- =pod
- =head1 NAME
- LedgerSMB::Scripts::payment - LedgerSMB class defining the Controller functions for payment handling.
- =head1 SYNOPSIS
- Defines the controller functions and workflow logic for payment processing.
- =head1 COPYRIGHT
- Portions Copyright (c) 2007, David Mora R and Christian Ceballos B.
- Licensed to the public under the terms of the GNU GPL version 2 or later.
- Original copyright notice below.
- #=====================================================================
- # PLAXIS
- # Copyright (c) 2007
- #
- # Author: David Mora R
- # Christian Ceballos B
- #
- #
- #
- #
- #
- # This program is free software; you can redistribute it and/or modify
- # it under the terms of the GNU General Public License as published by
- # the Free Software Foundation; either version 2 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 General Public License for more details.
- # You should have received a copy of the GNU General Public License
- # along with this program; if not, write to the Free Software
- # Foundation, Inc., 675 Mass Ave, Cambridge, MA 02139, USA.
- =head1 METHODS
- =cut
- package LedgerSMB::Scripts::payment;
- use LedgerSMB::Template;
- use LedgerSMB::Sysconfig;
- use LedgerSMB::DBObject::Payment;
- use LedgerSMB::DBObject::Date;
- use Error::Simple;
- use strict;
- # CT: A few notes for future refactoring of this code:
- # 1: I don't think it is a good idea to make the UI too dependant on internal
- # code structures but I don't see a good alternative at the moment.
- # 2: CamelCasing: -1
- =pod
- =item payment
- This method is used to set the filter screen and prints it, using the
- TT2 system.
- =back
- =cut
- sub payments {
- my ($request) = @_;
- my $payment = LedgerSMB::DBObject::Payment->new({'base' => $request});
- $payment->get_metadata();
- if (!defined $payment->{batch_date}){
- $payment->error("No Batch Date!");
- }
- my $template = LedgerSMB::Template->new(
- user => $request->{_user},
- locale => $request->{_locale},
- path => 'UI/payments',
- template => 'payments_filter',
- format => 'HTML',
- );
- $template->render($payment);
- }
- sub get_search_criteria {
- my ($request) = @_;
- my $payment = LedgerSMB::DBObject::Payment->new({'base' => $request});
- $payment->get_metadata();
- if ($payment->{batch_id} && $payment->{batch_date}){
- $payment->{date_reversed} = $payment->{batch_date};
- }
- my $template = LedgerSMB::Template->new(
- user => $request->{_user},
- locale => $request->{_locale},
- path => 'UI/payments',
- template => 'search',
- format => 'HTML',
- );
- $template->render($payment);
- }
- sub get_search_results {
- my ($request) = @_;
- my $rows = [];
- my $payment = LedgerSMB::DBObject::Payment->new({'base' => $request});
- my @search_results = $payment->search;
- my $template = LedgerSMB::Template->new(
- user => $request->{_user},
- locale => $request->{_locale},
- path => 'UI',
- template => 'form-dynatable',
- format => ($payment->{format}) ? $payment->{format} : 'HTML',
- );
- my $base_url = "payment.pl?";
- my $search_url = "$base_url";
- for my $key (keys %{$request->take_top_level}){
- if ($base_url =~ /\?$/){
- $base_url .= "$key=$request->{key}";
- } else {
- $base_url .= "&$key=$request->{key}";
- }
- }
- my @columns = qw(selected meta_number date_paid amount source company_paid);
- my $contact_type = ($payment->{account_class} == 1) ? 'Vendor' : 'Customer';
- # CT: Locale strings for gettext:
- # $request->{_locale}->text("Vendor Number");
- # $request->{_locale}->text("Customer Number");
- my $heading = {
- selected => $request->{_locale}->text('Selected'),
- company_paid => {
- text => $request->{_locale}->text('Company Name'),
- href => "$search_url&orderby=company_paid",
- },
- meta_number => {
- text => $request->{_locale}->text(
- "$contact_type Number"
- ),
- href => "$search_url&orderby=meta_number",
- },
- date_paid => {
- text => $request->{_locale}->text('Date Paid'),
- href => "$search_url&orderby=date_paid",
- },
- amount => {
- text => $request->{_locale}->text('Total Paid'),
- href => "$search_url&orderby=amount",
- },
- source => {
- text => $request->{_locale}->text('Source'),
