[IMP] purchase: update vendor bills copy
closes odoo/documentation#9794
X-original-commit: 118e31d96a
Signed-off-by: Samuel Lieber (sali) <sali@odoo.com>
This commit is contained in:
parent
e04e586ef4
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@ -4,211 +4,196 @@ Manage vendor bills
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.. _inventory/purchase/manage_deals/manage:
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A *vendor bill* is an invoice received for products and/or services that a company purchases from a
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.. |PO| replace:: :abbr:`PO (Purchase Order)`
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.. |POs| replace:: :abbr:`POs (Purchase Orders)`
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.. |RfQ| replace:: :abbr:`RfQ (Request for Quotation)`
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.. |RfQs| replace:: :abbr:`RfQs (Requests for Quotation)`
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A *vendor bill* is an invoice received for products and/or services purchased by a company from a
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vendor. Vendor bills record payables as they arrive from vendors, and can include amounts owed for
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the goods and/or services purchased, sales taxes, freight and delivery charges, and more.
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In Odoo, a vendor bill can be created at different points in the purchasing process, depending on
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the *bill control* policy chosen in the *Purchase* app settings.
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the *bill control* policy chosen in the *Purchase* app's settings.
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Bill control policies
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=====================
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To view and edit the default bill control policy and make changes to it, go to
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:menuselection:`Purchase app --> Configuration --> Settings`, and scroll down to the
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:guilabel:`Invoicing` section.
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To configure the default bill control policy, navigate to :menuselection:`Purchase app -->
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Configuration --> Settings`, and scroll to the :guilabel:`Invoicing` section.
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Here, there are two :guilabel:`Bill Control` policy options: :guilabel:`Ordered quantities` and
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:guilabel:`Received quantities`. After a policy is selected, click :guilabel:`Save` to save changes.
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The :guilabel:`Bill Control` feature lists two policy options: :guilabel:`Ordered quantities` and
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:guilabel:`Received quantities`.
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The policy selected acts as the default for any new product created. Each policy acts as follows:
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- :guilabel:`Ordered quantities`: creates a vendor bill as soon as a purchase order is confirmed.
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The products and quantities in the purchase order are used to generate a draft bill.
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- :guilabel:`Received quantities`: a bill is only created **after** all (or part) of the total order
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has been received. The products and quantities received are used to generate a draft bill.
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.. image:: manage/manage-configuration-settings.png
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:align: center
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:alt: Bill control policies in purchase app settings.
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The policy selected will be the default for any new product created. The definition of each policy
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is as follows:
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- :guilabel:`Ordered quantities`: creates a vendor bill as soon as a purchase order is confirmed.
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The products and quantities in the purchase order are used to generate a draft bill.
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- :guilabel:`Received quantities`: a bill is only created **after** part of the total order has been
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received. The products and quantities **received** are used to generate a draft bill.
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Once a policy is selected, click :guilabel:`Save` to save the changes.
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.. tip::
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If a product needs a different control policy, the default bill control policy can be overridden
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by going to the :guilabel:`Purchase` tab in a product's template, and modifying its
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:guilabel:`Control Policy` field.
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If a product needs a different control policy than the one set in the *Purchase* app settings,
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that product's control policy can be overridden by going to the :guilabel:`Purchase` tab on a
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product form, and selecting the desired policy in the :guilabel:`Control Policy` field.
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.. image:: manage/manage-product-form.png
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:align: center
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:alt: Control policy field on product form.
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.. image:: manage/manage-product-form.png
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:align: center
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:alt: Control policy field on product form.
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3-way matching
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--------------
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*3-way matching* ensures vendor bills are only paid once some (or all) of the products included in
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the purchase order have actually been received.
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The *3-way matching* policy ensures vendor bills are only paid once all (or some) products in a
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purchase order (PO) have been received.
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To activate it, go to :menuselection:`Purchase app --> Configuration --> Settings`, and scroll down
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to the :guilabel:`Invoicing` section. Then, tick the checkbox next to :guilabel:`3-way matching`,
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and click :guilabel:`Save` to save changes.
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To activate 3-way matching, navigate to :menuselection:`Purchase app --> Configuration -->
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Settings`, and scroll to the :guilabel:`Invoicing` section.
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Tick the checkbox next to :guilabel:`3-way matching`, and click :guilabel:`Save`.
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.. important::
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:guilabel:`3-way matching` is **only** intended to work with the :guilabel:`Bill Control` policy
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set to :guilabel:`Received quantities`.
