Commit Graph

7 Commits

Author SHA1 Message Date
abijah
7ee461d993 Added monetary source into the ledger entry lists. This may be more information than is needed on the listing, but I'll take it out later if so.
git-svn-id: file:///svn-source/pmgr/branches/ledger_transactions_20090605/site@139 97e9348a-65ac-dc4b-aefc-98561f571b83
2009-06-15 21:52:38 +00:00
abijah
c3139220ee Moved the ledger_entries controller/view to jqGrid.
Changed the app controller jqGrid virtual functions for getting the tables for both count and the full query.  The ExtraTables bit was too confusing, and was only intended to allow the user to specify a subset for count and augment it for full query.  This is easily accomplished by having DataTables just call DataCountTables first... one line solution ends the confusion.

Modified linkable behavior to support a %{MODEL_ALIAS} tag, which is replaced in the relationship conditions at runtime with the actual model alias.  This is experimental at best, and certainly will create a problem for any model that ends up using the conditions in 'contain' instead of 'link'.

Broke the LedgerEntry->findInLedgerContext function out into multiple pieces, so those same pieces could be used in the LedgerEntries controller to populate jqGrid.

Changed the ledger_entries element, as a special case, to also allow listing control from ledger_id and account_type, instead of idlist as a mechanism for populating the grid.

Changed the infobox summary css, which will break several pages until I rework them.

Some next steps include fixing the broken infoboxes, and changing the transactions view to use the ledger_entries element.  This also means the ledger_entries element will need to add support for idlist, or if we have any credit/debit issues, perhaps another custom transaction_id instead.



git-svn-id: file:///svn-source/pmgr/branches/ledger_transactions_20090605/site@134 97e9348a-65ac-dc4b-aefc-98561f571b83
2009-06-15 19:41:20 +00:00
abijah
68273302cb Removed the useless pagination code from ledger_entries
git-svn-id: file:///svn-source/pmgr/branches/ledger_transactions_20090605/site@133 97e9348a-65ac-dc4b-aefc-98561f571b83
2009-06-15 06:46:05 +00:00
abijah
ce735cad3f Added the Containable behavior back into the AppModel, since it's obviously getting used in every controller.
git-svn-id: file:///svn-source/pmgr/branches/ledger_transactions_20090605/site@91 97e9348a-65ac-dc4b-aefc-98561f571b83
2009-06-10 21:09:23 +00:00
abijah
970b2ad202 Added lease and ledger_entry controllers/views. Minor bugfixes as well.
git-svn-id: file:///svn-source/pmgr/branches/ledger_transactions_20090605/site@85 97e9348a-65ac-dc4b-aefc-98561f571b83
2009-06-10 08:53:22 +00:00
abijah
e0d9edc4a8 Primarly a cleanup checkin, although a couple minor bugfixes were included as well.
git-svn-id: file:///svn-source/pmgr/branches/ledger_transactions_20090605/site@82 97e9348a-65ac-dc4b-aefc-98561f571b83
2009-06-10 05:14:08 +00:00
abijah
677458e942 I'm still in the middle of moving onto a ledger based system. However, I'm am now changing how transactions and entries relate back to the customer. I'll be using a ledger for each lease (for rent, late charges, security deposits, etc), and a ledger for each customer (for POS, non-specific deposits such as reservations or covering mulitple units, bad debt writeoff, and possibly customer credits, when not obviously lease specific). This coming change might not be in the right direction, so I want to capture the work as is right now. This change set is not fully functional. Many operations do work, but there are obviously transaction problems with units and customers.
git-svn-id: file:///svn-source/pmgr/branches/ledger_transactions_20090605/site@71 97e9348a-65ac-dc4b-aefc-98561f571b83
2009-06-06 20:18:56 +00:00