diff --git a/account_reconcile_oca/models/account_account_reconcile.py b/account_reconcile_oca/models/account_account_reconcile.py index fe977dcc..37bc75e9 100644 --- a/account_reconcile_oca/models/account_account_reconcile.py +++ b/account_reconcile_oca/models/account_account_reconcile.py @@ -151,11 +151,11 @@ class AccountAccountReconcile(models.Model): counterparts = data["counterparts"] amount = 0.0 for line_id in counterparts: - line = self._get_reconcile_line( + lines = self._get_reconcile_line( self.env["account.move.line"].browse(line_id), "other", True, amount ) - new_data["data"].append(line) - amount += line["amount"] + new_data["data"] += lines + amount += sum(line["amount"] for line in lines) return new_data def clean_reconcile(self): diff --git a/account_reconcile_oca/models/account_bank_statement_line.py b/account_reconcile_oca/models/account_bank_statement_line.py index 079f3930..e0565b1c 100644 --- a/account_reconcile_oca/models/account_bank_statement_line.py +++ b/account_reconcile_oca/models/account_bank_statement_line.py @@ -163,7 +163,7 @@ class AccountBankStatementLine(models.Model): self.manual_model_id, self.reconcile_data_info["reconcile_auxiliary_id"], ), - self.manual_reference + self.manual_reference, ) else: # Refreshing data @@ -189,26 +189,19 @@ class AccountBankStatementLine(models.Model): else: new_data.append(line) if is_new_line: - new_data.append( - self._get_reconcile_line( - self.add_account_move_line_id, "other", True, pending_amount - ) + reconcile_auxiliary_id, lines = self._get_reconcile_line( + self.add_account_move_line_id, "other", True, pending_amount ) + new_data += lines self.reconcile_data_info = self._recompute_suspense_line( new_data, self.reconcile_data_info["reconcile_auxiliary_id"], self.manual_reference, - exchange_recompute=True, ) self.can_reconcile = self.reconcile_data_info.get("can_reconcile", False) self.add_account_move_line_id = False - def _recompute_suspense_line( - self, data, reconcile_auxiliary_id, manual_reference, exchange_recompute=False - ): - reconcile_auxiliary_id = self._compute_exchange_rate( - data, reconcile_auxiliary_id, exchange_recompute=exchange_recompute - ) + def _recompute_suspense_line(self, data, reconcile_auxiliary_id, manual_reference): can_reconcile = True total_amount = 0 new_data = [] @@ -450,49 +443,15 @@ class AccountBankStatementLine(models.Model): new_data.append(new_line) return new_data, reconcile_auxiliary_id - def _compute_exchange_rate( - self, data, reconcile_auxiliary_id, exchange_recompute=False - ): - if not exchange_recompute: - return reconcile_auxiliary_id - foreign_currency = ( - self.currency_id != self.company_id.currency_id - or self.foreign_currency_id - or any(line["currency_id"] != line["line_currency_id"] for line in data) - ) - if not foreign_currency or self.is_reconciled: - return reconcile_auxiliary_id - currency = self.journal_id.currency_id or self.company_id.currency_id - amount = sum(d.get("net_amount", 0) for d in data) - if not currency.is_zero(amount): - account = self.company_id.expense_currency_exchange_account_id - if amount > 0: - account = self.company_id.income_currency_exchange_account_id - data.append( - { - "reference": "reconcile_auxiliary;%s" % reconcile_auxiliary_id, - "id": False, - "account_id": account.name_get()[0], - "partner_id": False, - "date": fields.Date.to_string(self.date), - "name": self.payment_ref or self.name, - "amount": -amount, - "net_amount": -amount, - "credit": amount if amount > 0 else 0.0, - "debit": -amount if amount < 0 else 0.0, - "kind": "other", - "currency_id": self.currency_id.id, - "line_currency_id": self.currency_id.id, - "currency_amount": -amount, - } - ) - reconcile_auxiliary_id += 1 - return reconcile_auxiliary_id - def _default_reconcile_data(self, from_unreconcile=False): liquidity_lines, suspense_lines, other_lines = self._seek_for_lines() - data = [self._get_reconcile_line(line, "liquidity") for line in liquidity_lines] + data = [] reconcile_auxiliary_id = 1 + for line in liquidity_lines: + reconcile_auxiliary_id, lines = self._get_reconcile_line( + line, "liquidity", reconcile_auxiliary_id=reconcile_auxiliary_id + ) + data += lines if not from_unreconcile: res = ( self.env["account.reconcile.model"] @@ -507,30 +466,31 @@ class AccountBankStatementLine(models.Model): data, res["model"], reconcile_auxiliary_id ), self.manual_reference, - exchange_recompute=True ) elif res and res.get("amls"): amount = self.amount_total_signed for line in res.get("amls", []): - line_data = self._get_reconcile_line( - line, "other", is_counterpart=True, max_amount=amount + reconcile_auxiliary_id, line_data = self._get_reconcile_line( + line, + "other", + is_counterpart=True, + max_amount=amount, + reconcile_auxiliary_id=reconcile_auxiliary_id, ) - amount -= line_data.get("amount") - data.append(line_data) + amount -= sum(line.get("amount") for line in line_data) + data += line_data return self._recompute_suspense_line( data, reconcile_auxiliary_id, self.manual_reference, - exchange_recompute=True, ) + for line in other_lines: + reconcile_auxiliary_id, lines = self._get_reconcile_line( + line, "other", from_unreconcile=from_unreconcile + ) + data += lines return self._recompute_suspense_line( - data - + [ - self._get_reconcile_line( - line, "other", from_unreconcile=from_unreconcile - ) - for line in other_lines - ], + data, reconcile_auxiliary_id, self.manual_reference, ) @@ -699,10 +659,12 @@ class AccountBankStatementLine(models.Model): if not res: continue liquidity_lines, suspense_lines, other_lines = record._seek_for_lines() - data = [ - record._get_reconcile_line(line, "liquidity") - for line in liquidity_lines - ] + data = [] + for line in liquidity_lines: + reconcile_auxiliary_id, lines = record._get_reconcile_line( + line, "liquidity" + ) + data += lines reconcile_auxiliary_id = 1 if res.get("status", "") == "write_off": data = record._recompute_suspense_line( @@ -710,21 +672,19 @@ class AccountBankStatementLine(models.Model): data, res["model"], reconcile_auxiliary_id ), self.manual_reference, - exchange_recompute=True ) elif res.get("amls"): amount = self.amount for line in res.get("amls", []): - line_data = record._get_reconcile_line( + reconcile_auxiliary_id, line_datas = record._get_reconcile_line( line, "other", is_counterpart=True, max_amount=amount ) - amount -= line_data.get("amount") - data.append(line_data) + amount -= sum(line_data.get("amount") for line_data in line_datas) + data += line_datas data = record._recompute_suspense_line( data, reconcile_auxiliary_id, self.manual_reference, - exchange_recompute=True, ) if not data.get("can_reconcile"): continue @@ -745,14 +705,14 @@ class AccountBankStatementLine(models.Model): if line["reference"] == manual_reference and line.get("id"): total_amount = -line["amount"] + line["original_amount_unsigned"] original_amount = line["original_amount_unsigned"] - new_data.append( - self._get_reconcile_line( - self.env["account.move.line"].browse(line["id"]), - "other", - is_counterpart=True, - max_amount=original_amount, - ) + reconcile_auxiliary_id, lines = self._get_reconcile_line( + self.env["account.move.line"].browse(line["id"]), + "other", + is_counterpart=True, + reconcile_auxiliary_id=reconcile_auxiliary_id, + max_amount=original_amount, ) + new_data += lines new_data.append( { "reference": "reconcile_auxiliary;%s" % reconcile_auxiliary_id, @@ -777,7 +737,6 @@ class AccountBankStatementLine(models.Model): new_data, reconcile_auxiliary_id, self.manual_reference, - exchange_recompute=True, ) self.can_reconcile = self.reconcile_data_info.get("can_reconcile", False) @@ -792,18 +751,76 @@ class AccountBankStatementLine(models.Model): self.move_id.to_check = False def _get_reconcile_line( - self, line, kind, is_counterpart=False, max_amount=False, from_unreconcile=False + self, + line, + kind, + is_counterpart=False, + max_amount=False, + from_unreconcile=False, + reconcile_auxiliary_id=False, ): - vals = super()._get_reconcile_line( + new_vals = super()._get_reconcile_line( line, kind, is_counterpart=is_counterpart, max_amount=max_amount, from_unreconcile=from_unreconcile, ) - if vals["partner_id"] is False: - vals["partner_id"] = (False, self.partner_name) - return vals + rates = [] + for vals in new_vals: + if vals["partner_id"] is False: + vals["partner_id"] = (False, self.partner_name) + reconcile_auxiliary_id, rate = self._compute_exchange_rate( + vals, line, reconcile_auxiliary_id + ) + if rate: + rates.append(rate) + new_vals += rates + return reconcile_auxiliary_id, new_vals + + def _compute_exchange_rate( + self, + vals, + line, + reconcile_auxiliary_id, + ): + foreign_currency = ( + self.currency_id != self.company_id.currency_id + or self.foreign_currency_id + or vals["currency_id"] != vals["line_currency_id"] + ) + if not foreign_currency or self.is_reconciled: + return reconcile_auxiliary_id, False + currency = self.env["res.currency"].browse(vals["line_currency_id"]) + amount = currency._convert( + vals["currency_amount"], + self.company_id.currency_id, + self.company_id, + self.date, + ) - vals.get("amount", 0) + if currency.is_zero(amount): + return reconcile_auxiliary_id, False + account = self.company_id.expense_currency_exchange_account_id + if amount < 0: + account = self.company_id.income_currency_exchange_account_id + data = { + "reference": "reconcile_auxiliary;%s" % reconcile_auxiliary_id, + "id": False, + "account_id": account.name_get()[0], + "partner_id": False, + "date": fields.Date.to_string(self.date), + "name": self.payment_ref or self.name, + "amount": amount, + "net_amount": amount, + "credit": -amount if amount < 0 else 0.0, + "debit": amount if amount > 0 else 0.0, + "kind": "other", + "currency_id": self.company_id.currency_id.id, + "line_currency_id": self.company_id.currency_id.id, + "currency_amount": amount, + } + reconcile_auxiliary_id += 1 + return reconcile_auxiliary_id, data def add_statement(self): self.ensure_one() diff --git a/account_reconcile_oca/models/account_reconcile_abstract.py b/account_reconcile_oca/models/account_reconcile_abstract.py index 1e3bbc25..6ed5b938 100644 --- a/account_reconcile_oca/models/account_reconcile_abstract.py +++ b/account_reconcile_oca/models/account_reconcile_abstract.py @@ -38,29 +38,29 @@ class AccountReconcileAbstract(models.AbstractModel): ): date = self.date if "date" in self._fields else line.date original_amount = amount = net_amount = line.debit - line.credit - amount_currency = self.company_id.currency_id if is_counterpart: - amount = line.amount_residual_currency or line.amount_residual - amount_currency = line.currency_id or self.company_id.currency_id - original_amount = net_amount = line.amount_residual + currency_amount = -line.amount_residual_currency or line.amount_residual + amount = -line.amount_residual + currency = line.currency_id or self.company_id.currency_id + original_amount = net_amount = -line.amount_residual if max_amount: currency_max_amount = self.company_id.currency_id._convert( - max_amount, amount_currency, self.company_id, line.date + max_amount, currency, self.company_id, date ) - if amount > currency_max_amount > 0: + if ( + -currency_amount > currency_max_amount > 0 + or -currency_amount < currency_max_amount < 0 + ): amount = currency_max_amount - net_amount = max_amount - if amount < currency_max_amount < 0: - amount = currency_max_amount - net_amount = max_amount - currency_amount = -amount - original_amount = -original_amount - net_amount = -net_amount - amount = amount_currency._convert( - currency_amount, self.company_id.currency_id, self.company_id, date - ) + net_amount = -max_amount + currency_amount = -amount + amount = currency._convert( + currency_amount, + self.company_id.currency_id, + self.company_id, + date, + ) else: - amount_currency = line.currency_id currency_amount = line.amount_currency vals = { "reference": "account.move.line;%s" % line.id, @@ -96,4 +96,4 @@ class AccountReconcileAbstract(models.AbstractModel): vals["original_amount_unsigned"] = original_amount if is_counterpart: vals["counterpart_line_ids"] = line.ids - return vals + return [vals] diff --git a/account_reconcile_oca/tests/test_bank_account_reconcile.py b/account_reconcile_oca/tests/test_bank_account_reconcile.py index f2249cde..2050fd68 100644 --- a/account_reconcile_oca/tests/test_bank_account_reconcile.py +++ b/account_reconcile_oca/tests/test_bank_account_reconcile.py @@ -1058,3 +1058,57 @@ class TestReconciliationWidget(TestAccountReconciliationCommon): line["currency_amount"], 100, ) + + def test_invoice_foreign_currency_change(self): + self.env["res.currency.rate"].create( + { + "currency_id": self.env.ref("base.EUR").id, + "name": time.strftime("%Y-07-14"), + "rate": 1.15, + } + ) + self.env["res.currency.rate"].create( + { + "currency_id": self.env.ref("base.EUR").id, + "name": time.strftime("%Y-07-15"), + "rate": 1.2, + } + ) + inv1 = self._create_invoice( + currency_id=self.currency_usd_id, + invoice_amount=100, + date_invoice="2021-07-14", + auto_validate=True, + ) + bank_stmt = self.acc_bank_stmt_model.create( + { + "company_id": self.env.ref("base.main_company").id, + "journal_id": self.bank_journal_usd.id, + "date": time.strftime("%Y-07-15"), + "name": "test", + } + ) + bank_stmt_line = self.acc_bank_stmt_line_model.create( + { + "name": "testLine", + "journal_id": self.bank_journal_usd.id, + "statement_id": bank_stmt.id, + "amount": 100, + "date": time.strftime("%Y-07-15"), + } + ) + with Form( + bank_stmt_line, + view="account_reconcile_oca.bank_statement_line_form_reconcile_view", + ) as f: + line = f.reconcile_data_info["data"][0] + self.assertEqual( + line["currency_amount"], + 100, + ) + f.add_account_move_line_id = inv1.line_ids.filtered( + lambda l: l.account_id.account_type == "asset_receivable" + ) + self.assertFalse(f.add_account_move_line_id) + self.assertTrue(f.can_reconcile) + self.assertEqual(3, len(f.reconcile_data_info["data"]))