Commit ed21149a authored by Jérome Perrin's avatar Jérome Perrin

Accounting: Fix bug with closing period when all accounts have 0 balance

parent 7b917688
...@@ -159,6 +159,16 @@ for section in section_list:\n ...@@ -159,6 +159,16 @@ for section in section_list:\n
portal_type=portal.getPortalAccountingMovementTypeList(),\n portal_type=portal.getPortalAccountingMovementTypeList(),\n
at_date=at_date.latestTime(),)\n at_date=at_date.latestTime(),)\n
\n \n
# Calculate the sum of profit and loss accounts balances for that period.\n
# This must match the difference between assets, liability and equity accounts.\n
profit_and_loss_accounts_balance = portal.portal_simulation.getInventoryAssetPrice(\n
from_date=context.getStartDate(),\n
node_category=profit_and_loss_node_category_list,\n
**inventory_param_dict)\n
selected_profit_and_loss_account_balance = portal.portal_simulation.getInventoryAssetPrice(\n
node=profit_and_loss_account,\n
**inventory_param_dict)\n
\n
section_currency_uid = context.getParentValue().getPriceCurrencyUid()\n section_currency_uid = context.getParentValue().getPriceCurrencyUid()\n
\n \n
profit_and_loss_quantity = 0\n profit_and_loss_quantity = 0\n
...@@ -300,8 +310,26 @@ for section in section_list:\n ...@@ -300,8 +310,26 @@ for section in section_list:\n
\n \n
if balance_transaction is None:\n if balance_transaction is None:\n
# we did not have any transaction for this section\n # we did not have any transaction for this section\n
\n
# One possible corner case is that we have only transactions that brings\n
# the balance of all balance sheets accounts to 0. In this case we want to\n
# create a balance transaction that notes that the current balance of profit\n
# and loss account is 0, so that the delta gets indexed. \n
if profit_and_loss_accounts_balance:\n
balance_transaction = createBalanceTransaction(section)\n
balance_transaction.newContent(\n
activate_kw=activate_kw,\n
portal_type=\'Balance Transaction Line\',\n
destination=profit_and_loss_account,\n
quantity=0)\n
balance_transaction.stop()\n
balance_transaction.deliver()\n
continue\n continue\n
\n \n
assert roundCurrency(profit_and_loss_accounts_balance, section_currency) == (\n
- roundCurrency(selected_profit_and_loss_account_balance, section_currency)\n
- roundCurrency(profit_and_loss_quantity, section_currency))\n
\n
# add a final line for p&l\n # add a final line for p&l\n
balance_transaction.newContent(\n balance_transaction.newContent(\n
id=\'%03d\' % (line_count + 1),\n id=\'%03d\' % (line_count + 1),\n
......
1571 1572
\ No newline at end of file \ No newline at end of file
...@@ -1854,6 +1854,62 @@ class TestClosingPeriod(AccountingTestCase): ...@@ -1854,6 +1854,62 @@ class TestClosingPeriod(AccountingTestCase):
balance_transaction.reindexObject() balance_transaction.reindexObject()
self.tic() self.tic()
def test_BalanceTransactionWhenProfitAndLossBalanceIsZero(self):
# The case of a balance transaction after all accounts have a 0 balance.
period1 = self.section.newContent(portal_type='Accounting Period')
period1.setStartDate(DateTime(2006, 1, 1))
period1.setStopDate(DateTime(2006, 12, 31))
period2 = self.section.newContent(portal_type='Accounting Period')
period2.setStartDate(DateTime(2007, 1, 1))
period2.setStopDate(DateTime(2007, 12, 31))
pl = self.portal.account_module.newContent(
portal_type='Account',
account_type='equity')
transaction1 = self._makeOne(
start_date=DateTime(2006, 1, 1),
portal_type='Sale Invoice Transaction',
destination_section_value=self.organisation_module.client_1,
simulation_state='delivered',
lines=(dict(source_value=self.account_module.receivable,
source_debit=100),
dict(source_value=self.account_module.goods_sales,
source_credit=100)))
self.tic()
period1.AccountingPeriod_createBalanceTransaction(
profit_and_loss_account=pl.getRelativeUrl())
year_1_accounting_transaction_list = self.accounting_module.contentValues()
self.assertEqual(2, len(year_1_accounting_transaction_list))
self.tic()
transaction2 = self._makeOne(
start_date=DateTime(2007, 1, 1),
portal_type='Sale Invoice Transaction',
destination_section_value=self.organisation_module.client_1,
simulation_state='delivered',
lines=(dict(source_value=self.account_module.receivable,
source_debit=-100),
dict(source_value=self.account_module.goods_sales,
source_credit=-100)))
self.tic()
period2.AccountingPeriod_createBalanceTransaction(
profit_and_loss_account=pl.getRelativeUrl())
accounting_transaction_list = self.accounting_module.contentValues()
self.assertEqual(4, len(accounting_transaction_list))
self.tic()
balance_transaction, = [t for t in accounting_transaction_list if t not in
year_1_accounting_transaction_list and t != transaction2]
# Maybe we want to add line for each account in that case ?
line, = balance_transaction.contentValues()
self.assertEquals(line.getDestinationValue(), pl)
self.assertEquals(line.getQuantity(), 0)
self.assertEquals(line.getDestinationTotalAssetPrice(), None)
def test_InventoryIndexingNodeAndMirrorSection(self): def test_InventoryIndexingNodeAndMirrorSection(self):
# Balance Transactions are indexed as Inventories. # Balance Transactions are indexed as Inventories.
transaction1 = self._makeOne( transaction1 = self._makeOne(
......
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