odoo/addons/point_of_sale/point_of_sale.py

1462 lines
73 KiB
Python

# -*- coding: utf-8 -*-
##############################################################################
#
# OpenERP, Open Source Management Solution
# Copyright (C) 2004-2010 Tiny SPRL (<http://tiny.be>).
#
# This program is free software: you can redistribute it and/or modify
# it under the terms of the GNU Affero General Public License as
# published by the Free Software Foundation, either version 3 of the
# License, or (at your option) any later version.
#
# This program is distributed in the hope that it will be useful,
# but WITHOUT ANY WARRANTY; without even the implied warranty of
# MERCHANTABILITY or FITNESS FOR A PARTICULAR PURPOSE. See the
# GNU Affero General Public License for more details.
#
# You should have received a copy of the GNU Affero General Public License
# along with this program. If not, see <http://www.gnu.org/licenses/>.
#
##############################################################################
import logging
import time
from openerp import tools
from openerp.osv import fields, osv
from openerp.tools.translate import _
import openerp.addons.decimal_precision as dp
import openerp.addons.product.product
_logger = logging.getLogger(__name__)
class pos_config(osv.osv):
_name = 'pos.config'
POS_CONFIG_STATE = [
('active', 'Active'),
('inactive', 'Inactive'),
('deprecated', 'Deprecated')
]
def _get_currency(self, cr, uid, ids, fieldnames, args, context=None):
result = dict.fromkeys(ids, False)
for pos_config in self.browse(cr, uid, ids, context=context):
if pos_config.journal_id:
currency_id = pos_config.journal_id.currency.id or pos_config.journal_id.company_id.currency_id.id
else:
currency_id = self.pool['res.users'].browse(cr, uid, uid, context=context).company_id.currency_id.id
result[pos_config.id] = currency_id
return result
_columns = {
'name' : fields.char('Point of Sale Name', select=1,
required=True, help="An internal identification of the point of sale"),
'journal_ids' : fields.many2many('account.journal', 'pos_config_journal_rel',
'pos_config_id', 'journal_id', 'Available Payment Methods',
domain="[('journal_user', '=', True ), ('type', 'in', ['bank', 'cash'])]",),
'picking_type_id': fields.many2one('stock.picking.type', 'Picking Type'),
'stock_location_id': fields.many2one('stock.location', 'Stock Location', domain=[('usage', '=', 'internal')], required=True),
'journal_id' : fields.many2one('account.journal', 'Sale Journal',
domain=[('type', '=', 'sale')],
help="Accounting journal used to post sales entries."),
'currency_id' : fields.function(_get_currency, type="many2one", string="Currency", relation="res.currency"),
'iface_self_checkout' : fields.boolean('Self Checkout Mode', # FIXME : this field is obsolete
help="Check this if this point of sale should open by default in a self checkout mode. If unchecked, Odoo uses the normal cashier mode by default."),
'iface_cashdrawer' : fields.boolean('Cashdrawer', help="Automatically open the cashdrawer"),
'iface_payment_terminal' : fields.boolean('Payment Terminal', help="Enables Payment Terminal integration"),
'iface_electronic_scale' : fields.boolean('Electronic Scale', help="Enables Electronic Scale integration"),
'iface_vkeyboard' : fields.boolean('Virtual KeyBoard', help="Enables an integrated Virtual Keyboard"),
'iface_print_via_proxy' : fields.boolean('Print via Proxy', help="Bypass browser printing and prints via the hardware proxy"),
'iface_scan_via_proxy' : fields.boolean('Scan via Proxy', help="Enable barcode scanning with a remotely connected barcode scanner"),
'iface_invoicing': fields.boolean('Invoicing',help='Enables invoice generation from the Point of Sale'),
'iface_big_scrollbars': fields.boolean('Large Scrollbars',help='For imprecise industrial touchscreens'),
'receipt_header': fields.text('Receipt Header',help="A short text that will be inserted as a header in the printed receipt"),
'receipt_footer': fields.text('Receipt Footer',help="A short text that will be inserted as a footer in the printed receipt"),
'proxy_ip': fields.char('IP Address', help='The hostname or ip address of the hardware proxy, Will be autodetected if left empty', size=45),
'state' : fields.selection(POS_CONFIG_STATE, 'Status', required=True, readonly=True, copy=False),
'sequence_id' : fields.many2one('ir.sequence', 'Order IDs Sequence', readonly=True,
help="This sequence is automatically created by Odoo but you can change it "\
"to customize the reference numbers of your orders.", copy=False),
'session_ids': fields.one2many('pos.session', 'config_id', 'Sessions'),
'group_by' : fields.boolean('Group Journal Items', help="Check this if you want to group the Journal Items by Product while closing a Session"),
'pricelist_id': fields.many2one('product.pricelist','Pricelist', required=True),
'company_id': fields.many2one('res.company', 'Company', required=True),
'barcode_product': fields.char('Product Barcodes', size=64, help='The pattern that identifies product barcodes'),
'barcode_cashier': fields.char('Cashier Barcodes', size=64, help='The pattern that identifies cashier login barcodes'),
'barcode_customer': fields.char('Customer Barcodes',size=64, help='The pattern that identifies customer\'s client card barcodes'),
'barcode_price': fields.char('Price Barcodes', size=64, help='The pattern that identifies a product with a barcode encoded price'),
'barcode_weight': fields.char('Weight Barcodes', size=64, help='The pattern that identifies a product with a barcode encoded weight'),
'barcode_discount': fields.char('Discount Barcodes', size=64, help='The pattern that identifies a product with a barcode encoded discount'),
}
def _check_cash_control(self, cr, uid, ids, context=None):
return all(
(sum(int(journal.cash_control) for journal in record.journal_ids) <= 1)
for record in self.browse(cr, uid, ids, context=context)
)
def _check_company_location(self, cr, uid, ids, context=None):
for config in self.browse(cr, uid, ids, context=context):
if config.stock_location_id.company_id and config.stock_location_id.company_id.id != config.company_id.id:
return False
return True
def _check_company_journal(self, cr, uid, ids, context=None):
for config in self.browse(cr, uid, ids, context=context):
if config.journal_id and config.journal_id.company_id.id != config.company_id.id:
return False
return True
def _check_company_payment(self, cr, uid, ids, context=None):
for config in self.browse(cr, uid, ids, context=context):
journal_ids = [j.id for j in config.journal_ids]
if self.pool['account.journal'].search(cr, uid, [
('id', 'in', journal_ids),
('company_id', '!=', config.company_id.id)
], count=True, context=context):
return False
return True
_constraints = [
(_check_cash_control, "You cannot have two cash controls in one Point Of Sale !", ['journal_ids']),
(_check_company_location, "The company of the stock location is different than the one of point of sale", ['company_id', 'stock_location_id']),
(_check_company_journal, "The company of the sale journal is different than the one of point of sale", ['company_id', 'journal_id']),
(_check_company_payment, "The company of a payment method is different than the one of point of sale", ['company_id', 'journal_ids']),
]
def name_get(self, cr, uid, ids, context=None):
result = []
states = {
'opening_control': _('Opening Control'),
'opened': _('In Progress'),
'closing_control': _('Closing Control'),
'closed': _('Closed & Posted'),
}
for record in self.browse(cr, uid, ids, context=context):
if (not record.session_ids) or (record.session_ids[0].state=='closed'):
result.append((record.id, record.name+' ('+_('not used')+')'))
continue
session = record.session_ids[0]
result.append((record.id, record.name + ' ('+session.user_id.name+')')) #, '+states[session.state]+')'))
return result
def _default_sale_journal(self, cr, uid, context=None):
company_id = self.pool.get('res.users').browse(cr, uid, uid, context=context).company_id.id
res = self.pool.get('account.journal').search(cr, uid, [('type', '=', 'sale'), ('company_id', '=', company_id)], limit=1, context=context)
return res and res[0] or False
def _default_pricelist(self, cr, uid, context=None):
res = self.pool.get('product.pricelist').search(cr, uid, [('type', '=', 'sale')], limit=1, context=context)
