# -*- coding: utf-8 -*- from contextlib import contextmanager from odoo import api, fields, models, _, Command from odoo.exceptions import UserError from odoo.tools import create_index from odoo.tools.misc import formatLang class AccountBankStatement(models.Model): _name = "account.bank.statement" _description = "Bank Statement" _order = "first_line_index desc" _check_company_auto = True name = fields.Char( string='Reference', compute='_compute_name', store=True, readonly=False, copy=False, ) # Used to hold the reference of the external mean that created this statement (name of imported file, # reference of online synchronization...) reference = fields.Char( string='External Reference', copy=False, ) date = fields.Date( compute='_compute_date_index', store=True, index=True, ) # The internal index of the first line of a statement, it is used for sorting the statements # The date field cannot be used as there might be more than one statement in one day. # keeping this order is important because the validity of the statements are based on their order first_line_index = fields.Char( comodel_name='account.bank.statement.line', compute='_compute_date_index', store=True, index=True, ) balance_start = fields.Monetary( string='Starting Balance', compute='_compute_balance_start', store=True, readonly=False, ) # Balance end is calculated based on the statement line amounts and real starting balance. balance_end = fields.Monetary( string='Computed Balance', compute='_compute_balance_end', store=True, ) balance_end_real = fields.Monetary( string='Ending Balance', compute='_compute_balance_end_real', store=True, readonly=False, ) company_id = fields.Many2one( comodel_name='res.company', related='journal_id.company_id', store=True, ) currency_id = fields.Many2one( comodel_name='res.currency', compute='_compute_currency_id', ) journal_id = fields.Many2one( comodel_name='account.journal', compute='_compute_journal_id', store=True, check_company=True, ) line_ids = fields.One2many( comodel_name='account.bank.statement.line', inverse_name='statement_id', string='Statement lines', required=True, ) # A statement assumed to be complete when the sum of encoded lines is equal to the difference between start and # end balances. is_complete = fields.Boolean( compute='_compute_is_complete', store=True, ) # A statement is considered valid when the starting balance matches the ending balance of the previous statement. # The lines without statements are neglected because, either the user is using statements regularly, so they can # assume every line without statement is problematic, or they don't use them regularly, in that case statements are # working as checkpoints only and their validity is not important. # The first statement of a journal is always considered valid. The validity of the statement is based on other # statements, so one can say this is external integrity check were as is_complete is the internal integrity. is_valid = fields.Boolean( compute='_compute_is_valid', search='_search_is_valid', ) problem_description = fields.Text( compute='_compute_problem_description', ) attachment_ids = fields.Many2many( comodel_name='ir.attachment', string="Attachments", ) def init(self): super().init() create_index(self.env.cr, indexname='account_bank_statement_journal_id_date_desc_id_desc_idx', tablename='account_bank_statement', expressions=['journal_id', 'date DESC', 'id DESC']) # ------------------------------------------------------------------------- # COMPUTE METHODS # ------------------------------------------------------------------------- @api.depends('create_date') def _compute_name(self): for stmt in self: stmt.name = _("%s Statement %s", stmt.journal_id.code, stmt.date) @api.depends('line_ids.internal_index', 'line_ids.state') def _compute_date_index(self): for stmt in self: # When we create lines manually from the form view, they don't have any `internal_index` set yet. sorted_lines = stmt.line_ids.filtered("internal_index").sorted('internal_index') stmt.first_line_index = sorted_lines[:1].internal_index stmt.date = sorted_lines.filtered(lambda l: l.state == 'posted')[-1:].date @api.depends('create_date') def _compute_balance_start(self): for stmt in self.sorted(lambda x: x.first_line_index or '0'): journal_id = stmt.journal_id.id or stmt.line_ids.journal_id.id previous_line_with_statement = self.env['account.bank.statement.line'].search([ ('internal_index', '<', stmt.first_line_index), ('journal_id', '=', journal_id), ('state', '=', 'posted'), ('statement_id', '!