- href => "$search_url&orderby=source",
- },
- };
- my $classcount;
- $classcount = 0;
- my $rowcount;
- $rowcount = 1;
- for my $line (@search_results){
- $classcount ||= 0;
- $rowcount += 1;
- push(@$rows, {
- company_paid => $line->{company_paid},
- amount => $request->format_amount(amount => $line->{amount}),
- i => "$classcount",
- date_paid => $line->{date_paid},
- source => $line->{source},
- meta_number => $line->{meta_number},
- selected => {
- input => {
- type => "checkbox",
- name => "payment_$rowcount",
- value => "1",
- },
- }
- });
- $payment->{"credit_id_$rowcount"} = $line->{credit_id};
- $payment->{"date_paid_$rowcount"} = $line->{date_paid};
- $payment->{"source_$rowcount"} = $line->{source};
- $classcount = ($classcount + 1) % 2;
- ++$rowcount;
- }
- $payment->{rowcount} = $rowcount;
- $payment->{script} = 'payment.pl';
- $payment->{title} = $request->{_locale}->text("Payment Results");
- my $hiddens = $payment->take_top_level;
- $template->render({
- form => $payment,
- columns => \@columns,
- heading => $heading,
- hiddens => $payment->take_top_level,
- rows => $rows,
- buttons => [{
- value => 'reverse_payments',
- name => 'action',
- class => 'submit',
- type => 'submit',
- text => $request->{_locale}->text('Reverse Payments'),
- }]
- });
- }
- sub get_search_results_reverse_payments {
- my ($request) = @_;
- my $payment = LedgerSMB::DBObject::Payment->new({base => $request});
- for my $count (1 .. $payment->{rowcount}){
- if ($payment->{"payment_$count"}){
- $payment->{credit_id} = $payment->{"credit_id_$count"};
- $payment->{date_paid} = $payment->{"date_paid_$count"};
- $payment->{source} = $payment->{"source_$count"};
- $payment->reverse;
- }
- }
- get_search_criteria($payment);
- }
- sub check_job {
- my ($request) = @_;
- my $payment = LedgerSMB::DBObject::Payment->new({'base' => $request});
- $payment->check_job;
- my $template = LedgerSMB::Template->new(
- user => $request->{_user},
- locale => $request->{_locale},
- path => 'UI/payments',
- template => 'check_job',
- format => 'HTML',
- );
- $template->render($payment);
- }
- sub post_payments_bulk {
- my ($request) = @_;
- my $payment = LedgerSMB::DBObject::Payment->new({'base' => $request});
- $payment->post_bulk();
- my $template;
- if ($payment->{queue_payments}){
- $payment->{job_label} = 'Payments';
- $template = LedgerSMB::Template->new(
- user => $request->{_user},
- locale => $request->{_locale},
- path => 'UI/payments',
- template => 'check_job',
- format => 'HTML',
- );
- } else {
- payments($request);
- }
- $template->render($payment);
- }
- sub print {
- use LedgerSMB::DBObject::Company;
- use LedgerSMB::Batch;
- my ($request) = @_;
- my $payment = LedgerSMB::DBObject::Payment->new({'base' => $request});
- $payment->{company} = $payment->{_user}->{company};
- $payment->{address} = $payment->{_user}->{address};
- my $template;
- if ($payment->{batch_id}){
- my $batch = LedgerSMB::Batch->new(
- {base => $payment,
- copy => 'base' }
- );
- $batch->{id} = $payment->{batch_id};
- $batch->get;
- $payment->{batch_description} = $batch->{description};
- $payment->{batch_control_code} = $batch->{control_code};
- }
- $payment->{format_amount} = sub {return $payment->format_amount(@_); };
- if ($payment->{multiple}){
- $payment->{checks} = [];
- print "Multiple checks printing";
- for my $line (1 .. $payment->{contact_count}){
- my $id = $payment->{"contact_$line"};
- next if !defined $payment->{"id_$id"};
- my $check = LedgerSMB::DBObject::Company->new(
- {base => $request, copy => 'base' }
- );
- $check->{entity_class} = $payment->{account_class};
- $check->{id} = $id;
- $check->get_billing_info;
- $check->{amount} = $check->parse_amount(amount => '0');
- $check->{invoices} = [];
- $check->{source} = $payment->{"source_$id"};
- my $inv_count;
- if ($LedgerSMB::Sysconfig::check_max_invoices >
- $payment->{"invoice_count_$id"})
- {
- $inv_count = $payment->{"invoice_count_$id"};
- } else {
- $inv_count = $LedgerSMB::Sysconfig::check_max_invoices;
- }
- for my $inv (1 .. $inv_count){
- my $invhash = {};
- my $inv_id = $payment->{"invoice_${id}_$inv"};