return res and res[0] or False
def _get_default_location(self, cr, uid, context=None):
wh_obj = self.pool.get('stock.warehouse')
user = self.pool.get('res.users').browse(cr, uid, uid, context)
res = wh_obj.search(cr, uid, [('company_id', '=', user.company_id.id)], limit=1, context=context)
if res and res[0]:
return wh_obj.browse(cr, uid, res[0], context=context).lot_stock_id.id
return False
def _get_default_company(self, cr, uid, context=None):
company_id = self.pool.get('res.users')._get_company(cr, uid, context=context)
return company_id
_defaults = {
'state' : POS_CONFIG_STATE[0][0],
'journal_id': _default_sale_journal,
'group_by' : True,
'pricelist_id': _default_pricelist,
'iface_invoicing': True,
'stock_location_id': _get_default_location,
'company_id': _get_default_company,
'barcode_product': '*',
'barcode_cashier': '041*',
'barcode_customer':'042*',
'barcode_weight': '21xxxxxNNDDD',
'barcode_discount':'22xxxxxxxxNN',
'barcode_price': '23xxxxxNNNDD',
}
def onchange_picking_type_id(self, cr, uid, ids, picking_type_id, context=None):
p_type_obj = self.pool.get("stock.picking.type")
p_type = p_type_obj.browse(cr, uid, picking_type_id, context=context)
if p_type.default_location_src_id and p_type.default_location_src_id.usage == 'internal' and p_type.default_location_dest_id and p_type.default_location_dest_id.usage == 'customer':
return {'value': {'stock_location_id': p_type.default_location_src_id.id}}
return False
def set_active(self, cr, uid, ids, context=None):
return self.write(cr, uid, ids, {'state' : 'active'}, context=context)
def set_inactive(self, cr, uid, ids, context=None):
return self.write(cr, uid, ids, {'state' : 'inactive'}, context=context)
def set_deprecate(self, cr, uid, ids, context=None):
return self.write(cr, uid, ids, {'state' : 'deprecated'}, context=context)
def create(self, cr, uid, values, context=None):
ir_sequence = self.pool.get('ir.sequence')
# force sequence_id field to new pos.order sequence
values['sequence_id'] = ir_sequence.create(cr, uid, {
'name': 'POS Order %s' % values['name'],
'padding': 4,
'prefix': "%s/" % values['name'],
'code': "pos.order",
'company_id': values.get('company_id', False),
}, context=context)
# TODO master: add field sequence_line_id on model
# this make sure we always have one available per company
ir_sequence.create(cr, uid, {
'name': 'POS order line %s' % values['name'],
'padding': 4,
'prefix': "%s/" % values['name'],
'code': "pos.order.line",
'company_id': values.get('company_id', False),
}, context=context)
return super(pos_config, self).create(cr, uid, values, context=context)
def unlink(self, cr, uid, ids, context=None):
for obj in self.browse(cr, uid, ids, context=context):
if obj.sequence_id:
obj.sequence_id.unlink()
return super(pos_config, self).unlink(cr, uid, ids, context=context)
class pos_session(osv.osv):
_name = 'pos.session'
_order = 'id desc'
POS_SESSION_STATE = [
('opening_control', 'Opening Control'), # Signal open
('opened', 'In Progress'), # Signal closing
('closing_control', 'Closing Control'), # Signal close
('closed', 'Closed & Posted'),
]
def _compute_cash_all(self, cr, uid, ids, fieldnames, args, context=None):
result = dict()
for record in self.browse(cr, uid, ids, context=context):
result[record.id] = {
'cash_journal_id' : False,
'cash_register_id' : False,
'cash_control' : False,
}
for st in record.statement_ids:
if st.journal_id.cash_control == True:
result[record.id]['cash_control'] = True
result[record.id]['cash_journal_id'] = st.journal_id.id
result[record.id]['cash_register_id'] = st.id
return result
_columns = {
'config_id' : fields.many2one('pos.config', 'Point of Sale',
help="The physical point of sale you will use.",
required=True,
select=1,
domain="[('state', '=', 'active')]",
),
'name' : fields.char('Session ID', required=True, readonly=True),
'user_id' : fields.many2one('res.users', 'Responsible',
required=True,
select=1,
readonly=True,
states={'opening_control' : [('readonly', False)]}
),
'currency_id' : fields.related('config_id', 'currency_id', type="many2one", relation='res.currency', string="Currnecy"),
'start_at' : fields.datetime('Opening Date', readonly=True),
'stop_at' : fields.datetime('Closing Date', readonly=True),
'state' : fields.selection(POS_SESSION_STATE, 'Status',
required=True, readonly=True,
select=1, copy=False),
'sequence_number': fields.integer('Order Sequence Number', help='A sequence number that is incremented with each order'),
'login_number': fields.integer('Login Sequence Number', help='A sequence number that is incremented each time a user resumes the pos session'),
'cash_control' : fields.function(_compute_cash_all,
multi='cash',
type='boolean', string='Has Cash Control'),
'cash_journal_id' : fields.function(_compute_cash_all,
multi='cash',
type='many2one', relation='account.journal',
string='Cash Journal', store=True),
'cash_register_id' : fields.function(_compute_cash_all,
multi='cash',
type='many2one', relation='account.bank.statement',
string='Cash Register', store=True),
'opening_details_ids' : fields.related('cash_register_id', 'opening_details_ids',
type='one2many', relation='account.cashbox.line',
string='Opening Cash Control'),
'details_ids' : fields.related('cash_register_id', 'details_ids',
type='one2many', relation='account.cashbox.line',
string='Cash Control'),
'cash_register_balance_end_real' : fields.related('cash_register_id', 'balance_end_real',
type='float',
digits_compute=dp.get_precision('Account'),
string="Ending Balance",
help="Total of closing cash control lines.",
readonly=True),
'cash_register_balance_start' : fields.related('cash_register_id', 'balance_start',
type='float',
digits_compute=dp.get_precision('Account'),
string="Starting Balance",
help="Total of opening cash control lines.",
readonly=True),
'cash_register_total_entry_encoding' : fields.related('cash_register_id', 'total_entry_encoding',
string='Total Cash Transaction',
readonly=True,
help="Total of all paid sale orders"),
'cash_register_balance_end' : fields.related('cash_register_id', 'balance_end',
type='float',
digits_compute=dp.get_precision('Account'),
string="Theoretical Closing Balance",
help="Sum of opening balance and transactions.",
readonly=True),
'cash_register_difference' : fields.related('cash_register_id', 'difference',
type='float',
string='Difference',
help="Difference between the theoretical closing balance and the real closing balance.",
readonly=True),
'journal_ids' : fields.related('config_id', 'journal_ids',
type='many2many',
readonly=True,
relation='account.journal',
string='Available Payment Methods'),
'order_ids' : fields.one2many('pos.order', 'session_id', 'Orders'),
'statement_ids' : fields.one2many('account.bank.statement', 'pos_session_id', 'Bank Statement', readonly=True),
}
_defaults = {
'name' : '/',
'user_id' : lambda obj, cr, uid, context: uid,
'state' : 'opening_control',
'sequence_number': 1,
'login_number': 0,
}
_sql_constraints = [
('uniq_name', 'unique(name)', "The name of this POS Session must be unique !"),
]
def _check_unicity(self, cr, uid, ids, context=None):
for session in self.browse(cr, uid, ids, context=None):
# open if there is no session in 'opening_control', 'opened', 'closing_control' for one user
domain = [
('state', 'not in', ('closed','closing_control')),
('user_id', '=', session.user_id.id)
]
count = self.search_count(cr, uid, domain, context=context)
if count>1:
return False
return True
def _check_pos_config(self, cr, uid, ids, context=None):
for session in self.browse(cr, uid, ids, context=None):
domain = [
('state', '!=', 'closed'),
('config_id', '=', session.config_id.id)
]
count = self.search_count(cr, uid, domain, context=context)
if count>1:
return False
return True
_constraints = [
(_check_unicity, "You cannot create two active sessions with the same responsible!", ['user_id', 'state']),
(_check_pos_config, "You cannot create two active sessions related to the same point of sale!", ['config_id']),
]
def create(self, cr, uid, values, context=None):
context = dict(context or {})
config_id = values.get('config_id', False) or context.get('default_config_id', False)
if not config_id:
raise osv.except_osv( _('Error!'),
_("You should assign a Point of Sale to your session."))
