Bugzilla – Dependency tree for
Bug 38728
Add option to automatically trigger cashup summary modal after cashup
Home
|
New
|
Browse
|
Search
|
[?]
|
Reports
|
Help
|
New Account
|
Log In
[x]
|
Forgot Password
Login:
[x]
Max Depth:
Bug 38728
depends on 153 bugs:
view as bug list
38728:
Add option to automatically trigger cashup summary modal after cashup
[Needs Signoff; assigned to martin.renvoize]
13985:
[Omnibus] Cash Management - Koha as 'Point of Sale'
[NEW; assigned to martin.renvoize]
24491:
Add filters to debit types interface
[ASSIGNED; assigned to jake.deery]
23354:
Add a 'Point of sale' screen to allow anonymous payments
[CLOSED FIXED; assigned to martin.renvoize]
23442:
Add a 'refund' process to accounts
[CLOSED FIXED; assigned to martin.renvoize]
24255:
Add totals methods Koha::Account::Lines
[CLOSED FIXED; assigned to martin.renvoize]
24252:
Add credits, debits, credit_offsets and debit_offsets relationships to Koha::Account::Line
[CLOSED FIXED; assigned to martin.renvoize]
24080:
Add a 'payout' process to accounts
[CLOSED FIXED; assigned to martin.renvoize]
23805:
Add a dedicated credit_types table
[CLOSED FIXED; assigned to martin.renvoize]
23049:
Replace MANUAL_INV authorised value with a dedicated table
[CLOSED FIXED; assigned to martin.renvoize]
22610:
SIP Payment Types should be moved out of accountype
[CLOSED FIXED; assigned to martin.renvoize]
20307:
Language overlay for authorized values
[BLOCKED; assigned to koha-bugs]
14100:
Add base to make item types, branch names, sysprefs values and authorised values translatable
[CLOSED FIXED; assigned to jonathan.druart]
18786:
Add ability to create custom payment types
[CLOSED FIXED; assigned to kyle]
14826:
Store account offsets
[CLOSED FIXED; assigned to kyle.m.hall]
15894:
Unify all account fine payment functions
[CLOSED FIXED; assigned to kyle]
15895:
Add Koha::Account module, use Koha::Account::pay internally for recordpayment
[CLOSED FIXED; assigned to kyle]
15675:
Add issue_id column to accountlines and use it for updating fines
[CLOSED FIXED; assigned to kyle]
15896:
Use Koha::Account::pay internally for makepayment
[CLOSED FIXED; assigned to kyle]
15895:
Add Koha::Account module, use Koha::Account::pay internally for recordpayment
[CLOSED FIXED; assigned to kyle]
(*)
15906:
Remove use of makepayment in paycollect.pl
[CLOSED FIXED; assigned to kyle]
15899:
Remove the use of recordpayment
[CLOSED FIXED; assigned to kyle]
15895:
Add Koha::Account module, use Koha::Account::pay internally for recordpayment
[CLOSED FIXED; assigned to kyle]
(*)
15900:
Remove use of recordpayment in ProcessOfflinePayment
[CLOSED FIXED; assigned to kyle]
15895:
Add Koha::Account module, use Koha::Account::pay internally for recordpayment
[CLOSED FIXED; assigned to kyle]
(*)
15901:
Remove use of recordpayment in C4::SIP::ILS::Transaction::FeePayment
[CLOSED FIXED; assigned to kyle]
15895:
Add Koha::Account module, use Koha::Account::pay internally for recordpayment
[CLOSED FIXED; assigned to kyle]
(*)
15902:
Remove use of recordpayment in process_koc.pl
[CLOSED FIXED; assigned to kyle]
15895:
Add Koha::Account module, use Koha::Account::pay internally for recordpayment
[CLOSED FIXED; assigned to kyle]
(*)
15903:
Remove use of recordpayment in paycollect.pl
[CLOSED FIXED; assigned to kyle]
15895:
Add Koha::Account module, use Koha::Account::pay internally for recordpayment
[CLOSED FIXED; assigned to kyle]
(*)
15905:
Remove use of makepayment
[CLOSED FIXED; assigned to kyle]
15906:
Remove use of makepayment in paycollect.pl
[CLOSED FIXED; assigned to kyle]
(*)
15907:
Remove use of makepayment in opac/opac-account-pay-paypal-return.pl
[CLOSED FIXED; assigned to kyle]
15897:
Use Koha::Account::pay internally for recordpayment_selectaccts
[CLOSED FIXED; assigned to kyle]
15896:
Use Koha::Account::pay internally for makepayment
[CLOSED FIXED; assigned to kyle]
