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Merge pull request #43226 from aerele/reconcile-after-period-closing
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fix: map rows on journal entry by validating account, party, debit and credit value
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ruthra-kumar committed Sep 17, 2024
2 parents e29e1e4 + 720a330 commit 0633484
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5 changes: 5 additions & 0 deletions erpnext/accounts/doctype/journal_entry/journal_entry.py
Original file line number Diff line number Diff line change
Expand Up @@ -195,6 +195,11 @@ def on_submit(self):
self.update_booked_depreciation()

def on_update_after_submit(self):
# Flag will be set on Reconciliation
# Reconciliation tool will anyways repost ledger entries. So, no need to check and do implicit repost.
if self.flags.get("ignore_reposting_on_reconciliation"):
return

self.needs_repost = self.check_if_fields_updated(fields_to_check=[], child_tables={"accounts": []})
if self.needs_repost:
self.validate_for_repost()
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Original file line number Diff line number Diff line change
Expand Up @@ -5,14 +5,15 @@
import frappe
from frappe import qb
from frappe.tests.utils import FrappeTestCase, change_settings
from frappe.utils import add_days, flt, nowdate
from frappe.utils import add_days, add_years, flt, getdate, nowdate, today

from erpnext import get_default_cost_center
from erpnext.accounts.doctype.payment_entry.payment_entry import get_payment_entry
from erpnext.accounts.doctype.payment_entry.test_payment_entry import create_payment_entry
from erpnext.accounts.doctype.purchase_invoice.test_purchase_invoice import make_purchase_invoice
from erpnext.accounts.doctype.sales_invoice.test_sales_invoice import create_sales_invoice
from erpnext.accounts.party import get_party_account
from erpnext.accounts.utils import get_fiscal_year
from erpnext.buying.doctype.purchase_order.test_purchase_order import create_purchase_order
from erpnext.stock.doctype.item.test_item import create_item

Expand Down Expand Up @@ -1845,6 +1846,78 @@ def test_cr_note_payment_limit_filter(self):
self.assertEqual(len(pr.invoices), 1)
self.assertEqual(len(pr.payments), 1)

def test_reconciliation_on_closed_period_payment(self):
# create backdated fiscal year
first_fy_start_date = frappe.db.get_value("Fiscal Year", {"disabled": 0}, "min(year_start_date)")
prev_fy_start_date = add_years(first_fy_start_date, -1)
prev_fy_end_date = add_days(first_fy_start_date, -1)
create_fiscal_year(
company=self.company, year_start_date=prev_fy_start_date, year_end_date=prev_fy_end_date
)

# make journal entry for previous year
je_1 = frappe.new_doc("Journal Entry")
je_1.posting_date = add_days(prev_fy_start_date, 20)
je_1.company = self.company
je_1.user_remark = "test"
je_1.set(
"accounts",
[
{
"account": self.debit_to,
"cost_center": self.cost_center,
"party_type": "Customer",
"party": self.customer,
"debit_in_account_currency": 0,
"credit_in_account_currency": 1000,
},
{
"account": self.bank,
"cost_center": self.sub_cc.name,
"credit_in_account_currency": 0,
"debit_in_account_currency": 500,
},
{
"account": self.cash,
"cost_center": self.sub_cc.name,
"credit_in_account_currency": 0,
"debit_in_account_currency": 500,
},
],
)
je_1.submit()

# make period closing voucher
pcv = make_period_closing_voucher(
company=self.company, cost_center=self.cost_center, posting_date=prev_fy_end_date
)
pcv.reload()
# check if period closing voucher is completed
self.assertEqual(pcv.gle_processing_status, "Completed")

# make journal entry for active year
je_2 = self.create_journal_entry(
acc1=self.debit_to, acc2=self.income_account, amount=1000, posting_date=today()
)
je_2.accounts[0].party_type = "Customer"
je_2.accounts[0].party = self.customer
je_2.submit()

# process reconciliation on closed period payment
pr = self.create_payment_reconciliation(party_is_customer=True)
pr.from_invoice_date = pr.to_invoice_date = pr.from_payment_date = pr.to_payment_date = None
pr.get_unreconciled_entries()
invoices = [invoice.as_dict() for invoice in pr.invoices]
payments = [payment.as_dict() for payment in pr.payments]
pr.allocate_entries(frappe._dict({"invoices": invoices, "payments": payments}))
pr.reconcile()
je_1.reload()
je_2.reload()

# check whether the payment reconciliation is done on the closed period
self.assertEqual(pr.get("invoices"), [])
self.assertEqual(pr.get("payments"), [])


def make_customer(customer_name, currency=None):
if not frappe.db.exists("Customer", customer_name):
Expand Down Expand Up @@ -1872,3 +1945,61 @@ def make_supplier(supplier_name, currency=None):
return supplier.name
else:
return supplier_name


def create_fiscal_year(company, year_start_date, year_end_date):
fy_docname = frappe.db.exists(
"Fiscal Year", {"year_start_date": year_start_date, "year_end_date": year_end_date}
)
if not fy_docname:
fy_doc = frappe.get_doc(
{
"doctype": "Fiscal Year",
"year": f"{getdate(year_start_date).year}-{getdate(year_end_date).year}",
"year_start_date": year_start_date,
"year_end_date": year_end_date,
"companies": [{"company": company}],
}
).save()
return fy_doc
else:
fy_doc = frappe.get_doc("Fiscal Year", fy_docname)
if not frappe.db.exists("Fiscal Year Company", {"parent": fy_docname, "company": company}):
fy_doc.append("companies", {"company": company})
fy_doc.save()
return fy_doc


def make_period_closing_voucher(company, cost_center, posting_date=None, submit=True):
from erpnext.accounts.doctype.account.test_account import create_account

parent_account = frappe.db.get_value(
"Account", {"company": company, "account_name": "Current Liabilities", "is_group": 1}, "name"
)
surplus_account = create_account(
account_name="Reserve and Surplus",
is_group=0,
company=company,
root_type="Liability",
report_type="Balance Sheet",
account_currency="INR",
parent_account=parent_account,
doctype="Account",
)
pcv = frappe.get_doc(
{
"doctype": "Period Closing Voucher",
"transaction_date": posting_date or today(),
"posting_date": posting_date or today(),
"company": company,
"fiscal_year": get_fiscal_year(posting_date or today(), company=company)[0],
"cost_center": cost_center,
"closing_account_head": surplus_account,
"remarks": "test",
}
)
pcv.insert()
if submit:
pcv.submit()

return pcv
2 changes: 2 additions & 0 deletions erpnext/accounts/utils.py
Original file line number Diff line number Diff line change
Expand Up @@ -685,6 +685,8 @@ def update_reference_in_journal_entry(d, journal_entry, do_not_save=False):

# will work as update after submit
journal_entry.flags.ignore_validate_update_after_submit = True
# Ledgers will be reposted by Reconciliation tool
journal_entry.flags.ignore_reposting_on_reconciliation = True
if not do_not_save:
journal_entry.save(ignore_permissions=True)

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