Hide field ITSA

This commit is contained in:
2026-05-10 19:30:28 +02:00
parent a23aac4527
commit 4d5bbc5523
6 changed files with 242 additions and 42 deletions

View File

@@ -629,6 +629,8 @@ Owner technique: `a completer`
- Intent: eviter qu'un fee cree sur un lot virtuel reste calcule sur la
quantite contractuelle totale apres creation de lots physiques.
- Detail implementation / PnL:
- voir `modules/purchase_trade/docs/fees.md`
- Description:
- Le lien `fee.lots` avec le lot virtuel est conserve comme fallback.
- Des qu'un fee possede au moins un lot physique dans `fee.lots`, les lots

View File

@@ -0,0 +1,51 @@
# Fees - regles de synchronisation PnL
## PnL apres ajout ou modification d'un fee
Un changement sur un `fee.fee` doit relancer le PnL des lignes commerciales
impactees, limite aux types de valuation fees:
- `pur. fee`
- `sale fee`
- `shipment fee`
- `line fee`
Le recalcul utilise `valuation_type = 'fees'` pour ne pas reecrire les lignes de
prix, derives ou MTM.
## Lignes impactees
Les lignes a recalculer sont retrouvees depuis les lots lies au fee:
- `lot.line` pour la `purchase.line`
- `lot.sale_line` pour la `sale.line`
Pour un fee de `stock.shipment.in`, si le lien direct par `fee.lots` ne suffit
pas, le shipment sert de fallback:
- `shipment.incoming_moves[].lot`
- `shipment.lotqt[].lot_p`
- `shipment.lotqt[].lot_s`
Ce fallback couvre les shipments encore ouverts ou le fee est pose sur des
`lot.qt` avant creation de lots physiques.
## Lots effectifs du fee
Le PnL des fees suit la regle BR-PT-021:
- tant qu'il n'existe que des lots virtuels, le fee valorise l'ouvert;
- des qu'un lot physique est lie au fee, les lots physiques deviennent la base
effective;
- le lien virtuel peut rester present comme fallback.
## Points de declenchement
Le recalcul est declenche apres:
- creation, modification ou suppression d'un `fee.fee`;
- creation, modification ou suppression d'un lien `fee.lots`.
`stock.shipment.in.validate()` recalcule deja le PnL depuis les lots du
shipment, mais ce workflow ne couvre pas les changements de fee saisis apres
coup dans l'onglet Fees.

