# Copyright (c) 2013, Frappe Technologies Pvt. Ltd. and contributors # For license information, please see license.txt from __future__ import unicode_literals import frappe from frappe import _ from frappe.utils import cint, cstr from erpnext.accounts.report.financial_statements import (get_period_list, get_columns, get_data, get_filtered_list_for_consolidated_report) from erpnext.accounts.report.profit_and_loss_statement.profit_and_loss_statement import get_net_profit_loss from erpnext.accounts.utils import get_fiscal_year from six import iteritems def execute(filters=None): if cint(frappe.db.get_single_value('Accounts Settings', 'use_custom_cash_flow')): from erpnext.accounts.report.cash_flow.custom_cash_flow import execute as execute_custom return execute_custom(filters=filters) period_list = get_period_list(filters.from_fiscal_year, filters.to_fiscal_year, filters.period_start_date, filters.period_end_date, filters.filter_based_on, filters.periodicity, company=filters.company) cash_flow_accounts = get_cash_flow_accounts() # compute net profit / loss income = get_data(filters.company, "Income", "Credit", period_list, filters=filters, accumulated_values=filters.accumulated_values, ignore_closing_entries=True, ignore_accumulated_values_for_fy= True) expense = get_data(filters.company, "Expense", "Debit", period_list, filters=filters, accumulated_values=filters.accumulated_values, ignore_closing_entries=True, ignore_accumulated_values_for_fy= True) net_profit_loss = get_net_profit_loss(income, expense, period_list, filters.company) data = [] summary_data = {} company_currency = frappe.get_cached_value('Company', filters.company, "default_currency") for cash_flow_account in cash_flow_accounts: section_data = [] data.append({ "account_name": cash_flow_account['section_header'], "parent_account": None, "indent": 0.0, "account": cash_flow_account['section_header'] }) if len(data) == 1: # add first net income in operations section if net_profit_loss: net_profit_loss.update({ "indent": 1, "parent_account": cash_flow_accounts[0]['section_header'] }) data.append(net_profit_loss) section_data.append(net_profit_loss) for account in cash_flow_account['account_types']: account_data = get_account_type_based_data(filters.company, account['account_type'], period_list, filters.accumulated_values, filters) account_data.update({ "account_name": account['label'], "account": account['label'], "indent": 1, "parent_account": cash_flow_account['section_header'], "currency": company_currency }) data.append(account_data) section_data.append(account_data) add_total_row_account(data, section_data, cash_flow_account['section_footer'], period_list, company_currency, summary_data, filters) add_total_row_account(data, data, _("Net Change in Cash"), period_list, company_currency, summary_data, filters) columns = get_columns(filters.periodicity, period_list, filters.accumulated_values, filters.company) chart = get_chart_data(columns, data) report_summary = get_report_summary(summary_data, company_currency) return columns, data, None, chart, report_summary def get_cash_flow_accounts(): operation_accounts = { "section_name": "Operations", "section_footer": _("Net Cash from Operations"), "section_header": _("Cash Flow from Operations"), "account_types": [ {"account_type": "Depreciation", "label": _("Depreciation")}, {"account_type": "Receivable", "label": _("Net Change in Accounts Receivable")}, {"account_type": "Payable", "label": _("Net Change in Accounts Payable")}, {"account_type": "Stock", "label": _("Net Change in Inventory")} ] } investing_accounts = { "section_name": "Investing", "section_footer": _("Net Cash from Investing"), "section_header": _("Cash Flow from Investing"), "account_types": [ {"account_type": "Fixed Asset", "label": _("Net Change in Fixed Asset")} ] } financing_accounts = { "section_name": "Financing", "section_footer": _("Net Cash from Financing"), "section_header": _("Cash Flow from Financing"), "account_types": [ {"account_type": "Equity", "label": _("Net Change in Equity")} ] } # combine all cash flow accounts for iteration return [operation_accounts, investing_accounts, financing_accounts] def get_account_type_based_data(company, account_type, period_list, accumulated_values, filters): data = {} total = 0 for period in period_list: start_date = get_start_date(period, accumulated_values, company) amount = get_account_type_based_gl_data(company, start_date, period['to_date'], account_type, filters) if amount and account_type == "Depreciation": amount *= -1 total += amount data.setdefault(period["key"], amount) data["total"] = total return data def get_account_type_based_gl_data(company, start_date, end_date, account_type, filters={}): cond = "" filters = frappe._dict(filters) if filters.include_default_book_entries: company_fb = frappe.db.get_value("Company", company, 'default_finance_book') cond = """ AND (finance_book in (%s, %s, '') OR finance_book IS NULL) """ %(frappe.db.escape(filters.finance_book), frappe.db.escape(company_fb)) else: cond = " AND (finance_book in (%s, '') OR finance_book IS NULL)" %(frappe.db.escape(cstr(filters.finance_book))) gl_sum = frappe.db.sql_list(""" select sum(credit) - sum(debit) from `tabGL Entry` where company=%s and posting_date >= %s and posting_date <= %s and voucher_type != 'Period Closing Voucher' and account in ( SELECT name FROM tabAccount WHERE account_type = %s) {cond} """.format(cond=cond), (company, start_date, end_date, account_type)) return gl_sum[0] if gl_sum and gl_sum[0] else 0 def get_start_date(period, accumulated_values, company): if not accumulated_values and period.get('from_date'): return period['from_date'] start_date = period["year_start_date"] if accumulated_values: start_date = get_fiscal_year(period.to_date, company=company)[1] return start_date def add_total_row_account(out, data, label, period_list, currency, summary_data, filters, consolidated=False): total_row = { "account_name": "'" + _("{0}").format(label) + "'", "account": "'" + _("{0}").format(label) + "'", "currency": currency } summary_data[label] = 0 # from consolidated financial statement if filters.get('accumulated_in_group_company'): period_list = get_filtered_list_for_consolidated_report(filters, period_list) for row in data: if row.get("parent_account"): for period in period_list: key = period if consolidated else period['key'] total_row.setdefault(key, 0.0) total_row[key] += row.get(key, 0.0) summary_data[label] += row.get(key) total_row.setdefault("total", 0.0) total_row["total"] += row["total"] out.append(total_row) out.append({}) def get_report_summary(summary_data, currency): report_summary = [] for label, value in iteritems(summary_data): report_summary.append( { "value": value, "label": label, "datatype": "Currency", "currency": currency } ) return report_summary def get_chart_data(columns, data): labels = [d.get("label") for d in columns[2:]] datasets = [{'name':account.get('account').replace("'", ""), 'values': [account.get('total')]} for account in data if account.get('parent_account') == None and account.get('currency')] datasets = datasets[:-1] chart = { "data": { 'labels': labels, 'datasets': datasets }, "type": "bar" } chart["fieldtype"] = "Currency" return chart