- for (qw(invnumber invdate)){
- $invhash->{$_} = $payment->{"${_}_$inv_id"};
- }
- if ($payment->{"paid_$id"} eq 'some'){
- $invhash->{paid} = $payment->parse_amount(amount => $payment->{"payment_$inv_id"});
- } elsif ($payment->{"paid_$id"} eq 'all'){
- $invhash->{paid} = $payment->parse_amount(amount => $payment->{"net_$inv_id"});
- } else {
- $payment->error("Invalid Payment Amount Option");
- }
- $check->{amount} += $invhash->{paid};
- $invhash->{paid} = $check->format_amount(amount => $invhash->{paid});
- push @{$check->{invoices}}, $invhash;
- }
- my $amt = $check->{amount}->copy;
- $amt->bfloor();
- $check->{text_amount} = $payment->text_amount($amt);
- $check->{amount} = $check->format_amount(amount => $check->{amount},
- format => '1000.00');
- $check->{decimal} = $check->format_amount(amount => ($check->{amount} - $amt) * 100);
- push @{$payment->{checks}}, $check;
- }
- $template = LedgerSMB::Template->new(
- user => $payment->{_user}, template => 'check_multiple',
- format => uc $payment->{'format'},
- no_auto_output => 1,
- output_args => $payment,
- );
- try {
- $template->render($payment);
- $template->output(%$payment);
- }
- catch Error::Simple with {
- my $E = shift;
- $payment->error( $E->stacktrace );
- };
- } else {
- }
- }
- sub update_payments {
- display_payments(@_);
- }
- sub display_payments {
- my ($request) = @_;
- my $payment = LedgerSMB::DBObject::Payment->new({'base' => $request});
- $payment->get_payment_detail_data();
- $payment->{grand_total} = 0;
- for (@{$payment->{contact_invoices}}){
- my $contact_total = 0;
- $_->{total_due} = $payment->format_amount(amount => $_->{total_due},
- money => 1);
- for my $invoice (@{$_->{invoices}}){
- if (($payment->{action} ne 'update_payments')
- or (defined $payment->{"id_$_->{contact_id}"})){
- if ($payment->{"paid_$_->{contact_id}"} eq 'some'){
- my $i_id = $invoice->[0];
- $contact_total
- += $payment->{"payment_$i_id"};
- }
- }
- $invoice->[3] = $payment->format_amount(amount => $invoice->[3],
- money => 1);
- $invoice->[4] = $payment->format_amount(amount => $invoice->[4],
- money => 1);
- $invoice->[5] = $payment->format_amount(amount => $invoice->[5],
- money => 1);
- $invoice->[6] = $payment->format_amount(amount => $invoice->[6],
- money => 1);
- my $fld = "payment_" . $invoice->[0];
- if (!defined $payment->{"$fld"} ){
- $payment->{"$fld"} = $invoice->[6];
- }
- }
- if ($payment->{"paid_$_->{contact_id}"} ne 'some') {
- $contact_total = $_->{total_due};
- }
- if (($payment->{action} ne 'update_payments')
- or (defined $payment->{"id_$_->{contact_id}"})){
- $_->{contact_total} = $contact_total;
- $payment->{grand_total} += $contact_total;
- }
- }
- @{$payment->{media_options}} = (
- {text => $request->{_locale}->text('Screen'),
- value => 'screen'});
- for (keys %LedgerSMB::Sysconfig::printer){
- push @{$payment->{media_options}},
- {text => $_,
- value => $LedgerSMB::Sysconfig::printer{$_}};
- }
- if ($LedgerSMB::Sysconfig::latex){
- @{$payment->{format_options}} = (
- {text => 'PDF', value => 'PDF'},
- {text => 'Postscript', value => 'Postscript'},
- );
- $payment->{can_print} = 1;
- }
- my $template = LedgerSMB::Template->new(
- user => $request->{_user},
- locale => $request->{_locale},
- path => 'UI/payments',
- template => 'payments_detail',
- format => 'HTML',
- );
- $template->render($payment);
- }
-
- =item payment
- This method is used to set the filter screen and prints it, using the
- TT2 system.
- =back
- =cut
- sub payment {
- my ($request) = @_;
- my $locale = $request->{_locale};
- my $dbPayment = LedgerSMB::DBObject::Payment->new({'base' => $request});
- # Lets get the project data...
- my @projectOptions;
- my @arrayOptions = $dbPayment->list_open_projects();
- push @projectOptions, {}; #A blank field on the select box
- for my $ref (0 .. $#arrayOptions) {
- push @projectOptions, { value => $arrayOptions[$ref]->{id}."--".$arrayOptions[$ref]->{projectnumber}."--".$arrayOptions[$ref]->{description},
- text => $arrayOptions[$ref]->{projectnumber}."--".$arrayOptions[$ref]->{description}};
- }
- # Lets get the departments data...