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The :guilabel:`3-way matching` feature is **only** intended to work with the :guilabel:`Bill
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Control` policy set to :guilabel:`Received quantities`.
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Create and manage vendor bills on receipts
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==========================================
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When products are received into a company's warehouse, receipts are created. Once the company
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processes the received quantities, they can choose to create a vendor bill directly from the
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warehouse receipt form. Depending on the bill control policy chosen in the settings, vendor bill
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creation is completed at different steps of the procurement process.
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warehouse receipt form.
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With the bill control policy set to ordered quantities
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------------------------------------------------------
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Depending on the bill control policy chosen in the settings, vendor bill creation is completed at
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different steps of the procurement process.
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To create and manage vendor bills on receipts using the *ordered quantities* bill control policy,
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first go to :menuselection:`Purchase app --> Configuration --> Settings`, scroll down to the
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:guilabel:`Invoicing` section, and select :guilabel:`Ordered quantities` under :guilabel:`Bill
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Control`. Then, click :guilabel:`Save` to save changes.
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Ordered quantities
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------------------
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Next, go to the :menuselection:`Purchase` app, and click :guilabel:`Create` to create a new request
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for quotation (RFQ). Doing so reveals a blank :abbr:`RFQ (request for quotation)` detail form.
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To create and manage vendor bills for receipts with the *Bill Control* policy set to *Ordered
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Quantities*, first navigate to the :menuselection:`Purchase app`, and click :guilabel:`New` from the
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:guilabel:`Requests for Quotation` dashboard.
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On the blank detail form, add a vendor to the :abbr:`RFQ (request for quotation)` in the
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:guilabel:`Vendor` field, and add products to the :guilabel:`Product` lines by clicking
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:guilabel:`Add a line`.
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Doing so opens a new :guilabel:`Request for Quotation` (RfQ) form. On the blank |RfQ| form, add a
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:guilabel:`Vendor`, and click :guilabel:`Add a line` under the :guilabel:`Product` tab to add
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products to the order.
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Then, confirm the :abbr:`RFQ (request for quotation)` by clicking the :guilabel:`Confirm Order`
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button above the detail form. Doing so turns the :abbr:`RFQ (request for quotation)` into a purchase
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order.
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On the product line, select a product from the drop-down menu in the :guilabel:`Product` field, and
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enter the quantity to order in the :guilabel:`Quantity` field.
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Then, click the :guilabel:`Create Bill` button to create a vendor bill for the purchase order.
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Once ready, click :guilabel:`Confirm Order` to confirm the |RfQ| into a |PO|.
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Clicking the :guilabel:`Create Bill` button reveals the :guilabel:`Draft Bill` page for the purchase
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order.
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Then, click :guilabel:`Create Bill` to create a vendor bill. This opens a :guilabel:`Vendor Bill`
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form in the :guilabel:`Draft` state. From here, add a billing date in the :guilabel:`Bill Date`
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field.
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On the :guilabel:`Draft Bill`, click the :guilabel:`Edit` button to modify the bill, and add a bill
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date in the :guilabel:`Bill Date` field. If needed, add additional products to the
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:guilabel:`Product` lines by clicking :guilabel:`Add a line` in the :guilabel:`Invoice Lines` tab.
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Next, confirm the bill by clicking the :guilabel:`Confirm` button on the :guilabel:`Draft Bill`
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page.
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Once ready, confirm the bill by clicking :guilabel:`Confirm` on the :guilabel:`Vendor Bill` page.
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.. tip::
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Since the bill control policy is set to *ordered quantities*, the draft bill can be confirmed as
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Since the bill control policy is set to *Ordered quantities*, the draft bill can be confirmed as
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soon as it is created, before any products have been received.
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On the new :guilabel:`Vendor Bill`, add a :guilabel:`Bill Reference` number, which can be used to
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match the bill with additional documents (such as the :abbr:`PO (purchase order)`). Then, click
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:menuselection:`Confirm --> Register Payment`. Doing so causes a pop-up to appear, wherein a payment
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:guilabel:`Journal` can be chosen; a :guilabel:`Payment Method` selected; and a :guilabel:`Recipient
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Bank Account` can be selected from a drop-down menu.
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Once a payment has been received, click :guilabel:`Register Payment` at the top of the bill to
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record it.
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Doing so causes a :guilabel:`Register Payment` pop-up window to appear, wherein a payment
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:guilabel:`Journal` can be chosen, and a :guilabel:`Payment Method` selected.
