=semantic_form_for [:admin, @p_remise], :remote => false do |f| .content =f.inputs do %table %tr %td{:style => "width:33.33%;padding-right:5px;"} = f.input :date, :label => "Date", :as => :date =#%td{:style => "width:33.33%"} =# f.input :p_payment_type_id, :label => "Type de paiement :", :collection => PPaymentType.order(:name).all, :as => :select, :include_blank => false %td{:style => "width:33.33%"} = f.input :p_bank_account_id, :label => "Compte :", :collection => PBankAccount.all, :as => :select, :member_label => :member_label, :include_blank => false %td{:style => "width:33.33%;padding-left:5px;"} %label Type de paiements : %div -p_payment_types = [] -@p_remise.p_payments.each do |ppt| -p_payment_types << ppt.p_payment_type.name =raw p_payment_types.uniq.join("
") -@p_remise.p_payments.each do |pp| =hidden_field_tag "p_remise[p_payment_ids][]", pp.id %table.table %tr %th %th Type de paiement %th Date de paiement %th Date théorique %th Client %th Montant %th Montant à affecter %th %th =render @p_remise.p_payments .actions=f.submit "sauvegarder", :class => "btn btn-primary"