- Introduced a new helper function `_ensure_client_provider_address` to manage the assignment of addresses for ClientProvider instances.
- Refactored the `create_business_catalogs` function to utilize the new helper, ensuring that existing addresses are reused if available, preventing duplicate entries.
- This change enhances the integrity of address data during business catalog creation by ensuring proper address assignment based on existing records.
- Introduced a new job in the CI workflow to run backend tests before the build process.
- Configured Python environment and installed dependencies from the backend requirements.
- Added a check for the TEST_DATABASE_URL secret to ensure it is defined before running tests.
- The test job must pass for the build job to execute, enhancing the reliability of the CI pipeline.
- Updated multiple DTO classes across various modules to replace the `Config` class with `model_config = ConfigDict(from_attributes=True)`.
- This change enhances consistency in attribute handling and aligns with the latest Pydantic practices.
- Adjusted error handling in core modules to change status codes from `HTTP_422_UNPROCESSABLE_ENTITY` to `HTTP_422_UNPROCESSABLE_CONTENT` for improved clarity in validation responses.
- Updated validation logic to restrict 'IMD' document type usage unless the invoice type is 'DEF'.
- Refactored value assignment in the main processing flow to handle 'DEF' and 'MEX' invoice types with specific IVA calculations.
- Added logging for invoice processing to improve traceability and debugging.
These changes improve the accuracy of invoice validations and processing for specific document types.
- Deleted the MovementService class, which handled movement operations for temporary imports, including methods for building query clauses and calculating exchange rates.
- This removal streamlines the codebase by eliminating unused legacy code, improving maintainability and clarity in the invoice processing logic.
- Updated the `iva_factor` field in the `InvoiceFinancials` model to use a numeric type with precision and scale.
- Adjusted related frontend components and API interfaces to reflect the new numeric type for `iva_factor`.
- Enhanced Alembic migration scripts to accommodate the schema changes, ensuring proper index management and data type conversions.
These changes improve data integrity and consistency for financial calculations in invoices.
- Updated the date calculations in the DashboardService to use the `invoice_date` field instead of `created_at` for querying previous totals and monthly data.
- Changed the date variables to return only the date part, improving clarity and consistency in date handling.
These changes enhance the accuracy of invoice data retrieval in the dashboard service.
- Updated invoice processing functions to eliminate legacy fields related to returned quantities, now relying on new balance movement and discharge records.
- Adjusted various components and services to reflect changes in quantity handling, including updates to the frontend for displaying used quantities instead of returned ones.
- Improved the logic for invoice total updates and validation processes to ensure consistency with the new data structure.
These changes aim to streamline invoice management and improve data integrity across the application.
- Updated `InvoiceService` to accurately reflect the number of line items in `party_count` for invoices.
- Modified weight calculations in the create and update validators to ensure consistent handling of weight types, now using lowercase comparison for "KGS".
- Adjusted invoice data structure in the frontend to include `total_items` and refined logistics handling.
- Improved table rendering in the invoice edit component for better sticky header behavior and item visibility.
These changes aim to improve data integrity and user experience in invoice management.
- Introduced `_proportional_qty` function to calculate prorated quantities based on consumed amounts.
- Implemented caching for line items and import invoice numbers to optimize database queries during discharge ledger registration.
- Enhanced `register_discharge_ledger` function to utilize cached data for improved performance and reduced N+1 query issues.
- Updated discharge detail creation to include denormalized fields for reporting, such as net and gross weights, and customs information.
- Added `company_id` to `ClientProviderAddress` and `ClientProviderPrograms` for better association.
- Updated `_process_with_discharge` to simplify invoice review by removing redundant parameters.
- Improved `pre_validators` to ensure address validation checks for existence before accessing country.
- Enhanced balance comparison logic in `compare_balances` by tracking consumed quantities.
- Modified `fill_available_balances` to reflect invoice status changes from 'UNPROCESSED' to 'PENDING'.
- Introduced `get_lines_with_balance` method in `ItemService` to fetch invoice lines with available balance.
- Added new API endpoint to retrieve import invoice lines with balance information.
- Updated frontend components to display available balances and improve user experience in invoice selection.
- Updated the invoice processing route to automatically detect and handle invoice types based on the operation_type.
- Introduced error handling for non-existent invoices, returning a 404 status when an invoice is not found.
- Added a new field 'serie_row' in the Serie model to accommodate additional data for export scenarios.
- Introduced `create_balance_entries` function to generate `BalanceMovement` entries for each line item of a processed import invoice, ensuring accurate inventory balance tracking.
- Implemented `void_balance_entries` function to cancel open ENTRY movements by inserting corresponding ENTRY_VOID movements, with safeguards against already consumed lots.
- Enhanced transaction handling to maintain data integrity during invoice processing and reverting operations.
- Introduced a new movement type 'ENTRY_VOID' to handle invoice reversals, ensuring net balance remains zero.
- Updated the FaLineItem DTOs to replace 'download' with 'discharge' for consistency.
- Implemented balance entry creation in the invoice processing and reverting workflows, enhancing inventory management.
- Adjusted progress tracking messages to reflect the new balance entry generation steps.