# journal_id is not required on the pos_config because it does not
# exists at the installation. If nothing is configured at the
# installation we do the minimal configuration. Impossible to do in
# the .xml files as the CoA is not yet installed.
jobj = self.pool.get('pos.config')
pos_config = jobj.browse(cr, uid, config_id, context=context)
context.update({'company_id': pos_config.company_id.id})
if not pos_config.journal_id:
jid = jobj.default_get(cr, uid, ['journal_id'], context=context)['journal_id']
if jid:
jobj.write(cr, openerp.SUPERUSER_ID, [pos_config.id], {'journal_id': jid}, context=context)
else:
raise osv.except_osv( _('error!'),
_("Unable to open the session. You have to assign a sale journal to your point of sale."))
# define some cash journal if no payment method exists
if not pos_config.journal_ids:
journal_proxy = self.pool.get('account.journal')
cashids = journal_proxy.search(cr, uid, [('journal_user', '=', True), ('type','=','cash')], context=context)
if not cashids:
cashids = journal_proxy.search(cr, uid, [('type', '=', 'cash')], context=context)
if not cashids:
cashids = journal_proxy.search(cr, uid, [('journal_user','=',True)], context=context)
journal_proxy.write(cr, openerp.SUPERUSER_ID, cashids, {'journal_user': True})
jobj.write(cr, openerp.SUPERUSER_ID, [pos_config.id], {'journal_ids': [(6,0, cashids)]})
pos_config = jobj.browse(cr, uid, config_id, context=context)
bank_statement_ids = []
for journal in pos_config.journal_ids:
bank_values = {
'journal_id' : journal.id,
'user_id' : uid,
'company_id' : pos_config.company_id.id
}
statement_id = self.pool.get('account.bank.statement').create(cr, uid, bank_values, context=context)
bank_statement_ids.append(statement_id)
values.update({
'name': self.pool['ir.sequence'].get(cr, uid, 'pos.session'),
'statement_ids' : [(6, 0, bank_statement_ids)],
'config_id': config_id
})
return super(pos_session, self).create(cr, uid, values, context=context)
def unlink(self, cr, uid, ids, context=None):
for obj in self.browse(cr, uid, ids, context=context):
for statement in obj.statement_ids:
statement.unlink(context=context)
return super(pos_session, self).unlink(cr, uid, ids, context=context)
def open_cb(self, cr, uid, ids, context=None):
"""
call the Point Of Sale interface and set the pos.session to 'opened' (in progress)
"""
if context is None:
context = dict()
if isinstance(ids, (int, long)):
ids = [ids]
this_record = self.browse(cr, uid, ids[0], context=context)
this_record.signal_workflow('open')
context.update(active_id=this_record.id)
return {
'type' : 'ir.actions.act_url',
'url' : '/pos/web/',
'target': 'self',
}
def login(self, cr, uid, ids, context=None):
this_record = self.browse(cr, uid, ids[0], context=context)
this_record.write({
'login_number': this_record.login_number+1,
})
def wkf_action_open(self, cr, uid, ids, context=None):
# second browse because we need to refetch the data from the DB for cash_register_id
for record in self.browse(cr, uid, ids, context=context):
values = {}
if not record.start_at:
values['start_at'] = time.strftime('%Y-%m-%d %H:%M:%S')
values['state'] = 'opened'
record.write(values)
for st in record.statement_ids:
st.button_open()
return self.open_frontend_cb(cr, uid, ids, context=context)
def wkf_action_opening_control(self, cr, uid, ids, context=None):
return self.write(cr, uid, ids, {'state' : 'opening_control'}, context=context)
def wkf_action_closing_control(self, cr, uid, ids, context=None):
for session in self.browse(cr, uid, ids, context=context):
for statement in session.statement_ids:
if (statement != session.cash_register_id) and (statement.balance_end != statement.balance_end_real):
self.pool.get('account.bank.statement').write(cr, uid, [statement.id], {'balance_end_real': statement.balance_end})
return self.write(cr, uid, ids, {'state' : 'closing_control', 'stop_at' : time.strftime('%Y-%m-%d %H:%M:%S')}, context=context)
def wkf_action_close(self, cr, uid, ids, context=None):
# Close CashBox
for record in self.browse(cr, uid, ids, context=context):
for st in record.statement_ids:
if abs(st.difference) > st.journal_id.amount_authorized_diff:
# The pos manager can close statements with maximums.
if not self.pool.get('ir.model.access').check_groups(cr, uid, "point_of_sale.group_pos_manager"):
raise osv.except_osv( _('Error!'),
_("Your ending balance is too different from the theoretical cash closing (%.2f), the maximum allowed is: %.2f. You can contact your manager to force it.") % (st.difference, st.journal_id.amount_authorized_diff))
if (st.journal_id.type not in ['bank', 'cash']):
raise osv.except_osv(_('Error!'),
_("The type of the journal for your payment method should be bank or cash "))
getattr(st, 'button_confirm_%s' % st.journal_id.type)(context=context)
self._confirm_orders(cr, uid, ids, context=context)
self.write(cr, uid, ids, {'state' : 'closed'}, context=context)
obj = self.pool.get('ir.model.data').get_object_reference(cr, uid, 'point_of_sale', 'menu_point_root')[1]
return {
'type' : 'ir.actions.client',
'name' : 'Point of Sale Menu',
'tag' : 'reload',
'params' : {'menu_id': obj},
}
def _confirm_orders(self, cr, uid, ids, context=None):
account_move_obj = self.pool.get('account.move')
pos_order_obj = self.pool.get('pos.order')
for session in self.browse(cr, uid, ids, context=context):
local_context = dict(context or {}, force_company=session.config_id.journal_id.company_id.id)
order_ids = [order.id for order in session.order_ids if order.state == 'paid']
move_id = account_move_obj.create(cr, uid, {'ref' : session.name, 'journal_id' : session.config_id.journal_id.id, }, context=local_context)
pos_order_obj._create_account_move_line(cr, uid, order_ids, session, move_id, context=local_context)
for order in session.order_ids:
if order.state == 'done':
continue
if order.state not in ('paid', 'invoiced'):
raise osv.except_osv(
_('Error!'),
_("You cannot confirm all orders of this session, because they have not the 'paid' status"))
else:
pos_order_obj.signal_workflow(cr, uid, [order.id], 'done')
return True
def open_frontend_cb(self, cr, uid, ids, context=None):
if not context:
context = {}
if not ids:
return {}
for session in self.browse(cr, uid, ids, context=context):
if session.user_id.id != uid:
raise osv.except_osv(
_('Error!'),
_("You cannot use the session of another users. This session is owned by %s. Please first close this one to use this point of sale." % session.user_id.name))
context.update({'active_id': ids[0]})
return {
'type' : 'ir.actions.act_url',
'target': 'self',
'url': '/pos/web/',
}
class pos_order(osv.osv):
_name = "pos.order"
_description = "Point of Sale"
_order = "id desc"
def _order_fields(self, cr, uid, ui_order, context=None):
return {
'name': ui_order['name'],
'user_id': ui_order['user_id'] or False,
'session_id': ui_order['pos_session_id'],
'lines': ui_order['lines'],
'pos_reference':ui_order['name'],
'partner_id': ui_order['partner_id'] or False,
}
def _payment_fields(self, cr, uid, ui_paymentline, context=None):
return {
'amount': ui_paymentline['amount'] or 0.0,
'payment_date': ui_paymentline['name'],
'statement_id': ui_paymentline['statement_id'],
'payment_name': ui_paymentline.get('note',False),
'journal': ui_paymentline['journal_id'],
}
def _process_order(self, cr, uid, order, context=None):
order_id = self.create(cr, uid, self._order_fields(cr, uid, order, context=context),context)
for payments in order['statement_ids']:
self.add_payment(cr, uid, order_id, self._payment_fields(cr, uid, payments[2], context=context), context=context)
session = self.pool.get('pos.session').browse(cr, uid, order['pos_session_id'], context=context)
if session.sequence_number <= order['sequence_number']:
session.write({'sequence_number': order['sequence_number'] + 1})
session.refresh()
if order['amount_return']:
cash_journal = session.cash_journal_id
if not cash_journal:
cash_journal_ids = filter(lambda st: st.journal_id.type=='cash', session.statement_ids)
if not len(cash_journal_ids):
raise osv.except_osv( _('error!'),
_("No cash statement found for this session. Unable to record returned cash."))
