Project:
View Issue Details[ Jump to Notes ] | [ Issue History ] [ Print ] | |||||||
ID | ||||||||
0039290 | ||||||||
Type | Category | Severity | Reproducibility | Date Submitted | Last Update | |||
defect | [Openbravo ERP] 09. Financial management | major | always | 2018-09-13 20:27 | 2018-11-07 08:55 | |||
Reporter | AtulOpenbravo | View Status | public | |||||
Assigned To | AtulOpenbravo | |||||||
Priority | normal | Resolution | fixed | Fixed in Version | 3.0PR18Q4 | |||
Status | closed | Fix in branch | Fixed in SCM revision | 831c2aadbee3 | ||||
Projection | none | ETA | none | Target Version | ||||
OS | Any | Database | Any | Java version | ||||
OS Version | Database version | Ant version | ||||||
Product Version | SCM revision | |||||||
Review Assigned To | Sandrahuguet | |||||||
Web browser | ||||||||
Modules | Core | |||||||
Regression level | Production - Confirmed Stable | |||||||
Regression date | 2014-04-03 | |||||||
Regression introduced in release | 3.0PR14Q2 | |||||||
Regression introduced by commit | https://code.openbravo.com/erp/devel/pi/rev/f7078a85289e6c61918f567b28d2df3fe17ddb47 [^] | |||||||
Triggers an Emergency Pack | No | |||||||
Summary | 0039290: Business Partner current balance is wrongly updated when using Reconciliation | |||||||
Description | Business Partner current balance is wrongly updated when using Reconciliation | |||||||
Steps To Reproduce | Test Plan - Login as F&B International Group admin role - Create a new Business Partner in F&B International Group - Create a Payment In for F&B España, S.A. and that business partner - Add an amount 100 and do not select any document to be paid. Leave the amount as credit - Check the payment has been deposited in a financial account. - Check that business partner current balance is set as -100. - Go to Financial Account where the payment was deposited. - Either leave the Matching Algorithm empty or keep it as Standard - Click on Reconcile or Match Statement button - Select the previously created payment or match the previous payment with similar record in bank statement. - Again check the current balance of business partner now it is set as -200. This is not correct. | |||||||
Tags | No tags attached. | |||||||
Attached Files | ||||||||
Relationships [ Relation Graph ] [ Dependency Graph ] | |||||||||||||||||||||||||||||
|
Notes | |
(0106977) AtulOpenbravo (developer) 2018-09-25 05:59 |
Test Plan - Login as F&B International Group admin role - Create a new Business Partner in F&B International Group - Create a Payment In for F&B España, S.A. and that business partner - Add an amount 100 and do not select any document to be paid. Leave the amount as credit - Check the payment has been deposited in a financial account. - Check that business partner current balance is set as -100. - Go to Financial Account where the payment was deposited. - Either leave the Matching Algorithm empty or keep it as Standard - Click on Reconcile or Match Statement button - Select the previously created payment or match the previous payment with similar record in bank statement. - Again check the current balance of business partner it is as it is -100. |
(0106980) AtulOpenbravo (developer) 2018-09-25 06:08 edited on: 2018-09-25 06:21 |
Test Plan - Login as F&B International Group Admin - Go to Financial Account and select Bank - Account 1 - Navigate to Payment Method: Wire Transfer Uncheck Automatic Deposit and Automatic Withdrawn Go to Sales Invoice - Go to sales Invoice and create a new invoice with this values: Organization: F&B US, Inc. Bussiness Partner: Healthy Food Supermarkets, Co. Payment Method: Wire Transfer - Create new 2 lines: Product: Lemonade, Quantity: 10 Product: Orange Juice bio, Quantity: 5 - Complete the invoice - Check business partner balance is set as 15. - Click in Add Payment button, - Make sure that actual payment is 15 and click process - Action regarding document: Process Received Payment(s) - Notice that Payment complete in sales invoice header is Yes. - Check business partner balance is set as 0. |
(0106983) AtulOpenbravo (developer) 2018-09-25 06:29 edited on: 2018-09-25 06:59 |
