Activity log for bug #1354978

Date Who What changed Old value New value Message
2014-08-11 02:02:09 Ariel E. Figueroa - http://www.humanytek.com bug added bug
2014-08-11 02:02:55 Ariel E. Figueroa - http://www.humanytek.com branch linked lp:~jo0thlt/sfsoluciones/psa
2014-08-11 02:08:02 Ariel E. Figueroa - http://www.humanytek.com description The module must contain the next functionality: 1. Add a new date field "Promise payment day" in account.invoice model inside of page "Other Info ", this field must remain editable when the invoice are in state "open". 2. Add a new date field "Notes" in account.invoice model inside of page "Other Info ", this field must remain editable when the invoice are in state "open". Pls see the attached file fields_location.png to see exactly the place to put this 2 fields. 3. Add a new menu item in: Accounting / Reporting / Generic / Partners / Collection Plan 4. The menu item must show a wizard with 2 date fields, Initial Date (required), End Date (required), currency field, and salesman person. 5. The result of the wizard must be one rml or webkit report landscape position with next information: Columns: The report must be writing the partner name first and show all the account.invoice records per partner below of his name 5.1. Concept (Must show the name of the document, from account.journal field name) 5.2. Document (must show account.invoice field number) 5.3 Aplication Date (its the day in wich the user make the reconciliation) 5.4 Due Date (must show the payment day) 5.5 Debit (debit ammount) 5.6 Credit (credit ammount) 5.7 Balance (balance ammount) 5.8 Currency When the records all the account.invoice per partner are printed in the report, make a sum af all records fo the columns credits and debits and print this value below of the partner records. When all the partners with all the records all the account.invoice per partner are printed in the report, make a sum af all records fo the columns credits and debits and print this value in the foot of the report. Also add a space to the user can sign the report. (im attaching one example of the report in the mail) Add a i18n folder to translate the terms: Promise payment day = Dia promesa de pago. Notes = Observaciones Collection Plan = Plan de cobranza Initial Date = Fecha inicial End Date = Fecha final Report: Concept = Concepto Document = Documento Aplication Date = Fecha de aplicacion Due Date = Fecha de vencimiento Debit = Cargos Credit = Abonos Balance = Saldo Currency = Moneda The module must contain the next functionality: 1. Add a new date field "Promise payment day" in account.invoice model inside of page "Other Info ", this field must remain editable when the invoice are in state "open". 2. Add a new date field "Notes" in account.invoice model inside of page "Other Info ", this field must remain editable when the invoice are in state "open", this field not to be printed in the report. Pls see the attached file fields_location.png to see exactly the place to put this 2 fields. 3. Add a new menu item in: Accounting / Reporting / Generic / Partners / Collection Plan 4. The menu item must show a wizard with 2 date fields, Initial Date (required), End Date (required), currency field, and salesman person. 5. The result of the wizard must be one rml or webkit report landscape position with next information: Columns: The report must be writing the partner name first and show all the account.invoice records per partner below of his name 5.1. Concept (Must show the name of the document, from account.journal field name) 5.2. Document (must show account.invoice field number) 5.3 Aplication Date (its the day in wich the user make the reconciliation) 5.4 Due Date (must show the payment day) 5.5 Debit (debit ammount) 5.6 Credit (credit ammount) 5.7 Balance (balance ammount) 5.8 Currency When the records all the account.invoice per partner are printed in the report, make a sum af all records fo the columns credits and debits and print this value below of the partner records. When all the partners with all the records all the account.invoice per partner are printed in the report, make a sum af all records fo the columns credits and debits and print this value in the foot of the report. Also add a space to the user can sign the report. (im attaching one example of the report in the mail) Add a i18n folder to translate the terms: Promise payment day = Dia promesa de pago. Notes = Observaciones Collection Plan = Plan de cobranza Initial Date = Fecha inicial End Date = Fecha final Report: Concept = Concepto Document = Documento Aplication Date = Fecha de aplicacion Due Date = Fecha de vencimiento Debit = Cargos Credit = Abonos Balance = Saldo Currency = Moneda
2014-08-14 21:56:02 Ariel E. Figueroa - http://www.humanytek.com sfsoluciones: status New Fix Released