SYOPSIS
This module creates object instances based on LedgerSMB's in-database ORM.METHODS
Please note, this module needs a lot of cleanup.- new ($class, base => $LedgerSMB::hash)
-
This is the base constructor for all child classes. It must be used with base
argument because this is necessary for database connectivity and the like.
Of course the base object can be any object that inherits LedgerSMB, so you can use any subclass of that. The per-session dbh is passed between the objects this way as is any information that is needed.
- get_report($self, $report_id)
-
Collects all the rows from the database in the given report. Returns an
arrayref of entries in the table for the given report_id.
Returns undef in the event of no records found.
- get_corrections($self, $report_id, $entry_id)
- Returns the corrections made for the selected report and entry. Returns undef in the event of no corrections found.
- entry ($self,$report_id,$entry_id)
- Returns a single entry from the pending reports table, either cleared or uncleared.
- update
- Updates the report, pulling in any new transactions in the date range into the transaction list.
- submit
- Submits the reconciliation set for approval.
- save
- Saves the reconciliation set for later work
- import_file
- Calls the file import function. This is generally assumed to be a csv file although the plugin is very modular and plugins could be written for other formats. The format structure is per account id.
- approve($self,$reportid)
-
Approves the pending report $reportid.
Checks for error codes in the pending report, and approves the report if none
are found.
Limitations: The creating user may not approve the report.
Returns 1 on success.
- new_report
- Creates a new report with data entered.
- delete ($self, $report_id)
-
Requires report_id
This will allow the deletion of a report if the report is not approved and the user either owns the unsubmitted report, or the user has the right to approve reports.
Returns 0 if successful, or a true result if not.
- add_entries
-
Adds entries from the import file routine.
This function is extremely order dependent. Meaningful scn's must be submitted first it is also recommended that amounts be ordered where scn's are not found.
- search
-
Searches for reconciliation reports. No inputs mandatory.
date_from and date_to specify ranges. balance_from and balance_to specify ranges chart_id specifies an account submitted and approved are exact matches to status.
- get
-
Gets all information relating to a reconciliation report.
id must be set.
Populates main hash with values from cr_report
Also populates
-
- report_lines
- a list of report lines
- account_info
- a hashrefo of information from the account table.
- beginning_balance
- cleared_total
- outstanding_total
- mismatch_our_total
- mismatch_our_credits
- mismatch_our_debits
- mismatch_their_total
- mismatch_their_credits
- mismatch_their_debits
-
- get_accounts
- This is a simple wrapper around reconciliation__account_list
Copyright (C) 2007, The LedgerSMB core team.
This file is licensed under the Gnu General Public License version 2, or at your option any later version. A copy of the license should have been included with your software.

