git a/accounts/doctype/budget_distribution/test_budget_distribution.py b/accounts/doctype/budget_distribution/test_budget_distribution.py
index 7ac835d..bf18cde 100644
--- a/accounts/doctype/budget_distribution/test_budget_distribution.py
+++ b/accounts/doctype/budget_distribution/test_budget_distribution.py
@@ -1,4 +1,70 @@
# Copyright (c) 2013, Web Notes Technologies Pvt. Ltd.
# License: GNU General Public License v3. See license.txt
-test_records = []
\ No newline at end of file
+test_records = [
+ [{
+ "doctype": "Budget Distribution",
+ "distribution_id": "_Test Distribution",
+ "fiscal_year": "_Test Fiscal Year 2013",
+ }, {
+ "doctype": "Budget Distribution Detail",
+ "parentfield": "budget_distribution_details",
+ "month": "January",
+ "percentage_allocation": "8"
+ }, {
+ "doctype": "Budget Distribution Detail",
+ "parentfield": "budget_distribution_details",
+ "month": "February",
+ "percentage_allocation": "8"
+ }, {
+ "doctype": "Budget Distribution Detail",
+ "parentfield": "budget_distribution_details",
+ "month": "March",
+ "percentage_allocation": "8"
+ }, {
+ "doctype": "Budget Distribution Detail",
+ "parentfield": "budget_distribution_details",
+ "month": "April",
+ "percentage_allocation": "8"
+ }, {
+ "doctype": "Budget Distribution Detail",
+ "parentfield": "budget_distribution_details",
+ "month": "May",
+ "percentage_allocation": "8"
+ }, {
+ "doctype": "Budget Distribution Detail",
+ "parentfield": "budget_distribution_details",
+ "month": "June",
+ "percentage_allocation": "8"
+ }, {
+ "doctype": "Budget Distribution Detail",
+ "parentfield": "budget_distribution_details",
+ "month": "July",
+ "percentage_allocation": "8"
+ }, {
+ "doctype": "Budget Distribution Detail",
+ "parentfield": "budget_distribution_details",
+ "month": "August",
+ "percentage_allocation": "8"
+ }, {
+ "doctype": "Budget Distribution Detail",
+ "parentfield": "budget_distribution_details",
+ "month": "September",
+ "percentage_allocation": "8"
+ }, {
+ "doctype": "Budget Distribution Detail",
+ "parentfield": "budget_distribution_details",
+ "month": "October",
+ "percentage_allocation": "8"
+ }, {
+ "doctype": "Budget Distribution Detail",
+ "parentfield": "budget_distribution_details",
+ "month": "November",
+ "percentage_allocation": "10"
+ }, {
+ "doctype": "Budget Distribution Detail",
+ "parentfield": "budget_distribution_details",
+ "month": "December",
+ "percentage_allocation": "10"
+ }]
+]
\ No newline at end of file
diff --git a/accounts/doctype/cost_center/cost_center.py b/accounts/doctype/cost_center/cost_center.py
index 6f977d7..4b18aae 100644
--- a/accounts/doctype/cost_center/cost_center.py
+++ b/accounts/doctype/cost_center/cost_center.py
@@ -46,8 +46,7 @@
return 1
def check_gle_exists(self):
- return webnotes.conn.sql("select name from `tabGL Entry` where cost_center = %s and \
- ifnull(is_cancelled, 'No') = 'No'", (self.doc.name))
+ return webnotes.conn.get_value("GL Entry", {"cost_center": self.doc.name})
def check_if_child_exists(self):
return webnotes.conn.sql("select name from `tabCost Center` where \
diff --git a/accounts/doctype/cost_center/test_cost_center.py b/accounts/doctype/cost_center/test_cost_center.py
index 7c63d7c..056755e 100644
--- a/accounts/doctype/cost_center/test_cost_center.py
+++ b/accounts/doctype/cost_center/test_cost_center.py
@@ -7,6 +7,13 @@
"cost_center_name": "_Test Cost Center",
"parent_cost_center": "_Test Company - _TC",
"company": "_Test Company",
- "group_or_ledger": "Ledger"
+ "group_or_ledger": "Ledger",
+ "distribution_id": "_Test Distribution",
+ }, {
+ "doctype": "Budget Detail",
+ "parentfield": "budget_details",
+ "account": "_Test Account Cost for Goods Sold - _TC",
+ "budget_allocated": 100000,
+ "fiscal_year": "_Test Fiscal Year 2013"
}],
]
\ No newline at end of file
diff --git a/accounts/doctype/gl_entry/gl_entry.py b/accounts/doctype/gl_entry/gl_entry.py
index 9c1cf3f..db6de44 100644
--- a/accounts/doctype/gl_entry/gl_entry.py
+++ b/accounts/doctype/gl_entry/gl_entry.py
@@ -7,51 +7,49 @@
from webnotes.utils import flt, fmt_money, getdate
from webnotes.model.code import get_obj
from webnotes import msgprint, _
-
-sql = webnotes.conn.sql
class DocType:
def __init__(self,d,dl):
self.doc, self.doclist = d, dl
- def validate(self): # not called on cancel
+ def validate(self):
self.check_mandatory()
self.pl_must_have_cost_center()
self.validate_posting_date()
- self.doc.is_cancelled = 'No' # will be reset by GL Control if cancelled
self.check_credit_limit()
self.check_pl_account()
-
- def on_update(self, adv_adj, cancel, update_outstanding = 'Yes'):
- self.validate_account_details(adv_adj)
self.validate_cost_center()
- self.check_freezing_date(adv_adj)
- self.check_negative_balance(adv_adj)
+
+ def on_update_with_args(self, adv_adj, update_outstanding = 'Yes'):
+ self.validate_account_details(adv_adj)
+ validate_frozen_account(self.doc.account, adv_adj)
+ check_freezing_date(self.doc.posting_date, adv_adj)
+ check_negative_balance(self.doc.account, adv_adj)
# Update outstanding amt on against voucher
if self.doc.against_voucher and self.doc.against_voucher_type != "POS" \
and update_outstanding == 'Yes':
- self.update_outstanding_amt()
+ update_outstanding_amt(self.doc.account, self.doc.against_voucher_type,
+ self.doc.against_voucher)
def check_mandatory(self):
mandatory = ['account','remarks','voucher_type','voucher_no','fiscal_year','company']
for k in mandatory:
if not self.doc.fields.get(k):
- msgprint(k + _(" is mandatory for GL Entry"), raise_exception=1)
-
+ webnotes.throw(k + _(" is mandatory for GL Entry"))
+
# Zero value transaction is not allowed
if not (flt(self.doc.debit) or flt(self.doc.credit)):
- msgprint(_("GL Entry: Debit or Credit amount is mandatory for ") + self.doc.account,
- raise_exception=1)
+ webnotes.throw(_("GL Entry: Debit or Credit amount is mandatory for ") +
+ self.doc.account)
def pl_must_have_cost_center(self):
if webnotes.conn.get_value("Account", self.doc.account, "is_pl_account") == "Yes":
if not self.doc.cost_center and self.doc.voucher_type != 'Period Closing Voucher':
- msgprint(_("Cost Center must be specified for PL Account: ") + self.doc.account,
- raise_exception=1)
- else:
- if self.doc.cost_center:
- self.doc.cost_center = ""
+ webnotes.throw(_("Cost Center must be specified for PL Account: ") +
+ self.doc.account)
+ elif self.doc.cost_center:
+ self.doc.cost_center = None
def validate_posting_date(self):
from accounts.utils import validate_fiscal_year
@@ -64,8 +62,8 @@
tot_outstanding = 0 #needed when there is no GL Entry in the system for that acc head
if (self.doc.voucher_type=='Journal Voucher' or self.doc.voucher_type=='Sales Invoice') \
and (master_type =='Customer' and master_name):
- dbcr = sql("""select sum(debit), sum(credit) from `tabGL Entry`
- where account = '%s' and is_cancelled='No'""" % self.doc.account)
+ dbcr = webnotes.conn.sql("""select sum(debit), sum(credit) from `tabGL Entry`
+ where account = %s""", self.doc.account)
if dbcr:
tot_outstanding = flt(dbcr[0][0]) - flt(dbcr[0][1]) + \
flt(self.doc.debit) - flt(self.doc.credit)
@@ -75,30 +73,23 @@
def check_pl_account(self):
if self.doc.is_opening=='Yes' and \
webnotes.conn.get_value("Account", self.doc.account, "is_pl_account") == "Yes":
- msgprint(_("For opening balance entry account can not be a PL account"),
- raise_exception=1)
+ webnotes.throw(_("For opening balance entry account can not be a PL account"))
def validate_account_details(self, adv_adj):
"""Account must be ledger, active and not freezed"""
- ret = sql("""select group_or_ledger, docstatus, freeze_account, company
- from tabAccount where name=%s""", self.doc.account, as_dict=1)
+ ret = webnotes.conn.sql("""select group_or_ledger, docstatus, company
+ from tabAccount where name=%s""", self.doc.account, as_dict=1)[0]
- if ret and ret[0]["group_or_ledger"]=='Group':
- msgprint(_("Account") + ": " + self.doc.account + _(" is not a ledger"), raise_exception=1)
+ if ret.group_or_ledger=='Group':
+ webnotes.throw(_("Account") + ": " + self.doc.account + _(" is not a ledger"))
- if ret and ret[0]["docstatus"]==2:
- msgprint(_("Account") + ": " + self.doc.account + _(" is not active"), raise_exception=1)
+ if ret.docstatus==2:
+ webnotes.throw(_("Account") + ": " + self.doc.account + _(" is not active"))
- # Account has been freezed for other users except account manager
- if ret and ret[0]["freeze_account"]== 'Yes' and not adv_adj \
- and not 'Accounts Manager' in webnotes.user.get_roles():
- msgprint(_("Account") + ": " + self.doc.account + _(" has been freezed. \
- Only Accounts Manager can do transaction against this account"), raise_exception=1)
-
- if self.doc.is_cancelled in ("No", None) and ret and ret[0]["company"] != self.doc.company:
- msgprint(_("Account") + ": " + self.doc.account + _(" does not belong to the company") \
- + ": " + self.doc.company, raise_exception=1)
+ if ret.company != self.doc.company:
+ webnotes.throw(_("Account") + ": " + self.doc.account +
+ _(" does not belong to the company") + ": " + self.doc.company)
def validate_cost_center(self):
if not hasattr(self, "cost_center_company"):
@@ -106,70 +97,90 @@
def _get_cost_center_company():
if not self.cost_center_company.get(self.doc.cost_center):
- self.cost_center_company[self.doc.cost_center] = webnotes.conn.get_value("Cost Center",
- self.doc.cost_center, "company")
+ self.cost_center_company[self.doc.cost_center] = webnotes.conn.get_value(
+ "Cost Center", self.doc.cost_center, "company")
return self.cost_center_company[self.doc.cost_center]
- if self.doc.is_cancelled in ("No", None) and \
- self.doc.cost_center and _get_cost_center_company() != self.doc.company:
- msgprint(_("Cost Center") + ": " + self.doc.cost_center \
- + _(" does not belong to the company") + ": " + self.doc.company, raise_exception=True)
-
- def check_freezing_date(self, adv_adj):
- """
- Nobody can do GL Entries where posting date is before freezing date
- except authorized person
- """
- if not adv_adj:
- acc_frozen_upto = webnotes.conn.get_value('Accounts Settings', None, 'acc_frozen_upto')
- if acc_frozen_upto:
- bde_auth_role = webnotes.conn.get_value( 'Accounts Settings', None,'bde_auth_role')
- if getdate(self.doc.posting_date) <= getdate(acc_frozen_upto) \
- and not bde_auth_role in webnotes.user.get_roles():
- msgprint(_("You are not authorized to do/modify back dated entries before ") +
- getdate(acc_frozen_upto).strftime('%d-%m-%Y'), raise_exception=1)
+ if self.doc.cost_center and _get_cost_center_company() != self.doc.company:
+ webnotes.throw(_("Cost Center") + ": " + self.doc.cost_center +
+ _(" does not belong to the company") + ": " + self.doc.company)
- def check_negative_balance(self, adv_adj):
- if not adv_adj:
- account = webnotes.conn.get_value("Account", self.doc.account,
- ["allow_negative_balance", "debit_or_credit"], as_dict=True)
- if not account["allow_negative_balance"]:
- balance = webnotes.conn.sql("""select sum(debit) - sum(credit) from `tabGL Entry`
- where account = %s and ifnull(is_cancelled, 'No') = 'No'""", self.doc.account)
- balance = account["debit_or_credit"] == "Debit" and \
- flt(balance[0][0]) or -1*flt(balance[0][0])
-
- if flt(balance) < 0:
- msgprint(_("Negative balance is not allowed for account ") + self.doc.account,
- raise_exception=1)
+def check_negative_balance(account, adv_adj=False):
+ if not adv_adj:
+ account_details = webnotes.conn.get_value("Account", account,
+ ["allow_negative_balance", "debit_or_credit"], as_dict=True)
+ if not account_details["allow_negative_balance"]:
+ balance = webnotes.conn.sql("""select sum(debit) - sum(credit) from `tabGL Entry`
+ where account = %s""", account)
+ balance = account_details["debit_or_credit"] == "Debit" and \
+ flt(balance[0][0]) or -1*flt(balance[0][0])
+
+ if flt(balance) < 0:
+ webnotes.throw(_("Negative balance is not allowed for account ") + account)
- def update_outstanding_amt(self):
- # get final outstanding amt
- bal = flt(sql("""select sum(debit) - sum(credit) from `tabGL Entry`
- where against_voucher=%s and against_voucher_type=%s and account = %s
- and ifnull(is_cancelled,'No') = 'No'""", (self.doc.against_voucher,
- self.doc.against_voucher_type, self.doc.account))[0][0] or 0.0)
+def check_freezing_date(posting_date, adv_adj=False):
+ """
+ Nobody can do GL Entries where posting date is before freezing date
+ except authorized person
+ """
+ if not adv_adj:
+ acc_frozen_upto = webnotes.conn.get_value('Accounts Settings', None, 'acc_frozen_upto')
+ if acc_frozen_upto:
+ bde_auth_role = webnotes.conn.get_value( 'Accounts Settings', None,'bde_auth_role')
+ if getdate(posting_date) <= getdate(acc_frozen_upto) \
+ and not bde_auth_role in webnotes.user.get_roles():
+ webnotes.throw(_("You are not authorized to do/modify back dated entries before ")
+ + getdate(acc_frozen_upto).strftime('%d-%m-%Y'))
- if self.doc.against_voucher_type == 'Purchase Invoice':
+def update_outstanding_amt(account, against_voucher_type, against_voucher, on_cancel=False):
+ # get final outstanding amt
+ bal = flt(webnotes.conn.sql("""select sum(debit) - sum(credit) from `tabGL Entry`
+ where against_voucher_type=%s and against_voucher=%s and account = %s""",
+ (against_voucher_type, against_voucher, account))[0][0] or 0.0)
+
+ if against_voucher_type == 'Purchase Invoice':
+ bal = -bal
+ elif against_voucher_type == "Journal Voucher":
+ against_voucher_amount = flt(webnotes.conn.sql("""select sum(debit) - sum(credit)
+ from `tabGL Entry` where voucher_type = 'Journal Voucher' and voucher_no = %s
+ and account = %s""", (against_voucher, account))[0][0])
+
+ bal = against_voucher_amount + bal
+ if against_voucher_amount < 0:
bal = -bal
- elif self.doc.against_voucher_type == "Journal Voucher":
- against_voucher_amount = flt(webnotes.conn.sql("""select sum(debit) - sum(credit)
- from `tabGL Entry` where voucher_type = 'Journal Voucher' and voucher_no = %s
- and account = %s""", (self.doc.against_voucher, self.doc.account))[0][0])
+ # Validation : Outstanding can not be negative
+ if bal < 0 and not on_cancel:
+ webnotes.throw(_("Outstanding for Voucher ") + against_voucher + _(" will become ") +
+ fmt_money(bal) + _(". Outstanding cannot be less than zero. \
+ Please match exact outstanding."))
+
+ # Update outstanding amt on against voucher
+ if against_voucher_type in ["Sales Invoice", "Purchase Invoice"]:
+ webnotes.conn.sql("update `tab%s` set outstanding_amount=%s where name='%s'" %
+ (against_voucher_type, bal, against_voucher))
- bal = against_voucher_amount + bal
- if against_voucher_amount < 0:
- bal = -bal
-
- # Validation : Outstanding can not be negative
- if bal < 0 and self.doc.is_cancelled == 'No':
- msgprint(_("Outstanding for Voucher ") + self.doc.against_voucher +
- _(" will become ") + fmt_money(bal) + _(". Outstanding cannot be less than zero. \
- Please match exact outstanding."), raise_exception=1)
-
- # Update outstanding amt on against voucher
- if self.doc.against_voucher_type in ["Sales Invoice", "Purchase Invoice"]:
- sql("update `tab%s` set outstanding_amount=%s where name='%s'"%
- (self.doc.against_voucher_type, bal, self.doc.against_voucher))
\ No newline at end of file
+def validate_freezed_account(account, adv_adj=False):
+ """Account has been freezed for other users except account manager"""
+
+ freezed_account = webnotes.conn.get_value("Account", account, "freeze_account")
+
+ if freezed_account == 'Yes' and not adv_adj \
+ and 'Accounts Manager' not in webnotes.user.get_roles():
+ webnotes.throw(_("Account") + ": " + account + _(" has been freezed. \
+ Only Accounts Manager can do transaction against this account"))
+
+def validate_frozen_account(account, adv_adj):
+ frozen_account = webnotes.conn.get_value("Account", account, "freeze_account")
+ if frozen_account == 'Yes' and not adv_adj:
+ frozen_accounts_modifier = webnotes.conn.get_value( 'Accounts Settings', None,
+ 'frozen_accounts_modifier')
+ if not frozen_accounts_modifier:
+ webnotes.throw(account + _(" is a frozen account. \
+ Either make the account active or assign role in Accounts Settings \
+ who can create / modify entries against this account"))
+ elif frozen_accounts_modifier not in webnotes.user.get_roles():
+ webnotes.throw(account + _(" is a frozen account. ") +
+ _("To create / edit transactions against this account, you need role") + ": " +
+ frozen_accounts_modifier)
\ No newline at end of file
diff --git a/accounts/doctype/gl_entry/gl_entry.txt b/accounts/doctype/gl_entry/gl_entry.txt
index 2f20a35..90b2ed4 100644
--- a/accounts/doctype/gl_entry/gl_entry.txt
+++ b/accounts/doctype/gl_entry/gl_entry.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-01-10 16:34:06",
"docstatus": 0,
- "modified": "2013-07-05 14:39:07",
+ "modified": "2013-08-22 17:12:13",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -173,17 +173,6 @@
},
{
"doctype": "DocField",
- "fieldname": "is_cancelled",
- "fieldtype": "Select",
- "in_filter": 1,
- "label": "Is Cancelled",
- "oldfieldname": "is_cancelled",
- "oldfieldtype": "Select",
- "options": "No\nYes",
- "search_index": 0
- },
- {
- "doctype": "DocField",
"fieldname": "is_opening",
"fieldtype": "Select",
"in_filter": 1,
diff --git a/accounts/doctype/journal_voucher/journal_voucher.py b/accounts/doctype/journal_voucher/journal_voucher.py
index b445f81..ed4a0d7 100644
--- a/accounts/doctype/journal_voucher/journal_voucher.py
+++ b/accounts/doctype/journal_voucher/journal_voucher.py
@@ -49,7 +49,7 @@
from accounts.utils import remove_against_link_from_jv
remove_against_link_from_jv(self.doc.doctype, self.doc.name, "against_jv")
- self.make_gl_entries(cancel=1)
+ self.make_gl_entries(1)
def on_trash(self):
pass
@@ -255,7 +255,7 @@
"against_voucher": d.against_voucher or d.against_invoice or d.against_jv,
"remarks": self.doc.remark,
"cost_center": d.cost_center
- }, cancel)
+ })
)
if gl_map:
make_gl_entries(gl_map, cancel=cancel, adv_adj=adv_adj)
diff --git a/accounts/doctype/journal_voucher/test_journal_voucher.py b/accounts/doctype/journal_voucher/test_journal_voucher.py
index 30e3ada..f80b945 100644
--- a/accounts/doctype/journal_voucher/test_journal_voucher.py
+++ b/accounts/doctype/journal_voucher/test_journal_voucher.py
@@ -8,6 +8,7 @@
class TestJournalVoucher(unittest.TestCase):
def test_journal_voucher_with_against_jv(self):
+ self.clear_account_balance()
jv_invoice = webnotes.bean(copy=test_records[2])
jv_invoice.insert()
jv_invoice.submit()
@@ -31,6 +32,101 @@
self.assertTrue(not webnotes.conn.sql("""select name from `tabJournal Voucher Detail`
where against_jv=%s""", jv_invoice.doc.name))
+
+ def test_jv_against_stock_account(self):
+ from stock.doctype.purchase_receipt.test_purchase_receipt import set_perpetual_inventory
+ set_perpetual_inventory()
+
+ jv = webnotes.bean(copy=test_records[0])
+ jv.doclist[1].account = "_Test Warehouse - _TC"
+ jv.insert()
+
+ from accounts.general_ledger import StockAccountInvalidTransaction
+ self.assertRaises(StockAccountInvalidTransaction, jv.submit)
+
+ set_perpetual_inventory(0)
+
+ def test_monthly_budget_crossed_ignore(self):
+ webnotes.conn.set_value("Company", "_Test Company", "monthly_bgt_flag", "Ignore")
+ self.clear_account_balance()
+
+ jv = webnotes.bean(copy=test_records[0])
+ jv.doclist[2].account = "_Test Account Cost for Goods Sold - _TC"
+ jv.doclist[2].cost_center = "_Test Cost Center - _TC"
+ jv.doclist[2].debit = 20000.0
+ jv.doclist[1].credit = 20000.0
+ jv.insert()
+ jv.submit()
+ self.assertTrue(webnotes.conn.get_value("GL Entry",
+ {"voucher_type": "Journal Voucher", "voucher_no": jv.doc.name}))
+
+ def test_monthly_budget_crossed_stop(self):
+ from accounts.utils import BudgetError
+ webnotes.conn.set_value("Company", "_Test Company", "monthly_bgt_flag", "Stop")
+ self.clear_account_balance()
+
+ jv = webnotes.bean(copy=test_records[0])
+ jv.doclist[2].account = "_Test Account Cost for Goods Sold - _TC"
+ jv.doclist[2].cost_center = "_Test Cost Center - _TC"
+ jv.doclist[2].debit = 20000.0
+ jv.doclist[1].credit = 20000.0
+ jv.insert()
+
+ self.assertRaises(BudgetError, jv.submit)
+
+ webnotes.conn.set_value("Company", "_Test Company", "monthly_bgt_flag", "Ignore")
+
+ def test_yearly_budget_crossed_stop(self):
+ from accounts.utils import BudgetError
+ self.clear_account_balance()
+ self.test_monthly_budget_crossed_ignore()
+
+ webnotes.conn.set_value("Company", "_Test Company", "yearly_bgt_flag", "Stop")
+
+ jv = webnotes.bean(copy=test_records[0])
+ jv.doc.posting_date = "2013-08-12"
+ jv.doclist[2].account = "_Test Account Cost for Goods Sold - _TC"
+ jv.doclist[2].cost_center = "_Test Cost Center - _TC"
+ jv.doclist[2].debit = 150000.0
+ jv.doclist[1].credit = 150000.0
+ jv.insert()
+
+ self.assertRaises(BudgetError, jv.submit)
+
+ webnotes.conn.set_value("Company", "_Test Company", "yearly_bgt_flag", "Ignore")
+
+ def test_monthly_budget_on_cancellation(self):
+ from accounts.utils import BudgetError
+ webnotes.conn.set_value("Company", "_Test Company", "monthly_bgt_flag", "Stop")
+ self.clear_account_balance()
+
+ jv = webnotes.bean(copy=test_records[0])
+ jv.doclist[1].account = "_Test Account Cost for Goods Sold - _TC"
+ jv.doclist[1].cost_center = "_Test Cost Center - _TC"
+ jv.doclist[1].credit = 30000.0
+ jv.doclist[2].debit = 30000.0
+ jv.submit()
+
+ self.assertTrue(webnotes.conn.get_value("GL Entry",
+ {"voucher_type": "Journal Voucher", "voucher_no": jv.doc.name}))
+
+ jv1 = webnotes.bean(copy=test_records[0])
+ jv1.doclist[2].account = "_Test Account Cost for Goods Sold - _TC"
+ jv1.doclist[2].cost_center = "_Test Cost Center - _TC"
+ jv1.doclist[2].debit = 40000.0
+ jv1.doclist[1].credit = 40000.0
+ jv1.submit()
+
+ self.assertTrue(webnotes.conn.get_value("GL Entry",
+ {"voucher_type": "Journal Voucher", "voucher_no": jv1.doc.name}))
+
+ self.assertRaises(BudgetError, jv.cancel)
+
+ webnotes.conn.set_value("Company", "_Test Company", "monthly_bgt_flag", "Ignore")
+
+ def clear_account_balance(self):
+ webnotes.conn.sql("""delete from `tabGL Entry`""")
+
test_records = [
[{
diff --git a/accounts/doctype/payment_to_invoice_matching_tool/payment_to_invoice_matching_tool.py b/accounts/doctype/payment_to_invoice_matching_tool/payment_to_invoice_matching_tool.py
index 7522c23..1dda6c7 100644
--- a/accounts/doctype/payment_to_invoice_matching_tool/payment_to_invoice_matching_tool.py
+++ b/accounts/doctype/payment_to_invoice_matching_tool/payment_to_invoice_matching_tool.py
@@ -21,7 +21,7 @@
def get_voucher_details(self):
total_amount = webnotes.conn.sql("""select sum(%s) from `tabGL Entry`
where voucher_type = %s and voucher_no = %s
- and account = %s and ifnull(is_cancelled, 'No') = 'No'""" %
+ and account = %s""" %
(self.doc.account_type, '%s', '%s', '%s'),
(self.doc.voucher_type, self.doc.voucher_no, self.doc.account))
@@ -29,7 +29,7 @@
reconciled_payment = webnotes.conn.sql("""
select sum(ifnull(%s, 0)) - sum(ifnull(%s, 0)) from `tabGL Entry` where
against_voucher = %s and voucher_no != %s
- and account = %s and ifnull(is_cancelled, 'No') = 'No'""" %
+ and account = %s""" %
((self.doc.account_type == 'debit' and 'credit' or 'debit'), self.doc.account_type,
'%s', '%s', '%s'), (self.doc.voucher_no, self.doc.voucher_no, self.doc.account))
@@ -135,7 +135,6 @@
where gle.account = '%(acc)s'
and gle.voucher_type = '%(dt)s'
and gle.voucher_no like '%(txt)s'
- and ifnull(gle.is_cancelled, 'No') = 'No'
and (ifnull(gle.against_voucher, '') = ''
or ifnull(gle.against_voucher, '') = gle.voucher_no )
and ifnull(gle.%(account_type)s, 0) > 0
@@ -143,8 +142,7 @@
from `tabGL Entry`
where against_voucher_type = '%(dt)s'
and against_voucher = gle.voucher_no
- and voucher_no != gle.voucher_no
- and ifnull(is_cancelled, 'No') = 'No')
+ and voucher_no != gle.voucher_no)
!= abs(ifnull(gle.debit, 0) - ifnull(gle.credit, 0)
)
%(mcond)s
diff --git a/accounts/doctype/period_closing_voucher/period_closing_voucher.py b/accounts/doctype/period_closing_voucher/period_closing_voucher.py
index c214a21..99282f5 100644
--- a/accounts/doctype/period_closing_voucher/period_closing_voucher.py
+++ b/accounts/doctype/period_closing_voucher/period_closing_voucher.py
@@ -3,179 +3,102 @@
from __future__ import unicode_literals
import webnotes
-
from webnotes.utils import cstr, flt, getdate
-from webnotes.model import db_exists
-from webnotes.model.doc import Document
-from webnotes.model.bean import copy_doclist
-from webnotes.model.code import get_obj
-from webnotes import msgprint
+from webnotes import msgprint, _
+from controllers.accounts_controller import AccountsController
-sql = webnotes.conn.sql
-
-
-
-class DocType:
+class DocType(AccountsController):
def __init__(self,d,dl):
self.doc, self.doclist = d, dl
- self.td, self.tc = 0, 0
self.year_start_date = ''
- self.year_end_date = ''
+ def validate(self):
+ self.validate_account_head()
+ self.validate_posting_date()
+ self.validate_pl_balances()
+
+ def on_submit(self):
+ self.make_gl_entries()
+
+ def on_cancel(self):
+ webnotes.conn.sql("""delete from `tabGL Entry`
+ where voucher_type = 'Period Closing Voucher' and voucher_no=%s""", self.doc.name)
def validate_account_head(self):
- acc_det = sql("select debit_or_credit, is_pl_account, group_or_ledger, company \
- from `tabAccount` where name = '%s'" % (self.doc.closing_account_head))
-
- # Account should be under liability
- if cstr(acc_det[0][0]) != 'Credit' or cstr(acc_det[0][1]) != 'No':
- msgprint("Account: %s must be created under 'Source of Funds'" % self.doc.closing_account_head)
- raise Exception
-
- # Account must be a ledger
- if cstr(acc_det[0][2]) != 'Ledger':
- msgprint("Account %s must be a ledger" % self.doc.closing_account_head)
- raise Exception
-
- # Account should belong to company selected
- if cstr(acc_det[0][3]) != self.doc.company:
- msgprint("Account %s does not belong to Company %s ." % (self.doc.closing_account_head, self.doc.company))
- raise Exception
-
+ debit_or_credit, is_pl_account = webnotes.conn.get_value("Account",
+ self.doc.closing_account_head, ["debit_or_credit", "is_pl_account"])
+
+ if debit_or_credit != 'Credit' or is_pl_account != 'No':
+ webnotes.throw(_("Account") + ": " + self.doc.closing_account_head +
+ _("must be a Liability account"))
def validate_posting_date(self):
- yr = sql("""select year_start_date, adddate(year_start_date, interval 1 year)
- from `tabFiscal Year` where name=%s""", (self.doc.fiscal_year, ))
- self.year_start_date = yr and yr[0][0] or ''
- self.year_end_date = yr and yr[0][1] or ''
-
- # Posting Date should be within closing year
- if getdate(self.doc.posting_date) < getdate(self.year_start_date) or getdate(self.doc.posting_date) > getdate(self.year_end_date):
- msgprint("Posting Date should be within Closing Fiscal Year")
- raise Exception
+ from accounts.utils import get_fiscal_year
+ self.year_start_date = get_fiscal_year(self.doc.posting_date)[1]
- # Period Closing Entry
- pce = sql("select name from `tabPeriod Closing Voucher` \
- where posting_date > '%s' and fiscal_year = '%s' and docstatus = 1" \
- % (self.doc.posting_date, self.doc.fiscal_year))
+ pce = webnotes.conn.sql("""select name from `tabPeriod Closing Voucher`
+ where posting_date > %s and fiscal_year = %s and docstatus = 1""",
+ (self.doc.posting_date, self.doc.fiscal_year))
if pce and pce[0][0]:
- msgprint("Another Period Closing Entry: %s has been made after posting date: %s"\
- % (cstr(pce[0][0]), self.doc.posting_date))
- raise Exception
+ webnotes.throw(_("Another Period Closing Entry") + ": " + cstr(pce[0][0]) +
+ _("has been made after posting date") + ": " + self.doc.posting_date)
-
def validate_pl_balances(self):
- income_bal = sql("select sum(ifnull(t1.debit,0))-sum(ifnull(t1.credit,0)) \
- from `tabGL Entry` t1, tabAccount t2 where t1.account = t2.name \
- and t1.posting_date between '%s' and '%s' and t2.debit_or_credit = 'Credit' \
- and t2.group_or_ledger = 'Ledger' and t2.is_pl_account = 'Yes' and t2.docstatus < 2 \
- and t2.company = '%s'" % (self.year_start_date, self.doc.posting_date, self.doc.company))
+ income_bal = webnotes.conn.sql("""
+ select sum(ifnull(t1.debit,0))-sum(ifnull(t1.credit,0))
+ from `tabGL Entry` t1, tabAccount t2
+ where t1.account = t2.name and t1.posting_date between %s and %s
+ and t2.debit_or_credit = 'Credit' and t2.is_pl_account = 'Yes'
+ and t2.docstatus < 2 and t2.company = %s""",
+ (self.year_start_date, self.doc.posting_date, self.doc.company))
- expense_bal = sql("select sum(ifnull(t1.debit,0))-sum(ifnull(t1.credit,0)) \
- from `tabGL Entry` t1, tabAccount t2 where t1.account = t2.name \
- and t1.posting_date between '%s' and '%s' and t2.debit_or_credit = 'Debit' \
- and t2.group_or_ledger = 'Ledger' and t2.is_pl_account = 'Yes' and t2.docstatus < 2 \
- and t2.company = '%s'" % (self.year_start_date, self.doc.posting_date, self.doc.company))
+ expense_bal = webnotes.conn.sql("""
+ select sum(ifnull(t1.debit,0))-sum(ifnull(t1.credit,0))
+ from `tabGL Entry` t1, tabAccount t2
+ where t1.account = t2.name and t1.posting_date between %s and %s
+ and t2.debit_or_credit = 'Debit' and t2.is_pl_account = 'Yes'
+ and t2.docstatus < 2 and t2.company=%s""",
+ (self.year_start_date, self.doc.posting_date, self.doc.company))
income_bal = income_bal and income_bal[0][0] or 0
expense_bal = expense_bal and expense_bal[0][0] or 0
if not income_bal and not expense_bal:
- msgprint("Both Income and Expense balances are zero. No Need to make Period Closing Entry.")
- raise Exception
+ webnotes.throw(_("Both Income and Expense balances are zero. \
+ No Need to make Period Closing Entry."))
+ def get_pl_balances(self):
+ """Get balance for pl accounts"""
- def get_pl_balances(self, d_or_c):
- """Get account (pl) specific balance"""
- acc_bal = sql("select t1.account, sum(ifnull(t1.debit,0))-sum(ifnull(t1.credit,0)) \
- from `tabGL Entry` t1, `tabAccount` t2 where t1.account = t2.name and t2.group_or_ledger = 'Ledger' \
- and ifnull(t2.is_pl_account, 'No') = 'Yes' and ifnull(is_cancelled, 'No') = 'No' \
- and t2.debit_or_credit = '%s' and t2.docstatus < 2 and t2.company = '%s' \
- and t1.posting_date between '%s' and '%s' group by t1.account " \
- % (d_or_c, self.doc.company, self.year_start_date, self.doc.posting_date))
- return acc_bal
-
+ return webnotes.conn.sql("""
+ select t1.account, sum(ifnull(t1.debit,0))-sum(ifnull(t1.credit,0)) as balance
+ from `tabGL Entry` t1, `tabAccount` t2
+ where t1.account = t2.name and ifnull(t2.is_pl_account, 'No') = 'Yes'
+ and t2.docstatus < 2 and t2.company = %s
+ and t1.posting_date between %s and %s
+ group by t1.account
+ """, (self.doc.company, self.year_start_date, self.doc.posting_date), as_dict=1)
- def make_gl_entries(self, acc_det):
- for a in acc_det:
- if flt(a[1]):
- fdict = {
- 'account': a[0],
- 'cost_center': '',
- 'against': '',
- 'debit': flt(a[1]) < 0 and -1*flt(a[1]) or 0,
- 'credit': flt(a[1]) > 0 and flt(a[1]) or 0,
- 'remarks': self.doc.remarks,
- 'voucher_type': self.doc.doctype,
- 'voucher_no': self.doc.name,
- 'transaction_date': self.doc.transaction_date,
- 'posting_date': self.doc.posting_date,
- 'fiscal_year': self.doc.fiscal_year,
- 'against_voucher': '',
- 'against_voucher_type': '',
- 'company': self.doc.company,
- 'is_opening': 'No',
- 'aging_date': self.doc.posting_date
- }
+ def make_gl_entries(self):
+ gl_entries = []
+ net_pl_balance = 0
+ pl_accounts = self.get_pl_balances()
+ for acc in pl_accounts:
+ if flt(acc.balance):
+ gl_entries.append(self.get_gl_dict({
+ "account": acc.account,
+ "debit": abs(flt(acc.balance)) if flt(acc.balance) < 0 else 0,
+ "credit": abs(flt(acc.balance)) if flt(acc.balance) > 0 else 0,
+ }))
- self.save_entry(fdict)
-
+ net_pl_balance += flt(acc.balance)
- def save_entry(self, fdict, is_cancel = 'No'):
- # Create new GL entry object and map values
- le = Document('GL Entry')
- for k in fdict:
- le.fields[k] = fdict[k]
-
- le_obj = get_obj(doc=le)
- # validate except on_cancel
- if is_cancel == 'No':
- le_obj.validate()
+ if net_pl_balance:
+ gl_entries.append(self.get_gl_dict({
+ "account": self.doc.closing_account_head,
+ "debit": abs(net_pl_balance) if net_pl_balance > 0 else 0,
+ "credit": abs(net_pl_balance) if net_pl_balance < 0 else 0
+ }))
- # update total debit / credit except on_cancel
- self.td += flt(le.credit)
- self.tc += flt(le.debit)
-
- # save
- le.save(1)
- le_obj.on_update(adv_adj = '', cancel = '')
-
-
- def validate(self):
- # validate account head
- self.validate_account_head()
-
- # validate posting date
- self.validate_posting_date()
-
- # check if pl balance:
- self.validate_pl_balances()
-
-
- def on_submit(self):
-
- # Makes closing entries for Expense Account
- in_acc_det = self.get_pl_balances('Credit')
- self.make_gl_entries(in_acc_det)
-
- # Makes closing entries for Expense Account
- ex_acc_det = self.get_pl_balances('Debit')
- self.make_gl_entries(ex_acc_det)
-
-
- # Makes Closing entry for Closing Account Head
- bal = self.tc - self.td
- self.make_gl_entries([[self.doc.closing_account_head, flt(bal)]])
-
-
- def on_cancel(self):
- # get all submit entries of current closing entry voucher
- gl_entries = sql("select account, debit, credit from `tabGL Entry` where voucher_type = 'Period Closing Voucher' and voucher_no = '%s' and ifnull(is_cancelled, 'No') = 'No'" % (self.doc.name))
-
- # Swap Debit & Credit Column and make gl entry
- for gl in gl_entries:
- fdict = {'account': gl[0], 'cost_center': '', 'against': '', 'debit': flt(gl[2]), 'credit' : flt(gl[1]), 'remarks': "cancelled", 'voucher_type': self.doc.doctype, 'voucher_no': self.doc.name, 'transaction_date': self.doc.transaction_date, 'posting_date': self.doc.posting_date, 'fiscal_year': self.doc.fiscal_year, 'against_voucher': '', 'against_voucher_type': '', 'company': self.doc.company, 'is_opening': 'No', 'aging_date': 'self.doc.posting_date'}
- self.save_entry(fdict, is_cancel = 'Yes')
-
- # Update is_cancelled = 'Yes' to all gl entries for current voucher
- sql("update `tabGL Entry` set is_cancelled = 'Yes' where voucher_type = '%s' and voucher_no = '%s'" % (self.doc.doctype, self.doc.name))
\ No newline at end of file
+ from accounts.general_ledger import make_gl_entries
+ make_gl_entries(gl_entries)
\ No newline at end of file
diff --git a/accounts/doctype/period_closing_voucher/test_period_closing_voucher.py b/accounts/doctype/period_closing_voucher/test_period_closing_voucher.py
new file mode 100644
index 0000000..c21d63f
--- /dev/null
+++ b/accounts/doctype/period_closing_voucher/test_period_closing_voucher.py
@@ -0,0 +1,53 @@
+# Copyright (c) 2013, Web Notes Technologies Pvt. Ltd.
+# License: GNU General Public License v3. See license.txt
+
+
+from __future__ import unicode_literals
+import unittest
+import webnotes
+
+class TestPeriodClosingVoucher(unittest.TestCase):
+ def test_closing_entry(self):
+ from accounts.doctype.journal_voucher.test_journal_voucher import test_records as jv_records
+ jv = webnotes.bean(copy=jv_records[2])
+ jv.insert()
+ jv.submit()
+
+ jv1 = webnotes.bean(copy=jv_records[0])
+ jv1.doclist[2].account = "_Test Account Cost for Goods Sold - _TC"
+ jv1.doclist[2].debit = 600.0
+ jv1.doclist[1].credit = 600.0
+ jv1.insert()
+ jv1.submit()
+
+ pcv = webnotes.bean(copy=test_record)
+ pcv.insert()
+ pcv.submit()
+
+ gl_entries = webnotes.conn.sql("""select account, debit, credit
+ from `tabGL Entry` where voucher_type='Period Closing Voucher' and voucher_no=%s
+ order by account asc, debit asc""", pcv.doc.name, as_dict=1)
+
+ self.assertTrue(gl_entries)
+
+ expected_gl_entries = sorted([
+ ["_Test Account Reserves and Surplus - _TC", 200.0, 0.0],
+ ["_Test Account Cost for Goods Sold - _TC", 0.0, 600.0],
+ ["Sales - _TC", 400.0, 0.0]
+ ])
+ for i, gle in enumerate(gl_entries):
+ self.assertEquals(expected_gl_entries[i][0], gle.account)
+ self.assertEquals(expected_gl_entries[i][1], gle.debit)
+ self.assertEquals(expected_gl_entries[i][2], gle.credit)
+
+
+test_dependencies = ["Customer", "Cost Center"]
+
+test_record = [{
+ "doctype": "Period Closing Voucher",
+ "closing_account_head": "_Test Account Reserves and Surplus - _TC",
+ "company": "_Test Company",
+ "fiscal_year": "_Test Fiscal Year 2013",
+ "posting_date": "2013-03-31",
+ "remarks": "test"
+}]
diff --git a/accounts/doctype/pos_setting/pos_setting.py b/accounts/doctype/pos_setting/pos_setting.py
index 183ebbe..6bb85cb 100755
--- a/accounts/doctype/pos_setting/pos_setting.py
+++ b/accounts/doctype/pos_setting/pos_setting.py
@@ -35,7 +35,7 @@
(res[0][0], self.doc.company), raise_exception=1)
def validate_expense_account(self):
- if cint(webnotes.defaults.get_global_default("auto_inventory_accounting")) \
+ if cint(webnotes.defaults.get_global_default("auto_accounting_for_stock")) \
and not self.doc.expense_account:
msgprint(_("Expense Account is mandatory"), raise_exception=1)
@@ -61,4 +61,4 @@
webnotes.defaults.set_global_default("is_pos", 1)
def on_trash(self):
- self.on_update()
\ No newline at end of file
+ self.on_update()
diff --git a/accounts/doctype/pos_setting/pos_setting.txt b/accounts/doctype/pos_setting/pos_setting.txt
index 73b9246..2420ad5 100755
--- a/accounts/doctype/pos_setting/pos_setting.txt
+++ b/accounts/doctype/pos_setting/pos_setting.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-05-24 12:15:51",
"docstatus": 0,
- "modified": "2013-08-09 16:35:03",
+ "modified": "2013-08-28 19:13:42",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -163,7 +163,7 @@
"reqd": 1
},
{
- "depends_on": "eval:sys_defaults.auto_inventory_accounting",
+ "depends_on": "eval:sys_defaults.auto_accounting_for_stock",
"doctype": "DocField",
"fieldname": "expense_account",
"fieldtype": "Link",
diff --git a/accounts/doctype/purchase_invoice/purchase_invoice.py b/accounts/doctype/purchase_invoice/purchase_invoice.py
index ad7ebd9..7e19fb3 100644
--- a/accounts/doctype/purchase_invoice/purchase_invoice.py
+++ b/accounts/doctype/purchase_invoice/purchase_invoice.py
@@ -213,28 +213,29 @@
raise Exception
def set_against_expense_account(self):
- auto_inventory_accounting = \
- cint(webnotes.defaults.get_global_default("auto_inventory_accounting"))
+ auto_accounting_for_stock = cint(webnotes.defaults.get_global_default("auto_accounting_for_stock"))
- if auto_inventory_accounting:
+ if auto_accounting_for_stock:
stock_not_billed_account = self.get_company_default("stock_received_but_not_billed")
against_accounts = []
+ stock_items = self.get_stock_items()
for item in self.doclist.get({"parentfield": "entries"}):
- if auto_inventory_accounting and item.item_code in self.stock_items:
+ if auto_accounting_for_stock and item.item_code in stock_items:
# in case of auto inventory accounting, against expense account is always
# Stock Received But Not Billed for a stock item
- item.expense_head = item.cost_center = None
+ item.expense_head = stock_not_billed_account
+ item.cost_center = None
if stock_not_billed_account not in against_accounts:
against_accounts.append(stock_not_billed_account)
elif not item.expense_head:
- msgprint(_("""Expense account is mandatory for item: """) + (item.item_code or item.item_name),
- raise_exception=1)
+ msgprint(_("Expense account is mandatory for item") + ": " +
+ (item.item_code or item.item_name), raise_exception=1)
elif item.expense_head not in against_accounts:
- # if no auto_inventory_accounting or not a stock item
+ # if no auto_accounting_for_stock or not a stock item
against_accounts.append(item.expense_head)
self.doc.against_expense_account = ",".join(against_accounts)
@@ -315,9 +316,8 @@
self.update_prevdoc_status()
def make_gl_entries(self):
- from accounts.general_ledger import make_gl_entries
- auto_inventory_accounting = \
- cint(webnotes.defaults.get_global_default("auto_inventory_accounting"))
+ auto_accounting_for_stock = \
+ cint(webnotes.defaults.get_global_default("auto_accounting_for_stock"))
gl_entries = []
@@ -354,17 +354,15 @@
valuation_tax += (tax.add_deduct_tax == "Add" and 1 or -1) * flt(tax.tax_amount)
# item gl entries
- stock_item_and_auto_inventory_accounting = False
- if auto_inventory_accounting:
- stock_account = self.get_company_default("stock_received_but_not_billed")
-
+ stock_item_and_auto_accounting_for_stock = False
+ stock_items = self.get_stock_items()
for item in self.doclist.get({"parentfield": "entries"}):
- if auto_inventory_accounting and item.item_code in self.stock_items:
+ if auto_accounting_for_stock and item.item_code in stock_items:
if flt(item.valuation_rate):
# if auto inventory accounting enabled and stock item,
# then do stock related gl entries
# expense will be booked in sales invoice
- stock_item_and_auto_inventory_accounting = True
+ stock_item_and_auto_accounting_for_stock = True
valuation_amt = (flt(item.amount, self.precision("amount", item)) +
flt(item.item_tax_amount, self.precision("item_tax_amount", item)) +
@@ -372,7 +370,7 @@
gl_entries.append(
self.get_gl_dict({
- "account": stock_account,
+ "account": item.expense_head,
"against": self.doc.credit_to,
"debit": valuation_amt,
"remarks": self.doc.remarks or "Accounting Entry for Stock"
@@ -391,13 +389,13 @@
})
)
- if stock_item_and_auto_inventory_accounting and valuation_tax:
+ if stock_item_and_auto_accounting_for_stock and valuation_tax:
# credit valuation tax amount in "Expenses Included In Valuation"
# this will balance out valuation amount included in cost of goods sold
gl_entries.append(
self.get_gl_dict({
"account": self.get_company_default("expenses_included_in_valuation"),
- "cost_center": self.get_company_default("stock_adjustment_cost_center"),
+ "cost_center": self.get_company_default("cost_center"),
"against": self.doc.credit_to,
"credit": valuation_tax,
"remarks": self.doc.remarks or "Accounting Entry for Stock"
@@ -418,6 +416,7 @@
)
if gl_entries:
+ from accounts.general_ledger import make_gl_entries
make_gl_entries(gl_entries, cancel=(self.doc.docstatus == 2))
def on_cancel(self):
@@ -457,4 +456,4 @@
and tabAccount.company = '%(company)s'
and tabAccount.%(key)s LIKE '%(txt)s'
%(mcond)s""" % {'company': filters['company'], 'key': searchfield,
- 'txt': "%%%s%%" % txt, 'mcond':get_match_cond(doctype, searchfield)})
\ No newline at end of file
+ 'txt': "%%%s%%" % txt, 'mcond':get_match_cond(doctype, searchfield)})
diff --git a/accounts/doctype/purchase_invoice/test_purchase_invoice.py b/accounts/doctype/purchase_invoice/test_purchase_invoice.py
index 7d68602..9e9e2f6 100644
--- a/accounts/doctype/purchase_invoice/test_purchase_invoice.py
+++ b/accounts/doctype/purchase_invoice/test_purchase_invoice.py
@@ -9,14 +9,15 @@
import json
from webnotes.utils import cint
import webnotes.defaults
+from stock.doctype.purchase_receipt.test_purchase_receipt import set_perpetual_inventory
test_dependencies = ["Item", "Cost Center"]
test_ignore = ["Serial No"]
class TestPurchaseInvoice(unittest.TestCase):
- def test_gl_entries_without_auto_inventory_accounting(self):
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
- self.assertTrue(not cint(webnotes.defaults.get_global_default("auto_inventory_accounting")))
+ def test_gl_entries_without_auto_accounting_for_stock(self):
+ set_perpetual_inventory(0)
+ self.assertTrue(not cint(webnotes.defaults.get_global_default("auto_accounting_for_stock")))
wrapper = webnotes.bean(copy=test_records[0])
wrapper.run_method("calculate_taxes_and_totals")
@@ -41,9 +42,9 @@
for d in gl_entries:
self.assertEqual([d.debit, d.credit], expected_gl_entries.get(d.account))
- def test_gl_entries_with_auto_inventory_accounting(self):
- webnotes.defaults.set_global_default("auto_inventory_accounting", 1)
- self.assertEqual(cint(webnotes.defaults.get_global_default("auto_inventory_accounting")), 1)
+ def test_gl_entries_with_auto_accounting_for_stock(self):
+ set_perpetual_inventory(1)
+ self.assertEqual(cint(webnotes.defaults.get_global_default("auto_accounting_for_stock")), 1)
pi = webnotes.bean(copy=test_records[1])
pi.run_method("calculate_taxes_and_totals")
@@ -68,11 +69,11 @@
self.assertEquals(expected_values[i][1], gle.debit)
self.assertEquals(expected_values[i][2], gle.credit)
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
+ set_perpetual_inventory(0)
def test_gl_entries_with_aia_for_non_stock_items(self):
- webnotes.defaults.set_global_default("auto_inventory_accounting", 1)
- self.assertEqual(cint(webnotes.defaults.get_global_default("auto_inventory_accounting")), 1)
+ set_perpetual_inventory()
+ self.assertEqual(cint(webnotes.defaults.get_global_default("auto_accounting_for_stock")), 1)
pi = webnotes.bean(copy=test_records[1])
pi.doclist[1].item_code = "_Test Non Stock Item"
@@ -98,8 +99,7 @@
self.assertEquals(expected_values[i][0], gle.account)
self.assertEquals(expected_values[i][1], gle.debit)
self.assertEquals(expected_values[i][2], gle.credit)
-
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
+ set_perpetual_inventory(0)
def test_purchase_invoice_calculation(self):
wrapper = webnotes.bean(copy=test_records[0])
diff --git a/accounts/doctype/sales_invoice/sales_invoice.js b/accounts/doctype/sales_invoice/sales_invoice.js
index 13cbc63..6639e65 100644
--- a/accounts/doctype/sales_invoice/sales_invoice.js
+++ b/accounts/doctype/sales_invoice/sales_invoice.js
@@ -333,7 +333,7 @@
});
// expense account
-if (sys_defaults.auto_inventory_accounting) {
+if (sys_defaults.auto_accounting_for_stock) {
cur_frm.fields_dict['entries'].grid.get_field('expense_account').get_query = function(doc) {
return {
filters: {
diff --git a/accounts/doctype/sales_invoice/sales_invoice.py b/accounts/doctype/sales_invoice/sales_invoice.py
index c7dba9c..12deed7 100644
--- a/accounts/doctype/sales_invoice/sales_invoice.py
+++ b/accounts/doctype/sales_invoice/sales_invoice.py
@@ -82,7 +82,7 @@
def on_submit(self):
if cint(self.doc.update_stock) == 1:
- self.update_stock_ledger(update_stock=1)
+ self.update_stock_ledger()
self.update_serial_nos()
else:
# Check for Approving Authority
@@ -90,7 +90,6 @@
get_obj('Authorization Control').validate_approving_authority(self.doc.doctype,
self.doc.company, self.doc.grand_total, self)
- self.set_buying_amount()
self.check_prev_docstatus()
self.update_status_updater_args()
@@ -111,7 +110,7 @@
def on_cancel(self):
if cint(self.doc.update_stock) == 1:
- self.update_stock_ledger(update_stock = -1)
+ self.update_stock_ledger()
self.update_serial_nos(cancel = True)
sales_com_obj = get_obj(dt = 'Sales Common')
@@ -196,8 +195,6 @@
pos = get_pos_settings(self.doc.company)
if pos:
- self.doc.conversion_rate = flt(pos.conversion_rate)
-
if not for_validate:
self.doc.customer = pos.customer
self.set_customer_defaults()
@@ -526,41 +523,18 @@
msgprint("Delivery Note : "+ cstr(d.delivery_note) +" is not submitted")
raise Exception , "Validation Error."
