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https://issues.apache.org/jira/browse/OFBIZ-2791?page=com.atlassian.jira.plugin.system.issuetabpanels:comment-tabpanel&focusedCommentId=12738358#action_12738358
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Parimal Gain edited comment on OFBIZ-2791 at 8/3/09 7:43 AM:
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Attached patch for specified functionality.
Thanks to Rishi for help.

      was (Author: parimalgain09):
    Attached patch for specified functionality.
  
> Create new tab/screen under FinAccount to show GlReconciliation records
> -----------------------------------------------------------------------
>
>                 Key: OFBIZ-2791
>                 URL: https://issues.apache.org/jira/browse/OFBIZ-2791
>             Project: OFBiz
>          Issue Type: New Feature
>          Components: accounting
>    Affects Versions: SVN trunk
>            Reporter: Rishi Solanki
>             Fix For: SVN trunk
>
>         Attachments: ReconciliationTabWork.patch
>
>
> Create new tab/screen ("Reconciliations") under FinAccount to show 
> GlReconciliation records associated to it (i.e. FinAccount.postToGlAccountId 
> = GlReconciliation.glAccountId
> At the top of the screen add a Add/Edit Reconciliation form to create new 
> records for GlReconciliation; The reconciledBalance field should not be 
> editable (both during creation and update).
> Under it there will be the list of GlReconciliation records, sorted by date 
> descending (most recent at the top).
> If the user clicks on the id of one of the records of the GlReconciliation 
> list then a new screen is loaded (but the highlighted tab will be the same 
> "Reconciliations"): in the new screen all the FinAccountTrans records 
> assigned to the reconciliation will be shown; this means that will will add a 
> new field to FinAccountTrans: glReconciliationId to associate a transaction 
> to a GlReconciliation.
> The following information will be shown at the top of the page:
>     * the glReconciliationName and reconciledDate of the currently selected 
> GlReconciliation
>     * before the list of transactions: glReconciliationName, 
> reconciledBalance and reconciledDate of the previous GlReconciliation record
>     * after the list of transactions: new total given by reconciledBalance 
> plus all the transactions (+ or - according to the type deposit or withdraw)
>       If the current GlReconciliation record has the reconciledBalance field 
> empty (this means that the transactions still have to be reconciled in the 
> GL) then we will also display a "Reconcile" button at the bottom of the page.
>     * All the above add a Edit Gl Reconcile button at the top of the screen 
> which will redirect to the same form but this time it will call the update.
>       The button will trigger the business logic for reconcile same as done 
> for the Bank Reconciliation screen.

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