Remote: git@github.com:ingadhoc/multi-store.git
Head: 44af7531b7006623582e1c8ed2b5aa6ca9bc28f8
Bundle:
Ref Date SHA Commit Date Author Subject
2023-01-10 19:50:41 144802e9197e01fa6077620a86c24706d6f6d535 2022-11-10 19:15:15 Virginia Bonservizi [MIG] account_multi_store: Migration to 15.0
2023-07-19 15:18:10 11abed522baa110508554da8e8cf8a7983671193 2023-07-19 15:16:10 Juan Jose Scarafia [IMP] *: simplify and improve views
2023-08-28 15:36:24 0c11fba8c012a4589b6656e836a46f48c0edebb7 2023-08-28 15:36:16 Juan José Scarafia [REM] _onchange_available_journal_ids no longer needed due to https://github.com/ingadhoc/account-financial-tools/pull/
2023-09-13 00:04:37 f360b3723ba36221391d35a17f583857215f5728 2023-09-13 00:04:33 Juan José Scarafia [IMP] account*store: improve demo and functionality
2023-09-20 15:28:49 916207e5e733cbb99aa054e65ead730ef7c11975 2023-09-20 15:28:41 Juan José Scarafia [FIX] _pay_group_multi_store: delete to pay move Lines Antes de este pr, si se borraban lineas a pagar se recomputaban y el cambio no tenía efecto. Esto se daba porque el "_compute_store_id" dependia de los to pay move lines y ese metodo se llamaba, por mas que no hacia cambio terminaba triggerando un recomputo de _compute_to_pay_move_lines Probablemente pueda haber otro approach de fix, pero así sale facil
2023-10-27 12:22:33 44af7531b7006623582e1c8ed2b5aa6ca9bc28f8 2023-10-27 12:20:23 Juan José Scarafia [FIX] _pay_group_ms: pay choosing custom debt