-
- def make_sl_entry(self, d, wh, qty, in_value, update_stock):
- st_uom = webnotes.conn.sql("select stock_uom from `tabItem` where name = '%s'"%d['item_code'])
- self.values.append({
- 'item_code' : d['item_code'],
- 'warehouse' : wh,
- 'posting_date' : self.doc.posting_date,
- 'posting_time' : self.doc.posting_time,
- 'voucher_type' : 'Sales Invoice',
- 'voucher_no' : cstr(self.doc.name),
- 'voucher_detail_no' : cstr(d['name']),
- 'actual_qty' : qty,
- 'stock_uom' : st_uom and st_uom[0][0] or '',
- 'incoming_rate' : in_value,
- 'company' : self.doc.company,
- 'fiscal_year' : self.doc.fiscal_year,
- 'is_cancelled' : (update_stock==1) and 'No' or 'Yes',
- 'batch_no' : cstr(d['batch_no']),
- 'serial_no' : d['serial_no'],
- "project" : self.doc.project_name
- })
-
- def update_stock_ledger(self, update_stock):
- self.values = []
+ def update_stock_ledger(self):
+ sl_entries = []
items = get_obj('Sales Common').get_item_list(self)
for d in items:
- if webnotes.conn.get_value("Item", d['item_code'], "is_stock_item") == "Yes":
- if not d['warehouse']:
- msgprint("Message: Please enter Warehouse for item %s as it is stock item." \
- % d['item_code'], raise_exception=1)
-
- # Reduce actual qty from warehouse
- self.make_sl_entry( d, d['warehouse'], - flt(d['qty']) , 0, update_stock)
+ if webnotes.conn.get_value("Item", d.item_code, "is_stock_item") == "Yes" \
+ and d.warehouse:
+ sl_entries.append(self.get_sl_entries(d, {
+ "actual_qty": -1*flt(d.qty),
+ "stock_uom": webnotes.conn.get_value("Item", d.item_code, "stock_uom")
+ }))
- get_obj('Stock Ledger', 'Stock Ledger').update_stock(self.values)
+ self.make_sl_entries(sl_entries)
def make_gl_entries(self):
from accounts.general_ledger import make_gl_entries, merge_similar_entries
@@ -584,6 +558,10 @@
make_gl_entries(gl_entries, cancel=(self.doc.docstatus == 2),
update_outstanding=update_outstanding, merge_entries=False)
+ if cint(webnotes.defaults.get_global_default("auto_accounting_for_stock")) \
+ and cint(self.doc.update_stock):
+ self.update_gl_entries_after()
+
def make_customer_gl_entry(self, gl_entries):
if self.doc.grand_total:
gl_entries.append(
@@ -625,15 +603,9 @@
)
# expense account gl entries
- if cint(webnotes.defaults.get_global_default("auto_inventory_accounting")) \
+ if cint(webnotes.defaults.get_global_default("auto_accounting_for_stock")) \
and cint(self.doc.update_stock):
-
- for item in self.doclist.get({"parentfield": "entries"}):
- self.check_expense_account(item)
-
- if item.buying_amount:
- gl_entries += self.get_gl_entries_for_stock(item.expense_account,
- -1*item.buying_amount, cost_center=item.cost_center)
+ gl_entries += self.get_gl_entries_for_stock()
def make_pos_gl_entries(self, gl_entries):
if cint(self.doc.is_pos) and self.doc.cash_bank_account and self.doc.paid_amount:
diff --git a/accounts/doctype/sales_invoice/test_sales_invoice.py b/accounts/doctype/sales_invoice/test_sales_invoice.py
index 5e13af6..dee098a 100644
--- a/accounts/doctype/sales_invoice/test_sales_invoice.py
+++ b/accounts/doctype/sales_invoice/test_sales_invoice.py
@@ -5,10 +5,13 @@
import unittest, json
from webnotes.utils import flt, cint
from webnotes.model.bean import DocstatusTransitionError, TimestampMismatchError
+from accounts.utils import get_stock_and_account_difference
+from stock.doctype.purchase_receipt.test_purchase_receipt import set_perpetual_inventory
class TestSalesInvoice(unittest.TestCase):
def make(self):
w = webnotes.bean(copy=test_records[0])
+ w.doc.is_pos = 0
w.insert()
w.submit()
return w
@@ -92,7 +95,6 @@
si.doclist[1].ref_rate = 1
si.doclist[2].export_rate = 3
si.doclist[2].ref_rate = 3
- si.run_method("calculate_taxes_and_totals")
si.insert()
expected_values = {
@@ -299,8 +301,8 @@
"Batched for Billing")
def test_sales_invoice_gl_entry_without_aii(self):
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
-
+ self.clear_stock_account_balance()
+ set_perpetual_inventory(0)
si = webnotes.bean(copy=test_records[1])
si.insert()
si.submit()
@@ -308,6 +310,7 @@
gl_entries = webnotes.conn.sql("""select account, debit, credit
from `tabGL Entry` where voucher_type='Sales Invoice' and voucher_no=%s
order by account asc""", si.doc.name, as_dict=1)
+
self.assertTrue(gl_entries)
expected_values = sorted([
@@ -325,19 +328,14 @@
# cancel
si.cancel()
- gle_count = webnotes.conn.sql("""select count(name) from `tabGL Entry`
- where voucher_type='Sales Invoice' and voucher_no=%s
- and ifnull(is_cancelled, 'No') = 'Yes'
- order by account asc""", si.doc.name)
+ gle = webnotes.conn.sql("""select * from `tabGL Entry`
+ where voucher_type='Sales Invoice' and voucher_no=%s""", si.doc.name)
- self.assertEquals(gle_count[0][0], 8)
+ self.assertFalse(gle)
def test_pos_gl_entry_with_aii(self):
- webnotes.conn.sql("delete from `tabStock Ledger Entry`")
- webnotes.defaults.set_global_default("auto_inventory_accounting", 1)
-
- old_default_company = webnotes.conn.get_default("company")
- webnotes.conn.set_default("company", "_Test Company")
+ self.clear_stock_account_balance()
+ set_perpetual_inventory()
self._insert_purchase_receipt()
self._insert_pos_settings()
@@ -362,20 +360,19 @@
["_Test Item", "_Test Warehouse - _TC", -1.0])
# check gl entries
- stock_in_hand_account = webnotes.conn.get_value("Company", "_Test Company",
- "stock_in_hand_account")
-
gl_entries = webnotes.conn.sql("""select account, debit, credit
from `tabGL Entry` where voucher_type='Sales Invoice' and voucher_no=%s
order by account asc, debit asc""", si.doc.name, as_dict=1)
self.assertTrue(gl_entries)
+ stock_in_hand = webnotes.conn.get_value("Account", {"master_name": "_Test Warehouse - _TC"})
+
expected_gl_entries = sorted([
[si.doc.debit_to, 630.0, 0.0],
[pos[1]["income_account"], 0.0, 500.0],
[pos[2]["account_head"], 0.0, 80.0],
[pos[3]["account_head"], 0.0, 50.0],
- [stock_in_hand_account, 0.0, 75.0],
+ [stock_in_hand, 0.0, 75.0],
[pos[1]["expense_account"], 75.0, 0.0],
[si.doc.debit_to, 0.0, 600.0],
["_Test Account Bank Account - _TC", 600.0, 0.0]
@@ -385,20 +382,22 @@
self.assertEquals(expected_gl_entries[i][1], gle.debit)
self.assertEquals(expected_gl_entries[i][2], gle.credit)
+
+
# cancel
si.cancel()
- gl_count = webnotes.conn.sql("""select count(name)
- from `tabGL Entry` where voucher_type='Sales Invoice' and voucher_no=%s
- and ifnull(is_cancelled, 'No') = 'Yes'
- order by account asc, name asc""", si.doc.name)
+ gle = webnotes.conn.sql("""select * from `tabGL Entry`
+ where voucher_type='Sales Invoice' and voucher_no=%s""", si.doc.name)
- self.assertEquals(gl_count[0][0], 16)
-
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
- webnotes.conn.set_default("company", old_default_company)
+ self.assertFalse(gle)
- def test_sales_invoice_gl_entry_with_aii_no_item_code(self):
- webnotes.defaults.set_global_default("auto_inventory_accounting", 1)
+ self.assertFalse(get_stock_and_account_difference([stock_in_hand]))
+
+ set_perpetual_inventory(0)
+
+ def test_sales_invoice_gl_entry_with_aii_no_item_code(self):
+ self.clear_stock_account_balance()
+ set_perpetual_inventory()
si_copy = webnotes.copy_doclist(test_records[1])
si_copy[1]["item_code"] = None
@@ -421,12 +420,12 @@
self.assertEquals(expected_values[i][0], gle.account)
self.assertEquals(expected_values[i][1], gle.debit)
self.assertEquals(expected_values[i][2], gle.credit)
-
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
-
- def test_sales_invoice_gl_entry_with_aii_non_stock_item(self):
- webnotes.defaults.set_global_default("auto_inventory_accounting", 1)
+ set_perpetual_inventory(0)
+
+ def test_sales_invoice_gl_entry_with_aii_non_stock_item(self):
+ self.clear_stock_account_balance()
+ set_perpetual_inventory()
si_copy = webnotes.copy_doclist(test_records[1])
si_copy[1]["item_code"] = "_Test Non Stock Item"
si = webnotes.bean(si_copy)
@@ -449,7 +448,7 @@
self.assertEquals(expected_values[i][1], gle.debit)
self.assertEquals(expected_values[i][2], gle.credit)
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
+ set_perpetual_inventory(0)
def _insert_purchase_receipt(self):
from stock.doctype.purchase_receipt.test_purchase_receipt import test_records \
@@ -643,9 +642,14 @@
return new_si
# if yearly, test 3 repetitions, else test 13 repetitions
- count = no_of_months == 12 and 3 or 13
+ count = 3 if no_of_months == 12 else 13
for i in xrange(count):
base_si = _test(i)
+
+ def clear_stock_account_balance(self):
+ webnotes.conn.sql("delete from `tabStock Ledger Entry`")
+ webnotes.conn.sql("delete from tabBin")
+ webnotes.conn.sql("delete from `tabGL Entry`")
def test_serialized(self):
from stock.doctype.stock_entry.test_stock_entry import make_serialized_item
diff --git a/accounts/doctype/sales_invoice_item/sales_invoice_item.txt b/accounts/doctype/sales_invoice_item/sales_invoice_item.txt
index 057f166..07cdc54 100644
--- a/accounts/doctype/sales_invoice_item/sales_invoice_item.txt
+++ b/accounts/doctype/sales_invoice_item/sales_invoice_item.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-06-04 11:02:19",
"docstatus": 0,
- "modified": "2013-07-25 16:32:10",
+ "modified": "2013-08-29 16:58:56",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -417,17 +417,6 @@
"read_only": 1
},
{
- "doctype": "DocField",
- "fieldname": "buying_amount",
- "fieldtype": "Currency",
- "hidden": 1,
- "label": "Buying Amount",
- "no_copy": 1,
- "options": "Company:company:default_currency",
- "print_hide": 1,
- "read_only": 1
- },
- {
"allow_on_submit": 1,
"doctype": "DocField",
"fieldname": "page_break",
diff --git a/accounts/general_ledger.py b/accounts/general_ledger.py
index c35e31e..995fdc0 100644
--- a/accounts/general_ledger.py
+++ b/accounts/general_ledger.py
@@ -5,17 +5,35 @@
import webnotes
from webnotes.utils import flt, cstr, now
from webnotes.model.doc import Document
+from webnotes import msgprint, _
+from accounts.utils import validate_expense_against_budget
+
+
+class StockAccountInvalidTransaction(webnotes.ValidationError): pass
def make_gl_entries(gl_map, cancel=False, adv_adj=False, merge_entries=True,
update_outstanding='Yes'):
+ if gl_map:
+ if not cancel:
+ gl_map = process_gl_map(gl_map, merge_entries)
+ save_entries(gl_map, adv_adj, update_outstanding)
+ else:
+ delete_gl_entries(gl_map, adv_adj=adv_adj, update_outstanding=update_outstanding)
+
+def process_gl_map(gl_map, merge_entries=True):
if merge_entries:
gl_map = merge_similar_entries(gl_map)
- if cancel:
- set_as_cancel(gl_map[0]["voucher_type"], gl_map[0]["voucher_no"])
+ for entry in gl_map:
+ # round off upto 2 decimal
+ entry.debit = flt(entry.debit, 2)
+ entry.credit = flt(entry.credit, 2)
+
+ # toggle debit, credit if negative entry
+ if flt(entry.debit) < 0 or flt(entry.credit) < 0:
+ entry.debit, entry.credit = abs(flt(entry.credit)), abs(flt(entry.debit))
- check_budget(gl_map, cancel)
- save_entries(gl_map, cancel, adv_adj, update_outstanding)
+ return gl_map
def merge_similar_entries(gl_map):
merged_gl_map = []
@@ -24,79 +42,86 @@
# to that entry
same_head = check_if_in_list(entry, merged_gl_map)
if same_head:
- same_head['debit'] = flt(same_head['debit']) + flt(entry['debit'])
- same_head['credit'] = flt(same_head['credit']) + flt(entry['credit'])
+ same_head.debit = flt(same_head.debit) + flt(entry.debit)
+ same_head.credit = flt(same_head.credit) + flt(entry.credit)
else:
merged_gl_map.append(entry)
-
+
+ # filter zero debit and credit entries
+ merged_gl_map = filter(lambda x: flt(x.debit)!=0 or flt(x.credit)!=0, merged_gl_map)
return merged_gl_map
-def check_if_in_list(gle, gl_mqp):
- for e in gl_mqp:
- if e['account'] == gle['account'] and \
+def check_if_in_list(gle, gl_map):
+ for e in gl_map:
+ if e.account == gle.account and \
cstr(e.get('against_voucher'))==cstr(gle.get('against_voucher')) \
and cstr(e.get('against_voucher_type')) == \
cstr(gle.get('against_voucher_type')) \
and cstr(e.get('cost_center')) == cstr(gle.get('cost_center')):
return e
-def check_budget(gl_map, cancel):
- for gle in gl_map:
- if gle.get('cost_center'):
- #check budget only if account is expense account
- acc_details = webnotes.conn.get_value("Account", gle['account'],
- ['is_pl_account', 'debit_or_credit'])
- if acc_details[0]=="Yes" and acc_details[1]=="Debit":
- webnotes.get_obj('Budget Control').check_budget(gle, cancel)
-
-def save_entries(gl_map, cancel, adv_adj, update_outstanding):
+def save_entries(gl_map, adv_adj, update_outstanding):
+ validate_account_for_auto_accounting_for_stock(gl_map)
+
total_debit = total_credit = 0.0
- def _swap(gle):
- gle.debit, gle.credit = abs(flt(gle.credit)), abs(flt(gle.debit))
-
for entry in gl_map:
- gle = Document('GL Entry', fielddata=entry)
+ make_entry(entry, adv_adj, update_outstanding)
+ # check against budget
+ validate_expense_against_budget(entry)
- # round off upto 2 decimal
- gle.debit = flt(gle.debit, 2)
- gle.credit = flt(gle.credit, 2)
-
- # toggle debit, credit if negative entry
- if flt(gle.debit) < 0 or flt(gle.credit) < 0:
- _swap(gle)
-
- # toggled debit/credit in two separate condition because
- # both should be executed at the
- # time of cancellation when there is negative amount (tax discount)
- if cancel:
- _swap(gle)
-
- gle_obj = webnotes.get_obj(doc=gle)
- # validate except on_cancel
- if not cancel:
- gle_obj.validate()
-
- # save
- gle.save(1)
- gle_obj.on_update(adv_adj, cancel, update_outstanding)
# update total debit / credit
- total_debit += flt(gle.debit)
- total_credit += flt(gle.credit)
+ total_debit += flt(entry.debit)
+ total_credit += flt(entry.credit)
- # print gle.account, gle.debit, gle.credit, total_debit, total_credit
-
- if not cancel:
- validate_total_debit_credit(total_debit, total_credit)
+ validate_total_debit_credit(total_debit, total_credit)
+
+def make_entry(args, adv_adj, update_outstanding):
+ args.update({"doctype": "GL Entry"})
+ gle = webnotes.bean([args])
+ gle.ignore_permissions = 1
+ gle.insert()
+ gle.run_method("on_update_with_args", adv_adj, update_outstanding)
+ gle.submit()
def validate_total_debit_credit(total_debit, total_credit):
if abs(total_debit - total_credit) > 0.005:
- webnotes.msgprint("""Debit and Credit not equal for
- this voucher: Diff (Debit) is %s""" %
- (total_debit - total_credit), raise_exception=1)
-
-def set_as_cancel(voucher_type, voucher_no):
- webnotes.conn.sql("""update `tabGL Entry` set is_cancelled='Yes',
- modified=%s, modified_by=%s
- where voucher_type=%s and voucher_no=%s""",
- (now(), webnotes.session.user, voucher_type, voucher_no))
\ No newline at end of file
+ webnotes.throw(_("Debit and Credit not equal for this voucher: Diff (Debit) is ") +
+ cstr(total_debit - total_credit))
+
+def validate_account_for_auto_accounting_for_stock(gl_map):
+ if gl_map[0].voucher_type=="Journal Voucher":
+ aii_accounts = [d[0] for d in webnotes.conn.sql("""select name from tabAccount
+ where account_type = 'Warehouse' and ifnull(master_name, '')!=''""")]
+
+ for entry in gl_map:
+ if entry.account in aii_accounts:
+ webnotes.throw(_("Account") + ": " + entry.account +
+ _(" can only be debited/credited through Stock transactions"),
+ StockAccountInvalidTransaction)
+
+
+def delete_gl_entries(gl_entries=None, voucher_type=None, voucher_no=None,
+ adv_adj=False, update_outstanding="Yes"):
+
+ from accounts.doctype.gl_entry.gl_entry import check_negative_balance, \
+ check_freezing_date, update_outstanding_amt, validate_frozen_account
+
+ if not gl_entries:
+ gl_entries = webnotes.conn.sql("""select * from `tabGL Entry`
+ where voucher_type=%s and voucher_no=%s""", (voucher_type, voucher_no), as_dict=True)
+ if gl_entries:
+ check_freezing_date(gl_entries[0]["posting_date"], adv_adj)
+
+ webnotes.conn.sql("""delete from `tabGL Entry` where voucher_type=%s and voucher_no=%s""",
+ (voucher_type or gl_entries[0]["voucher_type"], voucher_no or gl_entries[0]["voucher_no"]))
+
+ for entry in gl_entries:
+ validate_frozen_account(entry["account"], adv_adj)
+ check_negative_balance(entry["account"], adv_adj)
+ validate_expense_against_budget(entry)
+
+ if entry.get("against_voucher") and entry.get("against_voucher_type") != "POS" \
+ and update_outstanding == 'Yes':
+ update_outstanding_amt(entry["account"], entry.get("against_voucher_type"),
+ entry.get("against_voucher"), on_cancel=True)
\ No newline at end of file
diff --git a/accounts/report/accounts_payable/accounts_payable.py b/accounts/report/accounts_payable/accounts_payable.py
index 20702fd..d9a0ca2 100644
--- a/accounts/report/accounts_payable/accounts_payable.py
+++ b/accounts/report/accounts_payable/accounts_payable.py
@@ -73,7 +73,7 @@
conditions, supplier_accounts = get_conditions(filters, before_report_date)
gl_entries = []
gl_entries = webnotes.conn.sql("""select * from `tabGL Entry`
- where ifnull(is_cancelled, 'No') = 'No' %s order by posting_date, account""" %
+ where docstatus < 2 %s order by posting_date, account""" %
(conditions), tuple(supplier_accounts), as_dict=1)
return gl_entries
@@ -126,7 +126,7 @@
select sum(ifnull(debit, 0)) - sum(ifnull(credit, 0))
from `tabGL Entry`
where account = %s and posting_date <= %s and against_voucher_type = %s
- and against_voucher = %s and name != %s and ifnull(is_cancelled, 'No') = 'No'""",
+ and against_voucher = %s and name != %s""",
(gle.account, report_date, gle.voucher_type, gle.voucher_no, gle.name))[0][0]
outstanding_amount = flt(gle.credit) - flt(gle.debit) - flt(payment_amount)
diff --git a/accounts/report/accounts_receivable/accounts_receivable.py b/accounts/report/accounts_receivable/accounts_receivable.py
index 3ae2223..86a2475 100644
--- a/accounts/report/accounts_receivable/accounts_receivable.py
+++ b/accounts/report/accounts_receivable/accounts_receivable.py
@@ -65,7 +65,7 @@
def get_gl_entries(filters, upto_report_date=True):
conditions, customer_accounts = get_conditions(filters, upto_report_date)
return webnotes.conn.sql("""select * from `tabGL Entry`
- where ifnull(is_cancelled, 'No') = 'No' %s order by posting_date, account""" %
+ where docstatus < 2 %s order by posting_date, account""" %
(conditions), tuple(customer_accounts), as_dict=1)
def get_conditions(filters, upto_report_date=True):
@@ -116,7 +116,7 @@
select sum(ifnull(credit, 0)) - sum(ifnull(debit, 0))
from `tabGL Entry`
where account = %s and posting_date <= %s and against_voucher_type = %s
- and against_voucher = %s and name != %s and ifnull(is_cancelled, 'No') = 'No'""",
+ and against_voucher = %s and name != %s""",
(gle.account, report_date, gle.voucher_type, gle.voucher_no, gle.name))[0][0]
return flt(gle.debit) - flt(gle.credit) - flt(payment_amount)
@@ -130,7 +130,7 @@
payment_amount = webnotes.conn.sql("""
select sum(ifnull(credit, 0)) - sum(ifnull(debit, 0)) from `tabGL Entry`
where account = %s and posting_date <= %s and against_voucher_type = %s
- and against_voucher = %s and name != %s and ifnull(is_cancelled, 'No') = 'No'""",
+ and against_voucher = %s and name != %s""",
(gle.account, report_date, gle.voucher_type, gle.voucher_no, gle.name))[0][0]
return flt(payment_amount)
diff --git a/accounts/report/budget_variance_report/budget_variance_report.py b/accounts/report/budget_variance_report/budget_variance_report.py
index 015e2c0..ee4f6fe 100644
--- a/accounts/report/budget_variance_report/budget_variance_report.py
+++ b/accounts/report/budget_variance_report/budget_variance_report.py
@@ -87,7 +87,7 @@
return webnotes.conn.sql("""select gl.account, gl.debit, gl.credit,
gl.cost_center, MONTHNAME(gl.posting_date) as month_name
from `tabGL Entry` gl, `tabBudget Detail` bd
- where gl.fiscal_year=%s and company=%s and is_cancelled='No'
+ where gl.fiscal_year=%s and company=%s
and bd.account=gl.account""" % ('%s', '%s'),
(filters.get("fiscal_year"), filters.get("company")), as_dict=1)
diff --git a/accounts/report/gross_profit/gross_profit.py b/accounts/report/gross_profit/gross_profit.py
index 590babb..9917b69 100644
--- a/accounts/report/gross_profit/gross_profit.py
+++ b/accounts/report/gross_profit/gross_profit.py
@@ -52,11 +52,10 @@
query = """select item_code, voucher_type, voucher_no,
voucher_detail_no, posting_date, posting_time, stock_value,
warehouse, actual_qty as qty
- from `tabStock Ledger Entry`
- where ifnull(`is_cancelled`, "No") = "No" """
+ from `tabStock Ledger Entry`"""
if filters.get("company"):
- query += """ and company=%(company)s"""
+ query += """ where company=%(company)s"""
query += " order by item_code desc, warehouse desc, posting_date desc, posting_time desc, name desc"
diff --git a/accounts/utils.py b/accounts/utils.py
index 9beaac7..5c6c16b 100644
--- a/accounts/utils.py
+++ b/accounts/utils.py
@@ -4,7 +4,7 @@
from __future__ import unicode_literals
import webnotes
-from webnotes.utils import nowdate, cstr, flt, now
+from webnotes.utils import nowdate, nowtime, cstr, flt, now, getdate, add_months
from webnotes.model.doc import addchild
from webnotes import msgprint, _
from webnotes.utils import formatdate
@@ -12,6 +12,8 @@
class FiscalYearError(webnotes.ValidationError): pass
+class BudgetError(webnotes.ValidationError): pass
+
def get_fiscal_year(date=None, fiscal_year=None, label="Date", verbose=1):
return get_fiscal_years(date, fiscal_year, label, verbose=1)[0]
@@ -91,15 +93,10 @@
else:
cond.append("""gle.account = "%s" """ % (account, ))
- # join conditional conditions
- cond = " and ".join(cond)
- if cond:
- cond += " and "
-
bal = webnotes.conn.sql("""
SELECT sum(ifnull(debit, 0)) - sum(ifnull(credit, 0))
FROM `tabGL Entry` gle
- WHERE %s ifnull(is_cancelled, 'No') = 'No' """ % (cond, ))[0][0]
+ WHERE %s""" % " and ".join(cond))[0][0]
# if credit account, it should calculate credit - debit
if bal and acc.debit_or_credit == 'Credit':
@@ -236,8 +233,7 @@
set against_voucher_type=null, against_voucher=null,
modified=%s, modified_by=%s
where against_voucher_type=%s and against_voucher=%s
- and voucher_no != ifnull(against_voucher, "")
- and ifnull(is_cancelled, "No")="No" """,
+ and voucher_no != ifnull(against_voucher, '')""",
(now(), webnotes.session.user, ref_type, ref_no))
@webnotes.whitelist()
@@ -250,79 +246,6 @@
_("' in Company: ") + company), raise_exception=True)
return value
-
-def create_stock_in_hand_jv(reverse=False):
- from webnotes.utils import nowdate
- today = nowdate()
- fiscal_year = get_fiscal_year(today)[0]
- jv_list = []
-
- for company in webnotes.conn.sql_list("select name from `tabCompany`"):
- stock_rbnb_value = get_stock_rbnb_value(company)
- stock_rbnb_value = reverse and -1*stock_rbnb_value or stock_rbnb_value
- if stock_rbnb_value:
- jv = webnotes.bean([
- {
- "doctype": "Journal Voucher",
- "naming_series": "JV-AUTO-",
- "company": company,
- "posting_date": today,
- "fiscal_year": fiscal_year,
- "voucher_type": "Journal Entry",
- "user_remark": (_("Auto Inventory Accounting") + ": " +
- (_("Disabled") if reverse else _("Enabled")) + ". " +
- _("Journal Entry for inventory that is received but not yet invoiced"))
- },
- {
- "doctype": "Journal Voucher Detail",
- "parentfield": "entries",
- "account": get_company_default(company, "stock_received_but_not_billed"),
- (stock_rbnb_value > 0 and "credit" or "debit"): abs(stock_rbnb_value)
- },
- {
- "doctype": "Journal Voucher Detail",
- "parentfield": "entries",
- "account": get_company_default(company, "stock_adjustment_account"),
- (stock_rbnb_value > 0 and "debit" or "credit"): abs(stock_rbnb_value),
- "cost_center": get_company_default(company, "stock_adjustment_cost_center")
- },
- ])
- jv.insert()
-
- jv_list.append(jv.doc.name)
-
- if jv_list:
- msgprint(_("Following Journal Vouchers have been created automatically") + \
- ":\n%s" % ("\n".join([("<a href=\"#Form/Journal Voucher/%s\">%s</a>" % (jv, jv)) for jv in jv_list]),))
-
- msgprint(_("""These adjustment vouchers book the difference between \
- the total value of received items and the total value of invoiced items, \
- as a required step to use Auto Inventory Accounting.
- This is an approximation to get you started.
- You will need to submit these vouchers after checking if the values are correct.
- For more details, read: \
- <a href="http://erpnext.com/auto-inventory-accounting" target="_blank">\
- Auto Inventory Accounting</a>"""))
-
- webnotes.msgprint("""Please refresh the system to get effect of Auto Inventory Accounting""")
-
-
-def get_stock_rbnb_value(company):
- total_received_amount = webnotes.conn.sql("""select sum(valuation_rate*qty*conversion_factor)
- from `tabPurchase Receipt Item` pr_item where docstatus=1
- and exists(select name from `tabItem` where name = pr_item.item_code
- and is_stock_item='Yes')
- and exists(select name from `tabPurchase Receipt`
- where name = pr_item.parent and company = %s)""", company)
-
- total_billed_amount = webnotes.conn.sql("""select sum(valuation_rate*qty*conversion_factor)
- from `tabPurchase Invoice Item` pi_item where docstatus=1
- and exists(select name from `tabItem` where name = pi_item.item_code
- and is_stock_item='Yes')
- and exists(select name from `tabPurchase Invoice`
- where name = pi_item.parent and company = %s)""", company)
- return flt(total_received_amount[0][0]) - flt(total_billed_amount[0][0])
-
def fix_total_debit_credit():
vouchers = webnotes.conn.sql("""select voucher_type, voucher_no,
@@ -338,4 +261,91 @@
webnotes.conn.sql("""update `tabGL Entry` set %s = %s + %s
where voucher_type = %s and voucher_no = %s and %s > 0 limit 1""" %
(dr_or_cr, dr_or_cr, '%s', '%s', '%s', dr_or_cr),
- (d.diff, d.voucher_type, d.voucher_no))
\ No newline at end of file
+ (d.diff, d.voucher_type, d.voucher_no))
+
+def get_stock_and_account_difference(account_list=None, posting_date=None):
+ from stock.utils import get_stock_balance_on
+
+ if not posting_date: posting_date = nowdate()
+
+ difference = {}
+
+ account_warehouse = dict(webnotes.conn.sql("""select name, master_name from tabAccount
+ where account_type = 'Warehouse' and ifnull(master_name, '') != ''
+ and name in (%s)""" % ', '.join(['%s']*len(account_list)), account_list))
+
+ for account, warehouse in account_warehouse.items():
+ account_balance = get_balance_on(account, posting_date)
+ stock_value = get_stock_balance_on(warehouse, posting_date)
+ if abs(flt(stock_value) - flt(account_balance)) > 0.005:
+ difference.setdefault(account, flt(stock_value) - flt(account_balance))
+
+ return difference
+
+def validate_expense_against_budget(args):
+ args = webnotes._dict(args)
+ if webnotes.conn.get_value("Account", {"name": args.account, "is_pl_account": "Yes",
+ "debit_or_credit": "Debit"}):
+ budget = webnotes.conn.sql("""
+ select bd.budget_allocated, cc.distribution_id
+ from `tabCost Center` cc, `tabBudget Detail` bd
+ where cc.name=bd.parent and cc.name=%s and account=%s and bd.fiscal_year=%s
+ """, (args.cost_center, args.account, args.fiscal_year), as_dict=True)
+
+ if budget and budget[0].budget_allocated:
+ yearly_action, monthly_action = webnotes.conn.get_value("Company", args.company,
+ ["yearly_bgt_flag", "monthly_bgt_flag"])
+ action_for = action = ""
+
+ if monthly_action in ["Stop", "Warn"]:
+ budget_amount = get_allocated_budget(budget[0].distribution_id,
+ args.posting_date, args.fiscal_year, budget[0].budget_allocated)
+
+ args["month_end_date"] = webnotes.conn.sql("select LAST_DAY(%s)",
+ args.posting_date)[0][0]
+ action_for, action = "Monthly", monthly_action
+
+ elif yearly_action in ["Stop", "Warn"]:
+ budget_amount = budget[0].budget_allocated
+ action_for, action = "Monthly", yearly_action
+
+ if action_for:
+ actual_expense = get_actual_expense(args)
+ if actual_expense > budget_amount:
+ webnotes.msgprint(action_for + _(" budget ") + cstr(budget_amount) +
+ _(" for account ") + args.account + _(" against cost center ") +
+ args.cost_center + _(" will exceed by ") +
+ cstr(actual_expense - budget_amount) + _(" after this transaction.")
+ , raise_exception=BudgetError if action=="Stop" else False)
+
+def get_allocated_budget(distribution_id, posting_date, fiscal_year, yearly_budget):
+ if distribution_id:
+ distribution = {}
+ for d in webnotes.conn.sql("""select bdd.month, bdd.percentage_allocation
+ from `tabBudget Distribution Detail` bdd, `tabBudget Distribution` bd
+ where bdd.parent=bd.name and bd.fiscal_year=%s""", fiscal_year, as_dict=1):
+ distribution.setdefault(d.month, d.percentage_allocation)
+
+ dt = webnotes.conn.get_value("Fiscal Year", fiscal_year, "year_start_date")
+ budget_percentage = 0.0
+
+ while(dt <= getdate(posting_date)):
+ if distribution_id:
+ budget_percentage += distribution.get(getdate(dt).strftime("%B"), 0)
+ else:
+ budget_percentage += 100.0/12
+
+ dt = add_months(dt, 1)
+
+ return yearly_budget * budget_percentage / 100
+
+def get_actual_expense(args):
+ args["condition"] = " and posting_date<='%s'" % args.month_end_date \
+ if args.get("month_end_date") else ""
+
+ return webnotes.conn.sql("""
+ select sum(ifnull(debit, 0)) - sum(ifnull(credit, 0))
+ from `tabGL Entry`
+ where account='%(account)s' and cost_center='%(cost_center)s'
+ and fiscal_year='%(fiscal_year)s' and company='%(company)s' %(condition)s
+ """ % (args))[0][0]
\ No newline at end of file
diff --git a/buying/doctype/purchase_order/purchase_order.py b/buying/doctype/purchase_order/purchase_order.py
index 3675177..64f89e3 100644
--- a/buying/doctype/purchase_order/purchase_order.py
+++ b/buying/doctype/purchase_order/purchase_order.py
@@ -89,6 +89,7 @@
def update_bin(self, is_submit, is_stopped = 0):
+ from stock.utils import update_bin
pc_obj = get_obj('Purchase Common')
for d in getlist(self.doclist, 'po_details'):
#1. Check if is_stock_item == 'Yes'
@@ -123,12 +124,13 @@
# Update ordered_qty and indented_qty in bin
args = {
- "item_code" : d.item_code,
- "ordered_qty" : (is_submit and 1 or -1) * flt(po_qty),
- "indented_qty" : (is_submit and 1 or -1) * flt(ind_qty),
+ "item_code": d.item_code,
+ "warehouse": d.warehouse,
+ "ordered_qty": (is_submit and 1 or -1) * flt(po_qty),
+ "indented_qty": (is_submit and 1 or -1) * flt(ind_qty),
"posting_date": self.doc.transaction_date
}
- get_obj("Warehouse", d.warehouse).update_bin(args)
+ update_bin(args)
def check_modified_date(self):
mod_db = sql("select modified from `tabPurchase Order` where name = '%s'" % self.doc.name)
diff --git a/buying/doctype/purchase_order/test_purchase_order.py b/buying/doctype/purchase_order/test_purchase_order.py
index e160bab..cef5e4a 100644
--- a/buying/doctype/purchase_order/test_purchase_order.py
+++ b/buying/doctype/purchase_order/test_purchase_order.py
@@ -6,9 +6,10 @@
import unittest
import webnotes
import webnotes.defaults
+from webnotes.utils import flt
class TestPurchaseOrder(unittest.TestCase):
- def test_make_purchase_receipt(self):
+ def test_make_purchase_receipt(self):
from buying.doctype.purchase_order.purchase_order import make_purchase_receipt
po = webnotes.bean(copy=test_records[0]).insert()
@@ -18,6 +19,7 @@
po = webnotes.bean("Purchase Order", po.doc.name)
po.submit()
+
pr = make_purchase_receipt(po.doc.name)
pr[0]["supplier_warehouse"] = "_Test Warehouse 1 - _TC"
@@ -25,7 +27,52 @@
self.assertEquals(len(pr), len(test_records[0]))
pr[0].naming_series = "_T-Purchase Receipt-"
- webnotes.bean(pr).insert()
+ pr_bean = webnotes.bean(pr)
+ pr_bean.insert()
+
+ def test_ordered_qty(self):
+ webnotes.conn.sql("delete from tabBin")
+
+ from buying.doctype.purchase_order.purchase_order import make_purchase_receipt
+
+ po = webnotes.bean(copy=test_records[0]).insert()
+
+ self.assertRaises(webnotes.ValidationError, make_purchase_receipt,
+ po.doc.name)
+
+ po = webnotes.bean("Purchase Order", po.doc.name)
+ po.doc.is_subcontracted = "No"
+ po.doclist[1].item_code = "_Test Item"
+ po.submit()
+
+ self.assertEquals(webnotes.conn.get_value("Bin", {"item_code": "_Test Item",
+ "warehouse": "_Test Warehouse - _TC"}, "ordered_qty"), 10)
+
+ pr = make_purchase_receipt(po.doc.name)
+
+ self.assertEquals(pr[0]["doctype"], "Purchase Receipt")
+ self.assertEquals(len(pr), len(test_records[0]))
+
+ pr[0].naming_series = "_T-Purchase Receipt-"
+ pr[1].qty = 4.0
+ pr_bean = webnotes.bean(pr)
+ pr_bean.insert()
+ pr_bean.submit()
+
+ self.assertEquals(flt(webnotes.conn.get_value("Bin", {"item_code": "_Test Item",
+ "warehouse": "_Test Warehouse - _TC"}, "ordered_qty")), 6.0)
+
+ webnotes.conn.set_value('Item', '_Test Item', 'tolerance', 50)
+
+ pr1 = make_purchase_receipt(po.doc.name)
+ pr1[0].naming_series = "_T-Purchase Receipt-"
+ pr1[1].qty = 8
+ pr1_bean = webnotes.bean(pr1)
+ pr1_bean.insert()
+ pr1_bean.submit()
+
+ self.assertEquals(flt(webnotes.conn.get_value("Bin", {"item_code": "_Test Item",
+ "warehouse": "_Test Warehouse - _TC"}, "ordered_qty")), 0.0)
def test_make_purchase_invocie(self):
from buying.doctype.purchase_order.purchase_order import make_purchase_invoice
diff --git a/buying/doctype/quality_inspection/quality_inspection.js b/buying/doctype/quality_inspection/quality_inspection.js
index 8c7c932..f3517b4 100644
--- a/buying/doctype/quality_inspection/quality_inspection.js
+++ b/buying/doctype/quality_inspection/quality_inspection.js
@@ -1,11 +1,6 @@
// Copyright (c) 2013, Web Notes Technologies Pvt. Ltd.
// License: GNU General Public License v3. See license.txt
-cur_frm.cscript.item_code = function(doc, cdt, cdn) {
- if (doc.item_code)
- return get_server_fields('get_purchase_receipt_item_details','','',doc,cdt,cdn,1);
-}
-
cur_frm.cscript.inspection_type = function(doc, cdt, cdn) {
if(doc.inspection_type == 'Incoming'){
doc.delivery_note_no = '';
@@ -30,13 +25,22 @@
// item code based on GRN/DN
cur_frm.fields_dict['item_code'].get_query = function(doc, cdt, cdn) {
- var filter = {};
- if (doc.purchase_receipt_no) filter['parent'] = doc.purchase_receipt_no;
-
- else if (doc.delivery_note_no) filter['parent'] = doc.delivery_note_no;
-
- return{
- filters: filter
+ if (doc.purchase_receipt_no) {
+ return {
+ query: "buying.doctype.quality_inspection.quality_inspection.item_query",
+ filters: {
+ "from": "Purchase Receipt Item",
+ "parent": doc.purchase_receipt_no
+ }
+ }
+ } else if (doc.delivery_note_no) {
+ return {
+ query: "buying.doctype.quality_inspection.quality_inspection.item_query",
+ filters: {
+ "from": "Delivery Note Item",
+ "parent": doc.delivery_note_no
+ }
+ }
}
}
diff --git a/buying/doctype/quality_inspection/quality_inspection.py b/buying/doctype/quality_inspection/quality_inspection.py
index 19b2d2a..3380bd6 100644
--- a/buying/doctype/quality_inspection/quality_inspection.py
+++ b/buying/doctype/quality_inspection/quality_inspection.py
@@ -33,3 +33,17 @@
webnotes.conn.sql("update `tabPurchase Receipt Item` t1, `tabPurchase Receipt` t2 set t1.qa_no = '', t2.modified = '%s' \
where t1.parent = '%s' and t1.item_code = '%s' and t1.parent = t2.name" \
% (self.doc.modified, self.doc.purchase_receipt_no, self.doc.item_code))
+
+
+def item_query(doctype, txt, searchfield, start, page_len, filters):
+ if filters.get("from"):
+ from webnotes.widgets.reportview import get_match_cond
+ filters.update({
+ "txt": txt,
+ "mcond": get_match_cond(filters["from"], searchfield),
+ "start": start,
+ "page_len": page_len
+ })
+ return webnotes.conn.sql("""select item_code from `tab%(from)s`
+ where parent='%(parent)s' and docstatus < 2 and item_code like '%%%(txt)s%%' %(mcond)s
+ order by item_code limit %(start)s, %(page_len)s""" % filters)
\ No newline at end of file
diff --git a/buying/utils.py b/buying/utils.py
index 179db9b..115b023 100644
--- a/buying/utils.py
+++ b/buying/utils.py
@@ -98,8 +98,8 @@
from utilities.transaction_base import validate_currency
validate_currency(args, item_bean.doc, meta)
- out.import_ref_rate = \
- flt(price_list_rate[0].ref_rate * args.plc_conversion_rate / args.conversion_rate)
+ out.import_ref_rate = flt(price_list_rate[0].ref_rate) * \
+ flt(args.plc_conversion_rate) / flt(args.conversion_rate)
# if not found, fetch from last purchase transaction
if not out.import_ref_rate:
diff --git a/controllers/accounts_controller.py b/controllers/accounts_controller.py
index 1247e66..927b249 100644
--- a/controllers/accounts_controller.py
+++ b/controllers/accounts_controller.py
@@ -5,7 +5,7 @@
import webnotes
from webnotes import _, msgprint
from webnotes.utils import flt, cint, today, cstr
-from setup.utils import get_company_currency, get_price_list_currency
+from setup.utils import get_company_currency
from accounts.utils import get_fiscal_year, validate_fiscal_year
from utilities.transaction_base import TransactionBase, validate_conversion_rate
import json
@@ -13,7 +13,6 @@
class AccountsController(TransactionBase):
def validate(self):
self.set_missing_values(for_validate=True)
-
self.validate_date_with_fiscal_year()
if self.meta.get_field("currency"):
self.calculate_taxes_and_totals()
@@ -21,7 +20,7 @@
self.set_total_in_words()
self.validate_for_freezed_account()
-
+
def set_missing_values(self, for_validate=False):
for fieldname in ["posting_date", "transaction_date"]:
if not self.doc.fields.get(fieldname) and self.meta.get_field(fieldname):
@@ -54,35 +53,38 @@
self.doc.doctype + _(" can not be made."), raise_exception=1)
def set_price_list_currency(self, buying_or_selling):
- company_currency = get_company_currency(self.doc.company)
- fieldname = buying_or_selling.lower() + "_price_list"
-
- # TODO - change this, since price list now has only one currency allowed
- if self.meta.get_field(fieldname) and self.doc.fields.get(fieldname):
- self.doc.fields.update(get_price_list_currency(self.doc.fields.get(fieldname)))
+ if self.meta.get_field("currency"):
+ company_currency = get_company_currency(self.doc.company)
+
+ # price list part
+ fieldname = "selling_price_list" if buying_or_selling.lower() == "selling" \
+ else "buying_price_list"
+ if self.meta.get_field(fieldname) and self.doc.fields.get(fieldname):
+ if not self.doc.price_list_currency:
+ self.doc.price_list_currency = webnotes.conn.get_value("Price List",
+ self.doc.fields.get(fieldname), "currency")
- if self.doc.price_list_currency:
if self.doc.price_list_currency == company_currency:
self.doc.plc_conversion_rate = 1.0
- elif not self.doc.plc_conversion_rate or \
- (flt(self.doc.plc_conversion_rate)==1 and company_currency!= self.doc.price_list_currency):
- exchange = self.doc.price_list_currency + "-" + company_currency
- self.doc.plc_conversion_rate = flt(webnotes.conn.get_value("Currency Exchange",
- exchange, "exchange_rate"))
-
- if not self.doc.currency:
- self.doc.currency = self.doc.price_list_currency
- self.doc.conversion_rate = self.doc.plc_conversion_rate
-
- if self.meta.get_field("currency"):
- if self.doc.currency and self.doc.currency != company_currency:
- if not self.doc.conversion_rate:
- exchange = self.doc.currency + "-" + company_currency
- self.doc.conversion_rate = flt(webnotes.conn.get_value("Currency Exchange",
- exchange, "exchange_rate"))
- else:
- self.doc.conversion_rate = 1
-
+
+ elif not self.doc.plc_conversion_rate:
+ self.doc.plc_conversion_rate = self.get_exchange_rate(
+ self.doc.price_list_currency, company_currency)
+
+ # currency
+ if not self.doc.currency:
+ self.doc.currency = self.doc.price_list_currency
+ self.doc.conversion_rate = self.doc.plc_conversion_rate
+ elif self.doc.currency == company_currency:
+ self.doc.conversion_rate = 1.0
+ elif not self.doc.conversion_rate:
+ self.doc.conversion_rate = self.get_exchange_rate(self.doc.currency,
+ company_currency)
+
+ def get_exchange_rate(self, from_currency, to_currency):
+ exchange = "%s-%s" % (from_currency, to_currency)
+ return flt(webnotes.conn.get_value("Currency Exchange", exchange, "exchange_rate"))
+
def set_missing_item_details(self, get_item_details):
"""set missing item values"""
for item in self.doclist.get({"parentfield": self.fname}):
@@ -335,24 +337,20 @@
self.calculate_outstanding_amount()
- def get_gl_dict(self, args, cancel=None):
+ def get_gl_dict(self, args):
"""this method populates the common properties of a gl entry record"""
- if cancel is None:
- cancel = (self.doc.docstatus == 2)
-
- gl_dict = {
+ gl_dict = webnotes._dict({
'company': self.doc.company,
'posting_date': self.doc.posting_date,
'voucher_type': self.doc.doctype,
'voucher_no': self.doc.name,
'aging_date': self.doc.fields.get("aging_date") or self.doc.posting_date,
'remarks': self.doc.remarks,
- 'is_cancelled': cancel and "Yes" or "No",
'fiscal_year': self.doc.fiscal_year,
'debit': 0,
'credit': 0,
'is_opening': self.doc.fields.get("is_opening") or "No",
- }
+ })
gl_dict.update(args)
return gl_dict
@@ -407,20 +405,17 @@
def get_company_default(self, fieldname):
from accounts.utils import get_company_default
return get_company_default(self.doc.company, fieldname)
-
- @property
- def stock_items(self):
- if not hasattr(self, "_stock_items"):
- self._stock_items = []
- item_codes = list(set(item.item_code for item in
- self.doclist.get({"parentfield": self.fname})))
- if item_codes:
- self._stock_items = [r[0] for r in webnotes.conn.sql("""select name
- from `tabItem` where name in (%s) and is_stock_item='Yes'""" % \
- (", ".join((["%s"]*len(item_codes))),), item_codes)]
+ def get_stock_items(self):
+ stock_items = []
+ item_codes = list(set(item.item_code for item in
+ self.doclist.get({"parentfield": self.fname})))
+ if item_codes:
+ stock_items = [r[0] for r in webnotes.conn.sql("""select name
+ from `tabItem` where name in (%s) and is_stock_item='Yes'""" % \
+ (", ".join((["%s"]*len(item_codes))),), item_codes)]
- return self._stock_items
+ return stock_items
@property
def company_abbr(self):
diff --git a/controllers/buying_controller.py b/controllers/buying_controller.py
index 043099a..7e49e60 100644
--- a/controllers/buying_controller.py
+++ b/controllers/buying_controller.py
@@ -62,7 +62,7 @@
raise_exception=WrongWarehouseCompany)
def validate_stock_or_nonstock_items(self):
- if not self.stock_items:
+ if not self.get_stock_items():
tax_for_valuation = [d.account_head for d in
self.doclist.get({"parentfield": "purchase_tax_details"})
if d.category in ["Valuation", "Valuation and Total"]]
diff --git a/controllers/selling_controller.py b/controllers/selling_controller.py
index 5605ccf..f1117ed 100644
--- a/controllers/selling_controller.py
+++ b/controllers/selling_controller.py
@@ -23,7 +23,7 @@
self.set_price_list_and_item_details()
if self.doc.fields.get("__islocal"):
self.set_taxes("other_charges", "charge")
-
+
def set_missing_lead_customer_details(self):
if self.doc.customer:
if not (self.doc.contact_person and self.doc.customer_address and self.doc.customer_name):
@@ -83,46 +83,6 @@
if self.meta.get_field("in_words_export"):
self.doc.in_words_export = money_in_words(disable_rounded_total and
self.doc.grand_total_export or self.doc.rounded_total_export, self.doc.currency)
-
- def set_buying_amount(self, stock_ledger_entries = None):
- from stock.utils import get_buying_amount, get_sales_bom_buying_amount
- if not stock_ledger_entries:
- stock_ledger_entries = self.get_stock_ledger_entries()
-
- item_sales_bom = {}
- for d in self.doclist.get({"parentfield": "packing_details"}):
- new_d = webnotes._dict(d.fields.copy())
- new_d.total_qty = -1 * d.qty
- item_sales_bom.setdefault(d.parent_item, []).append(new_d)
-
- if stock_ledger_entries:
- for item in self.doclist.get({"parentfield": self.fname}):
- if item.item_code in self.stock_items or \
- (item_sales_bom and item_sales_bom.get(item.item_code)):
-
- buying_amount = 0
- if item.item_code in self.stock_items:
- buying_amount = get_buying_amount(self.doc.doctype, self.doc.name,
- item.name, stock_ledger_entries.get((item.item_code,
- item.warehouse), []))
- elif item_sales_bom and item_sales_bom.get(item.item_code):
- buying_amount = get_sales_bom_buying_amount(item.item_code, item.warehouse,
- self.doc.doctype, self.doc.name, item.name, stock_ledger_entries,
- item_sales_bom)
-
- # buying_amount >= 0.01 so that gl entry doesn't get created for such small amounts
- item.buying_amount = buying_amount >= 0.01 and buying_amount or 0
- webnotes.conn.set_value(item.doctype, item.name, "buying_amount",
- item.buying_amount)
-
- def check_expense_account(self, item):
- if item.buying_amount and not item.expense_account:
- msgprint(_("""Expense account is mandatory for item: """) + item.item_code,
- raise_exception=1)
-
- if item.buying_amount and not item.cost_center:
- msgprint(_("""Cost Center is mandatory for item: """) + item.item_code,
- raise_exception=1)
def calculate_taxes_and_totals(self):
self.other_fname = "other_charges"
diff --git a/controllers/stock_controller.py b/controllers/stock_controller.py
index 1aeca1b..d4c92a9 100644
--- a/controllers/stock_controller.py
+++ b/controllers/stock_controller.py
@@ -3,39 +3,237 @@
from __future__ import unicode_literals
import webnotes
-from webnotes.utils import cint
+from webnotes.utils import cint, flt, cstr
+from webnotes import msgprint, _
import webnotes.defaults
+
from controllers.accounts_controller import AccountsController
+from accounts.general_ledger import make_gl_entries, delete_gl_entries
class StockController(AccountsController):
- def get_gl_entries_for_stock(self, against_stock_account, amount,
- stock_in_hand_account=None, cost_center=None):
- if not stock_in_hand_account:
- stock_in_hand_account = self.get_company_default("stock_in_hand_account")
- if not cost_center:
- cost_center = self.get_company_default("stock_adjustment_cost_center")
+ def make_gl_entries(self):
+ if not cint(webnotes.defaults.get_global_default("auto_accounting_for_stock")):
+ return
- if amount:
- gl_entries = [
- # stock in hand account
- self.get_gl_dict({
- "account": stock_in_hand_account,
- "against": against_stock_account,
- "debit": amount,
- "remarks": self.doc.remarks or "Accounting Entry for Stock",
- }, self.doc.docstatus == 2),
-
- # account against stock in hand
- self.get_gl_dict({
- "account": against_stock_account,
- "against": stock_in_hand_account,
- "credit": amount,
- "cost_center": cost_center or None,
- "remarks": self.doc.remarks or "Accounting Entry for Stock",
- }, self.doc.docstatus == 2),
- ]
+ warehouse_account = self.get_warehouse_account()
+
+ if self.doc.docstatus==1:
+ gl_entries = self.get_gl_entries_for_stock(warehouse_account)
+ make_gl_entries(gl_entries)
+ else:
+ delete_gl_entries(voucher_type=self.doc.doctype, voucher_no=self.doc.name)
+
+ self.update_gl_entries_after(warehouse_account)
+
+ def get_gl_entries_for_stock(self, warehouse_account=None, default_expense_account=None,
+ default_cost_center=None):
+ from accounts.general_ledger import process_gl_map
+ if not warehouse_account:
+ warehouse_account = self.get_warehouse_account()
+
+ stock_ledger = self.get_stock_ledger_details()
+ voucher_details = self.get_voucher_details(stock_ledger, default_expense_account,
+ default_cost_center)
+
+ gl_list = []
+ warehouse_with_no_account = []
+ for detail in voucher_details:
+ sle_list = stock_ledger.get(detail.name)
+ if sle_list:
+ for sle in sle_list:
+ if warehouse_account.get(sle.warehouse):
+ # from warehouse account
+ gl_list.append(self.get_gl_dict({
+ "account": warehouse_account[sle.warehouse],
+ "against": detail.expense_account,
+ "cost_center": detail.cost_center,
+ "remarks": self.doc.remarks or "Accounting Entry for Stock",
+ "debit": sle.stock_value_difference
+ }))
+
+ # to target warehouse / expense account
+ gl_list.append(self.get_gl_dict({
+ "account": detail.expense_account,
+ "against": warehouse_account[sle.warehouse],
+ "cost_center": detail.cost_center,
+ "remarks": self.doc.remarks or "Accounting Entry for Stock",
+ "credit": sle.stock_value_difference
+ }))
+ elif sle.warehouse not in warehouse_with_no_account:
+ warehouse_with_no_account.append(sle.warehouse)
+
+ if warehouse_with_no_account:
+ msgprint(_("No accounting entries for following warehouses") + ": \n" +
+ "\n".join(warehouse_with_no_account))
+
+ return process_gl_map(gl_list)
- return gl_entries
+ def get_voucher_details(self, stock_ledger, default_expense_account, default_cost_center):
+ if not default_expense_account:
+ details = self.doclist.get({"parentfield": self.fname})
+ for d in details:
+ self.check_expense_account(d)
+ else:
+ details = [webnotes._dict({
+ "name":d,
+ "expense_account": default_expense_account,
+ "cost_center": default_cost_center
+ }) for d in stock_ledger.keys()]
+
+ return details
+
+ def get_stock_ledger_details(self):
+ stock_ledger = {}
+ for sle in webnotes.conn.sql("""select warehouse, stock_value_difference, voucher_detail_no
+ from `tabStock Ledger Entry` where voucher_type=%s and voucher_no=%s""",
+ (self.doc.doctype, self.doc.name), as_dict=True):
+ stock_ledger.setdefault(sle.voucher_detail_no, []).append(sle)
+ return stock_ledger
+
+ def get_warehouse_account(self):
+ for d in webnotes.conn.sql("select name from tabWarehouse"):
+ webnotes.bean("Warehouse", d[0]).save()
+
+ warehouse_account = dict(webnotes.conn.sql("""select master_name, name from tabAccount
+ where account_type = 'Warehouse' and ifnull(master_name, '') != ''"""))
+ return warehouse_account
+
+ def update_gl_entries_after(self, warehouse_account=None):
+ from accounts.utils import get_stock_and_account_difference
+ future_stock_vouchers = self.get_future_stock_vouchers()
+ gle = self.get_voucherwise_gl_entries(future_stock_vouchers)
+ if not warehouse_account:
+ warehouse_account = self.get_warehouse_account()
+
+ for voucher_type, voucher_no in future_stock_vouchers:
+ existing_gle = gle.get((voucher_type, voucher_no), [])
+ voucher_obj = webnotes.get_obj(voucher_type, voucher_no)
+ expected_gle = voucher_obj.get_gl_entries_for_stock(warehouse_account)
+
+ if expected_gle:
+ matched = True
+ if existing_gle:
+ for entry in expected_gle:
+ for e in existing_gle:
+ if entry.account==e.account \
+ and entry.against_account==e.against_account\
+ and entry.cost_center==e.cost_center:
+ if entry.debit != e.debit or entry.credit != e.credit:
+ matched = False
+ break
+ else:
+ matched = False
+
+ if not matched:
+ self.delete_gl_entries(voucher_type, voucher_no)
+ make_gl_entries(expected_gle)
+ else:
+ self.delete_gl_entries(voucher_type, voucher_no)
+
+
+ def get_future_stock_vouchers(self):
+ future_stock_vouchers = []
+
+ if hasattr(self, "fname"):
+ item_list = [d.item_code for d in self.doclist.get({"parentfield": self.fname})]
+ condition = ''.join(['and item_code in (\'', '\', \''.join(item_list) ,'\')'])
+ else:
+ condition = ""
+
+ for d in webnotes.conn.sql("""select distinct sle.voucher_type, sle.voucher_no
+ from `tabStock Ledger Entry` sle
+ where timestamp(sle.posting_date, sle.posting_time) >= timestamp(%s, %s) %s
+ order by timestamp(sle.posting_date, sle.posting_time) asc, name asc""" %
+ ('%s', '%s', condition), (self.doc.posting_date, self.doc.posting_time),
+ as_dict=True):
+ future_stock_vouchers.append([d.voucher_type, d.voucher_no])
+
+ return future_stock_vouchers
+
+ def get_voucherwise_gl_entries(self, future_stock_vouchers):
+ gl_entries = {}
+ if future_stock_vouchers:
+ for d in webnotes.conn.sql("""select * from `tabGL Entry`
+ where posting_date >= %s and voucher_no in (%s)""" %
+ ('%s', ', '.join(['%s']*len(future_stock_vouchers))),
+ tuple([self.doc.posting_date] + [d[1] for d in future_stock_vouchers]), as_dict=1):
+ gl_entries.setdefault((d.voucher_type, d.voucher_no), []).append(d)
+
+ return gl_entries
+
+ def delete_gl_entries(self, voucher_type, voucher_no):
+ webnotes.conn.sql("""delete from `tabGL Entry`
+ where voucher_type=%s and voucher_no=%s""", (voucher_type, voucher_no))
+
+ def make_adjustment_entry(self, expected_gle, voucher_obj):
+ from accounts.utils import get_stock_and_account_difference
+ account_list = [d.account for d in expected_gle]
+ acc_diff = get_stock_and_account_difference(account_list, expected_gle[0].posting_date)
+
+ cost_center = self.get_company_default("cost_center")
+ stock_adjustment_account = self.get_company_default("stock_adjustment_account")
+
+ gl_entries = []
+ for account, diff in acc_diff.items():
+ if diff:
+ gl_entries.append([
+ # stock in hand account
+ voucher_obj.get_gl_dict({
+ "account": account,
+ "against": stock_adjustment_account,
+ "debit": diff,
+ "remarks": "Adjustment Accounting Entry for Stock",
+ }),
+
+ # account against stock in hand
+ voucher_obj.get_gl_dict({
+ "account": stock_adjustment_account,
+ "against": account,
+ "credit": diff,
+ "cost_center": cost_center or None,
+ "remarks": "Adjustment Accounting Entry for Stock",
+ }),
+ ])
+
+ if gl_entries:
+ from accounts.general_ledger import make_gl_entries
+ make_gl_entries(gl_entries)
+
+ def check_expense_account(self, item):
+ if item.fields.has_key("expense_account") and not item.expense_account:
+ msgprint(_("""Expense/Difference account is mandatory for item: """) + item.item_code,
+ raise_exception=1)
+
+ if item.fields.has_key("expense_account") and not item.cost_center:
+ msgprint(_("""Cost Center is mandatory for item: """) + item.item_code,
+ raise_exception=1)
+
+ def get_sl_entries(self, d, args):
+ sl_dict = {
+ "item_code": d.item_code,
+ "warehouse": d.warehouse,
+ "posting_date": self.doc.posting_date,
+ "posting_time": self.doc.posting_time,
+ "voucher_type": self.doc.doctype,
+ "voucher_no": self.doc.name,
+ "voucher_detail_no": d.name,
+ "actual_qty": (self.doc.docstatus==1 and 1 or -1)*flt(d.stock_qty),
+ "stock_uom": d.stock_uom,
+ "incoming_rate": 0,
+ "company": self.doc.company,
+ "fiscal_year": self.doc.fiscal_year,
+ "batch_no": cstr(d.batch_no).strip(),
+ "serial_no": d.serial_no,
+ "project": d.project_name,
+ "is_cancelled": self.doc.docstatus==2 and "Yes" or "No"
+ }
+
+ sl_dict.update(args)
+ return sl_dict
+
+ def make_sl_entries(self, sl_entries, is_amended=None):
+ from stock.stock_ledger import make_sl_entries
+ make_sl_entries(sl_entries, is_amended)
def get_stock_ledger_entries(self, item_list=None, warehouse_list=None):
out = {}
@@ -47,8 +245,7 @@
res = webnotes.conn.sql("""select item_code, voucher_type, voucher_no,
voucher_detail_no, posting_date, posting_time, stock_value,
warehouse, actual_qty as qty from `tabStock Ledger Entry`
- where ifnull(`is_cancelled`, "No") = "No" and company = %s
- and item_code in (%s) and warehouse in (%s)
+ where company = %s and item_code in (%s) and warehouse in (%s)
order by item_code desc, warehouse desc, posting_date desc,
posting_time desc, name desc""" %
('%s', ', '.join(['%s']*len(item_list)), ', '.join(['%s']*len(warehouse_list))),
@@ -74,6 +271,5 @@
def make_cancel_gl_entries(self):
if webnotes.conn.sql("""select name from `tabGL Entry` where voucher_type=%s
- and voucher_no=%s and ifnull(is_cancelled, 'No')='No'""",
- (self.doc.doctype, self.doc.name)):
+ and voucher_no=%s""", (self.doc.doctype, self.doc.name)):
self.make_gl_entries()
\ No newline at end of file
diff --git a/docs/docs.user.stock.accounting_for_stock.md b/docs/docs.user.stock.accounting_for_stock.md
new file mode 100644
index 0000000..bf91fe5
--- /dev/null
+++ b/docs/docs.user.stock.accounting_for_stock.md
@@ -0,0 +1,42 @@
+---
+{
+ "_label": "Accounting of Inventory / Stock"
+}
+---
+
+The value of available inventory is treated as an Asset in company's Chart of Accounts. Depending on the type of items, it can be treated as Fixed Asset or Current Asset. To prepare Balance Sheet, you should make the accounting entries for those assets.