cash_journal = cash_journal_ids[0].journal_id
self.add_payment(cr, uid, order_id, {
'amount': -order['amount_return'],
'payment_date': time.strftime('%Y-%m-%d %H:%M:%S'),
'payment_name': _('return'),
'journal': cash_journal.id,
}, context=context)
return order_id
def create_from_ui(self, cr, uid, orders, context=None):
# Keep only new orders
submitted_references = [o['data']['name'] for o in orders]
existing_order_ids = self.search(cr, uid, [('pos_reference', 'in', submitted_references)], context=context)
existing_orders = self.read(cr, uid, existing_order_ids, ['pos_reference'], context=context)
existing_references = set([o['pos_reference'] for o in existing_orders])
orders_to_save = [o for o in orders if o['data']['name'] not in existing_references]
order_ids = []
for tmp_order in orders_to_save:
to_invoice = tmp_order['to_invoice']
order = tmp_order['data']
order_id = self._process_order(cr, uid, order, context=context)
order_ids.append(order_id)
try:
self.signal_workflow(cr, uid, [order_id], 'paid')
except Exception as e:
_logger.error('Could not fully process the POS Order: %s', tools.ustr(e))
if to_invoice:
self.action_invoice(cr, uid, [order_id], context)
order_obj = self.browse(cr, uid, order_id, context)
self.pool['account.invoice'].signal_workflow(cr, uid, [order_obj.invoice_id.id], 'invoice_open')
return order_ids
def write(self, cr, uid, ids, vals, context=None):
res = super(pos_order, self).write(cr, uid, ids, vals, context=context)
#If you change the partner of the PoS order, change also the partner of the associated bank statement lines
partner_obj = self.pool.get('res.partner')
bsl_obj = self.pool.get("account.bank.statement.line")
if 'partner_id' in vals:
for posorder in self.browse(cr, uid, ids, context=context):
if posorder.invoice_id:
raise osv.except_osv( _('Error!'), _("You cannot change the partner of a POS order for which an invoice has already been issued."))
if vals['partner_id']:
p_id = partner_obj.browse(cr, uid, vals['partner_id'], context=context)
part_id = partner_obj._find_accounting_partner(p_id).id
else:
part_id = False
bsl_ids = [x.id for x in posorder.statement_ids]
bsl_obj.write(cr, uid, bsl_ids, {'partner_id': part_id}, context=context)
return res
def unlink(self, cr, uid, ids, context=None):
for rec in self.browse(cr, uid, ids, context=context):
if rec.state not in ('draft','cancel'):
raise osv.except_osv(_('Unable to Delete!'), _('In order to delete a sale, it must be new or cancelled.'))
return super(pos_order, self).unlink(cr, uid, ids, context=context)
def onchange_partner_id(self, cr, uid, ids, part=False, context=None):
if not part:
return {'value': {}}
pricelist = self.pool.get('res.partner').browse(cr, uid, part, context=context).property_product_pricelist.id
return {'value': {'pricelist_id': pricelist}}
def _amount_all(self, cr, uid, ids, name, args, context=None):
cur_obj = self.pool.get('res.currency')
res = {}
for order in self.browse(cr, uid, ids, context=context):
res[order.id] = {
'amount_paid': 0.0,
'amount_return':0.0,
'amount_tax':0.0,
}
val1 = val2 = 0.0
cur = order.pricelist_id.currency_id
for payment in order.statement_ids:
res[order.id]['amount_paid'] += payment.amount
res[order.id]['amount_return'] += (payment.amount < 0 and payment.amount or 0)
for line in order.lines:
val1 += line.price_subtotal_incl
val2 += line.price_subtotal
res[order.id]['amount_tax'] = cur_obj.round(cr, uid, cur, val1-val2)
res[order.id]['amount_total'] = cur_obj.round(cr, uid, cur, val1)
return res
_columns = {
'name': fields.char('Order Ref', required=True, readonly=True, copy=False),
'company_id':fields.many2one('res.company', 'Company', required=True, readonly=True),
'date_order': fields.datetime('Order Date', readonly=True, select=True),
'user_id': fields.many2one('res.users', 'Salesman', help="Person who uses the the cash register. It can be a reliever, a student or an interim employee."),
'amount_tax': fields.function(_amount_all, string='Taxes', digits_compute=dp.get_precision('Account'), multi='all'),
'amount_total': fields.function(_amount_all, string='Total', digits_compute=dp.get_precision('Account'), multi='all'),
'amount_paid': fields.function(_amount_all, string='Paid', states={'draft': [('readonly', False)]}, readonly=True, digits_compute=dp.get_precision('Account'), multi='all'),
'amount_return': fields.function(_amount_all, 'Returned', digits_compute=dp.get_precision('Account'), multi='all'),
'lines': fields.one2many('pos.order.line', 'order_id', 'Order Lines', states={'draft': [('readonly', False)]}, readonly=True, copy=True),
'statement_ids': fields.one2many('account.bank.statement.line', 'pos_statement_id', 'Payments', states={'draft': [('readonly', False)]}, readonly=True),
'pricelist_id': fields.many2one('product.pricelist', 'Pricelist', required=True, states={'draft': [('readonly', False)]}, readonly=True),
'partner_id': fields.many2one('res.partner', 'Customer', change_default=True, select=1, states={'draft': [('readonly', False)], 'paid': [('readonly', False)]}),
'sequence_number': fields.integer('Sequence Number', help='A session-unique sequence number for the order'),
'session_id' : fields.many2one('pos.session', 'Session',
#required=True,
select=1,
domain="[('state', '=', 'opened')]",
states={'draft' : [('readonly', False)]},
readonly=True),
'state': fields.selection([('draft', 'New'),
('cancel', 'Cancelled'),
('paid', 'Paid'),
('done', 'Posted'),
('invoiced', 'Invoiced')],
'Status', readonly=True, copy=False),
'invoice_id': fields.many2one('account.invoice', 'Invoice', copy=False),
'account_move': fields.many2one('account.move', 'Journal Entry', readonly=True, copy=False),
'picking_id': fields.many2one('stock.picking', 'Picking', readonly=True, copy=False),
'picking_type_id': fields.related('session_id', 'config_id', 'picking_type_id', string="Picking Type", type='many2one', relation='stock.picking.type'),
'location_id': fields.related('session_id', 'config_id', 'stock_location_id', string="Location", type='many2one', store=True, relation='stock.location'),
'note': fields.text('Internal Notes'),
'nb_print': fields.integer('Number of Print', readonly=True, copy=False),
'pos_reference': fields.char('Receipt Ref', readonly=True, copy=False),
'sale_journal': fields.related('session_id', 'config_id', 'journal_id', relation='account.journal', type='many2one', string='Sale Journal', store=True, readonly=True),