View File

@@ -449,18 +449,10 @@ class Fee(ModelSQL,ModelView):
if lqts:
return round(self.price * Decimal(lqts[0].lot_p.get_lot_price()) / 100 * lqts[0].lot_quantity * sign,2)
@classmethod
def write(cls, *args):
super().write(*args)
fees = sum(args[::2], [])
for fee in fees:
fee.adjust_purchase_values()
@classmethod
def copy(cls, fees, default=None):
if default is None:
default = {}
@classmethod
def copy(cls, fees, default=None):
if default is None:
default = {}
else:
default = default.copy()
@@ -480,9 +472,9 @@ class Fee(ModelSQL,ModelView):
return qt
def adjust_purchase_values(self):
Purchase = Pool().get('purchase.purchase')
PurchaseLine = Pool().get('purchase.line')
logger.info("ADJUST_PURCHASE_VALUES:%s",self)
Purchase = Pool().get('purchase.purchase')
PurchaseLine = Pool().get('purchase.line')
logger.info("ADJUST_PURCHASE_VALUES:%s",self)
if self.type == 'ordered' and self.state == 'not invoiced' and self.purchase:
logger.info("ADJUST_PURCHASE_VALUES_QT:%s",self.purchase.lines[0].quantity)
if self.mode == 'lumpsum':
@@ -502,14 +494,81 @@ class Fee(ModelSQL,ModelView):
PurchaseLine.save([self.purchase.lines[0]])
if self.supplier != self.purchase.party:
self.purchase.party = self.supplier
if self.currency != self.purchase.currency:
self.purchase.currency = self.currency
Purchase.save([self.purchase])
# @classmethod
# def validate(cls, fees):
# super(Fee, cls).validate(fees)
if self.currency != self.purchase.currency:
self.purchase.currency = self.currency
Purchase.save([self.purchase])
@classmethod
def _add_lot_pnl_lines(cls, lot, purchase_lines, sale_lines):
if not lot:
return
if getattr(lot, 'line', None):
purchase_lines[lot.line.id] = lot.line
if getattr(lot, 'sale_line', None):
sale_lines[lot.sale_line.id] = lot.sale_line
@classmethod
def _collect_pnl_lines(cls, fees=None, lots=None):
purchase_lines = {}
sale_lines = {}
for lot in lots or []:
cls._add_lot_pnl_lines(lot, purchase_lines, sale_lines)
for fee in fees or []:
if getattr(fee, 'line', None):
purchase_lines[fee.line.id] = fee.line
if getattr(fee, 'sale_line', None):
sale_lines[fee.sale_line.id] = fee.sale_line
for lot in getattr(fee, 'lots', None) or []:
cls._add_lot_pnl_lines(lot, purchase_lines, sale_lines)
shipment = getattr(fee, 'shipment_in', None)
if not shipment:
continue
for move in getattr(shipment, 'incoming_moves', None) or []:
cls._add_lot_pnl_lines(
getattr(move, 'lot', None), purchase_lines, sale_lines)
for lqt in getattr(shipment, 'lotqt', None) or []:
cls._add_lot_pnl_lines(
getattr(lqt, 'lot_p', None), purchase_lines, sale_lines)
cls._add_lot_pnl_lines(
getattr(lqt, 'lot_s', None), purchase_lines, sale_lines)
return purchase_lines.values(), sale_lines.values()
@classmethod
def _regenerate_fee_pnl(cls, fees=None, lots=None):
purchase_lines, sale_lines = cls._collect_pnl_lines(fees, lots)
cls._regenerate_fee_pnl_for_lines(purchase_lines, sale_lines)
@classmethod
def _regenerate_fee_pnl_for_lines(cls, purchase_lines, sale_lines):
purchase_lines = cls._unique_records(purchase_lines)
sale_lines = cls._unique_records(sale_lines)
if not purchase_lines and not sale_lines:
return
Valuation = Pool().get('valuation.valuation')
for line in purchase_lines:
Valuation.generate(line, valuation_type='fees')
for sale_line in sale_lines:
Valuation.generate_from_sale_line(
sale_line, valuation_type='fees')
@staticmethod
def _unique_records(records):
unique = {}
for record in records:
if not record:
continue
unique[getattr(record, 'id', id(record))] = record
return list(unique.values())
# @classmethod
# def validate(cls, fees):
# super(Fee, cls).validate(fees)
@classmethod
def create(cls, vlist):
vlist = [x.copy() for x in vlist]
@@ -552,14 +611,24 @@ class Fee(ModelSQL,ModelView):
FeeLots.save([fl])
qt_sh += l.get_current_quantity_converted()
unit = l.line.unit
else:
lqts = LotQt.search(['lot_shipment_in','=',fee.shipment_in.id])
if lqts:
for l in lqts:
qt_sh += l.lot_p.get_current_quantity_converted()
unit = l.lot_p.line.unit
else:
raise UserError("You cannot add fee on received shipment!")
else:
lqts = LotQt.search(['lot_shipment_in','=',fee.shipment_in.id])
if lqts:
for l in lqts:
if l.lot_p:
exist = FeeLots.search([
('fee','=',fee.id),
('lot','=',l.lot_p.id),
])
if not exist:
fl = FeeLots()
fl.fee = fee.id
fl.lot = l.lot_p.id
FeeLots.save([fl])
qt_sh += l.lot_p.get_current_quantity_converted()
unit = l.lot_p.line.unit
else:
raise UserError("You cannot add fee on received shipment!")
type = fee.type
if type == 'ordered':
@@ -615,13 +684,35 @@ class Fee(ModelSQL,ModelView):
account_move = move._get_account_stock_move_fee(fee)
AccountMove.save([account_move])
else:
AccountMove = Pool().get('account.move')
account_move = fee._get_account_move_fee(fl.lot)
AccountMove.save([account_move])
return fees
def _get_account_move_fee(self,lot,in_out='in',amt = None):
AccountMove = Pool().get('account.move')
account_move = fee._get_account_move_fee(fl.lot)
AccountMove.save([account_move])
cls._regenerate_fee_pnl(fees=fees)
return fees
@classmethod
def write(cls, *args):
old_purchase_lines, old_sale_lines = cls._collect_pnl_lines(
fees=sum(args[::2], []))
old_purchase_lines = list(old_purchase_lines)
old_sale_lines = list(old_sale_lines)
super().write(*args)
fees = sum(args[::2], [])
for fee in fees:
fee.adjust_purchase_values()
purchase_lines, sale_lines = cls._collect_pnl_lines(fees=fees)
cls._regenerate_fee_pnl_for_lines(
old_purchase_lines + list(purchase_lines),
old_sale_lines + list(sale_lines))
@classmethod
def delete(cls, fees):
purchase_lines, sale_lines = cls._collect_pnl_lines(fees=fees)
super().delete(fees)
cls._regenerate_fee_pnl_for_lines(purchase_lines, sale_lines)
def _get_account_move_fee(self,lot,in_out='in',amt = None):
pool = Pool()
AccountMove = pool.get('account.move')
Date = pool.get('ir.date')
@@ -726,10 +817,16 @@ class FeeLots(ModelSQL,ModelView):
for fee in Fee.browse(list(fee_ids)):
fee.sync_quantity_from_lots()
fee.adjust_purchase_values()
Fee._regenerate_fee_pnl(
fees=Fee.browse(list(fee_ids)),
lots=[record.lot for record in records if getattr(record, 'lot', None)])
return records
@classmethod
def write(cls, *args):
old_lots = [
record.lot for record in sum(args[::2], [])
if getattr(record, 'lot', None)]
super().write(*args)
records = sum(args[::2], [])
Fee = Pool().get('fee.fee')
@@ -738,16 +835,24 @@ class FeeLots(ModelSQL,ModelView):
for fee in Fee.browse(list(fee_ids)):
fee.sync_quantity_from_lots()
fee.adjust_purchase_values()
Fee._regenerate_fee_pnl(
fees=Fee.browse(list(fee_ids)),
lots=old_lots + [
record.lot for record in records
if getattr(record, 'lot', None)])
@classmethod
def delete(cls, records):
Fee = Pool().get('fee.fee')
fee_ids = {
record.fee.id for record in records if getattr(record, 'fee', None)}
lots = [record.lot for record in records if getattr(record, 'lot', None)]
super().delete(records)
for fee in Fee.browse(list(fee_ids)):
fee.sync_quantity_from_lots()
fee.adjust_purchase_values()
Fee._regenerate_fee_pnl(
fees=Fee.browse(list(fee_ids)), lots=lots)
class FeeReport(
ModelSQL, ModelView):