=', False), ], limit=1) balance_start = previous_line_with_statement.statement_id.balance_end_real lines_in_between_domain = [ ('internal_index', '<', stmt.first_line_index), ('journal_id', '=', journal_id), ('state', '=', 'posted'), ] if previous_line_with_statement: lines_in_between_domain.append(('internal_index', '>', previous_line_with_statement.internal_index)) # remove lines from previous statement (when multi-editing a line already in another statement) previous_st_lines = previous_line_with_statement.statement_id.line_ids lines_in_common = previous_st_lines.filtered(lambda l: l.id in stmt.line_ids._origin.ids) balance_start -= sum(lines_in_common.mapped('amount')) lines_in_between = self.env['account.bank.statement.line'].search(lines_in_between_domain) balance_start += sum(lines_in_between.mapped('amount')) stmt.balance_start = balance_start @api.depends('balance_start', 'line_ids.amount', 'line_ids.state') def _compute_balance_end(self): for stmt in self: lines = stmt.line_ids.filtered(lambda x: x.state == 'posted') stmt.balance_end = stmt.balance_start + sum(lines.mapped('amount')) @api.depends('balance_start') def _compute_balance_end_real(self): for stmt in self: stmt.balance_end_real = stmt.balance_end @api.depends('journal_id') def _compute_currency_id(self): for statement in self: statement.currency_id = statement.journal_id.currency_id or statement.company_id.currency_id @api.depends('line_ids.journal_id') def _compute_journal_id(self): for statement in self: statement.journal_id = statement.line_ids.journal_id @api.depends('balance_end', 'balance_end_real', 'line_ids.amount', 'line_ids.state') def _compute_is_complete(self): for stmt in self: stmt.is_complete = stmt.line_ids.filtered(lambda l: l.state == 'posted') and stmt.currency_id.compare_amounts( stmt.balance_end, stmt.balance_end_real) == 0 @api.depends('balance_end', 'balance_end_real') def _compute_is_valid(self): # we extract the invalid statements, the statements with no lines and the first statement are not in the query # because they don't have a previous statement, so they are excluded from the join, and we consider them valid. # if we have extracted the valid ones, we would have to mark above-mentioned statements valid manually # For new statements, a sql query can't be used if len(self) == 1: self.is_valid = self._get_statement_validity() else: invalids = self.filtered(lambda s: s.id in self._get_invalid_statement_ids()) invalids.is_valid = False (self - invalids).is_valid = True @api.depends('is_valid', 'is_complete') def _compute_problem_description(self): for stmt in self: description = None if not stmt.is_valid: description = _("The starting balance doesn't match the ending balance of the previous statement, or an earlier statement is missing.") elif not stmt.is_complete: description = _("The running balance (%s) doesn't match the specified ending balance.", formatLang(self.env, stmt.balance_end, currency_obj=stmt.currency_id)) stmt.problem_description = description def _search_is_valid(self, operator, value): if operator not in ('=', '!=', '<>'): raise UserError(_('Operation not supported')) invalid_ids = self._get_invalid_statement_ids(all_statements=True) if operator in ('!=', '<>') and value or operator == '=' and not value: return [('id', 'in', invalid_ids)] return [('id', 'not in', invalid_ids)] # ------------------------------------------------------------------------- # BUSINESS METHODS # ------------------------------------------------------------------------- def _get_statement_validity(self): """ Compares the balance_start to the previous statements balance_end_real """ self.ensure_one() previous = self.env['account.bank.statement'].search( [ ('first_line_index', '<', self.first_line_index), ('journal_id', '=', self.journal_id.id), ], limit=1, order='first_line_index DESC', ) return not previous or self.currency_id.compare_amounts(self.balance_start, previous.balance_end_real) == 0 def _get_invalid_statement_ids(self, all_statements=None): """ Returns the statements that are invalid for _compute and _search methods.""" self.env['account.bank.statement.line'].flush_model(['statement_id', 'internal_index']) self.env['account.bank.statement'].flush_model(['balance_start', 'balance_end_real', 'first_line_index']) self.env.cr.execute(f""" SELECT st.id FROM account_bank_statement st LEFT JOIN res_company co ON st.company_id = co.id LEFT JOIN account_journal j ON st.journal_id = j.id LEFT JOIN res_currency currency ON COALESCE(j.currency_id, co.currency_id) = currency.id, LATERAL ( SELECT balance_end_real FROM account_bank_statement st_lookup WHERE st_lookup.first_line_index < st.first_line_index AND st_lookup.journal_id = st.journal_id ORDER BY st_lookup.first_line_index desc LIMIT 1 ) prev WHERE ROUND(prev.balance_end_real, currency.decimal_places) != ROUND(st.balance_start, currency.decimal_places) {"" if all_statements else "AND st.id IN %(ids)s"} """, { 'ids': tuple(self.ids) }) res = self.env.cr.fetchall() return [r[0] for r in res] # ------------------------------------------------------------------------- # LOW-LEVEL METHODS # ------------------------------------------------------------------------- @api.model def default_get(self, fields_list): # EXTENDS base defaults = super().default_get(fields_list) if 'line_ids' not in fields_list: return defaults active_ids = self._context.get('active_ids', []) context_split_line_id = self._context.get('split_line_id') context_st_line_id = self._context.get('st_line_id') lines = None # creating statements with split button if context_split_line_id: current_st_line = self.env['account.bank.statement.line'].browse(context_split_line_id) line_before = self.env['account.bank.statement.line'].search( domain=[ ('internal_index', '<', current_st_line.internal_index), ('journal_id', '=', current_st_line.journal_id.id), ('statement_id', '!=', current_st_line.statement_id.id), ('statement_id', '!=', False), ], order='internal_index desc', limit=1, ) lines = self.env['account.bank.statement.line'].search( domain=[ ('internal_index', '<=', current_st_line.internal_index), ('internal_index', '>', line_before.internal_index or ''), ('journal_id', '=', current_st_line.journal_id.id), ], order='internal_index desc', ) # single line edit elif context_st_line_id and len(active_ids) <= 1: lines = self.env['account.bank.statement.line'].browse(context_st_line_id) # multi edit elif context_st_line_id and len(active_ids) > 1: lines = self.env['account.bank.statement.line'].browse(active_ids).sorted() if len(lines.journal_id) > 1: raise UserError(_("A statement should only contain lines from the same journal.")) # Check that the selected lines are contiguous (there might be canceled lines between the indexes and these should be ignored from the check) indexes = lines.mapped('internal_index') lines_between = self.env['account.bank.statement.line'].search([ ('internal_index', '>=', min(indexes)), ('internal_index', '<=', max(indexes)), ('journal_id', '=', lines.journal_id.id), ]) canceled_lines = lines_between.filtered(lambda l: l.state == 'cancel') if len(lines) != len(lines_between - canceled_lines): raise UserError(_("Unable to create a statement due to missing transactions. You may want to reorder the transactions before proceeding.")) lines |= canceled_lines if lines: defaults['line_ids'] = [Command.set(lines.ids)] return defaults @contextmanager def _check_attachments(self, container, values_list): attachments_to_fix_list = [] for values in values_list: attachment_ids = set() for orm_command in values.get('attachment_ids', []): if orm_command[0] == Command.LINK: attachment_ids.add(orm_command[1]) elif orm_command[0] == Command.SET: for attachment_id in orm_command[2]: attachment_ids.add(attachment_id) attachments = self.env['ir.attachment'].browse(list(attachment_ids)) attachments_to_fix_list.append(attachments) yield for stmt, attachments in zip(container['records'], attachments_to_fix_list): attachments.write({'res_id': stmt.id, 'res_model': stmt._name}) @api.model_create_multi def create(self, vals_list): container = {'records': self.env['account.bank.statement']} with self._check_attachments(container, vals_list): container['records'] = stmts = super().create(vals_list) return stmts def write(self, values): if len(self) != 1 and 'attachment_ids' in values: values.pop('attachment_ids') container = {'records': self} with self._check_attachments(container, [values]): result = super().write(values) return result