}
def _default_session(self, cr, uid, context=None):
so = self.pool.get('pos.session')
session_ids = so.search(cr, uid, [('state','=', 'opened'), ('user_id','=',uid)], context=context)
return session_ids and session_ids[0] or False
def _default_pricelist(self, cr, uid, context=None):
session_ids = self._default_session(cr, uid, context)
if session_ids:
session_record = self.pool.get('pos.session').browse(cr, uid, session_ids, context=context)
return session_record.config_id.pricelist_id and session_record.config_id.pricelist_id.id or False
return False
def _get_out_picking_type(self, cr, uid, context=None):
return self.pool.get('ir.model.data').xmlid_to_res_id(
cr, uid, 'point_of_sale.picking_type_posout', context=context)
_defaults = {
'user_id': lambda self, cr, uid, context: uid,
'state': 'draft',
'name': '/',
'date_order': lambda *a: time.strftime('%Y-%m-%d %H:%M:%S'),
'nb_print': 0,
'sequence_number': 1,
'session_id': _default_session,
'company_id': lambda self,cr,uid,c: self.pool.get('res.users').browse(cr, uid, uid, c).company_id.id,
'pricelist_id': _default_pricelist,
}
def create(self, cr, uid, values, context=None):
if values.get('session_id'):
# set name based on the sequence specified on the config
session = self.pool['pos.session'].browse(cr, uid, values['session_id'], context=context)
values['name'] = session.config_id.sequence_id._next()
else:
# fallback on any pos.order sequence
values['name'] = self.pool.get('ir.sequence').get_id(cr, uid, 'pos.order', 'code', context=context)
return super(pos_order, self).create(cr, uid, values, context=context)
def test_paid(self, cr, uid, ids, context=None):
"""A Point of Sale is paid when the sum
@return: True
"""
for order in self.browse(cr, uid, ids, context=context):
if order.lines and not order.amount_total:
return True
if (not order.lines) or (not order.statement_ids) or \
(abs(order.amount_total-order.amount_paid) > 0.00001):
return False
return True
def create_picking(self, cr, uid, ids, context=None):
"""Create a picking for each order and validate it."""
picking_obj = self.pool.get('stock.picking')
partner_obj = self.pool.get('res.partner')
move_obj = self.pool.get('stock.move')
for order in self.browse(cr, uid, ids, context=context):
addr = order.partner_id and partner_obj.address_get(cr, uid, [order.partner_id.id], ['delivery']) or {}
picking_type = order.picking_type_id
picking_id = False
if picking_type:
picking_id = picking_obj.create(cr, uid, {
'origin': order.name,
'partner_id': addr.get('delivery',False),
'date_done' : order.date_order,
'picking_type_id': picking_type.id,
'company_id': order.company_id.id,
'move_type': 'direct',
'note': order.note or "",
'invoice_state': 'none',
}, context=context)
self.write(cr, uid, [order.id], {'picking_id': picking_id}, context=context)
location_id = order.location_id.id
if order.partner_id:
destination_id = order.partner_id.property_stock_customer.id
elif picking_type:
if not picking_type.default_location_dest_id:
raise osv.except_osv(_('Error!'), _('Missing source or destination location for picking type %s. Please configure those fields and try again.' % (picking_type.name,)))
destination_id = picking_type.default_location_dest_id.id
else:
destination_id = partner_obj.default_get(cr, uid, ['property_stock_customer'], context=context)['property_stock_customer']
move_list = []
for line in order.lines:
if line.product_id and line.product_id.type == 'service':
continue
move_list.append(move_obj.create(cr, uid, {
'name': line.name,
'product_uom': line.product_id.uom_id.id,
'product_uos': line.product_id.uom_id.id,
'picking_id': picking_id,
'picking_type_id': picking_type.id,
'product_id': line.product_id.id,
'product_uos_qty': abs(line.qty),
'product_uom_qty': abs(line.qty),
'state': 'draft',
'location_id': location_id if line.qty >= 0 else destination_id,
'location_dest_id': destination_id if line.qty >= 0 else location_id,
}, context=context))
if picking_id:
picking_obj.action_confirm(cr, uid, [picking_id], context=context)
picking_obj.force_assign(cr, uid, [picking_id], context=context)
picking_obj.action_done(cr, uid, [picking_id], context=context)
elif move_list:
move_obj.action_confirm(cr, uid, move_list, context=context)
move_obj.force_assign(cr, uid, move_list, context=context)
move_obj.action_done(cr, uid, move_list, context=context)
return True
def cancel_order(self, cr, uid, ids, context=None):
""" Changes order state to cancel
@return: True
"""
stock_picking_obj = self.pool.get('stock.picking')
for order in self.browse(cr, uid, ids, context=context):
stock_picking_obj.action_cancel(cr, uid, [order.picking_id.id])
if stock_picking_obj.browse(cr, uid, order.picking_id.id, context=context).state <> 'cancel':
raise osv.except_osv(_('Error!'), _('Unable to cancel the picking.'))
self.write(cr, uid, ids, {'state': 'cancel'}, context=context)
return True
def add_payment(self, cr, uid, order_id, data, context=None):
"""Create a new payment for the order"""
context = dict(context or {})
statement_line_obj = self.pool.get('account.bank.statement.line')
property_obj = self.pool.get('ir.property')
order = self.browse(cr, uid, order_id, context=context)
args = {
'amount': data['amount'],
'date': data.get('payment_date', time.strftime('%Y-%m-%d')),
'name': order.name + ': ' + (data.get('payment_name', '') or ''),
'partner_id': order.partner_id and self.pool.get("res.partner")._find_accounting_partner(order.partner_id).id or False,
}
journal_id = data.get('journal', False)
statement_id = data.get('statement_id', False)
assert journal_id or statement_id, "No statement_id or journal_id passed to the method!"
journal = self.pool['account.journal'].browse(cr, uid, journal_id, context=context)
# use the company of the journal and not of the current user
company_cxt = dict(context, force_company=journal.company_id.id)
account_def = property_obj.get(cr, uid, 'property_account_receivable', 'res.partner', context=company_cxt)
args['account_id'] = (order.partner_id and order.partner_id.property_account_receivable \
and order.partner_id.property_account_receivable.id) or (account_def and account_def.id) or False
if not args['account_id']:
if not args['partner_id']:
msg = _('There is no receivable account defined to make payment.')