Test Plan - Login as F&B International Group Admin - Create a preference "Allow to use invoice paid status control" with value = Yes - Logout and Login - Create a new financial account "39290 Financial Account", currency = USD, create a payment method for "Wire Transfer", set Invoice Paid Status = Payment Received, Automatic Deposit = No in Payment In section. - In Payment Out, set Automatic Withdrawn = No, Invoice Paid Status = Payment Made - Create a new business partner "39290 business partner" and its location in organization "F&B Us Inc", set Payment Method = "Wire Transfer". - Go to sales Invoice and create a new invoice with this values: Organization: F&B US, Inc. Bussiness Partner: Healthy Food Supermarkets, Co. Payment Method: Wire Transfer - Create new 2 lines: Product: Lemonade, Quantity: 10 Product: Orange Juice bio, Quantity: 5 - Complete the invoice - Check business partner balance is set as 15. - Click in Add Payment button, - Make sure that actual payment is 15 and click process - Action regarding document: Process Received Payment(s) - Notice that Payment complete in sales invoice header is Yes. - Check business partner balance is set as 0. - In Financial Account "39290 Financial Account", add transaction and select previous payment in. - Process Financial Account Transaction. - Check business partner balance is 0. - In Financial Account "39290 Financial Account" make sure Matching Algorithm is set as blank. - Click on Reconcile. - Select previous payment in and set ending balance as 15, Save record. - Check business partner balance is 0. - Click on Reconcile: Uncheck previous payment in, set ending balance = 0, Save record. - Check business partner balance is 0. Similar test plan executed for purchase flow. |
(0106984) AtulOpenbravo (developer) 2018-09-25 06:37 edited on: 2018-09-25 06:59 |
Test Plan - Login as F&B International Group Admin - Create a preference "Allow to use invoice paid status control" with value = Yes - Logout and Login - Create a new financial account "39290 Financial Account", currency = USD, create a payment method for "Wire Transfer", set Invoice Paid Status = Deposited Not Cleared, Automatic Deposit = No in Payment In section. - In Payment Out, set Automatic Withdrawn = No, Invoice Paid Status = Withdrawan Not Cleared - Create a new business partner "39290 business partner" and its location in organization "F&B Us Inc", set Payment Method = "Wire Transfer". - Go to sales Invoice and create a new invoice with this values: Organization: F&B US, Inc. Bussiness Partner: Healthy Food Supermarkets, Co. Payment Method: Wire Transfer - Create new 2 lines: Product: Lemonade, Quantity: 10, Tax = Exempt Product: Orange Juice bio, Quantity: 5, Tax: Exempt - Complete the invoice - Check business partner balance is set as 15. - Click in Add Payment button, - Make sure that actual payment is 15 and click process - Action regarding document: Process Received Payment(s) - Notice that Payment complete in sales invoice header is set as No. - Check business partner balance is set as 15. - In Financial Account "39290 Financial Account", add transaction and select previous payment in. - Process Financial Account Transaction. - Check business partner balance is 0. - Check Payment Complete in previous Sales Invoice header is set as Yes. - Reactivate previous financial Account Transaction. - Check business partner balance is set as 15. - Check Payment Complete in previous Sales Invoice header is set as No. - Process Financial Account Transaction. - Check business partner balance is 0. - Check Payment Complete in previous Sales Invoice header is set as Yes. - In Financial Account "39290 Financial Account" make sure Matching Algorithm is set as blank. - Click on Reconcile. - Select previous payment in and set ending balance as 15, Save record. - Check business partner balance is 0. - Click on Reconcile: Uncheck previous payment in, set ending balance = 0, Save record. - Check business partner balance is 0. Similar test plan executed for purchase flow. |
(0106985) AtulOpenbravo (developer) 2018-09-25 06:44 edited on: 2018-09-25 06:59 |
Test Plan - Login as F&B International Group Admin - Create a preference "Allow to use invoice paid status control" with value = Yes - Logout and Login - Create a new financial account "39290 Financial Account", currency = USD, create a payment method for "Wire Transfer", set Invoice Paid Status = Payment Cleared, Automatic Deposit = No in Payment In section. - In Payment Out, set Automatic Withdrawn = No, Invoice Paid Status = Payment Cleared - Create a new business partner "39290 business partner" and its location in organization "F&B Us Inc", set Payment Method = "Wire Transfer". - Go to sales Invoice and create a new invoice with this values: Organization: F&B US, Inc. Bussiness Partner: Healthy Food Supermarkets, Co. Payment Method: Wire Transfer - Create new 2 lines: Product: Lemonade, Quantity: 10, Tax = Exempt Product: Orange Juice bio, Quantity: 5, Tax: Exempt - Complete the invoice - Check business partner balance is set as 15. - Click in Add Payment button, - Make sure