- my @departmentOptions;
- my $role = $request->{type} eq 'receipt' ? 'P' : 'C';
- @arrayOptions = $dbPayment->list_departments($role);
- push @departmentOptions, {}; # A blank field on the select box
- for my $ref (0 .. $#arrayOptions) {
- push @departmentOptions, { value => $arrayOptions[$ref]->{id}."--".$arrayOptions[$ref]->{description},
- text => $arrayOptions[$ref]->{description}};
- }
- # Lets get the currencies (this uses the $dbPayment->{account_class} property)
- my @currOptions;
- @arrayOptions = $dbPayment->get_open_currencies();
- for my $ref (0 .. $#arrayOptions) {
- push @currOptions, { value => $arrayOptions[$ref]->{payments_get_open_currencies},
- text => $arrayOptions[$ref]->{payments_get_open_currencies} };
- }
- # Lets build filter by period
- my $date = LedgerSMB::DBObject::Date->new({base => $request});
- $date->build_filter_by_period($locale);
- # Lets set the data in a hash for the template system. :)
- my $select = {
- stylesheet => $request->{_user}->{stylesheet},
- login => { name => 'login',
- value => $request->{_user}->{login} },
- projects => {
- name => 'projects',
- options => \@projectOptions
- },
- department => {
- name => 'department',
- options => \@departmentOptions
- },
- curr => {
- name => 'curr',
- options => \@currOptions
- },
- month => {
- name => 'month',
- options => $date->{monthsOptions}
- },
- year => {
- name => 'year',
- options => $date->{yearsOptions}
- },
- interval_radios => $date->{radioOptions},
- amountfrom => {
- name => 'amountfrom',
- },
- amountto => {
- name => 'amountto',
- },
- accountclass => {
- name => 'account_class',
- value => $dbPayment->{account_class}
- },
- type => {
- name => 'type',
- value => $request->{type}
- },
- action => {
- name => 'action',
- value => 'payment1_5',
- text => $locale->text("Continue"),
- }
- };
- my $template;
- $template = LedgerSMB::Template->new(
- user => $request->{_user},
- locale => $request->{_locale},
- path => 'UI/payments',
- template => 'payment1',
- format => 'HTML' );
- $template->render($select);# And finally, Lets print the screen :)
- }
- =pod
- =item payment1_5
- This method is called between payment and payment2, it will search the database
- for entity_credit_accounts that match the parameter, if only one is found it will
- run unnoticed by the user, if more than one is found it will ask the user to pick
- one to handle the payment against
- =back
- =cut
- sub payment1_5 {
- my ($request) = @_;
- my $locale = $request->{_locale};
- my $dbPayment = LedgerSMB::DBObject::Payment->new({'base' => $request});
- my @array_options = $dbPayment->get_entity_credit_account();
- if ($#array_options == -1) {
- &payment($request);
- } elsif ($#array_options == 0) {
- $request->{'vendor-customer'} = $array_options[0]->{id}.'--'.$array_options[0]->{name};
- &payment2($request);
- } else {
- # Lets call upon the template system
- my @company_options;
- for my $ref (0 .. $#array_options) {
- push @company_options, { id => $array_options[$ref]->{id},
- name => $array_options[$ref]->{name}};
- }
- my $select = {
- companies => \@company_options,
- stylesheet => $request->{_user}->{stylesheet},
- login => { name => 'login',
- value => $request->{_user}->{login}},
- department => { name => 'department',
- value => $request->{department}},
- currency => { name => 'curr',
- value => $request->{curr}},
- datefrom => { name => 'datefrom',
- value => $request->{datefrom}},
- dateto => { name => 'dateto',
- value => $request->{dateto}},
- amountfrom => { name => 'amountfrom',
- value => $request->{datefrom}},
- amountto => { name => 'amountto',
- value => $request->{dateto}},
- accountclass => { name => 'account_class',
- value => $dbPayment->{account_class}},
- type => { name => 'type',
- value => $request->{type}},
- action => { name => 'action',
- value => 'payment2',
- text => $locale->text("Continue")}
- };
- my $template;
- $template = LedgerSMB::Template->new(
- user => $request->{_user},
- locale => $request->{_locale},
- path => 'UI/payments',
- template => 'payment1_5',
- format => 'HTML' );
- eval {$template->render($select) };
- if ($@) { $request->error("$@"); } # PRINT ERRORS ON THE UI
- }
- }
- =pod
- =item payment2
- This method is used for the payment module, it is a consecuence of the payment sub,
- and its used for all the mechanics of an invoices payment module.
- =back
- =cut
- sub payment2 {
- my ($request) = @_;
- my $locale = $request->{_locale};
- my $Payment = LedgerSMB::DBObject::Payment->new({'base' => $request});
- # VARIABLES
- my ($project_id, $project_number, $project_name, $department_id, $department_name );
- my @array_options;
- my @project;
- my @selected_checkboxes;
- my @department;
- my @array_options;
- my @currency_options;
- my $exchangerate;
- # LETS GET THE CUSTOMER/VENDOR INFORMATION
- ($Payment->{entity_credit_id}, $Payment->{company_name}) = split /--/ , $request->{'vendor-customer'};
- # WE NEED TO RETRIEVE A BILLING LOCATION, THIS IS HARDCODED FOR NOW... Should we change it?
- $Payment->{location_class_id} = '1';
- my @vc_options;
- @vc_options = $Payment->get_vc_info();
- # LETS BUILD THE PROJECTS INFO
- # I DONT KNOW IF I NEED ALL THIS, BUT AS IT IS AVAILABLE I'LL STORE IT FOR LATER USAGE.
- if ($request->{projects}) {
- ($project_id, $project_number, $project_name) = split /--/ , $request->{projects} ;
- @project = { name => 'projects', text => $project_number.' '.$project_name, value => $request->{projects}};
- }
- # LETS GET THE DEPARTMENT INFO
- # WE HAVE TO SET $dbPayment->{department_id} NOW, THIS DATA WILL BE USED LATER WHEN WE
- # CALL FOR payment_get_open_invoices. :)
- if ($request->{department}) {
- ($Payment->{department_id}, $department_name) = split /--/, $request->{department};
- @department = { name => 'department', text => $department_name, value => $request->{department}};
- }
- # LETS GET ALL THE ACCOUNTS
- my @account_options = $Payment->list_accounting();
- # LETS GET THE POSSIBLE SOURCES
- my @sources_options = $Payment->get_sources(\%$locale);
- # WE MUST PREPARE THE ENTITY INFORMATION
- #@array_options = $Payment->get_vc_info();# IS THIS WORKING?
