.qi_header %h1 Mouvements de stock manuels %span Détail du mouvement ="##{@stock_movement.id}" .qi_row .qi_pannel.qi_plain.padding %table.table %tr %th Date : %td=l @stock_movement.date %tr %th Type de mouvement : %td=@stock_movement.movement_type %h3 Contenu %table.table.table-hover.table-stripped %tr %th Produit %th DLUO %th Qté %th Prix / conditionnement %th Valeur -@stock_movement.stock_movement_lines.each do |sml| %tr %td =sml.p_product_ref.name if sml.p_product_ref %td =l sml.dluo if sml.dluo %td =sml.qte %td =number_to_currency(sml.tot_amount_ht / sml.qte) if sml.tot_amount_ht %td =number_to_currency sml.tot_amount_ht %br %br %p =link_to "Générer les stocks", generate_stocks_admin_stock_movement_path(@stock_movement), :class => "btn btn-primary" if !@stock_movement.stock_done %h3 Stocks générés #bills -params[:search][:per_page] = params[:search][:per_page] || 5000 -per_page = params[:search][:per_page] -page = (params[:page] and params[:page] != "") ? params[:page] : 1 -@line_stocks = @stock_movement.line_stocks -@line_stocks = sort_by_sorting(@line_stocks, "date DESC") -@line_stocks = @line_stocks.page(page).per(per_page) %br .clear =render :partial => "qi/qi_ordered_table", :locals => {:qi_ordered_table_collection => @line_stocks}