use Text::Template;
use FS::Misc::DateTime qw( parse_datetime ); #for batch_import
use FS::Record qw( dbh qsearch qsearchs );
+use FS::UID qw( driver_name );
use FS::CurrentUser;
use FS::payby;
use FS::cust_main_Mixin;
Desired pkgnum when using experimental package balances.
+=item no_auto_apply
+
+Flag to only allow manual application of payment, empty or 'Y'
+
=item bank
The bank where the payment was deposited.
is taken for that length of time. It is an error for the customer to owe
after this payment is made.
-A hash of optional arguments may be passed. Currently "manual" is supported.
+A hash of optional arguments may be passed. The following arguments are
+supported:
+
+=over 4
+
+=item manual
+
If true, a payment receipt is sent instead of a statement when
'payment_receipt_email' configuration option is set.
realtime payment, or from a third-party payment via self-service. It should
be I<false> when creating a payment from a billing event or from a batch.
+=item noemail
+
+Don't send an email receipt. (Note: does not currently work when
+payment_receipt-trigger is set to something other than default / cust_bill)
+
+=back
+
=cut
sub insert {
$dbh->rollback if $oldAutoCommit;
return "Unknown cust_bill.invnum: ". $self->invnum;
};
+ if ($self->custnum && ($cust_bill->custnum ne $self->custnum)) {
+ $dbh->rollback if $oldAutoCommit;
+ return "Invoice custnum ".$cust_bill->custnum
+ ." does not match specified custnum ".$self->custnum
+ ." for invoice ".$self->invnum;
+ }
$self->custnum($cust_bill->custnum );
}
if ( $trigger eq 'cust_pay' ) {
my $error = $self->send_receipt(
'manual' => $options{'manual'},
+ 'noemail' => $options{'noemail'},
'cust_bill' => $cust_bill,
'cust_main' => $cust_main,
);
warn "can't send payment receipt/statement: $error" if $error;
}
+ #run payment events immediately
+ my $due_cust_event = $self->cust_main->due_cust_event(
+ 'eventtable' => 'cust_pay',
+ 'objects' => [ $self ],
+ );
+ if ( !ref($due_cust_event) ) {
+ warn "Error searching for cust_pay billing events: $due_cust_event\n";
+ } else {
+ foreach my $cust_event (@$due_cust_event) {
+ next unless $cust_event->test_conditions;
+ if ( my $error = $cust_event->do_event() ) {
+ warn "Error running cust_pay billing event: $error\n";
+ }
+ }
+ }
+
'';
}
|| $self->ut_textn('paybatch')
|| $self->ut_textn('payunique')
|| $self->ut_enum('closed', [ '', 'Y' ])
+ || $self->ut_flag('no_auto_apply')
|| $self->ut_foreign_keyn('pkgnum', 'cust_pkg', 'pkgnum')
|| $self->ut_textn('bank')
|| $self->ut_alphan('depositor')
Customer (FS::cust_main) object (for efficiency).
+=item noemail
+
+Don't send an email receipt.
