007fbfbfb7
* Create QuickBooks Connector Single DocType * Create interface for user authorization and obtaining authorization code * Obtain Access token using authorization code * Fetch a random customer * Schedule fetching as a background job * Save fetched customer * Fetch all customers, take care of pagination * Save fetched customers * Create a custom field for storing Quickbooks ID * Don't save already saved customers * Commit every successful insert * No need of allow_guest=True * Fetch Items as well * Store Customer Addresses as well. * Remove redundant custom field creation code * Stupid refactoring * Some more refactoring * Fetch and Save Suppliers as well * Save accounts. Really a hack as of now. * Fetch and save invoices, Take care of child items as well * Fetch Taxes as well * Set currency on Sales Invoice * Correctly Link Items, Handle markups * Don't enqueue, Need to wait forever for testing sometimes * Set margin rate correctly * Correct fieldname is tax_amount not amount * Fetch with maximum possible batch size * Don't print unnecessary info * Fetch Journal Entries * Fetch Purchase Invoices (Bill) * Don't perform reauthentication if you already have an access_token * Don't need those print statements anymore * Refresh access_token if request fails * Fetch Payment Entry(Payment) * Map QB items to ERPNext rather than other way around * Don't need a huge comment block as of now * Fetch Payment Entries against Purchase Invoices (BillPayment) * Rename Quickbooks Connector to Migrator * Make oauth settings configurable * Make company configurable * Make default accounts configurable * Fetch accounts and other masters separately * Show realtime progress * Check if entries exist before attempting insert * Suppress other annoying messages * Tracebacks are good for health * Don't want rounded total * Don't call fetch after authorization (Need to somehow separate these) * Make credit_to account payable * When generating payment entry mention bank_account as well * Cleanup * Add custom buttons and reflect current state in form ui * Show necessary fields on form depending on the current state * Cleanup * Minor fixes * Set income and expense account on items. * Set currency for Account. * Stupid VSCode * Remove redundant code * Check for existing Payment and BillPayment correctly * Cache API response for faster development * Don't maintain stock for now, Seems to solve the issue with 'Stock Received but not billed' * Cleanup * Add methods to remove inserted data completely (Development) * Don't commit in every iteration * Set account head based on TaxRate in Sales Invoice * Fetch and cache TaxCode * Add methods to fetch TaxCode and TaxRate from cache * Set item wise tax breakup, Don't use Actual Tax * Use both TaxRateLists * Set Itemwise tax on Purchase Invoice as well * Set bank_amount, while creating payment entries * Remove print statements * Add Shipping in taxes child table of Sales Invoice * Set posting date on Payment Entries against Invoices * Fetch and save expenses as Journal Entries * Fetch and save Deposits as Journal Entries * Fetch and Save Credit and Debit Notes * Fetch and save SalesReceipt * Record Shipping as Item instead of Tax * Minor Fixes * Fetch Advance Payments * Set account_type during Account creation * Choose receivable account in Invoice based on currency * Remove receivable_account field * Account type is already set during account creation * Set receivable account based on currency in Sales Receipt and Credit Memo * Set receivable account on Customer * Save Company Preferences * Set shipping_account based on company preferences * Set cost center in Sales Invoice Items and Taxes * Make Account name unique in case of duplicate account name * Fetch and Save TaxPayment as Journal Entry * Record UndepositedFunds Account in cache if found * Credit UndepositedFunds account when mentioned in Deposit * Debit Cashback account as well if mentioned in Deposit * Set currency conversion rate * Set is_group field correctly for accounts * Preserve account hierarchy * Use quickbooks_id and company together for filtering * Make new custom field 'company' on Supplier Customer and Item * Use comapny field for filtering Customer, Item, Supplier * Shipping Account is only available if shipping is enabled for comapny * Invoice might not have TxnTaxDetail.TaxLine * Lookup TaxRate account correctly * TaxCode might not have SalesTaxRateList PurchaseTaxRateList or Both * TaxCode might not have SalesTaxRateList and PurchaseTaxRateList * Remove unnecessary UI elements * Allow multiple companies to have customers with same name * Refactor account_type * Create a leaf an account for every group account * Item and Tax list creation needs more information * Supports discount in Invoice * Save Invoice as Journal Entry when itemwise details are unavailable * Credit=True represents a refund rather than charge * Mode of Payment not synced, setting as Cash for now * Tax code may also be set for an entire invoice * Fetch General Ledger Report correctly * Refactor fetching entries from General Ledger Report * Tax Payment is the same as Sales Tax Payment and Purchase Tax Payment * append_number_if_name_exists is stupid, Reimplementing * Don't guess credit/debit for Tax Payment and Advanced Payment * Bill Payment shouldn't assume full payment * Save Payment as Journal Entry * Make Client ID and Client Secret Default * Remove unused python imports * removed are_accounts_synced() * Don't store translated values in database * Endpoints as a field * Major refactor - functions to methods * Major Refactor Functions to Methods * Major Refactor Fix Stuff * Minor Changes * Save Refund As well * Minor Refactor (SI varations to SI, PI variations to PI) * Record Inventory Qty Adjust Entries * QBM Final Touches * Make changes suggested in review |
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.. | ||
connectors | ||
data_migration_mapping | ||
data_migration_plan/github_sync | ||
doctype | ||
__init__.py | ||
stripe_integration.py | ||
utils.py |