View File

@@ -308,13 +308,14 @@ class Purchase(metaclass=PoolMeta):
company_visible = fields.Function(
fields.Boolean("Visible"), 'on_change_with_company_visible')
lc_date = fields.Date("LC date")
product_origin = fields.Char("Origin")
product_origin = fields.Char(
"Origin", states={'invisible': Eval('company_visible'),})
@fields.depends('company', '_parent_company.party')
def on_change_with_company_visible(self, name=None):
return bool(
self.company and self.company.party
and self.company.party.name == 'MELYA')
and self.company.party.name in {'MELYA', 'ITSA'})
def _get_default_bank_account(self):
if not self.party or not self.party.bank_accounts:

View File

@@ -272,13 +272,14 @@ class Sale(metaclass=PoolMeta):
company_visible = fields.Function(
fields.Boolean("Visible"), 'on_change_with_company_visible')
lc_date = fields.Date("LC date")
product_origin = fields.Char("Origin")
product_origin = fields.Char(
"Origin", states={'invisible': Eval('company_visible'),})
@fields.depends('company', '_parent_company.party')
def on_change_with_company_visible(self, name=None):
return bool(
self.company and self.company.party
and self.company.party.name == 'MELYA')
and self.company.party.name in {'MELYA', 'ITSA'})
def _get_default_bank_account(self):
if not self.party or not self.party.bank_accounts:

View File

@@ -272,6 +272,46 @@ class PurchaseTradeTestCase(ModuleTestCase):
self.assertEqual(fee.quantity, Decimal('40.00000'))
save.assert_called_once_with([fee])
def test_fee_pnl_regeneration_uses_shipment_lotqt_purchase_line(self):
'fee pnl regeneration follows shipment lot.qt back to purchase line'
Fee = Pool().get('fee.fee')
purchase_line = Mock(id=1)
lot_p = Mock(line=purchase_line, sale_line=None)
shipment = Mock(
incoming_moves=[],
lotqt=[Mock(lot_p=lot_p, lot_s=None)],
)
fee = Mock(line=None, sale_line=None, lots=[], shipment_in=shipment)
valuation = Mock()
with patch('trytond.modules.purchase_trade.fee.Pool') as PoolMock:
PoolMock.return_value.get.return_value = valuation
Fee._regenerate_fee_pnl(fees=[fee])
valuation.generate.assert_called_once_with(
purchase_line, valuation_type='fees')
valuation.generate_from_sale_line.assert_not_called()
def test_fee_pnl_regeneration_updates_purchase_and_sale_lot_lines(self):
'fee pnl regeneration follows physical fee lots to purchase and sale'
Fee = Pool().get('fee.fee')
purchase_line = Mock(id=1)
sale_line = Mock(id=2)
lot = Mock(line=purchase_line, sale_line=sale_line)
fee = Mock(line=None, sale_line=None, lots=[lot], shipment_in=None)
valuation = Mock()
with patch('trytond.modules.purchase_trade.fee.Pool') as PoolMock:
PoolMock.return_value.get.return_value = valuation
Fee._regenerate_fee_pnl(fees=[fee])
valuation.generate.assert_called_once_with(
purchase_line, valuation_type='fees')
valuation.generate_from_sale_line.assert_called_once_with(
sale_line, valuation_type='fees')
def test_purchase_fee_pnl_ignores_virtual_fee_lot_when_physical_exists(self):
'purchase fee pnl uses physical fee lots instead of the residual virtual'
Valuation = Pool().get('valuation.valuation')