Many bug fixes, found while entering real facility data. Most are quite minor, although there was a functionality change to assignCredits, to support concessions without assigning them to anything other than rent. I've found that there is a glaring problem with charge reversals, which don't work correctly with the collected report. Of course, we're deleting prior disbursements, which obviously needs to be rectified.

git-svn-id: file:///svn-source/pmgr/branches/yafr_20090716@540 97e9348a-65ac-dc4b-aefc-98561f571b83
This commit is contained in:
abijah
2009-08-12 09:37:49 +00:00
parent e74f8987d9
commit 1d27b4dcb5
15 changed files with 120 additions and 137 deletions

View File

@@ -685,6 +685,7 @@ class Transaction extends AppModel {
// with the customer statement (charges, disbursements, credits, etc).
$bounce_result = $this->addDeposit
(array('Transaction' => array('stamp' => $stamp,
'type' => 'WITHDRAWAL',
'crdr' => 'CREDIT'),
'Entry' => array(array('tender_id' => null,
'account_id' => $this->Account->nsfAccountID(),