(*)
15908:
Remove use of recordpayment_selectaccts
[CLOSED FIXED; assigned to kyle]
15909:
Remove the use of makepartialpayment
[CLOSED FIXED; assigned to kyle]
15898:
Use Koha::Account::pay internally for makepartialpayment
[CLOSED FIXED; assigned to kyle]
15897:
Use Koha::Account::pay internally for recordpayment_selectaccts
[CLOSED FIXED; assigned to kyle]
(*)
17894:
Remove and Replace WriteOffFee
[CLOSED FIXED; assigned to kyle]
23321:
Add 'cash registers' to the accounts system
[CLOSED FIXED; assigned to martin.renvoize]
6759:
Use a different account type for account renewals than for new accounts
[CLOSED FIXED; assigned to martin.renvoize]
11573:
Fine descriptions related to Rentals are untranslatable
[CLOSED FIXED; assigned to martin.renvoize]
19919:
Writing off a Lost Item Fee marks as "Paid for by patron"
[CLOSED FIXED; assigned to martin.renvoize]
22563:
Convert lost handling to use 'status' instead of multiple accounttypes
[CLOSED FIXED; assigned to martin.renvoize]
22200:
Forgiving a fine (FOR) does not create a FORGIVEN credit line
[CLOSED FIXED; assigned to martin.renvoize]
22511:
Koha::Account::Line->void loses the original type of the credit
[CLOSED FIXED; assigned to martin.renvoize]
18790:
Add ability to void payments
[CLOSED FIXED; assigned to kyle]
18786:
Add ability to create custom payment types
[CLOSED FIXED; assigned to kyle]
(*)
22564:
accounttype 'Rep' is still referred to but is never set
[CLOSED FIXED; assigned to martin.renvoize]
22521:
Convert fines handling to use 'status' instead of two accounttypes
[CLOSED FIXED; assigned to martin.renvoize]
21953:
Term "Lost item" is untranslatable
[CLOSED FIXED; assigned to caroline.cyr-la-rose]
22628:
FFOR and VOID show up as codes to end users in OPAC, SCO and staff
[CLOSED FIXED; assigned to martin.renvoize]
12166:
Improve display of hold charges in patron account
[CLOSED FIXED; assigned to oleonard]
21772:
Add holds and account information tab to the SCO module
[CLOSED FIXED; assigned to agustinmoyano]
22547:
C4::Overdues - UpdateFine is barely tested
[CLOSED FIXED; assigned to martin.renvoize]
22600:
We should add an 'interface' field to accountlines
[CLOSED FIXED; assigned to martin.renvoize]
22512:
accountlines.accountype mixes 'state' and 'type'
[CLOSED FIXED; assigned to martin.renvoize]
22518:
accounttype 'O' is still referred to but is never set
[CLOSED FIXED; assigned to martin.renvoize]
22593:
Cronjobs/Scripts dealing with accountlines need updating for bug 22008
[CLOSED FIXED; assigned to martin.renvoize]
22008:
accountlines.manager_id is missing a foreign key constraint
[CLOSED FIXED; assigned to martin.renvoize]
21065:
Data in account_offsets and accountlines is deleted with the patron leaving gaps in financial reports
[CLOSED FIXED; assigned to jonathan.druart]
22982:
Paying lost fee does not always remove lost item from checkouts
[CLOSED FIXED; assigned to kyle]
26540:
Server error when attempting to issue cash credit with UseCashRegisters
[Needs Signoff; assigned to martin.renvoize]
24786:
Allow setting a cash register for a login session and configuring library-default cash registers
[CLOSED FIXED; assigned to martin.renvoize]
23321:
Add 'cash registers' to the accounts system
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24201:
Attach desk to intranet session
[CLOSED FIXED; assigned to nicolas.legrand]
13881:
Add ability to defined circulation desks
[CLOSED FIXED; assigned to nicolas.legrand]
26469:
Register_id saves incorrect value in accountlines
[CLOSED FIXED; assigned to martin.renvoize]
27779:
Cashup summary 'refunds' should denote what the refund was actioned against
[Needs documenting; assigned to martin.renvoize]
26272:
Allow cashup summaries to be displayed from the library summary page
[CLOSED FIXED; assigned to martin.renvoize]
26274:
Expose cash register cashup summaries via an API route.
