When creating a pick list for a work order with partially available stock,
the resulting Material Transfer for Manufacture stock entry was setting
fg_completed_qty = for_qty (= wo.qty), causing material_transferred_for_manufacturing
to reach wo.qty after just one partial transfer and blocking further pick lists.
Fix:
- Set fg_completed_qty = 0 on stock entries created from pick lists so the
old SUM(fg_completed_qty) path never fires prematurely
- Recompute material_transferred_for_manufacturing after each transfer:
use SUM(fg_completed_qty) when > 0 (direct entries / excess transfer),
otherwise use min(transferred/required) × wo.qty (pick list flow)
- Add _validate_no_excess_transfer for pick list entries (fg_completed_qty=0)
to prevent transferring more than pending qty; skip for return entries
and when backflush is based on Material Transferred for Manufacture
- Remove the zero-qty prompt in pick list work_order trigger; skip the
qty dialog in work_order.js when max transferable qty is already 0
- Hide fg_completed_qty field in Stock Entry for Material Transfer for
Manufacture purpose since it is unused in that flow
Fixes: #70713, #63846
- Remove `depends_on` restriction from `inspection_required` field so it
is visible for all Stock Entry purposes, not just Manufacture
- Fix `check_item_quality_inspection` to return items for Stock Entry
(was returning [] for unknown doctypes, blocking QI creation flow)
- Fix `inspection_type` in transaction.js to be purpose-aware: Manufacture
and Material Receipt → "Incoming"; all other purposes → "Outgoing"
The framework ignores `no_copy` while amending, so a reconciled voucher
carried a stale clearance date into its amendment even though the linked
bank transaction gets unreconciled on cancellation. Reset it via a shared
`before_insert` hook on AccountsController.
Fixes#54909
- Add `cost_center` field and `accounting_dimensions_section` / `dimension_col_break`
to Request for Quotation Item DocType so custom accounting dimensions propagate automatically
- Register `Request for Quotation Item` in `accounting_dimension_doctypes` hook
- Map `cost_center` from Material Request → RFQ in `make_request_for_quotation`
- Map `cost_center` from RFQ → Supplier Quotation in `make_supplier_quotation_from_rfq`
and `create_rfq_items` (portal flow)
- Map `cost_center` in `get_item_from_material_requests_based_on_supplier` (MR-based RFQ flow)
- Add test cases to verify cost_center propagation through the MR → RFQ → SQ chain
Fixes#55855
Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com>
Float fields default to 0, so qty is never None. Per review feedback,
remove the validation entirely.
Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>
Display the actual company name in bold within the confirmation dialog
label so users immediately know which company they must type to confirm,
reducing the risk of accidental data loss.
Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com>
Changing the transaction/posting date re-triggers the `currency` handler,
which fetches a fresh exchange rate and, whenever it differs from the
current one, divided every Amount-type item margin and Actual tax charge
by the new rate. `margin_rate_or_amount` is an amount in the transaction
currency, so dividing it is only meaningful when the document actually
switches currency; on a mere rate refresh it silently shrinks the margin
every time.
Track the currency the rendered document is denominated in and convert
margins/actual charges only on a real currency change, while still
updating `conversion_rate` so base amounts recalculate correctly.
Also remove the duplicated `currency()` override in quotation.js: it
re-ran the same fetch-and-convert block after `super.currency()` (double
converting margins) and lacked the `load_after_mapping` guard. The base
handler already covers Quotation via `transaction_date`.
Fixes#45210
`StockClosing.get_sle_entries` filtered `Stock Closing Balance` by a
`closing_stock_balance` column that does not exist; the link field back to
the closing entry is `stock_closing_entry`. As a result every Stock
Closing Entry created after the first one failed with
`OperationalError (1054, "Unknown column 'closing_stock_balance'")`, since
the previous-balance branch only runs once an earlier closing exists.
Fixes#54819
Creating a Project with a `sales_order` set used `frappe.db.set_value`
to unconditionally write the Sales Order's `project` field. When several
projects were created for the same Sales Order, each new project silently
overwrote the previous link, leaving earlier projects orphaned.
Only back-link the Sales Order when it is not already tied to another
project, and write the value through the document's `db_set` so the
modified timestamp and realtime update are handled. A warning is shown
when an existing link is left untouched.
Fixes#52179
The Fixed Asset Turnover Ratio in the Financial Ratios report divided
Net Sales by Total Assets (the root-level Asset group), which actually
computes the Total Asset Turnover Ratio.
Populate a `fixed_asset` balance from the asset account carrying the
`Fixed Asset` account_type (mirroring how `current_asset` is derived for
`Current Asset`) and use it as the denominator, so the ratio reflects
Net Sales / Net Fixed Assets per the standard definition.
Fixes#54529