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Additionally, the bill :guilabel:`Amount`, :guilabel:`Payment Date`, and :guilabel:`Memo`
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(:dfn:`Reference Number`) can be changed from this pop-up. Once ready, click :guilabel:`Create
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Payment` to finish creating the :guilabel:`Vendor Bill`. Doing so causes a green :guilabel:`In
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Payment` banner to display on the :abbr:`RFQ (request for quotation)` form.
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(:dfn:`Reference Number`) can be edited from this pop-up window, if necessary.
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Once ready, click :guilabel:`Create Payment` to finish creating the :guilabel:`Vendor Bill`. Doing
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so displays a green :guilabel:`Paid` banner on the |RfQ| form.
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.. image:: manage/manage-draft-vendor-bill.png
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:align: center
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:alt: Vendor bill form for ordered quantities control policy.
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.. note::
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Each vendor bill provides the option to either :guilabel:`Add Credit Note` or :guilabel:`Add
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Debit Note`. A *credit note* is typically issued when a vendor or supplier of goods get some
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quantity of products back from the customer to whom they were sold, while *debit notes* are
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reserved for goods returned from the customer/buyer to the vendor or supplier.
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Received quantities
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-------------------
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With the bill control policy set to received quantities
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-------------------------------------------------------
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To create and manage vendor bills for receipts with the bill control policy set to *Received
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quantities*, first navigate to the :menuselection:`Purchase` app, and click :guilabel:`New`.
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.. warning::
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If the creation of a vendor bill is attempted without receiving any quantities of a product
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(while using the *received quantities* bill control policy), an error message appears, and
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settings must be changed before proceeding.
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Doing so opens a new |RfQ| form. On the blank |RfQ| form, add a :guilabel:`Vendor`, and click
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:guilabel:`Add a line` under the :guilabel:`Product` tab to add products to the order.
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To create and manage vendor bills on receipts using the *received quantities* bill control policy,
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first go to :menuselection:`Purchase app --> Configuration --> Settings`, scroll down to the
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:guilabel:`Invoicing` section, and select :guilabel:`Received quantities` under :guilabel:`Bill
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Control`. Then, click :guilabel:`Save` to save changes.
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On the product line, select a product from the drop-down menu in the :guilabel:`Product` field, and
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enter the quantity to order in the :guilabel:`Quantity` field.
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Next, go to the :menuselection:`Purchase` app, and click :guilabel:`Create` to create a new
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:abbr:`RFQ (request for quotation)`. Doing so reveals a blank :abbr:`RFQ (request for quotation)`
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detail form.
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Once ready, click :guilabel:`Confirm Order` to confirm the |RfQ| into a |PO|.
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On the blank detail form, add a vendor to the :abbr:`RFQ (request for quotation)` in the
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:guilabel:`Vendor` field, and add products to the :guilabel:`Product` lines by clicking
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:guilabel:`Add a line`.
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.. important::
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When using the *Received quantities* control policy, clicking :guilabel:`Create Bill` before any
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products are received causes an :guilabel:`Invalid Operation` pop-up window to appear.
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Then, confirm the :abbr:`RFQ (request for quotation)` by clicking the :guilabel:`Confirm Order`
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button above the detail form. Doing so turns the :abbr:`RFQ (request for quotation)` into a purchase
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order.
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Finally, click the :guilabel:`Create Bill` button to create a bill for the purchase order.
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.. note::
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Clicking :guilabel:`Create Bill` before any products have been received will cause a
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:guilabel:`User Error` pop-up message to appear. The :guilabel:`Purchase Order` requires the
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receipt of at least partial quantity of the items included on the order to create a vendor bill.
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Odoo requires at least partial quantities of the items included in the |PO| to be received in
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order to create a vendor bill.
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.. image:: manage/manage-user-error-popup.png
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:align: center
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:alt: User error pop-up for received quantities control policy.
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Next, click the :guilabel:`Receipt` smart button to view the warehouse receipt form.
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On the |PO|, click the :guilabel:`Receipt` smart button to view the warehouse receipt form.
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On the warehouse receipt form, click :menuselection:`Validate --> Apply` to mark the
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:guilabel:`Done` quantities. Then, navigate back to the :menuselection:`Purchase Order` (via the
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breadcrumbs), and click the :guilabel:`Create Bill` button on the purchase order form.
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From here, click :guilabel:`Validate` to register the :guilabel:`Done` (received) quantities.