+There are generally two different methods of accounting for inventory:
+
+
+### **Auto / Perpetual Inventory**
+
+In this process, for each stock transactions, the system posts relevant accounting entries to sync stock balance and accounting balance. This is the default setting in ERPNext for new accounts.
+
+When you buy and receive items, those items are booked as the company’s assets (stock-in-hand / fixed-assets). When you sell and deliver those items, an expense (cost-of-goods-sold) equal to the buying cost of the items is booked. General Ledger entries are made after every stock transaction. As a result, the value as per Stock Ledger always remains same with the relevant account balance. This improves accuracy of Balance Sheet and Profit and Loss statement.
+
+To check accounting entries for a particular stock transaction, please check [**examples**](docs.user.stock.perpetual_inventory.html)
+
+#### **Advantages**
+
+Perpetual Inventory system will make it easier for you to maintain accuracy of company's asset and expense values. Stock balances will always be synced with relevant account balances, so no more periodic manual entry has to be done to balance them.
+
+In case of new back-dated stock transactions or cancellation/amendment of an existing transaction, all the future Stock Ledger entries and GL Entries will be recalculated for all items of that transaction.
+The same is applicable if any cost is added to the submitted Purchase Receipt, later through the Landed Cost Wizard.
+
+>Note: Perpetual Inventory totally depends upon the item valuation rate. Hence, you have to be more careful entering valuation rate while making any incoming stock transactions like Purchase Receipt, Material Receipt, or Manufacturing / Repack.
+
+-
+
+### **Periodic Inventory**
+
+In this method, accounting entries are manually created periodically, to sync stock balance and relevant account balance. The system does not create accounting entries automatically for assets, at the time of material purchases or sales.
+
+In an accounting period, when you buy and receive items, an expense is booked in your accounting system. You sell and deliver some of these items.
+
+At the end of an accounting period, the total value of items to be sold, need to be booked as the company’s assets, often known as stock-in-hand.
+
+The difference between the value of the items remaining to be sold and the previous period’s stock-in-hand value can be positive or negative. If positive, this value is removed from expenses (cost-of-goods-sold) and is added to assets (stock-in-hand / fixed-assets). If negative, a reverse entry is passed.
+
+This complete process is called Periodic Inventory.
+
+If you are an existing user using Periodic Inventory and want to use Perpetual Inventory, you have to follow some steps to migrate. For details, check [**Migration From Periodic Inventory**](docs.user.stock.perpetual_inventory.html)
diff --git a/docs/docs.user.stock.perpetual_inventory.md b/docs/docs.user.stock.perpetual_inventory.md
new file mode 100644
index 0000000..eb10326
--- /dev/null
+++ b/docs/docs.user.stock.perpetual_inventory.md
@@ -0,0 +1,313 @@
+---
+{
+ "_label": "Perpetual Inventory"
+}
+---
+
+In perpetual inventory, system creates accounting entries for each stock transactions, so that stock and account balance will always remain same. The account balance will be posted against their respective account heads for each Warehouse. On saving of a Warehouse, the system will automatically create an account head with the same name as warehouse. As account balance is maintained for each Warehouse, you should create Warehouses, based on the type of items (Current / Fixed Assets) it stores.
+
+At the time of items received in a particular warehouse, the balance of asset account (linked to that warehouse) will be increased. Similarly when you deliver some items from that warehouse, an expense will be booked and the asset account will be reduced, based on the valuation amount of those items.
+
+
+## **Activation**
+
+1. Setup the following default accounts for each Company
+ - Stock Received But Not Billed
+ - Stock Adjustment Account
+ - Expenses Included In Valuation
+ - Cost Center
+
+2. In perpetual inventory, the system will maintain seperate account balance for each warehouse under separate account head. To create that account head, enter "Create Account Under" in Warehouse master.
+
+3. Activate Perpetual Inventory
+> Setup > Accounts Settings > Make Accounting Entry For Every Stock Movement
+
+
+-
+
+## **Example**
+
+Consider following Chart of Accounts and Warehouse setup for your company:
+
+#### Chart of Accounts
+
+- Assets (Dr)
+ - Current Assets
+ - Accounts Receivable
+ - Jane Doe
+ - Stock Assets
+ - Stores
+ - Finished Goods
+ - Work In Progress
+ - Tax Assets
+ - VAT
+ - Fixed Assets
+ - Fixed Asset Warehouse
+- Liabilities (Cr)
+ - Current Liabilities
+ - Accounts Payable
+ - East Wind Inc.
+ - Stock Liabilities
+ - Stock Received But Not Billed
+ - Tax Liabilities
+ - Service Tax
+- Income (Cr)
+ - Direct Income
+ - Sales Account
+- Expenses (Dr)
+ - Direct Expenses
+ - Stock Expenses
+ - Cost of Goods Sold
+ - Expenses Included In Valuation
+ - Stock Adjustment
+ - Shipping Charges
+ - Customs Duty
+
+#### Warehouse - Account Configuration
+
+- Stores
+- Work In Progress
+- Finished Goods
+- Fixed Asset Warehouse
+
+### **Purchase Receipt**
+
+Suppose you have purchased *10 nos* of item "RM0001" at *$200* and *5 nos* of item "Desktop" at **$100** from supplier "East Wind Inc". Following are the details of Purchase Receipt:
+
+<b>Supplier:</b> East Wind Inc.
+
+<b>Items:</b>
+<table class="table table-bordered">
+ <thead>
+ <tr>
+ <th>Item</th><th>Warehouse</th><th>Qty</th>
+ <th>Rate</th><th>Amount</th><th>Valuation Amount</th>
+ </tr>
+ </thead>
+ <tbody>
+ <tr>
+ <td>RM0001</td><td>Stores</td><td>10</td><td>200</td><td>2000</td><td>2200</td>
+ </tr>
+ <tr>
+ <td>Desktop</td><td>Fixed Asset Warehouse</td>
+ <td>5</td><td>100</td><td>500</td><td>550</td>
+ </tr>
+ </tbody>
+</table>
+
+**Taxes:**
+
+<table class="table table-bordered">
+ <thead>
+ <tr><th>Account</th><th>Amount</th><th>Category</th></tr>
+ </thead>
+ <tbody>
+ <tr><td>Shipping Charges</td><td>100</td><td>Total and Valuation</td></tr>
+ <tr><td>VAT</td><td>120</td><td>Total</td></tr>
+ <tr><td>Customs Duty</td><td>150</td><td>Valuation</td></tr>
+ </tbody>
+</table>
+
+**Stock Ledger**
+
+![pr_stock_ledger](img/accounting-for-stock-2.png)
+
+**General Ledger**
+
+![pr_general_ledger](img/accounting-for-stock-3.png)
+
+As stock balance increases through Purchase Receipt, "Store" and "Fixed Asset Warehouse" accounts are debited and a temporary account "Stock Receipt But Not Billed" account is credited, to maintain double entry accounting system.
+
+
+--
+
+### **Purchase Invoice**
+
+On receiving Bill from supplier, for the above Purchase Receipt, you will make Purchase Invoice for the same. The general ledger entries are as follows:
+
+**General Ledger**
+
+![pi_general_ledger](img/accounting-for-stock-4.png)
+
+
+Here "Stock Received But Not Billed" account is debited and nullified the effect of Purchase Receipt. "Expenses Included In Valuation" account has been credited which ensures the valuation expense accounts are not booked (debited) twice (in Purchase Invoice and Delivery Note).
+
+--
+
+### **Delivery Note**
+
+Lets say, you have an order from "Jane Doe" to deliver 5 nos of item "RM0001" at $300. Following are the details of Delivery Note:
+
+**Customer:** Jane Doe
+
+**Items:**
+<table class="table table-bordered">
+ <thead>
+ <tr><th>Item</th><th>Warehouse</th><th>Qty</th><th>Rate</th><th>Amount</th></tr>
+ </thead>
+ <tbody>
+ <tr><td>RM0001</td><td>Stores</td><td>5</td><td>300</td><td>1500</td></tr>
+ </tbody>
+</table>
+
+**Taxes:**
+
+<table class="table table-bordered">
+ <thead>
+ <tr><th>Account</th><th>Amount</th></tr>
+ </thead>
+ <tbody>
+ <tr><td>Service Tax</td><td>150</td></tr>
+ <tr><td>VAT</td><td>100</td></tr>
+ </tbody>
+</table>
+
+
+**Stock Ledger**
+
+![dn_stock_ledger](img/accounting-for-stock-5.png)
+
+**General Ledger**
+
+![dn_general_ledger](img/accounting-for-stock-6.png)
+
+As item is delivered from "Stores" warehouse, "Stores" account is credited and equal amount is debited to the expense account "Cost of Goods Sold". The debit/credit amount is equal to the total valuation amount (buying cost) of the selling items. And valuation amount is calculated based on your prefferred valuation method (FIFO / Moving Average) or actual cost of serialized items.
+<pre>
+ <code>
+In this example, we have considered valuation method as FIFO.
+Valuation Rate = Purchase Rate + Charges Included in Valuation
+ = 200 + (250 * (2000 / 2500) / 10)
+ = 220
+Total Valuation Amount = 220 * 5
+ = 1100
+ </code>
+</pre>
+
+--
+
+### **Sales Invoice with Update Stock**
+
+Lets say, you did not make Delivery Note against the above order and instead you have made Sales Invoice directly, with "Update Stock" options. The details of the Sales Invoice are same as the above Delivery Note.
+
+**Stock Ledger**
+
+![si_stock_ledger](img/accounting-for-stock-7.png)
+
+**General Ledger**
+
+![si_general_ledger](img/accounting-for-stock-8.png)
+
+Here, apart from normal account entries for invoice, "Stores" and "Cost of Goods Sold" accounts are also affected based on the valuation amount.
+
+--
+
+### **Stock Entry (Material Receipt)**
+
+**Items:**
+<table class="table table-bordered">
+ <thead>
+ <tr><th>Item</th><th>Target Warehouse</th><th>Qty</th><th>Rate</th><th>Amount</th></tr>
+ </thead>
+ <tbody>
+ <tr><td>RM0001</td><td>Stores</td><td>50</td><td>220</td><td>11000</td></tr>
+ </tbody>
+</table>
+
+**Stock Ledger**
+
+![mr_stock_ledger](img/accounting-for-stock-9.png)
+
+**General Ledger**
+
+![mr_stock_ledger](img/accounting-for-stock-10.png)
+
+--
+
+### **Stock Entry (Material Issue)**
+
+**Items:**
+<table class="table table-bordered">
+ <thead>
+ <tr><th>Item</th><th>Source Warehouse</th><th>Qty</th><th>Rate</th><th>Amount</th></tr>
+ </thead>
+ <tbody>
+ <tr><td>RM0001</td><td>Stores</td><td>10</td><td>220</td><td>2200</td></tr>
+ </tbody>
+</table>
+
+**Stock Ledger**
+
+![mi_stock_ledger](img/accounting-for-stock-11.png)
+
+**General Ledger**
+
+![mi_stock_ledger](img/accounting-for-stock-12.png)
+
+--
+
+### **Stock Entry (Material Transfer)**
+
+**Items:**
+<table class="table table-bordered">
+ <thead>
+ <tr><th>Item</th><th>Source Warehouse</th><th>Target Warehouse</th>
+ <th>Qty</th><th>Rate</th><th>Amount</th></tr>
+ </thead>
+ <tbody>
+ <tr><td>RM0001</td><td>Stores</td><td>Work In Progress</td>
+ <td>10</td><td>220</td><td>2200</td></tr>
+ </tbody>
+</table>
+
+**Stock Ledger**
+
+![mtn_stock_ledger](img/accounting-for-stock-13.png)
+
+**General Ledger**
+
+![mtn_general_ledger](img/accounting-for-stock-14.png)
+
+--
+
+### **Stock Entry (Sales Return - Sales Invoice booked)**
+
+**Items:**
+<table class="table table-bordered">
+ <thead>
+ <tr><th>Item</th><th>Target Warehouse</th><th>Qty</th><th>Rate</th><th>Amount</th></tr>
+ </thead>
+ <tbody>
+ <tr><td>RM0001</td><td>Stores</td><td>2</td><td>200</td><td>400</td></tr>
+ </tbody>
+</table>
+
+**Stock Ledger**
+
+![sret_stock_ledger](img/accounting-for-stock-15.png)
+
+**General Ledger**
+
+![sret_general_ledger](img/accounting-for-stock-16.png)
+
+
+--
+
+### **Stock Entry (Purchase Return)**
+
+**Items:**
+<table class="table table-bordered">
+ <thead>
+ <tr><th>Item</th><th>Source Warehouse</th><th>Qty</th><th>Rate</th><th>Amount</th></tr>
+ </thead>
+ <tbody>
+ <tr><td>RM0001</td><td>Stores</td><td>4</td><td>220</td><td>880</td></tr>
+ </tbody>
+</table>
+
+**Stock Ledger**
+
+![pret_stock_ledger](img/accounting-for-stock-17.png)
+
+**General Ledger**
+
+![pret_general_ledger](img/accounting-for-stock-18.png)
diff --git a/docs/user/accounts/docs.user.accounts.md b/docs/user/accounts/docs.user.accounts.md
index 21a43e3..01ce425 100644
--- a/docs/user/accounts/docs.user.accounts.md
+++ b/docs/user/accounts/docs.user.accounts.md
@@ -15,6 +15,9 @@
}
---
+![Accounts](img/accounts-image.png)
+
+
At end of the sales and purchase cycle is billing and payments. You may have an accountant in your team, or you may be doing accounting yourself or you may have outsourced your accounting. Financial accounting forms the core of any business management system like an ERP.
diff --git a/docs/user/accounts/docs.user.accounts.opening_entry.md b/docs/user/accounts/docs.user.accounts.opening_entry.md
new file mode 100644
index 0000000..f8d0841
--- /dev/null
+++ b/docs/user/accounts/docs.user.accounts.opening_entry.md
@@ -0,0 +1,10 @@
+---
+{
+ "_label": "Opening Entry"
+}
+---
+
+If you are a new company you can start using ERPNext accounting module by going to chart of accounts.
+
+However, if you are migrating from a legacy accounting system like Tally or a Fox Pro based software, please visit [Opening Entry](docs.user.setup.opening.html)
+
diff --git a/docs/user/accounts/docs.user.accounts.opening_stock.md b/docs/user/accounts/docs.user.accounts.opening_stock.md
new file mode 100644
index 0000000..b0927bd
--- /dev/null
+++ b/docs/user/accounts/docs.user.accounts.opening_stock.md
@@ -0,0 +1,44 @@
+---
+{
+ "_label": "Opening Stock"
+}
+---
+
+
+You can upload your opening stock in the system using Stock Reconciliation. Stock Reconciliation will update your stock for a given Item on a given date for a given Warehouse to the given quantity.
+
+Stock Reconciliation will make a “difference entry” (the difference between the system stock and the actual stock in your file) for the Item.
+
+Tip: Stock Reconciliation can also be used to update the “value” of an Item.
+
+To make a Stock Reconciliation, go to:
+
+> Stock > Stock Reconciliation > New Stock Reconciliation
+
+and follow the steps mentioned on the page.
+
+#### Step 1: Download Template
+
+
+![Stock Reconciliation](img/stock-reconciliation-1.png)
+
+#### Step 2: Enter Data in csv file.
+
+
+![Stock Reconciliation](img/stock-reconciliation-csv-1.png)
+
+The csv format is case-sensitive. Thus special care should be taken to avoid spelling errors or wrong names. Even if you do not list some quantities or valuation rates, the file will still process the data.
+
+#### Step 3: Upload the csv file with data
+
+![Stock Reconciliation](img/stock-reconciliation-2.png)
+
+<br>
+
+#### Step 4: Attach the uploaded file.
+
+![Stock Reconciliation](img/stock-reconciliation-3.png)
+
+
+
+After reviewing saved Reconciliation Data, submit the Stock Reconciliation. On successful submission, the data will be updated in the system. To check the uploaded data go to Stock and view Stock Level Report.
\ No newline at end of file
diff --git a/docs/user/accounts/docs.user.accounts.purchase_invoice.md b/docs/user/accounts/docs.user.accounts.purchase_invoice.md
index 32be689..9f43d4b 100644
--- a/docs/user/accounts/docs.user.accounts.purchase_invoice.md
+++ b/docs/user/accounts/docs.user.accounts.purchase_invoice.md
@@ -44,7 +44,7 @@
---
-#### Is a purchase an “Expense” or “Asset”?
+#### Is purchase an “Expense” or an “Asset”?
If the Item is consumed immediately on purchase, or if it is a service, then the purchase becomes an “Expense”. For example, a telephone bill or travel bill is an “Expense” - it is already consumed.
diff --git a/docs/user/customize/docs.user.customize.custom_field.md b/docs/user/customize/docs.user.customize.custom_field.md
index 1dd2340..a457f07 100644
--- a/docs/user/customize/docs.user.customize.custom_field.md
+++ b/docs/user/customize/docs.user.customize.custom_field.md
@@ -7,6 +7,10 @@
> Setup > Custom Field > New Custom Field
+![Custome Field](img/custom-field.png)
+
+
+
In the form:
- Select the Document on which you want to add the Custom Field.
diff --git a/docs/user/customize/docs.user.customize.custom_form.md b/docs/user/customize/docs.user.customize.custom_form.md
index 2e649ae..6b37bd1 100644
--- a/docs/user/customize/docs.user.customize.custom_form.md
+++ b/docs/user/customize/docs.user.customize.custom_form.md
@@ -9,9 +9,13 @@
> Setup > Customize ERPNext > Customize Forms
+
+![Customize Forms](img/customize-form-1.png)
+
+
Select the Form you want to customize and the fields table will be updated with the fields from that form. Here you can:
-- Change field types (for e.g. you want to increase the number of decimal places, you can convert come fields from Float to Currency).
+- Change field types (for e.g. you want to increase the number of decimal places, you can convert some fields from Float to Currency).
- Change labels to suit your industry / language.
- Make certain fields mandatory.
- Hide certain fields.
@@ -20,4 +24,12 @@
You can also allow attachments, set max number of attachments and set the default Print Format.
+
+![Customize Forms](img/customize-form-2.png)
+
+
+<br>
+
+
+
> Though we want you to do everything you can to customize your ERP based on your business needs, we recommend that you do not make “wild” changes to the forms. This is because, these changes may affect certain operations and may mess up your forms. Make small changes and see its effect before doing some more.
\ No newline at end of file
diff --git a/docs/user/customize/docs.user.customize.custom_scripts.md b/docs/user/customize/docs.user.customize.custom_scripts.md
index 9b6c91f..d885ba5 100644
--- a/docs/user/customize/docs.user.customize.custom_scripts.md
+++ b/docs/user/customize/docs.user.customize.custom_scripts.md
@@ -3,4 +3,10 @@
"_label": "Custom Scripts"
}
---
+If you wish to change any ERPNext form formats, you can do so by using Custom Scripts. For example, if you wish to add a submit button after saving, to a Lead form, you can do so by creating your own script.
+
+> Setup > Customization > Custom Script
+
+
+![Custom Script](img/custom-script.png)
diff --git a/docs/user/customize/docs.user.customize.hide_unhide.md b/docs/user/customize/docs.user.customize.hide_unhide.md
index ff64b24..8edf8f6 100644
--- a/docs/user/customize/docs.user.customize.hide_unhide.md
+++ b/docs/user/customize/docs.user.customize.hide_unhide.md
@@ -7,7 +7,10 @@
As you have seen from this manual that ERPNext contains tons of features which you may not use. We have observed that most users start with using 20% of the features, though a different 20%. To hide fields belonging to features you dont require, go to:
-> Setup > Customize ERPNext > Disable Features.
+> Setup > Tools > Hide/Unhide Features
+
+![Hide Features](img/hide-features.png)
+
Check / uncheck the features you want to use and refresh your page for the changes to take effect.
@@ -17,6 +20,9 @@
To hide modules (icons) from the home page, go to:
-Setup > Customize ERPNext > Modules Setup
+Setup > Tools> Modules Setup
+
+![Hide/Unhide Modules](img/hide-module.png)
+
> Note: Modules are automatically hidden for users that have no permissions on the documents within that module. For example, if a user has no permissions on Purchase Order, Purchase Request, Supplier, the “Buying” module will automatically be hidden.
diff --git a/docs/user/customize/docs.user.customize.print_format.md b/docs/user/customize/docs.user.customize.print_format.md
index f8970c4..eed52bd 100644
--- a/docs/user/customize/docs.user.customize.print_format.md
+++ b/docs/user/customize/docs.user.customize.print_format.md
@@ -8,11 +8,18 @@
- The auto-generated “Standard” Print Format: This type of format follows the same layout as the form and is generated automatically by ERPNext.
- Based on the Print Format document. There are templates in HTML that will be rendered with data.
-ERPNext comes with a number of pre-defined templates in three styles: Modern, Classic and Spartan. You modify these templates or create their own. Editing ERPNext templates is not allowed because they may be over-written in an upcoming release.
+ERPNext comes with a number of pre-defined templates in three styles: Modern, Classic and Spartan. You modify these templates or create your own. Editing ERPNext templates is not allowed because they may be over-written in an upcoming release.
To create your own versions, open an existing template from:
-> Setup > Branding and Printing > Print Formats
+> Setup > Printing > Print Formats
+
+
+![Print Format](img/print-format.png)
+
+<br>
+
+
Select the type of Print Format you want to edit and click on the “Copy” button on the right column. A new Print Format will open up with “Is Standard” set as “No” and you can edit the Print Format.
diff --git a/docs/user/docs.user.md b/docs/user/docs.user.md
index a4e996c..d9e7f2a 100644
--- a/docs/user/docs.user.md
+++ b/docs/user/docs.user.md
@@ -15,7 +15,8 @@
"docs.user.projects",
"docs.user.website",
"docs.user.tools",
- "docs.user.customize"
+ "docs.user.customize",
+ "docs.user.knowledge"
],
"_no_toc": 1
}
@@ -84,13 +85,14 @@
1. [Purchase Receipt](docs.user.stock.purchase_receipt.html)
1. [Delivery Note](docs.user.stock.delivery_note.html)
1. [Stock Entry / Material Transfer](docs.user.stock.stock_entry.html)
+ 1. [Opening Stock](docs.user.accounts.opening_stock.html)
1. [Material Issue](docs.user.stock.material_issue.html)
1. [Sales Return](docs.user.stock.sales_return.html)
1. [Purchase Return](docs.user.stock.purchase_return.html)
1. [Projected Quantity](docs.user.stock.projected_quantity.html)
1. [Accounting for Stock](docs.user.stock.accounting_for_stock.html)
1. [Perpetual Inventory](docs.user.stock.perpetual_inventory.html)
- 1. [Perpetual Inventory Migration](docs.user.stock.periodic_to_perpetual.html)
+ 1. [Migrate to Perpetual Inventory](docs.user.stock.migrate_to_perpetual.html)
1. [Accounts](docs.user.accounts.html)
1. [Chart of Accounts](docs.user.setup.accounting.html)
1. [Chart of Cost Centers](docs.user.setup.cost_centers.html)
@@ -101,7 +103,6 @@
1. [Opening Entry](docs.user.accounts.opening_entry.html)
1. [Period Closing](docs.user.accounts.closing.html)
1. [Accounting Reports](docs.user.accounts.reports.html)
- 1. [Upload Journal Entries in Bulk](docs.user.accounts.voucher_import.html)
1. [Point of Sale (POS) Invoice](docs.user.accounts.pos.html)
1. [Human Resources (HR)](docs.user.hr.html)
1. [HR Setup](docs.user.hr.setup.html)
@@ -121,10 +122,11 @@
1. [Maintenance Schedule](docs.user.support.maintenance_schedule.html)
1. [Maintenance Visit](docs.user.support.maintenance_visit.html)
1. [Maintenance Schedule](docs.user.support.maintenance_schedule.html)
+ 1. [Newsletter](docs.user.support.newsletter.html)
1. [Projects](docs.user.projects.html)
1. [Projects](docs.user.projects.projects.html)
1. [Task](docs.user.projects.task.html)
- 1. [Time Log](docs.user.projects.time_log.html)
+ 1. [Time Log](docs.user.projects.timelog.html)
1. [Website](docs.user.website.html)
1. [Setup](docs.user.website.setup.html)
1. [Web Pages](docs.user.website.web_page.html)
@@ -136,9 +138,16 @@
1. [Calendar](docs.user.tools.calendar.html)
1. [Assignments](docs.user.tools.assignment.html)
1. [Tags](docs.user.tools.tags.html)
+ 1. [Forms](docs.user.tools.form_tools.html)
+ 1. [Messages](docs.user.tools.messages.html)
+ 1. [Notes](docs.user.tools.notes.html)
1. [Customize](docs.user.customize.html)
1. [Custom Fields](docs.user.customize.custom_field.html)
1. [Customize Form](docs.user.customize.custom_form.html)
1. [Hide / Unhide modules](docs.user.customize.hide_unhide.html)
1. [Print Formats](docs.user.customize.print_formats.html)
- 1. [Custom Scripts](docs.user.customize.custom_scripts.html)
\ No newline at end of file
+ 1. [Custom Scripts](docs.user.customize.custom_scripts.html)
+1. [Knowledge Library](docs.user.knowledge.html)
+ 1. [Fiscal Year](docs.user.knowledge.fiscal_year.html)
+ 1. [Accounting Knowledge](docs.user.knowledge.accounting.html)
+ 1. [Accounting Entries](docs.user.knowledge.accounting_entries.html)
diff --git a/docs/user/hr/docs.user.hr.payroll.md b/docs/user/hr/docs.user.hr.payroll.md
index 598be00..9da590d 100644
--- a/docs/user/hr/docs.user.hr.payroll.md
+++ b/docs/user/hr/docs.user.hr.payroll.md
@@ -17,7 +17,7 @@
![Salary Structure](img/salary-structure.png)
-s
+
### In the Salary Structure,
diff --git a/docs/user/intro/docs.user.implement.concepts.md b/docs/user/intro/docs.user.implement.concepts.md
index 31b4358..9fc4012 100644
--- a/docs/user/intro/docs.user.implement.concepts.md
+++ b/docs/user/intro/docs.user.implement.concepts.md
@@ -13,7 +13,7 @@
This represents the Company records for which ERPNext is setup. With this same setup, you can create multiple Company records, each representing a different legal entity. The accounting for each Company will be different, but they will share the Customer, Supplier and Item records.
-> Setup > Company > Companies
+> Setup > Company
#### Customer
@@ -59,11 +59,11 @@
#### Price List
-A table of sale price for an Item. An Item can have multiple prices based on Customer / Supplier or Territory etc..
+A Price List is a place where different rate plans can be stored. It’s a name you give to a set of Item Prices stored under a particular List.
-> Selling > Setup > Price List
+> Selling > Price List
-> Buying > Setup > Price List
+> Buying > Price List
---
@@ -73,7 +73,7 @@
Represents a Financial Year or Accounting Year. You can operate multiple Fiscal Years at the same time. Each Fiscal Year has a start date and an end date and transactions can only be recorded in this period. When you “close” a fiscal year, it's balances are transferred as “opening” balances for the next fiscal year.
-> Setup > Company > Fiscal Years
+> Setup > Company > Fiscal Year
#### Cost Center
@@ -85,7 +85,7 @@
A document that contains General Ledger (GL) entries and the sum of Debits and Credits of those entries is the same. In ERPNext you can update Payments, Returns etc using Journal Vouchers.
-> Accounts > Journal Vouchers
+> Accounts > Journal Voucher
#### Sales Invoice
@@ -103,7 +103,7 @@
ERPNext allows you to book transactions in multiple currencies. There is only one currency for your book of accounts though. While posting your Invoices, payments in different currencies, the amount is converted to the default currency by the specified conversion rate.
-> Setup > Company > Currencies
+> Setup > Currency
---
@@ -113,7 +113,7 @@
A classification of Customers, usually based on market segment.
-> Selling > Setup (sidebar) > Customer Group
+> Selling > Setup > Customer Group
#### Lead
@@ -215,19 +215,19 @@
Update Stock of multiple Items from a spreadsheet (CSV) file.
-> Stock > Stock Reconciliation (in sidebar)
+> Stock > Stock Reconciliation
#### Quality Inspection
A note prepared to record certain parameters of an Item at the time of Receipt from Supplier, or Delivery to Customer.
-> Stock > Tools > Quality Inspection
+> Stock > Quality Inspection
#### Item Group
A classification of Item.
-> Stock > Setup (sidebar) > Item Group
+> Stock > Setup > Item Group
---
@@ -249,7 +249,7 @@
A type of leave (for example, Sick Leave, Maternity Leave etc.)
-> Human Resource > Leave and Attendance (sidebar) > Leave Type
+> Human Resource > Leave and Attendance > Leave Type
#### Salary Manager
@@ -357,7 +357,7 @@
Text of your terms of contract.
-> Selling > Setup > Terms and Conditions Template
+> Selling > Setup > Terms and Conditions
#### Unit of Measure (UOM)
diff --git a/docs/user/intro/docs.user.implement.md b/docs/user/intro/docs.user.implement.md
index 59f2c49..79c8576 100644
--- a/docs/user/intro/docs.user.implement.md
+++ b/docs/user/intro/docs.user.implement.md
@@ -7,6 +7,11 @@
]
}
---
+
+![Implementation](img/implementation-image.png)
+
+
+
We have seen dozens of ERP implementations over the past few years and we realize that successful implementation is a lot about intangibles and attitude.
**ERPs are not required.**
diff --git a/docs/user/knowledge/docs.user.knowledge.accounting.md b/docs/user/knowledge/docs.user.knowledge.accounting.md
new file mode 100644
index 0000000..1730498
--- /dev/null
+++ b/docs/user/knowledge/docs.user.knowledge.accounting.md
@@ -0,0 +1,110 @@
+---
+{
+ "_label": "Accounting Knowledge"
+}
+---
+
+Chart of Accounts represents a tree like representation of all accounting heads, used to represent company's financial information. There are two types of accounts: Balance Sheet and Profit and Loss Statement accounts. Balance Sheet consists of Assets and Liabilities accounts and Profit and Loss Statement accounts consists of Incomes and Expenses.
+
+**Assets:** Bank and Cash balances, outstanding amounts of customers and all other assets are recorded here.
+
+**Liabilities:** All the company's liabilities like shareholder's capital, outstanding amount to be paid to suppliers, taxes to be paid to concerned to authorities are recorded under this group.
+
+**Income:** Income from direct/indirect sales.
+
+**Expenses:** All the expenses to run the business, like salaries, purchases, rent etc. are recorded here.
+
+### Debit and Credit
+
+Each of these accounts are either "Debit" or "Credit" type. Assets, Expenses are "Debit" accounts and Liabilities, Incomes are "Credit" accounts.
+
+Accounting Entries
+
+The balance of account can be increased / decreased, depending on account type and transaction type.
+
+<table class="table table-bordered">
+ <thead>
+ <tr class="active">
+ <td style="text-align: center;">Account Type</td>
+ <td style="text-align: center;">Transaction Type</td>
+ <td style="text-align: center;">Effect on account balance</td>
+ </tr>
+ </thead>
+ <tbody>
+ <tr>
+ <td style="text-align: center;">Debit</td>
+ <td style="text-align: center;">Debit</td>
+ <td style="text-align: center;">Increases</td>
+ </tr>
+ <tr>
+ <td style="text-align: center;">Debit</td>
+ <td style="text-align: center;">Credit</td>
+ <td style="text-align: center;">Decreases</td>
+ </tr>
+ <tr>
+ <td style="text-align: center;">Credit</td>
+ <td style="text-align: center;">Credit</td>
+ <td style="text-align: center;">Increases</td>
+ </tr>
+ <tr>
+ <td style="text-align: center;">Credit</td>
+ <td style="text-align: center;">Debit</td>
+ <td style="text-align: center;">Decreases</td>
+ </tr>
+ </tbody>
+</table>
+
+### Double Entry
+
+This means that every accounting entry has two parts, one debit and one credit and must affect two separate accounts. If you add or deduct to one account, some other account somewhere else must also be affected. See the example below:
+
+1. Company sells a laptop worth 50000 to Customer A and delivers that with an invoice.
+
+As the company will receive a payment from customer, the customer is considered as an asset account. For booking income, company maintains an account called "Sales of Laptop". So, entries will be done in the following manner:
+
+<table class="table table-bordered">
+ <thead>
+ <tr class="active">
+ <td style="text-align: center;">Account</td>
+ <td style="text-align: center;">Debit</td>
+ <td style="text-align: center;">Credit</td>
+ </tr>
+ </thead>
+ <tbody>
+ <tr>
+ <td style="text-align: center;">Customer A</td>
+ <td style="text-align: center;">50000</td>
+ <td style="text-align: center;"></td>
+ </tr>
+ <tr>
+ <td style="text-align: center;">Sales of Laptop</td>
+ <td style="text-align: center;"></td>
+ <td style="text-align: center;">50000</td>
+ </tr>
+ </tbody>
+</table>
+
+Customer A has made the payment, so customer balance should decreased based on the paid amount, which will increase "Cash" balance.
+
+<table class="table table-bordered">
+ <thead>
+ <tr class="active">
+ <td style="text-align: center;">Account</td>
+ <td style="text-align: center;">Debit</td>
+ <td style="text-align: center;">Credit</td>
+ </tr>
+ </thead>
+ <tbody>
+ <tr>
+ <td style="text-align: center;">Customer A</td>
+ <td style="text-align: center;"></td>
+ <td style="text-align: center;">50000</td>
+ </tr>
+ <tr>
+ <td style="text-align: center;">Cash</td>
+ <td style="text-align: center;">50000</td>
+ <td style="text-align: center;"></td>
+ </tr>
+ </tbody>
+</table>
+
diff --git a/docs/user/knowledge/docs.user.knowledge.accounting_entries.md b/docs/user/knowledge/docs.user.knowledge.accounting_entries.md
new file mode 100644
index 0000000..05b197d
--- /dev/null
+++ b/docs/user/knowledge/docs.user.knowledge.accounting_entries.md
@@ -0,0 +1,38 @@
+---
+{
+ "_label": "Accounting Entries"
+}
+---
+The concept of accounting is explained with an example given below:
+We will take a "Tea Stall" as a company and see how to book accounting entries for the business.
+
+- Mama (The Tea-stall owner) invests Rs 25000 to start the business.
+
+![A&L](img/assets-1.png)
+
+
+Analysis: Mama invested 25000 in company, hoping to get some profit. In other words, company is liable to pay 25000 to Mama in the future. So, account "Mama" is a liability account and it is credited. Company's cash balance will be increased due to the investment, "Cash" is an asset to the company and it will debited.
+
+- The company needs equipments (Stove, teapot, cups etc) and raw materials (tea, sugar, milk etc) immediately. He decides to buy from the nearest general store "Super Bazaar" who is a friend so that he gets some credit. Equipments cost him 2800 and raw materials worth of 2200. He pays 2000 out of total cost 5000.
+
+![A&L](img/assets-2.png)
+
+Analysis: Equipments are "Fixed Assets" (because they have a long life) of the company and raw materials "Current Assets" (since they are used for day-to-day business), of the company. So, "Equipments" and "Stock in Hand" accounts have been debited to increase the value. He pays 2000, so "Cash" account will be reduced by that amount, hence credited and he is liable to pay 3000 to "Super Bazaar" later, so Super Bazaar will be credited by 3000.
+
+- Mama (who takes care of all entries) decides to book sales at the end of the every day, so that he can analyze daily sales. At the end of the very first day, the tea stall sells 325 cups of tea, which gives net sales of Rs. 1575. The owner happily books his first day sales.
+
+![A&L](img/assets-3.png)
+
+Analysis: Income has been booked in "Sales of Tea" account which has been credited to increase the value and the same amount will be debited to "Cash" account. Lets say, to make 325 cups of tea, it costs Rs. 800, so "Stock in Hand" will be reduced (Cr) by 800 and expense will be booked in "Cost of goods sold" account by same amount.
+
+At the end of the month, the company paid the rent amount of stall (5000) and salary of one employee (8000), who joined from the very first day.
+
+![A&L](img/assets-4.png)
+
+### Booking Profit
+
+As month progress, company purchased more raw materials for the business. After a month he books profit to balance the "Balance Sheet" and "Profit and Loss Statements" statements. Profit belongs to Mama and not the company hence its a liability for the company (it has to pay it to Mama). When the Balance Sheet is not balanced i.e. Debit is not equal to Credit, the profit has not yet been booked. To book profit, the following entry has to be made:
+
+![A&L](img/assets-5.png)
+
+Explanation: Company's net sales and expenses are 40000 and 20000 respectively. So, company made a profit of 20000. To make the profit booking entry, "Profit or Loss" account has been debited and "Capital Account" has been credited. Company's net cash balance is 44000 and there is some raw materials available worth 1000 rupees.
diff --git a/docs/user/knowledge/docs.user.knowledge.fiscal_year.md b/docs/user/knowledge/docs.user.knowledge.fiscal_year.md
new file mode 100644
index 0000000..980872c
--- /dev/null
+++ b/docs/user/knowledge/docs.user.knowledge.fiscal_year.md
@@ -0,0 +1,10 @@
+---
+{
+ "_label": "Fiscal-Year"
+}
+---
+
+A fiscal year is also known as a financial year or a budget year. It is used for calculating financial statements in businesses and other organisations. The fiscal year may or may not be the same as a calendar year. For tax purposes, companies can choose to be calendar-year taxpayers or fiscal-year taxpayers. In many jurisdictions, regulatory laws regarding accounting and taxation require such reports once per twelve months. However, it is not mandatory that the period should be a calendar year (that is, 1 January to 31 December).
+
+A fiscal year usually starts at the beginning of a quarter, such as April 1, July 1 or October 1. However, most companies' fiscal year also coincides with the calendar year, which starts January 1. For the most part, it is simpler and easier that way. For some organizations, there are advantages in starting the fiscal year at a different time. For example, businesses that are seasonal might start their fiscal year on July 1 or October 1. A business that has most of its income in the fall and most of its expenses in the spring might also choose to start its fiscal year on October 1. That way, they know what their income will be for that year, and can adjust their expenses to maintain their desired profit margins.
+
diff --git a/docs/user/knowledge/docs.user.knowledge.md b/docs/user/knowledge/docs.user.knowledge.md
new file mode 100644
index 0000000..5d98cdd
--- /dev/null
+++ b/docs/user/knowledge/docs.user.knowledge.md
@@ -0,0 +1,11 @@
+---
+{
+ "_label": "Knowledge Library",
+ "_toc": [
+ "docs.user.knowledge.fiscal_year",
+ "docs.user.knowledge.accounting",
+ "docs.user.knowledge.accounting_entries"
+ ]
+}
+---
+Knowledge Library contains definitions and explanations of various management concepts. This page is created for users who wish to elaborate their conceptual knowledge.
\ No newline at end of file
diff --git a/docs/user/mfg/docs.user.mfg.bom.md b/docs/user/mfg/docs.user.mfg.bom.md
index 7d1085d..9436f86 100644
--- a/docs/user/mfg/docs.user.mfg.bom.md
+++ b/docs/user/mfg/docs.user.mfg.bom.md
@@ -3,16 +3,26 @@
"_label": "Bill of Materials"
}
---
-At the heart of the Manufacturing system is the **Bill of Materials** (BOM). The **BOM** is a list of all material (either bought or made) and operations that go into a finished product or sub-Item. In ERPNext, the component could have its own BOM hence forming a tree of Items with multiple levels.
+At the heart of the Manufacturing system is the **Bill of Materials** (BOM). The **BOM** is a list of all materials (either bought or made) and operations that go into a finished product or sub-Item. In ERPNext, the component could have its own BOM hence forming a tree of Items with multiple levels.
