from __future__ import unicode_literals import frappe import frappe.defaults import unittest from frappe.utils import today, getdate, add_days from erpnext.accounts.report.accounts_receivable.accounts_receivable import execute from erpnext.accounts.doctype.sales_invoice.test_sales_invoice import create_sales_invoice from erpnext.accounts.doctype.payment_entry.payment_entry import get_payment_entry class TestAccountsReceivable(unittest.TestCase): def test_accounts_receivable(self): frappe.db.sql("delete from `tabSales Invoice` where company='_Test Company 2'") frappe.db.sql("delete from `tabGL Entry` where company='_Test Company 2'") filters = { 'company': '_Test Company 2', 'based_on_payment_terms': 1, 'report_date': today(), 'range1': 30, 'range2': 60, 'range3': 90, 'range4': 120 } # check invoice grand total and invoiced column's value for 3 payment terms name = make_sales_invoice() report = execute(filters) expected_data = [[100, 30], [100, 50], [100, 20]] for i in range(3): row = report[1][i-1] self.assertEqual(expected_data[i-1], [row.invoice_grand_total, row.invoiced]) # check invoice grand total, invoiced, paid and outstanding column's value after payment make_payment(name) report = execute(filters) expected_data_after_payment = [[100, 50, 10, 40], [100, 20, 0, 20]] for i in range(2): row = report[1][i-1] self.assertEqual(expected_data_after_payment[i-1], [row.invoice_grand_total, row.invoiced, row.paid, row.outstanding]) # check invoice grand total, invoiced, paid and outstanding column's value after credit note make_credit_note(name) report = execute(filters) expected_data_after_credit_note = [100, 0, 0, 40, -40] row = report[1][0] self.assertEqual(expected_data_after_credit_note, [row.invoice_grand_total, row.invoiced, row.paid, row.credit_note, row.outstanding]) def make_sales_invoice(): frappe.set_user("Administrator") si = create_sales_invoice(company="_Test Company 2", customer = '_Test Customer 2', currency = 'EUR', warehouse = 'Finished Goods - _TC2', debit_to = 'Debtors - _TC2', income_account = 'Sales - _TC2', expense_account = 'Cost of Goods Sold - _TC2', cost_center = '_Test Company 2 - _TC2', do_not_save=1) si.append('payment_schedule', dict(due_date=getdate(add_days(today(), 30)), invoice_portion=30.00, payment_amount=30)) si.append('payment_schedule', dict(due_date=getdate(add_days(today(), 60)), invoice_portion=50.00, payment_amount=50)) si.append('payment_schedule', dict(due_date=getdate(add_days(today(), 90)), invoice_portion=20.00, payment_amount=20)) si.submit() return si.name def make_payment(docname): pe = get_payment_entry("Sales Invoice", docname, bank_account="Cash - _TC2", party_amount=40) pe.paid_from = "Debtors - _TC2" pe.insert() pe.submit() def make_credit_note(docname): create_sales_invoice(company="_Test Company 2", customer = '_Test Customer 2', currency = 'EUR', qty = -1, warehouse = 'Finished Goods - _TC2', debit_to = 'Debtors - _TC2', income_account = 'Sales - _TC2', expense_account = 'Cost of Goods Sold - _TC2', cost_center = '_Test Company 2 - _TC2', is_return = 1, return_against = docname)