3501 Commits

Author SHA1 Message Date
Nabin Hait
97e890d0b3
Fix in unallocated amount calc in payment entry (#13288) 2018-03-13 15:57:34 +05:30
Nabin Hait
96f4b22589
Set po nos in DN and SI (#13290) 2018-03-13 15:46:59 +05:30
Nabin Hait
2f493731ec Fixed merge conflict 2018-03-12 15:49:59 +05:30
Nabin Hait
2c7a6e6b43
Reserve for subcontracting (#13195)
* [fix] #8427

* review comments changes

* Validation for reserved warhouse

* code improvements

* alignment

* test case

* message changes

* default warehouse / remove validation / change sql

* fix

* patch

* Fixed merge conflict

* Fixes and cleanups of reserve qty for subcontracting

* set from_warehouse only if purchase_order and purpose found (#12398)

* [HotFix] Validation issue for subcontract stock entry (#12127)

* [Fix] Validation issue for subcontract stock entry

* Update stock_entry.py

* Fixes and cleanups of reserve qty for subcontracting

* patch fixed

* Reload bin in patch

* [fix] set source warehouse in stock entry for manufacture

* [fix] #8540

* code alignment

* code alignment

* Move target warehouse validation to submit

* validation code improvement

* code changes for single stock entry

* validation fix

* call make_rm_stock_entry

* remove old stock entry method/rewrite test case

* Don't set bom_no against raw materials while trasferring items for sub-contracting

* minor fix
2018-03-12 14:12:12 +05:30
Shreya Shah
69d9f51dbb if price list not found, set default selling/ buying price list from settings (#13259) 2018-03-12 11:15:49 +05:30
Prateeksha Singh
9362cf37e0 [charts] update charts API 2018-03-12 09:54:56 +05:30
Nabin Hait
5e63c265db Fixed merge conflict 2018-03-09 17:34:39 +05:30
Achilles Rasquinha
138a4850fe
Merge pull request #13252 from achillesrasquinha/py3
sort by name accounts for trial balance.
2018-03-09 15:23:28 +05:30
Achilles Rasquinha
dc61c6b975 sort by name accounts 2018-03-09 15:23:08 +05:30
Achilles Rasquinha
1d7665fca1 sort by name accounts 2018-03-09 15:22:20 +05:30
Achilles Rasquinha
b4de7e3d07 removed has_key, used pythonic in (#13236)
* removed has_key, used pythonic in

* Update bom.py
2018-03-09 12:35:47 +05:30
tundebabzy
e69747ca6d [Feature Request] Add Payment Mode field on Payment Terms Template #13117 (#13243)
* add mode of payment field to Payment Term

* add mode of payment field to Payment Terms Template Detail

* add mode of payment field to Payment Schedule

* add mode of payment in `get_payment_term_details`
2018-03-09 12:23:53 +05:30
rohitwaghchaure
acd3479269 Bank POS transactions in bank reconciliation (#13225) 2018-03-08 16:22:39 +05:30
rohitwaghchaure
a32e57ae82 [Fix] Discount in offline POS is enabled even is it's disabled in POS Profile (#13233) 2018-03-08 16:21:13 +05:30
Achilles Rasquinha
908289d40a [FIX] filter to list 2018-03-08 13:10:51 +05:30
Achilles Rasquinha
9050998e06 [FIX] use text_type instead of unicode, use cmp from past.builtins 2018-03-08 12:55:41 +05:30
tundebabzy
1643cce479 fetch journal entry details (#13218) 2018-03-08 11:17:17 +05:30
rohitwaghchaure
bbd9b71547 Provision to include exploded items while making transfer entry of raw materials for subcontrtacted item (#13043) 2018-03-07 15:39:40 +05:30
Nabin Hait
c50d7446b5 Merge branch 'master' into develop 2018-03-07 13:09:07 +05:30
Saurabh
a65b28772f [fix] setup_party_account_field on init 2018-03-06 18:22:01 +05:30
Nabin Hait
c43c95e0aa Fixed merge conflict 2018-03-05 14:54:44 +05:30
Nabin Hait
c10bbd6aa7
Editable unallocated amount in pe (#13130)
* editable unallocated amount in payment entry to handle multi currency

* set unallocated amount on server side

* some minor fixes

* Fixes in territory patch

* removed print

* minor fixes
2018-03-01 13:14:14 +05:30
Rohit Waghchaure
855d843e55 [Fix] Sales invoice email prompt not working 2018-03-01 13:06:01 +05:30
Charles-Henri Decultot
bc7a549fdb Gocardless integration (#13008)
* GoCardless integration