else:
msg = _('There is no receivable account defined to make payment for the partner: "%s" (id:%d).') % (order.partner_id.name, order.partner_id.id,)
raise osv.except_osv(_('Configuration Error!'), msg)
context.pop('pos_session_id', False)
for statement in order.session_id.statement_ids:
if statement.id == statement_id:
journal_id = statement.journal_id.id
break
elif statement.journal_id.id == journal_id:
statement_id = statement.id
break
if not statement_id:
raise osv.except_osv(_('Error!'), _('You have to open at least one cashbox.'))
args.update({
'statement_id': statement_id,
'pos_statement_id': order_id,
'journal_id': journal_id,
'ref': order.session_id.name,
})
statement_line_obj.create(cr, uid, args, context=context)
return statement_id
def refund(self, cr, uid, ids, context=None):
"""Create a copy of order for refund order"""
clone_list = []
line_obj = self.pool.get('pos.order.line')
for order in self.browse(cr, uid, ids, context=context):
current_session_ids = self.pool.get('pos.session').search(cr, uid, [
('state', '!=', 'closed'),
('user_id', '=', uid)], context=context)
if not current_session_ids:
raise osv.except_osv(_('Error!'), _('To return product(s), you need to open a session that will be used to register the refund.'))
clone_id = self.copy(cr, uid, order.id, {
'name': order.name + ' REFUND', # not used, name forced by create
'session_id': current_session_ids[0],
'date_order': time.strftime('%Y-%m-%d %H:%M:%S'),
}, context=context)
clone_list.append(clone_id)
for clone in self.browse(cr, uid, clone_list, context=context):
for order_line in clone.lines:
line_obj.write(cr, uid, [order_line.id], {
'qty': -order_line.qty
}, context=context)
abs = {
'name': _('Return Products'),
'view_type': 'form',
'view_mode': 'form',
'res_model': 'pos.order',
'res_id':clone_list[0],
'view_id': False,
'context':context,
'type': 'ir.actions.act_window',
'nodestroy': True,
'target': 'current',
}
return abs
def action_invoice_state(self, cr, uid, ids, context=None):
return self.write(cr, uid, ids, {'state':'invoiced'}, context=context)
def action_invoice(self, cr, uid, ids, context=None):
inv_ref = self.pool.get('account.invoice')
inv_line_ref = self.pool.get('account.invoice.line')
product_obj = self.pool.get('product.product')
inv_ids = []
for order in self.pool.get('pos.order').browse(cr, uid, ids, context=context):
if order.invoice_id:
inv_ids.append(order.invoice_id.id)
continue
if not order.partner_id:
raise osv.except_osv(_('Error!'), _('Please provide a partner for the sale.'))
acc = order.partner_id.property_account_receivable.id
inv = {
'name': order.name,
'origin': order.name,
'account_id': acc,
'journal_id': order.sale_journal.id or None,
'type': 'out_invoice',
'reference': order.name,
'partner_id': order.partner_id.id,
'comment': order.note or '',
'currency_id': order.pricelist_id.currency_id.id, # considering partner's sale pricelist's currency
}
inv.update(inv_ref.onchange_partner_id(cr, uid, [], 'out_invoice', order.partner_id.id)['value'])
if not inv.get('account_id', None):
inv['account_id'] = acc
inv_id = inv_ref.create(cr, uid, inv, context=context)
self.write(cr, uid, [order.id], {'invoice_id': inv_id, 'state': 'invoiced'}, context=context)
inv_ids.append(inv_id)
for line in order.lines:
inv_line = {
'invoice_id': inv_id,
'product_id': line.product_id.id,
'quantity': line.qty,
}
inv_name = product_obj.name_get(cr, uid, [line.product_id.id], context=context)[0][1]
inv_line.update(inv_line_ref.product_id_change(cr, uid, [],
line.product_id.id,
line.product_id.uom_id.id,
line.qty, partner_id = order.partner_id.id,
fposition_id=order.partner_id.property_account_position.id)['value'])
inv_line['price_unit'] = line.price_unit
inv_line['discount'] = line.discount
inv_line['name'] = inv_name
inv_line['invoice_line_tax_id'] = [(6, 0, [x.id for x in line.product_id.taxes_id] )]
inv_line_ref.create(cr, uid, inv_line, context=context)
inv_ref.button_reset_taxes(cr, uid, [inv_id], context=context)
self.signal_workflow(cr, uid, [order.id], 'invoice')
inv_ref.signal_workflow(cr, uid, [inv_id], 'validate')
if not inv_ids: return {}
mod_obj = self.pool.get('ir.model.data')
res = mod_obj.get_object_reference(cr, uid, 'account', 'invoice_form')
res_id = res and res[1] or False
return {
'name': _('Customer Invoice'),
'view_type': 'form',
'view_mode': 'form',
'view_id': [res_id],
'res_model': 'account.invoice',
'context': "{'type':'out_invoice'}",
'type': 'ir.actions.act_window',
'nodestroy': True,
'target': 'current',
'res_id': inv_ids and inv_ids[0] or False,
}
def create_account_move(self, cr, uid, ids, context=None):
return self._create_account_move_line(cr, uid, ids, None, None, context=context)
def _prepare_analytic_account(self, cr, uid, line, context=None):
'''This method is designed to be inherited in a custom module'''
return False
def _create_account_move_line(self, cr, uid, ids, session=None, move_id=None, context=None):
# Tricky, via the workflow, we only have one id in the ids variable
"""Create a account move line of order grouped by products or not."""
account_move_obj = self.pool.get('account.move')
account_period_obj = self.pool.get('account.period')
account_tax_obj = self.pool.get('account.tax')
property_obj = self.pool.get('ir.property')
cur_obj = self.pool.get('res.currency')
#session_ids = set(order.session_id for order in self.browse(cr, uid, ids, context=context))
if session and not all(session.id == order.session_id.id for order in self.browse(cr, uid, ids, context=context)):
raise osv.except_osv(_('Error!'), _('Selected orders do not have the same session!'))
