Commit Graph

33 Commits

Author SHA1 Message Date
unknown
cc68080740 [IMP] Add buttons to open unreconciled and partially reconciled items from a profile to easy the verification and controlling
[IMP] Add the number of lines in completion log to let the user know if some hasn't been auto-completed (e.g. 332/335 line compelted)
  [IMP] Add a group by bank statement in journal items search view to ease the reconciliation
2014-04-02 16:52:35 +02:00
unknown
47ea0ca32c [IMP] Add a group by bank statement in journal items search view to ease the reconciliation 2014-03-14 11:51:41 +01:00
unknown
852aa06307 [fix] account_statement_ext: trigger related fields 2014-03-12 16:20:42 +01:00
Leonardo Pistone
063812d7c4 [fix] other related fields found in the statement 2014-03-06 18:14:44 +01:00
Leonardo Pistone
2c763f77eb [fix] account_statement_ext: trigger for a related field 2014-03-06 17:39:02 +01:00
unknown
3a3c9e9109 fix issue when creating empty statement (lp:1247876) and add a module which enables bank statement creation from the point of sale with the banking framework installed. 2014-03-06 11:48:37 +01:00
unknown
31cf6d60b8 [FIX] fix api and put the incorrect method in deprecated 2014-02-21 19:29:07 +01:00
Yannick Vaucher
25e916cdcb UPD account_statement_ext version 2014-02-21 19:26:17 +01:00
unknown
d87196d445 [FIX] Only commercial partners are allowed in bank statement lines 2014-02-21 14:02:10 +01:00
unknown
17f2c78065 [PEP8] 2013-04-10 13:25:50 +02:00
Joel Grand-Guillaume
8c16725ecb [FIX][IMP] As we saw that we have a difference in bank statement line type and account finding using manual entry and importation/completion method, we make this refactor implementing a method to determine the type following this rule:
- If the customer checkbox is checked on the found partner, type and account will be customer and receivable
         - If the supplier checkbox is checked on the found partner, type and account will be supplier and payable
         - If both checkbox are checked or none of them, it'll be based on the amount :
              If amount is positif the type and account will be customer and receivable,
              If amount is negativ, the type and account will be supplier and payable
2013-04-05 09:52:53 +02:00
unknown
66b9bf3d2b [FIX] version number as data model has changed 2013-02-14 09:13:49 +01:00
unknown
aaee043674 [ADD] multi-company support on account.statement.profile 2013-02-13 09:21:48 +01:00
unknown
ad315ae4c8 [FIX] copyright year 2013-02-04 16:16:28 +01:00
unknown
85c16d0ba9 [FIX] version number 2013-02-04 16:00:18 +01:00
unknown
263bdc65f5 [TYPO] 2013-02-04 15:58:11 +01:00
Joel Grand-Guillaume
c348eb31e3 [IMP] Added the voucher period computation in the account_statement_ext module while it know depends on the account_voucher module.
[MIGR] Mark the account_statement_ext_voucher as deprecated is it is no more used.
2013-02-01 09:44:05 +01:00
unknown
e7550d2226 [FIX] common onchange with voucher 2013-01-31 13:04:05 +01:00
Guewen Baconnier @ Camptocamp
412d86809d [FIX] pep8, pylint, eyeballing 2012-12-20 14:37:01 +01:00
Joel Grand-Guillaume
a4836b6f89 [MIGR] Adapt views, fix import and depedencies 2012-12-18 20:51:26 +01:00
Alexandre Fayolle @ camptocamp
21c9d56ba3 [FIX] account_statement_profile.commission_account_id must not be mandatory (lp:1071154)
(lp:c2c-financial-addons/6.1 rev 93)
2012-10-25 08:40:13 +02:00
Alexandre Fayolle @ camptocamp
9fb2fd48c2 [FIX] spelling
(lp:c2c-financial-addons/6.1 rev 77)
2012-07-31 16:29:55 +02:00
Guewen Baconnier @ Camptocamp
77441f2bf9 Bunch of fixes and small improvements on modules: account_statement_base_completion, account_statement_completion_voucher, account_statement_ext, account_advanced_reconcile, account_statement_base_import
[IMP] Set a default account on a new bank statement line when manual entry
  [ADD] basic security rules on profile and completion rules
  [ADD] account_statement_completion_voucher to better adapt the views of bank statement
  [FIX] Call to the completion button
  [FIX] Auto-launch completion after import
  [FIX] inherit view
  [merge] [FIX] account_advanced_reconcile: improved view readability with less larger column
  [FIX] account_advanced_reconcile: improved view readability with less larger column
  [FIX] count of reconciliations was incorrect for partial reconciliations
(lp:c2c-financial-addons/6.1 rev 70)
2012-06-27 09:58:32 +02:00
Joël Grand-Guillaume
1f1a75e020 [MRG] Add all the bank statement improvements that we made. This is mostly based on :
account_statement_ext -> provide profile per bank statement, remove period, choose to use balance check or not,...
  account_statement_base_completion -> provide a completion rule system to fullfill the bank statement (partner, account,...)
  account_statement_base_import -> provide a base to create your own file parser for each bank/office and link it to a profile
  account_statement_transactionid_completion and account_statement_transactionid_import to use the transaction ID recorded in th SO
  account_advanced_reconcile -> An advanced way to setup reconciliation rules on every account
  account_financial_report_webkit -> some little fixes
(lp:c2c-financial-addons/6.1 rev 63)
2012-06-20 16:10:01 +02:00
Joël Grand-Guillaume
d8e7cb77a2 [MRG] From customer branch
(lp:c2c-financial-addons/6.1 rev 58)
2012-06-06 16:27:25 +02:00
Guewen Baconnier @ Camptocamp
b95f9e913d [FIX] count of reconciliations was incorrect for partial reconciliations
(lp:c2c-financial-addons/6.1 rev 24.3.1)
2012-06-26 15:25:27 +02:00
Guewen Baconnier @ Camptocamp
231f0b276c [REF] refactoring of account_advanced_reconcile using account_easy_reconcile, intermediate commit
(lp:c2c-financial-addons/6.1 rev 24.2.1)
2012-06-12 22:41:47 +02:00
Joël Grand-Guillaume
9434c86a2f [ADD] basic security rules on profile and completion rules
(lp:c2c-financial-addons/6.1 rev 24.1.39)
2012-06-26 17:40:37 +02:00
Joël Grand-Guillaume
52e490104f [DOC] Comment the whole code of the bank statement improvement modules suite.
(lp:c2c-financial-addons/6.1 rev 24.1.24)
2012-06-20 16:01:43 +02:00
Joël Grand-Guillaume
57215e0aa1 [IMP] Rebuild of all bank statment stuffs. This commit is more a backup cause it is under hard devs V2.0
(lp:c2c-financial-addons/6.1 rev 24.1.18)
2012-06-14 16:21:57 +02:00
Joël Grand-Guillaume
6360ac7369 [IMP] Rebuild of all bank statment stuffs. This commit is more a backup cause it is under hard devs
(lp:c2c-financial-addons/6.1 rev 24.1.17)
2012-06-12 16:21:34 +02:00
Joël Grand-Guillaume
523093e2a2 [IMP] Merge treasury statement into bank.statement object. We don't need both finaly
(lp:c2c-financial-addons/6.1 rev 24.1.15)
2012-06-08 16:25:17 +02:00
Joël Grand-Guillaume
5d32afb787 [IMP] Quite a huge work on the new intermediate statement stuff as well as on the automatic reconciliation wizard.
(lp:c2c-financial-addons/6.1 rev 24.1.10)
2012-05-30 16:08:58 +02:00