-To make accurate Purchase Requests, you must always maintain your correct BOMs. To make a new BOM:
+To make accurate Purchase Requests, you must always maintain correct BOMs. To make a new BOM:
> Manufacturing > Bill of Materials > New BOM
+
+![Bill of Materials](img/bom.png)
+
+
+
In the BOM form:
- Select the Item for which you want to make the BOM.
- Add the operations that you have to go through to make that particular Item in the “Operations” table. For each operation, you will be asked to enter a Workstation. You must create new Workstations as and when necessary.

+
+![Bill of Materials with Operations](img/mfg-bom-3.png)
+
+
+
- Add the list of Items you require for each operation, with its quantity. This Item could be a purchased Item or a sub-assembly with its own BOM. If the row Item is a manufactured Item and has multiple BOMs, select the appropriate BOM.

You can also define if a part of the Item goes into scrap.
Workstations are defined only for product costing purposes not inventory. Inventory is tracked in Warehouses not Workstations.
diff --git a/docs/user/mfg/docs.user.mfg.md b/docs/user/mfg/docs.user.mfg.md
index 84bf08d..5522ec8 100644
--- a/docs/user/mfg/docs.user.mfg.md
+++ b/docs/user/mfg/docs.user.mfg.md
@@ -8,13 +8,13 @@
]
}
---
-The Manufacturing module in ERPNext helps you to maintain multi-level Bill of Materials (BOMs) for your Items. It helps you in Product Costing, planing your production via Production Plan, creating Production Orders for your manufacturing shop floor,s and planing your inventory by getting your material requirement via BOMs (also called Material Requirements Planning MRP).
+The Manufacturing module in ERPNext helps you to maintain multi-level Bill of Materials (BOMs) for your Items. It helps you in Product Costing, planing your production via Production Plan, creating Production Orders for your manufacturing shop floors and planing your inventory by getting your material requirement via BOMs (also called Material Requirements Planning MRP).
### Types of Production Planning
Broadly there are three types of Production Planning Systems
-- Make-to-Stock: In these systems, production is planned based on a forecast and then the Items are sold to distributors or customers. All fast moving consumer goods that are sold in retail shops like soaps, packaged water etc and electronics like phones etc are Made to Stock.
+- Make-to-Stock: In these systems, production is planned based on a forecast and the Items are then sold to distributors or customers. All fast moving consumer goods that are sold in retail shops like soaps, packaged water etc and electronics like phones etc are Made to Stock.
- Make-to-Order: In these systems, manufacturing takes place after a firm order is placed by a Customer.
- Engineer-to-Order: In this case each sale is a separate Project and has to be designed and engineered to the requirements of the Customer. Common examples of this are any custom business like furniture, machine tools, speciality devices, metal fabrication etc.
@@ -26,7 +26,7 @@

You can track work-in-progress by creating work-in-progress Warehouses.
-ERPNext will help you track material movement by automatically creating Stock Entries from your Production Orders by building form Bill of Materials.
+ERPNext will help you track material movement by automatically creating Stock Entries from your Production Orders by building from Bill of Materials.
---
@@ -35,7 +35,7 @@
The earliest ERP systems were made for manufacturing. The earliest adopters were automobile companies who had thousands of raw materials and sub-assemblies and found it very hard to keep track of requirements and plan purchases. They started using computers to build the material requirements from forecasts and Bill of Materials.
-Later these systems were expanded to include Financial, Payroll, Order Processing and Purchasing and became the more generic Enterprise Resource Systems (ERP). More recently Customer Relationship Management (CRM) was added as a function and is now an integral part of ERP systems.
+Later these systems were expanded to include Finances, Payroll, Order Processing, and Purchasing and thus became the more generic Enterprise Resource Systems (ERP). More recently Customer Relationship Management (CRM) was added as a function and is now an integral part of ERP systems.
These days the term ERP is used to describe systems that help manage any kind of organization like education institutes (Education ERP) or Hospitals (Hospital ERP) and so on.
@@ -43,7 +43,7 @@
### Best Practice: Lean Manufacturing
-The state of art manufacturing philosophy (the rationale behind the planning processes) comes from Japanese auto major Toyota. At the time when American manufacturers depended on MRP systems to plan their manufacturing based on their sales forecasts, they turned the problem on its head and discovered a leaner way of planning their production. They realized that:
+The state of art manufacturing philosophy (the rationale behind the planning processes) comes from Japanese auto major Toyota. At the time when American manufacturers depended on MRP systems to plan their manufacturing based on their sales forecasts, they turned around the problem by discovering a leaner way of planning their production. They realized that:
The biggest cause of wastage in manufacturing is variation (in product and quantity).
@@ -53,6 +53,4 @@
They combined this system with neatly managed factories with well labeled racks.
-Like we discussed before, small manufacturing companies are usually make-to-order or engineer-to-order and can hardly afford to have a high level of standardization. But that should be the aim. Small manufacturing businesses should aim for repeatability by innovating processes so that there is a common platform for products.
-
-
+Small manufacturing companies are usually make-to-order or engineer-to-order and can hardly afford to have a high level of standardization. Thus small manufacturing businesses should aim for repeatability by innovating processes and creating a common platform for products.
\ No newline at end of file
diff --git a/docs/user/mfg/docs.user.mfg.planning.md b/docs/user/mfg/docs.user.mfg.planning.md
index 31de071..8d43ab8 100644
--- a/docs/user/mfg/docs.user.mfg.planning.md
+++ b/docs/user/mfg/docs.user.mfg.planning.md
@@ -14,6 +14,11 @@
> Manufacturing > Production Planning Tool
+
+![Production Planning Tool](img/production-planning-tool.png)
+
+
+
The Production Planning Tool is used in two stages:
- Selection of Open Sales Orders for the period based on “Expected Delivery Date”.
diff --git a/docs/user/mfg/docs.user.mfg.production_order.md b/docs/user/mfg/docs.user.mfg.production_order.md
index 46e719c..5cbcf84 100644
--- a/docs/user/mfg/docs.user.mfg.production_order.md
+++ b/docs/user/mfg/docs.user.mfg.production_order.md
@@ -9,6 +9,11 @@
> Manufacturing > Production Order > New Production Order
+
+![Production Order](img/production-order.png)
+
+
+
- Select the Item to be produced (must have a Bill of Materials).
- Select the BOM
- Select Quantities
@@ -19,9 +24,13 @@
Once you “Submit”, you will see two more buttons:
-1. Make Transfer: This will create a Stock Entry with all the Items required to complete this Production Order to be added to the WIP Warehouse. (this will add sub-Items with BOM as one Item or explode their children based on your setting above).

-1. Back Flush: This will create a Stock Entry that will deduct all the sub-Items from the WIP Warehouse and add them to the Finished Goods Warehouse.
+![Production Order](img/production-order-2.png)
-When you Back Flush your Items back to the Finished Goods Warehouse, the “Produced Quantity” will be updated in the Production Order.
-> Tip: You can also partially complete a Production Order by updating the Finished Goods stock creating a Stock Entry and selecting “Back flush” as the type.
\ No newline at end of file
+1. Transfer Raw Material: This will create a Stock Entry with all the Items required to complete this Production Order to be added to the WIP Warehouse. (this will add sub-Items with BOM as one Item or explode their children based on your setting above).

+1. Update Finished Goods: This will create a Stock Entry that will deduct all the sub-Items from the WIP Warehouse and add them to the Finished Goods Warehouse.
+
+> Tip: You can also partially complete a Production Order by updating the Finished Goods stock creating a Stock Entry.
+
+When you Update Finished Goods to the Finished Goods Warehouse, the “Produced Quantity” will be updated in the Production Order.
+
diff --git a/docs/user/selling/docs.user.selling.md b/docs/user/selling/docs.user.selling.md
index 5c0a5ae..9794556 100644
--- a/docs/user/selling/docs.user.selling.md
+++ b/docs/user/selling/docs.user.selling.md
@@ -17,6 +17,11 @@
]
}
---
+
+![Selling](img/selling-image.png)
+
+
+
Selling is the communication that happens with the customer prior to and during the sale. You might be managing all the communication yourself or you may have a small team of sales people to handle this. ERPNext helps you track the communication leading up to the sale, by keeping all your documents in an organized and searchable manner.
ERPNext helps you track business **Opportunities** from **Leads** and **Customers**, send them **Quotations** and make confirmed **Sales Orders**.
diff --git a/docs/user/selling/docs.user.selling.quotation.md b/docs/user/selling/docs.user.selling.quotation.md
index d7743a2..ae20af6 100644
--- a/docs/user/selling/docs.user.selling.quotation.md
+++ b/docs/user/selling/docs.user.selling.quotation.md
@@ -9,11 +9,28 @@
> Selling > Quotation > New Quotation
+#### Step 1: Enter Customer Details and Order Type.
+<br>
![Quotation](img/quotation.png)
+<br>
+
+#### Step 2: Add Currency and Price List
+
+<br>
+
+![Quotation](img/quotation-1.png)
+
+
+
+#### Step #: Enter Item and Tax Details.
+<br>
+
+
+![Quotation](img/quotation-2.png)
@@ -41,7 +58,8 @@
### Taxes
-To add taxes to your Quotation, you can either select a tax template, Sales Taxes and Charges Master or add the taxes on your own.
+To add taxes to your Quotation, you can either select a tax template, Sales Taxes and Charges Master or add the taxes on your own. To understand taxes in detail visit [Taxes](docs.user.setup.taxes.html)
+
You can add taxes in the same manner as the Sales Taxes and Charges Master.
@@ -50,7 +68,7 @@
Each Quotation must ideally contain a set of terms, of your contract. It is usually a good idea to make templates of your Terms and Conditions, so that you have a standard set of terms.
You can do this by going to:
-> Selling > Terms and Conditions (right sidebar)
+> Selling > Terms and Conditions
#### What should Terms and Conditions Contain?
diff --git a/docs/user/setup/docs.user.setup.cost_centers.md b/docs/user/setup/docs.user.setup.cost_centers.md
index e4841d8..3df26e1 100644
--- a/docs/user/setup/docs.user.setup.cost_centers.md
+++ b/docs/user/setup/docs.user.setup.cost_centers.md
@@ -23,12 +23,19 @@
Thus when you do your analysis you get a better understanding as to which side of your business is doing better. Since ERPNext has an option to add multiple Companies, you can create Cost Centers for each Company and manage it separately.
+To understand chart of cost centers in detail visit [Accounting Knowledge](docs.user.knowledge.accounting.html)
+
+
### Chart of Cost Centers
To setup your Chart of Cost Centers go to:
> Accounts > Chart of Cost Centers
+
+![Chart of Cost Center](img/chart-of-cost-centers.png)
+
+
Cost centers help you in one more activity, budgeting.
### Budgeting
diff --git a/docs/user/setup/docs.user.setup.first.md b/docs/user/setup/docs.user.setup.first.md
index 5e1c5d8..4784a69 100644
--- a/docs/user/setup/docs.user.setup.first.md
+++ b/docs/user/setup/docs.user.setup.first.md
@@ -11,7 +11,7 @@
Some definitions:
-- Fiscal Year: This is your financial year, the fiscal year usually starts on 1st Jan or 1st March for most regions. If you are not sure, consult an accountant.
+- [Fiscal Year](docs.user.knowledge.fiscal_year.html): This is your financial year, the fiscal year usually starts on 1st Jan or 1st March for most regions. If you are not sure, consult an accountant.
- Abbreviation: In a multi-company setup, the abbreviation is appended to each account, so keep it small (2-4) characters and all caps.
This will also set the default **Currency** and time zone for your account. Once you complete this, your first **Company** and **Chart of Accounts** will be created.
diff --git a/docs/user/setup/docs.user.setup.md b/docs/user/setup/docs.user.setup.md
index bd5c499..fa9680a 100644
--- a/docs/user/setup/docs.user.setup.md
+++ b/docs/user/setup/docs.user.setup.md
@@ -25,6 +25,7 @@
]
}
---
+
Setting up an ERP system is like starting your business all over again, although in the virtual world. Thankfully it is not as hard as the real business and you get to do a trial too!
Implementation requires the implementer to take a step back and set aside some time to do this right. This is usually not a couple-of-hours, after-work kind of a project.
diff --git a/docs/user/setup/docs.user.setup.opening.md b/docs/user/setup/docs.user.setup.opening.md
index dcb2320..4c30306 100644
--- a/docs/user/setup/docs.user.setup.opening.md
+++ b/docs/user/setup/docs.user.setup.opening.md
@@ -36,8 +36,26 @@
> Setup > Opening Accounts and Stock > Opening Accounting Entries.
+
+#### Step 1: Select Opening Entry in the Voucher Type section.
+
![Opening Entry](img/opening-entry.png)
+<br>
+
+#### Step 2: Complete Journal Entries on the Debit and Credit side.
+
+
+![Opening Entry](img/opening-entry-1.png)
+
+<br>
+
+
+#### Step 2: Select Yes in the "Is Opening " record under More Info.
+
+
+![Opening Entry](img/opening-entry-2.png)
+
You can make two Opening Journal Vouchers:
@@ -45,6 +63,13 @@
- For all assets (excluding Accounts Receivables): This entry will contain all your assets except the amounts you are expecting from your Customers against outstanding Sales Invoices. You will have to update your receivables by making an individual entry for each Invoice (this is because, the system will help you track the invoices which are yet to be paid). Since all the entries in this voucher will be of type “Debit”, you can credit the sum of all these debits against the “Temp Opening Liabilities” account.
- For all liabilities: Similarly you need to pass a Journal Voucher for your Opening Liabilities (except for the bills you have to pay). This can be made against the “Temp Opening Assets” account.
+After completing the accounting entries, the trial balance report will look like the one given below:
+
+
+![Trial Balance](img/trial-balance-1.png)
+
+
+
#### Outstanding Invoices
After your Opening Journal Vouchers are made, you will need to enter each Sales Invoice and Purchase Invoice that is yet to be paid.
@@ -57,21 +82,3 @@
Once all your invoices are entered, your “Temp Opening Assets” will be same as “Temp Opening Liabilities” and you can pass another “Is Opening” type of Journal Voucher and cancel them to zero!
----
-
-## Opening Stock
-
-You can upload your opening stock in the system using Stock Reconciliation. Stock Reconciliation will update your stock for a given Item on a given date for a given Warehouse to the given quantity.
-
-Stock Reconciliation will make a “difference entry” (the difference between the system stock and the actual stock in your file) for the Item.
-
-Tip: Stock Reconciliation can also be used to update the “value” of an Item.
-
-To make a Stock Reconciliation, go to:
-
-> Stock > Stock Reconciliation > New Stock Reconciliation
-
-and follow the steps mentioned on the page.
-
-
-![Stock Reconciliation](img/stock-reconciliation1.png)
diff --git a/docs/user/setup/docs.user.setup.permissions.md b/docs/user/setup/docs.user.setup.permissions.md
index 5e35078..34de107 100644
--- a/docs/user/setup/docs.user.setup.permissions.md
+++ b/docs/user/setup/docs.user.setup.permissions.md
@@ -3,7 +3,7 @@
"_label": "Setting up Permissions"
}
---
-ERPNext has a role-based permission system, which means that you can assign Roles to Users, and permissions on Roles.
+ERPNext has a role-based permission system, which means that you can assign Roles to Users, and Permissions on Roles.
ERPNext has a very powerful permission structure that will allow you to set permissions right up to the field level.
@@ -40,6 +40,7 @@
To set “match” rules, select the drop-down in the last column.

For example, you want to restrict Users of Role “Sales User” by Territories in Sales Order.
+
1. Select Sales Order in “Set Permissions For”
1. In the row for Role “Sales User”, in the last column “Restrict By”, select “territory”.
1. To assign Territories to Users, click on “Set Users / Roles”
@@ -50,7 +51,41 @@
In the same way, add a row for each user.
+#### Step 1: Select Sales Order in "Set Permissions For"
+
+
+![Permissions Manager](img/permission-manager-1.png)
+
+#### Step 2: Select restriction option as Territory
+
+<br>
+![Permissions Manager](img/permission-manager-2.png)
+
+<br>
+
+#### Step 3: To assign Territories to users, click on "Set Users/Roles"
+
+<br>
+
+![Permissions Manager](img/permission-manager-3.png)
+
+
+#### Step 3: Restrict User by selecting Territory
+
+
+![Permission Manager](img/permission-manager-4.png)
+
+
+#### Step 4: Select the User to assign to a Territory
+
+
+![Permission Manager](img/permission-manager-5.png)
+
+
> **Note 1:** The “match” rules apply to all documents that you have matched by Territory.
> **Note 2:** You can set multiple rules for the same User. In this example, you can set a User to access more than one Territories.


+
+If you have more than two companies, we recommend that you should maintain seperate databases for these companies (2/3 ERPnext accounts). This avoids data leak from one company to another.
+
diff --git a/docs/user/setup/docs.user.setup.pos_setting.md b/docs/user/setup/docs.user.setup.pos_setting.md
index 8ea863b..bd2a1a8 100644
--- a/docs/user/setup/docs.user.setup.pos_setting.md
+++ b/docs/user/setup/docs.user.setup.pos_setting.md
@@ -18,4 +18,5 @@
![POS Setting](img/pos-setting.png)
-> Important : If you specify a particular User, the POS setting will be applied only to that User. If the User option is left blank, the setting will be set for all users.
+> Important : If you specify a particular User, the POS setting will be applied only to that User. If the User option is left blank, the setting will be set for all users. To understand POS in detail visit [Point of Sale](docs.user.accounts.pos.html)
+
diff --git a/docs/user/setup/docs.user.setup.taxes.md b/docs/user/setup/docs.user.setup.taxes.md
index 52c82bc..91ed591 100644
--- a/docs/user/setup/docs.user.setup.taxes.md
+++ b/docs/user/setup/docs.user.setup.taxes.md
@@ -7,7 +7,14 @@
### Tax Accounts
-For Tax Accounts that you want to use in the tax templates, you must mention them as type “Tax” in your Chart of Accounts.
+For Tax Accounts that you want to use in the tax templates, you must mention them as type “Tax” in your Chart of Accounts. Some Item-tax features are given below :
+
+- **Discount**: The maximum Discount that can be applied on an Item can be fixed in the Item master. Read [Discount](docs.user.selling.discount.html)
+- **Inclusive and Exclusive Tax**: ERPNext allows you to enter Item rates which are tax inclusive.
+- **Flat Discount**: This feature will be added soon.
+- **Exception to the rule**: Item tax settings are required only if a particular Item has a different tax rate than the rate defined in the standard tax Account
+
+
## Sales Taxes and Charges Master
diff --git a/docs/user/stock/docs.user.stock.item.md b/docs/user/stock/docs.user.stock.item.md
index c5c58bd..c98afd2 100644
--- a/docs/user/stock/docs.user.stock.item.md
+++ b/docs/user/stock/docs.user.stock.item.md
@@ -29,7 +29,7 @@
### Item Pricing
-Item Price and Price Lists: ERPNext lets you maintain multiple selling prices for an Item using Price Lists. A Price List is a place where different rate plans can be stored. It’s a name you can give to a set of Item prices. In case you have different zones (based on the shipping costs), for different currencies etc, you can maintain different Price Lists. A Price List is formed when you create different Item Prices. To import Item Price visit “Import Item Price”.
+Item Price and Price Lists: ERPNext lets you maintain multiple selling prices for an Item using Price Lists. A Price List is a place where different rate plans can be stored. It’s a name you can give to a set of Item prices. In case you have different zones (based on the shipping costs), for different currencies etc, you can maintain different Price Lists. A Price List is formed when you create different Item Prices. To import Item Price see [Importing Data](docs.user.data_import.md).
## Inventory : Warehouse and Stock Setting
@@ -56,10 +56,42 @@
### Item Tax
-These settings are required only if a particular Item has a different tax rate than the rate defined in the standard tax Account. For example, If you have a tax Account, “VAT 10%” and this particular Item is exempted from tax, then you select “VAT 10%” in the first column, and set “0” as the tax rate in the second column.
+These settings are required only if a particular Item has a different tax rate than the rate defined in the standard tax Account. For example, If you have a tax Account, “VAT 10%” and this particular Item is exempted from tax, then you select “VAT 10%” in the first column, and set “0” as the tax rate in the second column.
+
+Go to [Setting Up Taxes](docs.user.setup.taxes.html) to understand this topic in detail.
### Inspection
Inspection Required: If an incoming inspection (at the time of delivery from the Supplier) is mandatory for this Item, mention “Inspection Required” as “Yes”. The system will ensure that a Quality Inspection will be prepared and approved before a Purchase Receipt is submitted.
Inspection Criteria: If a Quality Inspection is prepared for this Item, then this template of criteria will automatically be updated in the Quality Inspection table of the Quality Inspection. Examples of Criteria are: Weight, Length, Finish etc.
+
+### Purchase Details
+
+![Purchase Details](img/item-purchase.png)
+
+
+**Lead time days:** Lead time days are the number of days required for the Item to reach the warehouse.
+
+
+**Default Expense Account:** It is the account in which cost of the Item will be debited.
+
+**Default Cost Centre:** It is used for tracking expense for this Item.
+
+### Sales Details
+
+
+![Sales Details](img/item-sales.png)
+
+
+**Default Income Account:** Income account selected here will be fetched automatically in sales invoice for this item.
+
+**Cost Centre:** Cost center selected here will be fetched automatically in sales invoice for this item.
+
+### Manufacturing And Website
+
+![Manufacturing](img/item-manufacturing-website.png)
+
+
+
+Visit [Manufacturing](docs.user.mfg.html) and [Website](docs.user.website.html) to understand these topics in detail.
diff --git a/docs/user/stock/docs.user.stock.md b/docs/user/stock/docs.user.stock.md
index 240e44c..a8c74c9 100644
--- a/docs/user/stock/docs.user.stock.md
+++ b/docs/user/stock/docs.user.stock.md
@@ -9,10 +9,14 @@
"docs.user.stock.purchase_receipt",
"docs.user.stock.delivery_note",
"docs.user.stock.stock_entry",
+ "docs.user.stock.opening_stock",
"docs.user.stock.material_issue",
"docs.user.stock.sales_return",
"docs.user.stock.purchase_return",
- "docs.user.stock.projected_quantity"
+ "docs.user.stock.projected_quantity",
+ "docs.user.stock.accounting_for_stock",
+ "docs.user.stock.perpetual_inventory",
+ "docs.user.stock.migrate_to_perpetual"
]
}
---
diff --git a/docs/user/stock/docs.user.stock.periodic_to_perpetual.md b/docs/user/stock/docs.user.stock.migrate_to_perpetual.md
similarity index 82%
rename from docs/user/stock/docs.user.stock.periodic_to_perpetual.md
rename to docs/user/stock/docs.user.stock.migrate_to_perpetual.md
index 258b4db..d4e8ab9 100644
--- a/docs/user/stock/docs.user.stock.periodic_to_perpetual.md
+++ b/docs/user/stock/docs.user.stock.migrate_to_perpetual.md
@@ -1,10 +1,10 @@
---
{
- "_label": "Migration from Periodic Inventory"
+ "_label": "Migrate to Perpetual Inventory"
}
---
-Migration from Periodic Inventory is not a one click setting, it involves some special steps. As Perpetual Inventory always maintains a sync between stock and account balance, it is not possible to enable it with existing Warehouse setup. You have to create a whole new set of Warehouses, each linked to relevant account.
+ Existing Users, need to follow some steps to activate the new Perpetual Inventory system. As Perpetual Inventory always maintains a sync between stock and account balance, it is not possible to enable it with existing Warehouse setup. You have to create a whole new set of Warehouses, each linked to relevant account.
Steps:
diff --git a/docs/user/stock/docs.user.stock.warehouse.md b/docs/user/stock/docs.user.stock.warehouse.md
index dd8273a..38a559e 100644
--- a/docs/user/stock/docs.user.stock.warehouse.md
+++ b/docs/user/stock/docs.user.stock.warehouse.md
@@ -18,13 +18,12 @@
-In ERPNext, every different company can have a separate Warehouse. Every Warehouse will belong to a specific company. User can get company wise accurate stock balance. The Warehouses are saved with their respective company’s abbreviations. This facilitates in identifying which Warehouse belongs to which company, at a glance.
+In ERPNext, every Warehouse must belong to a specific company, to maintain company wise stock balance. The Warehouses are saved with their respective company’s abbreviations. This facilitates in identifying which Warehouse belongs to which company, at a glance.
You can include user restrictions for these Warehouses. In case you do not wish a particular user to operate on a particular Warehouse, you can refrain the user from accessing that Warehouse.
### Merge Warehouse
-In day to day transactions, if duplicate entries are done by mistake resulting in duplicate Warehouse, these mistakes can be rectified. Duplicate records can be merged into a single Warehouse. Enter the place where you want to keep all the warehouse records. Click on the Merge button. Once this transaction is done, delete the empty Warehouse.
+In day to day transactions, duplicate entries are done by mistake, resulting in duplicate Warehouses. Duplicate records can be merged into a single Warehouse. Enter the correct Warehouse and click on the Merge button. The system will replace all the links of wrong Warehouse with the correct Warehouse, in all transactions. Also, the available quantity (actual qty, reserved qty, ordered qty etc) of all items in the duplicate warehouse will be transferred to the correct warehouse. Once merging is done, delete the duplicate Warehouse.
-ERPNext system maintains stock balance for every distinct combination of Item and Warehouse. Thus you can get stock balance for any specific Item in a particular Warehouse on any particular date.
-
+> Note: ERPNext system maintains stock balance for every distinct combination of Item and Warehouse. Thus you can get stock balance for any specific Item in a particular Warehouse on any particular date.
\ No newline at end of file
diff --git a/docs/user/support/docs.user.support.customer_issue.md b/docs/user/support/docs.user.support.customer_issue.md
index 92cb29a..4c5afd1 100644
--- a/docs/user/support/docs.user.support.customer_issue.md
+++ b/docs/user/support/docs.user.support.customer_issue.md
@@ -3,7 +3,7 @@
"_label": "Customer Issue"
}
---
-If you are selling **Items** under warranty or if you have sold and extended service contract Annual Maintenance Contract (AMC), your **Customer** may call you about an issue or a bread-down and give you the Serial No of this Item.
+If you are selling **Items** under warranty or if you have sold and extended service contract like the Annual Maintenance Contract (AMC), your **Customer** may call you about an issue or a break-down and give you the Serial No of this Item.
To record this, you can create a new **Customer Issue** and add the **Customer** and **Item** / **Serial No**. The system will then automatically fetch the Serial No’s details and indicate whether this is under warranty or AMC.
@@ -13,5 +13,10 @@
> Support > Customer Issue > New Customer Issue
+
+![Customer Issue](img/customer-issue.png)
+
+
+
If a Customer visit is required to address the issue, you can create a new Maintenance Visit record from this.
diff --git a/docs/user/support/docs.user.support.maintenance_schedule.md b/docs/user/support/docs.user.support.maintenance_schedule.md
index 82bf8f9..a2bf5ea 100644
--- a/docs/user/support/docs.user.support.maintenance_schedule.md
+++ b/docs/user/support/docs.user.support.maintenance_schedule.md
@@ -11,6 +11,26 @@
> Support > Maintenance Schedule > New Maintenance Schedule
+#### Step 1: Enter Customer Details
+
+
+![Maintenance Schedule](img/maintenance-schedule-1.png)
+
+
+
+<br>
+
+
+
+#### Step 2: Fill Item and Maintenance Details
+
+
+
+![Maintenance Schedule](img/maintenance-schedule-2.png)
+
+
+<br>
+
In the Maintenance Schedule, there are two sections:
In the first section, you select the Items for which you want to generate the schedule and set how frequently you want to plan a visit or a maintenance. These can be optionally fetched from a Sales Order. After selecting the Items, “Save” the record.
diff --git a/docs/user/support/docs.user.support.maintenance_visit.md b/docs/user/support/docs.user.support.maintenance_visit.md
index dc115e2..210277a 100644
--- a/docs/user/support/docs.user.support.maintenance_visit.md
+++ b/docs/user/support/docs.user.support.maintenance_visit.md
@@ -7,6 +7,10 @@
> Support > Maintenance Visit > New Maintenance Visit
+
+![Maintenance Visit](img/maintenance-visit.png)
+
+
The Maintenance Visit contains information about the:
- Customer.
diff --git a/docs/user/support/docs.user.support.md b/docs/user/support/docs.user.support.md
index 775c030..acd693f 100644
--- a/docs/user/support/docs.user.support.md
+++ b/docs/user/support/docs.user.support.md
@@ -5,10 +5,11 @@
"docs.user.support.support_ticket",
"docs.user.support.customer_issue",
"docs.user.support.maintenance_visit",
- "docs.user.support.maintenance_schedule"
+ "docs.user.support.maintenance_schedule",
+ "docs.user.support.newsletter"
]
}
---
-Great customer support and maintenance is at the heart of any successful small business and ERPNext gives you the tools to track all incoming requests and issues from your customers so that you can respond quickly. Your database of incoming queries will also help you track where are the biggest opportunities for improvements.
+Great customer support and maintenance is at the heart of any successful small business.ERPNext gives you the tools to track all incoming requests and issues from your customers so that you can respond quickly. Your database of incoming queries will also help you track where the biggest opportunities are for improvements.
-In this module, you can track incoming queries from your email using Support Ticket, keep track on Customer Issues raised by Customers on specific Serial No and respond to them based on their warranty and other information, make Maintenance Schedules for Serial Nos and keep a record of all Maintenance Visits made to your Customers.
+In this module, you can track incoming queries from your email using Support Ticket. You can keep track on Customer Issues raised by Customers on specific Serial No and respond to them based on their warranty and other information. You can also make Maintenance Schedules for Serial Nos and keep a record of all Maintenance Visits made to your Customers.
diff --git a/docs/user/support/docs.user.support.newsletter.md b/docs/user/support/docs.user.support.newsletter.md
new file mode 100644
index 0000000..443a6e5
--- /dev/null
+++ b/docs/user/support/docs.user.support.newsletter.md
@@ -0,0 +1,14 @@
+---
+{
+ "_label": "Newsletter"
+}
+---
+
+A newsletter is a short written report that tells about the recent activities of an organization. It is generally sent to members of the organization, potential clients customers or potential leads.
+
+In ERPNext, you can use this UI to send any type of communication to a large number of audience. The process of sending bulk email to a target audience is very simple and easy.
+
+Select the list that you want to send the email to. Fill in your content in the message box, and send your newsletter.If you wish to test your email, to see how it looks to the recepient, you can use the test function.Save the document before testing. A test email will be sent to your email id. You can send the email to all the intended receipients by clicking on the send button.
+
+
+![Newsletter](img/newsletter.png)
diff --git a/docs/user/support/docs.user.support.support_ticket.md b/docs/user/support/docs.user.support.support_ticket.md
index b4a496b..c750462 100644
--- a/docs/user/support/docs.user.support.support_ticket.md
+++ b/docs/user/support/docs.user.support.support_ticket.md
@@ -3,15 +3,26 @@
"_label": "Support Ticket"
}
---
-Support Ticket is an incoming query from your Customer, usually via email of from the “Contact” section of your website. (To fully integrate the Support Ticket to email, see the Email Settings section).
+Support Ticket is an incoming query from your Customer, usually via email or from the “Contact” section of your website. (To fully integrate the Support Ticket to email, see the Email Settings section).
> Tip: A dedicated support email id is a good way to integrate incoming queries via email. For example, you can send support queries to ERPNext at support@erpnext.com and it will automatically create a Support Ticket in the Web Notes system.
+<br>
+
+
+> Support > Support Ticket > New Support Ticket
+
+
+
+![Support Ticket](img/support-ticket.png)
+
+
+
#### Discussion Thread
When a new email is fetched from your mailbox, a new Support Ticket record is created and an automatic reply is sent to the sender indicating the Support Ticket Number. The sender can send additional information to this email. All subsequent emails containing this Support Ticket number in the subject will be added to this Support Ticket thread. The sender can also add attachments to the email.
-Support Ticket maintains all the emails sent back and forth against this issue in the system so that you can track what transpired between the sender and the person responding.
+Support Ticket maintains all the emails which are sent back and forth against this issue in the system so that you can track what transpired between the sender and the person responding.
#### Status
@@ -19,7 +30,7 @@
#### Closing
-You can either “Close” the Support Ticket manually by clicking on “Close Ticket” in the toolbar or if its status is “Waiting For Reply” and the sender did not reply in 7 days, then the Support Ticket closes automatically.
+You can either “Close” the Support Ticket manually by clicking on “Close Ticket” in the toolbar or if its status is “Waiting For Reply” . If the sender does not reply in 7 days, then the Support Ticket closes automatically.
#### Allocation
diff --git a/docs/user/tools/docs.user.tools.assignment.md b/docs/user/tools/docs.user.tools.assignment.md
new file mode 100644
index 0000000..8ec04ea
--- /dev/null
+++ b/docs/user/tools/docs.user.tools.assignment.md
@@ -0,0 +1,22 @@
+---
+{
+ "_label": "Assignment"
+}
+---
+
+You can assign any transaction to any user by clicking on the “Assign” button on the right hand column and adding a user.
+
+#### Step 1: Click on the Assign To Button
+
+![Assigned To](img/assigned-to.png)
+
+
+
+#### Step 2: Add the User and other details
+
+
+![Assign User](img/assignment.png)
+
+
+This transaction will appear in the To-do list of the user in “My List” section. It will also appear
+in the “Assigned by me” section of the user, who has assigned this activity.
diff --git a/docs/user/tools/docs.user.tools.form_tools.md b/docs/user/tools/docs.user.tools.form_tools.md
index 65943d7..1c88f5f 100644
--- a/docs/user/tools/docs.user.tools.form_tools.md
+++ b/docs/user/tools/docs.user.tools.form_tools.md
@@ -3,9 +3,15 @@
"_label": "Collaborating around Forms"
}
---
-### Email
+### Assigned to
-You can email any transaction from the system by clicking on the “Email” button in the right sidebar. A log of all your sent emails will be maintained in Communication.
+You can email any transaction from the system by clicking on the “Assigned to” button in the right sidebar. A log of all your sent emails will be maintained in Communication.
+
+
+
+![Forms](img/forms.png)
+
+
### Comments
@@ -13,4 +19,5 @@
### Tags
-Like Assignments and Comments, you can also add your own tags to each type of transactions. These tags can help you search a document and also classify it. ERPNext will also show you all the important tags in the document list.
+[Tags](docs.user.tools.tags.html)
+
diff --git a/docs/user/tools/docs.user.tools.md b/docs/user/tools/docs.user.tools.md
index 891b756..68abb96 100644
--- a/docs/user/tools/docs.user.tools.md
+++ b/docs/user/tools/docs.user.tools.md
@@ -5,7 +5,10 @@
"docs.user.tools.todo",
"docs.user.tools.form_tools",
"docs.user.tools.messages",
- "docs.user.tools.notes"
+ "docs.user.tools.notes",
+ "docs.user.tools.calendar",
+ "docs.user.tools.assignment",
+ "docs.user.tools.tags"
]
}
---
diff --git a/docs/user/tools/docs.user.tools.notes.md b/docs/user/tools/docs.user.tools.notes.md
index fcb8fce..8cad69a 100644
--- a/docs/user/tools/docs.user.tools.notes.md
+++ b/docs/user/tools/docs.user.tools.notes.md
@@ -2,4 +2,21 @@
{
"_label": "Notes"
}
----
\ No newline at end of file
+---
+
+You can store your long notes under this section. It can contain your partner lists, frequently used passwords, terms and conditions , or any other document which needs to be shared.
+
+#### Step 1: Enter Title and Content
+
+
+![Notes](img/notes.png)
+
+<br>
+
+
+#### Step 2: Set Permissions to select Users
+
+
+
+![Notes](img/notes-1.png)
+
diff --git a/docs/user/tools/docs.user.tools.tags.md b/docs/user/tools/docs.user.tools.tags.md
new file mode 100644
index 0000000..34e7f27
--- /dev/null
+++ b/docs/user/tools/docs.user.tools.tags.md
@@ -0,0 +1,10 @@
+---
+{
+ "_label": "Tags"
+}
+---
+
+Like Assignments and Comments, you can also add your own tags to each type of transactions. These tags can help you search a document and also classify it. ERPNext will also show you all the important tags in the document list.
+
+
+![Tags](img/tags.png)
diff --git a/docs/user/tools/docs.user.tools.todo.md b/docs/user/tools/docs.user.tools.todo.md
index 131af69..46be2e2 100644
--- a/docs/user/tools/docs.user.tools.todo.md
+++ b/docs/user/tools/docs.user.tools.todo.md
@@ -1,23 +1,12 @@
---
{
- "_label": "Assignment and To Do"
+ "_label": "To Do"
}
---
-### Assignment
-You can assign any transaction to any user by clicking on the “Assign” button on the right hand column and adding a user.
-
-Step 1: Click on the Assign To Button
-
-Step 2: Add the User and other details
-
-This transaction will appear in:
-
-The To-do list of the user whom this is assigned to in “My List” section
-In the “Assigned by me” section of the user who has assigned this activity.
-
-### To Do
To Do is a simple tool where all the activities assigned to you and assigned by you are listed. You can also add your own to-do items in the list.
+![To Do](img/to-do.png)
+
diff --git a/docs/user/website/docs.user.website.blog.md b/docs/user/website/docs.user.website.blog.md
index 4e2a782..ec035a0 100644
--- a/docs/user/website/docs.user.website.blog.md
+++ b/docs/user/website/docs.user.website.blog.md
@@ -11,6 +11,10 @@
> Website > Blog > New Blog
+
+![Blog](img/blog.png)
+
+
You can format the blog using the same Markdown format
You can access your blog by going to the page “blog.html”
diff --git a/docs/user/website/docs.user.website.md b/docs/user/website/docs.user.website.md
index e3fa449..b628e71 100644
--- a/docs/user/website/docs.user.website.md
+++ b/docs/user/website/docs.user.website.md
@@ -11,8 +11,8 @@
---
Websites are a core component of any business and having a good website usually means:
-- Lot of money.
-- Hard to update.
+- Invest lot of money.
+- Difficult to update.
- Not interactive.
Unless you are a web designer yourself.
@@ -29,4 +29,4 @@
Though not necessary, to make a good website, you might have to know a bit of HTML / CSS or hire the services of a professional. The good part is that once this is setup, you can add and edit content, blogs and products directly from your ERP.
-> The ERPNext website (www.erpnext.com) is generated from the Website Module! In the world of startups, its called eating-your-own-dog-food!
\ No newline at end of file
+> The ERPNext website (www.erpnext.com) is generated from the Website Module! In the world of startups, it's called eating-your-own-dog-food!
\ No newline at end of file
diff --git a/docs/user/website/docs.user.website.setup.md b/docs/user/website/docs.user.website.setup.md
index 23df928..3249637 100644
--- a/docs/user/website/docs.user.website.setup.md
+++ b/docs/user/website/docs.user.website.setup.md
@@ -29,6 +29,12 @@
> Website > Website Settings
+
+![Website Setting](img/website-settings.png)
+
+<br>
+
+
#### Top Menu
Add each top menu item on a new link.
@@ -45,4 +51,4 @@
##### What is Website Analytics?
-Website analytics help you track each visitor on your website. The analytics will tell you from which country, at what time, and what pages the visitor viewed. This will help you understand who your visitors are and what are they looking for. There are many analytics engines available and the most popular and Free service is Google Analytics. We definitely recommend using one of them to gain insight into your website visitors.
\ No newline at end of file
+Website analytics helps you to track each visitor on your website. The analytics will tell you from which country, at what time, and which pages the visitor viewed. This will help you understand who your visitors are and what they are looking for. There are many analytics engines available and the most popular and Free service is Google Analytics. We definitely recommend using one of them to gain insight into your website visitors.
\ No newline at end of file
diff --git a/docs/user/website/docs.user.website.web_page.md b/docs/user/website/docs.user.website.web_page.md
index e856775..a8f0e13 100644
--- a/docs/user/website/docs.user.website.web_page.md
+++ b/docs/user/website/docs.user.website.web_page.md
@@ -7,6 +7,10 @@
> Website > Web Page > New Web Page
+![Web Page](img/webpage.png)
+
+
+
#### Title
The first thing to set is the title of your page. The title has the maximum weight for search engines so choose a title that reflects the keywords that you are targeting for your audience.
diff --git a/hr/doctype/employee/employee.js b/hr/doctype/employee/employee.js
index 05aec3e..01200e7 100644
--- a/hr/doctype/employee/employee.js
+++ b/hr/doctype/employee/employee.js
@@ -14,6 +14,7 @@
onload: function() {
this.frm.toggle_display(["esic_card_no", "gratuity_lic_id", "pan_number", "pf_number"],
wn.control_panel.country==="India");
+ if(this.frm.doc.__islocal) this.frm.set_value("employee_name", "");
},
refresh: function() {
diff --git a/hr/doctype/expense_claim/expense_claim.js b/hr/doctype/expense_claim/expense_claim.js
index 65c5579..f7895b1 100644
--- a/hr/doctype/expense_claim/expense_claim.js
+++ b/hr/doctype/expense_claim/expense_claim.js
@@ -58,11 +58,12 @@
query:"controllers.queries.employee_query"
}
}
-
+ var exp_approver = doc.exp_approver;
return cur_frm.call({
method:"hr.utils.get_expense_approver_list",
callback: function(r) {
cur_frm.set_df_property("exp_approver", "options", r.message);
+ if(exp_approver) cur_frm.set_value("exp_approver", exp_approver);
}
});
}
@@ -79,26 +80,39 @@
}
cur_frm.cscript.refresh = function(doc,cdt,cdn){
+ cur_frm.cscript.set_help(doc);
+
+ if(!doc.__islocal) {
+ cur_frm.toggle_enable("exp_approver", (doc.owner==user && doc.approval_status=="Draft"));
+ cur_frm.toggle_enable("approval_status", (doc.exp_approver==user && doc.docstatus==0));
+
+ if(!doc.__islocal && user!=doc.exp_approver && cur_frm.frm_head.appframe.buttons.Submit)
+ cur_frm.frm_head.appframe.buttons.Submit.toggle(false);
+
+ if(doc.docstatus==0 && doc.exp_approver==user && doc.approval_status=="Approved")
+ cur_frm.savesubmit();
+
+ if(doc.docstatus==1 && wn.model.can_create("Journal Voucher"))
+ cur_frm.add_custom_button("Make Bank Voucher", cur_frm.cscript.make_bank_voucher);
+ }
+}
+
+cur_frm.cscript.set_help = function(doc) {
cur_frm.set_intro("");
if(doc.__islocal && !in_list(user_roles, "HR User")) {
cur_frm.set_intro("Fill the form and save it")
} else {
if(doc.docstatus==0 && doc.approval_status=="Draft") {
if(user==doc.exp_approver) {
- cur_frm.set_intro("You are the Expense Approver for this record. Please Update the 'Status' and Save");
- cur_frm.toggle_enable("approval_status", true);
+ cur_frm.set_intro("You are the Expense Approver for this record. \
+ Please Update the 'Status' and Save");
} else {
- cur_frm.set_intro("Expense Claim is pending approval. Only the Expense Approver can update status.");
- cur_frm.toggle_enable("approval_status", false);
- if(!doc.__islocal && cur_frm.frm_head.appframe.buttons.Submit)
- cur_frm.frm_head.appframe.buttons.Submit.toggle(false);
+ cur_frm.set_intro("Expense Claim is pending approval. \
+ Only the Expense Approver can update status.");
}
} else {
if(doc.approval_status=="Approved") {
cur_frm.set_intro("Expense Claim has been approved.");
- if(doc.docstatus==0) cur_frm.savesubmit();
- if(doc.docstatus==1) cur_frm.add_custom_button("Make Bank Voucher",
- cur_frm.cscript.make_bank_voucher);
} else if(doc.approval_status=="Rejected") {
cur_frm.set_intro("Expense Claim has been rejected.");
}
diff --git a/hr/doctype/expense_claim/expense_claim.txt b/hr/doctype/expense_claim/expense_claim.txt
index 2b1882f..45ff19b 100644
--- a/hr/doctype/expense_claim/expense_claim.txt
+++ b/hr/doctype/expense_claim/expense_claim.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-01-10 16:34:14",
"docstatus": 0,
- "modified": "2013-07-05 14:36:59",
+ "modified": "2013-09-25 11:36:11",
"modified_by": "Administrator",
"owner": "harshada@webnotestech.com"
},
@@ -41,6 +41,7 @@
},
{
"default": "Draft",
+ "depends_on": "eval:!doc.__islocal",
"doctype": "DocField",
"fieldname": "approval_status",
"fieldtype": "Select",
@@ -50,7 +51,7 @@
"no_copy": 1,
"oldfieldname": "approval_status",
"oldfieldtype": "Select",
- "options": "\nDraft\nApproved\nRejected",
+ "options": "Draft\nApproved\nRejected",
"search_index": 1
},
{
diff --git a/hr/doctype/leave_application/leave_application.js b/hr/doctype/leave_application/leave_application.js
index 4c7d356..5969f4d 100755
--- a/hr/doctype/leave_application/leave_application.js
+++ b/hr/doctype/leave_application/leave_application.js
@@ -10,6 +10,8 @@
cur_frm.set_value("status", "Open");
cur_frm.cscript.calculate_total_days(doc, dt, dn);
}
+
+ var leave_approver = doc.leave_approver;
return cur_frm.call({
method:"hr.utils.get_leave_approver_list",
callback: function(r) {
@@ -17,6 +19,7 @@
function(profile) {
return {value: profile, label: wn.user_info(profile).fullname};
}));
+ if(leave_approver) cur_frm.set_value("leave_approver", leave_approver);
cur_frm.cscript.get_leave_balance(cur_frm.doc);
}
});
diff --git a/manufacturing/doctype/production_order/production_order.py b/manufacturing/doctype/production_order/production_order.py
index 6a133e7..6447c0a 100644
--- a/manufacturing/doctype/production_order/production_order.py
+++ b/manufacturing/doctype/production_order/production_order.py
@@ -117,10 +117,12 @@
"""update planned qty in bin"""
args = {
"item_code": self.doc.production_item,
+ "warehouse": self.doc.fg_warehouse,
"posting_date": nowdate(),
"planned_qty": flt(qty)
}
- get_obj('Warehouse', self.doc.fg_warehouse).update_bin(args)
+ from stock.utils import update_bin
+ update_bin(args)
@webnotes.whitelist()
def get_item_details(item):
diff --git a/patches/august_2013/p01_auto_accounting_for_stock_patch.py b/patches/august_2013/p01_auto_accounting_for_stock_patch.py
new file mode 100644
index 0000000..c6a22dd
--- /dev/null
+++ b/patches/august_2013/p01_auto_accounting_for_stock_patch.py
@@ -0,0 +1,6 @@
+import webnotes
+from webnotes.utils import cint
+
+def execute():
+ import patches.march_2013.p08_create_aii_accounts
+ patches.march_2013.p08_create_aii_accounts.execute()
\ No newline at end of file
diff --git a/patches/august_2013/p06_deprecate_is_cancelled.py b/patches/august_2013/p06_deprecate_is_cancelled.py
new file mode 100644
index 0000000..ad196bd
--- /dev/null
+++ b/patches/august_2013/p06_deprecate_is_cancelled.py
@@ -0,0 +1,11 @@
+import webnotes
+def execute():
+ webnotes.reload_doc("stock", "doctype", "stock_ledger_entry")
+ webnotes.reload_doc("stock", "doctype", "serial_no")
+ webnotes.reload_doc("stock", "report", "stock_ledger")
+
+ webnotes.conn.sql("""delete from `tabStock Ledger Entry`
+ where ifnull(is_cancelled, 'No') = 'Yes'""")
+
+ webnotes.reload_doc("accounts", "doctype", "gl_entry")
+ webnotes.conn.sql("""delete from `tabGL Entry` where ifnull(is_cancelled, 'No') = 'Yes'""")
\ No newline at end of file
diff --git a/patches/june_2013/p09_update_global_defaults.py b/patches/june_2013/p09_update_global_defaults.py
index 0f8131a..0fe9247 100644
--- a/patches/june_2013/p09_update_global_defaults.py
+++ b/patches/june_2013/p09_update_global_defaults.py
@@ -6,7 +6,6 @@
def execute():
from_global_defaults = {
"credit_controller": "Accounts Settings",
- "auto_inventory_accounting": "Accounts Settings",
"acc_frozen_upto": "Accounts Settings",
"bde_auth_role": "Accounts Settings",
"auto_indent": "Stock Settings",
diff --git a/patches/march_2013/p03_update_buying_amount.py b/patches/march_2013/p03_update_buying_amount.py
deleted file mode 100644
index ddb52e0..0000000
--- a/patches/march_2013/p03_update_buying_amount.py
+++ /dev/null
@@ -1,33 +0,0 @@
-# Copyright (c) 2013, Web Notes Technologies Pvt. Ltd.
-# License: GNU General Public License v3. See license.txt
-
-import webnotes
-from webnotes.utils import now_datetime
-
-def execute():
- webnotes.reload_doc("stock", "doctype", "delivery_note_item")
- webnotes.reload_doc("accounts", "doctype", "sales_invoice_item")
-
- webnotes.conn.auto_commit_on_many_writes = True
- for company in webnotes.conn.sql("select name from `tabCompany`"):
- stock_ledger_entries = webnotes.conn.sql("""select item_code, voucher_type, voucher_no,
- voucher_detail_no, posting_date, posting_time, stock_value,
- warehouse, actual_qty as qty from `tabStock Ledger Entry`
- where ifnull(`is_cancelled`, "No") = "No" and company = %s
- order by item_code desc, warehouse desc,
- posting_date desc, posting_time desc, name desc""", company[0], as_dict=True)
-
- dn_list = webnotes.conn.sql("""select name from `tabDelivery Note`
- where docstatus < 2 and company = %s""", company[0])
-
- for dn in dn_list:
- dn = webnotes.get_obj("Delivery Note", dn[0], with_children = 1)
- dn.set_buying_amount(stock_ledger_entries)
-
- si_list = webnotes.conn.sql("""select name from `tabSales Invoice`
- where docstatus < 2 and company = %s""", company[0])
- for si in si_list:
- si = webnotes.get_obj("Sales Invoice", si[0], with_children = 1)
- si.set_buying_amount(stock_ledger_entries)
-
- webnotes.conn.auto_commit_on_many_writes = False
\ No newline at end of file
diff --git a/patches/march_2013/p08_create_aii_accounts.py b/patches/march_2013/p08_create_aii_accounts.py
index 03ba36c..c02b5a2e 100644
--- a/patches/march_2013/p08_create_aii_accounts.py
+++ b/patches/march_2013/p08_create_aii_accounts.py
@@ -3,12 +3,12 @@
import webnotes
def execute():
+ webnotes.reload_doc("stock", "doctype", "warehouse")
webnotes.reload_doc("setup", "doctype", "company")
webnotes.reload_doc("accounts", "doctype", "cost_center")
create_chart_of_accounts_if_not_exists()
add_group_accounts()
add_ledger_accounts()
- add_aii_cost_center()
set_default_accounts()
def set_default_accounts():
@@ -45,7 +45,6 @@
def add_ledger_accounts():
accounts_to_add = [
- ["Stock In Hand", "Stock Assets", "Ledger", ""],
["Cost of Goods Sold", "Stock Expenses", "Ledger", "Expense Account"],
["Stock Adjustment", "Stock Expenses", "Ledger", "Expense Account"],
["Expenses Included In Valuation", "Stock Expenses", "Ledger", "Expense Account"],
@@ -79,31 +78,19 @@
"company": company
})
account.insert()
-
-def add_aii_cost_center():
- for company, abbr in webnotes.conn.sql("""select name, abbr from `tabCompany`"""):
- if not webnotes.conn.sql("""select name from `tabCost Center` where cost_center_name =
- 'Auto Inventory Accounting' and company = %s""", company):
- parent_cost_center = webnotes.conn.get_value("Cost Center",
- {"parent_cost_center['']": '', "company": company})
-
- if not parent_cost_center:
- webnotes.errprint("Company " + company + "does not have a root cost center")
- continue
-
- cc = webnotes.bean({
- "doctype": "Cost Center",
- "cost_center_name": "Auto Inventory Accounting",
- "parent_cost_center": parent_cost_center,
- "group_or_ledger": "Ledger",
- "company": company
- })
- cc.insert()
+
def create_chart_of_accounts_if_not_exists():
for company in webnotes.conn.sql("select name from `tabCompany`"):
if not webnotes.conn.sql("select * from `tabAccount` where company = %s", company[0]):
webnotes.conn.sql("""update `tabCompany` set receivables_group = '',
- payables_group = '' where name = %s""", company[0])
+ payables_group = '', default_bank_account = '', default_cash_account = '',
+ default_expense_account = '', default_income_account = '', cost_center = '',
+ stock_received_but_not_billed = '', stock_adjustment_account = '',
+ expenses_included_in_valuation = '' where name = %s""", company[0])
+
+ webnotes.conn.sql("""update `tabCompany` set domain = 'Services'
+ where name = %s and ifnull(domain, '') = ''""", company[0])
+
webnotes.bean("Company", company[0]).save()
\ No newline at end of file
diff --git a/patches/may_2013/p01_conversion_factor_and_aii.py b/patches/may_2013/p01_conversion_factor_and_aii.py
deleted file mode 100644
index 17af01b..0000000
--- a/patches/may_2013/p01_conversion_factor_and_aii.py
+++ /dev/null
@@ -1,29 +0,0 @@
-# Copyright (c) 2013, Web Notes Technologies Pvt. Ltd.
