275 lines
13 KiB
Python
275 lines
13 KiB
Python
# -*- coding: utf-8 -*-
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# Part of Odoo. See LICENSE file for full copyright and licensing details.
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from odoo import _, fields, models, tools
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from odoo.exceptions import UserError
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from odoo.tools import float_compare, float_is_zero
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from itertools import chain
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from odoo.tools import groupby
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from collections import defaultdict
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class StockValuationLayer(models.Model):
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"""Stock Valuation Layer"""
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_name = 'stock.valuation.layer'
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_description = 'Stock Valuation Layer'
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_order = 'create_date, id'
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_rec_name = 'product_id'
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company_id = fields.Many2one('res.company', 'Company', readonly=True, required=True)
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product_id = fields.Many2one('product.product', 'Product', readonly=True, required=True, check_company=True, auto_join=True)
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categ_id = fields.Many2one('product.category', related='product_id.categ_id', store=True)
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product_tmpl_id = fields.Many2one('product.template', related='product_id.product_tmpl_id')
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quantity = fields.Float('Quantity', readonly=True, digits='Product Unit of Measure')
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uom_id = fields.Many2one(related='product_id.uom_id', readonly=True, required=True)
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currency_id = fields.Many2one('res.currency', 'Currency', related='company_id.currency_id', readonly=True, required=True)
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unit_cost = fields.Float('Unit Value', digits='Product Price', readonly=True, aggregator=None)
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value = fields.Monetary('Total Value', readonly=True)
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remaining_qty = fields.Float(readonly=True, digits='Product Unit of Measure')
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remaining_value = fields.Monetary('Remaining Value', readonly=True)
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description = fields.Char('Description', readonly=True)
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stock_valuation_layer_id = fields.Many2one('stock.valuation.layer', 'Linked To', readonly=True, check_company=True, index=True)
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stock_valuation_layer_ids = fields.One2many('stock.valuation.layer', 'stock_valuation_layer_id')
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stock_move_id = fields.Many2one('stock.move', 'Stock Move', readonly=True, check_company=True, index=True)
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account_move_id = fields.Many2one('account.move', 'Journal Entry', readonly=True, check_company=True, index="btree_not_null")
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account_move_line_id = fields.Many2one('account.move.line', 'Invoice Line', readonly=True, check_company=True, index="btree_not_null")
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reference = fields.Char(related='stock_move_id.reference')
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price_diff_value = fields.Float('Invoice value correction with invoice currency')
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warehouse_id = fields.Many2one('stock.warehouse', string="Receipt WH", compute='_compute_warehouse_id', search='_search_warehouse_id')
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lot_id = fields.Many2one('stock.lot', 'Lot/Serial Number', check_company=True, index=True)
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def init(self):
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tools.create_index(
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self._cr, 'stock_valuation_layer_index',
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self._table, ['product_id', 'remaining_qty', 'stock_move_id', 'company_id', 'create_date']
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)
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def _compute_warehouse_id(self):
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for svl in self:
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if svl.stock_move_id.location_id.usage == "internal":
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svl.warehouse_id = svl.stock_move_id.location_id.warehouse_id.id
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else:
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svl.warehouse_id = svl.stock_move_id.location_dest_id.warehouse_id.id
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def _search_warehouse_id(self, operator, value):
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layer_ids = self.search([
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'|',
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('stock_move_id.location_dest_id.warehouse_id', operator, value),
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'&',
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('stock_move_id.location_id.usage', '=', 'internal'),
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('stock_move_id.location_id.warehouse_id', operator, value),
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]).ids
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return [('id', 'in', layer_ids)]
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def _validate_accounting_entries(self):
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am_vals = []
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aml_to_reconcile = defaultdict(set)
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for svl in self:
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if not svl.with_company(svl.company_id).product_id.valuation == 'real_time':
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continue
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if svl.currency_id.is_zero(svl.value):
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continue
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move = svl.stock_move_id
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if not move:
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move = svl.stock_valuation_layer_id.stock_move_id
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am_vals += move.with_company(svl.company_id)._account_entry_move(svl.quantity, svl.description, svl.id, svl.value)
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if am_vals:
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account_moves = self.env['account.move'].sudo().create(am_vals)
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account_moves._post()
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products_svl = groupby(self, lambda svl: (svl.product_id, svl.company_id.anglo_saxon_accounting))
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for (product, anglo_saxon_accounting), svls in products_svl:
