# -*- coding: utf-8 -*- # Part of Odoo. See LICENSE file for full copyright and licensing details. from collections import deque from odoo import api, Command, fields, models, _ from odoo.tools.float_utils import float_round, float_is_zero, float_compare from odoo.exceptions import UserError class StockMove(models.Model): _inherit = 'stock.move' purchase_line_id = fields.Many2one( 'purchase.order.line', 'Purchase Order Line', ondelete='set null', index='btree_not_null', readonly=True) created_purchase_line_ids = fields.Many2many( 'purchase.order.line', 'stock_move_created_purchase_line_rel', 'move_id', 'created_purchase_line_id', 'Created Purchase Order Lines', copy=False) @api.model def _prepare_merge_moves_distinct_fields(self): distinct_fields = super(StockMove, self)._prepare_merge_moves_distinct_fields() distinct_fields += ['purchase_line_id', 'created_purchase_line_ids'] return distinct_fields @api.model def _prepare_merge_negative_moves_excluded_distinct_fields(self): return super()._prepare_merge_negative_moves_excluded_distinct_fields() + ['created_purchase_line_ids'] def _compute_partner_id(self): # dropshipped moves should have their partner_ids directly set not_dropshipped_moves = self.filtered(lambda m: not m._is_dropshipped()) super(StockMove, not_dropshipped_moves)._compute_partner_id() def _should_ignore_pol_price(self): self.ensure_one() return self.origin_returned_move_id or not self.purchase_line_id or not self.product_id.id def _get_price_unit(self): """ Returns the unit price for the move""" self.ensure_one() if self._should_ignore_pol_price(): return super(StockMove, self)._get_price_unit() price_unit_prec = self.env['decimal.precision'].precision_get('Product Price') line = self.purchase_line_id order = line.order_id received_qty = line.qty_received if self.state == 'done': received_qty -= self.product_uom._compute_quantity(self.quantity, line.product_uom, rounding_method='HALF-UP') if line.product_id.purchase_method == 'purchase' and float_compare(line.qty_invoiced, received_qty, precision_rounding=line.product_uom.rounding) > 0: move_layer = line.move_ids.sudo().stock_valuation_layer_ids invoiced_layer = line.sudo().invoice_lines.stock_valuation_layer_ids # value on valuation layer is in company's currency, while value on invoice line is in order's currency receipt_value = 0 if move_layer: receipt_value += sum(move_layer.mapped(lambda l: l.currency_id._convert( l.value, order.currency_id, order.company_id, l.create_date, round=False))) if invoiced_layer: receipt_value += sum(invoiced_layer.mapped(lambda l: l.currency_id._convert( l.value, order.currency_id, order.company_id, l.create_date, round=False))) invoiced_value = 0 invoiced_qty = 0 for invoice_line in line.sudo().invoice_lines: if invoice_line.move_id.state != 'posted': continue if invoice_line.tax_ids: invoiced_value += invoice_line.tax_ids.with_context(round=False).compute_all( invoice_line.price_unit, currency=invoice_line.currency_id, quantity=invoice_line.quantity)['total_void'] else: invoiced_value += invoice_line.price_unit * invoice_line.quantity invoiced_qty += invoice_line.product_uom_id._compute_quantity(invoice_line.quantity, line.product_id.uom_id) # TODO currency check remaining_value = invoiced_value - receipt_value # TODO qty_received in product uom remaining_qty = invoiced_qty - line.product_uom._compute_quantity(received_qty, line.product_id.uom_id) price_unit = float_round(remaining_value / remaining_qty, precision_digits=price_unit_prec) if remaining_value and remaining_qty else line._get_gross_price_unit() else: price_unit = line._get_gross_price_unit() if order.currency_id != order.company_id.currency_id: # The date must be today, and not the date of the move since the move move is still # in assigned state. However, the move date is the scheduled date until move is # done, then date of actual move processing. See: # https://github.com/odoo/odoo/blob/2f789b6863407e63f90b3a2d4cc3be09815f7002/addons/stock/models/stock_move.py#L36 price_unit = order.currency_id._convert( price_unit, order.company_id.currency_id, order.company_id, fields.Date.context_today(self), round=False) return price_unit def _generate_valuation_lines_data(self, partner_id, qty, debit_value, credit_value, debit_account_id, credit_account_id, svl_id, description): """ Overridden from stock_account to support amount_currency on valuation lines generated from po """ self.ensure_one() rslt = super(StockMove, self)._generate_valuation_lines_data(partner_id, qty, debit_value, credit_value, debit_account_id, credit_account_id, svl_id, description) purchase_currency = self.purchase_line_id.currency_id company_currency = self.company_id.currency_id if not self.purchase_line_id or purchase_currency == company_currency: return rslt svl = self.env['stock.valuation.layer'].browse(svl_id) if not svl.account_move_line_id: rslt['credit_line_vals']['amount_currency'] = company_currency._convert( rslt['credit_line_vals']['balance'], purchase_currency, self.company_id, self.date ) rslt['debit_line_vals']['amount_currency'] = company_currency._convert( rslt['debit_line_vals']['balance'], purchase_currency, self.company_id, self.date ) rslt['debit_line_vals']['currency_id'] = purchase_currency.id rslt['credit_line_vals']['currency_id'] = purchase_currency.id else: rslt['credit_line_vals']['amount_currency'] = 0 rslt['debit_line_vals']['amount_currency'] = 0 rslt['debit_line_vals']['currency_id'] = purchase_currency.id rslt['credit_line_vals']['currency_id'] = purchase_currency.id if not svl.price_diff_value: return rslt # The idea is to force using the company currency during the reconciliation process rslt['debit_line_vals_curr'] = { 'name': _("Currency exchange rate difference"), 'product_id': self.product_id.id, 'quantity': 0, 'product_uom_id': self.product_id.uom_id.id, 'partner_id': partner_id, 'balance': 0, 'account_id': debit_account_id, 'currency_id': purchase_currency.id, 'amount_currency': -svl.price_diff_value, } rslt['credit_line_vals_curr'] = { 'name': _("Currency exchange rate difference"), 'product_id': self.product_id.id, 'quantity': 0, 'product_uom_id': self.product_id.uom_id.id, 'partner_id': partner_id, 'balance': 0, 'account_id': credit_account_id, 'currency_id': purchase_currency.id, 'amount_currency': svl.price_diff_value, } return rslt def _prepare_extra_move_vals(self, qty): vals = super(StockMove, self)._prepare_extra_move_vals(qty) vals['purchase_line_id'] = self.purchase_line_id.id vals['created_purchase_line_ids'] = [Command.set(self.created_purchase_line_ids.ids)] return vals def _prepare_move_split_vals(self, uom_qty): vals = super(StockMove, self)._prepare_move_split_vals(uom_qty) vals['purchase_line_id'] = self.purchase_line_id.id return vals def _clean_merged(self): super(StockMove, self)._clean_merged() self.write({'created_purchase_line_ids': [Command.clear()]}) def _get_upstream_documents_and_responsibles(self, visited): created_pl = self.created_purchase_line_ids.filtered(lambda cpl: cpl.state not in ('done', 'cancel') and (cpl.state != 'draft' or self._context.get('include_draft_documents'))) if created_pl: return [(pl.order_id, pl.order_id.user_id, visited) for pl in created_pl] elif self.purchase_line_id and self.purchase_line_id.state not in ('done', 'cancel'): return[(self.purchase_line_id.order_id, self.purchase_line_id.order_id.user_id, visited)] else: return super(StockMove, self)._get_upstream_documents_and_responsibles(visited) def _get_related_invoices(self): """ Overridden to return the vendor bills related to this stock move. """ rslt = super(StockMove, self)._get_related_invoices() rslt += self.mapped('picking_id.purchase_id.invoice_ids').filtered(lambda x: x.state == 'posted') return rslt def _get_source_document(self): res = super()._get_source_document() return self.purchase_line_id.order_id or res def _get_valuation_price_and_qty(self, related_aml, to_curr): valuation_price_unit_total = 0 valuation_total_qty = 0 for val_stock_move in self: # In case val_stock_move is a return move, its valuation entries have been made with the # currency rate corresponding to the original stock move valuation_date = val_stock_move.origin_returned_move_id.date or val_stock_move.date svl = val_stock_move.with_context(active_test=False).mapped('stock_valuation_layer_ids').filtered( lambda l: l.quantity) layers_qty = sum(svl.mapped('quantity')) layers_values = sum(svl.mapped('value')) valuation_price_unit_total += related_aml.company_currency_id._convert( layers_values, to_curr, related_aml.company_id, valuation_date, round=False, ) valuation_total_qty += layers_qty if float_is_zero(valuation_total_qty, precision_rounding=related_aml.product_uom_id.rounding or related_aml.product_id.uom_id.rounding): raise UserError( _('Odoo is not able to generate the anglo saxon entries. The total valuation of %s is zero.', related_aml.product_id.display_name)) return valuation_price_unit_total, valuation_total_qty def _is_purchase_return(self): self.ensure_one() return self.location_dest_id.usage == "supplier" def _get_all_related_aml(self): # The back and for between account_move and account_move_line is necessary to catch the # additional lines from a cogs correction return super()._get_all_related_aml() | self.purchase_line_id.invoice_lines.move_id.line_ids.filtered( lambda aml: aml.product_id == self.purchase_line_id.product_id) def _get_all_related_sm(self, product): return super()._get_all_related_sm(product) | self.filtered(lambda m: m.purchase_line_id.product_id == product) def _get_purchase_line_and_partner_from_chain(self): moves_to_check = deque(self) seen_moves = set() while moves_to_check: current_move = moves_to_check.popleft() if current_move.purchase_line_id: return current_move.purchase_line_id.id, current_move.picking_id.partner_id.id seen_moves.add(current_move) moves_to_check.extend( [move for move in current_move.move_orig_ids if move not in moves_to_check and move not in seen_moves] ) return None, None