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fix: account closing balance patch
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@@ -326,7 +326,7 @@ erpnext.patches.v13_0.update_docs_link
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erpnext.patches.v15_0.update_asset_value_for_manual_depr_entries
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erpnext.patches.v15_0.update_asset_value_for_manual_depr_entries
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erpnext.patches.v15_0.update_gpa_and_ndb_for_assdeprsch
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erpnext.patches.v15_0.update_gpa_and_ndb_for_assdeprsch
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erpnext.patches.v14_0.create_accounting_dimensions_for_closing_balance
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erpnext.patches.v14_0.create_accounting_dimensions_for_closing_balance
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erpnext.patches.v14_0.update_closing_balances
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erpnext.patches.v14_0.update_closing_balances #05-05-2023
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execute:frappe.db.set_single_value("Accounts Settings", "merge_similar_account_heads", 0)
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execute:frappe.db.set_single_value("Accounts Settings", "merge_similar_account_heads", 0)
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# below migration patches should always run last
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# below migration patches should always run last
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erpnext.patches.v14_0.migrate_gl_to_payment_ledger
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erpnext.patches.v14_0.migrate_gl_to_payment_ledger
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@@ -11,6 +11,8 @@ from erpnext.accounts.utils import get_fiscal_year
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def execute():
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def execute():
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frappe.db.truncate("Account Closing Balance")
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company_wise_order = {}
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company_wise_order = {}
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get_opening_entries = True
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get_opening_entries = True
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for pcv in frappe.db.get_all(
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for pcv in frappe.db.get_all(
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@@ -35,7 +37,20 @@ def execute():
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entry["closing_date"] = pcv_doc.posting_date
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entry["closing_date"] = pcv_doc.posting_date
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entry["period_closing_voucher"] = pcv_doc.name
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entry["period_closing_voucher"] = pcv_doc.name
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closing_entries = pcv_doc.get_grouped_gl_entries(get_opening_entries=get_opening_entries)
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closing_entries = frappe.db.get_all(
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"GL Entry",
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filters={
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"is_cancelled": 0,
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"voucher_type": ["!=", "Period Closing Voucher"],
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"posting_date": ["<=", pcv.posting_date],
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},
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fields=["*"],
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)
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for entry in closing_entries:
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entry["closing_date"] = pcv_doc.posting_date
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entry["period_closing_voucher"] = pcv_doc.name
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make_closing_entries(gl_entries + closing_entries, voucher_name=pcv.name)
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make_closing_entries(gl_entries + closing_entries, voucher_name=pcv.name)
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company_wise_order[pcv.company].append(pcv.posting_date)
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company_wise_order[pcv.company].append(pcv.posting_date)
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get_opening_entries = False
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get_opening_entries = False
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