[FIX] count of reconciliations was incorrect for partial reconciliations

(lp:c2c-financial-addons/6.1 rev 24.3.1)
This commit is contained in:
Guewen Baconnier @ Camptocamp
2012-06-26 15:25:27 +02:00
parent 1860b51470
commit b95f9e913d
43 changed files with 2289 additions and 482 deletions

View File

@@ -40,6 +40,7 @@
<field name="receivable_account_id" />
<field name="force_partner_on_bank"/>
<field name="balance_check"/>
<field name="bank_statement_prefix"/>
</form>
</field>
</record>
@@ -90,7 +91,7 @@
<field name="type">search</field>
<field name="arch" type="xml">
<xpath expr="/search/group/field[@name='name']" position="before">
<field name="import_config_id"/>
<field name="profile_id"/>
<field name="credit_partner_id"/>
<separator orientation="vertical"/>
</xpath>
@@ -109,7 +110,7 @@
<field name="type">tree</field>
<field name="arch" type="xml">
<xpath expr="/tree/field[@name='name']" position="after">
<field name="import_config_id"/>
<field name="profile_id"/>
</xpath>
<xpath expr="/tree/field[@name='period_id']" position="replace">
<field name="credit_partner_id"/>
@@ -133,7 +134,7 @@
<xpath expr="/form/group[@col='7']" position="before">
<group col="6" colspan="4">
<field name="name" select="1"/>
<field name="import_config_id" select="1" required="1" on_change="onchange_imp_config_id(import_config_id)" widget="selection"/>
<field name="profile_id" select="1" required="1" on_change="onchange_imp_config_id(profile_id)" widget="selection"/>
<field name="date" select="1" on_change="onchange_date(date, company_id)"/>
</group>
<separator string="Details" colspan="4"/>
@@ -166,53 +167,36 @@
<field name="id"/>
</xpath>
<xpath expr="/form/notebook/page/field/tree/field[@name='partner_id']" position="replace">
<field name="partner_id" on_change="onchange_partner_id(partner_id,parent.import_config_id)"/>
<field name="partner_id" on_change="onchange_partner_id(partner_id,parent.profile_id)"/>
</xpath>
<xpath expr="/form/notebook/page/field/form/field[@name='date']" position="before">
<field name="id"/>
</xpath>
<!-- Adapt onchange signature -->
<xpath expr="/form/notebook/page/field/tree/field[@name='partner_id']" position="replace">
<field name="partner_id" on_change="onchange_partner_id(partner_id,parent.import_config_id)"/>
<field name="partner_id" on_change="onchange_partner_id(partner_id,parent.profile_id)"/>
</xpath>
<xpath expr="/form/notebook/page/field/form/field[@name='partner_id']" position="replace">
<field name="partner_id" on_change="onchange_partner_id(partner_id,parent.import_config_id)"/>
<field name="partner_id" on_change="onchange_partner_id(partner_id,parent.profile_id)"/>
</xpath>
<xpath expr="/form/notebook/page/field/form/field[@name='type']" position="replace">
<field name="type" on_change="onchange_type(partner_id, type, parent.import_config_id)"/>
<field name="type" on_change="onchange_type(partner_id, type, parent.profile_id)"/>
</xpath>
<xpath expr="/form/notebook/page/field/tree/field[@name='type']" position="replace">
<field name="type" on_change="onchange_type(partner_id, type, parent.import_config_id)"/>
<field name="type" on_change="onchange_type(partner_id, type, parent.profile_id)"/>
</xpath>
</field>
</record>
<!-- <record id="action_treasury_statement_tree" model="ir.actions.act_window">
<field name="name">Intermediate Statements</field>
<field name="res_model">account.bank.statement</field>
<field name="view_type">form</field>
<field name="view_mode">tree,form,graph</field>
<field name="domain">[('journal_id.type', '=', 'bank')]</field>
<field name="context">{'journal_type':'bank'}</field>
<field name="search_view_id" ref="view_treasury_statement_search"/>
<field name="help">A treasury statement is a summary of all financial transactions occurring a credit card or any other type of intermediate financial account.</field>
</record>
<record model="ir.actions.act_window.view" id="action_treasury_statement_tree_bank">
<field name="sequence" eval="1"/>
<field name="view_mode">tree</field>
<field name="view_id" ref="view_treasury_statement_tree"/>
<field name="act_window_id" ref="action_treasury_statement_tree"/>
</record>
<record model="ir.actions.act_window.view" id="action_treasury_statement_form_bank">
<field name="sequence" eval="1"/>
<field name="view_mode">form</field>
<field name="view_id" ref="view_treasury_statement_form"/>
<field name="act_window_id" ref="action_treasury_statement_tree"/>
</record>
<act_window id="act_bank_statement_from_profile"
name="Open Statements"
res_model="account.bank.statement"
src_model="account.statement.profil"
domain="[('profile_id','=',active_id),]"
view_type="form"/>
<menuitem string="Treasury Statements" action="action_treasury_statement_tree" id="menu_treasury_statement_tree" parent="account.menu_finance_bank_and_cash" sequence="9"/> -->
</data>
</openerp>