# -*- coding: utf-8 -*- from odoo import api, fields, models, _ from odoo.exceptions import UserError from odoo.tools.misc import format_date, formatLang from collections import defaultdict from itertools import groupby import json class AutomaticEntryWizard(models.TransientModel): _name = 'account.automatic.entry.wizard' _description = 'Create Automatic Entries' # General action = fields.Selection([('change_period', 'Change Period'), ('change_account', 'Change Account')], required=True) move_data = fields.Text(compute="_compute_move_data", help="JSON value of the moves to be created") preview_move_data = fields.Text(compute="_compute_preview_move_data", help="JSON value of the data to be displayed in the previewer") move_line_ids = fields.Many2many('account.move.line') date = fields.Date(required=True, default=lambda self: fields.Date.context_today(self)) company_id = fields.Many2one('res.company', required=True, readonly=True) company_currency_id = fields.Many2one('res.currency', related='company_id.currency_id') percentage = fields.Float("Percentage", compute='_compute_percentage', readonly=False, store=True, help="Percentage of each line to execute the action on.") total_amount = fields.Monetary(compute='_compute_total_amount', store=True, readonly=False, currency_field='company_currency_id', help="Total amount impacted by the automatic entry.") journal_id = fields.Many2one('account.journal', required=True, readonly=False, string="Journal", domain="[('company_id', '=', company_id), ('type', '=', 'general')]", compute="_compute_journal_id", inverse="_inverse_journal_id", help="Journal where to create the entry.") # change period account_type = fields.Selection([('income', 'Revenue'), ('expense', 'Expense')], compute='_compute_account_type', store=True) expense_accrual_account = fields.Many2one('account.account', readonly=False, domain="[('company_id', '=', company_id)," "('internal_type', 'not in', ('receivable', 'payable'))," "('is_off_balance', '=', False)]", compute="_compute_expense_accrual_account", inverse="_inverse_expense_accrual_account", ) revenue_accrual_account = fields.Many2one('account.account', readonly=False, domain="[('company_id', '=', company_id)," "('internal_type', 'not in', ('receivable', 'payable'))," "('is_off_balance', '=', False)]", compute="_compute_revenue_accrual_account", inverse="_inverse_revenue_accrual_account", ) # change account destination_account_id = fields.Many2one(string="To", comodel_name='account.account', help="Account to transfer to.") display_currency_helper = fields.Boolean(string="Currency Conversion Helper", compute='_compute_display_currency_helper', help="Technical field. Used to indicate whether or not to display the currency conversion tooltip. The tooltip informs a currency conversion will be performed with the transfer.") @api.depends('company_id') def _compute_expense_accrual_account(self): for record in self: record.expense_accrual_account = record.company_id.expense_accrual_account_id def _inverse_expense_accrual_account(self): for record in self: record.company_id.sudo().expense_accrual_account_id = record.expense_accrual_account @api.depends('company_id') def _compute_revenue_accrual_account(self): for record in self: record.revenue_accrual_account = record.company_id.revenue_accrual_account_id def _inverse_revenue_accrual_account(self): for record in self: record.company_id.sudo().revenue_accrual_account_id = record.revenue_accrual_account @api.depends('company_id') def _compute_journal_id(self): for record in self: record.journal_id = record.company_id.automatic_entry_default_journal_id def _inverse_journal_id(self): for record in self: record.company_id.sudo().automatic_entry_default_journal_id = record.journal_id @api.constrains('percentage', 'action') def _constraint_percentage(self): for record in self: if not (0.0 < record.percentage <= 100.0) and record.action == 'change_period': raise UserError(_("Percentage must be between 0 and 100")) @api.depends('percentage', 'move_line_ids') def _compute_total_amount(self): for record in self: record.total_amount = (record.percentage or 100) * sum(record.move_line_ids.mapped('balance')) / 100 @api.depends('total_amount', 'move_line_ids') def _compute_percentage(self): for record in self: total = (sum(record.move_line_ids.mapped('balance')) or record.total_amount) if total != 0: record.percentage = (record.total_amount / total) * 100 else: record.percentage = 100 @api.depends('move_line_ids') def _compute_account_type(self): for record in self: record.account_type = 'income' if sum(record.move_line_ids.mapped('balance')) < 