+
+=cut
+
=back
=cut
my $msgnum = $conf->config('payment_receipt_msgnum', $cust_main->agentnum);
if ( $msgnum ) {
- my $queue = new FS::queue {
- 'job' => 'FS::Misc::process_send_email',
- 'paynum' => $self->paynum,
- 'custnum' => $cust_main->custnum,
- };
- $error = $queue->insert(
- FS::msg_template->by_key($msgnum)->prepare(
- 'cust_main' => $cust_main,
- 'object' => $self,
- 'from_config' => 'payment_receipt_from',
- ),
- 'msgtype' => 'receipt', # override msg_template's default
- );
-
- } elsif ( $conf->exists('payment_receipt_email') ) {
+ my %substitutions = ();
+ $substitutions{invnum} = $opt->{cust_bill}->invnum if $opt->{cust_bill};
- my $receipt_template = new Text::Template (
- TYPE => 'ARRAY',
- SOURCE => [ map "$_\n", $conf->config('payment_receipt_email') ],
- ) or do {
- warn "can't create payment receipt template: $Text::Template::ERROR";
- return '';
- };
-
- my $payby = $self->payby;
- my $payinfo = $self->payinfo;
- $payby =~ s/^BILL$/Check/ if $payinfo;
- if ( $payby eq 'CARD' || $payby eq 'CHEK' ) {
- $payinfo = $self->paymask
- } else {
- $payinfo = $self->decrypt($payinfo);
+ my $msg_template = qsearchs('msg_template',{ msgnum => $msgnum});
+ unless ($msg_template) {
+ warn "send_receipt could not load msg_template";
+ return;
}
- $payby =~ s/^CHEK$/Electronic check/;
-
- my %fill_in = (
- 'date' => time2str("%a %B %o, %Y", $self->_date),
- 'name' => $cust_main->name,
- 'paynum' => $self->paynum,
- 'paid' => sprintf("%.2f", $self->paid),
- 'payby' => ucfirst(lc($payby)),
- 'payinfo' => $payinfo,
- 'balance' => $cust_main->balance,
- 'company_name' => $conf->config('company_name', $cust_main->agentnum),
- );
- if ( $opt->{'cust_pkg'} ) {
- $fill_in{'pkg'} = $opt->{'cust_pkg'}->part_pkg->pkg;
- #setup date, other things?
+ my $cust_msg = $msg_template->prepare(
+ 'cust_main' => $cust_main,
+ 'object' => $self,
+ 'from_config' => 'payment_receipt_from',
+ 'substitutions' => \%substitutions,
+ 'msgtype' => 'receipt',
+ );
+ $error = $cust_msg ? $cust_msg->insert : 'error preparing msg_template';
+ if ($error) {
+ warn "send_receipt: $error";
+ return;
}
my $queue = new FS::queue {
- 'job' => 'FS::Misc::process_send_generated_email',
+ 'job' => 'FS::cust_msg::process_send',
'paynum' => $self->paynum,
'custnum' => $cust_main->custnum,
- 'msgtype' => 'receipt',
};
- $error = $queue->insert(
- 'from' => $conf->config('invoice_from', $cust_main->agentnum),
- #invoice_from??? well as good as any
- 'to' => \@invoicing_list,
- 'subject' => 'Payment receipt',
- 'body' => [ $receipt_template->fill_in( HASH => \%fill_in ) ],
- );
+ $error = $queue->insert( $cust_msg->custmsgnum );
} else {
}
- } elsif ( ! $cust_main->invoice_noemail ) { #not manual
+ #not manual and no noemail flag (here or on the customer)
+ } elsif ( ! $opt->{'noemail'} && ! $cust_main->invoice_noemail ) {
my $queue = new FS::queue {
'job' => 'FS::cust_bill::queueable_email',
'custnum' => $cust_main->custnum,
};
- $error = $queue->insert(
+ my %opt = (
'invnum' => $cust_bill->invnum,
- 'template' => 'statement',
- 'notice_name' => 'Statement',
'no_coupon' => 1,
);
+ if ( my $mode = $conf->config('payment_receipt_statement_mode') ) {
+ $opt{'mode'} = $mode;
+ } else {
+ # backward compatibility, no good fix for this yet as some people may
+ # still have "invoice_latex_statement" and such options
+ $opt{'template'} = 'statement';
+ $opt{'notice_name'} = 'Statement';
+ }
+
+ $error = $queue->insert(%opt);
+
}
warn "send_receipt: $error\n" if $error;
$self->paid();
}
+=item delete_cust_bill_pay OPTIONS
+
+Deletes all associated cust_bill_pay records.
+
+If option 'unapplied' is a specified, only deletes until
+this object's 'unapplied' value is >= the specified amount.
+(Deletes in order returned by L</cust_bill_pay>.)