-# License: GNU General Public License v3. See license.txt
-
-import webnotes
-from webnotes.utils import cint
-from accounts.utils import create_stock_in_hand_jv
-
-def execute():
- webnotes.conn.auto_commit_on_many_writes = True
-
- aii_enabled = cint(webnotes.conn.get_value("Global Defaults", None,
- "auto_inventory_accounting"))
-
- if aii_enabled:
- create_stock_in_hand_jv(reverse = True)
-
- webnotes.conn.sql("""update `tabPurchase Invoice Item` pi_item
- set conversion_factor = (select ifnull(if(conversion_factor=0, 1, conversion_factor), 1)
- from `tabUOM Conversion Detail`
- where parent = pi_item.item_code and uom = pi_item.uom limit 1
- )
- where ifnull(conversion_factor, 0)=0""")
-
- if aii_enabled:
- create_stock_in_hand_jv()
-
- webnotes.conn.auto_commit_on_many_writes = False
-
-
\ No newline at end of file
diff --git a/patches/may_2013/p03_update_support_ticket.py b/patches/may_2013/p03_update_support_ticket.py
index 005c9a3..d8e37236 100644
--- a/patches/may_2013/p03_update_support_ticket.py
+++ b/patches/may_2013/p03_update_support_ticket.py
@@ -11,4 +11,4 @@
tic = webnotes.get_obj("Support Ticket", d.name)
tic.set_lead_contact(d.raised_by)
webnotes.conn.sql("""update `tabSupport Ticket` set lead = %s, contact = %s, company = %s
- where name = %s""", (tic.doc.lead, tic.doc.contact, tic.doc.company, d.name))
\ No newline at end of file
+ where name = %s""", (tic.doc.lead, tic.doc.contact, tic.doc.company, d.name
\ No newline at end of file
diff --git a/patches/may_2013/p05_update_cancelled_gl_entries.py b/patches/may_2013/p05_update_cancelled_gl_entries.py
index ece5bb2..18cefc8 100644
--- a/patches/may_2013/p05_update_cancelled_gl_entries.py
+++ b/patches/may_2013/p05_update_cancelled_gl_entries.py
@@ -6,8 +6,7 @@
from webnotes.utils import cint
def execute():
- aii_enabled = cint(webnotes.conn.get_value("Global Defaults", None,
- "auto_inventory_accounting"))
+ aii_enabled = cint(webnotes.defaults.get_global_default("auto_accounting_for_stock"))
if aii_enabled:
webnotes.conn.sql("""update `tabGL Entry` gle set is_cancelled = 'Yes'
diff --git a/patches/patch_list.py b/patches/patch_list.py
index 7f7c747..7041ba8 100644
--- a/patches/patch_list.py
+++ b/patches/patch_list.py
@@ -146,7 +146,6 @@
"patches.april_2013.rebuild_sales_browser",
"patches.may_2013.p01_selling_net_total_export",
"patches.may_2013.repost_stock_for_no_posting_time",
- "patches.may_2013.p01_conversion_factor_and_aii",
"patches.may_2013.p02_update_valuation_rate",
"patches.may_2013.p03_update_support_ticket",
"patches.may_2013.p04_reorder_level",
@@ -194,12 +193,16 @@
"patches.july_2013.p10_change_partner_user_to_website_user",
"patches.july_2013.p11_update_price_list_currency",
"execute:webnotes.bean('Selling Settings').save() #2013-07-29",
+ "execute:webnotes.reload_doc('accounts', 'doctype', 'accounts_settings') # 2013-09-24",
+ "patches.august_2013.p01_auto_accounting_for_stock_patch",
"patches.august_2013.p01_hr_settings",
"patches.august_2013.p02_rename_price_list",
"patches.august_2013.p03_pos_setting_replace_customer_account",
"patches.august_2013.p05_update_serial_no_status",
"patches.august_2013.p05_employee_birthdays",
"execute:webnotes.reload_doc('accounts', 'Print Format', 'POS Invoice') # 2013-08-16",
+ "execute:webnotes.delete_doc('DocType', 'Stock Ledger')",
+ "patches.august_2013.p06_deprecate_is_cancelled",
"patches.august_2013.p06_fix_sle_against_stock_entry",
"patches.september_2013.p01_add_user_defaults_from_pos_setting",
"execute:webnotes.reload_doc('accounts', 'Print Format', 'POS Invoice') # 2013-09-02",
@@ -208,7 +211,11 @@
"execute:webnotes.reload_doc('setup', 'doctype', 'features_setup') # 2013-09-05",
"patches.september_2013.p02_fix_serial_no_status",
"patches.september_2013.p03_modify_item_price_include_in_price_list",
+ "patches.august_2013.p06_deprecate_is_cancelled",
+ "execute:webnotes.delete_doc('DocType', 'Budget Control')",
"patches.september_2013.p03_update_stock_uom_in_sle",
"patches.september_2013.p03_move_website_to_framework",
"execute:webnotes.bean('Style Settings').save() #2013-09-19",
+ "execute:webnotes.conn.set_value('Accounts Settings', None, 'frozen_accounts_modifier', 'Accounts Manager') # 2013-09-24",
+ "patches.september_2013.p04_unsubmit_serial_nos",
]
\ No newline at end of file
diff --git a/patches/september_2013/p04_unsubmit_serial_nos.py b/patches/september_2013/p04_unsubmit_serial_nos.py
new file mode 100644
index 0000000..ded4e4d
--- /dev/null
+++ b/patches/september_2013/p04_unsubmit_serial_nos.py
@@ -0,0 +1,7 @@
+# Copyright (c) 2013, Web Notes Technologies Pvt. Ltd.
+# License: GNU General Public License v3. See license.txt
+
+from __future__ import unicode_literals
+import webnotes
+def execute():
+ webnotes.conn.sql("""update `tabSerial No` set docstatus=0 where docstatus=1""")
\ No newline at end of file
diff --git a/portal/templates/includes/cart.js b/portal/templates/includes/cart.js
index 5ff6e3f..bd3f565 100644
--- a/portal/templates/includes/cart.js
+++ b/portal/templates/includes/cart.js
@@ -9,7 +9,6 @@
type: "POST",
method: "selling.utils.cart.get_cart_quotation",
callback: function(r) {
- console.log(r);
$("#cart-container").removeClass("hide");
$(".progress").remove();
if(r.exc) {
@@ -126,8 +125,8 @@
},
render_item_row: function($cart_items, doc) {
- doc.image_html = doc.image ?
- '<div style="height: 120px; overflow: hidden;"><img src="' + doc.image + '" /></div>' :
+ doc.image_html = doc.website_image ?
+ '<div style="height: 120px; overflow: hidden;"><img src="' + doc.website_image + '" /></div>' :
'{% include "app/stock/doctype/item/templates/includes/product_missing_image.html" %}';
if(doc.description === doc.item_name) doc.description = "";
diff --git a/projects/doctype/time_log/time_log.js b/projects/doctype/time_log/time_log.js
index 7a03955..ab21a31 100644
--- a/projects/doctype/time_log/time_log.js
+++ b/projects/doctype/time_log/time_log.js
@@ -9,4 +9,6 @@
}
});
-cur_frm.cscript = new erpnext.projects.TimeLog({frm: cur_frm});
\ No newline at end of file
+cur_frm.cscript = new erpnext.projects.TimeLog({frm: cur_frm});
+
+cur_frm.add_fetch('task','project','project');
\ No newline at end of file
diff --git a/public/js/complete_setup.js b/public/js/complete_setup.js
index b661e02..e565621 100644
--- a/public/js/complete_setup.js
+++ b/public/js/complete_setup.js
@@ -122,5 +122,5 @@
fy_start_list: ['', '1st Jan', '1st Apr', '1st Jul', '1st Oct'],
- domains: ['', "Manufacturing", "Retail", "Distribution", "Services"],
+ domains: ['', "Manufacturing", "Retail", "Distribution", "Services", "Other"],
});
\ No newline at end of file
diff --git a/public/js/controllers/stock_controller.js b/public/js/controllers/stock_controller.js
index a5b5107..e4b0319 100644
--- a/public/js/controllers/stock_controller.js
+++ b/public/js/controllers/stock_controller.js
@@ -20,7 +20,7 @@
},
show_general_ledger: function() {
var me = this;
- if(this.frm.doc.docstatus===1 && cint(wn.defaults.get_default("auto_inventory_accounting"))) {
+ if(this.frm.doc.docstatus===1 && cint(wn.defaults.get_default("auto_accounting_for_stock"))) {
cur_frm.add_custom_button('Accounting Ledger', function() {
wn.route_options = {
"voucher_no": me.frm.doc.name,
diff --git a/selling/doctype/customer/customer.js b/selling/doctype/customer/customer.js
index 4e2f42c..d2c6325 100644
--- a/selling/doctype/customer/customer.js
+++ b/selling/doctype/customer/customer.js
@@ -45,7 +45,7 @@
cur_frm.dashboard.reset(doc);
if(doc.__islocal)
return;
- cur_frm.dashboard.set_headline('<span class="text-muted">Loading...</span>')
+ cur_frm.dashboard.set_headline('<span class="text-muted">'+ wn._('Loading...')+ '</span>')
cur_frm.dashboard.add_doctype_badge("Opportunity", "customer");
cur_frm.dashboard.add_doctype_badge("Quotation", "customer");
@@ -99,7 +99,7 @@
return "select name, first_name, last_name, email_id, phone, mobile_no, department, designation, is_primary_contact from tabContact where customer='"+cur_frm.docname+"' and docstatus != 2 order by is_primary_contact desc"
},
as_dict: 1,
- no_results_message: 'No contacts created',
+ no_results_message: wn._('No contacts created'),
render_row: cur_frm.cscript.render_contact_row,
});
// note: render_contact_row is defined in contact_control.js
@@ -119,4 +119,4 @@
return{
query:"controllers.queries.lead_query"
}
-}
\ No newline at end of file
+}
diff --git a/selling/doctype/customer/customer.py b/selling/doctype/customer/customer.py
index d3a263f..2b57da9 100644
--- a/selling/doctype/customer/customer.py
+++ b/selling/doctype/customer/customer.py
@@ -68,9 +68,9 @@
ac_bean.ignore_permissions = True
ac_bean.insert()
- msgprint("Account Head: %s created" % ac_bean.doc.name)
+ msgprint(_("Account Head") + ": " + ac_bean.doc.name + _(" created"))
else :
- msgprint("Please Select Company under which you want to create account head")
+ msgprint(_("Please Select Company under which you want to create account head"))
def update_credit_days_limit(self):
webnotes.conn.sql("""update tabAccount set credit_days = %s, credit_limit = %s
diff --git a/selling/doctype/lead/lead.js b/selling/doctype/lead/lead.js
index a3ae783..3c6fda7 100644
--- a/selling/doctype/lead/lead.js
+++ b/selling/doctype/lead/lead.js
@@ -33,16 +33,7 @@
var doc = this.frm.doc;
erpnext.hide_naming_series();
this.frm.clear_custom_buttons();
-
- this.frm.dashboard.reset(doc);
- if(!doc.__islocal) {
- if(doc.status=="Converted") {
- this.frm.dashboard.set_headline_alert(wn._("Converted"), "alert-success", "icon-ok-sign");
- } else {
- this.frm.dashboard.set_headline_alert(wn._(doc.status), "alert-info", "icon-exclamation-sign");
- }
- }
-
+
this.frm.__is_customer = this.frm.__is_customer || this.frm.doc.__is_customer;
if(!this.frm.doc.__islocal && !this.frm.__is_customer) {
this.frm.add_custom_button("Create Customer", this.create_customer);
diff --git a/selling/doctype/lead/lead.py b/selling/doctype/lead/lead.py
index da11410..316481c 100644
--- a/selling/doctype/lead/lead.py
+++ b/selling/doctype/lead/lead.py
@@ -126,6 +126,10 @@
"campaign_name": "campaign",
"doctype": "enquiry_from",
"name": "lead",
+ "lead_name": "contact_display",
+ "company_name": "customer_name",
+ "email_id": "contact_email",
+ "mobile_no": "contact_mobile"
}
}}, target_doclist)
diff --git a/selling/doctype/lead/lead.txt b/selling/doctype/lead/lead.txt
index d96880b..408ad45 100644
--- a/selling/doctype/lead/lead.txt
+++ b/selling/doctype/lead/lead.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-04-10 11:45:37",
"docstatus": 0,
- "modified": "2013-09-19 10:38:58",
+ "modified": "2013-09-26 16:30:36",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -111,7 +111,7 @@
"no_copy": 1,
"oldfieldname": "status",
"oldfieldtype": "Select",
- "options": "\nOpen\nReplied\nAttempted to Contact\nContact in Future\nContacted\nInterested\nNot interested\nLead Lost\nConverted\nPassive",
+ "options": "\nOpen\nReplied\nAttempted to Contact\nContact in Future\nContacted\nOpportunity Made\nInterested\nNot interested\nLead Lost\nConverted\nPassive",
"reqd": 1,
"search_index": 1
},
diff --git a/selling/doctype/opportunity/opportunity.js b/selling/doctype/opportunity/opportunity.js
index 1ec3f3f..25f28bf 100644
--- a/selling/doctype/opportunity/opportunity.js
+++ b/selling/doctype/opportunity/opportunity.js
@@ -53,6 +53,11 @@
this.frm.set_query("contact_by", erpnext.queries.profile);
}
+ this.frm.set_query("customer_address", function() {
+ if(me.frm.doc.lead) return {filters: { lead: me.frm.doc.lead } };
+ else if(me.frm.doc.customer) return {filters: { customer: me.frm.doc.customer } };
+ });
+
this.frm.set_query("item_code", "enquiry_details", function() {
return {
query: "controllers.queries.item_query",
@@ -63,7 +68,6 @@
$.each([["lead", "lead"],
["customer", "customer"],
- ["customer_address", "customer_filter"],
["contact_person", "customer_filter"],
["territory", "not_a_group_filter"]], function(i, opts) {
me.frm.set_query(opts[0], erpnext.queries[opts[1]]);
@@ -151,8 +155,14 @@
}
}
-cur_frm.cscript.customer_address = cur_frm.cscript.contact_person = function(doc,dt,dn) {
- if(doc.customer) return get_server_fields('get_customer_address', JSON.stringify({customer: doc.customer, address: doc.customer_address, contact: doc.contact_person}),'', doc, dt, dn, 1);
+cur_frm.cscript.customer_address = cur_frm.cscript.contact_person = function(doc, dt, dn) {
+ args = {
+ address: doc.customer_address,
+ contact: doc.contact_person
+ }
+ if(doc.customer) args.update({customer: doc.customer});
+
+ return get_server_fields('get_customer_address', JSON.stringify(args),'', doc, dt, dn, 1);
}
cur_frm.cscript.lead = function(doc, cdt, cdn) {
@@ -163,7 +173,7 @@
source_name: cur_frm.doc.lead
})
- unhide_field(['customer_name', 'address_display','contact_mobile',
+ unhide_field(['customer_name', 'address_display','contact_mobile', 'customer_address',
'contact_email', 'territory']);
}
diff --git a/selling/doctype/opportunity/opportunity.py b/selling/doctype/opportunity/opportunity.py
index b265356..c8c41e3 100644
--- a/selling/doctype/opportunity/opportunity.py
+++ b/selling/doctype/opportunity/opportunity.py
@@ -128,12 +128,12 @@
from accounts.utils import validate_fiscal_year
validate_fiscal_year(self.doc.transaction_date, self.doc.fiscal_year, "Opportunity Date")
-
- if not self.doc.status:
- self.doc.status = "Draft"
+ self.doc.status = "Draft"
def on_submit(self):
webnotes.conn.set(self.doc, 'status', 'Submitted')
+ if self.doc.lead and webnotes.conn.get_value("Lead", self.doc.lead, "status")!="Converted":
+ webnotes.conn.set_value("Lead", self.doc.lead, "status", "Opportunity Made")
def on_cancel(self):
chk = sql("select t1.name from `tabQuotation` t1, `tabQuotation Item` t2 where t2.parent = t1.name and t1.docstatus=1 and (t1.status!='Order Lost' and t1.status!='Cancelled') and t2.prevdoc_docname = %s",self.doc.name)
@@ -142,6 +142,14 @@
raise Exception
else:
webnotes.conn.set(self.doc, 'status', 'Cancelled')
+ if self.doc.lead and webnotes.conn.get_value("Lead", self.doc.lead,
+ "status")!="Converted":
+ if webnotes.conn.get_value("Communication", {"parent": self.doc.lead}):
+ status = "Contacted"
+ else:
+ status = "Open"
+
+ webnotes.conn.set_value("Lead", self.doc.lead, "status", status)
def declare_enquiry_lost(self,arg):
chk = sql("select t1.name from `tabQuotation` t1, `tabQuotation Item` t2 where t2.parent = t1.name and t1.docstatus=1 and (t1.status!='Order Lost' and t1.status!='Cancelled') and t2.prevdoc_docname = %s",self.doc.name)
diff --git a/selling/doctype/opportunity/opportunity.txt b/selling/doctype/opportunity/opportunity.txt
index a904f56..aeedd08 100644
--- a/selling/doctype/opportunity/opportunity.txt
+++ b/selling/doctype/opportunity/opportunity.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-03-07 18:50:30",
"docstatus": 0,
- "modified": "2013-09-10 10:52:49",
+ "modified": "2013-09-25 19:32:29",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -192,34 +192,16 @@
},
{
"doctype": "DocField",
- "fieldname": "contact_person",
- "fieldtype": "Link",
- "in_filter": 1,
- "label": "Contact Person",
- "options": "Contact",
- "print_hide": 1,
- "read_only": 0
- },
- {
- "doctype": "DocField",
"fieldname": "customer_address",
"fieldtype": "Link",
"in_filter": 1,
- "label": "Customer Address",
+ "label": "Customer / Lead Address",
"options": "Address",
"print_hide": 1,
"read_only": 0
},
{
"doctype": "DocField",
- "fieldname": "customer_name",
- "fieldtype": "Data",
- "label": "Customer Name",
- "print_hide": 0,
- "read_only": 1
- },
- {
- "doctype": "DocField",
"fieldname": "address_display",
"fieldtype": "Small Text",
"hidden": 0,
@@ -229,6 +211,36 @@
"read_only": 1
},
{
+ "description": "<a href=\"#Sales Browser/Territory\">To manage Territory, click here</a>",
+ "doctype": "DocField",
+ "fieldname": "territory",
+ "fieldtype": "Link",
+ "in_filter": 1,
+ "label": "Territory",
+ "options": "Territory",
+ "print_hide": 1,
+ "read_only": 0,
+ "reqd": 0,
+ "search_index": 1
+ },
+ {
+ "depends_on": "eval:doc.enquiry_from==\"Customer\"",
+ "description": "<a href=\"#Sales Browser/Customer Group\">To manage Territory, click here</a>",
+ "doctype": "DocField",
+ "fieldname": "customer_group",
+ "fieldtype": "Link",
+ "hidden": 0,
+ "in_filter": 1,
+ "label": "Customer Group",
+ "oldfieldname": "customer_group",
+ "oldfieldtype": "Link",
+ "options": "Customer Group",
+ "print_hide": 1,
+ "read_only": 0,
+ "reqd": 0,
+ "search_index": 1
+ },
+ {
"doctype": "DocField",
"fieldname": "column_break3",
"fieldtype": "Column Break",
@@ -236,6 +248,24 @@
},
{
"doctype": "DocField",
+ "fieldname": "customer_name",
+ "fieldtype": "Data",
+ "label": "Customer Name",
+ "print_hide": 0,
+ "read_only": 1
+ },
+ {
+ "doctype": "DocField",
+ "fieldname": "contact_person",
+ "fieldtype": "Link",
+ "in_filter": 1,
+ "label": "Contact Person",
+ "options": "Contact",
+ "print_hide": 1,
+ "read_only": 0
+ },
+ {
+ "doctype": "DocField",
"fieldname": "contact_display",
"fieldtype": "Small Text",
"label": "Contact",
@@ -256,36 +286,6 @@
"read_only": 1
},
{
- "depends_on": "eval:doc.enquiry_from==\"Customer\"",
- "description": "<a href=\"#Sales Browser/Customer Group\">To manage Territory, click here</a>",
- "doctype": "DocField",
- "fieldname": "customer_group",
- "fieldtype": "Link",
- "hidden": 0,
- "in_filter": 1,
- "label": "Customer Group",
- "oldfieldname": "customer_group",
- "oldfieldtype": "Link",
- "options": "Customer Group",
- "print_hide": 1,
- "read_only": 0,
- "reqd": 0,
- "search_index": 1
- },
- {
- "description": "<a href=\"#Sales Browser/Territory\">To manage Territory, click here</a>",
- "doctype": "DocField",
- "fieldname": "territory",
- "fieldtype": "Link",
- "in_filter": 1,
- "label": "Territory",
- "options": "Territory",
- "print_hide": 1,
- "read_only": 0,
- "reqd": 0,
- "search_index": 1
- },
- {
"description": "Filing in Additional Information about the Opportunity will help you analyze your data better.",
"doctype": "DocField",
"fieldname": "more_info",
diff --git a/selling/doctype/sales_common/sales_common.py b/selling/doctype/sales_common/sales_common.py
index baa8850..8271c82 100644
--- a/selling/doctype/sales_common/sales_common.py
+++ b/selling/doctype/sales_common/sales_common.py
@@ -140,7 +140,7 @@
for p in getlist(obj.doclist, 'packing_details'):
if p.parent_detail_docname == d.name and p.parent_item == d.item_code:
# the packing details table's qty is already multiplied with parent's qty
- il.append({
+ il.append(webnotes._dict({
'warehouse': p.warehouse,
'reserved_warehouse': reserved_warehouse,
'item_code': p.item_code,
@@ -150,9 +150,9 @@
'batch_no': cstr(p.batch_no).strip(),
'serial_no': cstr(p.serial_no).strip(),
'name': d.name
- })
+ }))
else:
- il.append({
+ il.append(webnotes._dict({
'warehouse': d.warehouse,
'reserved_warehouse': reserved_warehouse,
'item_code': d.item_code,
@@ -162,7 +162,7 @@
'batch_no': cstr(d.batch_no).strip(),
'serial_no': cstr(d.serial_no).strip(),
'name': d.name
- })
+ }))
return il
def get_already_delivered_qty(self, dn, so, so_detail):
@@ -311,7 +311,8 @@
acc_head = webnotes.conn.sql("select name from `tabAccount` where company = '%s' and master_name = '%s'"%(obj.doc.company, obj.doc.customer))
if acc_head:
tot_outstanding = 0
- dbcr = webnotes.conn.sql("select sum(debit), sum(credit) from `tabGL Entry` where account = '%s' and ifnull(is_cancelled, 'No')='No'" % acc_head[0][0])
+ dbcr = webnotes.conn.sql("""select sum(debit), sum(credit) from `tabGL Entry`
+ where account = %s""", acc_head[0][0])
if dbcr:
tot_outstanding = flt(dbcr[0][0])-flt(dbcr[0][1])
@@ -336,7 +337,6 @@
return webnotes.conn.sql("""select batch_no from `tabStock Ledger Entry` sle
where item_code = '%(item_code)s'
and warehouse = '%(warehouse)s'
- and ifnull(is_cancelled, 'No') = 'No'
and batch_no like '%(txt)s'
and exists(select * from `tabBatch`
where name = sle.batch_no
diff --git a/selling/doctype/sales_order/sales_order.js b/selling/doctype/sales_order/sales_order.js
index 161e10f..0c26179 100644
--- a/selling/doctype/sales_order/sales_order.js
+++ b/selling/doctype/sales_order/sales_order.js
@@ -27,34 +27,34 @@
cur_frm.dashboard.add_progress(cint(doc.per_billed) + wn._("% Billed"),
doc.per_billed);
- cur_frm.add_custom_button('Send SMS', cur_frm.cscript.send_sms);
+ cur_frm.add_custom_button(wn._('Send SMS'), cur_frm.cscript.send_sms);
// delivery note
if(flt(doc.per_delivered, 2) < 100 && doc.order_type=='Sales')
- cur_frm.add_custom_button('Make Delivery', this.make_delivery_note);
+ cur_frm.add_custom_button(wn._('Make Delivery'), this.make_delivery_note);
// maintenance
if(flt(doc.per_delivered, 2) < 100 && (doc.order_type !='Sales')) {
- cur_frm.add_custom_button('Make Maint. Visit', this.make_maintenance_visit);
- cur_frm.add_custom_button('Make Maint. Schedule',
+ cur_frm.add_custom_button(wn._('Make Maint. Visit'), this.make_maintenance_visit);
+ cur_frm.add_custom_button(wn._('Make Maint. Schedule'),
this.make_maintenance_schedule);
}
// indent
if(!doc.order_type || (doc.order_type == 'Sales'))
- cur_frm.add_custom_button('Make ' + wn._('Material Request'),
+ cur_frm.add_custom_button(wn._('Make ') + wn._('Material Request'),
this.make_material_request);
// sales invoice
if(flt(doc.per_billed, 2) < 100)
- cur_frm.add_custom_button('Make Invoice', this.make_sales_invoice);
+ cur_frm.add_custom_button(wn._('Make Invoice'), this.make_sales_invoice);
// stop
if(flt(doc.per_delivered, 2) < 100 || doc.per_billed < 100)
- cur_frm.add_custom_button('Stop!', cur_frm.cscript['Stop Sales Order']);
+ cur_frm.add_custom_button(wn._('Stop!'), cur_frm.cscript['Stop Sales Order']);
} else {
// un-stop
- cur_frm.dashboard.set_headline_alert("Stopped", "alert-danger", "icon-stop");
- cur_frm.add_custom_button('Unstop', cur_frm.cscript['Unstop Sales Order']);
+ cur_frm.dashboard.set_headline_alert(wn._("Stopped"), "alert-danger", "icon-stop");
+ cur_frm.add_custom_button(wn._('Unstop'), cur_frm.cscript['Unstop Sales Order']);
}
}
@@ -158,7 +158,7 @@
cur_frm.cscript['Stop Sales Order'] = function() {
var doc = cur_frm.doc;
- var check = confirm("Are you sure you want to STOP " + doc.name);
+ var check = confirm(wn._("Are you sure you want to STOP ") + doc.name);
if (check) {
return $c('runserverobj', {
@@ -173,7 +173,7 @@
cur_frm.cscript['Unstop Sales Order'] = function() {
var doc = cur_frm.doc;
- var check = confirm("Are you sure you want to UNSTOP " + doc.name);
+ var check = confirm(wn._("Are you sure you want to UNSTOP ") + doc.name);
if (check) {
return $c('runserverobj', {
@@ -189,4 +189,4 @@
if(cint(wn.boot.notification_settings.sales_order)) {
cur_frm.email_doc(wn.boot.notification_settings.sales_order_message);
}
-};
\ No newline at end of file
+};
diff --git a/selling/doctype/sales_order/sales_order.py b/selling/doctype/sales_order/sales_order.py
index 3731484..1ccccdd 100644
--- a/selling/doctype/sales_order/sales_order.py
+++ b/selling/doctype/sales_order/sales_order.py
@@ -267,17 +267,19 @@
def update_stock_ledger(self, update_stock, is_stopped = 0):
+ from stock.utils import update_bin
for d in self.get_item_list(is_stopped):
if webnotes.conn.get_value("Item", d['item_code'], "is_stock_item") == "Yes":
args = {
"item_code": d['item_code'],
+ "warehouse": d['reserved_warehouse'],
"reserved_qty": flt(update_stock) * flt(d['reserved_qty']),
"posting_date": self.doc.transaction_date,
"voucher_type": self.doc.doctype,
"voucher_no": self.doc.name,
"is_amended": self.doc.amended_from and 'Yes' or 'No'
}
- get_obj('Warehouse', d['reserved_warehouse']).update_bin(args)
+ update_bin(args)
def get_item_list(self, is_stopped):
diff --git a/selling/doctype/sms_center/sms_center.py b/selling/doctype/sms_center/sms_center.py
index c3b5ac0..29e793c 100644
--- a/selling/doctype/sms_center/sms_center.py
+++ b/selling/doctype/sms_center/sms_center.py
@@ -42,7 +42,7 @@
for d in rec:
rec_list += d[0] + ' - ' + d[1] + '\n'
self.doc.receiver_list = rec_list
- webnotes.errprint(rec_list)
+
def get_receiver_nos(self):
receiver_nos = []
for d in self.doc.receiver_list.split('\n'):
diff --git a/selling/utils/cart.py b/selling/utils/cart.py
index fc7d062..7e7fb2e 100644
--- a/selling/utils/cart.py
+++ b/selling/utils/cart.py
@@ -286,7 +286,7 @@
cart_settings = webnotes.get_obj("Shopping Cart Settings")
billing_territory = get_address_territory(quotation.doc.customer_address) or \
- party.territory
+ party.territory or "All Territories"
set_price_list_and_rate(quotation, cart_settings, billing_territory)
diff --git a/setup/doctype/company/company.js b/setup/doctype/company/company.js
index c804271..ca3c93b 100644
--- a/setup/doctype/company/company.js
+++ b/setup/doctype/company/company.js
@@ -90,18 +90,7 @@
}
}
-if (sys_defaults.auto_inventory_accounting) {
- cur_frm.fields_dict["stock_in_hand_account"].get_query = function(doc) {
- return {
- "filters": {
- "is_pl_account": "No",
- "debit_or_credit": "Debit",
- "company": doc.name,
- 'group_or_ledger': "Ledger"
- }
- }
- }
-
+if (sys_defaults.auto_accounting_for_stock) {
cur_frm.fields_dict["stock_adjustment_account"].get_query = function(doc) {
return {
"filters": {
@@ -126,10 +115,4 @@
}
}
}
-
- cur_frm.fields_dict["stock_adjustment_cost_center"].get_query = function(doc) {
- return {
- "filters": {"company": doc.name}
- }
- }
}
\ No newline at end of file
diff --git a/setup/doctype/company/company.py b/setup/doctype/company/company.py
index eeff2d1..9746eb2 100644
--- a/setup/doctype/company/company.py
+++ b/setup/doctype/company/company.py
@@ -5,7 +5,7 @@
import webnotes
from webnotes import _, msgprint
-from webnotes.utils import cstr
+from webnotes.utils import cstr, cint
from webnotes.model.doc import Document
from webnotes.model.code import get_obj
import webnotes.defaults
@@ -59,14 +59,17 @@
def create_default_warehouses(self):
for whname in ("Stores", "Work In Progress", "Finished Goods"):
- webnotes.bean({
- "doctype":"Warehouse",
- "warehouse_name": whname,
- "company": self.doc.name
- }).insert()
+ if not webnotes.conn.exists("Warehouse", whname + " - " + self.doc.abbr):
+ webnotes.bean({
+ "doctype":"Warehouse",
+ "warehouse_name": whname,
+ "company": self.doc.name,
+ "create_account_under": "Stock Assets - " + self.doc.abbr
+ }).insert()
def create_default_web_page(self):
- if not webnotes.conn.get_value("Website Settings", None, "home_page"):
+ if not webnotes.conn.get_value("Website Settings", None, "home_page") and \
+ not webnotes.conn.sql("select name from tabCompany where name!=%s", self.doc.name):
import os
with open(os.path.join(os.path.dirname(__file__), "sample_home_page.html"), "r") as webfile:
webpage = webnotes.bean({
@@ -113,7 +116,6 @@
['Securities and Deposits','Current Assets','Group','No','','Debit',self.doc.name,''],
['Earnest Money','Securities and Deposits','Ledger','No','','Debit',self.doc.name,''],
['Stock Assets','Current Assets','Group','No','','Debit',self.doc.name,''],
- ['Stock In Hand','Stock Assets','Ledger','No','','Debit',self.doc.name,''],
['Tax Assets','Current Assets','Group','No','','Debit',self.doc.name,''],
['Fixed Assets','Application of Funds (Assets)','Group','No','','Debit',self.doc.name,''],
['Capital Equipments','Fixed Assets','Ledger','No','Fixed Asset Account','Debit',self.doc.name,''],
@@ -243,8 +245,8 @@
"default_expense_account": "Cost of Goods Sold",
"receivables_group": "Accounts Receivable",
"payables_group": "Accounts Payable",
+ "default_cash_account": "Cash",
"stock_received_but_not_billed": "Stock Received But Not Billed",
- "stock_in_hand_account": "Stock In Hand",
"stock_adjustment_account": "Stock Adjustment",
"expenses_included_in_valuation": "Expenses Included In Valuation"
}
@@ -254,9 +256,6 @@
if not self.doc.fields.get(a) and webnotes.conn.exists("Account", account_name):
webnotes.conn.set(self.doc, a, account_name)
- if not self.doc.stock_adjustment_cost_center:
- webnotes.conn.set(self.doc, "stock_adjustment_cost_center", self.doc.cost_center)
-
def create_default_cost_center(self):
cc_list = [
{
@@ -276,10 +275,9 @@
cc.update({"doctype": "Cost Center"})
cc_bean = webnotes.bean(cc)
cc_bean.ignore_permissions = True
-
+
if cc.get("cost_center_name") == self.doc.name:
cc_bean.ignore_mandatory = True
-
cc_bean.insert()
webnotes.conn.set(self.doc, "cost_center", "Main - " + self.doc.abbr)
@@ -288,11 +286,8 @@
"""
Trash accounts and cost centers for this company if no gl entry exists
"""
- rec = webnotes.conn.sql("SELECT name from `tabGL Entry` where ifnull(is_cancelled, 'No') = 'No' and company = %s", self.doc.name)
+ rec = webnotes.conn.sql("SELECT name from `tabGL Entry` where company = %s", self.doc.name)
if not rec:
- # delete gl entry
- webnotes.conn.sql("delete from `tabGL Entry` where company = %s", self.doc.name)
-
#delete tabAccount
webnotes.conn.sql("delete from `tabAccount` where company = %s order by lft desc, rgt desc", self.doc.name)
@@ -301,6 +296,9 @@
#delete cost center
webnotes.conn.sql("delete from `tabCost Center` WHERE company = %s order by lft desc, rgt desc", self.doc.name)
+ if not webnotes.conn.get_value("Stock Ledger Entry", {"company": self.doc.name}):
+ webnotes.conn.sql("""delete from `tabWarehouse` where company=%s""", self.doc.name)
+
webnotes.defaults.clear_default("company", value=self.doc.name)
webnotes.conn.sql("""update `tabSingles` set value=""
diff --git a/setup/doctype/company/company.txt b/setup/doctype/company/company.txt
index 768c7b1..1ba1dde 100644
--- a/setup/doctype/company/company.txt
+++ b/setup/doctype/company/company.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-04-10 08:35:39",
"docstatus": 0,
- "modified": "2013-08-05 15:39:36",
+ "modified": "2013-08-28 19:15:04",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -221,19 +221,9 @@
{
"depends_on": "eval:!doc.__islocal",
"doctype": "DocField",
- "fieldname": "auto_inventory_accounting_settings",
+ "fieldname": "auto_accounting_for_stock_settings",
"fieldtype": "Section Break",
- "label": "Auto Inventory Accounting Settings",
- "read_only": 0
- },
- {
- "description": "This account will be used to maintain value of available stock",
- "doctype": "DocField",
- "fieldname": "stock_in_hand_account",
- "fieldtype": "Link",
- "label": "Stock In Hand Account",
- "no_copy": 1,
- "options": "Account",
+ "label": "Auto Accounting For Stock Settings",
"read_only": 0
},
{
@@ -247,13 +237,6 @@
},
{
"doctype": "DocField",
- "fieldname": "col_break23",
- "fieldtype": "Column Break",
- "read_only": 0,
- "width": "50%"
- },
- {
- "doctype": "DocField",
"fieldname": "stock_adjustment_account",
"fieldtype": "Link",
"label": "Stock Adjustment Account",
@@ -271,15 +254,6 @@
"read_only": 0
},
{
- "doctype": "DocField",
- "fieldname": "stock_adjustment_cost_center",
- "fieldtype": "Link",
- "label": "Stock Adjustment Cost Center",
- "no_copy": 1,
- "options": "Cost Center",
- "read_only": 0
- },
- {
"description": "For reference only.",
"doctype": "DocField",
"fieldname": "company_info",
diff --git a/setup/doctype/email_digest/email_digest.py b/setup/doctype/email_digest/email_digest.py
index 39e377a..07efd16 100644
--- a/setup/doctype/email_digest/email_digest.py
+++ b/setup/doctype/email_digest/email_digest.py
@@ -362,8 +362,8 @@
gl_entries = webnotes.conn.sql("""select `account`,
ifnull(credit, 0) as credit, ifnull(debit, 0) as debit, `against`
from `tabGL Entry`
- where company=%s and ifnull(is_cancelled, "No")="No" and
- posting_date <= %s %s""" % ("%s", "%s",
+ where company=%s
+ and posting_date <= %s %s""" % ("%s", "%s",
from_date and "and posting_date>='%s'" % from_date or ""),
(self.doc.company, to_date or self.to_date), as_dict=1)
diff --git a/setup/doctype/setup_control/setup_control.py b/setup/doctype/setup_control/setup_control.py
index 0bc2f24..b78bfcc 100644
--- a/setup/doctype/setup_control/setup_control.py
+++ b/setup/doctype/setup_control/setup_control.py
@@ -105,8 +105,9 @@
})
global_defaults.save()
- webnotes.conn.set_value("Accounts Settings", None, "auto_inventory_accounting", 1)
- webnotes.conn.set_default("auto_inventory_accounting", 1)
+ accounts_settings = webnotes.bean("Accounts Settings")
+ accounts_settings.doc.auto_accounting_for_stock = 1
+ accounts_settings.save()
stock_settings = webnotes.bean("Stock Settings")
stock_settings.doc.item_naming_by = "Item Code"
diff --git a/stock/report/item_wise_price_list/__init__.py b/setup/report/__init__.py
similarity index 100%
copy from stock/report/item_wise_price_list/__init__.py
copy to setup/report/__init__.py
diff --git a/stock/report/item_wise_price_list/__init__.py b/setup/report/item_wise_price_list/__init__.py
similarity index 100%
rename from stock/report/item_wise_price_list/__init__.py
rename to setup/report/item_wise_price_list/__init__.py
diff --git a/setup/report/item_wise_price_list/item_wise_price_list.txt b/setup/report/item_wise_price_list/item_wise_price_list.txt
new file mode 100644
index 0000000..44118c8
--- /dev/null
+++ b/setup/report/item_wise_price_list/item_wise_price_list.txt
@@ -0,0 +1,22 @@
+[
+ {
+ "creation": "2013-09-25 10:29:04",
+ "docstatus": 0,
+ "modified": "2013-09-25 10:29:04",
+ "modified_by": "Administrator",
+ "owner": "Administrator"
+ },
+ {
+ "doctype": "Report",
+ "is_standard": "Yes",
+ "json": "{\"filters\":[[\"Item Price\",\"item_code\",\"like\",\"%\"],[\"Price List\",\"price_list_name\",\"like\",\"%\"]],\"columns\":[[\"item_code\",\"Item Price\"],[\"price_list_name\",\"Price List\"],[\"currency\",\"Price List\"],[\"ref_rate\",\"Item Price\"],[\"buying_or_selling\",\"Price List\"],[\"name\",\"Price List\"]],\"sort_by\":\"Price List.modified\",\"sort_order\":\"desc\",\"sort_by_next\":\"\",\"sort_order_next\":\"desc\"}",
+ "name": "__common__",
+ "ref_doctype": "Price List",
+ "report_name": "Item-Wise Price List",
+ "report_type": "Report Builder"
+ },
+ {
+ "doctype": "Report",
+ "name": "Item-Wise Price List"
+ }
+]
\ No newline at end of file
diff --git a/stock/report/item_wise_price_list/__init__.py b/setup/report/item_wise_price_list_rate/__init__.py
similarity index 100%
copy from stock/report/item_wise_price_list/__init__.py
copy to setup/report/item_wise_price_list_rate/__init__.py
diff --git a/setup/report/item_wise_price_list_rate/item_wise_price_list_rate.txt b/setup/report/item_wise_price_list_rate/item_wise_price_list_rate.txt
new file mode 100644
index 0000000..08b1bef
--- /dev/null
+++ b/setup/report/item_wise_price_list_rate/item_wise_price_list_rate.txt
@@ -0,0 +1,22 @@
+[
+ {
+ "creation": "2013-09-25 10:21:15",
+ "docstatus": 0,
+ "modified": "2013-09-25 10:24:57",
+ "modified_by": "Administrator",
+ "owner": "Administrator"
+ },
+ {
+ "doctype": "Report",
+ "is_standard": "Yes",
+ "json": "{\"filters\":[[\"Item Price\",\"item_code\",\"like\",\"%\"],[\"Price List\",\"price_list_name\",\"like\",\"%\"]],\"columns\":[[\"item_code\",\"Item Price\"],[\"price_list_name\",\"Price List\"],[\"currency\",\"Price List\"],[\"ref_rate\",\"Item Price\"],[\"buying_or_selling\",\"Price List\"],[\"name\",\"Price List\"]],\"sort_by\":\"Price List.modified\",\"sort_order\":\"desc\",\"sort_by_next\":\"\",\"sort_order_next\":\"desc\"}",
+ "name": "__common__",
+ "ref_doctype": "Price List",
+ "report_name": "Item-wise Price List Rate",
+ "report_type": "Report Builder"
+ },
+ {
+ "doctype": "Report",
+ "name": "Item-wise Price List Rate"
+ }
+]
\ No newline at end of file
diff --git a/startup/report_data_map.py b/startup/report_data_map.py
index 0f6d4fe..54453f6 100644
--- a/startup/report_data_map.py
+++ b/startup/report_data_map.py
@@ -36,7 +36,6 @@
"GL Entry": {
"columns": ["name", "account", "posting_date", "cost_center", "debit", "credit",
"is_opening", "company", "voucher_type", "voucher_no", "remarks"],
- "conditions": ["ifnull(is_cancelled, 'No')='No'"],
"order_by": "posting_date, account",
"links": {
"account": ["Account", "name"],
@@ -81,7 +80,6 @@
"columns": ["name", "posting_date", "posting_time", "item_code", "warehouse",
"actual_qty as qty", "voucher_type", "voucher_no", "project",
"ifnull(incoming_rate,0) as incoming_rate", "stock_uom", "serial_no"],
- "conditions": ["ifnull(is_cancelled, 'No')='No'"],
"order_by": "posting_date, posting_time, name",
"links": {
"item_code": ["Item", "name"],
diff --git a/stock/doctype/bin/bin.py b/stock/doctype/bin/bin.py
index 146191f..788642f 100644
--- a/stock/doctype/bin/bin.py
+++ b/stock/doctype/bin/bin.py
@@ -65,7 +65,6 @@
select * from `tabStock Ledger Entry`
where item_code = %s
and warehouse = %s
- and ifnull(is_cancelled, 'No') = 'No'
order by timestamp(posting_date, posting_time) asc, name asc
limit 1
""", (self.doc.item_code, self.doc.warehouse), as_dict=1)
diff --git a/stock/doctype/delivery_note/delivery_note.js b/stock/doctype/delivery_note/delivery_note.js
index 0413b72..84e65da 100644
--- a/stock/doctype/delivery_note/delivery_note.js
+++ b/stock/doctype/delivery_note/delivery_note.js
@@ -44,8 +44,8 @@
set_print_hide(doc, dt, dn);
- // unhide expense_account and cost_center is auto_inventory_accounting enabled
- var aii_enabled = cint(sys_defaults.auto_inventory_accounting)
+ // unhide expense_account and cost_center is auto_accounting_for_stock enabled
+ var aii_enabled = cint(sys_defaults.auto_accounting_for_stock)
cur_frm.fields_dict[cur_frm.cscript.fname].grid.set_column_disp(["expense_account", "cost_center"], aii_enabled);
if (this.frm.doc.docstatus===0) {
@@ -202,7 +202,7 @@
}
}
-if (sys_defaults.auto_inventory_accounting) {
+if (sys_defaults.auto_accounting_for_stock) {
cur_frm.cscript.expense_account = function(doc, cdt, cdn){
var d = locals[cdt][cdn];
diff --git a/stock/doctype/delivery_note/delivery_note.py b/stock/doctype/delivery_note/delivery_note.py
index 042b197..e5e412e 100644
--- a/stock/doctype/delivery_note/delivery_note.py
+++ b/stock/doctype/delivery_note/delivery_note.py
@@ -10,11 +10,7 @@
from webnotes import msgprint, _
import webnotes.defaults
from webnotes.model.mapper import get_mapped_doclist
-
-
-
-sql = webnotes.conn.sql
-
+from stock.utils import update_bin
from controllers.selling_controller import SellingController
class DocType(SellingController):
@@ -58,7 +54,7 @@
def set_actual_qty(self):
for d in getlist(self.doclist, 'delivery_note_details'):
if d.item_code and d.warehouse:
- actual_qty = sql("select actual_qty from `tabBin` where item_code = '%s' and warehouse = '%s'" % (d.item_code, d.warehouse))
+ actual_qty = webnotes.conn.sql("select actual_qty from `tabBin` where item_code = '%s' and warehouse = '%s'" % (d.item_code, d.warehouse))
d.actual_qty = actual_qty and flt(actual_qty[0][0]) or 0
@@ -130,11 +126,10 @@
}
})
-
def validate_proj_cust(self):
"""check for does customer belong to same project as entered.."""
if self.doc.project_name and self.doc.customer:
- res = sql("select name from `tabProject` where name = '%s' and (customer = '%s' or ifnull(customer,'')='')"%(self.doc.project_name, self.doc.customer))
+ res = webnotes.conn.sql("select name from `tabProject` where name = '%s' and (customer = '%s' or ifnull(customer,'')='')"%(self.doc.project_name, self.doc.customer))
if not res:
msgprint("Customer - %s does not belong to project - %s. \n\nIf you want to use project for multiple customers then please make customer details blank in project - %s."%(self.doc.customer,self.doc.project_name,self.doc.project_name))
raise Exception
@@ -164,15 +159,15 @@
if not d['warehouse']:
msgprint("Please enter Warehouse for item %s as it is stock item"
% d['item_code'], raise_exception=1)
-
+
def update_current_stock(self):
for d in getlist(self.doclist, 'delivery_note_details'):
- bin = sql("select actual_qty from `tabBin` where item_code = %s and warehouse = %s", (d.item_code, d.warehouse), as_dict = 1)
+ bin = webnotes.conn.sql("select actual_qty from `tabBin` where item_code = %s and warehouse = %s", (d.item_code, d.warehouse), as_dict = 1)
d.actual_qty = bin and flt(bin[0]['actual_qty']) or 0
for d in getlist(self.doclist, 'packing_details'):
- bin = sql("select actual_qty, projected_qty from `tabBin` where item_code = %s and warehouse = %s", (d.item_code, d.warehouse), as_dict = 1)
+ bin = webnotes.conn.sql("select actual_qty, projected_qty from `tabBin` where item_code = %s and warehouse = %s", (d.item_code, d.warehouse), as_dict = 1)
d.actual_qty = bin and flt(bin[0]['actual_qty']) or 0
d.projected_qty = bin and flt(bin[0]['projected_qty']) or 0
@@ -189,12 +184,11 @@
self.update_prevdoc_status()
# create stock ledger entry
- self.update_stock_ledger(update_stock = 1)
+ self.update_stock_ledger()
self.update_serial_nos()
self.credit_limit()
- self.set_buying_amount()
self.make_gl_entries()
# set DN status
@@ -208,7 +202,7 @@
self.update_prevdoc_status()
- self.update_stock_ledger(update_stock = -1)
+ self.update_stock_ledger()
self.update_serial_nos(cancel=True)
webnotes.conn.set(self.doc, 'status', 'Cancelled')
@@ -267,12 +261,12 @@
webnotes.msgprint("Packing Error:\n" + err_msg, raise_exception=1)
def check_next_docstatus(self):
- submit_rv = sql("select t1.name from `tabSales Invoice` t1,`tabSales Invoice Item` t2 where t1.name = t2.parent and t2.delivery_note = '%s' and t1.docstatus = 1" % (self.doc.name))
+ submit_rv = webnotes.conn.sql("select t1.name from `tabSales Invoice` t1,`tabSales Invoice Item` t2 where t1.name = t2.parent and t2.delivery_note = '%s' and t1.docstatus = 1" % (self.doc.name))
if submit_rv:
msgprint("Sales Invoice : " + cstr(submit_rv[0][0]) + " has already been submitted !")
raise Exception , "Validation Error."
- submit_in = sql("select t1.name from `tabInstallation Note` t1, `tabInstallation Note Item` t2 where t1.name = t2.parent and t2.prevdoc_docname = '%s' and t1.docstatus = 1" % (self.doc.name))
+ submit_in = webnotes.conn.sql("select t1.name from `tabInstallation Note` t1, `tabInstallation Note Item` t2 where t1.name = t2.parent and t2.prevdoc_docname = '%s' and t1.docstatus = 1" % (self.doc.name))
if submit_in:
msgprint("Installation Note : "+cstr(submit_in[0][0]) +" has already been submitted !")
raise Exception , "Validation Error."