[CLOSED FIXED; assigned to martin.renvoize]
26172:
Add a cashup summary view (with option to print)
[CLOSED FIXED; assigned to martin.renvoize]
24492:
Add a 'library cashup' workflow to the point of sale system
[CLOSED FIXED; assigned to martin.renvoize]
24082:
Add a 'refund' option to anonymous payments
[CLOSED FIXED; assigned to martin.renvoize]
23355:
Add a 'cashup' process to accounts
[CLOSED FIXED; assigned to martin.renvoize]
23493:
jquery.dataTables.rowGrouping.js is no longer maintained, but there is an official DataTables version we could switch to
[CLOSED FIXED; assigned to martin.renvoize]
23013:
Upgrade DataTables in the staff client
[CLOSED FIXED; assigned to oleonard]
24477:
No permissions check for POS feature
[CLOSED FIXED; assigned to martin.renvoize]
23354:
Add a 'Point of sale' screen to allow anonymous payments
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24478:
Make it possible to deactivate point of sale
[CLOSED FIXED; assigned to martin.renvoize]
23354:
Add a 'Point of sale' screen to allow anonymous payments
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24481:
Incorrect permission in admin/cash_registers.pl
[CLOSED FIXED; assigned to martin.renvoize]
23321:
Add 'cash registers' to the accounts system
[CLOSED FIXED; assigned to martin.renvoize]
(*)
23354:
Add a 'Point of sale' screen to allow anonymous payments
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24482:
Purchase Items broken by costs containing a comma
[CLOSED FIXED; assigned to martin.renvoize]
23354:
Add a 'Point of sale' screen to allow anonymous payments
[CLOSED FIXED; assigned to martin.renvoize]
(*)
26273:
Expose cashup summary history for a cash register
[CLOSED FIXED; assigned to martin.renvoize]
26274:
Expose cash register cashup summaries via an API route.
[CLOSED FIXED; assigned to martin.renvoize]
(*)
27680:
API DataTables Wrapper fails for ordering on multi-data-field columns
[CLOSED FIXED; assigned to martin.renvoize]
27930:
Move _escape_* functions from acq/parcel.tt to be re-usable
[CLOSED FIXED; assigned to martin.renvoize]
31121:
Format date range on top of cashup summary page
[CLOSED FIXED; assigned to martin.renvoize]
31039:
Rebase issues lead to duplicate JS for cash summary modal printing
[CLOSED FIXED; assigned to martin.renvoize]
31038:
Amounts in cashup summary modal no longer properly formatted
[CLOSED FIXED; assigned to martin.renvoize]
28343:
The credit payout modal would benefit from more details regarding where the credit came from.
[NEW; assigned to koha-bugs]
28342:
Add rules for refunds
[NEW; assigned to koha-bugs]
28341:
Issue refund, 'Transaction type' should highlight the original 'Payment type' that was used for the transaction
[NEW; assigned to martin.renvoize]
28664:
One should not be able to issue a refund against a VOID accountline
[Pushed to oldstable; assigned to martin.renvoize]
27971:
The VOID method should be updated to respect double-entry accounting
[CLOSED FIXED; assigned to martin.renvoize]
24300:
Add a 'payout amount' option to accounts
[CLOSED FIXED; assigned to martin.renvoize]
24080:
Add a 'payout' process to accounts
[CLOSED FIXED; assigned to martin.renvoize]
(*)
27927:
longoverdue cronjob renews items before marking lost when both RenewAccruingItemWhenPaid and WhenLostForgiveFine are enabled
[CLOSED FIXED; assigned to martin.renvoize]
25508:
Confusing renewal message when paying accruing fine with RenewAccruingItemWhenPaid turned off
[CLOSED FIXED; assigned to martin.renvoize]
23051:
Add ability to optionally renew fine accruing items when all fines on item are paid off
[CLOSED FIXED; assigned to bugzilla]
27967:
Modals on the borrower account page don't validate minimum values
[CLOSED FIXED; assigned to martin.renvoize]
29985:
Cashup summary shows unexplainable odd amounts
[NEW; assigned to martin.renvoize]
19036:
Number payment receipts / payment slips
[CLOSED FIXED; assigned to julian.maurice]
14826:
Store account offsets
[CLOSED FIXED; assigned to kyle.m.hall]
(*)
23461:
Popup blockers triggered by option to automatically display payment receipt for printing after making a payment
[CLOSED WORKSFORME; assigned to koha-bugs]
23228:
Add option to automatically display payment receipt for printing after making a payment
[CLOSED FIXED; assigned to kyle]
24381:
ACCOUNT_CREDIT and ACCOUNT_DEBIT slip not printing information about paid fines/fees
[CLOSED FIXED; assigned to martin.renvoize]
22809:
Move "INVOICE" from template to a slip
[CLOSED FIXED; assigned to kyle]
22761:
Move "Fee receipt" from template to a slip
[CLOSED FIXED; assigned to kyle]
25998:
Add 'library' relation to Koha::Account::Line