+
+=cut
+
+sub delete_cust_bill_pay {
+ my $self = shift;
+ my %opt = @_;
+
+ local $SIG{HUP} = 'IGNORE';
+ local $SIG{INT} = 'IGNORE';
+ local $SIG{QUIT} = 'IGNORE';
+ local $SIG{TERM} = 'IGNORE';
+ local $SIG{TSTP} = 'IGNORE';
+ local $SIG{PIPE} = 'IGNORE';
+
+ my $oldAutoCommit = $FS::UID::AutoCommit;
+ local $FS::UID::AutoCommit = 0;
+ my $dbh = dbh;
+
+ my $unapplied = $self->unapplied; #only need to look it up once
+
+ my $error = '';
+
+ # Maybe we should reverse the order these get deleted in?
+ # ie delete newest first?
+ # keeping consistent with how bop refunds work, for now...
+ foreach my $cust_bill_pay ( $self->cust_bill_pay ) {
+ last if $opt{'unapplied'} && ($unapplied > $opt{'unapplied'});
+ $unapplied += $cust_bill_pay->amount;
+ $error = $cust_bill_pay->delete;
+ last if $error;
+ }
+
+ if ($error) {
+ $dbh->rollback if $oldAutoCommit;
+ return $error;
+ }
+
+ $dbh->commit or die $dbh->errstr if $oldAutoCommit;
+ return '';
+}
+
+=item refund HASHREF
+
+Accepts input for creating a new FS::cust_refund object.
+Unapplies payment from invoices up to the amount of the refund,
+creates the refund and applies payment to refund. Allows entire
+process to be handled in one transaction.
+
+Causes a fatal error if called on CARD or CHEK payments.
+
+=cut
+
+sub refund {
+ my $self = shift;
+ my $hash = shift;
+ die "Cannot call cust_pay->refund on " . $self->payby
+ if grep { $_ eq $self->payby } qw(CARD CHEK);
+
+ local $SIG{HUP} = 'IGNORE';
+ local $SIG{INT} = 'IGNORE';
+ local $SIG{QUIT} = 'IGNORE';
+ local $SIG{TERM} = 'IGNORE';
+ local $SIG{TSTP} = 'IGNORE';
+ local $SIG{PIPE} = 'IGNORE';
+
+ my $oldAutoCommit = $FS::UID::AutoCommit;
+ local $FS::UID::AutoCommit = 0;
+ my $dbh = dbh;
+
+ my $error = $self->delete_cust_bill_pay('amount' => $hash->{'amount'});
+
+ if ($error) {
+ $dbh->rollback if $oldAutoCommit;
+ return $error;
+ }
+
+ $hash->{'paynum'} = $self->paynum;
+ my $new = new FS::cust_refund ( $hash );
+ $error = $new->insert;
+
+ if ($error) {
+ $dbh->rollback if $oldAutoCommit;
+ return $error;
+ }
+
+ $dbh->commit or die $dbh->errstr if $oldAutoCommit;
+ return '';
+}
+
=back
=head1 CLASS METHODS
}
} elsif ( !$error ) { #normal case: apply payments as usual
- $cust_pay->cust_main->apply_payments;
+ $cust_pay->cust_main->apply_payments( 'manual'=>1 );
}
}
}
+sub API_getinfo {
+ my $self = shift;
+ my @fields = grep { $_ ne 'payinfo' } $self->fields;
+ +{ ( map { $_=>$self->$_ } @fields ),
+ };
+}
+
# _upgrade_data
#
# Used by FS::Upgrade to migrate to a new database.
use FS::h_cust_pay;
sub _upgrade_data { #class method
- my ($class, %opts) = @_;
+ my ($class, %opt) = @_;
warn "$me upgrading $class\n" if $DEBUG;
#not the most efficient, but hey, it only has to run once
- my $where = "WHERE ( otaker IS NULL OR otaker = '' OR otaker = 'ivan' ) ".
- " AND usernum IS NULL ".
- " AND 0 < ( SELECT COUNT(*) FROM cust_main ".
