# -*- coding: utf-8 -*- { 'name': 'Account Shared Bank Cash', 'version': '17.0.1.0', 'category': 'Accounting', 'summary': 'Mirror parent bank/cash accounts to branches with inter-company clearing', 'description': """ This module mirrors the parent company's Bank and Cash accounts and journals to branch companies, and provides automated inter-company clearing for POS sessions and centralized vendor payments. """, 'author': 'Suherdy Yacob', 'depends': ['point_of_sale', 'account'], 'data': [ 'views/pos_payment_method_views.xml', 'views/account_journal_views.xml', ], 'installable': True, 'application': False, 'license': 'LGPL-3', 'post_init_hook': '_auto_share_accounts_post_init', 'uninstall_hook': '_cleanup_shared_accounts_uninstall', }