get_picked_batches summed Serial-and-Batch-Entry qty while selecting bare
batch_no and warehouse with no GROUP BY. PostgreSQL rejects this outright:
column "tabSerial and Batch Entry.batch_no" must appear in the GROUP BY clause
MariaDB does not error but collapses every picked row into a single result -
the grand-total qty pinned to one arbitrary batch - so the caller, which keys
the result by (batch_no, warehouse) to subtract already-picked stock, under-counts
whenever more than one batch is picked.
Add GROUP BY batch_no, warehouse so the query returns one correct row per batch
on both engines (this corrects the MariaDB result, not just Postgres validity).
get_material_requests_based_on_supplier deduplicated requests with
SELECT DISTINCT (name, transaction_date, company) while ordering by
mr_item.item_code, which is not in the select list. MariaDB allows this;
PostgreSQL rejects it:
psycopg2.errors.InvalidColumnReference: for SELECT DISTINCT,
ORDER BY expressions must appear in select list
so the picker errored out there.
Group by the three selected columns (equivalent to the DISTINCT, so the
same set of requests is returned) and order by Min(item_code). The order
key stays item_code but is now a well-defined aggregate, making the query
valid - and the ordering deterministic and identical - on both engines.
frappe's db_query SILENTLY drops ORDER BY for distinct queries on Postgres (the ORDER BY
column must appear in the SELECT-DISTINCT list), so `get_all/get_list(distinct=True,
order_by="<col>")` is a no-op there and the result comes back unordered — the root cause of
the Sales Register, Purchase Register and Sales Analytics ordering fixes. Add an AST rule to
.github/helper/postgres_compat.py that flags this (literal order_by only; an empty order_by=""
suppression and a dynamic/variable order_by are not flagged). `# pg-ok` escape hatch as usual.
Grandfather the three pre-existing low-impact sites the rule surfaces (paging/iteration order
only, not data): job_card operation autocomplete, inventory_dimension config list, and a
work_order test loop.
get_payer_address_html picks one company address with ORDER BY (Postal DESC, Billing DESC)
LIMIT 1 and no column tie-break. When a company has two addresses of the same address_type
the two CASE keys tie, so the LIMIT-1 row is implementation-defined and MariaDB and PostgreSQL
can return a different address.name — i.e. a different payer address on the rendered IRS-1099
form for identical data.
Add a final .orderby(address.name), mirroring the sibling get_street_address_html in the same
file (which already carries the "deterministic LIMIT-1 tie-break across engines" order). The
pick is now the lexicographically-smallest name on both engines.
get_teams fetched distinct order_types with get_all(distinct=True, order_by="order_type").
frappe drops ORDER BY for distinct queries on postgres (db_query), so the order_by is a
no-op there and the report's order-type leaf rows are not guaranteed any order on PG
(PostgreSQL only sorts them incidentally via its DISTINCT plan). Sort in python with
key=str.casefold instead, matching MariaDB's case-insensitive collation and guaranteeing
an identical, stable order on both engines (same pattern as the Sales/Purchase Register
account-column fix). Add a test locking the sorted order-type row order.
employee_query, lead_query and bom() ranked autocomplete results with a bare
Locate(txt, col) in ORDER BY. frappe maps Locate -> strpos on Postgres, which is
case-sensitive, while MariaDB's LOCATE against a column uses the column's
case-insensitive collation. So the search-dropdown ordering diverged between engines for
mixed-case matches (row count/membership unchanged — the WHERE .like() is already ILIKE).
Wrap both Locate operands in Lower(), matching the sibling item_query/get_project_name
handlers in the same file: a no-op on MariaDB, and case-insensitive (MariaDB-faithful) on
Postgres. The existing test_queries suite stays green on both engines.
The Postgres-portability change moved the POS item-group filters to the query builder
(item.item_group.isin(...)) and frappe.get_all(["name","in",...]), which escape values
once. get_item_groups() still pre-escaped each name with frappe.db.escape(), so the
names were escaped TWICE -> `item_group IN ('''Products''')`, matching nothing. Any POS
Profile that restricts item groups returned ZERO items, on both MariaDB and Postgres.
Return raw names; the parameterized callers escape them correctly. (get_parent_item_group
also returned the quoted literal before this fix.) Add a regression test: a POS Profile
restricted to an item group must still surface that group's items — it returns 0 before
the fix and passes after, on both engines.
