Commit Graph

161 Commits

Author SHA1 Message Date
Nabin Hait
ed376cacc8
Set Qty in transactions based on serial no via Stock Settings (#13897) 2018-05-03 16:24:52 +05:30
Saurabh
1d5bbe1081 Merge branch 'master' into develop 2018-04-25 12:46:50 +05:30
Rohit Waghchaure
bf416cfbf8 [Fix] POS Patch 2018-04-25 12:32:22 +05:30
Saurabh
63590496c1 [fix] resolved merge conflicts 2018-04-25 11:32:54 +05:30
rohitwaghchaure
57914f140e [HotFix] Taxes not adding in POS sales invoice (#13776) 2018-04-24 19:19:47 +05:30
Nabin Hait
4d9e104284 Merge branch 'master' into develop 2018-03-28 15:51:18 +05:30
Nabin Hait
7041a45294
Update fix_reserved_qty_for_sub_contract.py 2018-03-28 15:50:14 +05:30
Nabin Hait
6c35822a35 Merge branch 'master' into develop 2018-03-28 10:40:14 +05:30
Nabin Hait
2e203e53c6
Update fix_reserved_qty_for_sub_contract.py 2018-03-28 10:38:55 +05:30
Nabin Hait
9db28ef90d Minor fix in patch 2018-03-27 16:00:57 +05:30
Nabin Hait
b9c82b9790 Fixed merge conflict 2018-03-27 14:25:27 +05:30
Nabin Hait
651b612909
Fixed logic for reserved qty for subcontract and production and written a patch (#13396)
* Fixed logic for reserved qty for subcontract and production and written a patch

* repost reserved qty for filtered bins
2018-03-27 11:24:20 +05:30
Nabin Hait
061d912749 Fixed merge conflict 2018-03-23 16:20:27 +05:30
Manas Solanki
0f6c35d63f
Update update_project_in_sle.py 2018-03-21 18:24:45 +05:30
rohitwaghchaure
93779c21a7 [Fix] Project not set in the stock ledger entry (#13357) 2018-03-21 17:52:41 +05:30
Manas Solanki
c711445b91 add the student as party type (#13348) 2018-03-21 10:12:27 +05:30
Shreya
9602bf4ba3 patch fix 2018-03-19 18:17:54 +05:30
Achilles Rasquinha
d8f7de9946 fixed patch for hub 2018-03-15 12:48:32 +05:30
Nabin Hait
e01dcc170c Merge branch 'master' into develop 2018-03-13 17:11:52 +05:30
Nabin Hait
74c817e7f9
Update update_reserved_qty_for_purchase_order.py 2018-03-13 17:10:14 +05:30
Nabin Hait
2f493731ec Fixed merge conflict 2018-03-12 15:49:59 +05:30
Zarrar
c35665fa60 update physician patch fail (#13277) 2018-03-12 15:21:53 +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
Nabin Hait
096c05ca6f Fixes for regional feature of Nepal 2018-03-09 13:11:00 +05:30
Jamsheer
665b48773f Healthcare - Patient Appointment - Service unit based scheduling and booking (#13211)
* New Document - Patient Service Unit

* Physician - schedule based on patient service unit

* Consultation - Remove validation on submit

* Consultation - Label changed from Drug Prescription to Medication

* Availability check and book appointment based on service unit, appointment invoice creation optimized

* patch fixes

* Patient Service Unit - field - overlap_appointments

* Patient Appointment - Service Unit based scheduling and booking

* Patient Appointment - issue fixed #13016 Healthcare Patient Appointment Save Button Issue - remove validation on save and enable save on book appointment

* Codacy fixes on PR #13211

* Codacy fixes on PR #13211

* Fee validity test -fixes

* Fee Validity - test - fixes
2018-03-08 13:08:35 +05:30
theopen-institute
1bfa243190 fix patch that causes error on bench update (#13222) 2018-03-08 11:20:40 +05:30
Nabin Hait
c50d7446b5 Merge branch 'master' into develop 2018-03-07 13:09:07 +05:30
Saurabh
ca6e223694 [fix] use join instead of subquery 2018-03-07 12:13:32 +05:30
Nabin Hait
c43c95e0aa Fixed merge conflict 2018-03-05 14:54:44 +05:30
Saurabh
2cfcbf933d Patches fixes (#13163)
* [fix] if serialised items not found then return

* [fix] unicode encoding in patch
2018-03-05 13:01:15 +05:30
Zarrar
2550180a05 remove updating territory for customers on change (#13162) 2018-03-05 12:32:41 +05:30
Manas Solanki
5fd7b3bb80 Fix status updater (#13033)
* fix the status updater for multiple sources

* patch for updating the status

* patch for updating the sales order item

* Update update_status_for_multiple_source_in_po.py
2018-03-05 11:28:29 +05:30
Vishal Dhayagude
35b665cb26 [new] Create multiple warehouse address and fetch address to stock entry (#13109)
* [new] Create multiple warehouse address and fetch address to stock entry

* [fix] Deleted unwanted field and added patch to link warehouse details to Address

