BankStatementEntry
BankStatementEntry DocType definition.
Child table of BankStatement.Source: doctype.py
Fields
Section titled “Fields”| Field | Type | Required | Description | Validators |
|---|---|---|---|---|
| txn_date | date | Transaction Date | - | |
| description | str | Transaction Description / Narration | - | |
| debit | Decimal | Debit Amount | - | |
| credit | Decimal | Credit Amount | - | |
| balance | None | Running Balance (as per bank) | - | |
| reference_number | None | Bank Reference / Cheque Number | - | |
| is_reconciled | bool | Is this entry reconciled? | - | |
| gl_entry | None | Matched GL Entry ID | - |
Configuration
Section titled “Configuration”| Setting | Value |
|---|---|
| Submittable | False |
| Track Changes | True |
Controller
Section titled “Controller”Controller hooks are implemented in *_controller.py files.
Available lifecycle hooks:
validate()- Called before save, raise exceptions for validation errorsbefore_insert()- Called before inserting a new documentafter_insert()- Called after successfully insertingbefore_save()- Called before saving (insert or update)after_save()- Called after savingbefore_delete()- Called before deletingafter_delete()- Called after deleting