Covers the sales/billing roll-up (total_sales_amount, total_billed_amount,
gross margin) via the whitelisted update_costing_and_billing, and
consumed-material cost from a project-linked Stock Entry issue. The
purchase-cost roll-up is already covered by the Purchase Invoice tests.
The Cash Flow report only had a smoke test. Add correctness tests for the
indirect method: a cash sale increases net change in cash by its amount,
and a cash purchase of a fixed asset is an investing outflow that reduces
it. Both measure the delta around a single transaction so they are
independent of existing company data.
The General Ledger report's everyday filters were untested (existing tests
only covered exchange-rate revaluation and the ignore-journals/cr-dr-notes
filters). Add coverage for opening/total/closing balance rows, group/
categorize by account subtotals, and the party filter.
Covers the no-employee path (title set to the activity type and the
default-cost duplication guard) and employee_name being fetched for the
title. Brings activity_cost.py to full coverage.
A template task that depends on another task requires that dependency to
also be present in the template's task list; covers both the rejection
and the valid case.
Extend Trial Balance coverage across its filters: show zero values, show
group accounts, show net values, period closing entry for current period,
show unclosed FY P&L balances, include default finance book entries, and
the ignore_account_closing_balance setting (cached Account Closing Balance
vs recomputed-from-GL opening).
Covers get_activity_cost falling back to the Activity Type rates (and the
empty result for an unknown type), plus get_timesheet_data and
get_timesheet_detail_rate for a billable timesheet detail.
Covers the whitelisted set_multiple_status and add_multiple_tasks helpers
(including the blank-subject skip), the template-task dependency
validation, the on_trash child-exists guard, and a child task
registering itself in its parent's depends_on.
The report previously had a single dimension-filter test. Add tests using
fresh accounts: a posted journal entry lands in the period debit/credit
columns with the grand total balanced, and an entry before the from-date
rolls into the opening-balance columns.
Both are whitelisted, UI-triggered functions that had no server tests.
Covers duplicating a project with its tasks (and the same-name guard),
and bulk-setting a project plus its tasks to a terminal status (and the
invalid-status guard).
The Stock Projected Qty report had no test file. Add tests for projected
qty rolling up actual + ordered, shortage qty derived from the warehouse
reorder level, and item filtering.
Adds assertions for the four percent_complete_method paths (Manual is
already covered), plus the status transitions: 100% flips a project to
Completed, reopening a task flips it back to Open, and a Cancelled
project keeps its status. The method was previously unasserted.
The Stock Ledger report had a test stub with no assertions. Add tests for
in/out quantity split and running balance, opening-balance roll-up from
movements before the period, and item filtering, sharing a small
make_movements/run_report helper.
commission_rate is no_copy so it is not carried on Duplicate/amend, but the
mapper also skips no_copy fields, leaving the mapped Delivery Note / Sales
Invoice showing 0 commission until saved (it only re-fetched from the sales
partner on save). Map commission_rate explicitly in the SO->DN, SO->SI and
DN->SI mappers so it carries over immediately; Duplicate still does not copy
it.
set_lead_name fell through to email_id.split('@') when a lead had no name,
company or email but ignore_mandatory was set (e.g. data import), raising
AttributeError on a None email. Only derive from email when one exists; the
lead name is then left blank, as intended for that path.
* feat: capitalize full actual charge on stock items only for Purchase Invoice
Extends #56102 (Purchase Receipt) to the Purchase Invoice GL: an actual
valuation charge (e.g. Freight) flagged 'Allocate Full Amount to Stock Items'
is fully capitalized onto stock/asset items only; when unchecked, only the
stock items' share of a spread-across-all-items charge is capitalized.
Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>
* test: aggregate GL rows per account in PI freight test
---------
Co-authored-by: Claude Opus 4.8 <noreply@anthropic.com>
Across Sales Order, Delivery Note, Sales Invoice and POS Invoice, the
Commission section's commission_rate, total_commission and
amount_eligible_for_commission are sales-partner commission fields:
- depends_on eval:doc.sales_partner so they only show when a Sales Partner
is set;
- no_copy so a duplicated/amended document does not carry a stale commission
rate or computed commission amount (the sales partner itself still copies).
depends_on is client-only, so the server-side commission calculation is
unchanged. Add a Sales Order test for the no_copy behaviour.
The previous string comparison (str(raw) != str(cleaned)) rewrote every
whole-number row ('20' vs '20.0'), turning a targeted cleanup into a
full-table rewrite on Sales Team. Skip rows already holding a plain numeric
string and only fix NULL / empty / non-numeric / percent-sign values.