- " WHERE cust_main.custnum = cust_pay.custnum ) ";
+ my $where = " WHERE ( otaker IS NULL OR otaker = '' OR otaker = 'ivan' )
+ AND usernum IS NULL
+ AND EXISTS ( SELECT 1 FROM cust_main
+ WHERE cust_main.custnum = cust_pay.custnum )
+ ";
my $count_sql = "SELECT COUNT(*) FROM cust_pay $where";
$cust_pay->set('otaker', 'legacy');
}
- delete $FS::payby::hash{'COMP'}->{cust_pay}; #quelle kludge
my $error = $cust_pay->replace;
if ( $error ) {
next;
}
- $FS::payby::hash{'COMP'}->{cust_pay} = ''; #restore it
-
$count++;
if ( $DEBUG > 1 && $lastprog + 30 < time ) {
warn "$me $count/$total (".sprintf('%.2f',100*$count/$total). '%)'."\n";
# otaker->usernum upgrade
###
- delete $FS::payby::hash{'COMP'}->{cust_pay}; #quelle kludge
- $class->_upgrade_otaker(%opts);
- $FS::payby::hash{'COMP'}->{cust_pay} = ''; #restore it
+ $class->_upgrade_otaker(%opt);
+
+ # if we do this anywhere else, it should become an FS::Upgrade method
+ my $num_to_upgrade = $class->count('paybatch is not null');
+ my $num_jobs = FS::queue->count('job = \'FS::cust_pay::process_upgrade_paybatch\' and status != \'failed\'');
+ if ( $num_to_upgrade > 0 ) {
+ warn "Need to migrate paybatch field in $num_to_upgrade payments.\n";
+ if ( $opt{queue} ) {
+ if ( $num_jobs > 0 ) {
+ warn "Upgrade already queued.\n";
+ } else {
+ warn "Scheduling upgrade.\n";
+ my $job = FS::queue->new({ job => 'FS::cust_pay::process_upgrade_paybatch' });
+ $job->insert;
+ }
+ } else {
+ process_upgrade_paybatch();
+ }
+ }
+}
+
+sub process_upgrade_paybatch {
+ my $dbh = dbh;
+ local $FS::payinfo_Mixin::ignore_masked_payinfo = 1;
+ local $FS::UID::AutoCommit = 1;
###
# migrate batchnums from the misused 'paybatch' field to 'batchnum'
###
+ my $text = (driver_name =~ /^mysql/i) ? 'char' : 'text';
my $search = FS::Cursor->new( {
'table' => 'cust_pay',
- 'addl_from' => ' JOIN pay_batch ON cust_pay.paybatch = CAST(pay_batch.batchnum AS text) ',
+ 'addl_from' => " JOIN pay_batch ON cust_pay.paybatch = CAST(pay_batch.batchnum AS $text) ",
} );
while (my $cust_pay = $search->fetch) {
$cust_pay->set('batchnum' => $cust_pay->paybatch);
foreach my $table (qw(cust_pay cust_pay_void cust_refund)) {
my $and_batchnum_is_null =
( $table =~ /^cust_pay/ ? ' AND batchnum IS NULL' : '' );
+ my $pkey = ($table =~ /^cust_pay/ ? 'paynum' : 'refundnum');
my $search = FS::Cursor->new({
table => $table,
extra_sql => "WHERE payby IN('CARD','CHEK') ".
"AND (paybatch IS NOT NULL ".