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svls = self.browse(svl.id for svl in svls)
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moves = svls.stock_move_id
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if anglo_saxon_accounting:
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moves._get_related_invoices()._stock_account_anglo_saxon_reconcile_valuation(product=product)
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moves = (moves | moves.origin_returned_move_id).with_prefetch(chain(moves._prefetch_ids, moves.origin_returned_move_id._prefetch_ids))
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for aml in moves._get_all_related_aml():
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if aml.reconciled or aml.move_id.state != "posted" or not aml.account_id.reconcile:
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continue
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aml_to_reconcile[(product, aml.account_id)].add(aml.id)
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for aml_ids in aml_to_reconcile.values():
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self.env['account.move.line'].browse(aml_ids).reconcile()
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def _validate_analytic_accounting_entries(self):
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for svl in self:
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svl.stock_move_id._account_analytic_entry_move()
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def action_open_journal_entry(self):
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self.ensure_one()
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if not self.account_move_id:
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return
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return {
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'type': 'ir.actions.act_window',
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'view_mode': 'form',
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'res_model': 'account.move',
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'res_id': self.account_move_id.id
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}
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def action_valuation_at_date(self):
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# Handler called when the user clicked on the 'Valuation at Date' button.
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# Opens wizard to display, at choice, the products inventory or a computed
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# inventory at a given date.
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context = {}
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if ("default_product_id" in self.env.context):
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context["product_id"] = self.env.context["default_product_id"]
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elif ("default_product_tmpl_id" in self.env.context):
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context["product_tmpl_id"] = self.env.context["default_product_tmpl_id"]
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return {
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"res_model": "stock.quantity.history",
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"views": [[False, "form"]],
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"target": "new",
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"type": "ir.actions.act_window",
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"context": context,
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}
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def action_open_reference(self):
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self.ensure_one()
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if self.stock_move_id:
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action = self.stock_move_id.action_open_reference()
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if action['res_model'] != 'stock.move':
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return action
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return {
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'res_model': self._name,
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'type': 'ir.actions.act_window',
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'views': [[False, "form"]],
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'res_id': self.id,
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}
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def _consume_specific_qty(self, qty_valued, qty_to_value):
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"""
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Iterate on the SVL to first skip the qty already valued. Then, keep
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iterating to consume `qty_to_value` and stop
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The method returns the valued quantity and its valuation
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"""
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if not self:
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return 0, 0
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rounding = self.product_id.uom_id.rounding
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qty_to_take_on_candidates = qty_to_value
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tmp_value = 0 # to accumulate the value taken on the candidates
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for candidate in self:
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if float_is_zero(candidate.quantity, precision_rounding=rounding):
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continue
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candidate_quantity = abs(candidate.quantity)
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returned_qty = sum([sm.product_uom._compute_quantity(sm.quantity, self.uom_id)
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for sm in candidate.stock_move_id.returned_move_ids if sm.state == 'done'])
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candidate_quantity -= returned_qty
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if float_is_zero(candidate_quantity, precision_rounding=rounding):
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continue
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if not float_is_zero(qty_valued, precision_rounding=rounding):
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qty_ignored = min(qty_valued, candidate_quantity)
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qty_valued -= qty_ignored
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candidate_quantity -= qty_ignored
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if float_is_zero(candidate_quantity, precision_rounding=rounding):
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continue
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qty_taken_on_candidate = min(qty_to_take_on_candidates, candidate_quantity)
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qty_to_take_on_candidates -= qty_taken_on_candidate
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tmp_value += qty_taken_on_candidate * ((candidate.value + sum(candidate.stock_valuation_layer_ids.mapped('value'))) / candidate.quantity)
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if float_is_zero(qty_to_take_on_candidates, precision_rounding=rounding):
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break
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return qty_to_value - qty_to_take_on_candidates, tmp_value