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Doing so reveals the :guilabel:`Draft Bill` for the purchase order. On the :guilabel:`Draft Bill`,
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click the :guilabel:`Edit` button, and add a :guilabel:`Bill Date`. If needed, add additional
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products to the :guilabel:`Product` lines by clicking :guilabel:`Add a line`.
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Then, navigate back to the |PO|, via the breadcrumb, and click :guilabel:`Create Bill`.
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Next, click the :guilabel:`Confirm` button to confirm the :guilabel:`Draft Bill`.
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This opens a :guilabel:`Vendor Bill` form in the :guilabel:`Draft` state. From here, add a billing
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date in the :guilabel:`Bill Date` field. Once ready, confirm the bill by clicking
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:guilabel:`Confirm` at the top of the draft.
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.. note::
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Since the bill control policy is set to *received quantities*, the draft bill can **only** be
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confirmed when at least some of the quantities are received.
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Once a payment has been received, click :guilabel:`Register Payment` at the top of the bill to
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record it.
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On the new :guilabel:`Vendor Bill`, add a :guilabel:`Bill Reference` number, which can be used to
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match the bill with additional documents (such as the :abbr:`PO (purchase order)`). Then, click
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:menuselection:`Confirm --> Register Payment`. Doing so causes a pop-up to appear, wherein a payment
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:guilabel:`Journal` can be chosen; a :guilabel:`Payment Method` selected; and a :guilabel:`Recipient
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Bank Account` can be selected from a drop-down menu.
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Doing so causes a :guilabel:`Register Payment` pop-up window to appear, wherein a payment
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:guilabel:`Journal` can be chosen, and a :guilabel:`Payment Method` selected.
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Additionally, the bill :guilabel:`Amount`, :guilabel:`Payment Date`, and :guilabel:`Memo`
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(:dfn:`Reference Number`) can be changed from this pop-up. Once ready, click :guilabel:`Create
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Payment` to finish creating the vendor bill. Doing so causes a green **In Payment** banner to
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display on the :abbr:`RFQ (request for quotation)` form.
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(:dfn:`Reference Number`) can be edited from this pop-up window, if necessary.
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Create and manage vendor bills in Accounting
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============================================
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Once ready, click :guilabel:`Create Payment` to finish creating the :guilabel:`Vendor Bill`. Doing
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so displays a green :guilabel:`Paid` banner on the |RfQ| form.
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Vendor bills can also be created directly from the *Accounting* app, **without** having to create a
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purchase order first. To do this, go to :menuselection:`Accounting app --> Vendors --> Bills`, and
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click :guilabel:`Create`. Doing so reveals a blank vendor bill detail form.
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Manage vendor bills in Accounting
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=================================
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On this blank vendor bill detail form, add a vendor in the :guilabel:`Vendor` field, and add
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products to the :guilabel:`Product` lines (under the :guilabel:`Invoice Lines` tab), by clicking
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:guilabel:`Add a line`. Then, add a bill date in the :guilabel:`Bill Date` field, and any other
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necessary information. Finally, click :guilabel:`Confirm` to confirm the bill.
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Vendor bills can also be created directly from the *Accounting* app, without having to create a
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purchase order first.
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From here, click the :guilabel:`Journal Items` tab to view (or change) the :guilabel:`Account`
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journals that were populated based on the configuration on the corresponding :guilabel:`Vendor` and
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Navigate to :menuselection:`Accounting app --> Vendors --> Bills`, and click :guilabel:`New`. Doing
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so reveals a blank :guilabel:`Vendor Bill` form.
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Add a vendor in the :guilabel:`Vendor` field. Then, in the :guilabel:`Invoice Lines` tab, click
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:guilabel:`Add a line` to add products.
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Select a product from the drop-down menu in the :guilabel:`Product` field, and enter the quantity to
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order in the :guilabel:`Quantity` field.
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Select a :guilabel:`Bill Date`, and configure any other necessary information. Finally, click
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:guilabel:`Confirm` to confirm the bill.
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Once confirmed, click the :guilabel:`Journal Items` tab to view the :guilabel:`Account` journals.
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These journals are populated based on the configuration on the corresponding :guilabel:`Vendor` and
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:guilabel:`Product` forms.
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Then, click :guilabel:`Add Credit Note` or :guilabel:`Add Debit Note` to add credit or debit notes
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to the bill. Or, add a :guilabel:`Bill Reference` number (while in :guilabel:`Edit` mode).
