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4f11e27a7680fa2cc728126854ac5786a3048e38
pmgr
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site
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views
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elements
History
abijah
98f3dd7688
Added the close date to the leases grid, to make it clear which customer leases are still open. Perhaps we should exclude the field by default, and just add it into the customer view page.
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git-svn-id: file:///svn-source/pmgr/branches/yafr_20090716@515 97e9348a-65ac-dc4b-aefc-98561f571b83
2009-08-10 19:00:02 +00:00
..
email
Load pmgr into branches/initial_20090526/site.
2009-05-27 04:18:23 +00:00
accounts.ctp
Many, many changes, and yet still much to do. Many things are working, but certainly nothing beyond simply data retrieval (no editing or adding of any data). Also, some work is still required to ensure the grids have the right columns; we can strip out certain columns for some views (such as removing customer from the leases grid of the customer view... completely redundant). And of course, there are still many bugs and lots to clean up.
2009-07-23 01:49:46 +00:00
contacts.ctp
Many, many changes, and yet still much to do. Many things are working, but certainly nothing beyond simply data retrieval (no editing or adding of any data). Also, some work is still required to ensure the grids have the right columns; we can strip out certain columns for some views (such as removing customer from the leases grid of the customer view... completely redundant). And of course, there are still many bugs and lots to clean up.
2009-07-23 01:49:46 +00:00
customers.ctp
Even with all the effort put into getting the counts right on the customers grid, it still didn't work right. The root of the problem is the join to CurrentLease, which can result in multiple rows for the same customer. I can revisit this in the future to put some clever solution back in, but in the meantime, it was easiest just to add fields to the customers table, and simply update it whenever the customer lease situation changes. I don't like it... but it just made life much simpler.
2009-08-04 19:25:39 +00:00
double_entries.ctp
Many, many changes, and yet still much to do. Many things are working, but certainly nothing beyond simply data retrieval (no editing or adding of any data). Also, some work is still required to ensure the grids have the right columns; we can strip out certain columns for some views (such as removing customer from the leases grid of the customer view... completely redundant). And of course, there are still many bugs and lots to clean up.
2009-07-23 01:49:46 +00:00
form_table.ctp
Some of the finer detail work, mostly around pre-populating the move-in invoice with useful and correct data, and allowing the lease rent and deposit to be set at movein.
2009-08-07 22:52:01 +00:00
jqGrid.ctp
Shrunk the comment column in half, since it's usually empty. All we really need is an easy way to spot that there is a comment, and the user can hover or widen the column as needed.
2009-07-31 01:35:45 +00:00
leases.ctp
Added the close date to the leases grid, to make it clear which customer leases are still open. Perhaps we should exclude the field by default, and just add it into the customer view page.
2009-08-10 19:00:02 +00:00
ledger_entries.ctp
Modified how NSF customer surplus items are handled. Instead of creating a negative surplus (which was dumb, but a decent first pass), we just void out the surplus. This drops the surplus off the radar, and in fact may cause confusion since the transaction no longer has enough statement entries to total up correctly. However, it doesn't appear too confusing, especially as tender item names are now decorated with strikethrough when they're NSF (the previous checkin).
2009-07-31 01:40:16 +00:00
ledgers.ctp
Got the ledger closings to work again. This seems to work ok, although I notice closing the ledger after deposit results in a balance forward entry of $0.00 . I'll work on it next
2009-07-30 01:59:10 +00:00
maps.ctp
Many, many changes, and yet still much to do. Many things are working, but certainly nothing beyond simply data retrieval (no editing or adding of any data). Also, some work is still required to ensure the grids have the right columns; we can strip out certain columns for some views (such as removing customer from the leases grid of the customer view... completely redundant). And of course, there are still many bugs and lots to clean up.
2009-07-23 01:49:46 +00:00
sidemenu.ctp
Initial working version ofa consistent layout with side menu
2009-05-29 14:49:11 +00:00
statement_entries.ctp
Implemented refund, at least for the most part. Minor testing, but looks promising. Because of this change the customer account entries grid appears odd, with a refunds showing up as a 'Charge'. So, I'm toying with the idea of having entries show up as customer 'Debits' and 'Credits'. I don't know if this will cause user confusion, but we'll play with it for a while and see. It actually reminds me a bit (coming full circle) of the earliest implementations, which kept track of a lease on its own account/ledger, in which credit/debit would be the exact correct terms.
2009-08-06 05:11:58 +00:00
table.ctp
Some of the finer detail work, mostly around pre-populating the move-in invoice with useful and correct data, and allowing the lease rent and deposit to be set at movein.
2009-08-07 22:52:01 +00:00
tenders.ctp
Changed the deposit to use a grouped double entry instead of individual ones for each tender deposited
2009-07-29 10:10:11 +00:00
transactions.ctp
Added transaction stats. Added (possibly unwanted) columns.
2009-07-25 08:06:50 +00:00
units.ctp
Some of the finer detail work, mostly around pre-populating the move-in invoice with useful and correct data, and allowing the lease rent and deposit to be set at movein.
2009-08-07 22:52:01 +00:00