- # LETS BUILD THE CURRENCIES INFORMATION
- # FIRST, WE NEED TO KNOW THE DEFAULT CURRENCY
- my $default_currency = $Payment->get_default_currency();
- # LETS BUILD THE COLUMN HEADERS WE ALWAYS NEED
- # THE OTHER HEADERS WILL BE BUILT IF THE RIGHT CONDITIONS ARE MET.
- # -----------------------------------------------
- # SOME USERS WONT USE MULTIPLE CURRENCIES, AND WONT LIKE THE FACT CURRENCY BEING
- # ON THE SCREEN ALL THE TIME, SO IF THEY ARE USING THE DEFAULT CURRENCY WE WONT PRINT IT
- my $currency_text = $request->{curr} eq $default_currency ? '' : '('.$request->{curr}.')';
- my $default_currency_text = $currency_text ? '('.$default_currency.')' : '';
- my @column_headers = ({text => $locale->text('Invoice')},
- {text => $locale->text('Date')},
- {text => $locale->text('Total').$default_currency_text},
- {text => $locale->text('Paid').$default_currency_text},
- {text => $locale->text('Discount').$default_currency_text},
- {text => $locale->text('Apply Disc')},
- {text => $locale->text('Amount Due').$default_currency_text},
- {text => $locale->text('To pay').$default_currency_text}
- );
- # WE NEED TO KNOW IF WE ARE USING A CURRENCY THAT NEEDS AN EXCHANGERATE
-
- if ($default_currency ne $request->{curr} ) {
- # FIRST WE PUSH THE OTHER COLUMN HEADERS WE NEED
- push @column_headers, {text => $locale->text('Exchange Rate')},
- {text => $locale->text('Amount Due').$currency_text},
- {text => $locale->text('To pay').$currency_text};
- # WE SET THEM IN THE RIGHT ORDER FOR THE TABLE INSIDE THE UI
- @column_headers[6,7,8] = @column_headers[7,8,6];
- # DOES THE CURRENCY IN USE HAS AN EXCHANGE RATE?, IF SO
- # WE MUST SET THE VALUE, OTHERWISE THE UI WILL HANDLE IT
- $exchangerate = $request->{exrate} ?
- $request->{exrate} :
- $Payment->get_exchange_rate($request->{curr},
- $request->{datepaid} ? $request->{datepaid} : $Payment->{current_date});
- if ($exchangerate) {
- @currency_options = {
- name => 'exrate',
- value => "$exchangerate", #THERE IS A STRANGE BEHAVIOUR WITH THIS,
- text => "$exchangerate" #IF I DONT USE THE DOUBLE QUOTES, IT WILL PRINT THE ADDRESS
- #THERE MUST BE A REASON FOR THIS, I MUST RETURN TO IT LATER
- };
- } else {
- @currency_options = {
- name => 'exrate'};
- }
-
- } else {
- # WE MUST SET EXCHANGERATE TO 1 FOR THE MATHS SINCE WE
- # ARE USING THE DEFAULT CURRENCY
- $exchangerate = 1;
- @currency_options = {
- name => 'exrate',
- value => 1,
- text => 1
- };
- }
- # FINALLY WE ADD TO THE COLUMN HEADERS A LAST FIELD TO PRINT THE CLOSE INVOICE CHECKBOX TRICK :)
- push @column_headers, {text => 'X'};
- # WE NEED TO QUERY THE DATABASE TO CHECK FOR OPEN INVOICES
- # WE WONT DO ANYTHING IF WE DONT FIND ANY INVOICES, THE USER CAN STILL POST A PREPAYMENT
- my @invoice_data;
- my @topay_state; # WE WILL USE THIS TO HELP UI TO DETERMINE WHAT IS VISIBLE
- @array_options = $Payment->get_open_invoices();
- my $unhandled_overpayment;
- for my $ref (0 .. $#array_options) {
- if ( !$request->{"checkbox_$array_options[$ref]->{invoice_id}"}) {
- # SHOULD I APPLY DISCCOUNTS?
- $request->{"optional_discount_$array_options[$ref]->{invoice_id}"} = $request->{first_load}? "on": $request->{"optional_discount_$array_options[$ref]->{invoice_id}"};
-
- # LETS SET THE EXCHANGERATE VALUES
- my $due_fx; my $topay_fx_value;
- if ("$exchangerate") {
- $topay_fx_value = $due_fx = $request->round_amount("$array_options[$ref]->{due}"/"$exchangerate");
- if ($request->{"optional_discount_$array_options[$ref]->{invoice_id}"}) {
- $topay_fx_value = $due_fx = $request->round_amount($due_fx - "$array_options[$ref]->{discount}"/"$exchangerate");
- }
- } else {
- $topay_fx_value = $due_fx = "N/A";
- }
- # We need to check for unhandled overpayment, see the post function for details
- # First we will see if the discount should apply?
