Commit Graph

48 Commits

Author SHA1 Message Date
Alexandre Fayolle
3478ab1abb please flake8 about blank lines 2014-12-03 10:47:54 +01:00
Alexandre Fayolle
d9cd6c0ba5 'floating' docstring fixes
move module docstrings to the top of the module
convert some 'docstrings' to comments
remove useless docs
2014-12-03 10:46:38 +01:00
Holger Brunn
f2db2082b2 [FIX] coding style 2014-10-20 13:16:04 +02:00
Sandy Carter
1a6763368e PEP8 on account_banking 2014-09-02 12:36:36 -04:00
unknown
ad5c962dd5 [FIX] Minor import updates to allow install on trunk 2014-01-06 13:00:16 +01:00
Graeme Gellatly
920e3148b1 [FIX] Minor import updates to allow install on trunk 2014-01-05 15:07:34 +13:00
Stefan Rijnhart
93de437e06 [RFR] Refactor out the code that retrieves default debit or credit
account of the partner
[RFR] Remove suspicious references to the company partner
	debit and credit accounts
[ADD] Module that allows for alternative partner journal accounts
	to be used as defaults in imported bank statements
2013-11-17 20:45:48 +01:00
unknown
9ddf2dd011 [FIX] Adapt to the new partner model in 7.0 2013-10-14 14:33:57 +02:00
Stefan Rijnhart
44f90bcd79 [FIX] Adapt to the new partner model in 7.0 2013-09-14 13:54:23 +02:00
Stefan Rijnhart
97504cb071 [FIX] Do assign a receivable account some of the time 2013-08-23 14:27:10 +02:00
Stefan Rijnhart
0742dbd818 [FIX] typos 2013-08-23 14:12:22 +02:00
Stefan Rijnhart
7f7eb28226 [FIX] Select account receivable/payable based on partner settings if any 2013-08-23 13:55:17 +02:00
unknown
9a358a2bc0 [FIX] Left-over field references from former refactoring 2013-08-12 11:20:35 +02:00
unknown
f5a3987a51 [FIX] Adapt sizes of partner fields on link partner wizard 2013-08-12 11:20:12 +02:00
Stefan Rijnhart
a45933120b [FIX] Left-over field references from former refactoring 2013-07-24 23:12:42 +02:00
Stefan Rijnhart
6312bfbe92 [MRG] Merged with target branch 2013-06-26 23:14:41 +02:00
unknown
e3d1c40f7f [IMP] Single manual reconcile is redundant when we can reconcile with
multiple invoices in the next tab
2013-06-10 12:14:31 +02:00
Stefan Rijnhart
219f9c8603 [FIX] Adapt sizes of partner fields on link partner wizard
[IMP] Show transaction info in partner link wizard
[IMP] Show message on transaction wizard
[FIX] Properly handle stringified address list in link partner wizard
[FIX] Transfer city from transaction in link partner wizard
[FIX] Allow user to set is_company in link partner wizard
[FIX] Remove void statement to get partner's columns
2013-06-05 14:34:24 +02:00
Stefan Rijnhart
cc989caa7c [FIX] Index error 2013-06-05 10:17:14 +02:00
Stefan Rijnhart
b15cf15cd5 [FIX] Various fixes
[IMP] Improvements on payment matching
2013-06-04 13:56:05 +02:00
Stefan Rijnhart
509b9bc3a8 [MRG] Merged with target branch 2013-06-04 12:18:31 +02:00
Stefan Rijnhart
292a2682b4 [FIX] Calculation of residual in the case of split transactions
[FIX] Transaction amount when credit amounts are split
[FIX] Restore bank account's partner when disabling match
2013-05-31 16:04:05 +02:00
Stefan Rijnhart
1d81e9f30b [RFR] Payment order workflow now allows cancelling of reconciled
orders
[FIX] Fixes from testing
[IMP] Manual matching of payment orders and lines
2013-05-30 00:26:36 +02:00
Stefan Rijnhart
7dc915753a [RFR] Remove obsolete workaround for lp:915975
[RFR] Remove unused method
2013-05-29 20:10:56 +02:00
Stefan Rijnhart
da9e7eb80a [IMP] Single manual reconcile is redundant when we can reconcile with
multiple invoices in the next tab
2013-05-01 17:12:53 +02:00
Stefan Rijnhart
1ce0926738 [MIG] Forward port of lp:~therp-nl/banking-addons/6.1-link_partner_wizard 2013-05-01 16:25:04 +02:00
unknown
2b80075140 [ADD] Allow manual match of multiple invoices or move lines 2013-04-24 16:36:15 +02:00
Stefan Rijnhart
07cd9a2657 [FIX] Relicense as AGPL 2013-04-15 15:59:50 +02:00
Stefan Rijnhart
390af555b1 [FIX] Keep wizard window open after performing an action 2013-04-09 17:29:49 +02:00
Stefan Rijnhart
a48d788b7e [RFR] Adapt to orm API changes 2013-04-08 22:25:10 +02:00
Stefan Rijnhart
8f9fada351 [RFR] Split off payment functionality in a different addon 2013-03-16 17:44:19 +01:00
Stefan Rijnhart
f4b9c51d5d [IMP] Create import transactions instantly on manually encoded statements
when matching wizard is run
2012-12-01 19:31:34 +01:00
Stefan Rijnhart
a94a1e4fd4 [FIX] Selection of bugs and style issues found by pylint 2012-05-02 11:29:06 +02:00
James Jesudason
284dcfcaad [FIX] Reset the account on the statement line when the reconciliation is disabled.
