}
$amount = get_gl_trans_from_to("", $date_, $account);
$diff = $amount - $for_amount;
- if ($diff != 0)
+ if (floatcmp($diff,0))
{
- if ($trans_no == null)
- $trans_no = get_next_trans_no(ST_JOURNAL);
+ // generate journal entry // FIXME: use cart?
+ global $Refs;
+
+ begin_transaction();
+ $trans_no = get_next_trans_no(ST_JOURNAL);
+ $ref = $Refs->get_next(ST_JOURNAL);
+
+ add_journal(ST_JOURNAL, $trans_no, $diff, $date_ , $currency, $ref, '', $rate, $date_, $date_);
+ $Refs->save(ST_JOURNAL, $trans_no, $ref);
+ add_audit_trail(ST_JOURNAL, $trans_no, $date_);
+ add_comments(ST_JOURNAL, $trans_no, $date_, $memo);
+
if ($person_type_id == null)
$person_type_id = PT_MISC;
add_gl_trans(ST_JOURNAL, $trans_no, $date_, $account, 0, 0, _("Exchange Variance"),
- -$diff, null, $person_type_id, $person_id);
+ $diff, null, $person_type_id, $person_id);
+
+ // positive change in value is positive variance for AR and bank accounts, and negative for AP
+ $variance_act = ($diff < 0 && $person_id==PT_SUPPLIER) || ($diff > 0 && $person_id != PT_SUPPLIER)
+ ? 'exchange_diff_act' : 'exchange_diff_neg_act';
add_gl_trans(ST_JOURNAL, $trans_no, $date_, get_company_pref('exchange_diff_act'), 0, 0,
- _("Exchange Variance"), $diff, null, $person_type_id, $person_id);
+ _("Exchange Variance"), -$diff, null, $person_type_id, $person_id);
+ commit_transaction();
+ return true;
}
- return ($diff != 0);
+ return false;
}
//------------- New helper functions for revaluation of customer/supplier currencies 2011-05-08 Joe Hunt.
global $Refs;
if ($amount == 0)
return;
+
+ begin_transaction();
$trans_no = get_next_trans_no(ST_JOURNAL);
+ $ref = $Refs->get_next(ST_JOURNAL);
+
+ add_journal(ST_JOURNAL, $trans_no, $amount, $date, $currency, $ref, '', $rate, $date, $date);
+ $Refs->save(ST_JOURNAL, $trans_no, $ref);
+ add_audit_trail(ST_JOURNAL, $trans_no, $date);
+
add_gl_trans(ST_JOURNAL, $trans_no, $date, $ledger_act, 0, 0, _("Exchange Variance"),
$amount, null, $person_type_id, $person_id);
add_gl_trans(ST_JOURNAL, $trans_no, $date, $ex_act, 0, 0,
_("Exchange Variance"), -$amount, null, $person_type_id, $person_id);
add_comments(ST_JOURNAL, $trans_no, $date, $memo);
- $ref = $Refs->get_next(ST_JOURNAL);
- $Refs->save(ST_JOURNAL, $trans_no, $ref);
- add_audit_trail(ST_JOURNAL, $trans_no, $date);
+ commit_transaction();
}
function get_cust_account_curr_balances($date)
{
$to = date2sql($date);
- $sql = "SELECT SUM(IF(t.type =".ST_CUSTCREDIT." OR t.type = ".ST_CUSTPAYMENT." OR t.type = ".ST_BANKDEPOSIT.",
+ $sql = "SELECT SUM(IF(t.type =".ST_CUSTCREDIT." OR t.type = ".ST_CUSTPAYMENT." OR t.type = ".ST_BANKDEPOSIT." OR t.type = ".ST_JOURNAL.",
-(t.ov_amount + t.ov_gst + t.ov_freight + t.ov_freight_tax + t.ov_discount),
(t.ov_amount + t.ov_gst + t.ov_freight + t.ov_freight_tax + t.ov_discount))) AS amount,
dt.debtor_no, dt.name, dt.curr_code, b.receivables_account
//
function add_bank_transfer($from_account, $to_account, $date_,
- $amount, $ref, $memo_, $charge=0)
+ $amount, $ref, $memo_, $charge=0, $target_amount=0)
{
global $Refs, $SysPrefs;
-
+
begin_transaction();
- $args = func_get_args(); if (count($args) < 7) $args[] = 0;
+ $args = func_get_args(); if (count($args) < 8) $args[] = 0;
$args = (object)array_combine(array('from_account', 'to_account', 'date_', 'amount',
- 'ref', 'memo_', 'charge'), $args);
+ 'ref', 'memo_', 'charge', 'target_amount'), $args);
$args->trans_no = 0;
hook_db_prewrite($args, ST_BANKTRANSFER);
if ($charge != 0)
{
/* Now Debit bank charge account with charges */
- $charge_act = get_company_pref('bank_charge_act');
+ $charge_act = get_bank_charge_account($from_account);
$total += add_gl_trans($trans_type, $trans_no, $date_,
$charge_act, 0, 0, $person_id, $charge, $currency);
}
+
+ // provide backward compatibility for extension modules (target amount can be not passed)