* [fix] Codacy fixed

* [fix] Modified patch for warehouse address

* [fix] Modified patch for warehouse address

* [fix] Patch updated and removed contact details from stock entry

* [fix] Patch Updated
2018-03-05 11:10:01 +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
Nabin Hait
f68dc69078
Set auto created serial nos in incoming transactions in case of multi UOM (#13112)
* Create user from Employee

* Set auto created serial nos in incoming transactions in case of multi uom
2018-03-01 10:54:24 +05:30
Nabin Hait
3b43c0d160 Update territory and customer_group patch optimization (#13076)
* Update territory and customer_group patch optimization

* Update update_territory_and_customer_group.py
2018-02-27 15:57:14 +05:30
Zarrar
96002c28bd optimize patch for faster execution (#13068) 2018-02-27 15:57:01 +05:30
Zarrar
91fc1a8fbe Update Territory & Customer Group across all transaction (#13004)
* added method for update query based on changes

* patch added

* updated function, moved util function
2018-02-27 15:56:38 +05:30
Nabin Hait
2572b05b35
Update territory and customer_group patch optimization (#13076)
* Update territory and customer_group patch optimization

* Update update_territory_and_customer_group.py
2018-02-25 10:45:24 +05:30
Zarrar
4a0d27078e optimize patch for faster execution (#13068) 2018-02-23 17:41:32 +05:30
Faris Ansari
97b212e348 Patch optimization (#13060)
* Patch fixes

* fix codacy

* Update item_barcode_childtable_migrate.py
2018-02-23 16:19:41 +05:30
Nabin Hait
5b9f3b0cd3 Merge branch 'master' into develop 2018-02-22 18:18:36 +05:30
Nabin Hait
7f49b57aaa
Update added_extra_gst_custom_field_in_gstr2.py 2018-02-22 18:17:57 +05:30
Nabin Hait
0e3db275e5 Merge branch 'master' into develop 2018-02-22 18:10:39 +05:30
Saurabh
d8cd54dfd0 [fix] remove gstr2 fields from Sales Invoice and Delivery Note too (#13047) 2018-02-22 18:05:40 +05:30
Suraj Shetty
8a41887f68 patch exception fixes (#13037)
* patch exception fixes

* reload daily_work_summary_group_user doctype
2018-02-22 15:56:33 +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
Zarrar
79756c44c9 Update Territory & Customer Group across all transaction (#13004)
* added method for update query based on changes

* patch added

* updated function, moved util function
2018-02-22 10:57:49 +05:30
Suraj Shetty
d3069fee4d Daily work summary refactor (#12944)
* added daily work summary setting doctype and code to support feature

this will allow multiple setting for daily work summary

* added daily work summary setting user doctype

* made changes in daily work summary code

* [minor] entry change in hr config file

* deleted previous daily work summary settings (and its company) doctype

* removed unwanted permission check

* toggled read_only option for enabled field

* removed print statements

* add patch for the changes

* doc changes

* [minor] indentation fix

* fixed tests

* indentation fixes

* codacy issue fix

* formatting fixes

* renamed doctype

Renamed Daily Work Summary Setting to  Daily Work Summary Group and did related code and doc changes

* fixed typo

* updated doc

* codacy issue fix

* [minor] renamed doctype name in json

* Renamed old doctype

* fixed indentation

* codacy fix

* indentation fix

* renamed doctype

* handled patch exception

* fixed exception

* Update daily_work_summary_group.py

* rename patch file

removed abbreviation in file name

* handled exception in patch code

* removed Unnecessary pass statement

* [minor] indentation fix
2018-02-21 15:15:43 +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
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
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
Shreya Shah
394b7a2fa3 Rename Offer Letter to Job Offer (#12934) 2018-02-16 10:49:34 +05:30
Nabin Hait
8a562266ad
Update set_b2c_limit.py 2018-02-15 18:40:18 +05:30
Nabin Hait
0c7ce02e54
Update set_b2c_limit.py 2018-02-15 18:12:27 +05:30
Vishal Dhayagude
bd59a53173 [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
2018-02-15 14:22:11 +05:30
Achilles Rasquinha
c94df80d88
Merge pull request #12925 from netchampfaris/enable-translatable-patch
Patch to enable translatable
2018-02-15 12:18:26 +05:30
Faris Ansari
1e422f2383 Patch to enable translatable 2018-02-14 22:18:55 +05:30
Nabin Hait
e6d65bc2a1
Fixed translations and tests (#12900)
* Fixed translations and tests

* minor fixes

* minor test fixes
2018-02-14 17:44:06 +05:30
Shreya Shah
d9a585bdad Leave workflow patch fixes (#12823)
* modified patch for leave application workflow