that actual payment is 15 and click process - Action regarding document: Process Received Payment(s) - Notice that Payment complete in sales invoice header is set as No. - Check business partner balance is set as 15. - In Financial Account "39290 Financial Account", add transaction and select previous payment in. - Process Financial Account Transaction. - Check business partner balance is 15. - Check Payment Complete in previous Sales Invoice header is set as No. - In Financial Account "39290 Financial Account" make sure Matching Algorithm is set as blank. - Click on Reconcile. - Select previous payment in and set ending balance as 15, Save record. - Check business partner balance is 0. - Check that Payment Complete flag in previous Sales Invoice is set as Yes. - Click on Reconcile: Uncheck previous payment in, set ending balance = 0, Save record. - Check business partner balance is 15. - Check that Payment Complete flag in previous Sales Invoice is set as No. Similar test plan executed for purchase flow. |
(0107038) hgbot (developer) 2018-09-26 15:40 |
Repository: erp/devel/pi Changeset: 831c2aadbee3da84b3d1ba3b34ef5c906efe9978 Author: Atul Gaware <atul.gaware <at> openbravo.com> Date: Tue Sep 25 00:35:58 2018 +0530 URL: http://code.openbravo.com/erp/devel/pi/rev/831c2aadbee3da84b3d1ba3b34ef5c906efe9978 [^] Fixes Issue 39290: Business Partner current balance is wrongly updated when using Reconciliation ** In case of prepayment invoice paid should be kept as false in PaidStatusEventHandler. --- M src/org/openbravo/event/PaidStatusEventHandler.java --- |
(0107039) Sandrahuguet (developer) 2018-09-26 15:42 |
code review + testing OK |
(0107043) hudsonbot (developer) 2018-09-26 19:47 |
A changeset related to this issue has been promoted main and to the Central Repository, after passing a series of tests. Promotion changeset: https://code.openbravo.com/erp/devel/main/rev/95141753a1f0 [^] Maturity status: Test |
(0107774) Sandrahuguet (developer) 2018-11-07 08:55 |
Test case created in testlink https://testlink.openbravo.com/testlink/linkto.php?tprojectPrefix=Communit&item=testcase&id=Communit-11013 [^] |
Issue History | |||
Date Modified | Username | Field | Change |
2018-09-13 20:27 | AtulOpenbravo | New Issue | |
2018-09-13 20:27 | AtulOpenbravo | Assigned To | => Triage Finance |
2018-09-13 20:27 | AtulOpenbravo | Modules | => Core |
2018-09-13 20:27 | AtulOpenbravo | Triggers an Emergency Pack | => No |
2018-09-13 20:28 | AtulOpenbravo | Relationship added | related to 0039126 |
2018-09-19 10:39 | AtulOpenbravo | Regression level | => Production - Confirmed Stable |
2018-09-19 10:39 | AtulOpenbravo | Regression date | => 2014-04-03 |
2018-09-19 10:39 | AtulOpenbravo | Regression introduced in release | => 3.0PR14Q2 |
2018-09-19 10:39 | AtulOpenbravo | Regression introduced by commit | => https://code.openbravo.com/erp/devel/pi/rev/f7078a85289e6c61918f567b28d2df3fe17ddb47 [^] |
2018-09-19 10:40 | AtulOpenbravo | Assigned To | Triage Finance => AtulOpenbravo |
2018-09-24 11:58 | AtulOpenbravo | Status | new => scheduled |
2018-09-25 05:59 | AtulOpenbravo | Note Added: 0106977 | |
2018-09-25 06:08 | AtulOpenbravo | Note Added: 0106980 | |
2018-09-25 06:21 | AtulOpenbravo | Note Edited: 0106980 | View Revisions |
2018-09-25 06:29 | AtulOpenbravo | Note Added: 0106983 | |
2018-09-25 06:37 | AtulOpenbravo | Note Added: 0106984 | |
2018-09-25 06:44 | AtulOpenbravo | Note Added: 0106985 | |
2018-09-25 06:59 | AtulOpenbravo | Note Edited: 0106983 | View Revisions |
2018-09-25 06:59 | AtulOpenbravo | Note Edited: 0106983 | View Revisions |
2018-09-25 06:59 | AtulOpenbravo | Note Edited: 0106984 | View Revisions |
2018-09-25 06:59 | AtulOpenbravo | Note Edited: 0106985 | View Revisions |
2018-09-25 10:53 | dmitry_mezentsev | Relationship added | caused by 0025696 |
2018-09-26 15:40 | hgbot | Checkin | |
2018-09-26 15:40 | hgbot | Note Added: 0107038 | |
2018-09-26 15:40 | hgbot | Status | scheduled => resolved |
2018-09-26 15:40 | hgbot | Resolution | open => fixed |
2018-09-26 15:40 | hgbot | Fixed in SCM revision | => http://code.openbravo.com/erp/devel/pi/rev/831c2aadbee3da84b3d1ba3b34ef5c906efe9978 [^] |
2018-09-26 15:42 | Sandrahuguet | Review Assigned To | => Sandrahuguet |
2018-09-26 15:42 | Sandrahuguet | Note Added: 0107039 | |
2018-09-26 15:42 | Sandrahuguet | Status | resolved => closed |
2018-09-26 15:42 | Sandrahuguet | Fixed in Version | => 3.0PR18Q4 |
2018-09-26 19:47 | hudsonbot | Checkin | |
2018-09-26 19:47 | hudsonbot | Note Added: 0107043 | |
2018-11-07 08:55 | Sandrahuguet | Note Added: 0107774 |
Copyright © 2000 - 2009 MantisBT Group |