"OR (paybatch IS NULL AND auth IS NULL
- $and_batchnum_is_null ) )",
+ $and_batchnum_is_null ) )
+ ORDER BY $pkey DESC"
});
while ( my $object = $search->fetch ) {
if ( $object->paybatch eq '' ) {
=over 4
+=item process_batch_import
+
+=cut
+
+sub process_batch_import {
+ my $job = shift;
+
+ my $hashcb = sub {
+ my %hash = @_;
+ my $custnum = $hash{'custnum'};
+ my $agentnum = $hash{'agentnum'};
+ my $agent_custid = $hash{'agent_custid'};
+ #standardize date
+ $hash{'_date'} = parse_datetime($hash{'_date'})
+ if $hash{'_date'} && $hash{'_date'} =~ /\D/;
+ #remove custnum_prefix
+ my $custnum_prefix = $conf->config('cust_main-custnum-display_prefix');
+ my $custnum_length = $conf->config('cust_main-custnum-display_length') || 8;
+ if (
+ $custnum_prefix
+ && $custnum =~ /^$custnum_prefix(0*([1-9]\d*))$/
+ && length($1) == $custnum_length
+ ) {
+ $custnum = $2;
+ }
+ # check agentnum against custnum and
+ # translate agent_custid into regular custnum
+ if ($custnum && $agent_custid) {
+ die "can't specify both custnum and agent_custid\n";
+ } elsif ($agentnum || $agent_custid) {
+ # here is the agent virtualization
+ my $extra_sql = ' AND '. $FS::CurrentUser::CurrentUser->agentnums_sql;
+ my %search;
+ $search{'agentnum'} = $agentnum
+ if $agentnum;
+ $search{'agent_custid'} = $agent_custid
+ if $agent_custid;
+ $search{'custnum'} = $custnum
+ if $custnum;
+ my $cust_main = qsearchs({
+ 'table' => 'cust_main',
+ 'hashref' => \%search,
+ 'extra_sql' => $extra_sql,
+ });
+ die "can't find customer with" .
+ ($agentnum ? " agentnum $agentnum" : '') .
+ ($custnum ? " custnum $custnum" : '') .
+ ($agent_custid ? " agent_custid $agent_custid" : '') . "\n"
+ unless $cust_main;
+ die "mismatched customer number\n"
+ if $custnum && ($custnum ne $cust_main->custnum);
+ $custnum = $cust_main->custnum;
+ }
+ $hash{'custnum'} = $custnum;
+ delete($hash{'agent_custid'});
+ return %hash;
+ };
+
+ my $opt = {
+ 'table' => 'cust_pay',
+ 'params' => [ '_date', 'agentnum', 'payby', 'paybatch' ],
+ #agent_custid isn't a cust_pay field, see hash callback
+ 'formats' => { 'simple' =>
+ [ qw(custnum agent_custid paid payinfo invnum) ] },
+ 'format_types' => { 'simple' => '' }, #force infer from file extension
+ 'default_csv' => 1, #if not .xls, will read as csv, regardless of extension
+ 'format_hash_callbacks' => { 'simple' => $hashcb },
+ 'insert_args_callback' => sub { ( 'manual'=>1 ); },
+ 'postinsert_callback' => sub {
+ my $cust_pay = shift;
+ my $cust_main = $cust_pay->cust_main
+ or return "can't find customer to which payments apply";
+ my $error = $cust_main->apply_payments_and_credits( 'manual'=>1 );
+ return $error
+ ? "can't apply payments to customer ".$cust_pay->custnum."$error"
+ : '';
+ },
+ };
+
+ FS::Record::process_batch_import( $job, $opt, @_ );
+
+}
+
=item batch_import HASHREF
Inserts new payments.
my @fields;
my $payby;
if ( $format eq 'simple' ) {
- @fields = qw( custnum agent_custid paid payinfo );
+ @fields = qw( custnum agent_custid paid payinfo invnum );
$payby = 'BILL';
} elsif ( $format eq 'extended' ) {
die "unimplemented\n";
$cust_pay{custnum} = $2;
}
+ my $custnum = $cust_pay{custnum};
+
my $cust_pay = new FS::cust_pay( \%cust_pay );
my $error = $cust_pay->insert;
+ if ( ! $error && $cust_pay->custnum != $custnum ) {
+ #invnum was defined, and ->insert set custnum to the customer for that
+ #invoice, but it wasn't the one the import specified.
+ $dbh->rollback if $oldAutoCommit;
+ $error = "specified invoice #". $cust_pay{invnum}.
+ " is for custnum ". $cust_pay->custnum.
+ ", not specified custnum $custnum";
+ }
+
if ( $error ) {
$dbh->rollback if $oldAutoCommit;
return "can't insert payment for $line: $error";