mirror of
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359 lines
13 KiB
Python
359 lines
13 KiB
Python
# Copyright 2012-2018 Camptocamp SA
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# Copyright 2020 CorporateHub (https://corporatehub.eu)
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# License AGPL-3.0 or later (http://www.gnu.org/licenses/agpl).
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from flectra import _, api, exceptions, fields, models
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from flectra.tools import float_repr
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class WizardCurrencyRevaluation(models.TransientModel):
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_name = "wizard.currency.revaluation"
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_description = "Currency Revaluation Wizard"
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@api.model
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def _get_default_revaluation_date(self):
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return fields.Date.today()
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@api.model
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def _get_default_journal_id(self):
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return self.env.user.company_id.currency_reval_journal_id
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@api.model
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def _get_default_label(self):
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return "%(currency)s %(account)s %(rate)s currency revaluation"
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revaluation_date = fields.Date(
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string="Revaluation Date",
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required=True,
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default=lambda self: self._get_default_revaluation_date(),
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)
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journal_id = fields.Many2one(
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comodel_name="account.journal",
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string="Journal",
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domain=[("type", "=", "general")],
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help="You can set the default journal in company settings.",
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required=True,
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default=lambda self: self._get_default_journal_id(),
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)
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label = fields.Char(
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string="Entry description",
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size=100,
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help="This label will be inserted in entries description. "
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"You can use %(account)s, %(account_name)s, %(currency)s and "
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"%(rate)s keywords.",
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required=True,
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default=lambda self: self._get_default_label(),
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)
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def _create_move_and_lines(
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self,
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amount,
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debit_account_id,
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credit_account_id,
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sums,
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label,
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form,
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partner_id,
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currency_id,
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analytic_debit_acc_id=False,
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analytic_credit_acc_id=False,
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):
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base_move = {
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"journal_id": form.journal_id.id,
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"date": form.revaluation_date,
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}
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if form.journal_id.company_id.reversable_revaluations:
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base_move["revaluation_to_reverse"] = True
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base_line = {
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"name": label,
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"partner_id": partner_id,
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"currency_id": currency_id,
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"amount_currency": 0.0,
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"date": form.revaluation_date,
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}
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base_line["gl_foreign_balance"] = sums.get("foreign_balance", 0.0)
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base_line["gl_balance"] = sums.get("balance", 0.0)
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base_line["gl_revaluated_balance"] = sums.get("revaluated_balance", 0.0)
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base_line["gl_currency_rate"] = sums.get("currency_rate", 0.0)
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debit_line = base_line.copy()
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credit_line = base_line.copy()
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debit_line.update(
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{"debit": amount, "credit": 0.0, "account_id": debit_account_id}
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)
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if analytic_debit_acc_id:
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credit_line.update({"analytic_account_id": analytic_debit_acc_id})
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credit_line.update(
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{"debit": 0.0, "credit": amount, "account_id": credit_account_id}
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)
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if analytic_credit_acc_id:
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credit_line.update({"analytic_account_id": analytic_credit_acc_id})
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base_move["line_ids"] = [(0, 0, debit_line), (0, 0, credit_line)]
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created_move = self.env["account.move"].create(base_move)
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if self.journal_id.company_id.auto_post_entries:
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created_move.action_post()
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return [x.id for x in created_move.line_ids]
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def _compute_unrealized_currency_gl(self, currency, balances):
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"""
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Update data dict with the unrealized currency gain and loss
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plus add 'currency_rate' which is the value used for rate in
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computation
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@param int currency: currency to revaluate
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@param dict balances: contains foreign balance and balance
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@return: updated data for foreign balance plus rate value used
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"""
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balance = balances.get("balance", 0.0)
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if currency == self.journal_id.company_id.currency_id:
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return {
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"currency_rate": 1.0,
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"unrealized_gain_loss": 0.0,
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"revaluated_balance": balance,
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}
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foreign_balance = balances.get("foreign_balance", 0.0)
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adjusted_balance = currency._convert(
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foreign_balance,
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self.journal_id.company_id.currency_id,
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self.journal_id.company_id,
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self.revaluation_date,
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)
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unrealized_gain_loss = adjusted_balance - balance
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return {
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"currency_rate": currency.rate,
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"unrealized_gain_loss": unrealized_gain_loss,
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"revaluated_balance": adjusted_balance,
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}
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@api.model
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def _format_balance_adjustment_label(self, fmt, account, currency, rate):
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return fmt % {
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"account": account.code or _("N/A"),
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"account_name": account.name or _("N/A"),
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"currency": currency.name or _("N/A"),
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"rate": float_repr(rate, 6),
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}
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def _write_adjust_balance(
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self, account, currency, partner_id, amount, label, form, sums
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):
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if partner_id is None:
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partner_id = False
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company = form.journal_id.company_id or self.env.user.company_id
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created_ids = []
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amount_vs_zero = currency.compare_amounts(amount, 0.0)
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if amount_vs_zero == 1:
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if company.revaluation_gain_account_id:
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line_ids = self._create_move_and_lines(
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amount,
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account.id,
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company.revaluation_gain_account_id.id,
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sums,
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label,
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form,
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partner_id,
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currency.id,
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analytic_credit_acc_id=(company.revaluation_analytic_account_id.id),
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)
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created_ids.extend(line_ids)
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if (
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company.provision_bs_gain_account_id
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and company.provision_pl_gain_account_id
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):
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line_ids = self._create_move_and_lines(
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amount,
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company.provision_bs_gain_account_id.id,
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company.provision_pl_gain_account_id.id,
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sums,
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label,