@@ -292,60 +286,39 @@
webnotes.msgprint(_("Packing Slip(s) Cancelled"))
- def update_stock_ledger(self, update_stock):
- self.values = []
+ def update_stock_ledger(self):
+ sl_entries = []
for d in self.get_item_list():
- if webnotes.conn.get_value("Item", d['item_code'], "is_stock_item") == "Yes":
- # this happens when item is changed from non-stock to stock item
- if not d["warehouse"]:
- continue
+ if webnotes.conn.get_value("Item", d.item_code, "is_stock_item") == "Yes" \
+ and d.warehouse:
+ self.update_reserved_qty(d)
+
+ sl_entries.append(self.get_sl_entries(d, {
+ "actual_qty": -1*flt(d['qty']),
+ }))
+
+ self.make_sl_entries(sl_entries)
+
+ def update_reserved_qty(self, d):
+ if d['reserved_qty'] < 0 :
+ # Reduce reserved qty from reserved warehouse mentioned in so
+ if not d["reserved_warehouse"]:
+ webnotes.throw(_("Reserved Warehouse is missing in Sales Order"))
- if d['reserved_qty'] < 0 :
- # Reduce reserved qty from reserved warehouse mentioned in so
- if not d["reserved_warehouse"]:
- webnotes.throw(_("Reserved Warehouse is missing in Sales Order"))
-
- args = {
- "item_code": d['item_code'],
- "voucher_type": self.doc.doctype,
- "voucher_no": self.doc.name,
- "reserved_qty": flt(update_stock) * flt(d['reserved_qty']),
- "posting_date": self.doc.posting_date,
- "is_amended": self.doc.amended_from and 'Yes' or 'No'
- }
- get_obj("Warehouse", d["reserved_warehouse"]).update_bin(args)
-
- # Reduce actual qty from warehouse
- self.make_sl_entry(d, d['warehouse'], - flt(d['qty']) , 0, update_stock)
-
- get_obj('Stock Ledger', 'Stock Ledger').update_stock(self.values)
-
+ args = {
+ "item_code": d['item_code'],
+ "warehouse": d["reserved_warehouse"],
+ "voucher_type": self.doc.doctype,
+ "voucher_no": self.doc.name,
+ "reserved_qty": (self.doc.docstatus==1 and 1 or -1)*flt(d['reserved_qty']),
+ "posting_date": self.doc.posting_date,
+ "is_amended": self.doc.amended_from and 'Yes' or 'No'
+ }
+ update_bin(args)
def get_item_list(self):
return get_obj('Sales Common').get_item_list(self)
-
- def make_sl_entry(self, d, wh, qty, in_value, update_stock):
- self.values.append({
- 'item_code' : d['item_code'],
- 'warehouse' : wh,
- 'posting_date' : self.doc.posting_date,
- 'posting_time' : self.doc.posting_time,
- 'voucher_type' : 'Delivery Note',
- 'voucher_no' : self.doc.name,
- 'voucher_detail_no' : d['name'],
- 'actual_qty' : qty,
- 'stock_uom' : d['uom'],
- 'incoming_rate' : in_value,
- 'company' : self.doc.company,
- 'fiscal_year' : self.doc.fiscal_year,
- 'is_cancelled' : (update_stock==1) and 'No' or 'Yes',
- 'batch_no' : d['batch_no'],
- 'serial_no' : d['serial_no'],
- "project" : self.doc.project_name
- })
-
-
def credit_limit(self):
"""check credit limit of items in DN Detail which are not fetched from sales order"""
amount, total = 0, 0
@@ -355,22 +328,6 @@
if amount != 0:
total = (amount/self.doc.net_total)*self.doc.grand_total
get_obj('Sales Common').check_credit(self, total)
-
- def make_gl_entries(self):
- if not cint(webnotes.defaults.get_global_default("auto_inventory_accounting")):
- return
-
- gl_entries = []
- for item in self.doclist.get({"parentfield": "delivery_note_details"}):
- self.check_expense_account(item)
-
- if item.buying_amount:
- gl_entries += self.get_gl_entries_for_stock(item.expense_account, -1*item.buying_amount,
- cost_center=item.cost_center)
-
- if gl_entries:
- from accounts.general_ledger import make_gl_entries
- make_gl_entries(gl_entries, cancel=(self.doc.docstatus == 2))
def get_invoiced_qty_map(delivery_note):
"""returns a map: {dn_detail: invoiced_qty}"""
diff --git a/stock/doctype/delivery_note/test_delivery_note.py b/stock/doctype/delivery_note/test_delivery_note.py
index 89690fe..7c52550 100644
--- a/stock/doctype/delivery_note/test_delivery_note.py
+++ b/stock/doctype/delivery_note/test_delivery_note.py
@@ -7,20 +7,22 @@
import webnotes
import webnotes.defaults
from webnotes.utils import cint
+from stock.doctype.purchase_receipt.test_purchase_receipt import get_gl_entries, set_perpetual_inventory, test_records as pr_test_records
class TestDeliveryNote(unittest.TestCase):
- def _insert_purchase_receipt(self):
- from stock.doctype.purchase_receipt.test_purchase_receipt import test_records as pr_test_records
+ def _insert_purchase_receipt(self, item_code=None):
pr = webnotes.bean(copy=pr_test_records[0])
- pr.run_method("calculate_taxes_and_totals")
+ if item_code:
+ pr.doclist[1].item_code = item_code
pr.insert()
pr.submit()
def test_over_billing_against_dn(self):
+ self.clear_stock_account_balance()
self._insert_purchase_receipt()
from stock.doctype.delivery_note.delivery_note import make_sales_invoice
-
+ self._insert_purchase_receipt()
dn = webnotes.bean(copy=test_records[0]).insert()
self.assertRaises(webnotes.ValidationError, make_sales_invoice,
@@ -38,9 +40,9 @@
def test_delivery_note_no_gl_entry(self):
- webnotes.conn.sql("""delete from `tabBin`""")
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
- self.assertEqual(cint(webnotes.defaults.get_global_default("auto_inventory_accounting")), 0)
+ self.clear_stock_account_balance()
+ set_perpetual_inventory(0)
+ self.assertEqual(cint(webnotes.defaults.get_global_default("auto_accounting_for_stock")), 0)
self._insert_purchase_receipt()
@@ -48,18 +50,24 @@
dn.insert()
dn.submit()
+ stock_value, stock_value_difference = webnotes.conn.get_value("Stock Ledger Entry",
+ {"voucher_type": "Delivery Note", "voucher_no": dn.doc.name,
+ "item_code": "_Test Item"}, ["stock_value", "stock_value_difference"])
+ self.assertEqual(stock_value, 0)
+ self.assertEqual(stock_value_difference, -375)
+
+
gl_entries = webnotes.conn.sql("""select account, debit, credit
from `tabGL Entry` where voucher_type='Delivery Note' and voucher_no=%s
order by account desc""", dn.doc.name, as_dict=1)
- self.assertTrue(not gl_entries)
+ self.assertFalse(get_gl_entries("Delivery Note", dn.doc.name))
def test_delivery_note_gl_entry(self):
- webnotes.conn.sql("""delete from `tabBin`""")
- webnotes.conn.sql("delete from `tabStock Ledger Entry`")
-
- webnotes.defaults.set_global_default("auto_inventory_accounting", 1)
- self.assertEqual(cint(webnotes.defaults.get_global_default("auto_inventory_accounting")), 1)
+ self.clear_stock_account_balance()
+ set_perpetual_inventory()
+ self.assertEqual(cint(webnotes.defaults.get_global_default("auto_accounting_for_stock")), 1)
+ webnotes.conn.set_value("Item", "_Test Item", "valuation_method", "FIFO")
self._insert_purchase_receipt()
@@ -67,8 +75,8 @@
dn.doclist[1].expense_account = "Cost of Goods Sold - _TC"
dn.doclist[1].cost_center = "Main - _TC"
- stock_in_hand_account = webnotes.conn.get_value("Company", dn.doc.company,
- "stock_in_hand_account")
+ stock_in_hand_account = webnotes.conn.get_value("Account",
+ {"master_name": dn.doclist[1].warehouse})
from accounts.utils import get_balance_on
prev_bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)
@@ -76,26 +84,79 @@
dn.insert()
dn.submit()
-
- gl_entries = webnotes.conn.sql("""select account, debit, credit
- from `tabGL Entry` where voucher_type='Delivery Note' and voucher_no=%s
- order by account asc""", dn.doc.name, as_dict=1)
+ gl_entries = get_gl_entries("Delivery Note", dn.doc.name)
self.assertTrue(gl_entries)
-
- expected_values = sorted([
- [stock_in_hand_account, 0.0, 375.0],
- ["Cost of Goods Sold - _TC", 375.0, 0.0]
- ])
+ expected_values = {
+ stock_in_hand_account: [0.0, 375.0],
+ "Cost of Goods Sold - _TC": [375.0, 0.0]
+ }
for i, gle in enumerate(gl_entries):
- self.assertEquals(expected_values[i][0], gle.account)
- self.assertEquals(expected_values[i][1], gle.debit)
- self.assertEquals(expected_values[i][2], gle.credit)
+ self.assertEquals([gle.debit, gle.credit], expected_values.get(gle.account))
# check stock in hand balance
bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)
self.assertEquals(bal, prev_bal - 375.0)
+
+ # back dated purchase receipt
+ pr = webnotes.bean(copy=pr_test_records[0])
+ pr.doc.posting_date = "2013-01-01"
+ pr.doclist[1].import_rate = 100
+ pr.doclist[1].amount = 100
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
+ pr.insert()
+ pr.submit()
+
+ gl_entries = get_gl_entries("Delivery Note", dn.doc.name)
+ self.assertTrue(gl_entries)
+ expected_values = {
+ stock_in_hand_account: [0.0, 666.65],
+ "Cost of Goods Sold - _TC": [666.65, 0.0]
+ }
+ for i, gle in enumerate(gl_entries):
+ self.assertEquals([gle.debit, gle.credit], expected_values.get(gle.account))
+
+ dn.cancel()
+ self.assertFalse(get_gl_entries("Delivery Note", dn.doc.name))
+ set_perpetual_inventory(0)
+
+ def test_delivery_note_gl_entry_packing_item(self):
+ self.clear_stock_account_balance()
+ set_perpetual_inventory()
+
+ self._insert_purchase_receipt()
+ self._insert_purchase_receipt("_Test Item Home Desktop 100")
+
+ dn = webnotes.bean(copy=test_records[0])
+ dn.doclist[1].item_code = "_Test Sales BOM Item"
+ dn.doclist[1].qty = 1
+
+ stock_in_hand_account = webnotes.conn.get_value("Account",
+ {"master_name": dn.doclist[1].warehouse})
+
+ from accounts.utils import get_balance_on
+ prev_bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)
+
+ dn.insert()
+ dn.submit()
+
+ gl_entries = get_gl_entries("Delivery Note", dn.doc.name)
+ self.assertTrue(gl_entries)
+
+ expected_values = {
+ stock_in_hand_account: [0.0, 525],
+ "Cost of Goods Sold - _TC": [525.0, 0.0]
+ }
+ for i, gle in enumerate(gl_entries):
+ self.assertEquals([gle.debit, gle.credit], expected_values.get(gle.account))
+
+ # check stock in hand balance
+ bal = get_balance_on(stock_in_hand_account, dn.doc.posting_date)
+ self.assertEquals(bal, prev_bal - 525.0)
+
+ dn.cancel()
+ self.assertFalse(get_gl_entries("Delivery Note", dn.doc.name))
+
+ set_perpetual_inventory(0)
def test_serialized(self):
from stock.doctype.stock_entry.test_stock_entry import make_serialized_item
@@ -148,7 +209,13 @@
dn.insert()
self.assertRaises(SerialNoStatusError, dn.submit)
+
+ def clear_stock_account_balance(self):
+ webnotes.conn.sql("""delete from `tabBin`""")
+ webnotes.conn.sql("delete from `tabStock Ledger Entry`")
+ webnotes.conn.sql("delete from `tabGL Entry`")
+test_dependencies = ["Sales BOM"]
test_records = [
[
@@ -183,8 +250,10 @@
"export_rate": 100.0,
"amount": 500.0,
"warehouse": "_Test Warehouse - _TC",
- "stock_uom": "_Test UOM"
+ "stock_uom": "_Test UOM",
+ "expense_account": "Cost of Goods Sold - _TC",
+ "cost_center": "Main - _TC"
}
]
-]
\ No newline at end of file
+]
diff --git a/stock/doctype/delivery_note_item/delivery_note_item.txt b/stock/doctype/delivery_note_item/delivery_note_item.txt
index 83b8f75..b74c33a 100644
--- a/stock/doctype/delivery_note_item/delivery_note_item.txt
+++ b/stock/doctype/delivery_note_item/delivery_note_item.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-04-22 13:15:44",
"docstatus": 0,
- "modified": "2013-08-07 14:45:30",
+ "modified": "2013-08-29 16:58:16",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -421,17 +421,6 @@
"read_only": 1
},
{
- "doctype": "DocField",
- "fieldname": "buying_amount",
- "fieldtype": "Currency",
- "hidden": 1,
- "label": "Buying Amount",
- "no_copy": 1,
- "options": "Company:company:default_currency",
- "print_hide": 1,
- "read_only": 1
- },
- {
"allow_on_submit": 1,
"doctype": "DocField",
"fieldname": "page_break",
diff --git a/stock/doctype/item/item.py b/stock/doctype/item/item.py
index 008886e..aedb71c 100644
--- a/stock/doctype/item/item.py
+++ b/stock/doctype/item/item.py
@@ -67,7 +67,7 @@
if not self.doc.fields.get("__islocal"):
matched=True
ref_uom = webnotes.conn.get_value("Stock Ledger Entry",
- {"item_code": self.doc.name, "is_cancelled": "No"}, "stock_uom")
+ {"item_code": self.doc.name}, "stock_uom")
if ref_uom:
if cstr(ref_uom) != cstr(self.doc.stock_uom):
matched = False
@@ -199,7 +199,7 @@
def check_if_sle_exists(self):
sle = webnotes.conn.sql("""select name from `tabStock Ledger Entry`
- where item_code = %s and ifnull(is_cancelled, 'No') = 'No'""", self.doc.name)
+ where item_code = %s""", self.doc.name)
return sle and 'exists' or 'not exists'
def validate_name_with_item_group(self):
@@ -260,8 +260,6 @@
def on_trash(self):
webnotes.conn.sql("""delete from tabBin where item_code=%s""", self.doc.item_code)
- webnotes.conn.sql("""delete from `tabStock Ledger Entry`
- where item_code=%s and is_cancelled='Yes' """, self.doc.item_code)
if self.doc.page_name:
from webnotes.webutils import clear_cache
diff --git a/stock/doctype/landed_cost_item/landed_cost_item.txt b/stock/doctype/landed_cost_item/landed_cost_item.txt
index 3e14ce8..bfd6216 100644
--- a/stock/doctype/landed_cost_item/landed_cost_item.txt
+++ b/stock/doctype/landed_cost_item/landed_cost_item.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-02-22 01:28:02",
"docstatus": 0,
- "modified": "2013-07-10 14:54:10",
+ "modified": "2013-09-02 17:36:19",
"modified_by": "Administrator",
"owner": "wasim@webnotestech.com"
},
@@ -14,7 +14,6 @@
},
{
"doctype": "DocField",
- "in_list_view": 1,
"name": "__common__",
"parent": "Landed Cost Item",
"parentfield": "fields",
@@ -30,6 +29,7 @@
"doctype": "DocField",
"fieldname": "account_head",
"fieldtype": "Link",
+ "in_list_view": 1,
"label": "Account Head",
"oldfieldname": "account_head",
"oldfieldtype": "Link",
@@ -38,8 +38,16 @@
},
{
"doctype": "DocField",
+ "fieldname": "cost_center",
+ "fieldtype": "Link",
+ "label": "Cost Center",
+ "options": "Cost Center"
+ },
+ {
+ "doctype": "DocField",
"fieldname": "description",
"fieldtype": "Data",
+ "in_list_view": 1,
"label": "Description",
"oldfieldname": "description",
"oldfieldtype": "Data",
@@ -50,6 +58,7 @@
"doctype": "DocField",
"fieldname": "amount",
"fieldtype": "Currency",
+ "in_list_view": 1,
"label": "Amount",
"oldfieldname": "amount",
"oldfieldtype": "Currency",
diff --git a/stock/doctype/landed_cost_purchase_receipt/landed_cost_purchase_receipt.txt b/stock/doctype/landed_cost_purchase_receipt/landed_cost_purchase_receipt.txt
index e47dd27..5f0bc90 100644
--- a/stock/doctype/landed_cost_purchase_receipt/landed_cost_purchase_receipt.txt
+++ b/stock/doctype/landed_cost_purchase_receipt/landed_cost_purchase_receipt.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-02-22 01:28:02",
"docstatus": 0,
- "modified": "2013-07-10 14:54:10",
+ "modified": "2013-09-02 13:44:28",
"modified_by": "Administrator",
"owner": "wasim@webnotestech.com"
},
@@ -14,36 +14,26 @@
},
{
"doctype": "DocField",
+ "fieldname": "purchase_receipt",
+ "fieldtype": "Link",
"in_list_view": 1,
+ "label": "Purchase Receipt",
"name": "__common__",
+ "oldfieldname": "purchase_receipt_no",
+ "oldfieldtype": "Link",
+ "options": "Purchase Receipt",
"parent": "Landed Cost Purchase Receipt",
"parentfield": "fields",
"parenttype": "DocType",
- "permlevel": 0
+ "permlevel": 0,
+ "print_width": "220px",
+ "width": "220px"
},
{
"doctype": "DocType",
"name": "Landed Cost Purchase Receipt"
},
{
- "doctype": "DocField",
- "fieldname": "purchase_receipt",
- "fieldtype": "Link",
- "label": "Purchase Receipt",
- "oldfieldname": "purchase_receipt_no",
- "oldfieldtype": "Link",
- "options": "Purchase Receipt",
- "print_width": "220px",
- "width": "220px"
- },
- {
- "doctype": "DocField",
- "fieldname": "select_pr",
- "fieldtype": "Check",
- "label": "Select PR",
- "oldfieldname": "include_in_landed_cost",
- "oldfieldtype": "Check",
- "print_width": "120px",
- "width": "120px"
+ "doctype": "DocField"
}
]
\ No newline at end of file
diff --git a/stock/doctype/landed_cost_wizard/landed_cost_wizard.js b/stock/doctype/landed_cost_wizard/landed_cost_wizard.js
index 06f3fd6..542acbe 100644
--- a/stock/doctype/landed_cost_wizard/landed_cost_wizard.js
+++ b/stock/doctype/landed_cost_wizard/landed_cost_wizard.js
@@ -1,18 +1,48 @@
// Copyright (c) 2013, Web Notes Technologies Pvt. Ltd.
// License: GNU General Public License v3. See license.txt
-cur_frm.cscript.onload = function(doc, cdt, cdn) {
-if(!doc.currency){doc.currency = sys_defaults.currency;}
-}
+wn.provide("erpnext.stock");
+wn.require("public/app/js/controllers/stock_controller.js");
-cur_frm.fields_dict['landed_cost_details'].grid.get_field("account_head").get_query = function(doc,cdt,cdn) {
-return{
- filters:[
- ['Account', 'group_or_ledger', '=', 'Ledger'],
- ['Account', 'account_type', 'in', 'Tax, Chargeable'],
- ['Account', 'is_pl_account', '=', 'Yes'],
- ['Account', 'debit_or_credit', '=', 'Debit']
- ]
+erpnext.stock.LandedCostWizard = erpnext.stock.StockController.extend({
+ setup: function() {
+ var me = this;
+ this.frm.fields_dict.lc_pr_details.grid.get_field('purchase_receipt').get_query =
+ function() {
+ if(!me.frm.doc.company) msgprint(wn._("Please enter company first"));
+ return {
+ filters:[
+ ['Purchase Receipt', 'docstatus', '=', '1'],
+ ['Purchase Receipt', 'company', '=', me.frm.doc.company],
+ ]
+ }
+ };
+
+ this.frm.fields_dict.landed_cost_details.grid.get_field('account_head').get_query = function() {
+ if(!me.frm.doc.company) msgprint(wn._("Please enter company first"));
+ return {
+ filters:[
+ ['Account', 'group_or_ledger', '=', 'Ledger'],
+ ['Account', 'account_type', 'in', 'Tax, Chargeable'],
+ ['Account', 'is_pl_account', '=', 'Yes'],
+ ['Account', 'debit_or_credit', '=', 'Debit'],
+ ['Account', 'company', '=', me.frm.doc.company]
+ ]
+ }
+ },
+
+ this.frm.fields_dict.landed_cost_details.grid.get_field('cost_center').get_query =
+ function() {
+ if(!me.frm.doc.company) msgprint(wn._("Please enter company first"));
+ return {
+ filters:[
+ ['Cost Center', 'group_or_ledger', '=', 'Ledger'],
+ ['Cost Center', 'company', '=', me.frm.doc.company]
+ ]
+ }
+ }
}
-}
+});
+
+cur_frm.script_manager.make(erpnext.stock.LandedCostWizard);
\ No newline at end of file
diff --git a/stock/doctype/landed_cost_wizard/landed_cost_wizard.py b/stock/doctype/landed_cost_wizard/landed_cost_wizard.py
index 0cdad4d..0924957 100644
--- a/stock/doctype/landed_cost_wizard/landed_cost_wizard.py
+++ b/stock/doctype/landed_cost_wizard/landed_cost_wizard.py
@@ -7,226 +7,95 @@
from webnotes.model.doc import addchild
from webnotes.model.bean import getlist
from webnotes.model.code import get_obj
-from webnotes import msgprint
-
-sql = webnotes.conn.sql
-
+from webnotes import msgprint, _
class DocType:
def __init__(self, doc, doclist=[]):
self.doc = doc
self.doclist = doclist
- self.prwise_cost = {}
-
- def check_mandatory(self):
- """ Check mandatory fields """
- if not self.doc.from_pr_date or not self.doc.to_pr_date:
- msgprint("Please enter From and To PR Date", raise_exception=1)
-
- if not self.doc.currency:
- msgprint("Please enter Currency.", raise_exception=1)
-
-
- def get_purchase_receipts(self):
- """ Get purchase receipts for given period """
-
- self.doclist = self.doc.clear_table(self.doclist,'lc_pr_details',1)
- self.check_mandatory()
-
- pr = sql("select name from `tabPurchase Receipt` where docstatus = 1 and posting_date >= '%s' and posting_date <= '%s' and currency = '%s' order by name " % (self.doc.from_pr_date, self.doc.to_pr_date, self.doc.currency), as_dict = 1)
- if len(pr)>200:
- msgprint("Please enter date of shorter duration as there are too many purchase receipt, hence it cannot be loaded.", raise_exception=1)
- for i in pr:
- ch = addchild(self.doc, 'lc_pr_details', 'Landed Cost Purchase Receipt',
- self.doclist)
- ch.purchase_receipt = i and i['name'] or ''
- ch.save()
-
- def get_selected_pr(self):
- """ Get selected purchase receipt no """
- self.selected_pr = [d.purchase_receipt for d in getlist(self.doclist, 'lc_pr_details') if d.select_pr]
- if not self.selected_pr:
- msgprint("Please select atleast one PR to proceed.", raise_exception=1)
-
- def validate_selected_pr(self):
- """Validate selected PR as submitted"""
- invalid_pr = sql("SELECT name FROM `tabPurchase Receipt` WHERE docstatus != 1 and name in (%s)" % ("'" + "', '".join(self.selected_pr) + "'"))
- if invalid_pr:
- msgprint("Selected purchase receipts must be submitted. Following PR are not submitted: %s" % invalid_pr, raise_exception=1)
+ def update_landed_cost(self):
+ """
+ Add extra cost and recalculate all values in pr,
+ Recalculate valuation rate in all sle after pr posting date
+ """
+ purchase_receipts = [row.purchase_receipt for row in
+ self.doclist.get({"parentfield": "lc_pr_details"})]
+ self.validate_purchase_receipts(purchase_receipts)
+ self.cancel_pr(purchase_receipts)
+ self.add_charges_in_pr(purchase_receipts)
+ self.submit_pr(purchase_receipts)
+ msgprint("Landed Cost updated successfully")
- def get_total_amt(self):
- """ Get sum of net total of all selected PR"""
- return sql("SELECT SUM(net_total) FROM `tabPurchase Receipt` WHERE name in (%s)" % ("'" + "', '".join(self.selected_pr) + "'"))[0][0]
-
+ def validate_purchase_receipts(self, purchase_receipts):
+ for pr in purchase_receipts:
+ if webnotes.conn.get_value("Purchase Receipt", pr, "docstatus") != 1:
+ webnotes.throw(_("Purchase Receipt") + ": " + pr + _(" is not submitted document"))
- def add_charges_in_pr(self):
+ def add_charges_in_pr(self, purchase_receipts):
""" Add additional charges in selected pr proportionately"""
- total_amt = self.get_total_amt()
+ total_amt = self.get_total_pr_amt(purchase_receipts)
- for pr in self.selected_pr:
- pr_obj = get_obj('Purchase Receipt', pr, with_children = 1)
- cumulative_grand_total = flt(pr_obj.doc.grand_total)
+ for pr in purchase_receipts:
+ pr_bean = webnotes.bean('Purchase Receipt', pr)
+ idx = max([d.idx for d in pr_bean.doclist.get({"parentfield": "purchase_tax_details"})])
- for lc in getlist(self.doclist, 'landed_cost_details'):
- amt = flt(lc.amount) * flt(pr_obj.doc.net_total)/ flt(total_amt)
- self.prwise_cost[pr] = self.prwise_cost.get(pr, 0) + amt
- cumulative_grand_total += amt
+ for lc in self.doclist.get({"parentfield": "landed_cost_details"}):
+ amt = flt(lc.amount) * flt(pr_bean.doc.net_total)/ flt(total_amt)
- pr_oc_row = sql("select name from `tabPurchase Taxes and Charges` where parent = %s and category = 'Valuation' and add_deduct_tax = 'Add' and charge_type = 'Actual' and account_head = %s",(pr, lc.account_head))
- if not pr_oc_row: # add if not exists
- ch = addchild(pr_obj.doc, 'purchase_tax_details', 'Purchase Taxes and Charges')
+ matched_row = pr_bean.doclist.get({
+ "parentfield": "purchase_tax_details",
+ "category": "Valuation",
+ "add_deduct_tax": "Add",
+ "charge_type": "Actual",
+ "account_head": lc.account_head
+ })
+
+ if not matched_row: # add if not exists
+ ch = addchild(pr_bean.doc, 'purchase_tax_details', 'Purchase Taxes and Charges')
ch.category = 'Valuation'
ch.add_deduct_tax = 'Add'
ch.charge_type = 'Actual'
ch.description = lc.description
ch.account_head = lc.account_head
+ ch.cost_center = lc.cost_center
ch.rate = amt
ch.tax_amount = amt
- ch.total = cumulative_grand_total
ch.docstatus = 1
- ch.idx = 500 # add at the end
+ ch.idx = idx
ch.save(1)
+ idx += 1
else: # overwrite if exists
- sql("update `tabPurchase Taxes and Charges` set rate = %s, tax_amount = %s where name = %s and parent = %s ", (amt, amt, pr_oc_row[0][0], pr))
-
-
- def reset_other_charges(self, pr_obj):
- """ Reset all calculated values to zero"""
- for t in getlist(pr_obj.doclist, 'purchase_tax_details'):
- t.total_tax_amount = 0;
- t.total_amount = 0;
- t.tax_amount = 0;
- t.total = 0;
- t.save()
-
-
- def cal_charges_and_item_tax_amt(self):
- """ Re-calculates other charges values and itemwise tax amount for getting valuation rate"""
- import json
- for pr in self.selected_pr:
- obj = get_obj('Purchase Receipt', pr, with_children = 1)
- total = 0
- self.reset_other_charges(obj)
-
- for prd in getlist(obj.doclist, 'purchase_receipt_details'):
- prev_total, item_tax = flt(prd.amount), 0
- total += flt(prd.qty) * flt(prd.purchase_rate)
-
- try:
- item_tax_rate = prd.item_tax_rate and json.loads(prd.item_tax_rate) or {}
- except ValueError:
- item_tax_rate = prd.item_tax_rate and eval(prd.item_tax_rate) or {}
-
-
- ocd = getlist(obj.doclist, 'purchase_tax_details')
- # calculate tax for other charges
- for oc in range(len(ocd)):
- # Get rate : consider if diff for this item
- if item_tax_rate.get(ocd[oc].account_head) and ocd[oc].charge_type != 'Actual':
- rate = item_tax_rate[ocd[oc].account_head]
- else:
- rate = flt(ocd[oc].rate)
-
- tax_amount = self.cal_tax(ocd, prd, rate, obj.doc.net_total, oc)
- total, prev_total, item_tax = self.add_deduct_taxes(ocd, oc, tax_amount, total, prev_total, item_tax)
-
- prd.item_tax_amount = flt(item_tax)
- prd.save()
- obj.doc.save()
+ matched_row[0].rate = amt
+ matched_row[0].tax_amount = amt
+ matched_row[0].cost_center = lc.cost_center
+
+ pr_bean.run_method("validate")
+ for d in pr_bean.doclist:
+ d.save()
-
- def cal_tax(self, ocd, prd, rate, net_total, oc):
- """ Calculates tax amount for one item"""
- tax_amount = 0
- if ocd[oc].charge_type == 'Actual':
- tax_amount = flt(rate) * flt(prd.amount) / flt(net_total)
- elif ocd[oc].charge_type == 'On Net Total':
- tax_amount = flt(rate) * flt(prd.amount) / 100
- elif ocd[oc].charge_type == 'On Previous Row Amount':
- row_no = cstr(ocd[oc].row_id)
- row = row_no.split("+")
- for r in range(0, len(row)):
- id = cint(row[r])
- tax_amount += flt((flt(rate) * flt(ocd[id-1].total_amount) / 100))
- row_id = row_no.find("/")
- if row_id != -1:
- rate = ''
- row = (row_no).split("/")
- id1 = cint(row[0])
- id2 = cint(row[1])
- tax_amount = flt(flt(ocd[id1-1].total_amount) / flt(ocd[id2-1].total_amount))
- elif ocd[oc].charge_type == 'On Previous Row Total':
- row = cint(ocd[oc].row_id)
- if ocd[row-1].add_deduct_tax == 'Add':
- tax_amount = flt(rate) * (flt(ocd[row-1].total_tax_amount)+flt(ocd[row-1].total_amount)) / 100
- elif ocd[row-1].add_deduct_tax == 'Deduct':
- tax_amount = flt(rate) * (flt(ocd[row-1].total_tax_amount)-flt(ocd[row-1].total_amount)) / 100
-
- return tax_amount
-
- def add_deduct_taxes(self, ocd, oc, tax_amount, total, prev_total, item_tax):
- """Calculates other charges values"""
- add_ded = ocd[oc].add_deduct_tax == 'Add' and 1 or ocd[oc].add_or_deduct == 'Deduct' and -1
- ocd[oc].total_amount = flt(tax_amount)
- ocd[oc].total_tax_amount = flt(prev_total)
- ocd[oc].tax_amount += flt(tax_amount)
-
- if ocd[oc].category != "Valuation":
- prev_total += add_ded * flt(ocd[oc].total_amount)
- total += add_ded * flt(ocd[oc].tax_amount)
- ocd[oc].total = total
- else:
- prev_total = prev_total
- ocd[oc].total = flt(total)
- ocd[oc].save()
-
- if ocd[oc].category != "Total":
- item_tax += add_ded * ocd[oc].total_amount
-
- return total, prev_total, item_tax
-
-
- def update_sle(self):
- """ Recalculate valuation rate in all sle after pr posting date"""
- from stock.stock_ledger import update_entries_after
-
- for pr in self.selected_pr:
- pr_obj = get_obj('Purchase Receipt', pr, with_children = 1)
+ def get_total_pr_amt(self, purchase_receipts):
+ return webnotes.conn.sql("""SELECT SUM(net_total) FROM `tabPurchase Receipt`
+ WHERE name in (%s)""" % ', '.join(['%s']*len(purchase_receipts)),
+ tuple(purchase_receipts))[0][0]
- for d in getlist(pr_obj.doclist, 'purchase_receipt_details'):
- if flt(d.qty):
- d.valuation_rate = (flt(d.purchase_rate) + (flt(d.rm_supp_cost)/flt(d.qty)) + (flt(d.item_tax_amount)/flt(d.qty))) / flt(d.conversion_factor)
- d.save()
- if d.serial_no:
- self.update_serial_no(d.serial_no, d.valuation_rate)
- sql("update `tabStock Ledger Entry` set incoming_rate = '%s' where voucher_detail_no = '%s'"%(flt(d.valuation_rate), d.name))
-
- res = sql("""select item_code, warehouse, posting_date, posting_time
- from `tabStock Ledger Entry` where voucher_detail_no = %s LIMIT 1""",
- d.name, as_dict=1)
-
- # update valuation rate after pr posting date
- if res:
- update_entries_after(res[0])
-
-
- def update_serial_no(self, sr_no, rate):
- """ update valuation rate in serial no"""
- sr_no = map(lambda x: x.strip(), cstr(sr_no).split('\n'))
-
- webnotes.conn.sql("""update `tabSerial No` set purchase_rate = %s where name in (%s)""" %
- ('%s', ', '.join(['%s']*len(sr_no))), tuple([rate] + sr_no))
-
- def update_landed_cost(self):
- """
- Add extra cost and recalculate all values in pr,
- Recalculate valuation rate in all sle after pr posting date
- """
- self.get_selected_pr()
- self.validate_selected_pr()
- self.add_charges_in_pr()
- self.cal_charges_and_item_tax_amt()
- self.update_sle()
- msgprint("Landed Cost updated successfully")
+ def cancel_pr(self, purchase_receipts):
+ for pr in purchase_receipts:
+ pr_bean = webnotes.bean("Purchase Receipt", pr)
+
+ pr_bean.run_method("update_ordered_qty", is_cancelled="Yes")
+ pr_bean.run_method("update_serial_nos", cancel=True)
+
+ webnotes.conn.sql("""delete from `tabStock Ledger Entry`
+ where voucher_type='Purchase Receipt' and voucher_no=%s""", pr)
+ webnotes.conn.sql("""delete from `tabGL Entry` where voucher_type='Purchase Receipt'
+ and voucher_no=%s""", pr)
+
+ def submit_pr(self, purchase_receipts):
+ for pr in purchase_receipts:
+ pr_bean = webnotes.bean("Purchase Receipt", pr)
+ pr_bean.run_method("update_ordered_qty")
+ pr_bean.run_method("update_stock")
+ pr_bean.run_method("update_serial_nos")
+ pr_bean.run_method("make_gl_entries")
\ No newline at end of file
diff --git a/stock/doctype/landed_cost_wizard/landed_cost_wizard.txt b/stock/doctype/landed_cost_wizard/landed_cost_wizard.txt
index 53f2407..40f2e23 100644
--- a/stock/doctype/landed_cost_wizard/landed_cost_wizard.txt
+++ b/stock/doctype/landed_cost_wizard/landed_cost_wizard.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-01-22 16:50:39",
"docstatus": 0,
- "modified": "2013-07-22 15:31:20",
+ "modified": "2013-09-02 19:13:09",
"modified_by": "Administrator",
"owner": "wasim@webnotestech.com"
},
@@ -40,48 +40,21 @@
},
{
"doctype": "DocField",
- "fieldname": "process",
- "fieldtype": "HTML",
- "label": "Process",
- "options": "<div class=\"field_description\"><b>Process:</b><br>1. Fetch and select Purchase Receipt<br>2. Enter extra costs<br>3. Click on Update Landed Cost button<br> 4. Cost will be added into other charges table of selected PR proportionately based on net total<br>5. Item Valuation Rate will be recalculated</div>"
+ "fieldname": "company",
+ "fieldtype": "Link",
+ "label": "Company",
+ "options": "Company",
+ "reqd": 1
},
{
"doctype": "DocField",
"fieldname": "section_break0",
"fieldtype": "Section Break",
+ "label": "Select Purchase Receipts",
"options": "Simple"
},
{
"doctype": "DocField",
- "fieldname": "from_pr_date",
- "fieldtype": "Date",
- "label": "From PR Date",
- "reqd": 1
- },
- {
- "doctype": "DocField",
- "fieldname": "to_pr_date",
- "fieldtype": "Date",
- "label": "To PR Date",
- "reqd": 1
- },
- {
- "doctype": "DocField",
- "fieldname": "currency",
- "fieldtype": "Link",
- "label": "Currency",
- "options": "Currency",
- "reqd": 1
- },
- {
- "doctype": "DocField",
- "fieldname": "get_purchase_receipt",
- "fieldtype": "Button",
- "label": "Get Purchase Receipt",
- "options": "get_purchase_receipts"
- },
- {
- "doctype": "DocField",
"fieldname": "lc_pr_details",
"fieldtype": "Table",
"label": "Landed Cost Purchase Receipts",
@@ -91,7 +64,7 @@
"doctype": "DocField",
"fieldname": "section_break1",
"fieldtype": "Section Break",
- "options": "Simple"
+ "label": "Add Taxes and Charges"
},
{
"doctype": "DocField",
@@ -102,9 +75,9 @@
},
{
"doctype": "DocField",
- "fieldname": "update_pr",
+ "fieldname": "update_landed_cost",
"fieldtype": "Button",
- "label": "Update PR",
+ "label": "Update Landed Cost",
"options": "update_landed_cost"
},
{
diff --git a/stock/doctype/material_request/material_request.py b/stock/doctype/material_request/material_request.py
index 9cb0bc5..249062f 100644
--- a/stock/doctype/material_request/material_request.py
+++ b/stock/doctype/material_request/material_request.py
@@ -87,6 +87,8 @@
def update_bin(self, is_submit, is_stopped):
""" Update Quantity Requested for Purchase in Bin for Material Request of type 'Purchase'"""
+
+ from stock.utils import update_bin
for d in getlist(self.doclist, 'indent_details'):
if webnotes.conn.get_value("Item", d.item_code, "is_stock_item") == "Yes":
if not d.warehouse:
@@ -99,10 +101,11 @@
args = {
"item_code": d.item_code,
+ "warehouse": d.warehouse,
"indented_qty": (is_submit and 1 or -1) * flt(qty),
"posting_date": self.doc.transaction_date
}
- get_obj('Warehouse', d.warehouse).update_bin(args)
+ update_bin(args)
def on_submit(self):
purchase_controller = webnotes.get_obj("Purchase Common")
@@ -200,6 +203,7 @@
def _update_requested_qty(controller, mr_obj, mr_items):
"""update requested qty (before ordered_qty is updated)"""
+ from stock.utils import update_bin
for mr_item_name in mr_items:
mr_item = mr_obj.doclist.getone({"parentfield": "indent_details", "name": mr_item_name})
se_detail = controller.doclist.getone({"parentfield": "mtn_details",
@@ -218,8 +222,9 @@
else:
add_indented_qty = se_detail.transfer_qty
- webnotes.get_obj("Warehouse", se_detail.t_warehouse).update_bin({
+ update_bin({
"item_code": se_detail.item_code,
+ "warehouse": se_detail.t_warehouse,
"indented_qty": (se_detail.docstatus==2 and 1 or -1) * add_indented_qty,
"posting_date": controller.doc.posting_date,
})
@@ -342,9 +347,16 @@
@webnotes.whitelist()
def make_stock_entry(source_name, target_doclist=None):
from webnotes.model.mapper import get_mapped_doclist
-
- def set_purpose(source, target):
+
+ def update_item(obj, target, source_parent):
+ target.conversion_factor = 1
+ target.qty = flt(obj.qty) - flt(obj.ordered_qty)
+ target.transfer_qty = flt(obj.qty) - flt(obj.ordered_qty)
+
+ def set_missing_values(source, target):
target[0].purpose = "Material Transfer"
+ se = webnotes.bean(target)
+ se.run_method("get_stock_and_rate")
doclist = get_mapped_doclist("Material Request", source_name, {
"Material Request": {
@@ -364,6 +376,6 @@
},
"postprocess": update_item
}
- }, target_doclist, set_purpose)
+ }, target_doclist, set_missing_values)
return [d.fields for d in doclist]
\ No newline at end of file
diff --git a/stock/doctype/material_request/test_material_request.py b/stock/doctype/material_request/test_material_request.py
index 80233d7..8ebad15 100644
--- a/stock/doctype/material_request/test_material_request.py
+++ b/stock/doctype/material_request/test_material_request.py
@@ -10,7 +10,7 @@
class TestMaterialRequest(unittest.TestCase):
def setUp(self):
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
+ webnotes.defaults.set_global_default("auto_accounting_for_stock", 0)
def test_make_purchase_order(self):
from stock.doctype.material_request.material_request import make_purchase_order
diff --git a/stock/doctype/purchase_receipt/purchase_receipt.py b/stock/doctype/purchase_receipt/purchase_receipt.py
index f7cfcff..7d663b8 100644
--- a/stock/doctype/purchase_receipt/purchase_receipt.py
+++ b/stock/doctype/purchase_receipt/purchase_receipt.py
@@ -9,8 +9,7 @@
from webnotes.model.code import get_obj
from webnotes import msgprint
import webnotes.defaults
-
-sql = webnotes.conn.sql
+from stock.utils import update_bin
from controllers.buying_controller import BuyingController
class DocType(BuyingController):
@@ -43,16 +42,46 @@
def get_bin_details(self, arg = ''):
return get_obj(dt='Purchase Common').get_bin_details(arg)
+ def validate(self):
+ super(DocType, self).validate()
+
+ self.po_required()
+
+ if not self.doc.status:
+ self.doc.status = "Draft"
+
+ import utilities
+ utilities.validate_status(self.doc.status, ["Draft", "Submitted", "Cancelled"])
+
+ self.validate_with_previous_doc()
+ self.validate_rejected_warehouse()
+ self.validate_accepted_rejected_qty()
+ self.validate_inspection()
+ self.validate_uom_is_integer("uom", ["qty", "received_qty"])
+ self.validate_uom_is_integer("stock_uom", "stock_qty")
+ self.validate_challan_no()
+
+ pc_obj = get_obj(dt='Purchase Common')
+ pc_obj.validate_for_items(self)
+ pc_obj.get_prevdoc_date(self)
+ self.check_for_stopped_status(pc_obj)
+
+ # sub-contracting
+ self.validate_for_subcontracting()
+ self.update_raw_materials_supplied("pr_raw_material_details")
+
+ self.update_valuation_rate("purchase_receipt_details")
+
+ def validate_rejected_warehouse(self):
+ for d in self.doclist.get({"parentfield": "purchase_receipt_details"}):
+ if flt(d.rejected_qty) and not d.rejected_warehouse:
+ d.rejected_warehouse = self.doc.rejected_warehouse
+ if not d.rejected_warehouse:
+ webnotes.throw(_("Rejected Warehouse is mandatory against regected item"))
# validate accepted and rejected qty
def validate_accepted_rejected_qty(self):
for d in getlist(self.doclist, "purchase_receipt_details"):
-
- # If Reject Qty than Rejected warehouse is mandatory
- if flt(d.rejected_qty) and (not self.doc.rejected_warehouse):
- msgprint("Rejected Warehouse is necessary if there are rejections.")
- raise Exception
-
if not flt(d.received_qty) and flt(d.qty):
d.received_qty = flt(d.qty) - flt(d.rejected_qty)
@@ -88,8 +117,7 @@
},
"Purchase Order Item": {
"ref_dn_field": "prevdoc_detail_docname",
- "compare_fields": [["project_name", "="], ["warehouse", "="],
- ["uom", "="], ["item_code", "="]],
+ "compare_fields": [["project_name", "="], ["uom", "="], ["item_code", "="]],
"is_child_table": True
}
})
@@ -111,113 +139,83 @@
msgprint("Purchse Order No. required against item %s"%d.item_code)
raise Exception
- def validate(self):
- super(DocType, self).validate()
+ def update_stock(self):
+ sl_entries = []
+ stock_items = self.get_stock_items()
- self.po_required()
-
- if not self.doc.status:
- self.doc.status = "Draft"
-
- import utilities
- utilities.validate_status(self.doc.status, ["Draft", "Submitted", "Cancelled"])
-
- self.validate_with_previous_doc()
- self.validate_accepted_rejected_qty()
- self.validate_inspection()
- self.validate_uom_is_integer("uom", ["qty", "received_qty"])
- self.validate_uom_is_integer("stock_uom", "stock_qty")
- self.validate_challan_no()
-
- pc_obj = get_obj(dt='Purchase Common')
- pc_obj.validate_for_items(self)
- pc_obj.get_prevdoc_date(self)
- self.check_for_stopped_status(pc_obj)
-
- # sub-contracting
- self.validate_for_subcontracting()
- self.update_raw_materials_supplied("pr_raw_material_details")
-
- self.update_valuation_rate("purchase_receipt_details")
-
- def on_update(self):
- if self.doc.rejected_warehouse:
- for d in getlist(self.doclist,'purchase_receipt_details'):
- d.rejected_warehouse = self.doc.rejected_warehouse
-
- def update_stock(self, is_submit):
- pc_obj = get_obj('Purchase Common')
- self.values = []
for d in getlist(self.doclist, 'purchase_receipt_details'):
- if webnotes.conn.get_value("Item", d.item_code, "is_stock_item") == "Yes":
- if not d.warehouse:
- continue
-
- ord_qty = 0
+ if d.item_code in stock_items and d.warehouse:
pr_qty = flt(d.qty) * flt(d.conversion_factor)
-
- if cstr(d.prevdoc_doctype) == 'Purchase Order':
- # get qty and pending_qty of prevdoc
- curr_ref_qty = pc_obj.get_qty( d.doctype, 'prevdoc_detail_docname',
- d.prevdoc_detail_docname, 'Purchase Order Item',
- 'Purchase Order - Purchase Receipt', self.doc.name)
- max_qty, qty, curr_qty = flt(curr_ref_qty.split('~~~')[1]), \
- flt(curr_ref_qty.split('~~~')[0]), 0
-
- if flt(qty) + flt(pr_qty) > flt(max_qty):
- curr_qty = (flt(max_qty) - flt(qty)) * flt(d.conversion_factor)
- else:
- curr_qty = flt(pr_qty)
-
- ord_qty = -flt(curr_qty)
-
- # update ordered qty in bin
- args = {
- "item_code": d.item_code,
- "posting_date": self.doc.posting_date,
- "ordered_qty": (is_submit and 1 or -1) * flt(ord_qty)
- }
- get_obj("Warehouse", d.warehouse).update_bin(args)
-
- # UPDATE actual qty to warehouse by pr_qty
- if pr_qty:
- self.make_sl_entry(d, d.warehouse, flt(pr_qty), d.valuation_rate, is_submit)
- # UPDATE actual to rejected warehouse by rejected qty
+ if pr_qty:
+ sl_entries.append(self.get_sl_entries(d, {
+ "actual_qty": flt(pr_qty),
+ "serial_no": cstr(d.serial_no).strip(),
+ "incoming_rate": d.valuation_rate
+ }))
+
if flt(d.rejected_qty) > 0:
- self.make_sl_entry(d, self.doc.rejected_warehouse, flt(d.rejected_qty) * flt(d.conversion_factor), d.valuation_rate, is_submit, rejected = 1)
+ sl_entries.append(self.get_sl_entries(d, {
+ "warehouse": d.rejected_warehouse,
+ "actual_qty": flt(d.rejected_qty) * flt(d.conversion_factor),
+ "serial_no": cstr(d.rejected_serial_no).strip(),
+ "incoming_rate": d.valuation_rate
+ }))
+
+ self.bk_flush_supp_wh(sl_entries)
+ self.make_sl_entries(sl_entries)
+
+ def update_ordered_qty(self):
+ stock_items = self.get_stock_items()
+ for d in self.doclist.get({"parentfield": "purchase_receipt_details"}):
+ if d.item_code in stock_items and d.warehouse \
+ and cstr(d.prevdoc_doctype) == 'Purchase Order':
+
+ already_received_qty = self.get_already_received_qty(d.prevdoc_docname,
+ d.prevdoc_detail_docname)
+ po_qty, ordered_warehouse = self.get_po_qty_and_warehouse(d.prevdoc_detail_docname)
+
+ if not ordered_warehouse:
+ webnotes.throw(_("Warehouse is missing in Purchase Order"))
+
+ if already_received_qty + d.qty > po_qty:
+ ordered_qty = - (po_qty - already_received_qty) * flt(d.conversion_factor)
+ else:
+ ordered_qty = - flt(d.qty) * flt(d.conversion_factor)
+
+ update_bin({
+ "item_code": d.item_code,
+ "warehouse": ordered_warehouse,
+ "posting_date": self.doc.posting_date,
+ "ordered_qty": flt(ordered_qty) if self.doc.docstatus==1 else -flt(ordered_qty)
+ })
- self.bk_flush_supp_wh(is_submit)
-
- if self.values:
- get_obj('Stock Ledger', 'Stock Ledger').update_stock(self.values)
-
-
- # make Stock Entry
- def make_sl_entry(self, d, wh, qty, in_value, is_submit, rejected = 0):
- self.values.append({
- 'item_code' : d.fields.has_key('item_code') and d.item_code or d.rm_item_code,
- 'warehouse' : wh,
- 'posting_date' : self.doc.posting_date,
- 'posting_time' : self.doc.posting_time,
- 'voucher_type' : 'Purchase Receipt',
- 'voucher_no' : self.doc.name,
- 'voucher_detail_no' : d.name,
- 'actual_qty' : qty,
- 'stock_uom' : d.stock_uom,
- 'incoming_rate' : in_value,
- 'company' : self.doc.company,
- 'fiscal_year' : self.doc.fiscal_year,
- 'is_cancelled' : (is_submit==1) and 'No' or 'Yes',
- 'batch_no' : cstr(d.batch_no).strip(),
- 'serial_no' : d.serial_no,
- "project" : d.project_name
- })
-
+ def get_already_received_qty(self, po, po_detail):
+ qty = webnotes.conn.sql("""select sum(qty) from `tabPurchase Receipt Item`
+ where prevdoc_detail_docname = %s and docstatus = 1
+ and prevdoc_doctype='Purchase Order' and prevdoc_docname=%s
+ and parent != %s""", (po_detail, po, self.doc.name))
+ return qty and flt(qty[0][0]) or 0.0
+
+ def get_po_qty_and_warehouse(self, po_detail):
+ po_qty, po_warehouse = webnotes.conn.get_value("Purchase Order Item", po_detail,
+ ["qty", "warehouse"])
+ return po_qty, po_warehouse
+
+ def bk_flush_supp_wh(self, sl_entries):
+ for d in getlist(self.doclist, 'pr_raw_material_details'):
+ # negative quantity is passed as raw material qty has to be decreased
+ # when PR is submitted and it has to be increased when PR is cancelled
+ sl_entries.append(self.get_sl_entries(d, {
+ "item_code": d.rm_item_code,
+ "warehouse": self.doc.supplier_warehouse,
+ "actual_qty": -1*flt(d.consumed_qty),
+ "incoming_rate": 0
+ }))
def validate_inspection(self):
for d in getlist(self.doclist, 'purchase_receipt_details'): #Enter inspection date for all items that require inspection
- ins_reqd = sql("select inspection_required from `tabItem` where name = %s",
+ ins_reqd = webnotes.conn.sql("select inspection_required from `tabItem` where name = %s",
(d.item_code,), as_dict = 1)
ins_reqd = ins_reqd and ins_reqd[0]['inspection_required'] or 'No'
if ins_reqd == 'Yes' and not d.qa_no:
@@ -244,12 +242,12 @@
self.update_prevdoc_status()
- # Update Stock
- self.update_stock(is_submit = 1)
+ self.update_ordered_qty()
+
+ self.update_stock()
self.update_serial_nos()
- # Update last purchase rate
purchase_controller.update_last_purchase_rate(self, 1)
self.make_gl_entries()
@@ -270,7 +268,7 @@
sr.save()
def check_next_docstatus(self):
- submit_rv = sql("select t1.name from `tabPurchase Invoice` t1,`tabPurchase Invoice Item` t2 where t1.name = t2.parent and t2.purchase_receipt = '%s' and t1.docstatus = 1" % (self.doc.name))
+ submit_rv = webnotes.conn.sql("select t1.name from `tabPurchase Invoice` t1,`tabPurchase Invoice Item` t2 where t1.name = t2.parent and t2.purchase_receipt = '%s' and t1.docstatus = 1" % (self.doc.name))
if submit_rv:
msgprint("Purchase Invoice : " + cstr(self.submit_rv[0][0]) + " has already been submitted !")
raise Exception , "Validation Error."
