account-financial-reporting/partner_statement/report/outstanding_statement.py

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2024-10-01 05:15:34 +00:00
# Copyright 2018 ForgeFlow, S.L. (https://www.forgeflow.com)
# License AGPL-3.0 or later (https://www.gnu.org/licenses/agpl.html).
from flectra import api, models
from flectra.tools.float_utils import float_is_zero
class OutstandingStatement(models.AbstractModel):
"""Model of Outstanding Statement"""
_inherit = "statement.common"
_name = "report.partner_statement.outstanding_statement"
_description = "Partner Outstanding Statement"
def _display_outstanding_lines_sql_q1(self, partners, date_end, account_type):
partners = tuple(partners)
return str(
self._cr.mogrify(
"""
SELECT l.id, m.name AS move_id, l.partner_id, l.date, l.name,
l.blocked, l.currency_id, l.company_id,
CASE WHEN l.ref IS NOT NULL
THEN l.ref
ELSE m.ref
END as ref,
CASE WHEN (l.currency_id is not null AND l.amount_currency > 0.0)
THEN avg(l.amount_currency)
ELSE avg(l.debit)
END as debit,
CASE WHEN (l.currency_id is not null AND l.amount_currency < 0.0)
THEN avg(l.amount_currency * (-1))
ELSE avg(l.credit)
END as credit,
CASE WHEN l.balance > 0.0
THEN l.balance - sum(coalesce(pd.amount, 0.0))
ELSE l.balance + sum(coalesce(pc.amount, 0.0))
END AS open_amount,
CASE WHEN l.balance > 0.0
THEN l.amount_currency - sum(coalesce(pd.debit_amount_currency, 0.0))
ELSE l.amount_currency + sum(coalesce(pc.credit_amount_currency, 0.0))
END AS open_amount_currency,
CASE WHEN l.date_maturity is null
THEN l.date
ELSE l.date_maturity
END as date_maturity
FROM account_move_line l
JOIN account_account aa ON (aa.id = l.account_id)
JOIN account_move m ON (l.move_id = m.id)
LEFT JOIN (SELECT pr.*
FROM account_partial_reconcile pr
INNER JOIN account_move_line l2
ON pr.credit_move_id = l2.id
WHERE l2.date <= %(date_end)s
) as pd ON pd.debit_move_id = l.id
LEFT JOIN (SELECT pr.*
FROM account_partial_reconcile pr
INNER JOIN account_move_line l2
ON pr.debit_move_id = l2.id
WHERE l2.date <= %(date_end)s
) as pc ON pc.credit_move_id = l.id
WHERE l.partner_id IN %(partners)s
AND (
(pd.id IS NOT NULL AND
pd.max_date <= %(date_end)s) OR
(pc.id IS NOT NULL AND
pc.max_date <= %(date_end)s) OR
(pd.id IS NULL AND pc.id IS NULL)
) AND l.date <= %(date_end)s AND m.state IN ('posted')
AND aa.account_type = %(account_type)s
GROUP BY l.id, l.partner_id, m.name, l.date, l.date_maturity, l.name,
CASE WHEN l.ref IS NOT NULL
THEN l.ref
ELSE m.ref
END,
l.blocked, l.currency_id, l.balance, l.amount_currency, l.company_id
""",
locals(),
),
"utf-8",
)
def _display_outstanding_lines_sql_q2(self, sub):
return str(
self._cr.mogrify(
f"""
SELECT {sub}.partner_id, {sub}.currency_id, {sub}.move_id,
{sub}.date, {sub}.date_maturity, {sub}.debit, {sub}.credit,
{sub}.name, {sub}.ref, {sub}.blocked, {sub}.company_id,
CASE WHEN {sub}.currency_id is not null
THEN {sub}.open_amount_currency
ELSE {sub}.open_amount
END as open_amount, {sub}.id
FROM {sub}
""",
locals(),
),
"utf-8",
)
def _display_outstanding_lines_sql_q3(self, sub, company_id):
return str(
self._cr.mogrify(
f"""
SELECT {sub}.partner_id, {sub}.move_id, {sub}.date,
{sub}.date_maturity, {sub}.name, {sub}.ref, {sub}.debit,
{sub}.credit, {sub}.debit-{sub}.credit AS amount,
COALESCE({sub}.currency_id, c.currency_id) AS currency_id,
{sub}.open_amount, {sub}.blocked, {sub}.id
FROM {sub}
JOIN res_company c ON (c.id = {sub}.company_id)
WHERE c.id = %(company_id)s AND {sub}.open_amount != 0.0
""",
locals(),
),
"utf-8",
)
def _get_account_display_lines(
self, company_id, partner_ids, date_start, date_end, account_type
):
res = dict(map(lambda x: (x, []), partner_ids))
partners = tuple(partner_ids)
# pylint: disable=E8103
self.env.cr.execute(
"""
WITH Q1 as ({}),
Q2 AS ({}),
Q3 AS ({})
SELECT partner_id, currency_id, move_id, date, date_maturity, debit,
credit, amount, open_amount, COALESCE(name, '') as name,
COALESCE(ref, '') as ref, blocked, id
FROM Q3
ORDER BY date, date_maturity, move_id""".format(
self._display_outstanding_lines_sql_q1(
partners, date_end, account_type
),
self._display_outstanding_lines_sql_q2("Q1"),
self._display_outstanding_lines_sql_q3("Q2", company_id),
)
)
for row in self.env.cr.dictfetchall():
res[row.pop("partner_id")].append(row)
return res
def _add_currency_line(self, line, currency):
if float_is_zero(line["open_amount"], precision_rounding=currency.rounding):
return []
return [line]
@api.model
def _get_report_values(self, docids, data=None):
if not data:
data = {}
if "company_id" not in data:
wiz = self.env["outstanding.statement.wizard"].with_context(
active_ids=docids, model="res.partner"
)
data.update(wiz.create({})._prepare_statement())
data["amount_field"] = "open_amount"
return super()._get_report_values(docids, data)