// We have to calculate all the currency accounts belonging to the GL account
// upto $date_ and calculate with the exchange rates. And then compare with the GL account balance.
- // 2010-02-23 Joe Hunt with help of Ary Wibowo
$sql = "SELECT SUM(bt.amount) AS for_amount, ba.bank_curr_code
FROM ".TB_PREF."bank_trans bt, ".TB_PREF."bank_accounts ba
WHERE ba.id = bt.bank_act AND ba.account_code = ".db_escape($account)." AND bt.trans_date<='".date2sql($date_)."'
$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_);
+ add_journal(ST_JOURNAL, $trans_no, $diff, $date_ , get_company_currency(), $ref, '', 1, $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, $person_id);
commit_transaction();
return true;
}
return false;
}
-//------------- New helper functions for revaluation of customer/supplier currencies 2011-05-08 Joe Hunt.
function add_cust_supp_revaluation($ledger_act, $ex_act, $date, $amount, $person_type_id, $person_id, $memo)
{
global $Refs;
$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);
+ add_journal(ST_JOURNAL, $trans_no, $amount, $date, get_company_currency(), $ref, '', 1, $date, $date);
$Refs->save(ST_JOURNAL, $trans_no, $ref);
add_audit_trail(ST_JOURNAL, $trans_no, $date);
{
$to = date2sql($date);
- $sql = "SELECT SUM(IF(t.type =".ST_CUSTCREDIT." OR t.type = ".ST_CUSTPAYMENT." OR t.type = ".ST_BANKDEPOSIT." OR t.type = ".ST_JOURNAL.",
+ $sql = "SELECT SUM(IF(t.type IN(". implode(',', array(ST_CUSTCREDIT, ST_CUSTPAYMENT, ST_BANKDEPOSIT, 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
return $trans_no;
}
-function check_bank_transfer(
- $trans_no, $from_account, $to_account, $date_,
+function check_bank_transfer($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);
// 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']));
+ $problemTransaction = check_bank_account_history(-$old_to['amount'], $old_to['bank_act'], sql2date($old_from['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, $date_);
+ if ($to_account == $old_to['bank_act'] && sql_date_comp($problemTransaction['trans_date'], date2sql($date_)) > 0) {
+ $problemTransaction['amount'] += $amount;
+ if ($problemTransaction['amount'] >= 0) {
+ $problemTransaction = null;
+ }
+ }
+ if ($problemTransaction != null) {
+ $problemTransaction['account'] = $old_to['bank_act'];
+ $problemTransaction['bank_account_name'] = $old_to['bank_account_name'];
+ return $problemTransaction;
}
- }
- 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_);
- }
+ $balance_offset = 0;
+ if ($from_account == $old_from['bank_act'] && sql_date_comp(date2sql($date_), $old_from['trans_date']) >= 0) {
+ // If the edited from_account is the same as the original transaction, and the new date is later than the old date
+ // then add the amount from the original from transaction when checking the history to simulate the void that would
+ // take effect from that date.
+ $balance_offset = -$old_from['amount'];
}
-
- if (null != $problemTransaction) {
+ $problemTransaction = check_bank_account_history(-$amount, $from_account, $date_, null, $balance_offset);
+ if ($problemTransaction != null) {
$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(
{
begin_transaction();
delete_comments(ST_BANKTRANSFER, $trans_no);
- void_bank_trans(ST_BANKTRANSFER, $trans_no, true);
+ void_transaction(ST_BANKTRANSFER, $trans_no, Today(), _("Document reentered."));
void_gl_trans(ST_BANKTRANSFER, $trans_no, true);
$new_trans_no = add_bank_transfer(
$from_account, $to_account, $date_, $amount,