@@ -280,69 +278,43 @@
pc_obj = get_obj('Purchase Common')
self.check_for_stopped_status(pc_obj)
- # 1.Check if Purchase Invoice has been submitted against current Purchase Order
+ # Check if Purchase Invoice has been submitted against current Purchase Order
# pc_obj.check_docstatus(check = 'Next', doctype = 'Purchase Invoice', docname = self.doc.name, detail_doctype = 'Purchase Invoice Item')
- submitted = sql("select t1.name from `tabPurchase Invoice` t1,`tabPurchase Invoice Item` t2 where t1.name = t2.parent and t2.purchase_receipt = '%s' and t1.docstatus = 1" % self.doc.name)
+ submitted = webnotes.conn.sql("select t1.name from `tabPurchase Invoice` t1,`tabPurchase Invoice Item` t2 where t1.name = t2.parent and t2.purchase_receipt = '%s' and t1.docstatus = 1" % self.doc.name)
if submitted:
msgprint("Purchase Invoice : " + cstr(submitted[0][0]) + " has already been submitted !")
raise Exception
- # 2.Set Status as Cancelled
+
webnotes.conn.set(self.doc,'status','Cancelled')
- # 3. Cancel Serial No
-
- # 4.Update Bin
- self.update_stock(is_submit = 0)
+ self.update_ordered_qty()
+
+ self.update_stock()
self.update_serial_nos(cancel=True)
self.update_prevdoc_status()
-
- # 6. Update last purchase rate
pc_obj.update_last_purchase_rate(self, 0)
self.make_cancel_gl_entries()
-
- def bk_flush_supp_wh(self, is_submit):
- for d in getlist(self.doclist, 'pr_raw_material_details'):
- # negative quantity is passed as raw material qty has to be decreased
- # when PR is submitted and it has to be increased when PR is cancelled
- consumed_qty = - flt(d.consumed_qty)
- self.make_sl_entry(d, self.doc.supplier_warehouse, flt(consumed_qty), 0, is_submit)
-
+
def get_current_stock(self):
for d in getlist(self.doclist, 'pr_raw_material_details'):
if self.doc.supplier_warehouse:
- bin = sql("select actual_qty from `tabBin` where item_code = %s and warehouse = %s", (d.rm_item_code, self.doc.supplier_warehouse), as_dict = 1)
+ bin = webnotes.conn.sql("select actual_qty from `tabBin` where item_code = %s and warehouse = %s", (d.rm_item_code, self.doc.supplier_warehouse), as_dict = 1)
d.current_stock = bin and flt(bin[0]['actual_qty']) or 0
def get_rate(self,arg):
return get_obj('Purchase Common').get_rate(arg,self)
-
- def make_gl_entries(self):
- if not cint(webnotes.defaults.get_global_default("auto_inventory_accounting")):
- return
-
- from accounts.general_ledger import make_gl_entries
-
+
+ def get_gl_entries_for_stock(self, warehouse_account=None):
against_stock_account = self.get_company_default("stock_received_but_not_billed")
- total_valuation_amount = self.get_total_valuation_amount()
- gl_entries = self.get_gl_entries_for_stock(against_stock_account, total_valuation_amount)
- if gl_entries:
- make_gl_entries(gl_entries, cancel=(self.doc.docstatus == 2))
-
- def get_total_valuation_amount(self):
- total_valuation_amount = 0.0
-
- for item in self.doclist.get({"parentfield": "purchase_receipt_details"}):
- if item.item_code in self.stock_items:
- total_valuation_amount += flt(item.valuation_rate) * \
- flt(item.qty) * flt(item.conversion_factor)
-
- return total_valuation_amount
+ gl_entries = super(DocType, self).get_gl_entries_for_stock(warehouse_account,
+ against_stock_account)
+ return gl_entries
@webnotes.whitelist()
diff --git a/stock/doctype/purchase_receipt/test_purchase_receipt.py b/stock/doctype/purchase_receipt/test_purchase_receipt.py
index af04023..010c29b 100644
--- a/stock/doctype/purchase_receipt/test_purchase_receipt.py
+++ b/stock/doctype/purchase_receipt/test_purchase_receipt.py
@@ -10,6 +10,8 @@
class TestPurchaseReceipt(unittest.TestCase):
def test_make_purchase_invoice(self):
+ self._clear_stock_account_balance()
+ set_perpetual_inventory(0)
from stock.doctype.purchase_receipt.purchase_receipt import make_purchase_invoice
pr = webnotes.bean(copy=test_records[0]).insert()
@@ -29,45 +31,63 @@
self.assertRaises(webnotes.ValidationError, webnotes.bean(pi).submit)
def test_purchase_receipt_no_gl_entry(self):
+ self._clear_stock_account_balance()
+ set_perpetual_inventory(0)
pr = webnotes.bean(copy=test_records[0])
- pr.run_method("calculate_taxes_and_totals")
pr.insert()
pr.submit()
- gl_entries = webnotes.conn.sql("""select account, debit, credit
- from `tabGL Entry` where voucher_type='Purchase Receipt' and voucher_no=%s
- order by account desc""", pr.doc.name, as_dict=1)
-
- self.assertTrue(not gl_entries)
+ stock_value, stock_value_difference = webnotes.conn.get_value("Stock Ledger Entry",
+ {"voucher_type": "Purchase Receipt", "voucher_no": pr.doc.name,
+ "item_code": "_Test Item", "warehouse": "_Test Warehouse - _TC"},
+ ["stock_value", "stock_value_difference"])
+ self.assertEqual(stock_value, 375)
+ self.assertEqual(stock_value_difference, 375)
+
+ bin_stock_value = webnotes.conn.get_value("Bin", {"item_code": "_Test Item",
+ "warehouse": "_Test Warehouse - _TC"}, "stock_value")
+ self.assertEqual(bin_stock_value, 375)
+
+ self.assertFalse(get_gl_entries("Purchase Receipt", pr.doc.name))
def test_purchase_receipt_gl_entry(self):
- webnotes.defaults.set_global_default("auto_inventory_accounting", 1)
- self.assertEqual(cint(webnotes.defaults.get_global_default("auto_inventory_accounting")), 1)
+ self._clear_stock_account_balance()
+
+ set_perpetual_inventory()
+ self.assertEqual(cint(webnotes.defaults.get_global_default("auto_accounting_for_stock")), 1)
pr = webnotes.bean(copy=test_records[0])
- pr.run_method("calculate_taxes_and_totals")
pr.insert()
pr.submit()
- gl_entries = webnotes.conn.sql("""select account, debit, credit
- from `tabGL Entry` where voucher_type='Purchase Receipt' and voucher_no=%s
- order by account desc""", pr.doc.name, as_dict=1)
+ gl_entries = get_gl_entries("Purchase Receipt", pr.doc.name)
+
self.assertTrue(gl_entries)
- stock_in_hand_account = webnotes.conn.get_value("Company", pr.doc.company,
- "stock_in_hand_account")
+ stock_in_hand_account = webnotes.conn.get_value("Account",
+ {"master_name": pr.doclist[1].warehouse})
+ fixed_asset_account = webnotes.conn.get_value("Account",
+ {"master_name": pr.doclist[2].warehouse})
- expected_values = [
- [stock_in_hand_account, 750.0, 0.0],
- ["Stock Received But Not Billed - _TC", 0.0, 750.0]
- ]
+ expected_values = {
+ stock_in_hand_account: [375.0, 0.0],
+ fixed_asset_account: [375.0, 0.0],
+ "Stock Received But Not Billed - _TC": [0.0, 750.0]
+ }
- for i, gle in enumerate(gl_entries):
- self.assertEquals(expected_values[i][0], gle.account)
- self.assertEquals(expected_values[i][1], gle.debit)
- self.assertEquals(expected_values[i][2], gle.credit)
+ for gle in gl_entries:
+ self.assertEquals(expected_values[gle.account][0], gle.debit)
+ self.assertEquals(expected_values[gle.account][1], gle.credit)
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
+ pr.cancel()
+ self.assertFalse(get_gl_entries("Purchase Receipt", pr.doc.name))
+
+ set_perpetual_inventory(0)
+
+ def _clear_stock_account_balance(self):
+ webnotes.conn.sql("delete from `tabStock Ledger Entry`")
+ webnotes.conn.sql("""delete from `tabBin`""")
+ webnotes.conn.sql("""delete from `tabGL Entry`""")
def test_subcontracting(self):
pr = webnotes.bean(copy=test_records[1])
@@ -95,7 +115,16 @@
self.assertFalse(webnotes.conn.get_value("Serial No", pr.doclist[1].serial_no,
"warehouse"))
+
+def get_gl_entries(voucher_type, voucher_no):
+ return webnotes.conn.sql("""select account, debit, credit
+ from `tabGL Entry` where voucher_type=%s and voucher_no=%s
+ order by account desc""", (voucher_type, voucher_no), as_dict=1)
+def set_perpetual_inventory(enable=1):
+ accounts_settings = webnotes.bean("Accounts Settings")
+ accounts_settings.doc.auto_accounting_for_stock = enable
+ accounts_settings.save()
test_dependencies = ["BOM"]
@@ -122,16 +151,32 @@
"item_code": "_Test Item",
"item_name": "_Test Item",
"parentfield": "purchase_receipt_details",
- "received_qty": 10.0,
- "qty": 10.0,
+ "received_qty": 5.0,
+ "qty": 5.0,
"rejected_qty": 0.0,
"import_rate": 50.0,
- "amount": 500.0,
+ "amount": 250.0,
"warehouse": "_Test Warehouse - _TC",
"stock_uom": "Nos",
"uom": "_Test UOM",
},
{
+ "conversion_factor": 1.0,
+ "description": "_Test Item",
+ "doctype": "Purchase Receipt Item",
+ "item_code": "_Test Item",
+ "item_name": "_Test Item",
+ "parentfield": "purchase_receipt_details",
+ "received_qty": 5.0,
+ "qty": 5.0,
+ "rejected_qty": 0.0,
+ "import_rate": 50.0,
+ "amount": 250.0,
+ "warehouse": "_Test Warehouse 1 - _TC",
+ "stock_uom": "Nos",
+ "uom": "_Test UOM",
+ },
+ {
"account_head": "_Test Account Shipping Charges - _TC",
"add_deduct_tax": "Add",
"category": "Valuation and Total",
diff --git a/stock/doctype/purchase_receipt_item/purchase_receipt_item.txt b/stock/doctype/purchase_receipt_item/purchase_receipt_item.txt
index ec3c8e3..ce49168 100755
--- a/stock/doctype/purchase_receipt_item/purchase_receipt_item.txt
+++ b/stock/doctype/purchase_receipt_item/purchase_receipt_item.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-05-24 19:29:10",
"docstatus": 0,
- "modified": "2013-08-07 14:45:23",
+ "modified": "2013-09-20 11:36:55",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -310,7 +310,7 @@
"doctype": "DocField",
"fieldname": "rejected_warehouse",
"fieldtype": "Link",
- "hidden": 1,
+ "hidden": 0,
"label": "Rejected Warehouse",
"no_copy": 1,
"oldfieldname": "rejected_warehouse",
@@ -318,7 +318,7 @@
"options": "Warehouse",
"print_hide": 1,
"print_width": "100px",
- "read_only": 1,
+ "read_only": 0,
"width": "100px"
},
{
diff --git a/stock/doctype/serial_no/serial_no.txt b/stock/doctype/serial_no/serial_no.txt
index 2eba0f4..8500303 100644
--- a/stock/doctype/serial_no/serial_no.txt
+++ b/stock/doctype/serial_no/serial_no.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-05-16 10:59:15",
"docstatus": 0,
- "modified": "2013-08-21 13:37:01",
+ "modified": "2013-08-28 19:13:09",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -35,7 +35,8 @@
"parenttype": "DocType",
"permlevel": 0,
"read": 1,
- "write": 1
+ "report": 1,
+ "submit": 0
},
{
"doctype": "DocType",
@@ -449,22 +450,23 @@
"cancel": 1,
"create": 1,
"doctype": "DocPerm",
- "report": 1,
- "role": "Material Manager",
- "submit": 0
+ "role": "Material Master Manager",
+ "write": 1
},
{
"amend": 0,
"cancel": 0,
- "create": 1,
- "doctype": "DocPerm",
- "report": 1,
- "role": "Material User",
- "submit": 0
- },
- {
"create": 0,
"doctype": "DocPerm",
- "role": "Accounts User"
+ "role": "Material Manager",
+ "write": 0
+ },
+ {
+ "amend": 0,
+ "cancel": 0,
+ "create": 0,
+ "doctype": "DocPerm",
+ "role": "Material User",
+ "write": 0
}
]
\ No newline at end of file
diff --git a/stock/doctype/serial_no/test_serial_no.py b/stock/doctype/serial_no/test_serial_no.py
index 8e5f775..de82449 100644
--- a/stock/doctype/serial_no/test_serial_no.py
+++ b/stock/doctype/serial_no/test_serial_no.py
@@ -24,6 +24,6 @@
sr.doc.warehouse = None
sr.insert()
self.assertTrue(sr.doc.name)
-
+
sr.doc.warehouse = "_Test Warehouse - _TC"
self.assertTrue(SerialNoCannotCannotChangeError, sr.doc.save)
\ No newline at end of file
diff --git a/stock/doctype/stock_entry/stock_entry.js b/stock/doctype/stock_entry/stock_entry.js
index e369081..4695fdb 100644
--- a/stock/doctype/stock_entry/stock_entry.js
+++ b/stock/doctype/stock_entry/stock_entry.js
@@ -38,10 +38,10 @@
}
};
- if(cint(wn.defaults.get_default("auto_inventory_accounting"))) {
- this.frm.add_fetch("company", "stock_adjustment_account", "expense_adjustment_account");
-
- this.frm.fields_dict["expense_adjustment_account"].get_query = function() {
+ if(cint(wn.defaults.get_default("auto_accounting_for_stock"))) {
+ this.frm.add_fetch("company", "stock_adjustment_account", "expense_account");
+ this.frm.fields_dict.mtn_details.grid.get_field('expense_account').get_query =
+ function() {
return {
filters: {
"company": me.frm.doc.company,
@@ -88,7 +88,7 @@
set_default_account: function() {
var me = this;
- if (cint(wn.defaults.get_default("auto_inventory_accounting")) && !this.frm.doc.expense_adjustment_account) {
+ if(cint(wn.defaults.get_default("auto_accounting_for_stock"))) {
var account_for = "stock_adjustment_account";
if (this.frm.doc.purpose == "Sales Return")
account_for = "stock_in_hand_account";
@@ -102,12 +102,22 @@
"company": this.frm.doc.company
},
callback: function(r) {
- if (!r.exc) me.frm.set_value("expense_adjustment_account", r.message);
+ if (!r.exc) {
+ for(d in getchildren('Stock Entry Detail',doc.name,'mtn_details')) {
+ if(!d.expense_account) d.expense_account = r.message;
+ }
+ }
}
});
}
},
+ entries_add: function(doc, cdt, cdn) {
+ var row = wn.model.get_doc(cdt, cdn);
+ this.frm.script_manager.copy_from_first_row("mtn_details", row,
+ ["expense_account", "cost_center"]);
+ },
+
clean_up: function() {
// Clear Production Order record from locals, because it is updated via Stock Entry
if(this.frm.doc.production_order &&
diff --git a/stock/doctype/stock_entry/stock_entry.py b/stock/doctype/stock_entry/stock_entry.py
index 1bb09db..a54f9bf 100644
--- a/stock/doctype/stock_entry/stock_entry.py
+++ b/stock/doctype/stock_entry/stock_entry.py
@@ -39,7 +39,6 @@
self.validate_item()
self.validate_uom_is_integer("uom", "qty")
self.validate_uom_is_integer("stock_uom", "transfer_qty")
-
self.validate_warehouse(pro_obj)
self.validate_production_order(pro_obj)
self.get_stock_and_rate()
@@ -52,13 +51,13 @@
self.set_total_amount()
def on_submit(self):
- self.update_stock_ledger(0)
+ self.update_stock_ledger()
self.update_serial_no(1)
self.update_production_order(1)
self.make_gl_entries()
def on_cancel(self):
- self.update_stock_ledger(1)
+ self.update_stock_ledger()
self.update_serial_no(0)
self.update_production_order(0)
self.make_cancel_gl_entries()
@@ -76,8 +75,9 @@
raise_exception=True)
def validate_item(self):
+ stock_items = self.get_stock_items()
for item in self.doclist.get({"parentfield": "mtn_details"}):
- if item.item_code not in self.stock_items:
+ if item.item_code not in stock_items:
msgprint(_("""Only Stock Items are allowed for Stock Entry"""),
raise_exception=True)
@@ -177,33 +177,6 @@
def set_total_amount(self):
self.doc.total_amount = sum([flt(item.amount) for item in self.doclist.get({"parentfield": "mtn_details"})])
- def make_gl_entries(self):
- if not cint(webnotes.defaults.get_global_default("auto_inventory_accounting")):
- return
-
- if not self.doc.expense_adjustment_account:
- webnotes.msgprint(_("Please enter Expense/Adjustment Account"), raise_exception=1)
-
- from accounts.general_ledger import make_gl_entries
-
- total_valuation_amount = self.get_total_valuation_amount()
-
- gl_entries = self.get_gl_entries_for_stock(self.doc.expense_adjustment_account,
- total_valuation_amount)
- if gl_entries:
- make_gl_entries(gl_entries, cancel=self.doc.docstatus == 2)
-
- def get_total_valuation_amount(self):
- total_valuation_amount = 0
- for item in self.doclist.get({"parentfield": "mtn_details"}):
- if item.t_warehouse and not item.s_warehouse:
- total_valuation_amount += flt(item.incoming_rate, 2) * flt(item.transfer_qty)
-
- if item.s_warehouse and not item.t_warehouse:
- total_valuation_amount -= flt(item.incoming_rate, 2) * flt(item.transfer_qty)
-
- return total_valuation_amount
-
def get_stock_and_rate(self):
"""get stock and incoming rate on posting date"""
for d in getlist(self.doclist, 'mtn_details'):
@@ -232,7 +205,7 @@
sle = webnotes.conn.sql("""select name, posting_date, posting_time,
actual_qty, stock_value, warehouse from `tabStock Ledger Entry`
where voucher_type = %s and voucher_no = %s and
- item_code = %s and ifnull(is_cancelled, 'No') = 'No' limit 1""",
+ item_code = %s limit 1""",
((self.doc.delivery_note_no and "Delivery Note" or "Sales Invoice"),
self.doc.delivery_note_no or self.doc.sales_invoice_no, args.item_code), as_dict=1)
if sle:
@@ -340,20 +313,34 @@
sr.doc.status = "Sales Returned" if is_submit else "Delivered"
sr.save()
- def update_stock_ledger(self, is_cancelled=0):
- self.values = []
+ def update_stock_ledger(self):
+ sl_entries = []
for d in getlist(self.doclist, 'mtn_details'):
- if cstr(d.s_warehouse) and not is_cancelled:
- self.add_to_values(d, cstr(d.s_warehouse), -flt(d.transfer_qty), is_cancelled)
+ if cstr(d.s_warehouse) and self.doc.docstatus == 1:
+ sl_entries.append(self.get_sl_entries(d, {
+ "warehouse": cstr(d.s_warehouse),
+ "actual_qty": -flt(d.transfer_qty),
+ "incoming_rate": 0
+ }))
if cstr(d.t_warehouse):
- self.add_to_values(d, cstr(d.t_warehouse), flt(d.transfer_qty), is_cancelled)
+ sl_entries.append(self.get_sl_entries(d, {
+ "warehouse": cstr(d.t_warehouse),
+ "actual_qty": flt(d.transfer_qty),
+ "incoming_rate": flt(d.incoming_rate)
+ }))
+
+ # On cancellation, make stock ledger entry for
+ # target warehouse first, to update serial no values properly
+
+ if cstr(d.s_warehouse) and self.doc.docstatus == 2:
+ sl_entries.append(self.get_sl_entries(d, {
+ "warehouse": cstr(d.s_warehouse),
+ "actual_qty": -flt(d.transfer_qty),
+ "incoming_rate": 0
+ }))
- if cstr(d.s_warehouse) and is_cancelled:
- self.add_to_values(d, cstr(d.s_warehouse), -flt(d.transfer_qty), is_cancelled)
-
- get_obj('Stock Ledger', 'Stock Ledger').update_stock(self.values,
- self.doc.amended_from and 'Yes' or 'No')
+ self.make_sl_entries(sl_entries, self.doc.amended_from and 'Yes' or 'No')
def update_production_order(self, is_submit):
if self.doc.production_order:
@@ -371,14 +358,16 @@
# update bin
if self.doc.purpose == "Manufacture/Repack":
+ from stock.utils import update_bin
pro_obj.doc.produced_qty = flt(pro_obj.doc.produced_qty) + \
(is_submit and 1 or -1 ) * flt(self.doc.fg_completed_qty)
args = {
"item_code": pro_obj.doc.production_item,
+ "warehouse": pro_obj.doc.fg_warehouse,
"posting_date": self.doc.posting_date,
"planned_qty": (is_submit and -1 or 1 ) * flt(self.doc.fg_completed_qty)
}
- get_obj('Warehouse', pro_obj.doc.fg_warehouse).update_bin(args)
+ update_bin(args)
# update production order status
pro_obj.doc.status = (flt(pro_obj.doc.qty)==flt(pro_obj.doc.produced_qty)) \
@@ -414,7 +403,7 @@
arg, ret = eval(arg), {}
uom = sql("""select conversion_factor from `tabUOM Conversion Detail`
where parent = %s and uom = %s""", (arg['item_code'], arg['uom']), as_dict = 1)
- if not uom:
+ if not uom or not flt(uom[0].conversion_factor):
msgprint("There is no Conversion Factor for UOM '%s' in Item '%s'" % (arg['uom'],
arg['item_code']))
ret = {'uom' : ''}
@@ -630,26 +619,6 @@
# to be assigned for finished item
se_child.bom_no = bom_no
- def add_to_values(self, d, wh, qty, is_cancelled):
- self.values.append({
- 'item_code': d.item_code,
- 'warehouse': wh,
- 'posting_date': self.doc.posting_date,
- 'posting_time': self.doc.posting_time,
- 'voucher_type': 'Stock Entry',
- 'voucher_no': self.doc.name,
- 'voucher_detail_no': d.name,
- 'actual_qty': qty,
- 'incoming_rate': flt(d.incoming_rate, 2) or 0,
- 'stock_uom': d.stock_uom,
- 'company': self.doc.company,
- 'is_cancelled': (is_cancelled ==1) and 'Yes' or 'No',
- 'batch_no': cstr(d.batch_no).strip(),
- 'serial_no': cstr(d.serial_no).strip(),
- "project": self.doc.project_name,
- "fiscal_year": self.doc.fiscal_year,
- })
-
def get_cust_values(self):
"""fetches customer details"""
if self.doc.delivery_note_no:
@@ -788,7 +757,6 @@
from `tabStock Ledger Entry` sle
where item_code = '%(item_code)s'
and warehouse = '%(s_warehouse)s'
- and ifnull(is_cancelled, 'No') = 'No'
and batch_no like '%(txt)s'
and exists(select * from `tabBatch`
where name = sle.batch_no
diff --git a/stock/doctype/stock_entry/stock_entry.txt b/stock/doctype/stock_entry/stock_entry.txt
index 911c92f..204ebfa 100644
--- a/stock/doctype/stock_entry/stock_entry.txt
+++ b/stock/doctype/stock_entry/stock_entry.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-04-09 11:43:55",
"docstatus": 0,
- "modified": "2013-08-08 14:22:31",
+ "modified": "2013-08-24 15:16:34",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -200,16 +200,6 @@
"search_index": 0
},
{
- "depends_on": "eval:sys_defaults.auto_inventory_accounting",
- "doctype": "DocField",
- "fieldname": "expense_adjustment_account",
- "fieldtype": "Link",
- "label": "Expense/Adjustment Account",
- "options": "Account",
- "print_hide": 1,
- "read_only": 0
- },
- {
"doctype": "DocField",
"fieldname": "items_section",
"fieldtype": "Section Break",
diff --git a/stock/doctype/stock_entry/test_stock_entry.py b/stock/doctype/stock_entry/test_stock_entry.py
index 3beb61d..e2358eb 100644
--- a/stock/doctype/stock_entry/test_stock_entry.py
+++ b/stock/doctype/stock_entry/test_stock_entry.py
@@ -8,17 +8,19 @@
import webnotes, unittest
from webnotes.utils import flt
from stock.doctype.stock_ledger_entry.stock_ledger_entry import *
+from stock.doctype.purchase_receipt.test_purchase_receipt import set_perpetual_inventory
+
class TestStockEntry(unittest.TestCase):
def tearDown(self):
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
+ set_perpetual_inventory(0)
if hasattr(self, "old_default_company"):
webnotes.conn.set_default("company", self.old_default_company)
def test_auto_material_request(self):
webnotes.conn.sql("""delete from `tabMaterial Request Item`""")
webnotes.conn.sql("""delete from `tabMaterial Request`""")
- self._clear_stock()
+ self._clear_stock_account_balance()
webnotes.conn.set_value("Stock Settings", None, "auto_indent", True)
@@ -41,6 +43,7 @@
webnotes.conn.set_default("company", self.old_default_company)
def test_warehouse_company_validation(self):
+ self._clear_stock_account_balance()
webnotes.session.user = "test2@example.com"
webnotes.bean("Profile", "test2@example.com").get_controller()\
.add_roles("Sales User", "Sales Manager", "Material User", "Material Manager")
@@ -79,15 +82,15 @@
webnotes.session.user = "Administrator"
def test_material_receipt_gl_entry(self):
- webnotes.conn.sql("delete from `tabStock Ledger Entry`")
- webnotes.defaults.set_global_default("auto_inventory_accounting", 1)
+ self._clear_stock_account_balance()
+ set_perpetual_inventory()
mr = webnotes.bean(copy=test_records[0])
mr.insert()
mr.submit()
- stock_in_hand_account = webnotes.conn.get_value("Company", "_Test Company",
- "stock_in_hand_account")
+ stock_in_hand_account = webnotes.conn.get_value("Account", {"account_type": "Warehouse",
+ "master_name": mr.doclist[1].t_warehouse})
self.check_stock_ledger_entries("Stock Entry", mr.doc.name,
[["_Test Item", "_Test Warehouse - _TC", 50.0]])
@@ -100,37 +103,30 @@
)
mr.cancel()
- self.check_stock_ledger_entries("Stock Entry", mr.doc.name,
- sorted([["_Test Item", "_Test Warehouse - _TC", 50.0],
- ["_Test Item", "_Test Warehouse - _TC", -50.0]]))
-
- self.check_gl_entries("Stock Entry", mr.doc.name,
- sorted([
- [stock_in_hand_account, 5000.0, 0.0],
- ["Stock Adjustment - _TC", 0.0, 5000.0],
- [stock_in_hand_account, 0.0, 5000.0],
- ["Stock Adjustment - _TC", 5000.0, 0.0]
- ])
- )
+
+ self.assertFalse(webnotes.conn.sql("""select * from `tabStock Ledger Entry`
+ where voucher_type='Stock Entry' and voucher_no=%s""", mr.doc.name))
+
+ self.assertFalse(webnotes.conn.sql("""select * from `tabGL Entry`
+ where voucher_type='Stock Entry' and voucher_no=%s""", mr.doc.name))
+
def test_material_issue_gl_entry(self):
- self._clear_stock()
- webnotes.defaults.set_global_default("auto_inventory_accounting", 1)
+ self._clear_stock_account_balance()
+ set_perpetual_inventory()
- mr = webnotes.bean(copy=test_records[0])
- mr.insert()
- mr.submit()
+ self._insert_material_receipt()
mi = webnotes.bean(copy=test_records[1])
mi.insert()
mi.submit()
- stock_in_hand_account = webnotes.conn.get_value("Company", "_Test Company",
- "stock_in_hand_account")
-
self.check_stock_ledger_entries("Stock Entry", mi.doc.name,
[["_Test Item", "_Test Warehouse - _TC", -40.0]])
-
+
+ stock_in_hand_account = webnotes.conn.get_value("Account", {"account_type": "Warehouse",
+ "master_name": mi.doclist[1].s_warehouse})
+
self.check_gl_entries("Stock Entry", mi.doc.name,
sorted([
[stock_in_hand_account, 0.0, 4000.0],
@@ -139,28 +135,24 @@
)
mi.cancel()
+ self.assertFalse(webnotes.conn.sql("""select * from `tabStock Ledger Entry`
+ where voucher_type='Stock Entry' and voucher_no=%s""", mi.doc.name))
- self.check_stock_ledger_entries("Stock Entry", mi.doc.name,
- sorted([["_Test Item", "_Test Warehouse - _TC", -40.0],
- ["_Test Item", "_Test Warehouse - _TC", 40.0]]))
+ self.assertFalse(webnotes.conn.sql("""select * from `tabGL Entry`
+ where voucher_type='Stock Entry' and voucher_no=%s""", mi.doc.name))
- self.check_gl_entries("Stock Entry", mi.doc.name,
- sorted([
- [stock_in_hand_account, 0.0, 4000.0],
- ["Stock Adjustment - _TC", 4000.0, 0.0],
- [stock_in_hand_account, 4000.0, 0.0],
- ["Stock Adjustment - _TC", 0.0, 4000.0],
- ])
- )
+ self.assertEquals(webnotes.conn.get_value("Bin", {"warehouse": mi.doclist[1].s_warehouse,
+ "item_code": mi.doclist[1].item_code}, "actual_qty"), 50)
+
+ self.assertEquals(webnotes.conn.get_value("Bin", {"warehouse": mi.doclist[1].s_warehouse,
+ "item_code": mi.doclist[1].item_code}, "stock_value"), 5000)
def test_material_transfer_gl_entry(self):
- self._clear_stock()
- webnotes.defaults.set_global_default("auto_inventory_accounting", 1)
+ self._clear_stock_account_balance()
+ set_perpetual_inventory()
- mr = webnotes.bean(copy=test_records[0])
- mr.insert()
- mr.submit()
-
+ self._insert_material_receipt()
+
mtn = webnotes.bean(copy=test_records[2])
mtn.insert()
mtn.submit()
@@ -168,57 +160,104 @@
self.check_stock_ledger_entries("Stock Entry", mtn.doc.name,
[["_Test Item", "_Test Warehouse - _TC", -45.0], ["_Test Item", "_Test Warehouse 1 - _TC", 45.0]])
- # no gl entry
- gl_entries = webnotes.conn.sql("""select * from `tabGL Entry`
- where voucher_type = 'Stock Entry' and voucher_no=%s""", mtn.doc.name)
- self.assertFalse(gl_entries)
+ stock_in_hand_account = webnotes.conn.get_value("Account", {"account_type": "Warehouse",
+ "master_name": mtn.doclist[1].s_warehouse})
+
+ fixed_asset_account = webnotes.conn.get_value("Account", {"account_type": "Warehouse",
+ "master_name": mtn.doclist[1].t_warehouse})
+
+
+ self.check_gl_entries("Stock Entry", mtn.doc.name,
+ sorted([
+ [stock_in_hand_account, 0.0, 4500.0],
+ [fixed_asset_account, 4500.0, 0.0],
+ ])
+ )
+
mtn.cancel()
- self.check_stock_ledger_entries("Stock Entry", mtn.doc.name,
- sorted([["_Test Item", "_Test Warehouse - _TC", 45.0],
- ["_Test Item", "_Test Warehouse 1 - _TC", -45.0],
- ["_Test Item", "_Test Warehouse - _TC", -45.0],
- ["_Test Item", "_Test Warehouse 1 - _TC", 45.0]]))
+ self.assertFalse(webnotes.conn.sql("""select * from `tabStock Ledger Entry`
+ where voucher_type='Stock Entry' and voucher_no=%s""", mtn.doc.name))
+
+ self.assertFalse(webnotes.conn.sql("""select * from `tabGL Entry`
+ where voucher_type='Stock Entry' and voucher_no=%s""", mtn.doc.name))
+
+
+ def test_repack_no_change_in_valuation(self):
+ self._clear_stock_account_balance()
+ set_perpetual_inventory()
- # no gl entry
- gl_entries = webnotes.conn.sql("""select * from `tabGL Entry`
- where voucher_type = 'Stock Entry' and voucher_no=%s""", mtn.doc.name)
+ self._insert_material_receipt()
+
+ repack = webnotes.bean(copy=test_records[3])
+ repack.insert()
+ repack.submit()
+
+ self.check_stock_ledger_entries("Stock Entry", repack.doc.name,
+ [["_Test Item", "_Test Warehouse - _TC", -50.0],
+ ["_Test Item Home Desktop 100", "_Test Warehouse - _TC", 1]])
+
+ gl_entries = webnotes.conn.sql("""select account, debit, credit
+ from `tabGL Entry` where voucher_type='Stock Entry' and voucher_no=%s
+ order by account desc""", repack.doc.name, as_dict=1)
self.assertFalse(gl_entries)
+
+ set_perpetual_inventory(0)
+
+ def test_repack_with_change_in_valuation(self):
+ self._clear_stock_account_balance()
+ set_perpetual_inventory()
+
+ self._insert_material_receipt()
+
+ repack = webnotes.bean(copy=test_records[3])
+ repack.doclist[2].incoming_rate = 6000
+ repack.insert()
+ repack.submit()
+
+ stock_in_hand_account = webnotes.conn.get_value("Account", {"account_type": "Warehouse",
+ "master_name": repack.doclist[2].t_warehouse})
+
+ self.check_gl_entries("Stock Entry", repack.doc.name,
+ sorted([
+ [stock_in_hand_account, 1000.0, 0.0],
+ ["Stock Adjustment - _TC", 0.0, 1000.0],
+ ])
+ )
+ set_perpetual_inventory(0)
def check_stock_ledger_entries(self, voucher_type, voucher_no, expected_sle):
- # check stock ledger entries
- sle = webnotes.conn.sql("""select * from `tabStock Ledger Entry` where voucher_type = %s
- and voucher_no = %s order by item_code, warehouse, actual_qty""",
- (voucher_type, voucher_no), as_dict=1)
- self.assertTrue(sle)
+ expected_sle.sort(key=lambda x: x[0])
+ # check stock ledger entries
+ sle = webnotes.conn.sql("""select item_code, warehouse, actual_qty
+ from `tabStock Ledger Entry` where voucher_type = %s
+ and voucher_no = %s order by item_code, warehouse, actual_qty""",
+ (voucher_type, voucher_no), as_list=1)
+ self.assertTrue(sle)
+ sle.sort(key=lambda x: x[0])
+
for i, sle in enumerate(sle):
- self.assertEquals(expected_sle[i][0], sle.item_code)
- self.assertEquals(expected_sle[i][1], sle.warehouse)
- self.assertEquals(expected_sle[i][2], sle.actual_qty)
+ self.assertEquals(expected_sle[i][0], sle[0])
+ self.assertEquals(expected_sle[i][1], sle[1])
+ self.assertEquals(expected_sle[i][2], sle[2])
def check_gl_entries(self, voucher_type, voucher_no, expected_gl_entries):
- # check gl entries
+ expected_gl_entries.sort(key=lambda x: x[0])
gl_entries = webnotes.conn.sql("""select account, debit, credit
from `tabGL Entry` where voucher_type=%s and voucher_no=%s
- order by account asc, debit asc""", (voucher_type, voucher_no), as_dict=1)
+ order by account asc, debit asc""", (voucher_type, voucher_no), as_list=1)
self.assertTrue(gl_entries)
- for i, gle in enumerate(gl_entries):
- self.assertEquals(expected_gl_entries[i][0], gle.account)
- self.assertEquals(expected_gl_entries[i][1], gle.debit)
- self.assertEquals(expected_gl_entries[i][2], gle.credit)
-
- def _clear_stock(self):
- webnotes.conn.sql("delete from `tabStock Ledger Entry`")
- webnotes.conn.sql("""delete from `tabBin`""")
- webnotes.conn.sql("""delete from `tabSerial No`""")
+ gl_entries.sort(key=lambda x: x[0])
- self.old_default_company = webnotes.conn.get_default("company")
- webnotes.conn.set_default("company", "_Test Company")
-
+ for i, gle in enumerate(gl_entries):
+ self.assertEquals(expected_gl_entries[i][0], gle[0])
+ self.assertEquals(expected_gl_entries[i][1], gle[1])
+ self.assertEquals(expected_gl_entries[i][2], gle[2])
+
def _insert_material_receipt(self):
- self._clear_stock()
+ self._clear_stock_account_balance()
se1 = webnotes.bean(copy=test_records[0])
se1.insert()
se1.submit()
@@ -305,9 +344,11 @@
return se
def test_sales_invoice_return_of_non_packing_item(self):
+ self._clear_stock_account_balance()
self._test_sales_invoice_return("_Test Item", 5, 2)
def test_sales_invoice_return_of_packing_item(self):
+ self._clear_stock_account_balance()
self._test_sales_invoice_return("_Test Sales BOM Item", 25, 20)
def _test_delivery_note_return(self, item_code, delivered_qty, returned_qty):
@@ -319,7 +360,6 @@
from stock.doctype.delivery_note.delivery_note import make_sales_invoice
actual_qty_0 = self._get_actual_qty()
-
# make a delivery note based on this invoice
dn = webnotes.bean(copy=delivery_note_test_records[0])
dn.doclist[1].item_code = item_code
@@ -358,9 +398,11 @@
return se
def test_delivery_note_return_of_non_packing_item(self):
+ self._clear_stock_account_balance()
self._test_delivery_note_return("_Test Item", 5, 2)
def test_delivery_note_return_of_packing_item(self):
+ self._clear_stock_account_balance()
self._test_delivery_note_return("_Test Sales BOM Item", 25, 20)
def _test_sales_return_jv(self, se):
@@ -375,14 +417,17 @@
self.assertTrue(jv_list[1].get("against_invoice"))
def test_make_return_jv_for_sales_invoice_non_packing_item(self):
+ self._clear_stock_account_balance()
se = self._test_sales_invoice_return("_Test Item", 5, 2)
self._test_sales_return_jv(se)
def test_make_return_jv_for_sales_invoice_packing_item(self):
+ self._clear_stock_account_balance()
se = self._test_sales_invoice_return("_Test Sales BOM Item", 25, 20)
self._test_sales_return_jv(se)
def test_make_return_jv_for_delivery_note_non_packing_item(self):
+ self._clear_stock_account_balance()
se = self._test_delivery_note_return("_Test Item", 5, 2)
self._test_sales_return_jv(se)
@@ -390,6 +435,7 @@
self._test_sales_return_jv(se)
def test_make_return_jv_for_delivery_note_packing_item(self):
+ self._clear_stock_account_balance()
se = self._test_delivery_note_return("_Test Sales BOM Item", 25, 20)
self._test_sales_return_jv(se)
@@ -450,7 +496,7 @@
return se
def test_purchase_receipt_return(self):
- self._clear_stock()
+ self._clear_stock_account_balance()
actual_qty_0 = self._get_actual_qty()
@@ -466,7 +512,7 @@
actual_qty_1 = self._get_actual_qty()
- self.assertEquals(actual_qty_0 + 10, actual_qty_1)
+ self.assertEquals(actual_qty_0 + 5, actual_qty_1)
pi_doclist = make_purchase_invoice(pr.doc.name)
@@ -506,6 +552,7 @@
def test_over_stock_return(self):
from stock.doctype.stock_entry.stock_entry import StockOverReturnError
+ self._clear_stock_account_balance()
# out of 10, 5 gets returned
prev_se, pr_docname = self.test_purchase_receipt_return()
@@ -533,6 +580,7 @@
self.assertTrue(jv_list[1].get("against_voucher"))
def test_make_return_jv_for_purchase_receipt(self):
+ self._clear_stock_account_balance()
se, pr_name = self.test_purchase_receipt_return()
self._test_purchase_return_jv(se)
@@ -540,7 +588,7 @@
self._test_purchase_return_jv(se)
def _test_purchase_return_return_against_purchase_order(self):
- self._clear_stock()
+ self._clear_stock_account_balance()
actual_qty_0 = self._get_actual_qty()
@@ -604,6 +652,14 @@
return se, pr.doc.name
+ def _clear_stock_account_balance(self):
+ webnotes.conn.sql("delete from `tabStock Ledger Entry`")
+ webnotes.conn.sql("""delete from `tabBin`""")
+ webnotes.conn.sql("""delete from `tabGL Entry`""")
+
+ self.old_default_company = webnotes.conn.get_default("company")
+ webnotes.conn.set_default("company", "_Test Company")
+
def test_serial_no_not_reqd(self):
se = webnotes.bean(copy=test_records[0])
se.doclist[1].serial_no = "ABCD"
@@ -637,6 +693,7 @@
self.assertRaises(SerialNoQtyError, se.submit)
def test_serial_no_transfer_in(self):
+ self._clear_stock_account_balance()
se = webnotes.bean(copy=test_records[0])
se.doclist[1].item_code = "_Test Serialized Item"
se.doclist[1].qty = 2
@@ -652,6 +709,7 @@
self.assertFalse(webnotes.conn.get_value("Serial No", "ABCD", "warehouse"))
def test_serial_no_not_exists(self):
+ self._clear_stock_account_balance()
se = webnotes.bean(copy=test_records[0])
se.doc.purpose = "Material Issue"
se.doclist[1].item_code = "_Test Serialized Item"
@@ -664,6 +722,7 @@
self.assertRaises(SerialNoNotExistsError, se.submit)
def test_serial_by_series(self):
+ self._clear_stock_account_balance()
se = make_serialized_item()
serial_nos = get_serial_nos(se.doclist[1].serial_no)
@@ -674,6 +733,7 @@
return se
def test_serial_item_error(self):
+ self._clear_stock_account_balance()
self.test_serial_by_series()
se = webnotes.bean(copy=test_records[0])
@@ -688,6 +748,7 @@
self.assertRaises(SerialNoItemError, se.submit)
def test_serial_move(self):
+ self._clear_stock_account_balance()
se = make_serialized_item()
serial_no = get_serial_nos(se.doclist[1].serial_no)[0]
@@ -707,6 +768,7 @@
self.assertTrue(webnotes.conn.get_value("Serial No", serial_no, "warehouse"), "_Test Warehouse - _TC")
def test_serial_warehouse_error(self):
+ self._clear_stock_account_balance()
make_serialized_item()
se = webnotes.bean(copy=test_records[0])
@@ -721,6 +783,7 @@
self.assertRaises(SerialNoWarehouseError, se.submit)
def test_serial_cancel(self):
+ self._clear_stock_account_balance()
se = self.test_serial_by_series()
se.cancel()
@@ -745,7 +808,6 @@
"posting_time": "17:14:24",
"purpose": "Material Receipt",
"fiscal_year": "_Test Fiscal Year 2013",
- "expense_adjustment_account": "Stock Adjustment - _TC"
},
{
"conversion_factor": 1.0,
@@ -758,6 +820,8 @@
"transfer_qty": 50.0,
"uom": "_Test UOM",
"t_warehouse": "_Test Warehouse - _TC",
+ "expense_account": "Stock Adjustment - _TC",
+ "cost_center": "_Test Cost Center - _TC"
},
],
[
@@ -768,7 +832,6 @@
"posting_time": "17:15",
"purpose": "Material Issue",
"fiscal_year": "_Test Fiscal Year 2013",
- "expense_adjustment_account": "Stock Adjustment - _TC"
},
{
"conversion_factor": 1.0,
@@ -781,6 +844,8 @@
"transfer_qty": 40.0,
"uom": "_Test UOM",
"s_warehouse": "_Test Warehouse - _TC",
+ "expense_account": "Stock Adjustment - _TC",
+ "cost_center": "_Test Cost Center - _TC"
},
],
[
@@ -791,7 +856,6 @@
"posting_time": "17:14:24",
"purpose": "Material Transfer",
"fiscal_year": "_Test Fiscal Year 2013",
- "expense_adjustment_account": "Stock Adjustment - _TC"
},
{
"conversion_factor": 1.0,
@@ -805,6 +869,46 @@
"uom": "_Test UOM",
"s_warehouse": "_Test Warehouse - _TC",
"t_warehouse": "_Test Warehouse 1 - _TC",
+ "expense_account": "Stock Adjustment - _TC",
+ "cost_center": "_Test Cost Center - _TC"
}
- ]
+ ],
+ [
+ {
+ "company": "_Test Company",
+ "doctype": "Stock Entry",
+ "posting_date": "2013-01-25",
+ "posting_time": "17:14:24",
+ "purpose": "Manufacture/Repack",
+ "fiscal_year": "_Test Fiscal Year 2013",
+ },
+ {
+ "conversion_factor": 1.0,
+ "doctype": "Stock Entry Detail",
+ "item_code": "_Test Item",
+ "parentfield": "mtn_details",
+ "incoming_rate": 100,
+ "qty": 50.0,
+ "stock_uom": "_Test UOM",
+ "transfer_qty": 50.0,
+ "uom": "_Test UOM",
+ "s_warehouse": "_Test Warehouse - _TC",
+ "expense_account": "Stock Adjustment - _TC",
+ "cost_center": "_Test Cost Center - _TC"
+ },
+ {
+ "conversion_factor": 1.0,
+ "doctype": "Stock Entry Detail",
+ "item_code": "_Test Item Home Desktop 100",
+ "parentfield": "mtn_details",
+ "incoming_rate": 5000,
+ "qty": 1,
+ "stock_uom": "_Test UOM",
+ "transfer_qty": 1,
+ "uom": "_Test UOM",
+ "t_warehouse": "_Test Warehouse - _TC",
+ "expense_account": "Stock Adjustment - _TC",
+ "cost_center": "_Test Cost Center - _TC"
+ },
+ ],
]
\ No newline at end of file
diff --git a/stock/doctype/stock_entry_detail/stock_entry_detail.txt b/stock/doctype/stock_entry_detail/stock_entry_detail.txt
index f47e192..b400cdd 100644
--- a/stock/doctype/stock_entry_detail/stock_entry_detail.txt
+++ b/stock/doctype/stock_entry_detail/stock_entry_detail.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-03-29 18:22:12",
"docstatus": 0,
- "modified": "2013-07-10 14:54:23",
+ "modified": "2013-08-28 19:25:38",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -145,6 +145,27 @@
"read_only": 0
},
{
+ "depends_on": "eval:sys_defaults.auto_accounting_for_stock",
+ "doctype": "DocField",
+ "fieldname": "expense_account",
+ "fieldtype": "Link",
+ "label": "Difference Account",
+ "options": "Account",
+ "print_hide": 1
+ },
+ {
+ "depends_on": "eval:sys_defaults.auto_accounting_for_stock",
+ "doctype": "DocField",
+ "fieldname": "cost_center",
+ "fieldtype": "Link",
+ "hidden": 0,
+ "label": "Cost Center",
+ "options": "Cost Center",
+ "print_hide": 1,
+ "read_only": 0,
+ "reqd": 0
+ },
+ {
"doctype": "DocField",
"fieldname": "actual_qty",
"fieldtype": "Float",
diff --git a/stock/doctype/stock_ledger/README.md b/stock/doctype/stock_ledger/README.md
deleted file mode 100644
index 8ccaf59..0000000
--- a/stock/doctype/stock_ledger/README.md
+++ /dev/null
@@ -1 +0,0 @@
-Control (to be deprecated) for updating stock entries.
\ No newline at end of file
diff --git a/stock/doctype/stock_ledger/__init__.py b/stock/doctype/stock_ledger/__init__.py
deleted file mode 100644
index baffc48..0000000
--- a/stock/doctype/stock_ledger/__init__.py
+++ /dev/null
@@ -1 +0,0 @@
-from __future__ import unicode_literals
diff --git a/stock/doctype/stock_ledger/stock_ledger.py b/stock/doctype/stock_ledger/stock_ledger.py
deleted file mode 100644
index 10fb761..0000000
--- a/stock/doctype/stock_ledger/stock_ledger.py
+++ /dev/null
@@ -1,58 +0,0 @@
-# Copyright (c) 2013, Web Notes Technologies Pvt. Ltd.
-# License: GNU General Public License v3. See license.txt
-
-from __future__ import unicode_literals
-import webnotes
-
-from webnotes.utils import add_days, cstr, flt, nowdate, cint, now
-from webnotes.model.doc import Document
-from webnotes.model.bean import getlist
-from webnotes.model.code import get_obj
-from webnotes import session, msgprint
-from stock.utils import get_valid_serial_nos
-
-sql = webnotes.conn.sql
-
-class DocType:
- def __init__(self, doc, doclist=[]):
- self.doc = doc
- self.doclist = doclist
-
- def update_stock(self, values, is_amended = 'No'):
- for v in values:
- sle_id = ''
-
- # reverse quantities for cancel
- if v.get('is_cancelled') == 'Yes':
- v['actual_qty'] = -flt(v['actual_qty'])
- # cancel matching entry
- webnotes.conn.sql("""update `tabStock Ledger Entry` set is_cancelled='Yes',
- modified=%s, modified_by=%s
- where voucher_no=%s and voucher_type=%s""",
- (now(), webnotes.session.user, v['voucher_no'], v['voucher_type']))
-
- if v.get("actual_qty"):
- sle_id = self.make_entry(v)
-
- args = v.copy()
- args.update({
- "sle_id": sle_id,
- "is_amended": is_amended
- })
-
- get_obj('Warehouse', v["warehouse"]).update_bin(args)
-
-
- def make_entry(self, args):
- args.update({"doctype": "Stock Ledger Entry"})
- sle = webnotes.bean([args])
- sle.ignore_permissions = 1
- sle.insert()
- return sle.doc.name
-
- def repost(self):
- """
- Repost everything!
- """
- for wh in webnotes.conn.sql("select name from tabWarehouse"):
- get_obj('Warehouse', wh[0]).repost_stock()
diff --git a/stock/doctype/stock_ledger/stock_ledger.txt b/stock/doctype/stock_ledger/stock_ledger.txt
deleted file mode 100644
index afdaa4d..0000000
--- a/stock/doctype/stock_ledger/stock_ledger.txt
+++ /dev/null
@@ -1,22 +0,0 @@
-[
- {
- "creation": "2013-01-10 16:34:30",
- "docstatus": 0,
- "modified": "2013-07-10 14:54:23",
- "modified_by": "Administrator",
- "owner": "Administrator"
- },
- {
- "doctype": "DocType",
- "hide_toolbar": 1,
- "in_create": 1,
- "issingle": 1,
- "module": "Stock",
- "name": "__common__",
- "read_only": 1
- },
- {
- "doctype": "DocType",
- "name": "Stock Ledger"
- }
-]
\ No newline at end of file
diff --git a/stock/doctype/stock_ledger_entry/stock_ledger_entry.py b/stock/doctype/stock_ledger_entry/stock_ledger_entry.py
index f8616c3..1c3d3e1 100644
--- a/stock/doctype/stock_ledger_entry/stock_ledger_entry.py
+++ b/stock/doctype/stock_ledger_entry/stock_ledger_entry.py
@@ -34,25 +34,35 @@
self.validate_item()
validate_warehouse_user(self.doc.warehouse)
self.validate_warehouse_company()
- self.actual_amt_check()
- self.check_stock_frozen_date()
self.scrub_posting_time()
from accounts.utils import validate_fiscal_year
validate_fiscal_year(self.doc.posting_date, self.doc.fiscal_year, self.meta.get_label("posting_date"))
+ def on_submit(self):
+ self.check_stock_frozen_date()
+ self.actual_amt_check()
+ self.validate_serial_no()
+
#check for item quantity available in stock
def actual_amt_check(self):
if self.doc.batch_no:
- batch_bal = flt(webnotes.conn.sql("select sum(actual_qty) from `tabStock Ledger Entry` where warehouse = '%s' and item_code = '%s' and batch_no = '%s'"%(self.doc.warehouse,self.doc.item_code,self.doc.batch_no))[0][0])
- self.doc.fields.update({'batch_bal': batch_bal})
+ batch_bal_after_transaction = flt(webnotes.conn.sql("""select sum(actual_qty)
+ from `tabStock Ledger Entry`
+ where warehouse=%s and item_code=%s and batch_no=%s""",
+ (self.doc.warehouse, self.doc.item_code, self.doc.batch_no))[0][0])
+
+ if batch_bal_after_transaction < 0:
+ self.doc.fields.update({
+ 'batch_bal': batch_bal_after_transaction - self.doc.actual_qty
+ })
+
+ webnotes.throw("""Not enough quantity (requested: %(actual_qty)s, \
+ current: %(batch_bal)s in Batch <b>%(batch_no)s</b> for Item \
+ <b>%(item_code)s</b> at Warehouse <b>%(warehouse)s</b> \
+ as on %(posting_date)s %(posting_time)s""" % self.doc.fields)
- if (batch_bal + self.doc.actual_qty) < 0:
- msgprint("""Not enough quantity (requested: %(actual_qty)s, current: %(batch_bal)s in Batch
- <b>%(batch_no)s</b> for Item <b>%(item_code)s</b> at Warehouse <b>%(warehouse)s</b>
- as on %(posting_date)s %(posting_time)s""" % self.doc.fields, raise_exception = 1)
-
- self.doc.fields.pop('batch_bal')
+ sself.doc.fields.pop('batch_bal')
def validate_warehouse_company(self):
warehouse_company = webnotes.conn.get_value("Warehouse", self.doc.warehouse, "company")
@@ -71,10 +81,7 @@
msgprint("Warehouse: '%s' does not exist in the system. Please check." % self.doc.fields.get(k), raise_exception = 1)
def validate_item(self):
- item_det = webnotes.conn.sql("""select name, has_batch_no, docstatus,
- is_stock_item, has_serial_no, serial_no_series, stock_uom
- from tabItem where name=%s""",
- self.doc.item_code, as_dict=True)[0]
+ item_det = self.get_item_details()
if item_det.is_stock_item != 'Yes':
webnotes.throw("""Item: "%s" is not a Stock Item.""" % self.doc.item_code)
@@ -91,10 +98,16 @@
if not self.doc.stock_uom:
self.doc.stock_uom = item_det.stock_uom
-
- self.validate_serial_no(item_det)
+
+ def get_item_details(self):
+ return webnotes.conn.sql("""select name, has_batch_no, docstatus,
+ is_stock_item, has_serial_no, serial_no_series
+ from tabItem where name=%s""",
+ self.doc.item_code, as_dict=True)[0]
- def validate_serial_no(self, item_det):
+ def validate_serial_no(self):
+ item_det = self.get_item_details()
+
if item_det.has_serial_no=="No":
if self.doc.serial_no:
webnotes.throw(_("Serial Number should be blank for Non Serialized Item" + ": " + self.doc.item),
diff --git a/stock/doctype/stock_ledger_entry/stock_ledger_entry.txt b/stock/doctype/stock_ledger_entry/stock_ledger_entry.txt
index 5b65e97..a5ea161 100644
--- a/stock/doctype/stock_ledger_entry/stock_ledger_entry.txt
+++ b/stock/doctype/stock_ledger_entry/stock_ledger_entry.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-01-29 19:25:42",
"docstatus": 0,
- "modified": "2013-07-25 16:39:10",
+ "modified": "2013-08-23 12:23:18",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -226,6 +226,14 @@
},
{
"doctype": "DocField",
+ "fieldname": "stock_value_difference",
+ "fieldtype": "Currency",
+ "label": "Stock Value Difference",
+ "options": "Company:company:default_currency",
+ "read_only": 1
+ },
+ {
+ "doctype": "DocField",
"fieldname": "stock_queue",
"fieldtype": "Text",
"hidden": 1,
@@ -276,15 +284,10 @@
"doctype": "DocField",
"fieldname": "is_cancelled",
"fieldtype": "Select",
- "in_filter": 1,
+ "hidden": 1,
"label": "Is Cancelled",
- "oldfieldname": "is_cancelled",
- "oldfieldtype": "Select",
- "options": "\nYes\nNo",
- "print_width": "100px",
- "read_only": 1,
- "search_index": 0,
- "width": "100px"
+ "options": "\nNo\nYes",
+ "report_hide": 1
},
{
"amend": 0,
diff --git a/stock/doctype/stock_reconciliation/stock_reconciliation.js b/stock/doctype/stock_reconciliation/stock_reconciliation.js
index fa2600e..7373648 100644
--- a/stock/doctype/stock_reconciliation/stock_reconciliation.js
+++ b/stock/doctype/stock_reconciliation/stock_reconciliation.js
@@ -12,7 +12,7 @@
set_default_expense_account: function() {
var me = this;
- if (sys_defaults.auto_inventory_accounting && !this.frm.doc.expense_account) {
+ if (sys_defaults.auto_accounting_for_stock && !this.frm.doc.expense_account) {
return this.frm.call({
method: "accounts.utils.get_company_default",
args: {
@@ -28,8 +28,9 @@
setup: function() {
var me = this;
- if (sys_defaults.auto_inventory_accounting) {
+ if (sys_defaults.auto_accounting_for_stock) {
this.frm.add_fetch("company", "stock_adjustment_account", "expense_account");
+ this.frm.add_fetch("company", "cost_center", "cost_center");
this.frm.fields_dict["expense_account"].get_query = function() {
return {
diff --git a/stock/doctype/stock_reconciliation/stock_reconciliation.py b/stock/doctype/stock_reconciliation/stock_reconciliation.py
index da286d3..465edc4 100644
--- a/stock/doctype/stock_reconciliation/stock_reconciliation.py
+++ b/stock/doctype/stock_reconciliation/stock_reconciliation.py
@@ -9,6 +9,7 @@
from webnotes.utils import cstr, flt, cint
from stock.stock_ledger import update_entries_after
from controllers.stock_controller import StockController
+from stock.utils import update_bin
class DocType(StockController):
def setup(self):
@@ -17,14 +18,14 @@
def validate(self):
self.validate_data()
+ self.validate_expense_account()
def on_submit(self):
self.insert_stock_ledger_entries()
- self.set_stock_value_difference()
self.make_gl_entries()
def on_cancel(self):
- self.delete_stock_ledger_entries()
+ self.delete_and_repost_sle()
self.make_cancel_gl_entries()
def validate_data(self):
@@ -56,7 +57,6 @@
if len(rows) > 100:
msgprint(_("""Sorry! We can only allow upto 100 rows for Stock Reconciliation."""),
raise_exception=True)
-
for row_num, row in enumerate(rows):
# find duplicates
if [row[0], row[1]] in item_warehouse_combinations:
@@ -88,7 +88,7 @@
msgprint(msg)
raise webnotes.ValidationError
-
+
def validate_item(self, item_code, row_num):
from stock.utils import validate_end_of_life, validate_is_stock_item, \
validate_cancelled_item
@@ -244,33 +244,26 @@
"voucher_no": self.doc.name,
"company": self.doc.company,
"stock_uom": webnotes.conn.get_value("Item", row.item_code, "stock_uom"),
- "is_cancelled": "No",
"voucher_detail_no": row.voucher_detail_no,
"fiscal_year": self.doc.fiscal_year,
})
args.update(opts)
- # create stock ledger entry
- sle_wrapper = webnotes.bean([args])
- sle_wrapper.ignore_permissions = 1
- sle_wrapper.insert()
-
- # update bin
- webnotes.get_obj('Warehouse', row.warehouse).update_bin(args)
-
+ self.make_sl_entries([args])
+
# append to entries
self.entries.append(args)
- def delete_stock_ledger_entries(self):
- """ Delete Stock Ledger Entries related to this Stock Reconciliation
+ def delete_and_repost_sle(self):
+ """ Delete Stock Ledger Entries related to this voucher
and repost future Stock Ledger Entries"""
-
- existing_entries = webnotes.conn.sql("""select item_code, warehouse
- from `tabStock Ledger Entry` where voucher_type='Stock Reconciliation'
- and voucher_no=%s""", self.doc.name, as_dict=1)
+
+ existing_entries = webnotes.conn.sql("""select distinct item_code, warehouse
+ from `tabStock Ledger Entry` where voucher_type=%s and voucher_no=%s""",
+ (self.doc.doctype, self.doc.name), as_dict=1)
# delete entries
webnotes.conn.sql("""delete from `tabStock Ledger Entry`
- where voucher_type='Stock Reconciliation' and voucher_no=%s""", self.doc.name)
+ where voucher_type=%s and voucher_no=%s""", (self.doc.doctype, self.doc.name))
# repost future entries for selected item_code, warehouse
for entries in existing_entries:
@@ -281,36 +274,27 @@
"posting_time": self.doc.posting_time
})
- def set_stock_value_difference(self):
- """stock_value_difference is the increment in the stock value"""
- from stock.utils import get_buying_amount
+ def get_gl_entries_for_stock(self, warehouse_account=None):
+ if not self.doc.cost_center:
+ msgprint(_("Please enter Cost Center"), raise_exception=1)
+
+ return super(DocType, self).get_gl_entries_for_stock(warehouse_account,
+ self.doc.expense_account, self.doc.cost_center)
- item_list = [d.item_code for d in self.entries]
- warehouse_list = [d.warehouse for d in self.entries]
- if not (item_list and warehouse_list):
- webnotes.throw(_("Invalid Item or Warehouse Data"))
-
- stock_ledger_entries = self.get_stock_ledger_entries(item_list, warehouse_list)
-
- self.doc.stock_value_difference = 0.0
- for d in self.entries:
- self.doc.stock_value_difference -= get_buying_amount(self.doc.doctype, self.doc.name,
- d.voucher_detail_no, stock_ledger_entries.get((d.item_code, d.warehouse), []))
- webnotes.conn.set(self.doc, "stock_value_difference", self.doc.stock_value_difference)
-
- def make_gl_entries(self):
- if not cint(webnotes.defaults.get_global_default("auto_inventory_accounting")):
+
+ def validate_expense_account(self):
+ if not cint(webnotes.defaults.get_global_default("auto_accounting_for_stock")):
return
-
+
if not self.doc.expense_account:
msgprint(_("Please enter Expense Account"), raise_exception=1)
-
- from accounts.general_ledger import make_gl_entries
-
- gl_entries = self.get_gl_entries_for_stock(self.doc.expense_account,
- self.doc.stock_value_difference)
- if gl_entries:
- make_gl_entries(gl_entries, cancel=self.doc.docstatus == 2)
+ elif not webnotes.conn.sql("""select * from `tabStock Ledger Entry`"""):
+ if webnotes.conn.get_value("Account", self.doc.expense_account,
+ "is_pl_account") == "Yes":
+ msgprint(_("""Expense Account can not be a PL Account, as this stock \
+ reconciliation is an opening entry. \
+ Please select 'Temporary Account (Liabilities)' or relevant account"""),
+ raise_exception=1)
@webnotes.whitelist()
def upload():
diff --git a/stock/doctype/stock_reconciliation/stock_reconciliation.txt b/stock/doctype/stock_reconciliation/stock_reconciliation.txt
index 7ddcbf7..c9959d3 100644
--- a/stock/doctype/stock_reconciliation/stock_reconciliation.txt
+++ b/stock/doctype/stock_reconciliation/stock_reconciliation.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-03-28 10:35:31",
"docstatus": 0,
- "modified": "2013-07-22 15:22:44",
+ "modified": "2013-09-24 15:35:12",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -102,15 +102,22 @@
"reqd": 1
},
{
- "depends_on": "eval:sys_defaults.auto_inventory_accounting",
+ "depends_on": "eval:sys_defaults.auto_accounting_for_stock",
"doctype": "DocField",
"fieldname": "expense_account",
"fieldtype": "Link",
- "label": "Expense Account",
+ "label": "Difference Account",
"options": "Account"
},
{
"doctype": "DocField",
+ "fieldname": "cost_center",
+ "fieldtype": "Link",
+ "label": "Cost Center",
+ "options": "Cost Center"
+ },
+ {
+ "doctype": "DocField",
"fieldname": "col1",
"fieldtype": "Column Break"
},
@@ -149,15 +156,6 @@
"read_only": 1
},
{
- "doctype": "DocField",
- "fieldname": "stock_value_difference",
- "fieldtype": "Currency",
- "hidden": 1,
- "in_list_view": 1,
- "label": "Stock Value Difference",
- "print_hide": 1
- },
- {
"doctype": "DocPerm"
}
]
\ No newline at end of file
diff --git a/stock/doctype/stock_reconciliation/test_stock_reconciliation.py b/stock/doctype/stock_reconciliation/test_stock_reconciliation.py
index 909dfc7..0434f82 100644
--- a/stock/doctype/stock_reconciliation/test_stock_reconciliation.py
+++ b/stock/doctype/stock_reconciliation/test_stock_reconciliation.py
@@ -8,11 +8,12 @@
import webnotes, unittest
from webnotes.utils import flt
import json
-from accounts.utils import get_fiscal_year
+from accounts.utils import get_fiscal_year, get_stock_and_account_difference, get_balance_on
+
class TestStockReconciliation(unittest.TestCase):
def test_reco_for_fifo(self):
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
+ webnotes.defaults.set_global_default("auto_accounting_for_stock", 0)
# [[qty, valuation_rate, posting_date,
# posting_time, expected_stock_value, bin_qty, bin_valuation]]
input_data = [
@@ -56,7 +57,7 @@
def test_reco_for_moving_average(self):
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
+ webnotes.defaults.set_global_default("auto_accounting_for_stock", 0)
# [[qty, valuation_rate, posting_date,
# posting_time, expected_stock_value, bin_qty, bin_valuation]]
input_data = [
@@ -102,42 +103,40 @@
self.assertFalse(gl_entries)
def test_reco_fifo_gl_entries(self):
- webnotes.defaults.set_global_default("auto_inventory_accounting", 1)
+ webnotes.defaults.set_global_default("auto_accounting_for_stock", 1)
- # [[qty, valuation_rate, posting_date,
- # posting_time, stock_in_hand_debit]]
+ # [[qty, valuation_rate, posting_date, posting_time, stock_in_hand_debit]]
input_data = [
- [50, 1000, "2012-12-26", "12:00", 38000],
- [5, 1000, "2012-12-26", "12:00", -7000],
- [15, 1000, "2012-12-26", "12:00", 3000],
- [25, 900, "2012-12-26", "12:00", 10500],
- [20, 500, "2012-12-26", "12:00", -2000],
- ["", 1000, "2012-12-26", "12:05", 3000],
- [20, "", "2012-12-26", "12:05", 4000],
- [10, 2000, "2012-12-26", "12:10", 8000],
- [0, "", "2012-12-26", "12:10", -12000],
- [50, 1000, "2013-01-01", "12:00", 50000],
- [5, 1000, "2013-01-01", "12:00", 5000],
- [1, 1000, "2012-12-01", "00:00", 1000],
-
+ [50, 1000, "2012-12-26", "12:00"],
+ [5, 1000, "2012-12-26", "12:00"],
+ [15, 1000, "2012-12-26", "12:00"],
+ [25, 900, "2012-12-26", "12:00"],
+ [20, 500, "2012-12-26", "12:00"],
+ ["", 1000, "2012-12-26", "12:05"],
+ [20, "", "2012-12-26", "12:05"],
+ [10, 2000, "2012-12-26", "12:10"],
+ [0, "", "2012-12-26", "12:10"],
+ [50, 1000, "2013-01-01", "12:00"],
+ [5, 1000, "2013-01-01", "12:00"],
+ [1, 1000, "2012-12-01", "00:00"],
]
for d in input_data:
self.cleanup_data()
self.insert_existing_sle("FIFO")
+ self.assertFalse(get_stock_and_account_difference(["_Test Account Stock In Hand - _TC"]))
stock_reco = self.submit_stock_reconciliation(d[0], d[1], d[2], d[3])
- # check gl_entries
- self.check_gl_entries(stock_reco.doc.name, d[4])
- # cancel
+ self.assertFalse(get_stock_and_account_difference(["_Test Account Stock In Hand - _TC"]))
+
stock_reco.cancel()
- self.check_gl_entries(stock_reco.doc.name, -d[4], True)
+ self.assertFalse(get_stock_and_account_difference(["_Test Account Stock In Hand - _TC"]))
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
+ webnotes.defaults.set_global_default("auto_accounting_for_stock", 0)
def test_reco_moving_average_gl_entries(self):
- webnotes.defaults.set_global_default("auto_inventory_accounting", 1)
+ webnotes.defaults.set_global_default("auto_accounting_for_stock", 1)
# [[qty, valuation_rate, posting_date,
# posting_time, stock_in_hand_debit]]
@@ -161,20 +160,19 @@
self.cleanup_data()
self.insert_existing_sle("Moving Average")
stock_reco = self.submit_stock_reconciliation(d[0], d[1], d[2], d[3])
-
- # check gl_entries
- self.check_gl_entries(stock_reco.doc.name, d[4])
+ self.assertFalse(get_stock_and_account_difference(["_Test Warehouse - _TC"]))
# cancel
stock_reco.cancel()
- self.check_gl_entries(stock_reco.doc.name, -d[4], True)
+ self.assertFalse(get_stock_and_account_difference(["_Test Warehouse - _TC"]))
- webnotes.defaults.set_global_default("auto_inventory_accounting", 0)
+ webnotes.defaults.set_global_default("auto_accounting_for_stock", 0)
def cleanup_data(self):
webnotes.conn.sql("delete from `tabStock Ledger Entry`")
webnotes.conn.sql("delete from tabBin")
+ webnotes.conn.sql("delete from `tabGL Entry`")
def submit_stock_reconciliation(self, qty, rate, posting_date, posting_time):
stock_reco = webnotes.bean([{
@@ -184,6 +182,7 @@
"fiscal_year": get_fiscal_year(posting_date)[0],
"company": "_Test Company",
"expense_account": "Stock Adjustment - _TC",
+ "cost_center": "_Test Cost Center - _TC",
"reconciliation_json": json.dumps([
["Item Code", "Warehouse", "Quantity", "Valuation Rate"],
["_Test Item", "_Test Warehouse - _TC", qty, rate]
@@ -193,82 +192,82 @@
stock_reco.submit()
return stock_reco
- def check_gl_entries(self, voucher_no, stock_value_diff, cancel=None):
- stock_in_hand_account = webnotes.conn.get_value("Company", "_Test Company",
- "stock_in_hand_account")
- debit_amount = stock_value_diff > 0 and stock_value_diff or 0.0
- credit_amount = stock_value_diff < 0 and abs(stock_value_diff) or 0.0
-
- expected_gl_entries = sorted([
- [stock_in_hand_account, debit_amount, credit_amount],
- ["Stock Adjustment - _TC", credit_amount, debit_amount]
- ])
- if cancel:
- expected_gl_entries = sorted([
- [stock_in_hand_account, debit_amount, credit_amount],
- ["Stock Adjustment - _TC", credit_amount, debit_amount],
- [stock_in_hand_account, credit_amount, debit_amount],
- ["Stock Adjustment - _TC", debit_amount, credit_amount]
- ])
-
- gl_entries = webnotes.conn.sql("""select account, debit, credit
- from `tabGL Entry` where voucher_type='Stock Reconciliation' and voucher_no=%s
- order by account asc, debit asc""", voucher_no, as_dict=1)
- self.assertTrue(gl_entries)
-
- for i, gle in enumerate(gl_entries):
- self.assertEquals(expected_gl_entries[i][0], gle.account)
- self.assertEquals(expected_gl_entries[i][1], gle.debit)
- self.assertEquals(expected_gl_entries[i][2], gle.credit)
-
def insert_existing_sle(self, valuation_method):
webnotes.conn.set_value("Item", "_Test Item", "valuation_method", valuation_method)
webnotes.conn.set_default("allow_negative_stock", 1)
- existing_ledgers = [
+ stock_entry = [
{
- "doctype": "Stock Ledger Entry", "__islocal": 1,
- "voucher_type": "Stock Entry", "voucher_no": "TEST",
- "item_code": "_Test Item", "warehouse": "_Test Warehouse - _TC",
- "posting_date": "2012-12-12", "posting_time": "01:00",
- "actual_qty": 20, "incoming_rate": 1000, "company": "_Test Company",
- "fiscal_year": "_Test Fiscal Year 2012",
- },
+ "company": "_Test Company",
+ "doctype": "Stock Entry",
+ "posting_date": "2012-12-12",
+ "posting_time": "01:00",
+ "purpose": "Material Receipt",
+ "fiscal_year": "_Test Fiscal Year 2012",
+ },
{
- "doctype": "Stock Ledger Entry", "__islocal": 1,
- "voucher_type": "Stock Entry", "voucher_no": "TEST",
- "item_code": "_Test Item", "warehouse": "_Test Warehouse - _TC",
- "posting_date": "2012-12-15", "posting_time": "02:00",
- "actual_qty": 10, "incoming_rate": 700, "company": "_Test Company",
- "fiscal_year": "_Test Fiscal Year 2012",
- },
- {
- "doctype": "Stock Ledger Entry", "__islocal": 1,
- "voucher_type": "Stock Entry", "voucher_no": "TEST",
- "item_code": "_Test Item", "warehouse": "_Test Warehouse - _TC",
- "posting_date": "2012-12-25", "posting_time": "03:00",
- "actual_qty": -15, "company": "_Test Company",
- "fiscal_year": "_Test Fiscal Year 2012",
- },
- {
- "doctype": "Stock Ledger Entry", "__islocal": 1,
- "voucher_type": "Stock Entry", "voucher_no": "TEST",
- "item_code": "_Test Item", "warehouse": "_Test Warehouse - _TC",
- "posting_date": "2012-12-31", "posting_time": "08:00",
- "actual_qty": -20, "company": "_Test Company",
- "fiscal_year": "_Test Fiscal Year 2012",
- },
- {
- "doctype": "Stock Ledger Entry", "__islocal": 1,
- "voucher_type": "Stock Entry", "voucher_no": "TEST",
- "item_code": "_Test Item", "warehouse": "_Test Warehouse - _TC",
- "posting_date": "2013-01-05", "posting_time": "07:00",
- "actual_qty": 15, "incoming_rate": 1200, "company": "_Test Company",
- "fiscal_year": "_Test Fiscal Year 2013",
- },
+ "conversion_factor": 1.0,
+ "doctype": "Stock Entry Detail",
+ "item_code": "_Test Item",
+ "parentfield": "mtn_details",
+ "incoming_rate": 1000,
+ "qty": 20.0,
+ "stock_uom": "_Test UOM",
+ "transfer_qty": 20.0,
+ "uom": "_Test UOM",
+ "t_warehouse": "_Test Warehouse - _TC",
+ "expense_account": "Stock Adjustment - _TC",
+ "cost_center": "_Test Cost Center - _TC"
+ },
]
+
+ pr = webnotes.bean(copy=stock_entry)
+ pr.insert()
+ pr.submit()
- webnotes.get_obj("Stock Ledger").update_stock(existing_ledgers)
-
+ pr1 = webnotes.bean(copy=stock_entry)
+ pr1.doc.posting_date = "2012-12-15"
+ pr1.doc.posting_time = "02:00"
+ pr1.doclist[1].qty = 10
+ pr1.doclist[1].transfer_qty = 10
+ pr1.doclist[1].incoming_rate = 700
+ pr1.insert()
+ pr1.submit()
+
+ pr2 = webnotes.bean(copy=stock_entry)
+ pr2.doc.posting_date = "2012-12-25"
+ pr2.doc.posting_time = "03:00"
+ pr2.doc.purpose = "Material Issue"
+ pr2.doclist[1].s_warehouse = "_Test Warehouse - _TC"
+ pr2.doclist[1].t_warehouse = None
+ pr2.doclist[1].qty = 15
+ pr2.doclist[1].transfer_qty = 15
+ pr2.doclist[1].incoming_rate = 0
+ pr2.insert()
+ pr2.submit()
+
+ pr3 = webnotes.bean(copy=stock_entry)
+ pr3.doc.posting_date = "2012-12-31"
+ pr3.doc.posting_time = "08:00"
+ pr3.doc.purpose = "Material Issue"
+ pr3.doclist[1].s_warehouse = "_Test Warehouse - _TC"
+ pr3.doclist[1].t_warehouse = None
+ pr3.doclist[1].qty = 20
+ pr3.doclist[1].transfer_qty = 20
+ pr3.doclist[1].incoming_rate = 0
+ pr3.insert()
+ pr3.submit()
+
+
+ pr4 = webnotes.bean(copy=stock_entry)
+ pr4.doc.posting_date = "2013-01-05"
+ pr4.doc.fiscal_year = "_Test Fiscal Year 2013"
+ pr4.doc.posting_time = "07:00"
+ pr4.doclist[1].qty = 15
+ pr4.doclist[1].transfer_qty = 15
+ pr4.doclist[1].incoming_rate = 1200
+ pr4.insert()
+ pr4.submit()
+
test_dependencies = ["Item", "Warehouse"]
\ No newline at end of file
diff --git a/stock/doctype/warehouse/test_warehouse.py b/stock/doctype/warehouse/test_warehouse.py
index ed72562..76b1818 100644
--- a/stock/doctype/warehouse/test_warehouse.py
+++ b/stock/doctype/warehouse/test_warehouse.py
@@ -5,16 +5,19 @@
[{
"doctype": "Warehouse",
"warehouse_name": "_Test Warehouse",
- "company": "_Test Company"
+ "company": "_Test Company",
+ "create_account_under": "Stock Assets - _TC"
}],
[{
"doctype": "Warehouse",
"warehouse_name": "_Test Warehouse 1",
- "company": "_Test Company"
+ "company": "_Test Company",
+ "create_account_under": "Fixed Assets - _TC"
}],
[{
"doctype": "Warehouse",
"warehouse_name": "_Test Warehouse 2",
+ "create_account_under": "Stock Assets - _TC",
"company": "_Test Company 1"
}, {
"doctype": "Warehouse User",
diff --git a/stock/doctype/warehouse/warehouse.js b/stock/doctype/warehouse/warehouse.js
index 9373c2a..2a58a38 100644
--- a/stock/doctype/warehouse/warehouse.js
+++ b/stock/doctype/warehouse/warehouse.js
@@ -15,4 +15,14 @@
if (check) {
return $c_obj(make_doclist(cdt, cdn), 'merge_warehouses', '', '');
}
-}
\ No newline at end of file
+}
+
+cur_frm.set_query("create_account_under", function() {
+ return {
+ filters: {
+ "company": cur_frm.doc.company,
+ "debit_or_credit": "Debit",
+ 'group_or_ledger': "Group"
+ }
+ }
+})
diff --git a/stock/doctype/warehouse/warehouse.py b/stock/doctype/warehouse/warehouse.py
index 0de27fe..58cf11b 100644
--- a/stock/doctype/warehouse/warehouse.py
+++ b/stock/doctype/warehouse/warehouse.py
@@ -4,9 +4,9 @@
from __future__ import unicode_literals
import webnotes
-from webnotes.utils import flt, validate_email_add
+from webnotes.utils import cint, flt, validate_email_add
from webnotes.model.code import get_obj
-from webnotes import msgprint
+from webnotes import msgprint, _
sql = webnotes.conn.sql
@@ -19,39 +19,47 @@
suffix = " - " + webnotes.conn.get_value("Company", self.doc.company, "abbr")
if not self.doc.warehouse_name.endswith(suffix):
self.doc.name = self.doc.warehouse_name + suffix
-
- def get_bin(self, item_code, warehouse=None):
- warehouse = warehouse or self.doc.name
- bin = sql("select name from tabBin where item_code = %s and \
- warehouse = %s", (item_code, warehouse))
- bin = bin and bin[0][0] or ''
- if not bin:
- bin_wrapper = webnotes.bean([{
- "doctype": "Bin",
- "item_code": item_code,
- "warehouse": warehouse,
- }])
- bin_wrapper.ignore_permissions = 1
- bin_wrapper.insert()
-
- bin_obj = bin_wrapper.make_controller()
- else:
- bin_obj = get_obj('Bin', bin)
- return bin_obj
-
- def update_bin(self, args):
- is_stock_item = webnotes.conn.get_value('Item', args.get("item_code"), 'is_stock_item')
- if is_stock_item == 'Yes':
- bin = self.get_bin(args.get("item_code"))
- bin.update_stock(args)
- return bin
- else:
- msgprint("[Stock Update] Ignored %s since it is not a stock item"
- % args.get("item_code"))
def validate(self):
if self.doc.email_id and not validate_email_add(self.doc.email_id):
msgprint("Please enter valid Email Id", raise_exception=1)
+
+ def on_update(self):
+ self.create_account_head()
+
+ def create_account_head(self):
+ if cint(webnotes.defaults.get_global_default("auto_accounting_for_stock")):
+ if not webnotes.conn.get_value("Account", {"account_type": "Warehouse",
+ "master_name": self.doc.name}) and not webnotes.conn.get_value("Account",
+ {"account_name": self.doc.warehouse_name}):
+ if self.doc.__islocal or not webnotes.conn.get_value("Stock Ledger Entry",
+ {"warehouse": self.doc.name}):
+ self.validate_parent_account()
+ ac_bean = webnotes.bean({
+ "doctype": "Account",
+ 'account_name': self.doc.warehouse_name,
+ 'parent_account': self.doc.create_account_under,
+ 'group_or_ledger':'Ledger',
+ 'company':self.doc.company,
+ "account_type": "Warehouse",
+ "master_name": self.doc.name,
+ "freeze_account": "No"
+ })
+ ac_bean.ignore_permissions = True
+ ac_bean.insert()
+
+ msgprint(_("Account Head") + ": " + ac_bean.doc.name + _(" created"))
+
+ def validate_parent_account(self):
+ if not self.doc.create_account_under:
+ parent_account = webnotes.conn.get_value("Account",
+ {"account_name": "Stock Assets", "company": self.doc.company})
+ if parent_account:
+ self.doc.create_account_under = parent_account
+ else:
+ webnotes.throw(_("Please enter account group under which account \
+ for warehouse ") + self.doc.name +_(" will be created"))
+
def merge_warehouses(self):
webnotes.conn.auto_commit_on_many_writes = 1
@@ -66,6 +74,15 @@
link_fields = rename_doc.get_link_fields('Warehouse')
rename_doc.update_link_field_values(link_fields, self.doc.name, self.doc.merge_with)
+ account_link_fields = rename_doc.get_link_fields('Account')
+ old_warehouse_account = webnotes.conn.get_value("Account", {"master_name": self.doc.name})
+ new_warehouse_account = webnotes.conn.get_value("Account",
+ {"master_name": self.doc.merge_with})
+ rename_doc.update_link_field_values(account_link_fields, old_warehouse_account,
+ new_warehouse_account)
+
+ webnotes.conn.delete_doc("Account", old_warehouse_account)
+
for item_code in items:
self.repost(item_code[0], self.doc.merge_with)
@@ -76,9 +93,10 @@
def repost(self, item_code, warehouse=None):
+ from stock.utils import get_bin
self.repost_actual_qty(item_code, warehouse)
- bin = self.get_bin(item_code, warehouse)
+ bin = get_bin(item_code, warehouse)
self.repost_reserved_qty(bin)
self.repost_indented_qty(bin)
self.repost_ordered_qty(bin)
@@ -173,15 +191,22 @@
else:
sql("delete from `tabBin` where name = %s", d['name'])
+ warehouse_account = webnotes.conn.get_value("Account",
+ {"account_type": "Warehosue", "master_name": self.doc.name})
+ if warehouse_account:
+ webnotes.delete_doc("Account", warehouse_account)
+
# delete cancelled sle
- if sql("""select name from `tabStock Ledger Entry`
- where warehouse = %s and ifnull('is_cancelled', '') = 'No'""", self.doc.name):
+ if sql("""select name from `tabStock Ledger Entry` where warehouse = %s""", self.doc.name):
msgprint("""Warehosue can not be deleted as stock ledger entry
exists for this warehouse.""", raise_exception=1)
else:
sql("delete from `tabStock Ledger Entry` where warehouse = %s", self.doc.name)
def on_rename(self, newdn, olddn, merge=False):
+ webnotes.conn.set_value("Account", {"account_type": "Warehouse", "master_name": olddn},
+ "master_name", newdn)
+
if merge:
from stock.stock_ledger import update_entries_after
for item_code in webnotes.conn.sql("""select item_code from `tabBin`
diff --git a/stock/doctype/warehouse/warehouse.txt b/stock/doctype/warehouse/warehouse.txt
index 631b968..76ddac7 100644
--- a/stock/doctype/warehouse/warehouse.txt
+++ b/stock/doctype/warehouse/warehouse.txt
@@ -2,7 +2,7 @@
{
"creation": "2013-03-07 18:50:32",
"docstatus": 0,
- "modified": "2013-07-23 12:01:16",
+ "modified": "2013-09-16 10:45:49",
"modified_by": "Administrator",
"owner": "Administrator"
},
@@ -20,8 +20,7 @@
"name": "__common__",
"parent": "Warehouse",
"parentfield": "fields",
- "parenttype": "DocType",
- "read_only": 0
+ "parenttype": "DocType"
},
{
"doctype": "DocPerm",
@@ -43,7 +42,8 @@
"fieldtype": "Section Break",
"label": "Warehouse Detail",
"oldfieldtype": "Section Break",
- "permlevel": 0
+ "permlevel": 0,
+ "read_only": 0
},
{
"doctype": "DocField",
@@ -53,6 +53,7 @@
"oldfieldname": "warehouse_name",
"oldfieldtype": "Data",
"permlevel": 0,
+ "read_only": 0,
"reqd": 1
},
{
@@ -65,14 +66,26 @@
"oldfieldtype": "Link",
"options": "Company",
"permlevel": 0,
+ "read_only": 0,
"reqd": 1,
"search_index": 1
},
{
+ "depends_on": "eval:sys_defaults.auto_accounting_for_stock",
+ "description": "Account for the warehouse (Perpetual Inventory) will be created under this Account.",
+ "doctype": "DocField",
+ "fieldname": "create_account_under",
+ "fieldtype": "Link",
+ "label": "Create Account Under",
+ "options": "Account",
+ "permlevel": 0
+ },
+ {
"doctype": "DocField",
"fieldname": "column_break_4",
"fieldtype": "Section Break",
- "permlevel": 0
+ "permlevel": 0,
+ "read_only": 0
},
{
"description": "If set, data entry is only allowed for specified users. Else, entry is allowed for all users with requisite permissions.",
@@ -81,7 +94,8 @@
"fieldtype": "Table",
"label": "Warehouse Users",
"options": "Warehouse User",
- "permlevel": 0
+ "permlevel": 0,
+ "read_only": 0
},
{
"description": "For Reference Only.",
@@ -89,7 +103,8 @@
"fieldname": "warehouse_contact_info",
"fieldtype": "Section Break",
"label": "Warehouse Contact Info",
- "permlevel": 0
+ "permlevel": 0,
+ "read_only": 0
},
{
"doctype": "DocField",
@@ -100,7 +115,8 @@
"oldfieldname": "email_id",
"oldfieldtype": "Data",
"permlevel": 0,
- "print_hide": 0
+ "print_hide": 0,
+ "read_only": 0
},
{
"doctype": "DocField",
@@ -110,7 +126,8 @@
"oldfieldname": "phone_no",
"oldfieldtype": "Int",
"options": "Phone",
- "permlevel": 0
+ "permlevel": 0,
+ "read_only": 0
},
{
"doctype": "DocField",
@@ -120,14 +137,16 @@
"oldfieldname": "mobile_no",
"oldfieldtype": "Int",
"options": "Phone",
- "permlevel": 0
+ "permlevel": 0,
+ "read_only": 0
},
{
"doctype": "DocField",
"fieldname": "column_break0",
"fieldtype": "Column Break",
"oldfieldtype": "Column Break",
- "permlevel": 0
+ "permlevel": 0,
+ "read_only": 0
},
{
"doctype": "DocField",
@@ -136,7 +155,8 @@
"label": "Address Line 1",
"oldfieldname": "address_line_1",
"oldfieldtype": "Data",
- "permlevel": 0
+ "permlevel": 0,
+ "read_only": 0
},
{
"doctype": "DocField",
@@ -145,7 +165,8 @@
"label": "Address Line 2",
"oldfieldname": "address_line_2",
"oldfieldtype": "Data",
- "permlevel": 0
+ "permlevel": 0,
+ "read_only": 0
},
{
"doctype": "DocField",
@@ -156,6 +177,7 @@
"oldfieldname": "city",
"oldfieldtype": "Data",
"permlevel": 0,
+ "read_only": 0,
"reqd": 0
},
{
@@ -166,7 +188,8 @@
"oldfieldname": "state",
"oldfieldtype": "Select",
"options": "Suggest",
- "permlevel": 0
+ "permlevel": 0,
+ "read_only": 0
},
{
"doctype": "DocField",
@@ -175,7 +198,8 @@
"label": "PIN",
"oldfieldname": "pin",
"oldfieldtype": "Int",
- "permlevel": 0
+ "permlevel": 0,
+ "read_only": 0
},
{
"description": "This feature is for merging duplicate warehouses. It will replace all the links of this warehouse by \"Merge Into\" warehouse. After merging you can delete this warehouse, as stock level for this warehouse will be zero.",
@@ -183,7 +207,8 @@
"fieldname": "merge_warehouses_section",
"fieldtype": "Section Break",
"label": "Merge Warehouses",
- "permlevel": 2
+ "permlevel": 2,
+ "read_only": 0
},
{
"doctype": "DocField",
@@ -191,14 +216,16 @@
"fieldtype": "Link",
"label": "Merge Into",
"options": "Warehouse",
- "permlevel": 2
+ "permlevel": 2,
+ "read_only": 0
},
{
"doctype": "DocField",
"fieldname": "merge",
"fieldtype": "Button",
"label": "Merge",
- "permlevel": 2
+ "permlevel": 2,
+ "read_only": 0
},
{
"amend": 0,
diff --git a/stock/page/stock_home/stock_home.js b/stock/page/stock_home/stock_home.js
index 1cab754..63db608 100644
--- a/stock/page/stock_home/stock_home.js
+++ b/stock/page/stock_home/stock_home.js
@@ -201,9 +201,9 @@
doctype: "Serial No"
},
{
- "label":wn._("Item-Wise Price List"),
- route: "query-report/Item-Wise Price List",
- doctype: "Item"
+ "label":wn._("Item-wise Price List Rate"),
+ route: "Report/Price List/Item-Wise Price List",
+ doctype: "Price List"
},
{
"label":wn._("Purchase In Transit"),
diff --git a/stock/report/batch_wise_balance_history/batch_wise_balance_history.py b/stock/report/batch_wise_balance_history/batch_wise_balance_history.py
index e198b8e..db0c240 100644
--- a/stock/report/batch_wise_balance_history/batch_wise_balance_history.py
+++ b/stock/report/batch_wise_balance_history/batch_wise_balance_history.py
@@ -52,7 +52,7 @@
return webnotes.conn.sql("""select item_code, batch_no, warehouse,
posting_date, actual_qty
from `tabStock Ledger Entry`
- where ifnull(is_cancelled, 'No') = 'No' %s order by item_code, warehouse""" %
+ where docstatus < 2 %s order by item_code, warehouse""" %
conditions, as_dict=1)
def get_item_warehouse_batch_map(filters):
diff --git a/stock/report/item_wise_price_list/item_wise_price_list.txt b/stock/report/item_wise_price_list/item_wise_price_list.txt
deleted file mode 100644
index b3d5717..0000000
--- a/stock/report/item_wise_price_list/item_wise_price_list.txt
+++ /dev/null
@@ -1,22 +0,0 @@
-[
- {
- "creation": "2013-02-22 18:01:55",
- "docstatus": 0,
- "modified": "2013-09-10 15:50:26",
- "modified_by": "Administrator",
- "owner": "Administrator"
- },
- {
- "doctype": "Report",
- "is_standard": "Yes",
- "name": "__common__",
- "query": "select\n item.name as \"ID:Link/Item:120\", \n item.item_name as \"Item Name::120\", \n item_price.parent as \"Price List::80\",\n price_list.currency as \"Currency::40\", \n item_price.ref_rate as \"Rate:Float:80\",\n item.description as \"Description::160\",\n item.item_group as \"Item Group:Link/Item Group:100\",\n item.brand as \"Brand::100\"\nfrom `tabItem` item, `tabItem Price` item_price, `tabPrice List` price_list\nwhere\n item_price.item_code = item.name and\n item_price.parent = price_list.name",
- "ref_doctype": "Item",
- "report_name": "Item-Wise Price List",
- "report_type": "Query Report"
- },
- {
- "doctype": "Report",
- "name": "Item-Wise Price List"
- }
-]
\ No newline at end of file
diff --git a/stock/report/stock_ledger/stock_ledger.txt b/stock/report/stock_ledger/stock_ledger.txt
index 34df640..a40be1d 100644
--- a/stock/report/stock_ledger/stock_ledger.txt
+++ b/stock/report/stock_ledger/stock_ledger.txt
@@ -2,14 +2,14 @@
{
"creation": "2013-01-14 15:26:21",
"docstatus": 0,
- "modified": "2013-02-22 15:53:01",
+ "modified": "2013-08-20 11:53:43",
"modified_by": "Administrator",
"owner": "Administrator"
},
{
"doctype": "Report",
"is_standard": "Yes",
- "json": "{\"filters\":[[\"Stock Ledger Entry\",\"is_cancelled\",\"=\",\"No\"]],\"columns\":[[\"item_code\",\"Stock Ledger Entry\"],[\"warehouse\",\"Stock Ledger Entry\"],[\"posting_date\",\"Stock Ledger Entry\"],[\"posting_time\",\"Stock Ledger Entry\"],[\"actual_qty\",\"Stock Ledger Entry\"],[\"qty_after_transaction\",\"Stock Ledger Entry\"],[\"voucher_type\",\"Stock Ledger Entry\"],[\"voucher_no\",\"Stock Ledger Entry\"]],\"sort_by\":\"Stock Ledger Entry.posting_date\",\"sort_order\":\"desc\",\"sort_by_next\":\"Stock Ledger Entry.posting_time\",\"sort_order_next\":\"desc\"}",
+ "json": "{\"filters\":[],\"columns\":[[\"item_code\",\"Stock Ledger Entry\"],[\"warehouse\",\"Stock Ledger Entry\"],[\"posting_date\",\"Stock Ledger Entry\"],[\"posting_time\",\"Stock Ledger Entry\"],[\"actual_qty\",\"Stock Ledger Entry\"],[\"qty_after_transaction\",\"Stock Ledger Entry\"],[\"voucher_type\",\"Stock Ledger Entry\"],[\"voucher_no\",\"Stock Ledger Entry\"]],\"sort_by\":\"Stock Ledger Entry.posting_date\",\"sort_order\":\"desc\",\"sort_by_next\":\"Stock Ledger Entry.posting_time\",\"sort_order_next\":\"desc\"}",
"name": "__common__",
"ref_doctype": "Stock Ledger Entry",
"report_name": "Stock Ledger",
diff --git a/stock/report/warehouse_wise_stock_balance/warehouse_wise_stock_balance.py b/stock/report/warehouse_wise_stock_balance/warehouse_wise_stock_balance.py
index 4d42c22..a1f7d44 100644
--- a/stock/report/warehouse_wise_stock_balance/warehouse_wise_stock_balance.py
+++ b/stock/report/warehouse_wise_stock_balance/warehouse_wise_stock_balance.py
@@ -52,7 +52,7 @@
return webnotes.conn.sql("""select item_code, warehouse,
posting_date, actual_qty, company
from `tabStock Ledger Entry`
- where ifnull(is_cancelled, 'No') = 'No' %s order by item_code, warehouse""" %
+ where docstatus < 2 %s order by item_code, warehouse""" %
conditions, as_dict=1)
def get_item_warehouse_map(filters):
diff --git a/stock/stock_ledger.py b/stock/stock_ledger.py
index f0619c7..197aa0d 100644
--- a/stock/stock_ledger.py
+++ b/stock/stock_ledger.py
@@ -3,13 +3,58 @@
import webnotes
from webnotes import msgprint
-from webnotes.utils import cint, flt, cstr
+from webnotes.utils import cint, flt, cstr, now
from stock.utils import get_valuation_method
import json
# future reposting
class NegativeStockError(webnotes.ValidationError): pass
+def make_sl_entries(sl_entries, is_amended=None):
+ if sl_entries:
+ from stock.utils import update_bin
+
+ cancel = True if sl_entries[0].get("is_cancelled") == "Yes" else False
+ if cancel:
+ set_as_cancel(sl_entries[0].get('voucher_no'), sl_entries[0].get('voucher_type'))
+
+ for sle in sl_entries:
+ sle_id = None
+ if sle.get('is_cancelled') == 'Yes':
+ sle['actual_qty'] = -flt(sle['actual_qty'])
+
+ if sle.get("actual_qty"):
+ sle_id = make_entry(sle)
+
+ args = sle.copy()
+ args.update({
+ "sle_id": sle_id,
+ "is_amended": is_amended
+ })
+ update_bin(args)
+
+ if cancel:
+ delete_cancelled_entry(sl_entries[0].get('voucher_type'),
+ sl_entries[0].get('voucher_no'))
+
+def set_as_cancel(voucher_type, voucher_no):
+ webnotes.conn.sql("""update `tabStock Ledger Entry` set is_cancelled='Yes',
+ modified=%s, modified_by=%s
+ where voucher_no=%s and voucher_type=%s""",
+ (now(), webnotes.session.user, voucher_type, voucher_no))
+
+def make_entry(args):
+ args.update({"doctype": "Stock Ledger Entry"})
+ sle = webnotes.bean([args])
+ sle.ignore_permissions = 1
+ sle.insert()
+ sle.submit()
+ return sle.doc.name
+
+def delete_cancelled_entry(voucher_type, voucher_no):
+ webnotes.conn.sql("""delete from `tabStock Ledger Entry`
+ where voucher_type=%s and voucher_no=%s""", (voucher_type, voucher_no))
+
_exceptions = []
def update_entries_after(args, verbose=1):
"""
@@ -31,13 +76,15 @@
qty_after_transaction = flt(previous_sle.get("qty_after_transaction"))
valuation_rate = flt(previous_sle.get("valuation_rate"))
stock_queue = json.loads(previous_sle.get("stock_queue") or "[]")
- stock_value = 0.0
-
+ stock_value = flt(previous_sle.get("stock_value"))
+ prev_stock_value = flt(previous_sle.get("stock_value"))
+
entries_to_fix = get_sle_after_datetime(previous_sle or \
{"item_code": args["item_code"], "warehouse": args["warehouse"]}, for_update=True)
-
+
valuation_method = get_valuation_method(args["item_code"])
-
+ stock_value_difference = 0.0
+
for sle in entries_to_fix:
if sle.serial_no or not cint(webnotes.conn.get_default("allow_negative_stock")):
# validate negative stock for serialized items, fifo valuation
@@ -45,7 +92,7 @@
if not validate_negative_stock(qty_after_transaction, sle):
qty_after_transaction += flt(sle.actual_qty)
continue
-
+
if sle.serial_no:
valuation_rate = get_serialized_values(qty_after_transaction, sle, valuation_rate)
elif valuation_method == "Moving Average":
@@ -63,13 +110,16 @@
(qty_after_transaction * valuation_rate) or 0
else:
stock_value = sum((flt(batch[0]) * flt(batch[1]) for batch in stock_queue))
- # print sle.posting_date, sle.actual_qty, sle.incoming_rate, stock_queue, stock_value
+
+ stock_value_difference = stock_value - prev_stock_value
+ prev_stock_value = stock_value
+
# update current sle
webnotes.conn.sql("""update `tabStock Ledger Entry`
set qty_after_transaction=%s, valuation_rate=%s, stock_queue=%s,
- stock_value=%s where name=%s""",
+ stock_value=%s, stock_value_difference=%s where name=%s""",
(qty_after_transaction, valuation_rate,
- json.dumps(stock_queue), stock_value, sle.name))
+ json.dumps(stock_queue), stock_value, stock_value_difference, sle.name))
if _exceptions:
_raise_exceptions(args, verbose)
@@ -124,7 +174,7 @@
return webnotes.conn.sql("""select * from `tabStock Ledger Entry`
where item_code = %%(item_code)s
and warehouse = %%(warehouse)s
- and ifnull(is_cancelled, 'No') = 'No'
+ and ifnull(is_cancelled, 'No')='No'
%(conditions)s
order by timestamp(posting_date, posting_time) %(order)s, name %(order)s
%(limit)s %(for_update)s""" % {
diff --git a/stock/utils.py b/stock/utils.py
index 52471e4..8836c6c 100644
--- a/stock/utils.py
+++ b/stock/utils.py
@@ -9,6 +9,59 @@
from webnotes.utils.email_lib import sendmail
class UserNotAllowedForWarehouse(webnotes.ValidationError): pass
+
+def get_stock_balance_on(warehouse, posting_date=None):
+ if not posting_date: posting_date = nowdate()
+
+ stock_ledger_entries = webnotes.conn.sql("""
+ SELECT
+ item_code, stock_value
+ FROM
+ `tabStock Ledger Entry`
+ WHERE
+ warehouse=%s AND posting_date <= %s
+ ORDER BY timestamp(posting_date, posting_time) DESC, name DESC
+ """, (warehouse, posting_date), as_dict=1)
+
+ sle_map = {}
+ for sle in stock_ledger_entries:
+ sle_map.setdefault(sle.item_code, flt(sle.stock_value))
+
+ return sum(sle_map.values())
+
+def get_latest_stock_balance():
+ bin_map = {}
+ for d in webnotes.conn.sql("""SELECT item_code, warehouse, stock_value as stock_value
+ FROM tabBin""", as_dict=1):
+ bin_map.setdefault(d.warehouse, {}).setdefault(d.item_code, flt(d.stock_value))
+
+ return bin_map
+
+def get_bin(item_code, warehouse):
+ bin = webnotes.conn.get_value("Bin", {"item_code": item_code, "warehouse": warehouse})
+ if not bin:
+ bin_wrapper = webnotes.bean([{
+ "doctype": "Bin",
+ "item_code": item_code,
+ "warehouse": warehouse,
+ }])
+ bin_wrapper.ignore_permissions = 1
+ bin_wrapper.insert()
+ bin_obj = bin_wrapper.make_controller()
+ else:
+ from webnotes.model.code import get_obj
+ bin_obj = get_obj('Bin', bin)
+ return bin_obj
+
+def update_bin(args):
+ is_stock_item = webnotes.conn.get_value('Item', args.get("item_code"), 'is_stock_item')
+ if is_stock_item == 'Yes':
+ bin = get_bin(args.get("item_code"), args.get("warehouse"))
+ bin.update_stock(args)
+ return bin
+ else:
+ msgprint("[Stock Update] Ignored %s since it is not a stock item"
+ % args.get("item_code"))
def validate_end_of_life(item_code, end_of_life=None, verbose=1):
if not end_of_life:
@@ -184,7 +237,6 @@
sle.voucher_detail_no == item_row:
previous_stock_value = len(stock_ledger_entries) > i+1 and \
flt(stock_ledger_entries[i+1].stock_value) or 0.0
-
buying_amount = previous_stock_value - flt(sle.stock_value)
return buying_amount
@@ -335,3 +387,12 @@
from webnotes.profile import get_system_managers
sendmail(get_system_managers(), subject=subject, msg=msg)
+
+
+def repost():
+ """
+ Repost everything!
+ """
+ from webnotes.model.code import get_obj
+ for wh in webnotes.conn.sql("select name from tabWarehouse"):
+ get_obj('Warehouse', wh[0]).repost_stock()
diff --git a/utilities/demo/make_demo.py b/utilities/demo/make_demo.py
index a526c2a..046e81a 100644
--- a/utilities/demo/make_demo.py
+++ b/utilities/demo/make_demo.py
@@ -271,7 +271,9 @@
st = webnotes.bean(make_stock_entry(pro_id, purpose))
st.doc.posting_date = current_date
st.doc.fiscal_year = "2013"
- st.doc.expense_adjustment_account = "Stock in Hand - WP"
+ for d in st.doclist.get({"parentfield": "mtn_details"}):
+ d.expense_account = "Stock Adjustment - " + company_abbr
+ d.cost_center = "Main - " + company_abbr
st.insert()
webnotes.conn.commit()
st.submit()
@@ -414,4 +416,4 @@
if submit:
webnotes.form_dict["params"] = json.dumps({"_submit": 1})
webnotes.uploaded_file = os.path.join(os.path.dirname(__file__), "demo_docs", doctype+".csv")
- upload(overwrite=overwrite)
\ No newline at end of file
+ upload(overwrite=overwrite)
diff --git a/utilities/transaction_base.py b/utilities/transaction_base.py
index 57591fd..36231bf 100644
--- a/utilities/transaction_base.py
+++ b/utilities/transaction_base.py
@@ -143,7 +143,8 @@
self.doc.fields.update(self.get_lead_defaults())
def get_customer_address(self, args):
- args = load_json(args)
+ args = load_json(args)
+ webnotes.errprint(args)
ret = {
'customer_address' : args["address"],
'address_display' : get_address_display(args["address"]),