grouped_data = {}
have_to_group_by = session and session.config_id.group_by or False
def compute_tax(amount, tax, line):
if amount > 0:
tax_code_id = tax['base_code_id']
tax_amount = line.price_subtotal * tax['base_sign']
else:
tax_code_id = tax['ref_base_code_id']
tax_amount = line.price_subtotal * tax['ref_base_sign']
return (tax_code_id, tax_amount,)
for order in self.browse(cr, uid, ids, context=context):
if order.account_move:
continue
if order.state != 'paid':
continue
current_company = order.sale_journal.company_id
group_tax = {}
account_def = property_obj.get(cr, uid, 'property_account_receivable', 'res.partner', context=context)
order_account = order.partner_id and \
order.partner_id.property_account_receivable and \
order.partner_id.property_account_receivable.id or \
account_def and account_def.id or current_company.account_receivable.id
if move_id is None:
# Create an entry for the sale
move_id = account_move_obj.create(cr, uid, {
'ref' : order.name,
'journal_id': order.sale_journal.id,
}, context=context)
def insert_data(data_type, values):
# if have_to_group_by:
sale_journal_id = order.sale_journal.id
period = account_period_obj.find(cr, uid, context=dict(context or {}, company_id=current_company.id))[0]
# 'quantity': line.qty,
# 'product_id': line.product_id.id,
values.update({
'date': order.date_order[:10],
'ref': order.name,
'partner_id': order.partner_id and self.pool.get("res.partner")._find_accounting_partner(order.partner_id).id or False,
'journal_id' : sale_journal_id,
'period_id' : period,
'move_id' : move_id,
'company_id': current_company.id,
})
if data_type == 'product':
key = ('product', values['partner_id'], values['product_id'], values['analytic_account_id'], values['debit'] > 0)
elif data_type == 'tax':
key = ('tax', values['partner_id'], values['tax_code_id'], values['debit'] > 0)
elif data_type == 'counter_part':
key = ('counter_part', values['partner_id'], values['account_id'], values['debit'] > 0)
else:
return
grouped_data.setdefault(key, [])
# if not have_to_group_by or (not grouped_data[key]):
# grouped_data[key].append(values)
# else:
# pass
if have_to_group_by:
if not grouped_data[key]:
grouped_data[key].append(values)
else:
current_value = grouped_data[key][0]
current_value['quantity'] = current_value.get('quantity', 0.0) + values.get('quantity', 0.0)
current_value['credit'] = current_value.get('credit', 0.0) + values.get('credit', 0.0)
current_value['debit'] = current_value.get('debit', 0.0) + values.get('debit', 0.0)
current_value['tax_amount'] = current_value.get('tax_amount', 0.0) + values.get('tax_amount', 0.0)
else:
grouped_data[key].append(values)
#because of the weird way the pos order is written, we need to make sure there is at least one line,
#because just after the 'for' loop there are references to 'line' and 'income_account' variables (that
#are set inside the for loop)
#TOFIX: a deep refactoring of this method (and class!) is needed in order to get rid of this stupid hack
assert order.lines, _('The POS order must have lines when calling this method')
# Create an move for each order line
cur = order.pricelist_id.currency_id
for line in order.lines:
tax_amount = 0
taxes = []
for t in line.product_id.taxes_id:
if t.company_id.id == current_company.id:
taxes.append(t)
computed_taxes = account_tax_obj.compute_all(cr, uid, taxes, line.price_unit * (100.0-line.discount) / 100.0, line.qty)['taxes']
for tax in computed_taxes:
tax_amount += cur_obj.round(cr, uid, cur, tax['amount'])
group_key = (tax['tax_code_id'], tax['base_code_id'], tax['account_collected_id'], tax['id'])
group_tax.setdefault(group_key, 0)
group_tax[group_key] += cur_obj.round(cr, uid, cur, tax['amount'])
amount = line.price_subtotal
# Search for the income account
if line.product_id.property_account_income.id:
income_account = line.product_id.property_account_income.id
elif line.product_id.categ_id.property_account_income_categ.id:
income_account = line.product_id.categ_id.property_account_income_categ.id
else:
raise osv.except_osv(_('Error!'), _('Please define income '\
'account for this product: "%s" (id:%d).') \
% (line.product_id.name, line.product_id.id, ))
# Empty the tax list as long as there is no tax code:
tax_code_id = False
tax_amount = 0
while computed_taxes:
tax = computed_taxes.pop(0)
tax_code_id, tax_amount = compute_tax(amount, tax, line)
# If there is one we stop
if tax_code_id:
break
# Create a move for the line
insert_data('product', {
'name': line.product_id.name,
'quantity': line.qty,
'product_id': line.product_id.id,
'account_id': income_account,
'analytic_account_id': self._prepare_analytic_account(cr, uid, line, context=context),
'credit': ((amount>0) and amount) or 0.0,
'debit': ((amount<0) and -amount) or 0.0,
'tax_code_id': tax_code_id,
'tax_amount': tax_amount,
'partner_id': order.partner_id and self.pool.get("res.partner")._find_accounting_partner(order.partner_id).id or False
})
# For each remaining tax with a code, whe create a move line
for tax in computed_taxes:
tax_code_id, tax_amount = compute_tax(amount, tax, line)
if not tax_code_id:
continue
insert_data('tax', {
'name': _('Tax'),
'product_id':line.product_id.id,
'quantity': line.qty,
'account_id': income_account,
'credit': 0.0,
'debit': 0.0,
'tax_code_id': tax_code_id,
'tax_amount': tax_amount,
'partner_id': order.partner_id and self.pool.get("res.partner")._find_accounting_partner(order.partner_id).id or False
})
# Create a move for each tax group
(tax_code_pos, base_code_pos, account_pos, tax_id)= (0, 1, 2, 3)
for key, tax_amount in group_tax.items():
tax = self.pool.get('account.tax').browse(cr, uid, key[tax_id], context=context)
insert_data('tax', {
'name': _('Tax') + ' ' + tax.name,
'quantity': line.qty,
'product_id': line.product_id.id,
'account_id': key[account_pos] or income_account,
'credit': ((tax_amount>0) and tax_amount) or 0.0,
'debit': ((tax_amount<0) and -tax_amount) or 0.0,
'tax_code_id': key[tax_code_pos],
'tax_amount': tax_amount,
'partner_id': order.partner_id and self.pool.get("res.partner")._find_accounting_partner(order.partner_id).id or False
})
# counterpart
insert_data('counter_part', {
'name': _("Trade Receivables"), #order.name,
'account_id': order_account,
'credit': ((order.amount_total < 0) and -order.amount_total) or 0.0,
'debit': ((order.amount_total > 0) and order.amount_total) or 0.0,
'partner_id': order.partner_id and self.pool.get("res.partner")._find_accounting_partner(order.partner_id).id or False
})
order.write({'state':'done', 'account_move': move_id})
all_lines = []
for group_key, group_data in grouped_data.iteritems():
for value in group_data:
all_lines.append((0, 0, value),)
if move_id: #In case no order was changed
self.pool.get("account.move").write(cr, uid, [move_id], {'line_id':all_lines}, context=context)
return True
def action_payment(self, cr, uid, ids, context=None):
return self.write(cr, uid, ids, {'state': 'payment'}, context=context)
def action_paid(self, cr, uid, ids, context=None):
self.write(cr, uid, ids, {'state': 'paid'}, context=context)
self.create_picking(cr, uid, ids, context=context)
return True
def action_cancel(self, cr, uid, ids, context=None):
self.write(cr, uid, ids, {'state': 'cancel'}, context=context)
return True
def action_done(self, cr, uid, ids, context=None):
self.create_account_move(cr, uid, ids, context=context)
return True
class account_bank_statement(osv.osv):
_inherit = 'account.bank.statement'
_columns= {
'user_id': fields.many2one('res.users', 'User', readonly=True),
}
_defaults = {
'user_id': lambda self,cr,uid,c={}: uid
}
class account_bank_statement_line(osv.osv):
_inherit = 'account.bank.statement.line'
_columns= {
'pos_statement_id': fields.many2one('pos.order', ondelete='cascade'),
}
class pos_order_line(osv.osv):
_name = "pos.order.line"
_description = "Lines of Point of Sale"
_rec_name = "product_id"
def _amount_line_all(self, cr, uid, ids, field_names, arg, context=None):
res = dict([(i, {}) for i in ids])
account_tax_obj = self.pool.get('account.tax')
cur_obj = self.pool.get('res.currency')
for line in self.browse(cr, uid, ids, context=context):
taxes_ids = [ tax for tax in line.product_id.taxes_id if tax.company_id.id == line.order_id.company_id.id ]
price = line.price_unit * (1 - (line.discount or 0.0) / 100.0)
taxes = account_tax_obj.compute_all(cr, uid, taxes_ids, price, line.qty, product=line.product_id, partner=line.order_id.partner_id or False)
cur = line.order_id.pricelist_id.currency_id
res[line.id]['price_subtotal'] = cur_obj.round(cr, uid, cur, taxes['total'])
res[line.id]['price_subtotal_incl'] = cur_obj.round(cr, uid, cur, taxes['total_included'])
return res
def onchange_product_id(self, cr, uid, ids, pricelist, product_id, qty=0, partner_id=False, context=None):
context = context or {}
if not product_id:
return {}
if not pricelist:
raise osv.except_osv(_('No Pricelist!'),
_('You have to select a pricelist in the sale form !\n' \
'Please set one before choosing a product.'))