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If necessary, click :guilabel:`Credit Note` to add a credit note to the bill. Additionally, a
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:guilabel:`Bill Reference` number can be added.
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Then, when ready, click :menuselection:`Register Payment --> Create Payment` to complete the
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:guilabel:`Vendor Bill`.
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Once ready, click :guilabel:`Register Payment`, followed by :guilabel:`Create Payment`, to complete
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the :guilabel:`Vendor Bill`.
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.. tip::
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To tie the draft bill to an existing purchase order, click the drop-down menu next to
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:guilabel:`Auto-Complete`, and select a :abbr:`PO (purchase order)` from the menu. The bill will
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auto-populate with the information from the :abbr:`PO (purchase order)`.
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To link a draft bill to an existing purchase order, click the drop-down menu next to
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:guilabel:`Auto-Complete` *before* clicking :guilabel:`Confirm`, and select a |PO| from the menu.
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The bill auto-populates with the information from the chosen |PO|.
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.. image:: manage/manage-auto-complete.png
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:align: center
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@ -219,30 +204,37 @@ Batch billing
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Vendor bills can be processed and managed in batches in the *Accounting* app.
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To do this, go to :menuselection:`Accounting app --> Vendors --> Bills`. Then, click the
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:guilabel:`checkbox` at the top left of the page, beside the :guilabel:`Number` column, under the
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:guilabel:`Create` button. This selects all existing vendor bills with a :guilabel:`Posted` or
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:guilabel:`Draft` :guilabel:`Status`.
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Navigate to :menuselection:`Accounting app --> Vendors --> Bills`. Then, click the
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:guilabel:`checkbox` in the top-left corner, beside the :guilabel:`Number` column, under the
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:guilabel:`New` button.
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From here, click the :guilabel:`Action` gear icon to export, delete, or send & print the bills;
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click the :guilabel:`Print` icon to print the invoices or bills; or click :guilabel:`Register
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Payment` to create and process payments for multiple vendor bills at once.
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This selects all existing vendor bills with a :guilabel:`Status` of :guilabel:`Posted` or
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:guilabel:`Draft`.
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When :guilabel:`Register Payment` is selected, a pop-up appears. In this pop-up window, select the
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appropriate journal in the :guilabel:`Journal` field, choose a payment date in the
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:guilabel:`Payment Date` field, and choose a :guilabel:`Payment Method`. There is also the option to
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:guilabel:`Group Payments` on this pop-up, as well.
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Click the :icon:`fa-print` :guilabel:`Print` button to print the selected invoices or bills.
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When ready, click the :guilabel:`Create Payment` button, which creates a list of journal entries on
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a separate page. This list of journal entries are all tied to their appropriate vendor bills.
|
||||
Click :guilabel:`Register Payment` to create and process payments for multiple vendor bills at once.
|
||||
|
||||
.. note::
|
||||
Only payments with their :guilabel:`Status` listed as :guilabel:`Posted` can be billed in
|
||||
batches. Payments in the :guilabel:`Draft` stage **must** be posted before they can be included
|
||||
in a batch billing.
|
||||
|
||||
Clicking :guilabel:`Register Payment` opens a :guilabel:`Register Payment` pop-up window. From the
|
||||
pop-up window, select the :guilabel:`Journal` the bills should post to, choose a :guilabel:`Payment
|
||||
Date`, and select a :guilabel:`Payment Method`.
|
||||
|
||||
There is also the option to :guilabel:`Group Payments` together from this pop-up window, as well. If
|
||||
this checkbox is ticked, only one payment is created, instead of one per bill. This option only
|
||||
appears if the *Batch Payments* feature is enabled in the settings of the
|
||||
:menuselection:`Accounting` app.
|
||||
|
||||
Once ready, click the :guilabel:`Create Payment` button. This creates a list of journal entries on a
|
||||
separate page. The journal entries on this list are all tied to their corresponding vendor bills.
|
||||
|
||||
.. image:: manage/manage-batch-billing.png
|
||||
:align: center
|
||||
:alt: Batch billing register payment pop-up window.
|
||||
|
||||
.. note::
|
||||
The :guilabel:`Register Payment` option for vendor bills in batches will only work for journal
|
||||
entries whose :guilabel:`Status` is set to :guilabel:`Posted`.
|
||||
|
||||
.. seealso::
|
||||
:doc:`control_bills`
|
||||
|
Loading…
Reference in New Issue
Block a user