X-Git-Url: http://git.freeside.biz/gitweb/?p=freeside.git;a=blobdiff_plain;f=FS%2FFS%2Fcust_pay.pm;h=d9ae0d39e1da1355f89c62a03b126c572a73e496;hp=8b4c98ad6c5096736dd8fb5eeeb6c7caebec454b;hb=2b500be7e787a54eb005caa274406957728d8b1b;hpb=61ea51152f19edd37043f6c29303bfe16809f0f6 diff --git a/FS/FS/cust_pay.pm b/FS/FS/cust_pay.pm index 8b4c98ad6..d9ae0d39e 100644 --- a/FS/FS/cust_pay.pm +++ b/FS/FS/cust_pay.pm @@ -116,6 +116,10 @@ books closed flag, empty or `Y' 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. @@ -405,6 +409,22 @@ sub insert { 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"; + } + } + } + ''; } @@ -539,6 +559,7 @@ sub check { || $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') @@ -640,72 +661,31 @@ sub send_receipt { my %substitutions = (); $substitutions{invnum} = $opt->{cust_bill}->invnum if $opt->{cust_bill}; - 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( + my $msg_template = qsearchs('msg_template',{ msgnum => $msgnum}); + unless ($msg_template) { + warn "send_receipt could not load msg_template"; + return; + } + + my $cust_msg = $msg_template->prepare( 'cust_main' => $cust_main, 'object' => $self, 'from_config' => 'payment_receipt_from', 'substitutions' => \%substitutions, - ), - 'msgtype' => 'receipt', # override msg_template's default + 'msgtype' => 'receipt', ); - - } elsif ( $conf->exists('payment_receipt_email') ) { - - 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); - } - $payby =~ s/^CHEK$/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), - ); - - $fill_in{'invnum'} = $opt->{cust_bill}->invnum if $opt->{cust_bill}; - - if ( $opt->{'cust_pkg'} ) { - $fill_in{'pkg'} = $opt->{'cust_pkg'}->part_pkg->pkg; - #setup date, other things? + $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->invoice_from_full( $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 { @@ -816,6 +796,102 @@ sub amount { $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.) + +=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 $oldAutoCommit; + return ''; +} + =back =head1 CLASS METHODS @@ -884,7 +960,7 @@ sub batch_insert { } } elsif ( !$error ) { #normal case: apply payments as usual - $cust_pay->cust_main->apply_payments; + $cust_pay->cust_main->apply_payments( 'manual'=>1 ); } } @@ -1221,23 +1297,26 @@ sub process_batch_import { 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 it's not .xls, it'll read as csv, regardless of extension - 'format_hash_callbacks' => { 'simple' => $hashcb }, - 'postinsert_callback' => sub { - my $cust_pay = shift; - my $cust_main = $cust_pay->cust_main || - return "can't find customer to which payments apply"; - my $error = $cust_main->apply_payments_and_credits; - return $error - ? "can't apply payments to customer ".$cust_pay->custnum."$error" - : ''; - }, - }; + 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, @_ );