- my $temporary_discount = 0;
- if (($request->{"optional_discount_$array_options[$ref]->{invoice_id}"})&&($due_fx <= $request->{"topay_fx_$array_options[$ref]->{invoice_id}"} + $request->round_amount($array_options[$ref]->{discount}/"$exchangerate"))) {
- $temporary_discount = $request->round_amount("$array_options[$ref]->{discount}"/"$exchangerate");
- }
- # We need to compute the unhandled_overpayment, notice that all the values inside the if already have
- # the exchangerate applied
- if ( $due_fx < $request->{"topay_fx_$array_options[$ref]->{invoice_id}"}) {
- # We need to store all the overpayments so we can use it on the screen
- $unhandled_overpayment = $request->round_amount($unhandled_overpayment + $request->{"topay_fx_$array_options[$ref]->{invoice_id}"} - $due_fx );
- $request->{"topay_fx_$array_options[$ref]->{invoice_id}"} = "$due_fx";
- }
- push @invoice_data, { invoice => { number => $array_options[$ref]->{invnumber},
- id => $array_options[$ref]->{invoice_id},
- href => 'ar.pl?id='."$array_options[$ref]->{invoice_id}"
- },
- invoice_date => "$array_options[$ref]->{invoice_date}",
- amount => "$array_options[$ref]->{amount}",
- due => $request->{"optional_discount_$array_options[$ref]->{invoice_id}"}? "$array_options[$ref]->{due}" - "$array_options[$ref]->{discount}": "$array_options[$ref]->{due}",
- paid => "$array_options[$ref]->{amount}" - "$array_options[$ref]->{due}",
- discount => $request->{"optional_discount_$array_options[$ref]->{invoice_id}"} ? "$array_options[$ref]->{discount}" : 0 ,
- optional_discount => $request->{"optional_discount_$array_options[$ref]->{invoice_id}"},
- exchange_rate => "$exchangerate",
- due_fx => "$due_fx", # This was set at the begining of the for statement
- topay => "$array_options[$ref]->{due}" - "$array_options[$ref]->{discount}",
- source_text => $request->{"source_text_$array_options[$ref]->{invoice_id}"},
- optional => $request->{"optional_pay_$array_options[$ref]->{invoice_id}"},
- selected_account => $request->{"account_$array_options[$ref]->{invoice_id}"},
- selected_source => $request->{"source_$array_options[$ref]->{invoice_id}"},
- topay_fx => { name => "topay_fx_$array_options[$ref]->{invoice_id}",
- value => $request->{"topay_fx_$array_options[$ref]->{invoice_id}"} ?
- $request->{"topay_fx_$array_options[$ref]->{invoice_id}"} eq 'N/A' ?
- "$topay_fx_value" :
- $request->{"topay_fx_$array_options[$ref]->{invoice_id}"} :
- "$topay_fx_value"
- # Ugly hack, but works ;) ...
- }#END HASH
- };# END PUSH
- push @topay_state, {
- id => "topaystate_$array_options[$ref]->{invoice_id}",
- value => $request->{"topaystate_$array_options[$ref]->{invoice_id}"}
- }; #END PUSH
-
- }
- else {
- push @selected_checkboxes, {name => "checkbox_$array_options[$ref]->{invoice_id}",
- value => "checked"} ;
- } #END IF
- }# END FOR
- # And finally, we are going to store the information for the overpayment / prepayment / advanced payment
- # and all the stuff, this is only needed for the update function.
- my @overpayment;
- my @overpayment_account;
- # Got to build the account selection box first.
