diff --git a/account_banking_sepa_credit_transfer/__init__.py b/account_banking_sepa_credit_transfer/__init__.py index f0e7fcb0b..207f87a21 100644 --- a/account_banking_sepa_credit_transfer/__init__.py +++ b/account_banking_sepa_credit_transfer/__init__.py @@ -20,6 +20,5 @@ # ############################################################################## -import wizard -import account_banking_sepa - +from . import wizard +from . import account_banking_sepa diff --git a/account_banking_sepa_credit_transfer/__openerp__.py b/account_banking_sepa_credit_transfer/__openerp__.py index 751058ea2..c5c97dd9a 100644 --- a/account_banking_sepa_credit_transfer/__openerp__.py +++ b/account_banking_sepa_credit_transfer/__openerp__.py @@ -21,12 +21,15 @@ { 'name': 'Account Banking SEPA Credit Transfer', 'summary': 'Create SEPA XML files for Credit Transfers', - 'version': '0.1', + 'version': '0.2', 'license': 'AGPL-3', 'author': 'Akretion', 'website': 'http://www.akretion.com', 'category': 'Banking addons', 'depends': ['account_banking_payment_export'], + 'external_dependencies': { + 'python': ['unidecode', 'lxml'], + }, 'data': [ 'account_banking_sepa_view.xml', 'wizard/export_sepa_view.xml', @@ -36,7 +39,7 @@ 'description': ''' Module to export payment orders in SEPA XML file format. -SEPA PAIN (PAyment INitiation) is the new european standard for Customer-to-Bank payment instructions. This module implements SEPA Credit Transfer (SCT), more specifically PAIN versions 001.001.02, 001.001.03 and 001.001.04. It is part of the ISO 20022 standard, available on http://www.iso20022.org. +SEPA PAIN (PAyment INitiation) is the new european standard for Customer-to-Bank payment instructions. This module implements SEPA Credit Transfer (SCT), more specifically PAIN versions 001.001.02, 001.001.03, 001.001.04 and 001.001.05. It is part of the ISO 20022 standard, available on http://www.iso20022.org. The Implementation Guidelines for SEPA Credit Transfer published by the European Payments Council (http://http://www.europeanpaymentscouncil.eu) use PAIN version 001.001.03, so it's probably the version of PAIN that you should try first. diff --git a/account_banking_sepa_credit_transfer/account_banking_sepa.py b/account_banking_sepa_credit_transfer/account_banking_sepa.py index 432b59267..be970a8f8 100644 --- a/account_banking_sepa_credit_transfer/account_banking_sepa.py +++ b/account_banking_sepa_credit_transfer/account_banking_sepa.py @@ -21,18 +21,24 @@ from openerp.osv import orm, fields from openerp.addons.decimal_precision import decimal_precision as dp +from unidecode import unidecode class banking_export_sepa(orm.Model): '''SEPA export''' _name = 'banking.export.sepa' _description = __doc__ - _rec_name = 'msg_identification' + _rec_name = 'filename' def _generate_filename(self, cr, uid, ids, name, arg, context=None): res = {} for sepa_file in self.browse(cr, uid, ids, context=context): - res[sepa_file.id] = 'sepa_' + (sepa_file.msg_identification or '') + '.xml' + ref = sepa_file.payment_order_ids[0].reference + if ref: + label = unidecode(ref.replace('/', '-')) + else: + label = 'error' + res[sepa_file.id] = 'sct_%s.xml' % label return res _columns = { @@ -40,36 +46,36 @@ class banking_export_sepa(orm.Model): 'payment.order', 'account_payment_order_sepa_rel', 'banking_export_sepa_id', 'account_order_id', - 'Payment orders', + 'Payment Orders', readonly=True), - 'prefered_exec_date': fields.date('Prefered execution date', readonly=True), - 'nb_transactions': fields.integer('Number of transactions', readonly=True), - 'total_amount': fields.float('Total amount', + 'prefered_exec_date': fields.date( + 'Prefered Execution Date', readonly=True), + 'nb_transactions': fields.integer( + 'Number of Transactions', readonly=True), + 'total_amount': fields.float('Total Amount', digits_compute=dp.get_precision('Account'), readonly=True), - 'msg_identification': fields.char('Message identification', size=35, - readonly=True), - 'batch_booking': fields.boolean('Batch booking', readonly=True, + 'batch_booking': fields.boolean( + 'Batch Booking', readonly=True, help="If true, the bank statement will display only one debit line for all the wire transfers of the SEPA XML file ; if false, the bank statement will display one debit line per wire transfer of the SEPA XML file."), 'charge_bearer': fields.selection([ + ('SLEV', 'Following Service Level'), ('SHAR', 'Shared'), - ('CRED', 'Borne by creditor'), - ('DEBT', 'Borne by debtor'), - ('SLEV', 'Following service level'), - ], 'Charge bearer', readonly=True, - help='Shared : transaction charges on the sender side are to be borne by the debtor, transaction charges on the receiver side are to be borne by the creditor (most transfers use this). Borne by creditor : all transaction charges are to be borne by the creditor. Borne by debtor : all transaction charges are to be borne by the debtor. Following service level : transaction charges are to be applied following the rules agreed in the service level and/or scheme.'), - 'generation_date': fields.datetime('Generation date', + ('CRED', 'Borne by Creditor'), + ('DEBT', 'Borne by Debtor'), + ], 'Charge Bearer', readonly=True, + help='Following service level : transaction charges are to be applied following the rules agreed in the service level and/or scheme (SEPA Core messages must use this). Shared : transaction charges on the creditor side are to be borne by the creditor, transaction charges on the debtor side are to be borne by the debtor. Borne by creditor : all transaction charges are to be borne by the creditor. Borne by debtor : all transaction charges are to be borne by the debtor.'), + 'create_date': fields.datetime('Generation Date', readonly=True), + 'file': fields.binary('SEPA XML File', readonly=True), + 'filename': fields.function( + _generate_filename, type='char', size=256, string='Filename', readonly=True), - 'file': fields.binary('SEPA XML file', readonly=True), - 'filename': fields.function(_generate_filename, type='char', size=256, - method=True, string='Filename', readonly=True), 'state': fields.selection([ - ('draft', 'Draft'), - ('sent', 'Sent'), - ('done', 'Reconciled'), + ('draft', 'Draft'), + ('sent', 'Sent'), + ('done', 'Reconciled'), ], 'State', readonly=True), } _defaults = { - 'generation_date': fields.date.context_today, 'state': 'draft', } diff --git a/account_banking_sepa_credit_transfer/account_banking_sepa_view.xml b/account_banking_sepa_credit_transfer/account_banking_sepa_view.xml index 1fdab318f..8e5421cc4 100644 --- a/account_banking_sepa_credit_transfer/account_banking_sepa_view.xml +++ b/account_banking_sepa_credit_transfer/account_banking_sepa_view.xml @@ -14,20 +14,19 @@
- - + - + @@ -47,9 +46,9 @@ banking.export.sepa - + - + @@ -57,7 +56,7 @@ - Generated SEPA Credit Transfer XML files + SEPA Credit Transfer Files banking.export.sepa form tree,form @@ -71,7 +70,7 @@ /> + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + diff --git a/account_banking_sepa_credit_transfer/data/payment_type_sepa_sct.xml b/account_banking_sepa_credit_transfer/data/payment_type_sepa_sct.xml index c5d80fec3..f07ece146 100644 --- a/account_banking_sepa_credit_transfer/data/payment_type_sepa_sct.xml +++ b/account_banking_sepa_credit_transfer/data/payment_type_sepa_sct.xml @@ -4,31 +4,36 @@ + + SEPA Credit Transfer v05 + pain.001.001.05 + + + + SEPA Credit Transfer v04 pain.001.001.04 + eval="[(6,0,[ref('base_iban.bank_iban')])]" /> - payment - SEPA Credit Transfer v03 + SEPA Credit Transfer v03 (recommended) pain.001.001.03 + eval="[(6,0,[ref('base_iban.bank_iban')])]" /> - payment SEPA Credit Transfer v02 pain.001.001.02 + eval="[(6,0,[ref('base_iban.bank_iban')])]" /> - payment diff --git a/account_banking_sepa_credit_transfer/i18n/account_banking_sepa_credit_transfer.pot b/account_banking_sepa_credit_transfer/i18n/account_banking_sepa_credit_transfer.pot index 206814e38..ba9f9fb70 100644 --- a/account_banking_sepa_credit_transfer/i18n/account_banking_sepa_credit_transfer.pot +++ b/account_banking_sepa_credit_transfer/i18n/account_banking_sepa_credit_transfer.pot @@ -6,8 +6,8 @@ msgid "" msgstr "" "Project-Id-Version: OpenERP Server 7.0\n" "Report-Msgid-Bugs-To: \n" -"POT-Creation-Date: 2013-10-25 15:59+0000\n" -"PO-Revision-Date: 2013-10-25 15:59+0000\n" +"POT-Creation-Date: 2013-11-13 09:13+0000\n" +"PO-Revision-Date: 2013-11-13 09:13+0000\n" "Last-Translator: <>\n" "Language-Team: \n" "MIME-Version: 1.0\n" @@ -16,14 +16,9 @@ msgstr "" "Plural-Forms: \n" #. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,file:0 -#: field:banking.export.sepa.wizard,file_id:0 -msgid "SEPA XML file" -msgstr "" - -#. module: account_banking_sepa_credit_transfer -#: view:banking.export.sepa:0 -msgid "Payment order" +#: field:banking.export.sepa,prefered_exec_date:0 +#: field:banking.export.sepa.wizard,prefered_exec_date:0 +msgid "Prefered Execution Date" msgstr "" #. module: account_banking_sepa_credit_transfer @@ -32,8 +27,9 @@ msgid "Create" msgstr "" #. module: account_banking_sepa_credit_transfer -#: help:banking.export.sepa.wizard,msg_identification:0 -msgid "This is the message identification of the entire SEPA XML file. 35 characters max." +#: field:banking.export.sepa,nb_transactions:0 +#: field:banking.export.sepa.wizard,nb_transactions:0 +msgid "Number of Transactions" msgstr "" #. module: account_banking_sepa_credit_transfer @@ -54,9 +50,14 @@ msgid "Draft" msgstr "" #. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,prefered_exec_date:0 -#: field:banking.export.sepa.wizard,prefered_exec_date:0 -msgid "Prefered execution date" +#: help:banking.export.sepa.wizard,charge_bearer:0 +msgid "Following service level : transaction charges are to be applied following the rules agreed in the service level and/or scheme (SEPA Core messages must use this). Shared : transaction charges on the debtor side are to be borne by the debtor, transaction charges on the creditor side are to be borne by the creditor. Borne by creditor : all transaction charges are to be borne by the creditor. Borne by debtor : all transaction charges are to be borne by the debtor." +msgstr "" + +#. module: account_banking_sepa_credit_transfer +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:117 +#, python-format +msgid "Cannot compute the '%s' of the Payment Line with Invoice Reference '%s'." msgstr "" #. module: account_banking_sepa_credit_transfer @@ -66,8 +67,9 @@ msgid "Shared" msgstr "" #. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,generation_date:0 -msgid "Generation date" +#: field:banking.export.sepa,batch_booking:0 +#: field:banking.export.sepa.wizard,batch_booking:0 +msgid "Batch Booking" msgstr "" #. module: account_banking_sepa_credit_transfer @@ -90,6 +92,30 @@ msgstr "" msgid "Reconciled" msgstr "" +#. module: account_banking_sepa_credit_transfer +#: selection:banking.export.sepa,charge_bearer:0 +#: selection:banking.export.sepa.wizard,charge_bearer:0 +msgid "Following Service Level" +msgstr "" + +#. module: account_banking_sepa_credit_transfer +#: selection:banking.export.sepa,charge_bearer:0 +#: selection:banking.export.sepa.wizard,charge_bearer:0 +msgid "Borne by Creditor" +msgstr "" + +#. module: account_banking_sepa_credit_transfer +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:122 +#, python-format +msgid "Cannot compute the '%s'." +msgstr "" + +#. module: account_banking_sepa_credit_transfer +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:126 +#, python-format +msgid "The type of the field '%s' is %s. It should be a string or unicode." +msgstr "" + #. module: account_banking_sepa_credit_transfer #: selection:banking.export.sepa,state:0 msgid "Sent" @@ -106,65 +132,50 @@ msgid "Generate" msgstr "" #. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,msg_identification:0 -#: field:banking.export.sepa.wizard,msg_identification:0 -msgid "Message identification" -msgstr "" - -#. module: account_banking_sepa_credit_transfer -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:287 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:169 #, python-format msgid "The generated XML file is not valid against the official XML Schema Definition. The generated XML file and the full error have been written in the server logs. Here is the error, which may give you an idea on the cause of the problem : %s" msgstr "" -#. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,total_amount:0 -#: field:banking.export.sepa.wizard,total_amount:0 -msgid "Total amount" -msgstr "" - -#. module: account_banking_sepa_credit_transfer -#: help:banking.export.sepa,charge_bearer:0 -#: help:banking.export.sepa.wizard,charge_bearer:0 -msgid "Shared : transaction charges on the sender side are to be borne by the debtor, transaction charges on the receiver side are to be borne by the creditor (most transfers use this). Borne by creditor : all transaction charges are to be borne by the creditor. Borne by debtor : all transaction charges are to be borne by the debtor. Following service level : transaction charges are to be applied following the rules agreed in the service level and/or scheme." -msgstr "" - #. module: account_banking_sepa_credit_transfer #: selection:banking.export.sepa,charge_bearer:0 #: selection:banking.export.sepa.wizard,charge_bearer:0 -msgid "Borne by creditor" +msgid "Borne by Debtor" msgstr "" #. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,payment_order_ids:0 -#: field:banking.export.sepa.wizard,payment_order_ids:0 -msgid "Payment orders" -msgstr "" - -#. module: account_banking_sepa_credit_transfer -#: model:ir.actions.act_window,name:account_banking_sepa_credit_transfer.act_banking_export_sepa_payment_order -msgid "Generated SEPA Credit Transfer files" -msgstr "" - -#. module: account_banking_sepa_credit_transfer -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:89 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:90 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:116 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:121 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:130 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:168 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:206 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:350 #, python-format -msgid "This IBAN is not valid : %s" +msgid "Error:" +msgstr "" + +#. module: account_banking_sepa_credit_transfer +#: field:banking.export.sepa,total_amount:0 +#: field:banking.export.sepa.wizard,total_amount:0 +msgid "Total Amount" +msgstr "" + +#. module: account_banking_sepa_credit_transfer +#: field:banking.export.sepa,charge_bearer:0 +#: field:banking.export.sepa.wizard,charge_bearer:0 +msgid "Charge Bearer" msgstr "" #. module: account_banking_sepa_credit_transfer #: view:banking.export.sepa.wizard:0 -msgid "SEPA XML file generation" +msgid "SEPA File Generation" msgstr "" #. module: account_banking_sepa_credit_transfer -#: view:banking.export.sepa.wizard:0 -msgid "Reference for further communication" -msgstr "" - -#. module: account_banking_sepa_credit_transfer -#: view:banking.export.sepa.wizard:0 -msgid "Processing details" +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:125 +#, python-format +msgid "Field type error:" msgstr "" #. module: account_banking_sepa_credit_transfer @@ -173,31 +184,44 @@ msgid "SEPA export" msgstr "" #. module: account_banking_sepa_credit_transfer -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:242 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:351 #, python-format msgid "Missing Bank Account on invoice '%s' (payment order line reference '%s')." msgstr "" #. module: account_banking_sepa_credit_transfer -#: selection:banking.export.sepa,charge_bearer:0 -#: selection:banking.export.sepa.wizard,charge_bearer:0 -msgid "Borne by debtor" +#: field:banking.export.sepa,file:0 +#: field:banking.export.sepa.wizard,file_id:0 +msgid "SEPA XML File" msgstr "" #. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,nb_transactions:0 -#: field:banking.export.sepa.wizard,nb_transactions:0 -msgid "Number of transactions" +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:131 +#, python-format +msgid "The '%s' is empty or 0. It should have a non-null value." msgstr "" #. module: account_banking_sepa_credit_transfer -#: selection:banking.export.sepa,charge_bearer:0 -#: selection:banking.export.sepa.wizard,charge_bearer:0 -msgid "Following service level" +#: help:banking.export.sepa,charge_bearer:0 +msgid "Following service level : transaction charges are to be applied following the rules agreed in the service level and/or scheme (SEPA Core messages must use this). Shared : transaction charges on the creditor side are to be borne by the creditor, transaction charges on the debtor side are to be borne by the debtor. Borne by creditor : all transaction charges are to be borne by the creditor. Borne by debtor : all transaction charges are to be borne by the debtor." +msgstr "" + +#. module: account_banking_sepa_credit_transfer +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:207 +#, python-format +msgid "Payment Type Code '%s' is not supported. The only Payment Type Codes supported for SEPA Credit Transfers are 'pain.001.001.02', 'pain.001.001.03', 'pain.001.001.04' and 'pain.001.001.05'." +msgstr "" + +#. module: account_banking_sepa_credit_transfer +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:90 +#, python-format +msgid "This IBAN is not valid : %s" msgstr "" #. module: account_banking_sepa_credit_transfer #: view:banking.export.sepa:0 +#: field:banking.export.sepa,payment_order_ids:0 +#: field:banking.export.sepa.wizard,payment_order_ids:0 msgid "Payment Orders" msgstr "" @@ -207,9 +231,10 @@ msgid "General Information" msgstr "" #. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,charge_bearer:0 -#: field:banking.export.sepa.wizard,charge_bearer:0 -msgid "Charge bearer" +#: model:ir.actions.act_window,name:account_banking_sepa_credit_transfer.act_banking_export_sepa_payment_order +#: model:ir.actions.act_window,name:account_banking_sepa_credit_transfer.action_account_banking_sepa +#: model:ir.ui.menu,name:account_banking_sepa_credit_transfer.menu_account_banking_sepa +msgid "SEPA Credit Transfer Files" msgstr "" #. module: account_banking_sepa_credit_transfer @@ -234,29 +259,7 @@ msgid "Cancel" msgstr "" #. module: account_banking_sepa_credit_transfer -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:132 -#, python-format -msgid "Payment Type Code '%s' is not supported. The only Payment Type Codes supported for SEPA Credit Transfers are 'pain.001.001.02', 'pain.001.001.03' and 'pain.001.001.04'." -msgstr "" - -#. module: account_banking_sepa_credit_transfer -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:89 -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:132 -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:242 -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:287 -#, python-format -msgid "Error :" -msgstr "" - -#. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,batch_booking:0 -#: field:banking.export.sepa.wizard,batch_booking:0 -msgid "Batch booking" -msgstr "" - -#. module: account_banking_sepa_credit_transfer -#: model:ir.actions.act_window,name:account_banking_sepa_credit_transfer.action_account_banking_sepa -#: model:ir.ui.menu,name:account_banking_sepa_credit_transfer.menu_account_banking_sepa -msgid "Generated SEPA Credit Transfer XML files" +#: field:banking.export.sepa,create_date:0 +msgid "Generation Date" msgstr "" diff --git a/account_banking_sepa_credit_transfer/i18n/fr.po b/account_banking_sepa_credit_transfer/i18n/fr.po index 3d1357036..4239bf979 100644 --- a/account_banking_sepa_credit_transfer/i18n/fr.po +++ b/account_banking_sepa_credit_transfer/i18n/fr.po @@ -4,28 +4,22 @@ # msgid "" msgstr "" -"Project-Id-Version: OpenERP Server 6.1\n" +"Project-Id-Version: OpenERP Server 7.0\n" "Report-Msgid-Bugs-To: \n" -"POT-Creation-Date: 2013-10-25 15:59+0000\n" -"PO-Revision-Date: 2013-11-11 17:51+0000\n" -"Last-Translator: Pedro Manuel Baeza \n" +"POT-Creation-Date: 2013-11-13 09:14+0000\n" +"PO-Revision-Date: 2013-11-13 09:14+0000\n" +"Last-Translator: <>\n" "Language-Team: \n" "MIME-Version: 1.0\n" "Content-Type: text/plain; charset=UTF-8\n" -"Content-Transfer-Encoding: 8bit\n" -"X-Launchpad-Export-Date: 2013-11-12 06:38+0000\n" -"X-Generator: Launchpad (build 16820)\n" +"Content-Transfer-Encoding: \n" +"Plural-Forms: \n" #. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,file:0 -#: field:banking.export.sepa.wizard,file_id:0 -msgid "SEPA XML file" -msgstr "Fichier SEPA XML" - -#. module: account_banking_sepa_credit_transfer -#: view:banking.export.sepa:0 -msgid "Payment order" -msgstr "Ordre de paiement" +#: field:banking.export.sepa,prefered_exec_date:0 +#: field:banking.export.sepa.wizard,prefered_exec_date:0 +msgid "Prefered Execution Date" +msgstr "Date d'exécution demandée" #. module: account_banking_sepa_credit_transfer #: selection:banking.export.sepa.wizard,state:0 @@ -33,13 +27,10 @@ msgid "Create" msgstr "Créer" #. module: account_banking_sepa_credit_transfer -#: help:banking.export.sepa.wizard,msg_identification:0 -msgid "" -"This is the message identification of the entire SEPA XML file. 35 " -"characters max." -msgstr "" -"Ceci est le libellé d'identification du fichier SEPA XML. 35 caractères " -"maximum." +#: field:banking.export.sepa,nb_transactions:0 +#: field:banking.export.sepa.wizard,nb_transactions:0 +msgid "Number of Transactions" +msgstr "Nombre de transactions" #. module: account_banking_sepa_credit_transfer #: field:banking.export.sepa,filename:0 @@ -59,10 +50,15 @@ msgid "Draft" msgstr "Brouillon" #. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,prefered_exec_date:0 -#: field:banking.export.sepa.wizard,prefered_exec_date:0 -msgid "Prefered execution date" -msgstr "Date d'exécution demandée" +#: help:banking.export.sepa.wizard,charge_bearer:0 +msgid "Following service level : transaction charges are to be applied following the rules agreed in the service level and/or scheme (SEPA Core messages must use this). Shared : transaction charges on the debtor side are to be borne by the debtor, transaction charges on the creditor side are to be borne by the creditor. Borne by creditor : all transaction charges are to be borne by the creditor. Borne by debtor : all transaction charges are to be borne by the debtor." +msgstr "Suivant le niveau de service : la répartition des frais bancaires suit les règles pré-établies dans le schema ou dans le contrat avec la banque (les messages SEPA Core doivent utiliser ce paramètre). Partagés : les frais bancaires côté débiteur sont à la charge du débiteur, les frais bancaires côté créancier sont à la charge du créancier. Supportés par le créancier : tous les frais bancaires sont à la charge du créancier. Supportés par le débiteur : tous les frais bancaires sont à la charge du débiteur." + +#. module: account_banking_sepa_credit_transfer +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:117 +#, python-format +msgid "Cannot compute the '%s' of the Payment Line with Invoice Reference '%s'." +msgstr "Impossible de générer le '%s' de la ligne de paiement ayant la référence de facture '%s'." #. module: account_banking_sepa_credit_transfer #: selection:banking.export.sepa,charge_bearer:0 @@ -71,9 +67,10 @@ msgid "Shared" msgstr "Partagé" #. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,generation_date:0 -msgid "Generation date" -msgstr "Date de génération" +#: field:banking.export.sepa,batch_booking:0 +#: field:banking.export.sepa.wizard,batch_booking:0 +msgid "Batch Booking" +msgstr "Débit groupé" #. module: account_banking_sepa_credit_transfer #: model:ir.model,name:account_banking_sepa_credit_transfer.model_banking_export_sepa_wizard @@ -95,6 +92,30 @@ msgstr "Finir" msgid "Reconciled" msgstr "Réconcilié" +#. module: account_banking_sepa_credit_transfer +#: selection:banking.export.sepa,charge_bearer:0 +#: selection:banking.export.sepa.wizard,charge_bearer:0 +msgid "Following Service Level" +msgstr "Suivant le niveau de service" + +#. module: account_banking_sepa_credit_transfer +#: selection:banking.export.sepa,charge_bearer:0 +#: selection:banking.export.sepa.wizard,charge_bearer:0 +msgid "Borne by Creditor" +msgstr "Supportés par le destinataire" + +#. module: account_banking_sepa_credit_transfer +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:122 +#, python-format +msgid "Cannot compute the '%s'." +msgstr "Impossible de générer le '%s'." + +#. module: account_banking_sepa_credit_transfer +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:126 +#, python-format +msgid "The type of the field '%s' is %s. It should be a string or unicode." +msgstr "Le champ '%s' est de type %s. Le type devrait être string ou unicode." + #. module: account_banking_sepa_credit_transfer #: selection:banking.export.sepa,state:0 msgid "Sent" @@ -111,88 +132,51 @@ msgid "Generate" msgstr "Générer" #. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,msg_identification:0 -#: field:banking.export.sepa.wizard,msg_identification:0 -msgid "Message identification" -msgstr "Libellé d'identification" - -#. module: account_banking_sepa_credit_transfer -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:287 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:169 #, python-format -msgid "" -"The generated XML file is not valid against the official XML Schema " -"Definition. The generated XML file and the full error have been written in " -"the server logs. Here is the error, which may give you an idea on the cause " -"of the problem : %s" -msgstr "" -"Le fichier XML généré n'est pas valide par rapport à la Définition du Schéma " -"XML officiel. Le fichier XML généré et le message d'erreur complet ont été " -"écrits dans les logs du serveur. Voici l'erreur, qui vous donnera peut-être " -"une idée sur la cause du problème : %s" - -#. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,total_amount:0 -#: field:banking.export.sepa.wizard,total_amount:0 -msgid "Total amount" -msgstr "Montant total" - -#. module: account_banking_sepa_credit_transfer -#: help:banking.export.sepa,charge_bearer:0 -#: help:banking.export.sepa.wizard,charge_bearer:0 -msgid "" -"Shared : transaction charges on the sender side are to be borne by the " -"debtor, transaction charges on the receiver side are to be borne by the " -"creditor (most transfers use this). Borne by creditor : all transaction " -"charges are to be borne by the creditor. Borne by debtor : all transaction " -"charges are to be borne by the debtor. Following service level : transaction " -"charges are to be applied following the rules agreed in the service level " -"and/or scheme." -msgstr "" -"Partagés : les frais bancaires côté émetteur sont à la charge de l'émetteur " -"et les frais bancaires côté destinataire sont à la charge du destinataire " -"(la plupart des virements utilisent cette répartition). Supportés par le " -"destinataire : tous les frais bancaires sont à la charge du destinataire. " -"Supportés par l'émetteur : tous les frais bancaires sont à la charge de " -"l'émetteur. Suivant le niveau de service : la répartition des frais " -"bancaires suit les règles pré-établies dans le contrat avec la banque." +msgid "The generated XML file is not valid against the official XML Schema Definition. The generated XML file and the full error have been written in the server logs. Here is the error, which may give you an idea on the cause of the problem : %s" +msgstr "Le fichier XML généré n'est pas valide par rapport à la Définition du Schéma XML officiel. Le fichier XML généré et le message d'erreur complet ont été écrits dans les logs du serveur. Voici l'erreur, qui vous donnera peut-être une idée sur la cause du problème : %s" #. module: account_banking_sepa_credit_transfer #: selection:banking.export.sepa,charge_bearer:0 #: selection:banking.export.sepa.wizard,charge_bearer:0 -msgid "Borne by creditor" -msgstr "Supportés par le destinataire" +msgid "Borne by Debtor" +msgstr "Supportés par l'émetteur" #. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,payment_order_ids:0 -#: field:banking.export.sepa.wizard,payment_order_ids:0 -msgid "Payment orders" -msgstr "Ordres de paiement" - -#. module: account_banking_sepa_credit_transfer -#: model:ir.actions.act_window,name:account_banking_sepa_credit_transfer.act_banking_export_sepa_payment_order -msgid "Generated SEPA Credit Transfer files" -msgstr "" - -#. module: account_banking_sepa_credit_transfer -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:89 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:90 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:116 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:121 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:130 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:168 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:206 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:350 #, python-format -msgid "This IBAN is not valid : %s" -msgstr "Cet IBAN n'est pas valide : %s" +msgid "Error:" +msgstr "Erreur :" + +#. module: account_banking_sepa_credit_transfer +#: field:banking.export.sepa,total_amount:0 +#: field:banking.export.sepa.wizard,total_amount:0 +msgid "Total Amount" +msgstr "Montant total" + +#. module: account_banking_sepa_credit_transfer +#: field:banking.export.sepa,charge_bearer:0 +#: field:banking.export.sepa.wizard,charge_bearer:0 +msgid "Charge Bearer" +msgstr "Répartition des frais" #. module: account_banking_sepa_credit_transfer #: view:banking.export.sepa.wizard:0 -msgid "SEPA XML file generation" -msgstr "Génération du fichier SEPA XML" +msgid "SEPA File Generation" +msgstr "Génération du fichier SEPA" #. module: account_banking_sepa_credit_transfer -#: view:banking.export.sepa.wizard:0 -msgid "Reference for further communication" -msgstr "Référence pour communication ultérieure" - -#. module: account_banking_sepa_credit_transfer -#: view:banking.export.sepa.wizard:0 -msgid "Processing details" -msgstr "Paramètres" +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:125 +#, python-format +msgid "Field type error:" +msgstr "Erreur dans le type de champ:" #. module: account_banking_sepa_credit_transfer #: model:ir.model,name:account_banking_sepa_credit_transfer.model_banking_export_sepa @@ -200,69 +184,69 @@ msgid "SEPA export" msgstr "Export SEPA" #. module: account_banking_sepa_credit_transfer -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:242 +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:351 #, python-format -msgid "" -"Missing Bank Account on invoice '%s' (payment order line reference '%s')." -msgstr "" +msgid "Missing Bank Account on invoice '%s' (payment order line reference '%s')." +msgstr "Compte bancaire manquant sur la facture '%s' (référence de la ligne de paiement : '%s')." #. module: account_banking_sepa_credit_transfer -#: selection:banking.export.sepa,charge_bearer:0 -#: selection:banking.export.sepa.wizard,charge_bearer:0 -msgid "Borne by debtor" -msgstr "Supportés par l'émetteur" +#: field:banking.export.sepa,file:0 +#: field:banking.export.sepa.wizard,file_id:0 +msgid "SEPA XML File" +msgstr "Fichier SEPA XML" #. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,nb_transactions:0 -#: field:banking.export.sepa.wizard,nb_transactions:0 -msgid "Number of transactions" -msgstr "Nombre de transactions" +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:131 +#, python-format +msgid "The '%s' is empty or 0. It should have a non-null value." +msgstr "Le '%s' est vide ou égal à 0. La valeur devrait être non nulle." #. module: account_banking_sepa_credit_transfer -#: selection:banking.export.sepa,charge_bearer:0 -#: selection:banking.export.sepa.wizard,charge_bearer:0 -msgid "Following service level" -msgstr "Suivant le niveau de service" +#: help:banking.export.sepa,charge_bearer:0 +msgid "Following service level : transaction charges are to be applied following the rules agreed in the service level and/or scheme (SEPA Core messages must use this). Shared : transaction charges on the creditor side are to be borne by the creditor, transaction charges on the debtor side are to be borne by the debtor. Borne by creditor : all transaction charges are to be borne by the creditor. Borne by debtor : all transaction charges are to be borne by the debtor." +msgstr "Suivant le niveau de service : la répartition des frais bancaires suit les règles pré-établies dans le schema ou dans le contrat avec la banque (les messages SEPA Core doivent utiliser ce paramètre). Partagés : les frais bancaires côté débiteur sont à la charge du débiteur, les frais bancaires côté créancier sont à la charge du créancier. Supportés par le créancier : tous les frais bancaires sont à la charge du créancier. Supportés par le débiteur : tous les frais bancaires sont à la charge du débiteur." + +#. module: account_banking_sepa_credit_transfer +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:207 +#, python-format +msgid "Payment Type Code '%s' is not supported. The only Payment Type Codes supported for SEPA Credit Transfers are 'pain.001.001.02', 'pain.001.001.03', 'pain.001.001.04' and 'pain.001.001.05'." +msgstr "Le code du Type de paiement '%s' n'est pas supporté. Les seuls codes de Type de paiement supportés pour les virements SEPA sont 'pain.001.001.02', 'pain.001.001.03', 'pain.001.001.04' et 'pain.001.001.05'." + +#. module: account_banking_sepa_credit_transfer +#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:90 +#, python-format +msgid "This IBAN is not valid : %s" +msgstr "Cet IBAN n'est pas valide : %s" #. module: account_banking_sepa_credit_transfer #: view:banking.export.sepa:0 +#: field:banking.export.sepa,payment_order_ids:0 +#: field:banking.export.sepa.wizard,payment_order_ids:0 msgid "Payment Orders" -msgstr "" +msgstr "Ordres de paiement" #. module: account_banking_sepa_credit_transfer #: view:banking.export.sepa:0 msgid "General Information" -msgstr "" +msgstr "Informations générales" #. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,charge_bearer:0 -#: field:banking.export.sepa.wizard,charge_bearer:0 -msgid "Charge bearer" -msgstr "Répartition des frais" +#: model:ir.actions.act_window,name:account_banking_sepa_credit_transfer.act_banking_export_sepa_payment_order +#: model:ir.actions.act_window,name:account_banking_sepa_credit_transfer.action_account_banking_sepa +#: model:ir.ui.menu,name:account_banking_sepa_credit_transfer.menu_account_banking_sepa +msgid "SEPA Credit Transfer Files" +msgstr "Fichiers de virement SEPA" #. module: account_banking_sepa_credit_transfer #: help:banking.export.sepa,batch_booking:0 #: help:banking.export.sepa.wizard,batch_booking:0 -msgid "" -"If true, the bank statement will display only one debit line for all the " -"wire transfers of the SEPA XML file ; if false, the bank statement will " -"display one debit line per wire transfer of the SEPA XML file." -msgstr "" -"Si coché, le relevé de compte ne comportera qu'une ligne de débit pour tous " -"les virements du fichier SEPA XML ; si non coché, le relevé de compte " -"comportera une ligne de débit pour chaque virement du fichier SEPA XML." +msgid "If true, the bank statement will display only one debit line for all the wire transfers of the SEPA XML file ; if false, the bank statement will display one debit line per wire transfer of the SEPA XML file." +msgstr "Si coché, le relevé de compte ne comportera qu'une ligne de débit pour tous les virements du fichier SEPA XML ; si non coché, le relevé de compte comportera une ligne de débit pour chaque virement du fichier SEPA XML." #. module: account_banking_sepa_credit_transfer #: help:banking.export.sepa.wizard,prefered_exec_date:0 -msgid "" -"This is the date on which the file should be processed by the bank. Please " -"keep in mind that banks only execute on working days and typically use a " -"delay of two days between execution date and effective transfer date." -msgstr "" -"C'est la date à laquelle le fichier doit être traité par la banque. Gardez " -"en tête que les banques réalisent des traitements seulement les jours ouvrés " -"et ont habituellement un délai de 2 jours entre la date de traitement et la " -"date du transfert effectif." +msgid "This is the date on which the file should be processed by the bank. Please keep in mind that banks only execute on working days and typically use a delay of two days between execution date and effective transfer date." +msgstr "C'est la date à laquelle le fichier doit être traité par la banque. Gardez en tête que les banques réalisent des traitements seulement les jours ouvrés et ont habituellement un délai de 2 jours entre la date de traitement et la date du transfert effectif." #. module: account_banking_sepa_credit_transfer #: field:banking.export.sepa.wizard,file:0 @@ -275,34 +259,7 @@ msgid "Cancel" msgstr "Annuler" #. module: account_banking_sepa_credit_transfer -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:132 -#, python-format -msgid "" -"Payment Type Code '%s' is not supported. The only Payment Type Codes " -"supported for SEPA Credit Transfers are 'pain.001.001.02', 'pain.001.001.03' " -"and 'pain.001.001.04'." -msgstr "" -"Le code '%s' pour le Type de Paiment n'est pas supporté. Les seuls codes de " -"Types de Paiement supportés pour les virements SEPA sont 'pain.001.001.02', " -"'pain.001.001.03' et 'pain.001.001.04'." +#: field:banking.export.sepa,create_date:0 +msgid "Generation Date" +msgstr "Date de génération" -#. module: account_banking_sepa_credit_transfer -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:89 -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:132 -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:242 -#: code:addons/account_banking_sepa_credit_transfer/wizard/export_sepa.py:287 -#, python-format -msgid "Error :" -msgstr "Erreur :" - -#. module: account_banking_sepa_credit_transfer -#: field:banking.export.sepa,batch_booking:0 -#: field:banking.export.sepa.wizard,batch_booking:0 -msgid "Batch booking" -msgstr "Débit groupé" - -#. module: account_banking_sepa_credit_transfer -#: model:ir.actions.act_window,name:account_banking_sepa_credit_transfer.action_account_banking_sepa -#: model:ir.ui.menu,name:account_banking_sepa_credit_transfer.menu_account_banking_sepa -msgid "Generated SEPA Credit Transfer XML files" -msgstr "" diff --git a/account_banking_sepa_credit_transfer/static/src/img/icon.png b/account_banking_sepa_credit_transfer/static/src/img/icon.png new file mode 100644 index 000000000..12ecf91ce Binary files /dev/null and b/account_banking_sepa_credit_transfer/static/src/img/icon.png differ diff --git a/account_banking_sepa_credit_transfer/wizard/__init__.py b/account_banking_sepa_credit_transfer/wizard/__init__.py index 239513358..05230383b 100644 --- a/account_banking_sepa_credit_transfer/wizard/__init__.py +++ b/account_banking_sepa_credit_transfer/wizard/__init__.py @@ -20,4 +20,4 @@ # ############################################################################## -import export_sepa +from . import export_sepa diff --git a/account_banking_sepa_credit_transfer/wizard/export_sepa.py b/account_banking_sepa_credit_transfer/wizard/export_sepa.py index 6a7850535..1f40060c0 100644 --- a/account_banking_sepa_credit_transfer/wizard/export_sepa.py +++ b/account_banking_sepa_credit_transfer/wizard/export_sepa.py @@ -23,48 +23,55 @@ from openerp.osv import orm, fields import base64 -from datetime import datetime, timedelta +from datetime import datetime from openerp.tools.translate import _ +from openerp.tools.safe_eval import safe_eval from openerp import tools, netsvc from lxml import etree import logging +from unidecode import unidecode _logger = logging.getLogger(__name__) class banking_export_sepa_wizard(orm.TransientModel): _name = 'banking.export.sepa.wizard' - _description = 'Export SEPA Credit Transfer XML file' + _description = 'Export SEPA Credit Transfer File' + _columns = { - 'state': fields.selection([('create', 'Create'), ('finish', 'Finish')], - 'State', readonly=True), - 'msg_identification': fields.char('Message identification', size=35, - # Can't set required=True on the field because it blocks - # the launch of the wizard -> I set it as required in the view - help='This is the message identification of the entire SEPA XML file. 35 characters max.'), - 'batch_booking': fields.boolean('Batch booking', + 'state': fields.selection([ + ('create', 'Create'), + ('finish', 'Finish'), + ], 'State', readonly=True), + 'batch_booking': fields.boolean( + 'Batch Booking', help="If true, the bank statement will display only one debit line for all the wire transfers of the SEPA XML file ; if false, the bank statement will display one debit line per wire transfer of the SEPA XML file."), - 'prefered_exec_date': fields.date('Prefered execution date', + 'prefered_exec_date': fields.date( + 'Prefered Execution Date', help='This is the date on which the file should be processed by the bank. Please keep in mind that banks only execute on working days and typically use a delay of two days between execution date and effective transfer date.'), 'charge_bearer': fields.selection([ + ('SLEV', 'Following Service Level'), ('SHAR', 'Shared'), - ('CRED', 'Borne by creditor'), - ('DEBT', 'Borne by debtor'), - ('SLEV', 'Following service level'), - ], 'Charge bearer', required=True, - help='Shared : transaction charges on the sender side are to be borne by the debtor, transaction charges on the receiver side are to be borne by the creditor (most transfers use this). Borne by creditor : all transaction charges are to be borne by the creditor. Borne by debtor : all transaction charges are to be borne by the debtor. Following service level : transaction charges are to be applied following the rules agreed in the service level and/or scheme.'), - 'nb_transactions': fields.related('file_id', 'nb_transactions', - type='integer', string='Number of transactions', readonly=True), - 'total_amount': fields.related('file_id', 'total_amount', type='float', - string='Total amount', readonly=True), - 'file_id': fields.many2one('banking.export.sepa', 'SEPA XML file', readonly=True), - 'file': fields.related('file_id', 'file', string="File", type='binary', + ('CRED', 'Borne by Creditor'), + ('DEBT', 'Borne by Debtor'), + ], 'Charge Bearer', required=True, + help='Following service level : transaction charges are to be applied following the rules agreed in the service level and/or scheme (SEPA Core messages must use this). Shared : transaction charges on the debtor side are to be borne by the debtor, transaction charges on the creditor side are to be borne by the creditor. Borne by creditor : all transaction charges are to be borne by the creditor. Borne by debtor : all transaction charges are to be borne by the debtor.'), + 'nb_transactions': fields.related( + 