+ $to_currency = $target_amount ? $toact['bank_curr_code'] : $currency;
+ $to_amount = $target_amount ? $target_amount : $amount;
+
// do the destination account postings
$total += add_gl_trans($trans_type, $trans_no, $date_, $to_gl_account, 0, 0, $person_id,
- $amount, $currency);
+ $to_amount, $to_currency);
/*Post a balance post if $total != 0 */
- add_gl_balance($trans_type, $trans_no, $date_, -$total);
+ if ($currency == $to_currency)
+ add_gl_balance($trans_type, $trans_no, $date_, -$total);
+ else // in this case those are exchange variances between bank and home rates
+ add_gl_trans($trans_type, $trans_no, $date_, get_company_pref('exchange_diff_act'),
+ 0, 0, _("Exchange Variance"), -$total);
add_bank_trans($trans_type, $trans_no, $to_account, $ref,
- $date_, $amount, PT_MISC, $person_id,
- $currency, "Cannot insert a destination bank transaction");
+ $date_, $to_amount, PT_MISC, $person_id,
+ $to_currency, "Cannot insert a destination bank transaction");
if ($SysPrefs->auto_currency_revaluation())
{
$currency = get_bank_account_currency($to_account);
-
- if ($exchanged || add_exchange_variation($trans_no1, $date_, $to_account, $to_gl_account,
+ if (add_exchange_variation($trans_no1, $date_, $to_account, $to_gl_account,
$currency, PT_MISC, $person_id))
$exchanged = true;
}
return $trans_no;
}
+
+function check_bank_transfer(
+ $trans_no, $from_account, $to_account, $date_,
+ $amount, $target_amount=0)
+{
+ $dbResult = get_bank_trans(ST_BANKTRANSFER, $trans_no);
+ if (2 != db_num_rows($dbResult)) {
+ // How are errors handled? Throw an exception would be nice. CP 2014-10
+ }
+
+ $old_from = db_fetch($dbResult);
+ $old_to = db_fetch($dbResult);
+ if ($old_to['amount'] < 0.0) {
+ $tmp = $old_from;
+ $old_from = $old_to;
+ $old_to = $tmp;
+ }
+ // There are four accounts to consider:
+ // 1) The original from account that is being voided. This results in funds being put back which is always fine.
+ // 2) The original to account that is being voided. This results in funds being removed which may result in a
+ // negative balance in the account at some time and therefore needs to be checked.
+ $problemTransaction = check_bank_account_history(-$old_to['amount'], $old_to['bank_act'], sql2date($old_to['trans_date']));
+ if ($problemTransaction) {
+ // If the destination account is the same as that being edited, it may be that this edit will resolve the
+ // problem of voiding.
+ if ($to_account == $old_to['bank_act'] && sql_date_comp($problemTransaction['trans_date'], date2sql($date_)) >= 0) {
+ $problemTransaction = check_bank_account_history($target_amount-$old_to['amount'], $to_account, $date_);
+ }
+ }
+ if (null != $problemTransaction) {
+ $problemTransaction['account'] = $old_to['bank_act'];
+ $problemTransaction['bank_account_name'] = $old_to['bank_account_name'];
+ return $problemTransaction;
+ }
+
+ // 3) The edited from account, that is having funds removed which may result in a
+ // negative balance in the account at some time and therefore needs to be checked.
+ $problemTransaction = check_bank_account_history(-$amount, $from_account, $date_);
+ if ($problemTransaction) {
+ // If the target account is the same as that being edited, it may be that voiding old transfer will
+ // solve balance problem.
+ //
+ if ($from_account == $old_from['bank_act'] && sql_date_comp($problemTransaction['trans_date'], $old_from['trans_date']) >=0 ) {
+ $problemTransaction = check_bank_account_history(-$amount-$old_from['amount'], $from_account, $date_);
+ }
+ }
+
+ if (null != $problemTransaction) {
+ $problemTransaction['account'] = $old_from['bank_act'];
+ $problemTransaction['bank_account_name'] = $old_from['bank_account_name'];
+ return $problemTransaction;
+ }
+ // 4) The edited to account, that is having funds added which is always ok.
