point_of_sale/models/pos_payment.py

97 lines
5.2 KiB
Python

from odoo import api, fields, models, _
from odoo.tools import formatLang, float_is_zero
from odoo.exceptions import ValidationError
class PosPayment(models.Model):
""" Used to register payments made in a pos.order.
See `payment_ids` field of pos.order model.
The main characteristics of pos.payment can be read from
`payment_method_id`.
"""
_name = "pos.payment"
_description = "Point of Sale Payments"
_order = "id desc"
name = fields.Char(string='Label', readonly=True)
pos_order_id = fields.Many2one('pos.order', string='Order', required=True, index=True)
amount = fields.Monetary(string='Amount', required=True, currency_field='currency_id', readonly=True, help="Total amount of the payment.")
payment_method_id = fields.Many2one('pos.payment.method', string='Payment Method', required=True)
payment_date = fields.Datetime(string='Date', required=True, readonly=True, default=lambda self: fields.Datetime.now())
currency_id = fields.Many2one('res.currency', string='Currency', related='pos_order_id.currency_id')
currency_rate = fields.Float(string='Conversion Rate', related='pos_order_id.currency_rate', help='Conversion rate from company currency to order currency.')
partner_id = fields.Many2one('res.partner', string='Customer', related='pos_order_id.partner_id')
session_id = fields.Many2one('pos.session', string='Session', related='pos_order_id.session_id', store=True, index=True)
company_id = fields.Many2one('res.company', string='Company', related='pos_order_id.company_id', store=True)
card_type = fields.Char('Type of card used')
cardholder_name = fields.Char('Cardholder Name')
transaction_id = fields.Char('Payment Transaction ID')
payment_status = fields.Char('Payment Status')
ticket = fields.Char('Payment Receipt Info')
is_change = fields.Boolean(string='Is this payment change?', default=False)
account_move_id = fields.Many2one('account.move')
@api.depends('amount', 'currency_id')
def _compute_display_name(self):
for payment in self:
if payment.name:
payment.display_name = f'{payment.name} {formatLang(self.env, payment.amount, currency_obj=payment.currency_id)}'
else:
payment.display_name = formatLang(self.env, payment.amount, currency_obj=payment.currency_id)
@api.constrains('payment_method_id')
def _check_payment_method_id(self):
for payment in self:
if payment.payment_method_id not in payment.session_id.config_id.payment_method_ids:
raise ValidationError(_('The payment method selected is not allowed in the config of the POS session.'))
def _export_for_ui(self, payment):
return {
'payment_method_id': payment.payment_method_id.id,
'amount': payment.amount,
'pos_order_id': payment.pos_order_id.id,
'payment_status': payment.payment_status,
'card_type': payment.card_type,
'cardholder_name': payment.cardholder_name,
'transaction_id': payment.transaction_id,
'ticket': payment.ticket,
'is_change': payment.is_change,
}
def export_for_ui(self):
return self.mapped(self._export_for_ui) if self else []
def _create_payment_moves(self):
result = self.env['account.move']
for payment in self:
order = payment.pos_order_id
payment_method = payment.payment_method_id
if payment_method.type == 'pay_later' or float_is_zero(payment.amount, precision_rounding=order.currency_id.rounding):
continue
accounting_partner = self.env["res.partner"]._find_accounting_partner(payment.partner_id)
pos_session = order.session_id
journal = pos_session.config_id.journal_id
payment_move = self.env['account.move'].with_context(default_journal_id=journal.id).create({
'journal_id': journal.id,
'date': fields.Date.context_today(order, order.date_order),
'ref': _('Invoice payment for %s (%s) using %s', order.name, order.account_move.name, payment_method.name),
'pos_payment_ids': payment.ids,
})
result |= payment_move
payment.write({'account_move_id': payment_move.id})
amounts = pos_session._update_amounts({'amount': 0, 'amount_converted': 0}, {'amount': payment.amount}, payment.payment_date)
credit_line_vals = pos_session._credit_amounts({
'account_id': accounting_partner.with_company(order.company_id).property_account_receivable_id.id, # The field being company dependant, we need to make sure the right value is received.
'partner_id': accounting_partner.id,
'move_id': payment_move.id,
}, amounts['amount'], amounts['amount_converted'])
debit_line_vals = pos_session._debit_amounts({
'account_id': pos_session.company_id.account_default_pos_receivable_account_id.id,
'move_id': payment_move.id,
}, amounts['amount'], amounts['amount_converted'])
self.env['account.move.line'].create([credit_line_vals, debit_line_vals])
payment_move._post()
return result