[ADD] Set the transaction type for HSBC statement import.
2012-03-07 23:02:52 +00:00
James Jesudason
8feffbc2ca [FIX] Handle full and partial reconciliation amounts.
[ADD] Cancel the journal entries by canceling and deleting the linked voucher, if available.
2012-02-28 23:22:40 +00:00
James Jesudason
fe0a11ae5f [FIX] Convert the move line amount to the bank statement currency so that the residual amount is calculated correctly in multi-currency situations.
[ADD] Use a drop-down to select full reconcile vs. part reconcile, as per account_voucher.
[ADD] Create an account.voucher from the reconciliation information and generate moves using standard account_voucher code to simplify the account_banking module.
[TODO] Need to ensure all the necessary fields are gathered when a statement line is automatically matched.
[TODO] Need to handle cancelations.
2012-02-25 01:15:48 +00:00
James Jesudason
38999d7ee7 [ADD] Don't allow deletion of confirmed statement lines, and make sure that deleted satement lines remove the linked imported transaction record.
[ADD] Default the company on the import wizard.
[ADD] Make write-off fields optional, otherwise it's not possible to do a partial-reconcile.
[FIX] When local_currency is the company currency, look for journals with or without the currency set.
2012-02-21 23:50:13 +00:00
James Jesudason
6461c0e282 [ADD] Set company_id in context to ensure that the right period is found.
[FIX] Set local_currency on the transaction lines from the statement local_currency.
[ADD} Allow selection of analytic account for the statement line move and the write-off.
[FIX] Use currency name lookup on the journal, not currency id.
2012-02-20 19:41:49 +00:00
James Jesudason
cf58125c22 [ADD] Ability to store the HSBC Client ID for HSBCNet, and use that on the payment files
[FIX] Upgrading to version 6.1
2012-02-17 23:36:43 +00:00
Stefan Rijnhart
c88fed7b3c [FIX] bug: attempt at manual match is ignored
[RFR] rearrange match wizard layout using tabs
2012-01-22 15:33:46 +01:00
Stefan Rijnhart
cac9e86554 [FIX] lost translations
[ADD] search view for bank statement line view
[FIX] disable noninteractive splitting of transactions
[FIX] disable noninteractive caching of 'matched' transactions
[IMP] show transaction related data on the wizard
2012-01-16 17:15:55 +01:00
Stefan Rijnhart
b1d692a544 [FIX] do not try to select rows in the database by float value
[FIX] split up transaction is not preserved in matching process
[FIX] workaround for lp:915975 writing fields.related of type 'many2many'
2012-01-13 14:22:14 +01:00
OpenERP instance user
059e8d4420 [ADD] field 'residual' in bank statement line trees
[RFR] field 'match_type' on bank statement lines is now a related field
[FIX] bug: invoices with state 'debid denied' are selected for new nebit orders
[ADD] filter button on invoices search view for state 'debit denied'
[FIX] invoice workflow does not allow reopening of invoices in state debit denied
[FIX] match wizard does not show payment line but move line for storno type matches
2011-12-21 14:06:26 +01:00
OpenERP instance user
363c82c2e2 [FIX] Branding and copyright, version numbering 2011-12-21 12:26:36 +01:00
OpenERP instance user
c40073e9a3 [ADD] reconcile with write-off 2011-12-21 09:47:16 +01:00
OpenERP instance user
36b0cd8eb8 [FIX] do not cancel individual lines on statement cancel
[ADD] manual match
[FIX] can delete automatic match selection (e.g. invoice)
	in wizard form
2011-12-20 12:41:16 +01:00
OpenERP instance user
908ade7d5c [FIX] do an actual partial reconciliation at statement confirm time
[FIX] no context in match_invoice()
[FIX] transaction update and browse again after split
[ADD] transaction parent_id relation for split records
[ADD] residual and write-off infrastructure
[ADD] option to disable reconciliation on bank transaction
2011-12-19 21:58:28 +01:00
OpenERP instance user
3f4c0a7d44 [ADD] split off wizard file 2011-12-19 20:28:09 +01:00