my $arap = $params{vc} eq 'customer' ? 'ar' : 'ap';
my $vc = $params{vc} eq 'customer' ? 'customer' : 'vendor';
+ my $mandate = $params{vc} eq 'customer' ? " AND COALESCE(vc.mandator_id, '') <> '' AND vc.mandate_date_of_signature IS NOT NULL " : '';
+
my $query =
qq|
- SELECT ${arap}.id, ${arap}.invnumber, ${arap}.${vc}_id, ${arap}.amount AS invoice_amount, ${arap}.invoice,
- vc.name AS vcname, ${arap}.duedate as duedate,
+ SELECT ${arap}.id, ${arap}.invnumber, ${arap}.${vc}_id as vc_id, ${arap}.amount AS invoice_amount, ${arap}.invoice,
+ vc.name AS vcname, vc.language_id, ${arap}.duedate as duedate, ${arap}.direct_debit,
- COALESCE(vc.iban, '') <> '' AND COALESCE(vc.bic, '') <> '' AS vc_bank_info_ok,
+ COALESCE(vc.iban, '') <> '' AND COALESCE(vc.bic, '') <> '' ${mandate} AS vc_bank_info_ok,
${arap}.amount - ${arap}.paid - COALESCE(open_transfers.amount, 0) AS open_amount
my $q_item_id = qq|SELECT nextval('id')|;
my $h_item_id = prepare_query($form, $dbh, $q_item_id);
+ my $c_mandate = $params{vc} eq 'customer' ? ', vc_mandator_id, vc_mandate_date_of_signature' : '';
+ my $p_mandate = $params{vc} eq 'customer' ? ', ?, ?' : '';
my $q_insert =
qq|INSERT INTO sepa_export_items (id, sepa_export_id, ${arap}_id, chart_id,
amount, requested_execution_date, reference, end_to_end_id,
- our_iban, our_bic, vc_iban, vc_bic)
+ our_iban, our_bic, vc_iban, vc_bic ${c_mandate})
VALUES (?, ?, ?, ?,
?, ?, ?, ?,
- ?, ?, ?, ?)|;
+ ?, ?, ?, ? ${p_mandate})|;
my $h_insert = prepare_query($form, $dbh, $q_insert);
my $q_reference =
$transfer->{reference}, $end_to_end_id,
map { my $pfx = $_; map { $transfer->{"${pfx}_${_}"} } qw(iban bic) } qw(our vc));
+ push @values, $transfer->{vc_mandator_id}, conv_date($transfer->{vc_mandate_date_of_signature}) if $params{vc} eq 'customer';
+
do_statement($form, $h_insert, $q_insert, @values);
}
if ($export->{id}) {
my ($columns, $joins);
+ my $mandator_id = $params{vc} eq 'customer' ? ', mandator_id, mandate_date_of_signature' : '';
+
if ($params{details}) {
- $columns = qq|, arap.invnumber, arap.invoice, vc.name AS vc_name, c.accno AS chart_accno, c.description AS chart_description|;
+ $columns = qq|, arap.invnumber, arap.invoice, arap.transdate AS reference_date, vc.name AS vc_name, vc.${vc}number AS vc_number, c.accno AS chart_accno, c.description AS chart_description ${mandator_id}|;
$joins = qq|LEFT JOIN ${arap} arap ON (sei.${arap}_id = arap.id)
LEFT JOIN ${vc} vc ON (arap.${vc}_id = vc.id)
LEFT JOIN chart c ON (sei.chart_id = c.id)|;
push @where, 'se.vc = ?';
push @values, $vc;
- my $where = ' WHERE ' . join(' AND ', map { "(${_})" } @where) if (@where);
+ my $where = @where ? ' WHERE ' . join(' AND ', map { "(${_})" } @where) : '';
my $query =
qq|SELECT se.id, se.employee_id, se.executed, se.closed, itime::date AS export_date,
my $myconfig = \%main::myconfig;
my $form = $main::form;
+ my $vc = $params{vc} eq 'customer' ? 'customer' : 'vendor';
+ my $arap = $params{vc} eq 'customer' ? 'ar' : 'ap';
+ my $mult = $params{vc} eq 'customer' ? -1 : 1;
+ my $ARAP = uc $arap;
my $dbh = $params{dbh} || $form->get_standard_dbh($myconfig);
FROM sepa_export_items sei
WHERE sei.id = ?| ],
- 'get_ap' => [ qq|SELECT at.chart_id
+ 'get_arap' => [ qq|SELECT at.chart_id
FROM acc_trans at
LEFT JOIN chart c ON (at.chart_id = c.id)
WHERE (trans_id = ?)
