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Mahmoud Aglan authored
- AccountingIntegrationService: read payment_type key (dispatched) not type key (wrong fallback) that was silently routing every payment journal to the default catch-all account - InstallmentController: fire installment.plan_created (correct) not installment_plan.created so AR journal entry is created when a plan is made from the installments UI - AccountCodes: remap all constants to accounts that actually exist in chart_of_accounts DB - form_fee → 410103 (استمارات عضويات), membership_fee → 410101 (عضويات جديدة) - addition_fee → 410102 (إضافة عضويات) - installment → 410510 (الاقساط), down_payment → 410503 (مقدم عضويه) - waiver_fee/death_fee → 410515 (إيرادات متنوعه) - sports_registration/sa_form_fee → 410516 (استمارات نشاط) - fine → 410512 (غرامة تاخير), SERVICE_REVENUE → 410515 (exists, was 4110 which did not exist) - DB: corrected treasury 3 account_code from 12060103 (EUR label) to 12060101 (EGP) which was causing form_fee journals to debit the wrong sub-treasury cash account Co-Authored-By:Claude Sonnet 4.6 <noreply@anthropic.com>
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