price = self.pool.get('product.pricelist').price_get(cr, uid, [pricelist],
product_id, qty or 1.0, partner_id)[pricelist]
result = self.onchange_qty(cr, uid, ids, product_id, 0.0, qty, price, context=context)
result['value']['price_unit'] = price
return result
def onchange_qty(self, cr, uid, ids, product, discount, qty, price_unit, context=None):
result = {}
if not product:
return result
account_tax_obj = self.pool.get('account.tax')
cur_obj = self.pool.get('res.currency')
prod = self.pool.get('product.product').browse(cr, uid, product, context=context)
price = price_unit * (1 - (discount or 0.0) / 100.0)
taxes = account_tax_obj.compute_all(cr, uid, prod.taxes_id, price, qty, product=prod, partner=False)
result['price_subtotal'] = taxes['total']
result['price_subtotal_incl'] = taxes['total_included']
return {'value': result}
_columns = {
'company_id': fields.many2one('res.company', 'Company', required=True),
'name': fields.char('Line No', required=True, copy=False),
'notice': fields.char('Discount Notice'),
'product_id': fields.many2one('product.product', 'Product', domain=[('sale_ok', '=', True)], required=True, change_default=True),
'price_unit': fields.float(string='Unit Price', digits_compute=dp.get_precision('Account')),
'qty': fields.float('Quantity', digits_compute=dp.get_precision('Product UoS')),
'price_subtotal': fields.function(_amount_line_all, multi='pos_order_line_amount', digits_compute=dp.get_precision('Account'), string='Subtotal w/o Tax', store=True),
'price_subtotal_incl': fields.function(_amount_line_all, multi='pos_order_line_amount', digits_compute=dp.get_precision('Account'), string='Subtotal', store=True),
'discount': fields.float('Discount (%)', digits_compute=dp.get_precision('Account')),
'order_id': fields.many2one('pos.order', 'Order Ref', ondelete='cascade'),
'create_date': fields.datetime('Creation Date', readonly=True),
}
_defaults = {
'name': lambda obj, cr, uid, context: obj.pool.get('ir.sequence').get(cr, uid, 'pos.order.line'),
'qty': lambda *a: 1,
'discount': lambda *a: 0.0,
'company_id': lambda self,cr,uid,c: self.pool.get('res.users').browse(cr, uid, uid, c).company_id.id,
}
class ean_wizard(osv.osv_memory):
_name = 'pos.ean_wizard'
_columns = {
'ean13_pattern': fields.char('Reference', size=13, required=True, translate=True),
}
def sanitize_ean13(self, cr, uid, ids, context):
for r in self.browse(cr,uid,ids):
ean13 = openerp.addons.product.product.sanitize_ean13(r.ean13_pattern)
m = context.get('active_model')
m_id = context.get('active_id')
self.pool[m].write(cr,uid,[m_id],{'ean13':ean13})
return { 'type' : 'ir.actions.act_window_close' }
class pos_category(osv.osv):
_name = "pos.category"
_description = "Public Category"
_order = "sequence, name"
_constraints = [
(osv.osv._check_recursion, 'Error ! You cannot create recursive categories.', ['parent_id'])
]
def name_get(self, cr, uid, ids, context=None):
res = []
for cat in self.browse(cr, uid, ids, context=context):
names = [cat.name]
pcat = cat.parent_id
while pcat:
names.append(pcat.name)
pcat = pcat.parent_id
res.append((cat.id, ' / '.join(reversed(names))))
return res
def _name_get_fnc(self, cr, uid, ids, prop, unknow_none, context=None):
res = self.name_get(cr, uid, ids, context=context)
return dict(res)
def _get_image(self, cr, uid, ids, name, args, context=None):
result = dict.fromkeys(ids, False)
for obj in self.browse(cr, uid, ids, context=context):
result[obj.id] = tools.image_get_resized_images(obj.image)
return result
def _set_image(self, cr, uid, id, name, value, args, context=None):
return self.write(cr, uid, [id], {'image': tools.image_resize_image_big(value)}, context=context)
_columns = {
'name': fields.char('Name', required=True, translate=True),
'complete_name': fields.function(_name_get_fnc, type="char", string='Name'),
'parent_id': fields.many2one('pos.category','Parent Category', select=True),
'child_id': fields.one2many('pos.category', 'parent_id', string='Children Categories'),
'sequence': fields.integer('Sequence', help="Gives the sequence order when displaying a list of product categories."),
# NOTE: there is no 'default image', because by default we don't show thumbnails for categories. However if we have a thumbnail
# for at least one category, then we display a default image on the other, so that the buttons have consistent styling.
# In this case, the default image is set by the js code.
# NOTE2: image: all image fields are base64 encoded and PIL-supported
'image': fields.binary("Image",
help="This field holds the image used as image for the cateogry, limited to 1024x1024px."),
'image_medium': fields.function(_get_image, fnct_inv=_set_image,
string="Medium-sized image", type="binary", multi="_get_image",
store={
'pos.category': (lambda self, cr, uid, ids, c={}: ids, ['image'], 10),
},
help="Medium-sized image of the category. It is automatically "\
"resized as a 128x128px image, with aspect ratio preserved. "\
"Use this field in form views or some kanban views."),
'image_small': fields.function(_get_image, fnct_inv=_set_image,
string="Smal-sized image", type="binary", multi="_get_image",
store={
'pos.category': (lambda self, cr, uid, ids, c={}: ids, ['image'], 10),
},
help="Small-sized image of the category. It is automatically "\
"resized as a 64x64px image, with aspect ratio preserved. "\
"Use this field anywhere a small image is required."),
}
class product_template(osv.osv):
_inherit = 'product.template'
_columns = {
'income_pdt': fields.boolean('Point of Sale Cash In', help="Check if, this is a product you can use to put cash into a statement for the point of sale backend."),
'expense_pdt': fields.boolean('Point of Sale Cash Out', help="Check if, this is a product you can use to take cash from a statement for the point of sale backend, example: money lost, transfer to bank, etc."),
'available_in_pos': fields.boolean('Available in the Point of Sale', help='Check if you want this product to appear in the Point of Sale'),
'to_weight' : fields.boolean('To Weigh With Scale', help="Check if the product should be weighted using the hardware scale integration"),
'pos_categ_id': fields.many2one('pos.category','Point of Sale Category', help="Those categories are used to group similar products for point of sale."),
}
_defaults = {
'to_weight' : False,
'available_in_pos': True,
}
def unlink(self, cr, uid, ids, context=None):
product_ctx = dict(context or {}, active_test=False)
if self.search_count(cr, uid, [('id', 'in', ids), ('available_in_pos', '=', True)], context=product_ctx):
if self.pool['pos.session'].search_count(cr, uid, [('state', '!=', 'closed')], context=context):
raise osv.except_osv(_('Error!'),
_('You cannot delete a product saleable in point of sale while a session is still opened.'))
return super(product_template, self).unlink(cr, uid, ids, context=context)
class res_partner(osv.osv):
_inherit = 'res.partner'
def create_from_ui(self, cr, uid, partner, context=None):
""" create or modify a partner from the point of sale ui.
partner contains the partner's fields. """
#image is a dataurl, get the data after the comma
if partner.get('image',False):
img = partner['image'].split(',')[1]
partner['image'] = img
if partner.get('id',False): # Modifying existing partner
partner_id = partner['id']
del partner['id']
self.write(cr, uid, [partner_id], partner, context=context)
else:
partner_id = self.create(cr, uid, partner, context=context)
return partner_id
# vim:expandtab:smartindent:tabstop=4:softtabstop=4:shiftwidth=4: