bank_reconciliation: add scripts for indexing bank_reconciliation in stock table
These scripts are not used by default, because it's not convenient to extend stock table, but sites with large amount of payment transactions are advised to customize stock table (by patching `z_create_stock` and `z_catalog_stock_list` to add: * `stock.aggregate_bank_reconciliation_date`, indexing `Movement_getSourceAggregateBankReconciliationDate` for source side and `Movement_getDestinationAggregateBankReconciliationDate` for destination side. * `stock.aggregate_bank_reconciliation_uid`, indexing `Movement_getSourceAggregateBankReconciliationUid` for source side and `Movement_getDestinationAggregateBankReconciliationUid` for destination side. * configure `aggregate_bank_reconciliation_date` and `stock.aggregate_bank_reconciliation_date` as datetime keys. These two columns `aggregate_bank_reconciliation_date` and `aggregate_bank_reconciliation_uid` should have priority over related keys of the same name (It may be needed to remove the related keys as part of the customisation)
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