[CLOSED FIXED; assigned to martin.renvoize]
26689:
Monetary accounts notices should be definable at the credit_type/debit_type level
[CLOSED FIXED; assigned to martin.renvoize]
26734:
Convert accounts (monetary) notices to use GetPreparedLetter
[CLOSED FIXED; assigned to martin.renvoize]
14233:
Add logging support to notices and slips management
[CLOSED FIXED; assigned to martin.renvoize]
14206:
notices using non email templates can't be deleted from the staff client
[CLOSED FIXED; assigned to indradg]
24479:
POS doesn't follow CurrencyFormat
[CLOSED FIXED; assigned to martin.renvoize]
22359:
Improve usability of 'change calculation' (bug 11373)
[CLOSED FIXED; assigned to martin.renvoize]
24208:
Remove change calculation for writeoffs
[CLOSED FIXED; assigned to maryse.simard]
11373:
Add "change calculation" feature to the fine payment forms
[CLOSED FIXED; assigned to charles.farmer]
23354:
Add a 'Point of sale' screen to allow anonymous payments
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24519:
Change calculation and validation in Point of Sale should match Paycollect
[CLOSED FIXED; assigned to martin.renvoize]
22359:
Improve usability of 'change calculation' (bug 11373)
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24482:
Purchase Items broken by costs containing a comma
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24525:
Hide SIP payment types from the Point of Sale page
[CLOSED FIXED; assigned to martin.renvoize]
23354:
Add a 'Point of sale' screen to allow anonymous payments
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24339:
SIP codes are missing from the default payment_types on installation
[CLOSED FIXED; assigned to martin.renvoize]
22610:
SIP Payment Types should be moved out of accountype
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24540:
Unexpected behaviour on 'enter' in point of sale payment fields
[CLOSED FIXED; assigned to martin.renvoize]
24482:
Purchase Items broken by costs containing a comma
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24665:
Add ability to run cash register report with new cash register feature
[CLOSED FIXED; assigned to martin.renvoize]
24786:
Allow setting a cash register for a login session and configuring library-default cash registers
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24775:
Payment submit button on POS page should have an ID
[CLOSED FIXED; assigned to martin.renvoize]
23354:
Add a 'Point of sale' screen to allow anonymous payments
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24790:
POS missing from the 'More' dropdown
[CLOSED FIXED; assigned to tomascohen]
23354:
Add a 'Point of sale' screen to allow anonymous payments
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24791:
Point of Sale module is missing from the 'more' menu
[RESOLVED DUPLICATE; assigned to martin.renvoize]
23354:
Add a 'Point of sale' screen to allow anonymous payments
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24815:
Koha::Cash::Register relations should return sets not undef
[CLOSED FIXED; assigned to martin.renvoize]
23321:
Add 'cash registers' to the accounts system
[CLOSED FIXED; assigned to martin.renvoize]
(*)
23355:
Add a 'cashup' process to accounts
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24817:
Fix timing issues in t/db_dependant/Koha/Cash/Register.t
[CLOSED FIXED; assigned to martin.renvoize]
24820:
The cashup workflow should use the static 'date' field rather than the transient 'timestamp' field in accountlines
[CLOSED FIXED; assigned to martin.renvoize]
23355:
Add a 'cashup' process to accounts
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24818:
Accountline creation dates should be datetimes
[CLOSED FIXED; assigned to martin.renvoize]
24828:
Add cash register support to SIP2
[CLOSED FIXED; assigned to martin.renvoize]
23321:
Add 'cash registers' to the accounts system
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24951:
Payout modal confirm button should have an ID
[CLOSED FIXED; assigned to martin.renvoize]
24080:
Add a 'payout' process to accounts
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24952:
Refund modal confirm button should have an ID
[CLOSED FIXED; assigned to martin.renvoize]
23442:
Add a 'refund' process to accounts
[CLOSED FIXED; assigned to martin.renvoize]
(*)
25139:
POS explodes in error when trying to display older transactions
[CLOSED FIXED; assigned to martin.renvoize]
26023:
Incorrect permissions handling for cashup actions on the library level registers summary page
[CLOSED FIXED; assigned to martin.renvoize]
26017:
Cashup registers never shows on tools page
[CLOSED FIXED; assigned to martin.renvoize]