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def _consume_all(self, qty_valued, valued, qty_to_value):
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"""
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The method consumes all svl to get the total qty/value. Then it deducts
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the already consumed qty/value. Finally, it tries to consume the `qty_to_value`
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The method returns the valued quantity and its valuation
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"""
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if not self:
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return 0, 0
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rounding = self.product_id.uom_id.rounding
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qty_total = -qty_valued
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value_total = -valued
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new_valued_qty = 0
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new_valuation = 0
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for svl in self:
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if float_is_zero(svl.quantity, precision_rounding=rounding):
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continue
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relevant_qty = abs(svl.quantity)
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returned_qty = sum([sm.product_uom._compute_quantity(sm.quantity, self.uom_id)
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for sm in svl.stock_move_id.returned_move_ids if sm.state == 'done'])
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relevant_qty -= returned_qty
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if float_is_zero(relevant_qty, precision_rounding=rounding):
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continue
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qty_total += relevant_qty
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value_total += relevant_qty * ((svl.value + sum(svl.stock_valuation_layer_ids.mapped('value'))) / svl.quantity)
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if float_compare(qty_total, 0, precision_rounding=rounding) > 0:
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unit_cost = value_total / qty_total
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new_valued_qty = min(qty_total, qty_to_value)
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new_valuation = unit_cost * new_valued_qty
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return new_valued_qty, new_valuation
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def _change_standart_price_accounting_entries(self, new_price):
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# Handle account moves.
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product_accounts = {product.id: product.product_tmpl_id.get_product_accounts() for product in self.product_id}
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company_id = self.env.company
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am_vals_list = []
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for layer in self:
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product = layer.product_id
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value = layer.value
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if not product.is_storable or product.valuation != 'real_time':
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continue
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# Sanity check.
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if not product_accounts[product.id].get('expense'):
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raise UserError(_('You must set a counterpart account on your product category.'))
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if not product_accounts[product.id].get('stock_valuation'):
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raise UserError(_('You don\'t have any stock valuation account defined on your product category. You must define one before processing this operation.'))
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if value < 0:
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debit_account_id = product_accounts[product.id]['expense'].id
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credit_account_id = product_accounts[product.id]['stock_valuation'].id
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else:
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debit_account_id = product_accounts[product.id]['stock_valuation'].id
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credit_account_id = product_accounts[product.id]['expense'].id
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name = _(
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'%(user)s changed cost from %(previous)s to %(new_price)s - %(record)s',
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user=self.env.user.name,
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previous=layer.lot_id.standard_price if layer.lot_id else product.standard_price,
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new_price=new_price,
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record=layer.lot_id.display_name or product.display_name
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)
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move_vals = {
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'journal_id': product_accounts[product.id]['stock_journal'].id,
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'company_id': company_id.id,
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'ref': product.default_code,
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'stock_valuation_layer_ids': [(6, None, [layer.id])],
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'move_type': 'entry',
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'line_ids': [(0, 0, {
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'name': name,
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'account_id': debit_account_id,
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'debit': abs(value),
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'credit': 0,
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'product_id': product.id,
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'quantity': 0,
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}), (0, 0, {
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'name': name,
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'account_id': credit_account_id,
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'debit': 0,
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'credit': abs(value),
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'product_id': product.id,
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'quantity': 0,
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})],
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}
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am_vals_list.append(move_vals)
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account_moves = self.env['account.move'].sudo().create(am_vals_list)
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if account_moves:
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account_moves._post()
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def _should_impact_price_unit_receipt_value(self):
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self.ensure_one()
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return True
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