0 else 'expense' @api.depends('destination_account_id') def _compute_display_currency_helper(self): for record in self: record.display_currency_helper = bool(record.destination_account_id.currency_id) @api.model def default_get(self, fields): res = super().default_get(fields) if not set(fields) & set(['move_line_ids', 'company_id']): return res if self.env.context.get('active_model') != 'account.move.line' or not self.env.context.get('active_ids'): raise UserError(_('This can only be used on journal items')) move_line_ids = self.env['account.move.line'].browse(self.env.context['active_ids']) res['move_line_ids'] = [(6, 0, move_line_ids.ids)] if any(move.state != 'posted' for move in move_line_ids.mapped('move_id')): raise UserError(_('You can only change the period/account for posted journal items.')) if any(move_line.reconciled for move_line in move_line_ids): raise UserError(_('You can only change the period/account for items that are not yet reconciled.')) if any(line.company_id != move_line_ids[0].company_id for line in move_line_ids): raise UserError(_('You cannot use this wizard on journal entries belonging to different companies.')) res['company_id'] = move_line_ids[0].company_id.id allowed_actions = set(dict(self._fields['action'].selection)) if self.env.context.get('default_action'): allowed_actions = {self.env.context['default_action']} if any(line.account_id.user_type_id != move_line_ids[0].account_id.user_type_id for line in move_line_ids): allowed_actions.discard('change_period') if not allowed_actions: raise UserError(_('No possible action found with the selected lines.')) res['action'] = allowed_actions.pop() return res def _get_move_dict_vals_change_account(self): line_vals = [] # Group data from selected move lines counterpart_balances = defaultdict(lambda: defaultdict(lambda: 0)) grouped_source_lines = defaultdict(lambda: self.env['account.move.line']) for line in self.move_line_ids.filtered(lambda x: x.account_id != self.destination_account_id): counterpart_currency = line.currency_id counterpart_amount_currency = line.amount_currency if self.destination_account_id.currency_id and self.destination_account_id.currency_id != self.company_id.currency_id: counterpart_currency = self.destination_account_id.currency_id counterpart_amount_currency = self.company_id.currency_id._convert(line.balance, self.destination_account_id.currency_id, self.company_id, line.date) counterpart_balances[(line.partner_id, counterpart_currency)]['amount_currency'] += counterpart_amount_currency counterpart_balances[(line.partner_id, counterpart_currency)]['balance'] += line.balance grouped_source_lines[(line.partner_id, line.currency_id, line.account_id)] += line # Generate counterpart lines' vals for (counterpart_partner, counterpart_currency), counterpart_vals in counterpart_balances.items(): source_accounts = self.move_line_ids.mapped('account_id') counterpart_label = len(source_accounts) == 1 and _("Transfer from %s", source_accounts.display_name) or _("Transfer counterpart") if not counterpart_currency.is_zero(counterpart_vals['amount_currency']): line_vals.append({ 'name': counterpart_label, 'debit': counterpart_vals['balance'] > 0 and self.company_id.currency_id.round(counterpart_vals['balance']) or 0, 'credit': counterpart_vals['balance'] < 0 and self.company_id.currency_id.round(-counterpart_vals['balance']) or 0, 'account_id': self.destination_account_id.id, 'partner_id': counterpart_partner.id or None, 'amount_currency': counterpart_currency.round((counterpart_vals['balance'] < 0 and -1 or 1) * abs(counterpart_vals['amount_currency'])) or 0, 'currency_id': counterpart_currency.id, }) # Generate change_account lines' vals for (partner, currency, account), lines in grouped_source_lines.items(): account_balance = sum(line.balance for line in lines) if not self.company_id.currency_id.is_zero(account_balance): account_amount_currency = currency.round(sum(line.amount_currency for line in lines)) line_vals.append({ 'name': _('Transfer to %s', self.destination_account_id.display_name or _('[Not set]')), 'debit': account_balance < 0 and self.company_id.currency_id.round(-account_balance) or 0, 'credit': account_balance > 0 and self.company_id.currency_id.round(account_balance) or 0, 'account_id': account.id, 'partner_id': partner.id or None, 'currency_id': currency.id, 'amount_currency': (account_balance > 0 and -1 or 1) * abs(account_amount_currency), }) return [{ 'currency_id': self.journal_id.currency_id.id or self.journal_id.company_id.currency_id.id, 'move_type': 'entry', 'journal_id': self.journal_id.id, 