Divyesh Makwana(OpenERP) has proposed merging 
lp:~openerp-dev/openobject-addons/trunk-bug-920140-mdi into 
lp:openobject-addons.

Requested reviews:
  OpenERP Core Team (openerp)
Related bugs:
  Bug #920140 in OpenERP Addons: "[trunk][account] Cash and Bank account types 
have no report type"
  https://bugs.launchpad.net/openobject-addons/+bug/920140

For more details, see:
https://code.launchpad.net/~openerp-dev/openobject-addons/trunk-bug-920140-mdi/+merge/89658

Hello Sir,

I have fix the issue: https://bugs.launchpad.net/openobject-addons/+bug/920140 
"Cash and Bank account types have no report type".

Thanks and Regards,

Divyesh Makwana(MDI)
-- 
https://code.launchpad.net/~openerp-dev/openobject-addons/trunk-bug-920140-mdi/+merge/89658
Your team OpenERP R&D Team is subscribed to branch 
lp:~openerp-dev/openobject-addons/trunk-bug-920140-mdi.
=== modified file 'account/data/data_account_type.xml'
--- account/data/data_account_type.xml	2011-12-09 15:18:47 +0000
+++ account/data/data_account_type.xml	2012-01-23 10:54:32 +0000
@@ -10,21 +10,25 @@
           <field name="name">Receivable</field>
           <field name="code">receivable</field>
           <field name="close_method">unreconciled</field>
+          <field name="report_type">asset</field>
         </record>
         <record model="account.account.type" id="data_account_type_payable">
           <field name="name">Payable</field>
           <field name="code">payable</field>
           <field name="close_method">unreconciled</field>
+          <field name="report_type">liability</field>
         </record>
         <record model="account.account.type" id="data_account_type_bank">
           <field name="name">Bank</field>
           <field name="code">bank</field>
           <field name="close_method">balance</field>
+          <field name="report_type">asset</field>
         </record>
         <record model="account.account.type" id="data_account_type_cash">
           <field name="name">Cash</field>
           <field name="code">cash</field>
           <field name="close_method">balance</field>
+          <field name="report_type">asset</field>
         </record>
         <record model="account.account.type" id="data_account_type_asset">
           <field name="name">Asset</field>

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