* removed leave approval field from leave application doctype

* fetch lwp and attendance only if workflow field exists

* modified test cases

* modified files with leave application

* docstatus draft for rejected applications

* modified leave application calendar

* test fixed

* run patch only if any record exists
2018-02-12 16:02:57 +05:30
Nabin Hait
e21e59614f Fixed merge conflict 2018-02-12 15:59:55 +05:30
Nabin Hait
b02c109e1d Cleanup and fixes on GSTR-2 2018-02-05 16:09:51 +05:30
Nabin Hait
2ef1f84041 Fixed merge conflict 2018-02-03 09:14:53 +05:30
vishdha
df1653827f [fix] Patch for material request to purchase order added 2018-01-31 15:11:24 +05:30
vishdha
e03e4a581f [fix] Fetch correct Tax Details 2018-01-29 22:55:23 +05:30
Saurabh
d581ff40ea Merge branch 'master' into develop 2018-01-29 17:42:37 +05:30
Saurabh
e1e690541c set payment term name in payment_terms (#12693) 2018-01-29 17:39:56 +05:30
Saurabh
03f6b3e588 resolved merge conflicts 2018-01-29 16:25:33 +05:30
Nabin Hait
cfa9d1adb7
Patch: Create Payment Terms based on default credit days set in company and use it while setting due_date (#12685)
* Patch: Create Payment Terms based on default credit days set in company and use it while setting due_date

* Payment Terms patch for credit days defined in customer group
2018-01-29 16:07:21 +05:30
Vishal Dhayagude
c463c0684d [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
2018-01-26 11:27:22 +05:30
Shreya
1416567139 patch fix for leave-workflow 2018-01-25 17:06:14 +05:30
Shreya
61cf49dd07 workflow patch fix 2018-01-24 18:50:01 +05:30
rohitwaghchaure
8df0556af5
Merge pull request #12587 from shreyashah115/leave-workflow
Refactor Leave Application
2018-01-24 15:04:17 +05:30
Shreya
a8a952deff check if workflow_state_name already exists 2018-01-24 15:00:54 +05:30
Rushabh Mehta
29bc14d242 [fix] ficher_des_ecritures patch 2018-01-24 14:39:04 +05:30
Shreya
a309a871b5 Codacy fix 2018-01-24 13:56:16 +05:30
Shreya
a400e7b568 Fixed as per the review 2018-01-24 13:30:20 +05:30
Charles-Henri Decultot
90657fb566 FEC report for France (#12446)
* FEC report for France

* Codacy correction
2018-01-23 15:40:14 +05:30
Shreya
5164997db7 delete column status 2018-01-22 14:13:03 +05:30
Shreya
dd66bc03c7 fixes 2018-01-22 12:28:38 +05:30
Shreya
fc0e8e5c6a modified patches.txt 2018-01-22 12:26:41 +05:30
Shreya
117ddac033 patch to create workflow for existing leave applications 2018-01-22 12:26:41 +05:30
Saurabh
35d8ce4fbd resolved merge conflicts 2018-01-12 16:58:32 +05:30
Manas Solanki
bba5fd7a38 Assessment module addition (#12417)
* add academic session details in the Assessmet Plan

* add the academic session and few details in the assessment result

* fix codacy
2018-01-12 16:21:09 +05:30
joezsweet
3aaed03dfb
reload item_barcode 2018-01-11 11:31:31 +01:00
joezsweet
1be684fd87
codici fix 2018-01-11 09:03:26 +01:00
joezsweet
b6fb8d2143
fix patch, reload doc 2018-01-11 08:44:59 +01:00
joezsweet
9116666288
fix patch 2018-01-10 23:11:13 +01:00
tundebabzy
76dddbf26e
Merge branch 'develop' into multi-barcode 2018-01-10 21:49:27 +01:00
Nabin Hait
687dc6a424 patch fixed 2018-01-10 14:51:19 +05:30
Nabin Hait
2f51c6900b Fixes and cleanups of reserve qty for subcontracting 2018-01-05 18:20:05 +05:30
rohitwaghchaure
d45266881a [Enhance] New print format for UAE/KSA for vat/excise (#12202)
* [Enhance] New print format for UAE/KSA for vat/excise

* Fixed spelling
2017-12-28 14:20:13 +05:30
Nabin Hait
ca674bec42
Set numeric ranges in Item tamplate if blank (#12199) 2017-12-28 12:35:11 +05:30
Fahim Ali Zain TP
5f7cedb206 Fix v8 to v10 migration issue (#12177) 2017-12-27 17:14:54 +05:30
Nabin Hait
c65279b584 Reloaded account doctype in UAE Vat patch 2017-12-25 15:02:54 +05:30
Manas Solanki
5807cd8e6f Set the guardian role automatically. (#12136)
* Add the guardian role for parent portal

* invite guardian as user
2017-12-22 10:50:10 +05:30
Nabin Hait
a5cc84f8af
Reverted gl entry splitting based on payment terms (#12117)
* Reverted gl entry splitting based on payment terms

* changed modified date
2017-12-21 11:37:18 +05:30
Nabin Hait
33c9da9ab1
Patch to update due_date in GLE, Journal Entry and Payment Entry (#12093) 2017-12-19 11:18:36 +05:30
Shreya Shah
d903bd6a70 patch fix for asset (#12079) 2017-12-18 12:31:23 +05:30
Nabin Hait
4c816a1054
Patch to set calculate_depreciation if schedule already exists (#12061) 2017-12-16 11:17:36 +05:30