* Addition of a method for determining if the email should be sent or not

* Correction for Tests

* Codacy fix

* Documents moved to ERPNext

* Codacy fix

* Codacy fixes

* Remove method where not necessary and replace with hasattr
2018-03-01 10:59:21 +05:30
Achilles Rasquinha
646522886c self.assertEqual 2018-02-28 21:13:51 +05:30
Achilles Rasquinha
96698c9a77 Use range instead xrange (#13128)
* Use range instead of xrange

* convert float to int
2018-02-28 16:12:51 +05:30
Faris Ansari
72d8509b3d
python 3 fix (#13127) 2018-02-28 12:53:34 +05:30
Achilles Rasquinha
11a5f78d3e
Merge pull request #13070 from achillesrasquinha/py3
[FIX] sorting multiple compares
2018-02-27 19:48:25 +05:30
Achilles Rasquinha
a3555aa7bd [FIX] sorting multiple compares 2018-02-23 17:22:07 +05:30
Nabin Hait
7570774ebe Merge branch 'master' into develop 2018-02-23 16:49:43 +05:30
Ameya Shenoy
82048cf3ce verify payment entry amount is positive (#13066)
* verify payment entry amount is positive

* Update sales_invoice.py

* Update sales_invoice.py
2018-02-23 16:33:28 +05:30
rohitwaghchaure
4d76269eeb [Fix] Item wise sales register report (#13055) 2018-02-23 16:25:30 +05:30
rohitwaghchaure
dd0fc1084e [Fix] PDC amount, PDC print layout issue (#13062) 2018-02-23 16:20:46 +05:30
Nabin Hait
cf72d7f135 Fixed merge conflict 2018-02-22 14:47:26 +05:30
tundebabzy
cad22dbe39 Cutomisable Cash Flow Reports (#12969)
* add child doctype - Cash Flow Mapping Account

* adds new doctype - Cash Flow Mapping

* adds new doctype - Cash Flow Mapper

* adds new doctype Cash Flow Mapping Template

* adds new doctype Cash Flow Mapping Template

* adds adjustments to Cash Flow Mapper:
- remove fields from Cash Flow Mapping Template Details
- update in Cash FLow Mapper

* get cash_flow_accouts from Cash Flow Mapping

* change `tmp` to `mappers` and make sure `mappers` is sorted by its `position` field

* changes description from 'Net Profit/Loss' to 'Profit for the year'

* set `net_profit_loss` `parent_account` properly

* modify `get_account_type_based_data`:
- changed signature such that `account_type` parameter is now `account_name`
- where clause in query is now based on `name`

* remove zero rows

* de-duplicates row, summing similar accounts in the process

* makes gl sum calculation use `parent_account` as a condition

* add the `section_leader` immediately after adding net profit, sorts `accounts` by `is_working_capital` field

* adds `is_working_capital` to "account_types" so that we can use this to determine when to add "Changes in working capital" for operating activities

* add "Movement in working capital" subheader

* refactor code for readability

* adds new fields to `Cash Flow Mapping`:
- `is_interest_paid` to allow me recognise accounts for 'Interest Paid'
- `is_income_tax_paid` to allow me recognise accounts for 'Income Taxes Paid'

* allow `Cash Flow Mapping` to be renamable

* adds new field - `section_subtotal` useful for only Operating Activities

* changes `Cash Flow Mapping` doctype fields:
- remove `is_income_tax`_field
- add `is_income_tax_liability` field to identify tax payable accounts
- add `is_income_tax_expense` field to identify tax expense accounts in P or L

* calculates and shows tax paid adjustment in cash flow statement

* renames `is_interest_paid` to `is_finance_cost`

* - adds finance costs calculation
- correctly sets opening balance dates

* prevents users from selecting extra options in Cash Flow Mapping

* adds validation to prevent selecting multiple options

* adds new fields to Cash Flow Mapping

* calculate non cash p or l items (2nd pass)

* separates default cash flow generation from custom

* adds new setting to Accounts Settings:
- allow user elect to use customised cash flow report

* clean up

* removes mandatory constraint from accounts field

* allow rename, disallow create and delete

* adds patch to add default Cash Flow Mappers

* refactors custom_cashflow

* add article to explain configuration

* refactor

* further refactor

* final clean up (hopefully)

* clean up for codacy

* more codacy fixes

* more codacy fixes

* fix broken patch

* rename article to .md

* create default mappers after install

* PEP 8

* create the tables in `after_install` call
2018-02-22 11:08:36 +05:30
tundebabzy
27d558c9ef Optionally allow overlap on Timesheet #12893 (#13018)
* give user option to ignore time overlap validation

* move settings to new Projects Settings

* clean up - remove trailing space
2018-02-22 11:05:49 +05:30
tundebabzy
637b242a34 Credit card default account should be debtors #12989 (#13029)
* allow receivable account type in mode of payment

