# -*- coding: utf-8 -*- from odoo import Command from odoo.addons.account.tests.common import AccountTestInvoicingCommon from odoo.tests import Form, tagged from unittest.mock import patch @tagged('post_install', '-at_install') class TestAccountPayment(AccountTestInvoicingCommon): @classmethod def setUpClass(cls): super().setUpClass() cls.other_currency = cls.setup_other_currency('EUR') cls.payment_debit_account_id = cls.inbound_payment_method_line.payment_account_id cls.payment_credit_account_id = cls.outbound_payment_method_line.payment_account_id cls.bank_journal_1 = cls.company_data['default_journal_bank'] cls.bank_journal_2 = cls.company_data['default_journal_bank'].copy() cls.partner_bank_account1 = cls.env['res.partner.bank'].create({ 'acc_number': "0123456789", 'partner_id': cls.partner_a.id, 'acc_type': 'bank', }) cls.partner_bank_account2 = cls.env['res.partner.bank'].create({ 'acc_number': "9876543210", 'partner_id': cls.partner_a.id, 'acc_type': 'bank', }) cls.comp_bank_account1 = cls.env['res.partner.bank'].create({ 'acc_number': "985632147", 'partner_id': cls.env.company.partner_id.id, 'acc_type': 'bank', }) cls.comp_bank_account2 = cls.env['res.partner.bank'].create({ 'acc_number': "741258963", 'partner_id': cls.env.company.partner_id.id, 'acc_type': 'bank', }) cls.pay_term_epd = cls.env['account.payment.term'].create([{ 'name': "test", 'early_discount': True, 'discount_percentage': 10, 'discount_days': 10, 'line_ids': [ Command.create({ 'value': 'percent', 'value_amount': 100, 'nb_days': 30, }), ], }]) def test_payment_move_sync_create_write(self): copy_receivable = self.copy_account(self.company_data['default_account_receivable']) payment = self.env['account.payment'].create({ 'amount': 50.0, 'payment_type': 'inbound', 'partner_type': 'customer', 'destination_account_id': copy_receivable.id, }) payment.action_post() expected_payment_values = { 'amount': 50.0, 'payment_type': 'inbound', 'partner_type': 'customer', 'payment_reference': False, 'is_reconciled': False, 'currency_id': self.company_data['currency'].id, 'partner_id': False, 'destination_account_id': copy_receivable.id, 'payment_method_line_id': self.inbound_payment_method_line.id, } expected_move_values = { 'currency_id': self.company_data['currency'].id, 'partner_id': False, } expected_liquidity_line = { 'debit': 50.0, 'credit': 0.0, 'amount_currency': 50.0, 'currency_id': self.company_data['currency'].id, 'account_id': self.payment_debit_account_id.id, } expected_counterpart_line = { 'debit': 0.0, 'credit': 50.0, 'amount_currency': -50.0, 'currency_id': self.company_data['currency'].id, 'account_id': copy_receivable.id, } self.assertRecordValues(payment, [expected_payment_values]) self.assertRecordValues(payment.move_id, [expected_move_values]) self.assertRecordValues(payment.move_id.line_ids.sorted('balance'), [ expected_counterpart_line, expected_liquidity_line, ]) def test_payment_move_sync_update_journal_custom_accounts(self): """The objective is to edit the journal of a payment in order to check if the accounts are updated.""" # Create two different inbound accounts outstanding_payment_A = self.inbound_payment_method_line.payment_account_id outstanding_payment_B = self.inbound_payment_method_line.payment_account_id.copy() # Create two different journals with a different account journal_A = self.company_data['default_journal_bank'] journal_A.inbound_payment_method_line_ids.payment_account_id = outstanding_payment_A journal_B = self.company_data['default_journal_bank'].copy() journal_B.inbound_payment_method_line_ids.payment_account_id = outstanding_payment_B # Fill the form payment pay_form = Form(self.env['account.payment'].with_context(default_journal_id=self.company_data['default_journal_bank'].id)) pay_form.amount = 50.0 pay_form.payment_type = 'inbound' pay_form.partner_id = self.partner_a pay_form.journal_id = journal_A # Save the form (to create move and move line) payment = pay_form.save() payment.action_post() # Check the payment self.assertRecordValues(payment, [{ 'amount': 50.0, 'payment_type': 'inbound', 'partner_type': 'customer', 'payment_reference': False, 'is_reconciled': False, 'currency_id': self.company_data['currency'].id, 'partner_id': self.partner_a.id, 'journal_id': journal_A.id }]) self.assertRecordValues(payment.move_id, [{ 'currency_id': self.company_data['currency'].id, 'partner_id': self.partner_a.id, 'journal_id': journal_A.id, }]) self.assertRecordValues(payment.move_id.line_ids.sorted('balance'), [ { 'debit': 0.0, 'credit': 50.0, 'amount_currency': -50.0, 'currency_id': self.company_data['currency'].id, 'account_id': self.company_data['default_account_receivable'].id, }, { 'debit': 50.0, 'credit': 0.0, 'amount_currency': 50.0, 'currency_id': self.company_data['currency'].id, 'account_id': outstanding_payment_A.id, }, ]) def test_payment_move_sync_onchange(self): pay_form = Form(self.env['account.payment'].with_context( default_journal_id=self.company_data['default_journal_bank'].id, # The `partner_type` is set through the window action context in the web client # the field is otherwise invisible in the form. default_partner_type='customer', )) pay_form.amount = 50.0 pay_form.payment_type = 'inbound' pay_form.partner_id = self.partner_a payment = pay_form.save() payment.action_post() expected_payment_values = { 'amount': 50.0, 'payment_type': 'inbound', 'partner_type': 'customer', 'payment_reference': False, 'is_reconciled': False, 'currency_id': self.company_data['currency'].id, 'partner_id': self.partner_a.id, 'destination_account_id': self.partner_a.property_account_receivable_id.id, 'payment_method_line_id': self.inbound_payment_method_line.id, } expected_move_values = { 'currency_id': self.company_data['currency'].id, 'partner_id': self.partner_a.id, } expected_liquidity_line = { 'debit': 50.0, 'credit': 0.0, 'amount_currency': 50.0, 'currency_id': self.company_data['currency'].id, 'account_id': self.payment_debit_account_id.id, } expected_counterpart_line = { 'debit': 0.0, 'credit': 50.0, 'amount_currency': -50.0, 'currency_id': self.company_data['currency'].id, 'account_id': self.company_data['default_account_receivable'].id, } self.assertRecordValues(payment, [expected_payment_values]) self.assertRecordValues(payment.move_id, [expected_move_values]) self.assertRecordValues(payment.move_id.line_ids.sorted('balance'), [ expected_counterpart_line, expected_liquidity_line, ]) # ==== Check editing the account.payment ==== # `partner_type` on payment is always invisible. It's supposed to be set through a context `default_` key # In this case the goal of the test is to take an existing customer payment and change it to a supplier payment, # which is not supposed to be possible through the web interface. # So, change the payment partner_type beforehand rather than in the form view. payment.action_draft() payment.partner_type = 'supplier' pay_form = Form(payment) pay_form.currency_id = self.other_currency payment = pay_form.save() self.assertRecordValues(payment, [{ **expected_payment_values, 'partner_type': 'supplier', 'destination_account_id': self.partner_a.property_account_payable_id.id, 'currency_id': self.other_currency.id, 'partner_id': self.partner_a.id, }]) self.assertRecordValues(payment.move_id, [{ **expected_move_values, 'currency_id': self.other_currency.id, 'partner_id': self.partner_a.id, }]) self.assertRecordValues(payment.move_id.line_ids.sorted('balance'), [ { **expected_counterpart_line, 'debit': 0.0, 'credit': 25.0, 'amount_currency': -50.0, 'currency_id': self.other_currency.id, 'account_id': self.partner_a.property_account_payable_id.id, }, { **expected_liquidity_line, 'debit': 25.0, 'credit': 0.0, 'amount_currency': 50.0, 'currency_id': self.other_currency.id, }, ]) def test_payment_journal_onchange(self): # Create a new payment form pay_form = Form(self.env['account.payment'].with_context( default_journal_id=self.company_data['default_journal_bank'].id, default_partner_type='customer' )) pay_form.amount = 50.0 pay_form.payment_type = 'inbound' pay_form.partner_id = self.partner_a payment = pay_form.save() with self.assertRaises(AssertionError): pay_form.journal_id = self.env['account.journal'] payment = pay_form.save() # Check the values of the payment record after the onchange method self.assertRecordValues(payment, [{ 'amount': 50.0, 'payment_type': 'inbound', 'partner_type': 'customer', 'payment_reference': False, 'is_reconciled': False, 'currency_id': self.company_data['currency'].id, 'partner_id': self.partner_a.id, 