- my @overpayment_account = $Payment->list_overpayment_accounting();
- # Now we build the structure for the UI
- for (my $i=1 ; $i <= $request->{overpayment_qty}; $i++) {
- if (!$request->{"overpayment_checkbox_$i"}) {
- if ( $request->{"overpayment_topay_$i"} ) {
- # Now we split the account selected options
- my ($id, $accno, $description) = split(/--/, $request->{"overpayment_account_$i"});
- my ($cashid, $cashaccno, $cashdescription ) = split(/--/, $request->{"overpayment_cash_account_$i"});
- push @overpayment, {amount => $request->{"overpayment_topay_$i"},
- source1 => $request->{"overpayment_source1_$i"},
- source2 => $request->{"overpayment_source2_$i"},
- memo => $request->{"overpayment_memo_$i"},
- account => { id => $id,
- accno => $accno,
- description => $description
- },
- cashaccount => { id => $cashid,
- accno => $cashaccno,
- description => $cashdescription
- }
- };
- } else {
- $i = $request->{overpayment_qty} + 1;
- }
- }
- }
- # We need to set the availible media and format from printing
- my @media_options;
- push @media_options, {value => 1, text => "Screen"};
- if ($#{LedgerSMB::Sysconfig::printer}) {
- for (keys %{LedgerSMB::Sysconfig::printer}) {
- push @media_options, {value => 1, text => $_};
- }
- }
- #$request->error("@media_options");
- my @format_options;
- push @format_options, {value => 1, text => "HTML"};
- if (${LedgerSMB::Sysconfig::latex}) {
- push @format_options, {value => 2, text => "PDF" }, {value => 3, text => "POSTSCRIPT" };
- }
- # LETS BUILD THE SELECTION FOR THE UI
- # Notice that the first data inside this selection is the firs_load, this
- # will help payment2.html to know wether it is beeing called for the first time
- my $select = {
- first_load => $request->{first_load},
- stylesheet => $request->{_user}->{stylesheet},
- header => { text => $request->{type} eq 'receipt' ? $locale->text('Receipt') : $locale->text('Payment') },
- type => { name => 'type',
- value => $request->{type} },
- login => { name => 'login',
- value => $request->{_user}->{login} },
- accountclass => {
- name => 'account_class',
- value => $Payment->{account_class}
- },
- project => @project ? @project : '' , # WE NEED TO VERIFY THAT THE ARRAY EXISTS, IF IT DOESNT,
- department => @department ? @department : '', # WE WILL PASS A NULL STRING, THIS FIXES THE ISSUES
- # I WAS HAVING WITH THE NULL ARRAYS, STILL UGLY :P
- account => \@account_options,
- selected_account => $request->{account},
- datepaid => {
- name => 'datepaid',
- value => $request->{datepaid} ? $request->{datepaid} : $Payment->{current_date}
- },
- source => \@sources_options,
- selected_source => $request->{source},
- source_value => $request->{source_value},
- defaultcurrency => {
- text => $default_currency
- },
- curr => { name => 'curr',
- value => $request->{curr},
-
- },
- column_headers => \@column_headers,
- rows => \@invoice_data,
- topay_state => \@topay_state,
- vendorcustomer => { name => 'vendor-customer',
- value => $request->{'vendor-customer'}
- },
- unhandled_overpayment => { name => 'unhandledoverpayment', value => "$unhandled_overpayment" } ,
- vc => { name => $Payment->{company_name}, # We will assume that the first Billing Information as default
- address => [ {text => $vc_options[0]->{'line_one'}},
- {text => $vc_options[0]->{'line_two'}},
- {text => $vc_options[0]->{'line_three'}},
- {text => $vc_options[0]->{city}},
- {text => $vc_options[0]->{state}},
- {text => $vc_options[0]->{country}}]
- },
- format => {
- name => 'FORMAT',
- options => \@format_options
- },
- media => {
- name => 'MEDIA',
- options => \@media_options
- },
- exrate => @currency_options,
- selectedcheckboxes => @selected_checkboxes ? \@selected_checkboxes : '',
- notes => $request->{notes},
- overpayment => \@overpayment,
- overpayment_account => \@overpayment_account
- };
- my $template = LedgerSMB::Template->new(
- user => $request->{_user},
- locale => $request->{_locale},
- path => 'UI/payments',
- template => 'payment2',
- format => 'HTML' );
- eval {$template->render($select) };
- if ($@) { $request->error("$@"); } # PRINT ERRORS ON THE UI
- }
- =pod
- =item post_payment
- This method is used for the payment module (not the bulk payment),
- and its used for all the mechanics of storing a payment.
- =back
- =cut
- sub post_payment {
- my ($request) = @_;
- my $locale = $request->{_locale};
- my $Payment = LedgerSMB::DBObject::Payment->new({'base' => $request});
- # LETS GET THE CUSTOMER/VENDOR INFORMATION
- ($Payment->{entity_credit_id}, $Payment->{company_name}) = split /--/ , $request->{'vendor-customer'};
- # LETS GET THE DEPARTMENT INFO
- # WE HAVE TO SET $dbPayment->{department_id} in order to process
- if ($request->{department}) {
- $request->{department} =~ /^(\d+)--*/;
- $Payment->{department_id} = $1;
- }
- #
- # We want to set a gl_description,
- # since we are using two tables there is no need to use doubled information,
- # we could specify this gl is the result of a payment movement...
- #
- $Payment->{gl_description} = $locale->text('This gl movement, is the result of a payment transaction');
- #
- # Im not sure what this is for... gotta comment this later
- $Payment->{approved} = 'true';
- #
- # We have to setup a lot of things before we can process the payment
- # they are related to payment_post sql function, so if you have any doubts
- # look there.
- #-------------------------------------------------------------------------
- #
- # Variable definition
- #
- # We use the prefix op to refer to the overpayment variables.
- my $unhandled_overpayment = 0; # This variable might be fuzzy, we are using it to handle invalid data
- # i.e. a user set an overpayment qty inside an invoice.
- my @array_options;
- my @amount;
- my @discount;
- my @cash_account_id;
- my @source;
- my @transaction_id;
- my @op_amount;
- my @op_cash_account_id;
- my @op_source;
- my @op_memo;
- my @op_account_id;
- #
- # We need the invoices in order to process the income data, this is done this way
- # since the data we have isn't indexed in any way.
- #
- # Ok, we want to use the disccount information in order to do some accounting movements,
- # we will process it with the same logic for a regular payment, and see where does this leave us.
- @array_options = $Payment->get_entity_credit_account();# We need to know the disccount account
- my $discount_account_id = $array_options[0]->{discount};
- @array_options = $Payment->get_open_invoices();
- for my $ref (0 .. $#array_options) {
- if ( !$request->{"checkbox_$array_options[$ref]->{invoice_id}"}) {
- # First i have to determine if discounts will apply
- # we will assume that a discount should apply only
- # if this is the last payment of an invoice
- my $temporary_discount = 0;
- if (($request->{"optional_discount_$array_options[$ref]->{invoice_id}"})&&("$array_options[$ref]->{due}"/"$request->{exrate}" <= $request->{"topay_fx_$array_options[$ref]->{invoice_id}"} + $array_options[$ref]->{discount})) {
- $temporary_discount = $array_options[$ref]->{discount};
- }
- #
- # The prefix cash is to set the movements of the cash accounts,
- # same names are used for ap/ar accounts w/o the cash prefix.
- #
- if ( "$array_options[$ref]->{due}"/"$request->{exrate}" < $request->{"topay_fx_$array_options[$ref]->{invoice_id}"} + $temporary_discount ) {
- # We need to store all the overpayments so we can use it on a new payment2 screen
- $unhandled_overpayment = $request->round_amount($unhandled_overpayment + $request->{"topay_fx_$array_options[$ref]->{invoice_id}"} + $temporary_discount - $array_options[$ref]->{amount}) ;
-
- }
- if ($request->{"optional_discount_$array_options[$ref]->{invoice_id}"}) {
- push @amount, $array_options[$ref]->{discount};
- push @cash_account_id, $discount_account_id;
- push @source, $locale->text('Applied discount');
- push @transaction_id, $array_options[$ref]->{invoice_id};
- }
- push @amount, $request->{"topay_fx_$array_options[$ref]->{invoice_id}"}; # We'll use this for both cash and ap/ar accounts
- push @cash_account_id, $request->{"optional_pay_$array_options[$ref]->{invoice_id}"} ? $request->{"account_$array_options[$ref]->{invoice_id}"} : $request->{account};
- push @source, $request->{"source1_$array_options[$ref]->{invoice_id}"}.' '.$request->{"source2_$array_options[$ref]->{invoice_id}"}; # We'll use this for both source and ap/ar accounts
- push @transaction_id, $array_options[$ref]->{invoice_id};
- }
- }
- # Check if there is an unhandled overpayment and run payment2 as needed
- if ($unhandled_overpayment) {
- &payment2($request);
- return 0;
- }
- #
- # Now we need the overpayment information.
- #
- # We will use the prefix op to indicate it is an overpayment information.
- #
- # note: I love the for's C-like syntax.
- for (my $i=1 ; $i <= $request->{overpayment_qty}; $i++) {
- if (!$request->{"overpayment_checkbox_$i"}) { # Is overpayment marked as deleted ?
- if ( $request->{"overpayment_topay_$i"} ) { # Is this overpayment an used field?
- # Now we split the account selected options, using the namespace the if statement
- # provides for us.
- $request->{"overpayment_account_$i"} =~ /^(\d+)--*/;
- my $id = $1;
- $request->{"overpayment_cash_account_$i"} =~ /^(\d+)--*/;
- my $cashid = $1;
- push @op_amount, $request->{"overpayment_topay_$i"};
- push @op_cash_account_id, $cashid;
- push @op_source, $request->{"overpayment_source1_$i"}.' '.$request->{"overpayment_source2_$i"};
- push @op_memo, $request->{"overpayment_memo_$i"};
- push @op_account_id, $id;
- }
- }
- }
- # Finally we store all the data inside the LedgerSMB::DBObject::Payment object.
- $Payment->{cash_account_id} = $Payment->_db_array_scalars(@cash_account_id);
- $Payment->{amount} = $Payment->_db_array_scalars(@amount);
- $Payment->{source} = $Payment->_db_array_scalars(@source);
- $Payment->{transaction_id} = $Payment->_db_array_scalars(@transaction_id);
- $Payment->{op_amount} = $Payment->_db_array_scalars(@op_amount);
- $Payment->{op_cash_account_id} = $Payment->_db_array_scalars(@op_cash_account_id);
- $Payment->{op_source} = $Payment->_db_array_scalars(@op_source);
- $Payment->{op_memo} = $Payment->_db_array_scalars(@op_memo);
- $Payment->{op_account_id} = $Payment->_db_array_scalars(@op_account_id);
- # Ok, hoping for the best...
- $Payment->post_payment();
- # We've gotta print anything, in the near future this will redirect to a new payment.
- my $select = {};
- my $template = LedgerSMB::Template->new(
- user => $request->{_user},
- locale => $request->{_locale},
- path => 'UI/payments',
- template => 'payment2',
- format => 'HTML' );
- eval {$template->render($select) };
- if ($@) { $request->error("$@"); } # PRINT ERRORS ON THE UI
-
- }
- eval { do "scripts/custom/payment.pl"};
- 1;
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