'file_id', 'nb_transactions', type='integer', + string='Number of Transactions', readonly=True), + 'total_amount': fields.related( + 'file_id', 'total_amount', type='float', string='Total Amount', readonly=True), - 'filename': fields.related('file_id', 'filename', string="Filename", - type='char', size=256, readonly=True), - 'payment_order_ids': fields.many2many('payment.order', - 'wiz_sepa_payorders_rel', 'wizard_id', 'payment_order_id', - 'Payment orders', readonly=True), + 'file_id': fields.many2one( + 'banking.export.sepa', 'SEPA XML File', readonly=True), + 'file': fields.related( + 'file_id', 'file', string="File", type='binary', readonly=True), + 'filename': fields.related( + 'file_id', 'filename', string="Filename", type='char', + size=256, readonly=True), + 'payment_order_ids': fields.many2many( + 'payment.order', 'wiz_sepa_payorders_rel', 'wizard_id', + 'payment_order_id', 'Payment Orders', readonly=True), } _defaults = { @@ -72,13 +79,6 @@ class banking_export_sepa_wizard(orm.TransientModel): 'state': 'create', } - - def _limit_size(self, cr, uid, field, max_size, context=None): - '''Limit size of strings to respect the PAIN standard''' - max_size = int(max_size) - return field[0:max_size] - - def _validate_iban(self, cr, uid, iban, context=None): '''if IBAN is valid, returns IBAN if IBAN is NOT valid, raises an error message''' @@ -86,29 +86,95 @@ class banking_export_sepa_wizard(orm.TransientModel): if partner_bank_obj.is_iban_valid(cr, uid, iban, context=context): return iban.replace(' ', '') else: - raise orm.except_orm(_('Error :'), _("This IBAN is not valid : %s") % iban) + raise orm.except_orm( + _('Error:'), _("This IBAN is not valid : %s") % iban) def create(self, cr, uid, vals, context=None): payment_order_ids = context.get('active_ids', []) vals.update({ 'payment_order_ids': [[6, 0, payment_order_ids]], }) - return super(banking_export_sepa_wizard, self).create(cr, uid, - vals, context=context) + return super(banking_export_sepa_wizard, self).create( + cr, uid, vals, context=context) + def _prepare_field( + self, cr, uid, field_name, field_value, eval_ctx, max_size=0, + context=None): + '''This function is designed to be inherited !''' + assert isinstance(eval_ctx, dict), 'eval_ctx must contain a dict' + try: + # SEPA uses XML ; XML = UTF-8 ; UTF-8 = support for all characters + # But we are dealing with banks... + # and many banks don't want non-ASCCI characters ! + # cf section 1.4 "Character set" of the SEPA Credit Transfer + # Scheme Customer-to-bank guidelines + value = unidecode(safe_eval(field_value, eval_ctx)) + except: + line = eval_ctx.get('line') + if line: + raise orm.except_orm( + _('Error:'), + _("Cannot compute the '%s' of the Payment Line with Invoice Reference '%s'.") + % (field_name, self.pool['account.invoice'].name_get(cr, uid, [line.ml_inv_ref.id], context=context)[0][1])) + else: + raise orm.except_orm( + _('Error:'), + _("Cannot compute the '%s'.") % field_name) + if not isinstance(value, (str, unicode)): + raise orm.except_orm( + _('Field type error:'), + _("The type of the field '%s' is %s. It should be a string or unicode.") + % (field_name, type(value))) + if not value: + raise orm.except_orm( + _('Error:'), + _("The '%s' is empty or 0. It should have a non-null value.") + % field_name) + if max_size and len(value) > max_size: + value = value[0:max_size] + return value + + def _prepare_export_sepa( + self, cr, uid, sepa_export, total_amount, transactions_count, + xml_string, context=None): + return { + 'batch_booking': sepa_export.batch_booking, + 'charge_bearer': sepa_export.charge_bearer, + 'prefered_exec_date': sepa_export.prefered_exec_date, + 'total_amount': total_amount, + 'nb_transactions': transactions_count, + 'file': base64.encodestring(xml_string), + 'payment_order_ids': [ + (6, 0, [x.id for x in sepa_export.payment_order_ids]) + ], + } + + def _validate_xml(self, cr, uid, xml_string, pain_flavor): + xsd_etree_obj = etree.parse( + tools.file_open( + 'account_banking_sepa_credit_transfer/data/%s.xsd' + % pain_flavor)) + official_pain_schema = etree.XMLSchema(xsd_etree_obj) + + try: + root_to_validate = etree.fromstring(xml_string) + official_pain_schema.assertValid(root_to_validate) + except Exception, e: + _logger.warning( + "The XML file is invalid against the XML Schema Definition") + _logger.warning(xml_string) + _logger.warning(e) + raise orm.except_orm( + _('Error:'), + _('The generated XML file is not valid against the official XML Schema Definition. The generated XML file and the full error have been written in the server logs. Here is the error, which may give you an idea on the cause of the problem : %s') + % str(e)) + return True def create_sepa(self, cr, uid, ids, context=None): ''' Creates the SEPA Credit Transfer file. That's the important code ! ''' sepa_export = self.browse(cr, uid, ids[0], context=context) - - my_company_name = sepa_export.payment_order_ids[0].mode.bank_id.partner_id.name - my_company_iban = self._validate_iban(cr, uid, sepa_export.payment_order_ids[0].mode.bank_id.acc_number, context=context) - my_company_bic = sepa_export.payment_order_ids[0].mode.bank_id.bank.bic - #my_company_country_code = sepa_export.payment_order_ids[0].mode.bank_id.partner_id.address[0].country_id.code - #my_company_city = sepa_export.payment_order_ids[0].mode.bank_id.partner_id.address[0].city - #my_company_street1 = sepa_export.payment_order_ids[0].mode.bank_id.partner_id.address[0].street pain_flavor = sepa_export.payment_order_ids[0].mode.type.code if pain_flavor == 'pain.001.001.02': bic_xml_tag = 'BIC' @@ -118,23 +184,28 @@ class banking_export_sepa_wizard(orm.TransientModel): bic_xml_tag = 'BIC' # size 70 -> 140 for with pain.001.001.03 # BUT the European Payment Council, in the document - # "SEPA Credit Transfer Scheme Customer-to-bank Implementation guidelines" v6.0 - # available on http://www.europeanpaymentscouncil.eu/knowledge_bank.cfm + # "SEPA Credit Transfer Scheme Customer-to-bank + # Implementation guidelines" v6.0 available on + # http://www.europeanpaymentscouncil.eu/knowledge_bank.cfm # says that 'Nm' should be limited to 70 - # so we follow the "European Payment Council" and we put 70 and not 140 + # so we follow the "European Payment Council" + # and we put 70 and not 140 name_maxsize = 70 root_xml_tag = 'CstmrCdtTrfInitn' elif pain_flavor == 'pain.001.001.04': bic_xml_tag = 'BICFI' name_maxsize = 140 root_xml_tag = 'CstmrCdtTrfInitn' + elif pain_flavor == 'pain.001.001.05': + bic_xml_tag = 'BICFI' + name_maxsize = 140 + root_xml_tag = 'CstmrCdtTrfInitn' + else: - raise orm.except_orm(_('Error :'), _("Payment Type Code '%s' is not supported. The only Payment Type Codes supported for SEPA Credit Transfers are 'pain.001.001.02', 'pain.001.001.03' and 'pain.001.001.04'.") % pain_flavor) - if sepa_export.batch_booking: - my_batch_booking = 'true' - else: - my_batch_booking = 'false' - my_msg_identification = sepa_export.msg_identification + raise orm.except_orm( + _('Error:'), + _("Payment Type Code '%s' is not supported. The only Payment Type Codes supported for SEPA Credit Transfers are 'pain.001.001.02', 'pain.001.001.03', 'pain.001.001.04' and 'pain.001.001.05'.") + % pain_flavor) if sepa_export.prefered_exec_date: my_requested_exec_date = sepa_export.prefered_exec_date else: @@ -148,73 +219,99 @@ class banking_export_sepa_wizard(orm.TransientModel): root = etree.Element('Document', nsmap=pain_ns) pain_root = etree.SubElement(root, root_xml_tag) + + my_company_name = self._prepare_field( + cr, uid, 'Company Name', + 'sepa_export.payment_order_ids[0].mode.bank_id.partner_id.name', + {'sepa_export': sepa_export}, name_maxsize, context=context) + # A. Group header - group_header = etree.SubElement(pain_root, 'GrpHdr') - message_identification = etree.SubElement(group_header, 'MsgId') - message_identification.text = self._limit_size(cr, uid, my_msg_identification, 35, context=context) - creation_date_time = etree.SubElement(group_header, 'CreDtTm') - creation_date_time.text = datetime.strftime(datetime.today(), '%Y-%m-%dT%H:%M:%S') + group_header_1_0 = etree.SubElement(pain_root, 'GrpHdr') + message_identification_1_1 = etree.SubElement( + group_header_1_0, 'MsgId') + message_identification_1_1.text = self._prepare_field( + cr, uid, 'Message Identification', + 'sepa_export.payment_order_ids[0].reference', + {'sepa_export': sepa_export}, 35, context=context) + creation_date_time_1_2 = etree.SubElement(group_header_1_0, 'CreDtTm') + creation_date_time_1_2.text = datetime.strftime( + datetime.today(), '%Y-%m-%dT%H:%M:%S') if pain_flavor == 'pain.001.001.02': # batch_booking is in "Group header" with pain.001.001.02 # and in "Payment info" in pain.001.001.03/04 - batch_booking = etree.SubElement(group_header, 'BtchBookg') - batch_booking.text = my_batch_booking - nb_of_transactions_grphdr = etree.SubElement(group_header, 'NbOfTxs') - control_sum_grphdr = etree.SubElement(group_header, 'CtrlSum') + batch_booking = etree.SubElement(group_header_1_0, 'BtchBookg') + batch_booking.text = str(sepa_export.batch_booking).lower() + nb_of_transactions_1_6 = etree.SubElement( + group_header_1_0, 'NbOfTxs') + control_sum_1_7 = etree.SubElement(group_header_1_0, 'CtrlSum') # Grpg removed in pain.001.001.03 if pain_flavor == 'pain.001.001.02': - grouping = etree.SubElement(group_header, 'Grpg') + grouping = etree.SubElement(group_header_1_0, 'Grpg') grouping.text = 'GRPD' - initiating_party = etree.SubElement(group_header, 'InitgPty') - initiating_party_name = etree.SubElement(initiating_party, 'Nm') - initiating_party_name.text = self._limit_size(cr, uid, my_company_name, name_maxsize, context=context) + initiating_party_1_8 = etree.SubElement(group_header_1_0, 'InitgPty') + initiating_party_name = etree.SubElement(initiating_party_1_8, 'Nm') + initiating_party_name.text = my_company_name + # B. Payment info - payment_info = etree.SubElement(pain_root, 'PmtInf') - payment_info_identification = etree.SubElement(payment_info, 'PmtInfId') - payment_info_identification.text = self._limit_size(cr, uid, my_msg_identification, 35, context=context) - payment_method = etree.SubElement(payment_info, 'PmtMtd') - payment_method.text = 'TRF' - if pain_flavor in ['pain.001.001.03', 'pain.001.001.04']: + payment_info_2_0 = etree.SubElement(pain_root, 'PmtInf') + payment_info_identification_2_1 = etree.SubElement( + payment_info_2_0, 'PmtInfId') + payment_info_identification_2_1.text = self._prepare_field( + cr, uid, 'Payment Information Identification', + "sepa_export.payment_order_ids[0].reference", + {'sepa_export': sepa_export}, 35, context=context) + payment_method_2_2 = etree.SubElement(payment_info_2_0, 'PmtMtd') + payment_method_2_2.text = 'TRF' + if pain_flavor in [ + 'pain.001.001.03', 'pain.001.001.04', 'pain.001.001.05']: # batch_booking is in "Group header" with pain.001.001.02 # and in "Payment info" in pain.001.001.03/04 - batch_booking = etree.SubElement(payment_info, 'BtchBookg') - batch_booking.text = my_batch_booking + batch_booking_2_3 = etree.SubElement(payment_info_2_0, 'BtchBookg') + batch_booking_2_3.text = str(sepa_export.batch_booking).lower() # It may seem surprising, but the - # "SEPA Credit Transfer Scheme Customer-to-bank Implementation guidelines" - # v6.0 says that control sum and nb_of_transactions should be present - # at both "group header" level and "payment info" level - # This seems to be confirmed by the tests carried out at + # "SEPA Credit Transfer Scheme Customer-to-bank Implementation + # guidelines" v6.0 says that control sum and nb_of_transactions + # should be present at both "group header" level and "payment info" + # level. This seems to be confirmed by the tests carried out at # BNP Paribas in PAIN v001.001.03 - if pain_flavor in ['pain.001.001.03', 'pain.001.001.04']: - nb_of_transactions_pmtinf = etree.SubElement(payment_info, 'NbOfTxs') - control_sum_pmtinf = etree.SubElement(payment_info, 'CtrlSum') - payment_type_info = etree.SubElement(payment_info, 'PmtTpInf') - service_level = etree.SubElement(payment_type_info, 'SvcLvl') - service_level_code = etree.SubElement(service_level, 'Cd') - service_level_code.text = 'SEPA' - requested_exec_date = etree.SubElement(payment_info, 'ReqdExctnDt') - requested_exec_date.text = my_requested_exec_date - debtor = etree.SubElement(payment_info, 'Dbtr') - debtor_name = etree.SubElement(debtor, 'Nm') - debtor_name.text = self._limit_size(cr, uid, my_company_name, name_maxsize, context=context) -# debtor_address = etree.SubElement(debtor, 'PstlAdr') -# debtor_street = etree.SubElement(debtor_address, 'AdrLine') -# debtor_street.text = my_company_street1 -# debtor_city = etree.SubElement(debtor_address, 'AdrLine') -# debtor_city.text = my_company_city -# debtor_country = etree.SubElement(debtor_address, 'Ctry') -# debtor_country.text = my_company_country_code - debtor_account = etree.SubElement(payment_info, 'DbtrAcct') - debtor_account_id = etree.SubElement(debtor_account, 'Id') + if pain_flavor in [ + 'pain.001.001.03', 'pain.001.001.04', 'pain.001.001.05']: + nb_of_transactions_2_4 = etree.SubElement( + payment_info_2_0, 'NbOfTxs') + control_sum_2_5 = etree.SubElement(payment_info_2_0, 'CtrlSum') + payment_type_info_2_6 = etree.SubElement(payment_info_2_0, 'PmtTpInf') + service_level_2_8 = etree.SubElement(payment_type_info_2_6, 'SvcLvl') + service_level_code_2_9 = etree.SubElement(service_level_2_8, 'Cd') + service_level_code_2_9.text = 'SEPA' + requested_exec_date_2_17 = etree.SubElement( + payment_info_2_0, 'ReqdExctnDt') + requested_exec_date_2_17.text = my_requested_exec_date + debtor_2_19 = etree.SubElement(payment_info_2_0, 'Dbtr') + debtor_name = etree.SubElement(debtor_2_19, 'Nm') + debtor_name.text = my_company_name + debtor_account_2_20 = etree.SubElement(payment_info_2_0, 'DbtrAcct') + debtor_account_id = etree.SubElement(debtor_account_2_20, 'Id') debtor_account_iban = etree.SubElement(debtor_account_id, 'IBAN') - debtor_account_iban.text = my_company_iban - debtor_agent = etree.SubElement(payment_info, 'DbtrAgt') - debtor_agent_institution = etree.SubElement(debtor_agent, 'FinInstnId') - if my_company_bic: - debtor_agent_bic = etree.SubElement(debtor_agent_institution, bic_xml_tag) - debtor_agent_bic.text = my_company_bic - charge_bearer = etree.SubElement(payment_info, 'ChrgBr') - charge_bearer.text = sepa_export.charge_bearer + debtor_account_iban.text = self._validate_iban( + cr, uid, self._prepare_field( + cr, uid, 'Company IBAN', + 'sepa_export.payment_order_ids[0].mode.bank_id.acc_number', + {'sepa_export': sepa_export}, context=context), + context=context) + debtor_agent_2_21 = etree.SubElement(payment_info_2_0, 'DbtrAgt') + debtor_agent_institution = etree.SubElement( + debtor_agent_2_21, 'FinInstnId') + debtor_agent_bic = etree.SubElement( + debtor_agent_institution, bic_xml_tag) + # TODO validate BIC with pattern + # [A-Z]{6,6}[A-Z2-9][A-NP-Z0-9]([A-Z0-9]{3,3}){0,1} + # because OpenERP doesn't have a constraint on BIC + debtor_agent_bic.text = self._prepare_field( + cr, uid, 'Company BIC', + 'sepa_export.payment_order_ids[0].mode.bank_id.bank.bic', + {'sepa_export': sepa_export}, context=context) + charge_bearer_2_24 = etree.SubElement(payment_info_2_0, 'ChrgBr') + charge_bearer_2_24.text = sepa_export.charge_bearer transactions_count = 0 total_amount = 0.0 @@ -226,88 +323,100 @@ class banking_export_sepa_wizard(orm.TransientModel): for line in payment_order.line_ids: transactions_count += 1 # C. Credit Transfer Transaction Info - credit_transfer_transaction_info = etree.SubElement(payment_info, 'CdtTrfTxInf') - payment_identification = etree.SubElement(credit_transfer_transaction_info, 'PmtId') - instruction_identification = etree.SubElement(payment_identification, 'InstrId') - instruction_identification.text = self._limit_size(cr, uid, line.communication, 35, context=context) #otherwise, we can reach the invoice fields via ml_inv_ref - end2end_identification = etree.SubElement(payment_identification, 'EndToEndId') - end2end_identification.text = self._limit_size(cr, uid, line.communication, 35, context=context) - amount = etree.SubElement(credit_transfer_transaction_info, 'Amt') - instructed_amount = etree.SubElement(amount, 'InstdAmt', Ccy=line.currency.name) - instructed_amount.text = '%.2f' % line.amount_currency + credit_transfer_transaction_info_2_27 = etree.SubElement( + payment_info_2_0, 'CdtTrfTxInf') + payment_identification_2_28 = etree.SubElement( + credit_transfer_transaction_info_2_27, 'PmtId') + end2end_identification_2_30 = etree.SubElement( + payment_identification_2_28, 'EndToEndId') + end2end_identification_2_30.text = self._prepare_field( + cr, uid, 'End to End Identification', 'line.name', + {'line': line}, 35, context=context) + currency_name = self._prepare_field( + cr, uid, 'Currency Code', 'line.currency.name', + {'line': line}, 3, context=context) + amount_2_42 = etree.SubElement( + credit_transfer_transaction_info_2_27, 'Amt') + instructed_amount_2_43 = etree.SubElement( + amount_2_42, 'InstdAmt', Ccy=currency_name) + instructed_amount_2_43.text = '%.2f' % line.amount_currency amount_control_sum += line.amount_currency - creditor_agent = etree.SubElement(credit_transfer_transaction_info, 'CdtrAgt') - creditor_agent_institution = etree.SubElement(creditor_agent, 'FinInstnId') + creditor_agent_2_77 = etree.SubElement( + credit_transfer_transaction_info_2_27, 'CdtrAgt') + creditor_agent_institution = etree.SubElement( + creditor_agent_2_77, 'FinInstnId') if not line.bank_id: - raise orm.except_orm(_('Error :'), _("Missing Bank Account on invoice '%s' (payment order line reference '%s').") %(line.ml_inv_ref.number, line.name)) - if line.bank_id.bank.bic: - creditor_agent_bic = etree.SubElement(creditor_agent_institution, bic_xml_tag) - creditor_agent_bic.text = line.bank_id.bank.bic - creditor = etree.SubElement(credit_transfer_transaction_info, 'Cdtr') - creditor_name = etree.SubElement(creditor, 'Nm') - creditor_name.text = self._limit_size(cr, uid, line.partner_id.name, name_maxsize, context=context) -# I don't think they want it -# If they want it, we need to implement full spec p26 appendix -# creditor_address = etree.SubElement(creditor, 'PstlAdr') -# creditor_street = etree.SubElement(creditor_address, 'AdrLine') -# creditor_street.text = line.partner_id.address[0].street -# creditor_city = etree.SubElement(creditor_address, 'AdrLine') -# creditor_city.text = line.partner_id.address[0].city -# creditor_country = etree.SubElement(creditor_address, 'Ctry') -# creditor_country.text = line.partner_id.address[0].country_id.code - creditor_account = etree.SubElement(credit_transfer_transaction_info, 'CdtrAcct') - creditor_account_id = etree.SubElement(creditor_account, 'Id') - creditor_account_iban = etree.SubElement(creditor_account_id, 'IBAN') - creditor_account_iban.text = self._validate_iban(cr, uid, line.bank_id.acc_number, context=context) - remittance_info = etree.SubElement(credit_transfer_transaction_info, 'RmtInf') - # switch to Structured (Strdr) ? If we do it, beware that the format is not the same between pain 02 and pain 03 - remittance_info_unstructured = etree.SubElement(remittance_info, 'Ustrd') - remittance_info_unstructured.text = self._limit_size(cr, uid, line.communication, 140, context=context) + raise orm.except_orm( + _('Error:'), + _("Missing Bank Account on invoice '%s' (payment order line reference '%s').") + % (line.ml_inv_ref.number, line.name)) + creditor_agent_bic = etree.SubElement( + creditor_agent_institution, bic_xml_tag) + creditor_agent_bic.text = self._prepare_field( + cr, uid, 'Customer BIC', 'line.bank_id.bank.bic', + {'line': line}, context=context) + creditor_2_79 = etree.SubElement( + credit_transfer_transaction_info_2_27, 'Cdtr') + creditor_name = etree.SubElement(creditor_2_79, 'Nm') + creditor_name.text = self._prepare_field( + cr, uid, 'Customer Name', 'line.partner_id.name', + {'line': line}, name_maxsize, context=context) + creditor_account_2_80 = etree.SubElement( + credit_transfer_transaction_info_2_27, 'CdtrAcct') + creditor_account_id = etree.SubElement( + creditor_account_2_80, 'Id') + creditor_account_iban = etree.SubElement( + creditor_account_id, 'IBAN') + creditor_account_iban.text = self._validate_iban( + cr, uid, self._prepare_field( + cr, uid, 'Customer IBAN', + 'line.bank_id.acc_number', {'line': line}, + context=context), + context=context) + remittance_info_2_91 = etree.SubElement( + credit_transfer_transaction_info_2_27, 'RmtInf') + # switch to Structured (Strdr) ? + # If we do it, beware that the format is not the same + # between pain 02 and pain 03 + remittance_info_unstructured_2_99 = etree.SubElement( + remittance_info_2_91, 'Ustrd') + remittance_info_unstructured_2_99.text = self._prepare_field( + cr, uid, 'Remittance Information', 'line.communication', + {'line': line}, 140, context=context) - if pain_flavor in ['pain.001.001.03', 'pain.001.001.04']: - nb_of_transactions_grphdr.text = nb_of_transactions_pmtinf.text = str(transactions_count) - control_sum_grphdr.text = control_sum_pmtinf.text = '%.2f' % amount_control_sum + if pain_flavor in [ + 'pain.001.001.03', 'pain.001.001.04', 'pain.001.001.05']: + nb_of_transactions_1_6.text = nb_of_transactions_2_4.text = \ + str(transactions_count) + control_sum_1_7.text = control_sum_2_5.text = \ + '%.2f' % amount_control_sum else: - nb_of_transactions_grphdr.text = str(transactions_count) - control_sum_grphdr.text = '%.2f' % amount_control_sum + nb_of_transactions_1_6.text = str(transactions_count) + control_sum_1_7.text = '%.2f' % amount_control_sum - - xml_string = etree.tostring(root, pretty_print=True, encoding='UTF-8', xml_declaration=True) - _logger.debug("Generated SEPA XML file below") + xml_string = etree.tostring( + root, pretty_print=True, encoding='UTF-8', xml_declaration=True) + _logger.debug( + "Generated SEPA Credit Transfer XML file in format %s below" + % pain_flavor) _logger.debug(xml_string) - official_pain_schema = etree.XMLSchema(etree.parse(tools.file_open('account_banking_sepa_credit_transfer/data/%s.xsd' % pain_flavor))) - - try: - root_to_validate = etree.fromstring(xml_string) - official_pain_schema.assertValid(root_to_validate) - except Exception, e: - _logger.warning("The XML file is invalid against the XML Schema Definition") - _logger.warning(xml_string) - _logger.warning(e) - raise orm.except_orm(_('Error :'), _('The generated XML file is not valid against the official XML Schema Definition. The generated XML file and the full error have been written in the server logs. Here is the error, which may give you an idea on the cause of the problem : %s') % str(e)) + self._validate_xml(cr, uid, xml_string, pain_flavor) # CREATE the banking.export.sepa record - file_id = self.pool.get('banking.export.sepa').create(cr, uid, - { - 'msg_identification': my_msg_identification, - 'batch_booking': sepa_export.batch_booking, - 'charge_bearer': sepa_export.charge_bearer, - 'prefered_exec_date': sepa_export.prefered_exec_date, - 'total_amount': total_amount, - 'nb_transactions': transactions_count, - 'file': base64.encodestring(xml_string), - 'payment_order_ids': [ - (6, 0, [x.id for x in sepa_export.payment_order_ids]) - ], - }, context=context) + file_id = self.pool.get('banking.export.sepa').create( + cr, uid, self._prepare_export_sepa( + cr, uid, sepa_export, total_amount, transactions_count, + xml_string, context=context), + context=context) - self.write(cr, uid, ids, { - 'file_id': file_id, - 'state': 'finish', + self.write( + cr, uid, ids, { + 'file_id': file_id, + 'state': 'finish', }, context=context) action = { - 'name': 'SEPA XML', + 'name': 'SEPA Credit Transfer File', 'type': 'ir.actions.act_window', 'view_type': 'form', 'view_mode': 'form,tree', @@ -317,26 +426,27 @@ class banking_export_sepa_wizard(orm.TransientModel): } return action - def cancel_sepa(self, cr, uid, ids, context=None): ''' Cancel the SEPA PAIN: just drop the file ''' sepa_export = self.browse(cr, uid, ids[0], context=context) - self.pool.get('banking.export.sepa').unlink(cr, uid, sepa_export.file_id.id, context=context) + self.pool.get('banking.export.sepa').unlink( + cr, uid, sepa_export.file_id.id, context=context) return {'type': 'ir.actions.act_window_close'} - def save_sepa(self, cr, uid, ids, context=None): ''' - Save the SEPA PAIN: send the done signal to all payment orders in the file. - With the default workflow, they will transition to 'done', while with the - advanced workflow in account_banking_payment they will transition to 'sent' - waiting reconciliation. + Save the SEPA PAIN: send the done signal to all payment + orders in the file. With the default workflow, they will + transition to 'done', while with the advanced workflow in + account_banking_payment they will transition to 'sent' waiting + reconciliation. ''' sepa_export = self.browse(cr, uid, ids[0], context=context) - self.pool.get('banking.export.sepa').write(cr, uid, - sepa_export.file_id.id, {'state': 'sent'}, context=context) + self.pool.get('banking.export.sepa').write( + cr, uid, sepa_export.file_id.id, {'state': 'sent'}, + context=context) wf_service = netsvc.LocalService('workflow') for order in sepa_export.payment_order_ids: wf_service.trg_validate(uid, 'payment.order', order.id, 'done', cr) diff --git a/account_banking_sepa_credit_transfer/wizard/export_sepa_view.xml b/account_banking_sepa_credit_transfer/wizard/export_sepa_view.xml index 8dff532e3..5d1d846e9 100644 --- a/account_banking_sepa_credit_transfer/wizard/export_sepa_view.xml +++ b/account_banking_sepa_credit_transfer/wizard/export_sepa_view.xml @@ -1,6 +1,6 @@ @@ -11,24 +11,16 @@ banking.export.sepa.wizard.view banking.export.sepa.wizard - + - - - - - +