'date': fields.Date.to_string(self.date), 'ref': self.destination_account_id.display_name and _("Transfer entry to %s", self.destination_account_id.display_name or ''), 'line_ids': [(0, 0, line) for line in line_vals], }] def _get_move_dict_vals_change_period(self): # set the change_period account on the selected journal items accrual_account = self.revenue_accrual_account if self.account_type == 'income' else self.expense_accrual_account move_data = {'new_date': { 'currency_id': self.journal_id.currency_id.id or self.journal_id.company_id.currency_id.id, 'move_type': 'entry', 'line_ids': [], 'ref': _('Adjusting Entry'), 'date': fields.Date.to_string(self.date), 'journal_id': self.journal_id.id, }} # complete the account.move data for date, grouped_lines in groupby(self.move_line_ids, lambda m: m.move_id.date): grouped_lines = list(grouped_lines) amount = sum(l.balance for l in grouped_lines) move_data[date] = { 'currency_id': self.journal_id.currency_id.id or self.journal_id.company_id.currency_id.id, 'move_type': 'entry', 'line_ids': [], 'ref': self._format_strings(_('Adjusting Entry of {date} ({percent:f}% recognized on {new_date})'), grouped_lines[0].move_id, amount), 'date': fields.Date.to_string(date), 'journal_id': self.journal_id.id, } # compute the account.move.lines and the total amount per move for aml in self.move_line_ids: # account.move.line data reported_debit = aml.company_id.currency_id.round((self.percentage / 100) * aml.debit) reported_credit = aml.company_id.currency_id.round((self.percentage / 100) * aml.credit) reported_amount_currency = aml.currency_id.round((self.percentage / 100) * aml.amount_currency) move_data['new_date']['line_ids'] += [ (0, 0, { 'name': aml.name or '', 'debit': reported_debit, 'credit': reported_credit, 'amount_currency': reported_amount_currency, 'currency_id': aml.currency_id.id, 'account_id': aml.account_id.id, 'partner_id': aml.partner_id.id, }), (0, 0, { 'name': _('Adjusting Entry'), 'debit': reported_credit, 'credit': reported_debit, 'amount_currency': -reported_amount_currency, 'currency_id': aml.currency_id.id, 'account_id': accrual_account.id, 'partner_id': aml.partner_id.id, }), ] move_data[aml.move_id.date]['line_ids'] += [ (0, 0, { 'name': aml.name or '', 'debit': reported_credit, 'credit': reported_debit, 'amount_currency': -reported_amount_currency, 'currency_id': aml.currency_id.id, 'account_id': aml.account_id.id, 'partner_id': aml.partner_id.id, }), (0, 0, { 'name': _('Adjusting Entry'), 'debit': reported_debit, 'credit': reported_credit, 'amount_currency': reported_amount_currency, 'currency_id': aml.currency_id.id, 'account_id': accrual_account.id, 'partner_id': aml.partner_id.id, }), ] move_vals = [m for m in move_data.values()] return move_vals @api.depends('move_line_ids', 'journal_id', 'revenue_accrual_account', 'expense_accrual_account', 'percentage', 'date', 'account_type', 'action', 'destination_account_id') def _compute_move_data(self): for record in self: if record.action == 'change_period': if any(line.account_id.user_type_id != record.move_line_ids[0].account_id.user_type_id for line in record.move_line_ids): raise UserError(_('All accounts on the lines must be of the same type.')) if record.action == 'change_period': record.move_data = json.dumps(record._get_move_dict_vals_change_period()) elif record.action == 'change_account': record.move_data = json.dumps(record._get_move_dict_vals_change_account()) @api.depends('move_data') def _compute_preview_move_data(self): for record in self: preview_columns = [ {'field': 'account_id', 'label': _('Account')}, {'field': 'name', 'label': _('Label')}, {'field': 'debit', 'label': _('Debit'), 'class': 'text-right text-nowrap'}, {'field': 'credit', 'label': _('Credit'), 'class': 'text-right text-nowrap'}, ] if record.action == 'change_account': preview_columns[2:2] = [{'field': 'partner_id', 'label': _('Partner')}] move_vals = json.loads(record.move_data) preview_vals = [] for move in move_vals[:4]: preview_vals += [self.env['account.move']._move_dict_to_preview_vals(move, record.company_id.currency_id)] preview_discarded = max(0, len(move_vals) - len(preview_vals)) record.preview_move_data = json.dumps({ 'groups_vals': preview_vals, 'options': { 'discarded_number': _("%d moves", preview_discarded) if preview_discarded else False, 'columns': preview_columns, }, }) def do_action(self): move_vals = json.loads(self.move_data) if self.action == 'change_period': return self._do_action_change_period(move_vals) elif self.action == 'change_account': return self._do_action_change_account(move_vals) def _do_action_change_period(self, move_vals): accrual_account = self.revenue_accrual_account if self.account_type == 'income' else self.expense_accrual_account created_moves = self.env['account.move'].create(move_vals) created_moves._post() destination_move = created_moves[0] destination_messages = [] for move in self.move_line_ids.move_id: amount = sum((self.move_line_ids._origin & move.line_ids).mapped('balance')) accrual_move = created_moves[1:].filtered(lambda m: m.date == move.date) if accrual_account.reconcile: to_reconcile = (accrual_move + destination_move).mapped('line_ids').filtered(lambda line: line.account_id == accrual_account) to_reconcile.reconcile() move.message_post(body=self._format_strings(_('Adjusting Entries have been created for this invoice:', link0=self._format_move_link(destination_move), link1=self._format_move_link(accrual_move), ), move, amount)) destination_messages += [self._format_strings(_('Adjusting Entry {link}: {percent:f}% of {amount} recognized from {date}'), move, amount)] accrual_move.message_post(body=self._format_strings(_('Adjusting Entry for {link}: {percent:f}% of {amount} recognized on {new_date}'), move, amount)) destination_move.message_post(body='
\n'.join(destination_messages)) # open the generated entries action = { 'name': _('Generated Entries'), 'domain': [('id', 'in', created_moves.ids)], 'res_model': 'account.move', 'view_mode': 'tree,form', 'type': 'ir.actions.act_window', 'views': [(self.env.ref('account.view_move_tree').id, 'tree'), (False, 'form')], } if len(created_moves) == 1: action.update({'view_mode': 'form', 'res_id': created_moves.id}) return action def _do_action_change_account(self, move_vals): new_move = self.env['account.move'].create(move_vals) new_move._post() # Group lines grouped_lines = defaultdict(lambda: self.env['account.move.line']) destination_lines = self.move_line_ids.filtered(lambda x: x.account_id == self.destination_account_id) for line in self.move_line_ids - destination_lines: grouped_lines[(line.partner_id, line.currency_id, line.account_id)] += line # Reconcile for (partner, currency, account), lines in grouped_lines.items(): if account.reconcile: to_reconcile = lines + new_move.line_ids.filtered(lambda x: x.account_id == account and x.partner_id == partner and x.currency_id == currency) to_reconcile.reconcile() if destination_lines and self.destination_account_id.reconcile: to_reconcile = destination_lines + new_move.line_ids.filtered(lambda x: x.account_id == self.destination_account_id and x.partner_id == partner and x.currency_id == currency) to_reconcile.reconcile() # Log the operation on source moves acc_transfer_per_move = defaultdict(lambda: defaultdict(lambda: 0)) # dict(move, dict(account, balance)) for line in self.move_line_ids: acc_transfer_per_move[line.move_id][line.account_id] += line.balance for move, balances_per_account in acc_transfer_per_move.items(): message_to_log = self._format_transfer_source_log(balances_per_account, new_move) if message_to_log: move.message_post(body=message_to_log) # Log on target move as well new_move.message_post(body=self._format_new_transfer_move_log(acc_transfer_per_move)) return { 'name': _("Transfer"), 'type': 'ir.actions.act_window', 'view_type': 'form', 'view_mode': 'form', 'res_model': 'account.move', 'res_id': new_move.id, } # Transfer utils def _format_new_transfer_move_log(self, acc_transfer_per_move): format = _("
  • {amount} ({debit_credit}) from {link}, %(account_source_name)s
  • ") rslt = _("This entry transfers the following amounts to %(destination)s ' return rslt def _format_transfer_source_log(self, balances_per_account, transfer_move): transfer_format = _("
  • {amount} ({debit_credit}) from %s were transferred to {account_target_name} by {link}
  • ") content = '' for account, balance in balances_per_account.items(): if account != self.destination_account_id: content += self._format_strings(transfer_format, transfer_move, balance) % account.display_name return content and '' or None def _format_move_link(self, move): move_link_format = "{move_name}" return move_link_format.format(move_id=move.id, move_name=move.name) def _format_strings(self, string, move, amount): return string.format( percent=self.percentage, name=move.name, id=move.id, amount=formatLang(self.env, abs(amount), currency_obj=self.company_id.currency_id), debit_credit=amount < 0 and _('C') or _('D'), link=self._format_move_link(move), date=format_date(self.env, move.date), new_date=self.date and format_date(self.env, self.date) or _('[Not set]'), account_target_name=self.destination_account_id.display_name, )