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https://issues.apache.org/jira/browse/OFBIZ-6113?page=com.atlassian.jira.plugin.system.issuetabpanels:comment-tabpanel&focusedCommentId=15379273#comment-15379273
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Sharan Foga commented on OFBIZ-6113:
------------------------------------

I can confirm that both of these issues are happening with 13.07 so will 
separate them out into two separate issues (if not already logged). I will test 
to see if this is still an issue in the trunk. The second may be a process 
issue where the incoming payment transaction is being processed twice - once in 
the sales order and once in the financial account. 

> Problem with Financial Account ?
> --------------------------------
>
>                 Key: OFBIZ-6113
>                 URL: https://issues.apache.org/jira/browse/OFBIZ-6113
>             Project: OFBiz
>          Issue Type: Bug
>          Components: accounting
>    Affects Versions: Release Branch 12.04, Release Branch 13.07
>            Reporter: Storm Trinh
>            Assignee: Sharan Foga
>
> 1. We have some financial account  (ex : ABN_CHECKING, SC_CHECKING ...)
>    Create Sales Order ( chosen : Mail check / Money Order) : Amount = 100$
>    Receipt payment:
>     - Checking Account at ABN AMRO Bank (ABN_CHECKING) with amount = 20$
>    - Checking Account at Standard Chartered Bank (SC_CHECKING) with amount = 
> 80$
>    OFBiz auto create one payment with the first paymentMethodTypes have 
> amount > 0 in paymentMethodTypes list (as  financial account list).
> In example : Payment  
>   + Payment Type ID = Customer Payment
>   + Payment Method Type = Company Check
>   + Payment Method Id = ABN_CHECKING
>   + Amount  = 100$ ( Service get amount = OrderHeader.grandTotal = 100$)
> We reciept from 2 financial account ==> we need create 2 payment, so I think 
> it is a bug.
> Other, OFBiz not show payment at "Payment Information" with this case.
> 2. Problem with transaction when we use financial account.
>  When we receipt with financial account,
>   Payment :
>   Debit  = 100$ - Post To Gl Account Id Financial Account  (122100)
>   Credit = 100$ - Accounts Receivable (120000)
>  When we use bank Bank Reconciliation, transaction is :
>   Debit  = 100$ - Post To Gl Account Id Financial Account  (122100)
>   Crebit  = 100$ - Post To Gl Account Id Financial Account  (122100)
>    ===>  In GL : Debit 122100= 200$, Credit  122100= 100$
> In fact, Debit 122100= 100$, Credit 122100 = 0$
> Thanks.



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