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form,
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partner_id,
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currency.id,
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analytic_credit_acc_id=(
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company.provision_pl_analytic_account_id.id
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),
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)
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created_ids.extend(line_ids)
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elif amount_vs_zero == -1:
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if company.revaluation_loss_account_id:
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line_ids = self._create_move_and_lines(
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-amount,
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company.revaluation_loss_account_id.id,
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account.id,
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sums,
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label,
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form,
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partner_id,
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currency.id,
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analytic_debit_acc_id=(company.revaluation_analytic_account_id.id),
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)
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created_ids.extend(line_ids)
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if (
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company.provision_bs_loss_account_id
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and company.provision_pl_loss_account_id
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):
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line_ids = self._create_move_and_lines(
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-amount,
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company.provision_pl_loss_account_id.id,
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company.provision_bs_loss_account_id.id,
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sums,
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label,
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form,
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partner_id,
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currency.id,
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analytic_debit_acc_id=(company.provision_pl_analytic_account_id.id),
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)
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created_ids.extend(line_ids)
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return created_ids
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def _validate_company_revaluation_configuration(self, company):
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return (
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(
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company.revaluation_loss_account_id
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and company.revaluation_gain_account_id
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)
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or (
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company.provision_bs_loss_account_id
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and company.provision_pl_loss_account_id
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)
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or (
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company.provision_bs_gain_account_id
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and company.provision_pl_gain_account_id
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)
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)
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def revaluate_currency(self):
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"""
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Compute unrealized currency gain and loss and add entries to
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adjust balances
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@return: dict to open an Entries view filtered on generated move lines
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"""
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Account = self.env["account.account"]
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Currency = self.env["res.currency"]
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company = self.journal_id.company_id or self.env.user.company_id
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if not self._validate_company_revaluation_configuration(company):
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raise exceptions.UserError(
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_(
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"No revaluation or provision account are defined"
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" for your company.\n"
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"You must specify at least one provision account or"
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" a couple of provision account in the accounting settings."
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)
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)
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# Search for accounts Balance Sheet to be revaluated
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# on those criteria
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# - deferral method of account type is not None
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account_ids = Account.search(
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[
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("user_type_id.include_initial_balance", "=", "True"),
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("currency_revaluation", "=", True),
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("company_id", "=", company.id),
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]
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)
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if not account_ids:
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raise exceptions.UserError(
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_(
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"No account to be revaluated found. "
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"Please check 'Allow Currency Revaluation' "
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"for at least one account in account form."
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)
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)
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revaluations = account_ids.compute_revaluations(self.revaluation_date)
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for account_id, by_account in revaluations.items():
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account = Account.browse(account_id)
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if account.internal_type == "liquidity" and (
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not account.currency_id
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or account.currency_id == account.company_id.currency_id
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):
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# NOTE: There's no point of revaluating anying on bank account
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# if bank account currency matches company currency.
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continue
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for partner_id, by_partner in by_account.items():
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for currency_id, lines in by_partner.items():
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currency = Currency.browse(currency_id).with_context(
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date=self.revaluation_date
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)
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diff_balances = self._compute_unrealized_currency_gl(
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currency, lines
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)
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revaluations[account_id][partner_id][currency_id].update(
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diff_balances
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)
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# Create entries only after all computation have been done
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created_ids = []
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for account_id, by_account in revaluations.items():
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account = Account.browse(account_id)
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for partner_id, by_partner in by_account.items():
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for currency_id, lines in by_partner.items():
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currency = Currency.browse(currency_id)
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adj_balance = lines.get("unrealized_gain_loss", 0.0)
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if currency.is_zero(adj_balance):
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continue
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rate = lines.get("currency_rate", 0.0)
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label = self._format_balance_adjustment_label(
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self.label, account, currency, rate
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)
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new_ids = self._write_adjust_balance(
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account, currency, partner_id, adj_balance, label, self, lines
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)
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created_ids.extend(new_ids)
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# In case revaluation date is before today, it's safe to run reversing
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# w/o waiting tomorrow, since otherwise it would cause confusion when
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# revaluating historical entries for multiple years within one day.
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if (
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self.journal_id.company_id.reversable_revaluations
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and self.revaluation_date < fields.Date.context_today(self)
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):
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reversing_moves = self.env["account.move"].search(
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[
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("journal_id", "in", self.mapped("journal_id.id")),
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("state", "=", "posted"),
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("revaluation_to_reverse", "=", True),
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("reversed_entry_id", "=", False),
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],
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limit=1,
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)
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reversing_moves._reverse_moves()
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if created_ids:
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return {
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"domain": [("id", "in", created_ids)],
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"name": _("Created revaluation lines"),
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"view_mode": "tree,form",
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"auto_search": True,
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"res_model": "account.move.line",
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"view_id": False,
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"search_view_id": False,
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"type": "ir.actions.act_window",
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}
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else:
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raise exceptions.UserError(_("No accounting entry has been posted."))
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