Commit Graph

47 Commits

Author SHA1 Message Date
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