- AND ((c.link LIKE '%:AP') OR (c.link LIKE 'AP:%') OR (c.link = 'AP'))
+ AND ((c.link LIKE '%:${ARAP}') OR (c.link LIKE '${ARAP}:%') OR (c.link = '${ARAP}'))
LIMIT 1| ],
- 'add_acc_trans' => [ qq|INSERT INTO acc_trans (trans_id, chart_id, amount, transdate, gldate, source, memo)
- VALUES (?, ?, ?, ?, current_date, ?, '')| ],
+ 'add_acc_trans' => [ qq|INSERT INTO acc_trans (trans_id, chart_id, amount, transdate, gldate, source, memo, taxkey, tax_id , chart_link)
+ VALUES (?, ?, ?, ?, current_date, ?, '', 0, (SELECT id FROM tax WHERE taxkey=0 LIMIT 1), (SELECT link FROM chart WHERE id=?))| ],
- 'update_ap' => [ qq|UPDATE ap
+ 'update_arap' => [ qq|UPDATE ${arap}
SET paid = paid + ?
WHERE id = ?| ],
next if (!$orig_item);
- # Retrieve the invoice's AP chart ID.
- do_statement($form, @{ $handles{get_ap} }, $orig_item->{ap_id});
- my ($ap_chart_id) = $handles{get_ap}->[0]->fetchrow_array();
+ # Retrieve the invoice's AR/AP chart ID.
+ do_statement($form, @{ $handles{get_arap} }, $orig_item->{"${arap}_id"});
+ my ($arap_chart_id) = $handles{get_arap}->[0]->fetchrow_array();
- # Record the payment in acc_trans offsetting AP.
- do_statement($form, @{ $handles{add_acc_trans} }, $orig_item->{ap_id}, $ap_chart_id, -1 * $orig_item->{amount}, $item->{execution_date}, '');
- do_statement($form, @{ $handles{add_acc_trans} }, $orig_item->{ap_id}, $orig_item->{chart_id}, $orig_item->{amount}, $item->{execution_date}, $orig_item->{reference});
+ # Record the payment in acc_trans offsetting AR/AP.
+ do_statement($form, @{ $handles{add_acc_trans} }, $orig_item->{"${arap}_id"}, $arap_chart_id, -1 * $mult * $orig_item->{amount}, $item->{execution_date}, '', $arap_chart_id);
+ do_statement($form, @{ $handles{add_acc_trans} }, $orig_item->{"${arap}_id"}, $orig_item->{chart_id}, $mult * $orig_item->{amount}, $item->{execution_date}, $orig_item->{reference},
+ $orig_item->{chart_id});
# Update the invoice to reflect the new paid amount.
- do_statement($form, @{ $handles{update_ap} }, $orig_item->{amount}, $orig_item->{ap_id});
+ do_statement($form, @{ $handles{update_arap} }, $orig_item->{amount}, $orig_item->{"${arap}_id"});
+
+ # Update datepaid of invoice. set_datepaid (which has some extra logic)
+ # finds the date from acc_trans, where the payment has already been
+ # recorded above, so we don't need to explicitly pass
+ # $item->{execution_date}
+ IO->set_datepaid(table => "$arap", id => $orig_item->{"${arap}_id"}, dbh => $dbh);
# Update the item to reflect that it has been posted.
do_statement($form, @{ $handles{finish_item} }, $item->{execution_date}, $item_id);