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https://issues.apache.org/jira/browse/OFBIZ-1786?page=com.atlassian.jira.plugin.system.issuetabpanels:comment-tabpanel&focusedCommentId=12596758#action_12596758
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sumitp edited comment on OFBIZ-1786 at 5/21/08 6:08 AM:
--------------------------------------------------------------

Based On write-ups provided by Jacopo.

The purpose of the test case is to verify Automatic Accounting transactions on 
generate a sales invoice

it follows the following process :-

   1.  from the shipment detail screen of the shipment created in the previous 
step (there is a link to it from the order detail screen), set the status of 
the shipment to "pack"(Click on "Edit" and then from statusIs drop down select 
statusId = "Packed" and then click update); this action will generate a sales 
invoice
   2. go to the invoice detail screen (there is a link to the invoice from the 
order detail screen) and click on the "set status to ready"; this action will 
generate and post to the GL the accounting transaction for the sales invoice

 Dr
         Account type    ACCOUNTS _RECEIVABLE - "Accounts Receivables"
        120000 - "ACCOUNTS RECEIVABLE"  
        This is the invoice grand total
Cr
        SALES _ACCOUNT - "Sales"
        400000 - "SALES"
                these are the products (i.e. the invoice items corresponding to 
the order items);
Dr      "Discounts"
                         
Cr      "Charges"
                         
Cr      "Taxes" 

      was (Author: sumitp):
    The purpose of the test case is to verify Automatic Accounting transactions 
on generate a sales invoice

it follows the following process :-

   1.  from the shipment detail screen of the shipment created in the previous 
step (there is a link to it from the order detail screen), set the status of 
the shipment to "pack"(Click on "Edit" and then from statusIs drop down select 
statusId = "Packed" and then click update); this action will generate a sales 
invoice
   2. go to the invoice detail screen (there is a link to the invoice from the 
order detail screen) and click on the "set status to ready"; this action will 
generate and post to the GL the accounting transaction for the sales invoice

 Dr
         Account type    ACCOUNTS _RECEIVABLE - "Accounts Receivables"
        120000 - "ACCOUNTS RECEIVABLE"  
        This is the invoice grand total
Cr
        SALES _ACCOUNT - "Sales"
        400000 - "SALES"
                these are the products (i.e. the invoice items corresponding to 
the order items);
Dr      "Discounts"
                         
Cr      "Charges"
                         
Cr      "Taxes" 
  
> Junit test case for generate a sales invoice ...
> ------------------------------------------------
>
>                 Key: OFBIZ-1786
>                 URL: https://issues.apache.org/jira/browse/OFBIZ-1786
>             Project: OFBiz
>          Issue Type: Sub-task
>            Reporter: Sumit Pandit
>


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