* update `default_account` field description
2018-02-22 10:51:57 +05:30
Shreya Shah
8a77a0e1e4 Add total row in all trends reports (#13010)
* total in sales order trends report

* total in all trends reports
2018-02-21 14:46:07 +05:30
Pawan Mehta
244e235c48 Sales Payment Summary - fix for change amount (#12981)
* [fix] #12980

* apply change amount to cash
2018-02-20 12:15:10 +05:30
Shreya Shah
f718b0c0df Currency filter in Pricing Rule (#11776)
* added currency filter

* modified files

* pull margin only if currency matches

* Renamed price to rate in pricing rule

* fetch rate only if currency matches

* rebase with develop

* rebase with develop

* patch to set currency in existing docs

* currency field mandatory in pricing rule

* modified test cases

* rebase with develop

* fixed test case
2018-02-20 11:26:46 +05:30
rohitwaghchaure
554f2de23d Code cleanup online POS (#12985) 2018-02-20 11:18:01 +05:30
tundebabzy
6c5d7986ab Outstanding Amount not getting updated in Payment Entry #12713 (#12975)
* allow to `set_missing_ref_details` by force

* update payment entry references during submit and cancel
2018-02-19 13:11:56 +05:30
Pawan Mehta
174a18399c Added Payment Details to Sales Payment Summary Report (#12358)
* [fix] #12357

* label changes
2018-02-19 12:39:13 +05:30
Shreya Shah
093e7e6e98 Refactor Expense Claim (#12883)
* patch for custom workflow

* deleted field approval_status

* replaced approval_status with workflow_state

* updated test cases

* validation to check expense approver

* check if workflow_state_name already exists

* fixes

* modified notifications.py

* removed field exp_approval and modified test cases
2018-02-16 14:49:39 +05:30
Zarrar
441a1e1b8a Validate Bank name in Setup wizard on the same slide (#12968)
* validate bank name before moving on to next slide

* Update setup_wizard.js
2018-02-16 14:44:42 +05:30
Nabin Hait
b95ecd7fcd
Gstr reports (#12940)
* GSTR1 for B2B (#12296)

* [minor] Modified GSTR1 report to identify missing GST Account in GST Settings (#12426)

* [minor] Modified GSTR1 report to identify missing GST Account in GST Settings

* Update gstr_1.py

* GSTR1 for B2B, B2CL and B2CS (#12459)

* [Report] GSTR - 1 CDNR Report (#12554)

* [wip] cdnr

* [WIP] cdnr with optional data

* [wip] Export GSTR-1

* [minor] Minor changes in export

* [new] Custom field added for GST

* [fix] Minor changes in GSTR1 Report

* [minor] Minor changes in gstr1

* [fix] Codacy Fixed

* Update setup.py

* [wip] Gstr2

* [fix] Fetch correct Tax Details

* [minor] ITC data append to row

* [fix] CDNR negative value

* Cleanup and fixes on GSTR-2

* Minor fixes in gstr reports (#12848)

* [new] B2C limit fetch from GST Settings (#12905)

* [new] b2c limit fetch from gst setting

* [fix] Patch Added for b2c limit

* Update gstr_1.py

* Update utils.py

* Cusotm fields related GSTR2

* minor fixes

* minor fixes

* some more fixes

* Added duplicate patch and some tests as not required on develop
2018-02-16 13:19:04 +05:30
Nabin Hait
cc98d40ff7
Payment reco auto allocation and maintain same order of records (#12963)
* Automatically allocate amount after selecting invoice against a payment entry

* codacy fixes
2018-02-16 13:14:20 +05:30
Vishal Dhayagude
1e0ae07bff [fix] Validate Party in not present in Party Type (#12910)
* [fix] Validate Party in not present in Party Type

* [fix] Minor Changes

* [fix] Valid Customer and Supplier fetch

* [WIP] Allow and prevent for creating party

* [fix] minor changes

* [fix] Requested Changes

* [fix] Codacy issue

* Update opening_invoice_creation_tool.py
2018-02-16 13:13:37 +05:30
Shreya Shah
3a9eec2e92 Calculate due date in Purchase Invoice on the basis of Supplier invoice date (#12913)
* pass bill_date as parameter and calculate due_date on that basis

* calculate payment_schedule on the basis of bill_date if present else posting_date

* add bill_date as an argument to get_party_details

* pass bill_date on supplier trigger in purchase invoice
2018-02-16 13:05:21 +05:30
rohitwaghchaure
103c4e9b92 [Fix] Incorrect rate in item-wise sales register (#12943) 2018-02-16 12:57:35 +05:30