+
+ return $problemTransaction;
+
+}
+
+function update_bank_transfer(
+ $trans_no, $from_account, $to_account, $date_,
+ $amount, $ref, $memo_, $charge=0, $target_amount=0)
+{
+ begin_transaction();
+ delete_comments(ST_BANKTRANSFER, $trans_no);
+ void_bank_trans(ST_BANKTRANSFER, $trans_no, true);
+ void_gl_trans(ST_BANKTRANSFER, $trans_no, true);
+ $new_trans_no = add_bank_transfer(
+ $from_account, $to_account, $date_, $amount,
+ $ref, $memo_, $charge, $target_amount
+ );
+ commit_transaction();
+ return $new_trans_no;
+}
+
//----------------------------------------------------------------------------------
// Add bank payment or deposit to database.
//
// $from_account - bank account id
-// $item - transaction cart (line item's amounts in bank account's currency)
+// $items - transaction cart (line amounts in bank account's currency); negative for deposit
// $person_type_id - defines type of $person_id identifiers
// $person_id - supplier/customer/other id
-// $person_detail_id - customer branch id or not used
+// $person_detail_id - customer branch id or not used
+// $settled_amount - settled amount in AR/AP (if applicable) in customer/supplier currency (always non-negative number)
//
// returns an array of (inserted trans type, trans no)
//
// FIXME -revise code for update case
//
function write_bank_transaction($trans_type, $trans_no, $from_account, $items, $date_,
- $person_type_id, $person_id, $person_detail_id, $ref, $memo_, $use_transaction=true)
+ $person_type_id, $person_id, $person_detail_id, $ref, $memo_, $use_transaction=true, $settled_amount=null)
{
global $Refs, $SysPrefs;
$args = func_get_args(); if (count($args) < 11) $args[] = true;
$args = (object)array_combine(array('trans_type', 'trans_no', 'from_account', 'items', 'date_',
- 'person_type_id', 'person_id', 'person_detail_id', 'ref', 'memo_', 'use_transaction'),
+ 'person_type_id', 'person_id', 'person_detail_id', 'ref', 'memo_', 'use_transaction', 'settled_amount'),
$args);
hook_db_prewrite($args, $trans_type);
$old_trans = $trans_no;
$Refs->restore_last($trans_type, $trans_no);
$aid = has_attachment($trans_type, $trans_no);
- }
+ } else
+ $old_trans = false;
$currency = get_bank_account_currency($from_account);
$bank_gl_account = get_bank_gl_account($from_account);
if ($person_type_id == PT_CUSTOMER)
{
// we need to add a customer transaction record
-
// convert to customer currency
- $cust_amount = exchange_from_to($total_amount, $currency, get_customer_currency($person_id), $date_);
- // we need to negate it too
- $cust_amount = -$cust_amount;
+ if (!isset($settled_amount)) // leaved for backward/ext compatibility
+ $cust_amount = exchange_from_to(abs($total_amount), $currency, get_customer_currency($person_id), $date_);
+ else
+ $cust_amount = $settled_amount;
+
+ if ($trans_type == ST_BANKPAYMENT)
+ $cust_amount = -$cust_amount;
$trans_no = write_customer_trans($trans_type, 0, $person_id, $person_detail_id, $date_,
$ref, $cust_amount);
-
+ if ($old_trans)
+ move_trans_attachments($trans_type, $old_trans, $trans_no);
}
elseif ($person_type_id == PT_SUPPLIER)
{
// we need to add a supplier transaction record
// convert to supp currency
- $supp_amount = exchange_from_to($total_amount, $currency, get_supplier_currency($person_id), $date_);
+ if (!isset($settled_amount)) // leaved for for backward/ext compatibility
+ $supp_amount = exchange_from_to(abs($total_amount), $currency, get_supplier_currency($person_id), $date_);
+ else
+ $supp_amount = $settled_amount;
- // we need to negate it too
- $supp_amount = -$supp_amount;
+ if ($trans_type == ST_BANKPAYMENT)
+ $supp_amount = -$supp_amount;
$trans_no = write_supp_trans($trans_type, 0, $person_id, $date_, '',
$ref, "", $supp_amount, 0, 0);
-
+ if ($old_trans)
+ move_trans_attachments($trans_type, $old_trans, $trans_no);
}
else
{
// old transaction can be voided only after new transaction is entered,
// otherwise the operation could fail for cash accounts due to temporary negative balance
- if (@$old_trans)
- void_transaction($trans_type, $old_trans, Today(), _("Document reentered."));
+ if ($old_trans)
+ {
+ $msg = void_transaction($trans_type, $old_trans, Today(), _("Document reentered."));
+ if ($msg)
+ {
+ display_error($msg);
+ return false;
+ }
+ }
+
$args->trans_no = $trans_no;
hook_db_postwrite($args, $trans_type);