26189:
Table options on points of sale misaligned
[CLOSED FIXED; assigned to martin.renvoize]
26160:
Add column configuration to the Point of sale, Items for purchase table
[CLOSED FIXED; assigned to martin.renvoize]
23354:
Add a 'Point of sale' screen to allow anonymous payments
[CLOSED FIXED; assigned to martin.renvoize]
(*)
26194:
Messages about missing cash registers should link to cash register management
[CLOSED FIXED; assigned to oleonard]
26939:
Account payment_type in the cash register details page should use description instead of code
[CLOSED FIXED; assigned to martin.renvoize]
26938:
Prevent flash of unstyled content on sales table
[CLOSED FIXED; assigned to martin.renvoize]
26172:
Add a cashup summary view (with option to print)
[CLOSED FIXED; assigned to martin.renvoize]
(*)
27290:
Cash register allows for 'amount tendered' less than amount being paid
[CLOSED FIXED; assigned to martin.renvoize]
27289:
Template tweaks for point of sale page
[CLOSED FIXED; assigned to oleonard]
27256:
"Add" button on point of sale page fails on table paging
[CLOSED FIXED; assigned to martin.renvoize]
26161:
Confirm and cancel buttons should be underneath the right hand form on the POS page
[CLOSED FIXED; assigned to martin.renvoize]
23354:
Add a 'Point of sale' screen to allow anonymous payments
[CLOSED FIXED; assigned to martin.renvoize]
(*)
27583:
Clarify how cash management fits together
[CLOSED FIXED; assigned to martin.renvoize]
27582:
Breadcrumb incorrect for POS: Library details page
[CLOSED FIXED; assigned to martin.renvoize]
27776:
Point of Sale 'This sale' table should not be sorted by default
[CLOSED FIXED; assigned to martin.renvoize]
27777:
Improve tables on Point of Sale page for low screen resolutions
[CLOSED FIXED; assigned to martin.renvoize]
27787:
Point of Sale Receipt extra line
[RESOLVED MOVED; assigned to koha-bugs]
27796:
SIP payment types should not be available as refund types
[CLOSED FIXED; assigned to martin.renvoize]
23442:
Add a 'refund' process to accounts
[CLOSED FIXED; assigned to martin.renvoize]
(*)
27801:
Entering multiple lines of an item in Point of Sale can make the Collect Payment field off
[CLOSED FIXED; assigned to martin.renvoize]
28181:
Archived debit type still shows as available in Point of Sale
[CLOSED FIXED; assigned to martin.renvoize]
23354:
Add a 'Point of sale' screen to allow anonymous payments
[CLOSED FIXED; assigned to martin.renvoize]
(*)
28187:
rowGroup headings are getting their styles overriden
[CLOSED FIXED; assigned to martin.renvoize]
28344:
One should be able to issue refunds against payments that have already been cashed up.
[CLOSED FIXED; assigned to martin.renvoize]
28346:
Action buttons should have a class per action type
[CLOSED FIXED; assigned to martin.renvoize]
28374:
Convert pos/printreceipt.pl to use GetPreparedLetter
[CLOSED FIXED; assigned to david]
28368:
Error when printing receipt of point of sale
[CLOSED FIXED; assigned to martin.renvoize]
26734:
Convert accounts (monetary) notices to use GetPreparedLetter
[CLOSED FIXED; assigned to martin.renvoize]
(*)
28389:
One should be able to see details for refunds on the register summary page
[CLOSED FIXED; assigned to martin.renvoize]
28390:
Transaction timestamps should be part of the transaction grouping row instead of repeated for each breakdown row
[CLOSED FIXED; assigned to martin.renvoize]
28127:
POS register details tables should have a transaction date
[CLOSED FIXED; assigned to lucas]
28481:
Register details "Older transactions" search does not include the selected day in the "To" field in date range
[CLOSED FIXED; assigned to martin.renvoize]
28663:
One should not be able to apply a discount to a VOID accountline
[CLOSED FIXED; assigned to martin.renvoize]
27971:
The VOID method should be updated to respect double-entry accounting
[CLOSED FIXED; assigned to martin.renvoize]
(*)
29385:
Add missing cash register support to SIP2
[CLOSED FIXED; assigned to jonathan.druart]
23321:
Add 'cash registers' to the accounts system
[CLOSED FIXED; assigned to martin.renvoize]
(*)
24828:
Add cash register support to SIP2
[CLOSED FIXED; assigned to martin.renvoize]
(*)
29987:
Manual credits are not recorded for a register
[RESOLVED FIXED; assigned to martin.renvoize]
30610:
The 'Print receipt' button on cash management registers page fails on second datatables page
[CLOSED FIXED; assigned to martin.renvoize]
31036:
Cash management doesn't take SIP00 (Cash via SIP2) transactions into account
[CLOSED FIXED; assigned to martin.renvoize]
31041:
Cashup summary modal printing issue
[RESOLVED FIXED; assigned to lucas]
Bug 38728
does not block any bugs.
Max Depth: