account-closing/account_multicurrency_revaluation/model/account.py

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2021-03-23 19:28:14 +00:00
# Copyright 2012-2018 Camptocamp SA
# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl).
from flectra import models, fields, api
class AccountAccountLine(models.Model):
_inherit = 'account.move.line'
# By convention added columns stats with gl_.
gl_foreign_balance = fields.Float(string='Aggregated Amount currency')
gl_balance = fields.Float(string='Aggregated Amount')
gl_revaluated_balance = fields.Float(string='Revaluated Amount')
gl_currency_rate = fields.Float(string='Currency rate')
class AccountAccount(models.Model):
_inherit = 'account.account'
currency_revaluation = fields.Boolean(
string="Allow Currency revaluation",
default=False,
)
_sql_mapping = {
'balance': "COALESCE(SUM(debit),0) - COALESCE(SUM(credit), 0) as "
"balance",
'debit': "COALESCE(SUM(debit), 0) as debit",
'credit': "COALESCE(SUM(credit), 0) as credit",
'foreign_balance': "COALESCE(SUM(amount_currency), 0) as foreign_"
"balance",
}
def init(self):
# all receivable, payable and Bank and Cash accounts should
# have currency_revaluation True by default
res = super().init()
accounts = self.env["account.account"].search([
('user_type_id.id', 'in', self._get_revaluation_account_types()),
('currency_revaluation', '=', False),
])
accounts.write({
'currency_revaluation': True,
})
return res
def _get_revaluation_account_types(self):
return [
self.env.ref("account.data_account_type_receivable").id,
self.env.ref("account.data_account_type_payable").id,
self.env.ref("account.data_account_type_liquidity").id,
]
@api.multi
@api.onchange('user_type_id')
def _onchange_user_type_id(self):
revaluation_accounts = self._get_revaluation_account_types()
for rec in self:
if rec.user_type_id.id in revaluation_accounts:
rec.currency_revaluation = True
@api.multi
def _revaluation_query(self, revaluation_date):
tables, where_clause, where_clause_params = \
self.env['account.move.line']._query_get()
query = ("with amount as ( SELECT aml.account_id, aml.partner_id, "
"aml.currency_id, aml.debit, aml.credit, aml.amount_currency "
"FROM account_move_line aml LEFT JOIN "
"account_partial_reconcile aprc ON (aml.balance < 0 "
"AND aml.id = aprc.credit_move_id) LEFT JOIN "
"account_move_line amlcf ON (aml.balance < 0 "
"AND aprc.debit_move_id = amlcf.id "
"AND amlcf.date < %s ) LEFT JOIN "
"account_partial_reconcile aprd ON (aml.balance > 0 "
"AND aml.id = aprd.debit_move_id) LEFT JOIN "
"account_move_line amldf ON (aml.balance > 0 "
"AND aprd.credit_move_id = amldf.id "
"AND amldf.date < %s ) "
"WHERE aml.account_id IN %s "
"AND aml.date <= %s "
"AND aml.currency_id IS NOT NULL "
"GROUP BY aml.id "
"HAVING aml.full_reconcile_id IS NULL "
"OR (MAX(amldf.id) IS NULL AND MAX(amlcf.id) IS NULL)"
") SELECT account_id as id, partner_id, currency_id, " +
', '.join(self._sql_mapping.values()) +
" FROM amount " +
(("WHERE " + where_clause) if where_clause else " ") +
" GROUP BY account_id, currency_id, partner_id")
params = []
params.append(revaluation_date)
params.append(revaluation_date)
params.append(tuple(self.ids))
params.append(revaluation_date)
params += where_clause_params
return query, params
@api.multi
def compute_revaluations(self, revaluation_date):
accounts = {}
# compute for each account the balance/debit/credit from the move lines
query, params = self._revaluation_query(revaluation_date)
self.env.cr.execute(query, params)
lines = self.env.cr.dictfetchall()
for line in lines:
# generate a tree
# - account_id
# -- currency_id
# --- partner_id
# ----- balances
account_id, currency_id, partner_id = \
line['id'], line['currency_id'], line['partner_id']
accounts.setdefault(account_id, {})
accounts[account_id].setdefault(currency_id, {})
accounts[account_id][currency_id].\
setdefault(partner_id, {})
accounts[account_id][currency_id][partner_id] = line
return accounts