From 19d14da0d485c82223a58dd57d3c22512ef337c0 Mon Sep 17 00:00:00 2001 From: Rohit Waghchaure Date: Sun, 10 Oct 2021 14:00:25 +0530 Subject: [PATCH] fix: opening balance to calculate 'Unclosed Fiscal Years Profit / Loss (Credit)' --- erpnext/accounts/doctype/account/account.py | 3 +- .../consolidated_financial_statement.py | 96 +++++++++++++++---- 2 files changed, 80 insertions(+), 19 deletions(-) diff --git a/erpnext/accounts/doctype/account/account.py b/erpnext/accounts/doctype/account/account.py index 6cfbc6d152..605262f7b3 100644 --- a/erpnext/accounts/doctype/account/account.py +++ b/erpnext/accounts/doctype/account/account.py @@ -4,11 +4,12 @@ from __future__ import unicode_literals import frappe -import erpnext from frappe import _, throw from frappe.utils import cint, cstr from frappe.utils.nestedset import NestedSet, get_ancestors_of, get_descendants_of +import erpnext + class RootNotEditable(frappe.ValidationError): pass class BalanceMismatchError(frappe.ValidationError): pass diff --git a/erpnext/accounts/report/consolidated_financial_statement/consolidated_financial_statement.py b/erpnext/accounts/report/consolidated_financial_statement/consolidated_financial_statement.py index bca13d5079..e093f9618b 100644 --- a/erpnext/accounts/report/consolidated_financial_statement/consolidated_financial_statement.py +++ b/erpnext/accounts/report/consolidated_financial_statement/consolidated_financial_statement.py @@ -8,8 +8,8 @@ from frappe import _ from frappe.utils import cint, flt, getdate import erpnext +from collections import defaultdict from erpnext.accounts.report.balance_sheet.balance_sheet import ( - check_opening_balance, get_chart_data, get_provisional_profit_loss, ) @@ -74,21 +74,24 @@ def get_balance_sheet_data(fiscal_year, companies, columns, filters): provisional_profit_loss, total_credit = get_provisional_profit_loss(asset, liability, equity, companies, filters.get('company'), company_currency, True) - message, opening_balance = check_opening_balance(asset, liability, equity) + message, opening_balance = prepare_companywise_opening_balance(asset, liability, equity, companies) - if opening_balance and round(opening_balance,2) !=0: - unclosed ={ + if opening_balance: + unclosed = { "account_name": "'" + _("Unclosed Fiscal Years Profit / Loss (Credit)") + "'", "account": "'" + _("Unclosed Fiscal Years Profit / Loss (Credit)") + "'", "warn_if_negative": True, "currency": company_currency } - for company in companies: - unclosed[company] = opening_balance - if provisional_profit_loss: - provisional_profit_loss[company] = provisional_profit_loss[company] - opening_balance - unclosed["total"]=opening_balance + for company in companies: + unclosed[company] = opening_balance.get(company) + if provisional_profit_loss and provisional_profit_loss.get(company): + provisional_profit_loss[company] = ( + flt(provisional_profit_loss[company]) - flt(opening_balance.get(company)) + ) + + unclosed["total"] = opening_balance.get(company) data.append(unclosed) if provisional_profit_loss: @@ -103,6 +106,37 @@ def get_balance_sheet_data(fiscal_year, companies, columns, filters): return data, message, chart, report_summary +def prepare_companywise_opening_balance(asset_data, liability_data, equity_data, companies): + opening_balance = {} + for company in companies: + opening_value = 0 + + # opening_value = Aseet - liability - equity + for data in [asset_data, liability_data, equity_data]: + account_name = get_root_account_name(data[0].root_type, company) + opening_value += get_opening_balance(account_name, data, company) + + opening_balance[company] = opening_value + + if opening_balance: + return _("Previous Financial Year is not closed"), opening_balance + + return '', {} + +def get_opening_balance(account_name, data, company): + for row in data: + if row.get('account_name') == account_name: + return row.get('company_wise_opening_bal', {}).get(company, 0.0) + +def get_root_account_name(root_type, company): + return frappe.get_all( + 'Account', + fields=['account_name'], + filters = {'root_type': root_type, 'is_group': 1, + 'company': company, 'parent_account': ('is', 'not set')}, + as_list=1 + )[0][0] + def get_profit_loss_data(fiscal_year, companies, columns, filters): income, expense, net_profit_loss = get_income_expense_data(companies, fiscal_year, filters) company_currency = get_company_currency(filters) @@ -254,8 +288,9 @@ def get_data(companies, root_type, balance_must_be, fiscal_year, filters=None, i end_date, root.lft, root.rgt, filters, gl_entries_by_account, accounts_by_name, accounts, ignore_closing_entries=False) - calculate_values(accounts_by_name, gl_entries_by_account, companies, start_date, filters) + calculate_values(accounts_by_name, gl_entries_by_account, companies, filters, fiscal_year) accumulate_values_into_parents(accounts, accounts_by_name, companies) + out = prepare_data(accounts, start_date, end_date, balance_must_be, companies, company_currency, filters) if out: @@ -267,7 +302,10 @@ def get_company_currency(filters=None): return (filters.get('presentation_currency') or frappe.get_cached_value('Company', filters.company, "default_currency")) -def calculate_values(accounts_by_name, gl_entries_by_account, companies, start_date, filters): +def calculate_values(accounts_by_name, gl_entries_by_account, companies, filters, fiscal_year): + start_date = (fiscal_year.year_start_date + if filters.filter_based_on == 'Fiscal Year' else filters.period_start_date) + for entries in gl_entries_by_account.values(): for entry in entries: if entry.account_number: @@ -276,7 +314,9 @@ def calculate_values(accounts_by_name, gl_entries_by_account, companies, start_d account_name = entry.account_name d = accounts_by_name.get(account_name) + if d: + debit, credit = 0, 0 for company in companies: # check if posting date is within the period if (entry.company == company or (filters.get('accumulated_in_group_company')) @@ -286,13 +326,18 @@ def calculate_values(accounts_by_name, gl_entries_by_account, companies, start_d debit, credit = flt(entry.debit), flt(entry.credit) - if (entry.company != company and parent_company_currency != child_company_currency + if (not filters.get('presentation_currency') + and entry.company != company + and parent_company_currency != child_company_currency and filters.get('accumulated_in_group_company')): debit = convert(debit, parent_company_currency, child_company_currency, filters.end_date) credit = convert(credit, parent_company_currency, child_company_currency, filters.end_date) d[company] = d.get(company, 0.0) + flt(debit) - flt(credit) + if entry.posting_date < getdate(start_date): + d['company_wise_opening_bal'][company] += (flt(debit) - flt(credit)) + if entry.posting_date < getdate(start_date): d["opening_balance"] = d.get("opening_balance", 0.0) + flt(debit) - flt(credit) @@ -302,17 +347,18 @@ def accumulate_values_into_parents(accounts, accounts_by_name, companies): if d.parent_account: account = d.parent_account_name - if not accounts_by_name.get(account): - continue + # if not accounts_by_name.get(account): + # continue for company in companies: accounts_by_name[account][company] = \ accounts_by_name[account].get(company, 0.0) + d.get(company, 0.0) + accounts_by_name[account]['company_wise_opening_bal'][company] += d.get('company_wise_opening_bal', {}).get(company, 0.0) + accounts_by_name[account]["opening_balance"] = \ accounts_by_name[account].get("opening_balance", 0.0) + d.get("opening_balance", 0.0) - def get_account_heads(root_type, companies, filters): accounts = get_accounts(root_type, filters) @@ -387,8 +433,10 @@ def prepare_data(accounts, start_date, end_date, balance_must_be, companies, com "parent_account": _(d.parent_account), "indent": flt(d.indent), "year_start_date": start_date, + "root_type": d.root_type, "year_end_date": end_date, "currency": filters.presentation_currency, + "company_wise_opening_bal": d.company_wise_opening_bal, "opening_balance": d.get("opening_balance", 0.0) * (1 if balance_must_be == "Debit" else -1) }) @@ -469,6 +517,7 @@ def get_account_details(account): 'is_group', 'account_name', 'account_number', 'parent_account', 'lft', 'rgt'], as_dict=1) def validate_entries(key, entry, accounts_by_name, accounts): + # If an account present in the child company and not in the parent company if key not in accounts_by_name: args = get_account_details(entry.account) @@ -478,12 +527,23 @@ def validate_entries(key, entry, accounts_by_name, accounts): args.update({ 'lft': parent_args.lft + 1, 'rgt': parent_args.rgt - 1, + 'indent': 3, 'root_type': parent_args.root_type, - 'report_type': parent_args.report_type + 'report_type': parent_args.report_type, + 'parent_account_name': parent_args.account_name, + 'company_wise_opening_bal': defaultdict(float) }) accounts_by_name.setdefault(key, args) - accounts.append(args) + + idx = len(accounts) + # To identify parent account index + for index, row in enumerate(accounts): + if row.parent_account_name == args.parent_account_name: + idx = index + break + + accounts.insert(idx+1, args) def get_additional_conditions(from_date, ignore_closing_entries, filters): additional_conditions = [] @@ -513,7 +573,6 @@ def add_total_row(out, root_type, balance_must_be, companies, company_currency): for company in companies: total_row.setdefault(company, 0.0) total_row[company] += row.get(company, 0.0) - row[company] = 0.0 total_row.setdefault("total", 0.0) total_row["total"] += flt(row["total"]) @@ -533,6 +592,7 @@ def filter_accounts(accounts, depth=10): account_name = d.account_number + ' - ' + d.account_name else: account_name = d.account_name + d['company_wise_opening_bal'] = defaultdict(float) accounts_by_name[account_name] = d parent_children_map.setdefault(d.parent_account or None, []).append(d)