'destination_account_id': self.partner_a.property_account_receivable_id.id, 'payment_method_line_id': self.inbound_payment_method_line.id, 'journal_id': self.company_data['default_journal_bank'].id, }]) def test_compute_currency_id(self): ''' When creating a new account.payment without specifying a currency, the default currency should be the one set on the journal. ''' self.company_data['default_journal_bank'].currency_id = self.other_currency self.company_data['default_journal_bank'].inbound_payment_method_line_ids.payment_account_id = self.inbound_payment_method_line.payment_account_id payment = self.env['account.payment'].create({ 'amount': 50.0, 'payment_type': 'inbound', 'partner_type': 'customer', 'partner_id': self.partner_a.id, 'journal_id': self.company_data['default_journal_bank'].id, }) payment.action_post() self.assertRecordValues(payment, [{ 'currency_id': self.other_currency.id, }]) self.assertRecordValues(payment.move_id, [{ 'currency_id': self.other_currency.id, }]) self.assertRecordValues(payment.move_id.line_ids.sorted('balance'), [ { 'debit': 0.0, 'credit': 25.0, 'amount_currency': -50.0, 'currency_id': self.other_currency.id, }, { 'debit': 25.0, 'credit': 0.0, 'amount_currency': 50.0, 'currency_id': self.other_currency.id, }, ]) def test_reconciliation_payment_states(self): payment = self.env['account.payment'].create({ 'amount': 50.0, 'payment_type': 'inbound', 'partner_type': 'customer', 'destination_account_id': self.company_data['default_account_receivable'].id, }) payment.action_post() liquidity_lines, counterpart_lines, writeoff_lines = payment._seek_for_lines() self.assertRecordValues(payment, [{ 'is_reconciled': False, 'is_matched': False, }]) invoice = self.env['account.move'].create({ 'move_type': 'out_invoice', 'partner_id': self.partner_a.id, 'invoice_line_ids': [(0, 0, { 'name': '50 to pay', 'price_unit': 50.0, 'quantity': 1, 'account_id': self.company_data['default_account_revenue'].id, })], }) invoice.action_post() (counterpart_lines + invoice.line_ids.filtered(lambda line: line.account_type == 'asset_receivable'))\ .reconcile() self.assertRecordValues(payment, [{ 'is_reconciled': True, 'is_matched': False, }]) statement_line = self.env['account.bank.statement.line'].create({ 'payment_ref': '50 to pay', 'journal_id': self.company_data['default_journal_bank'].id, 'partner_id': self.partner_a.id, 'amount': 50.0, }) # Reconcile without the bank reconciliation widget since the widget is in enterprise. _st_liquidity_lines, st_suspense_lines, _st_other_lines = statement_line\ .with_context(skip_account_move_synchronization=True)\ ._seek_for_lines() st_suspense_lines.account_id = liquidity_lines.account_id (st_suspense_lines + liquidity_lines).reconcile() self.assertRecordValues(payment, [{ 'is_reconciled': True, 'is_matched': True, }]) def test_reconciliation_payment_states_reverse_payment_move(self): invoice = self.env['account.move'].create({ 'move_type': 'out_invoice', 'partner_id': self.partner_a.id, 'invoice_line_ids': [Command.create({'product_id': self.product_a.id})], }) invoice.action_post() payment = self.env['account.payment.register']\ .with_context(active_model='account.move', active_ids=invoice.ids)\ .create({})\ ._create_payments() self.assertTrue(invoice.payment_state in ('paid', 'in_payment')) self.assertRecordValues(payment, [{'reconciled_invoice_ids': invoice.ids}]) # Reverse the payment move reversal_wizard = self.env['account.move.reversal']\ .with_context(active_model='account.move', active_ids=payment.move_id.ids)\ .create({'reason': "oopsie", 'journal_id': payment.journal_id.id}) reversal_wizard.refund_moves() self.assertRecordValues(invoice, [{'payment_state': 'not_paid'}]) self.assertRecordValues(payment.move_id.line_ids, [{'reconciled': True}] * 2) def test_payment_without_default_company_account(self): """ The purpose of this test is to check the specific behavior when duplicating an inbound payment, then change the copy to an outbound payment when we set the outstanding accounts (payments and receipts) on a journal but not on the company level. """ bank_journal = self.company_data['default_journal_bank'] bank_journal.outbound_payment_method_line_ids.payment_account_id = self.outbound_payment_method_line.payment_account_id.copy() bank_journal.inbound_payment_method_line_ids.payment_account_id = self.inbound_payment_method_line.payment_account_id.copy() payment = self.env['account.payment'].create({ 'amount': 5.0, 'payment_type': 'inbound', 'partner_type': 'customer', 'journal_id': bank_journal.id, }) self.assertRecordValues(payment, [{ 'amount': 5.0, 'payment_type': 'inbound', 'partner_type': 'customer', 'payment_reference': False, 'is_reconciled': False, 'currency_id': self.company_data['currency'].id, 'partner_id': False, 'payment_method_line_id': self.inbound_payment_method_line.id, }]) payment.payment_type = 'outbound' self.assertRecordValues(payment, [{ 'amount': 5.0, 'payment_type': 'outbound', 'partner_type': 'customer', 'payment_reference': False, 'is_reconciled': False, 'currency_id': self.company_data['currency'].id, 'partner_id': False, 'payment_method_line_id': self.outbound_payment_method_line.id, }]) def test_suggested_default_partner_bank(self): """ Ensure the 'partner_bank_id' is well computed on payments. When the payment is inbound, the money must be received by a bank account linked to the company. In case of outbound payment, the bank account must be found on the partner. """ payment = self.env['account.payment'].create({ 'journal_id': self.bank_journal_1.id, 'amount': 50.0, 'payment_type': 'outbound', 'partner_type': 'supplier', 'partner_id': self.partner_a.id, }) self.assertRecordValues(payment, [{ 'available_partner_bank_ids': self.partner_a.bank_ids.ids, 'partner_bank_id': self.partner_bank_account1.id, }]) payment.payment_type = 'inbound' self.assertRecordValues(payment, [{ 'available_partner_bank_ids': [], 'partner_bank_id': False, }]) self.bank_journal_2.bank_account_id = self.comp_bank_account2 # A sequence is automatically added on the first move. We need to clean it before changing the journal. payment.name = False payment.journal_id = self.bank_journal_2 self.assertRecordValues(payment, [{ 'available_partner_bank_ids': self.comp_bank_account2.ids, 'partner_bank_id': self.comp_bank_account2.id, }]) def test_reconciliation_with_old_oustanding_account(self): """ Test the reconciliation of an invoice with a payment after changing the outstanding account of the journal. """ outstanding_account_2 = self.inbound_payment_method_line.payment_account_id.copy() payment = self.env['account.payment'].create({ 'payment_type': 'inbound', 'partner_type': 'customer', 'partner_id': self.partner_a.id, 'journal_id': self.company_data['default_journal_bank'].id, 'amount': 1150, }) payment.action_post() self.company_data['default_journal_bank'].inbound_payment_method_line_ids.payment_account_id = outstanding_account_2 invoice = self.init_invoice('out_invoice', post=True, amounts=[1000.0], taxes=self.env['account.tax']) credit_line = payment.move_id.line_ids.filtered(lambda l: l.credit and l.account_id == self.company_data['default_account_receivable']) invoice.js_assign_outstanding_line(credit_line.id) self.assertTrue(invoice.payment_state in ('in_payment', 'paid'), "Invoice should be paid") invoice.button_draft() self.assertTrue(invoice.payment_state == 'not_paid', "Invoice should'nt be paid anymore") self.assertTrue(invoice.state == 'draft', "Invoice should be draft") def test_journal_onchange(self): """Ensure that the payment method line is recomputed when switching journal in form view.""" context = { 'payment_type': 'inbound', 'partner_type': 'customer', } with Form(self.env['account.payment'].with_context(context)) as payment: default_journal = payment.journal_id self.assertTrue(default_journal) self.assertEqual(payment.payment_method_line_id.journal_id.id, default_journal.id) other_journal = self.bank_journal_2 if default_journal != self.bank_journal_2 else self.bank_journal_1 payment.journal_id = other_journal self.assertEqual(payment.payment_method_line_id.journal_id.id, other_journal.id) payment.journal_id = default_journal self.assertEqual(payment.payment_method_line_id.journal_id.id, default_journal.id) def test_payments_copy_data(self): payment_1, payment_2 = self.env['account.payment'].create([ { 'partner_id': self.partner_a.id, 'amount': 50, }, { 'partner_id': self.partner_b.id, 'amount': 100, }, ]) duplicate_payment_1, duplicate_payment_2 = (payment_1 + payment_2).copy() self.assertEqual(duplicate_payment_1.partner_id, payment_1.partner_id) self.assertEqual(duplicate_payment_2.partner_id, payment_2.partner_id) self.assertEqual(duplicate_payment_1.amount, payment_1.amount) self.assertEqual(duplicate_payment_2.amount, payment_2.amount) def test_payments_epd_eligible_on_move_with_payment(self): """ Ensures that even if a move has a payment registered, the epd will still be eligible if no outstanding account is set on the payment method""" invoice1 = self.env['account.move'].create([{ 'move_type': 'out_invoice', 'partner_id': self.partner_a.id, 'date': '2024-01-01', 'invoice_payment_term_id': self.pay_term_epd.id, 'invoice_line_ids': [Command.create({ 'name': 'test', 'quantity': 1, 'price_unit': 1000, })], }]) invoice1.action_post() # By default, an outstanding account is set on the bank journal, which will result in a journal entry generation self.env['account.payment.register'].with_context(active_model='account.move', active_ids=invoice1.ids).create({})._create_payments() self.assertFalse(invoice1._is_eligible_for_early_payment_discount(invoice1.currency_id, invoice1.invoice_date)) # Remove the outstanding account on the payment method line to avoid generating a journal entry on the payment self.company_data['default_journal_bank'].inbound_payment_method_line_ids.payment_account_id = self.env['account.account'] invoice2 = invoice1.copy() invoice2.action_post() self.env['account.payment.register'].with_context(active_model='account.move', active_ids=invoice2.ids).create({})._create_payments() # In the community edition, a journal entry is created for a payment regardless of whether an outstanding account is set. # This removes the eligibility for early payment discount. is_accounting_installed = invoice1._get_invoice_in_payment_state() == 'in_payment' self.assertEqual(invoice2._is_eligible_for_early_payment_discount(invoice2.currency_id, invoice2.invoice_date), is_accounting_installed) def test_payments_invoice_payment_state_without_outstanding_accounts(self): """ Ensures that, without outstanding accounts set on the bank journal payment method, the payment of the invoice still gets a journal entry in community edition """ def register_payment_and_assert_state(move, amount, is_community): def patched_get_invoice_in_payment_state(self): return 'paid' if is_community else 'in_payment' with patch.object(self.env.registry['account.move'], '_get_invoice_in_payment_state', patched_get_invoice_in_payment_state): payment = self.env['account.payment.register'].with_context( active_model='account.move', active_ids=move.ids ).create({'amount': amount})._create_payments() self.assertEqual(payment.state, 'paid' if is_community else 'in_process') # Remove the outstanding account on the payment method line to avoid generating a journal entry on the payment self.company_data['default_journal_bank'].inbound_payment_method_line_ids.payment_account_id = self.env['account.account'] invoice_1 = self.env['account.move'].create([{ 'move_type': 'out_invoice', 'partner_id': self.partner_a.id, 'date': '2024-01-01', 'invoice_line_ids': [Command.create({ 'name': 'test', 'quantity': 1, 'price_unit': 100.0, })], }]) invoice_1.action_post() register_payment_and_assert_state(invoice_1, 100.0, is_community=True) self.assertTrue(invoice_1.matched_payment_ids.move_id) invoice_2 = invoice_1.copy() invoice_2.action_post() register_payment_and_assert_state(invoice_2, 100.0, is_community=False) self.assertFalse(invoice_2.matched_payment_ids.move_id) def test_payment_confirmation_with_bank_outstanding_account(self): """ Ensures that when the outstanding account of the payment method is set to a bank, the validation process of a payment is skipped therefore reaching paid status after confirmation of payment. """ bank_journal = self.company_data['default_journal_bank'] outstanding_account = bank_journal.default_account_id # Sets the outstanding account to a bank bank_journal.inbound_payment_method_line_ids.payment_account_id = outstanding_account payment = self.env['account.payment'].create({ 'payment_type': 'inbound', 'partner_type': 'customer', 'partner_id': self.partner_a.id, 'journal_id': bank_journal.id, 'amount': 2629, }) payment.action_post() self.assertEqual(payment.state, 'paid')