Moved the order from the data models to the reports in the accounting application.
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090f3dc3a5
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@ -79,7 +79,6 @@ class Account(models.Model):
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class Meta:
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db_table = "accounting_accounts"
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ordering = ["code"]
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class Transaction(models.Model):
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@ -197,7 +196,6 @@ class Transaction(models.Model):
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class Meta:
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db_table = "accounting_transactions"
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ordering = ["date", "ord"]
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class Record(models.Model):
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@ -325,7 +323,6 @@ class Record(models.Model):
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class Meta:
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db_table = "accounting_records"
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ordering = ["is_credit", "ord"]
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class RecordSummary(models.Model):
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@ -81,7 +81,9 @@ def cash(request, account_code, period_spec):
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raise Http404()
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# The accounting records
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if current_account.code == "0":
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records = list(Record.objects.filter(
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records = list(
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Record.objects
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.filter(
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Q(transaction__in=Transaction.objects.filter(
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Q(date__gte=period.start),
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Q(date__lte=period.end),
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@ -92,7 +94,8 @@ def cash(request, account_code, period_spec):
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~Q(account__code__startswith="11"),
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~Q(account__code__startswith="12"),
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~Q(account__code__startswith="21"),
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~Q(account__code__startswith="22")))
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~Q(account__code__startswith="22"))
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.order_by("transaction__date", "is_credit", "ord"))
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balance_before = Record.objects.filter(
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Q(transaction__date__lt=period.start),
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(Q(account__code__startswith="11") |
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@ -104,13 +107,17 @@ def cash(request, account_code, period_spec):
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When(is_credit=True, then=-1),
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default=1) * F("amount")), 0))["balance"]
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else:
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records = list(Record.objects.filter(
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records = list(
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Record.objects
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.filter(
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Q(transaction__in=Transaction.objects.filter(
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Q(date__gte=period.start),
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Q(date__lte=period.end),
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Q(record__account__code__startswith=
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current_account.code))),
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~Q(account__code__startswith=current_account.code)))
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~Q(account__code__startswith=
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current_account.code))
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.order_by("transaction__date", "is_credit", "ord"))
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balance_before = Record.objects.filter(
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transaction__date__lt=period.start,
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account__code__startswith=current_account.code)\
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@ -304,10 +311,13 @@ def ledger(request, account_code, period_spec):
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if current_account is None:
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raise Http404()
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# The accounting records
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records = list(Record.objects.filter(
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records = list(
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Record.objects
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.filter(
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transaction__date__gte=period.start,
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transaction__date__lte=period.end,
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account__code__startswith=current_account.code))
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account__code__startswith=current_account.code)
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.order_by("transaction__date", "is_credit", "ord"))
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if re.match("^[1-3]", current_account.code) is not None:
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balance = Record.objects.filter(
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transaction__date__lt=period.start,
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@ -451,10 +461,11 @@ def journal(request, period_spec):
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# The period
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period = _get_period(period_spec)
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# The accounting records
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records = Record.objects.filter(
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records = Record.objects\
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.filter(
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transaction__date__gte=period.start,
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transaction__date__lte=period.end).order_by(
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"transaction__date", "is_credit", "ord")
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transaction__date__lte=period.end)\
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.order_by("transaction__date", "is_credit", "ord")
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# The brought-forward records
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brought_forward_accounts = Account.objects.filter(
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Q(code__startswith="1")
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@ -538,7 +549,8 @@ def trial_balance(request, period_spec):
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period = _get_period(period_spec)
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# The accounts
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nominal = list(
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Account.objects.filter(
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Account.objects
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.filter(
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Q(record__transaction__date__gte=period.start),
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Q(record__transaction__date__lte=period.end),
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~(Q(code__startswith="1")
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@ -555,10 +567,12 @@ def trial_balance(request, period_spec):
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default=None),
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credit=Case(
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When(balance__lt=0, then=-F("balance")),
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default=None)))
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default=None))
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.order_by("code"))
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real = list(
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Account.objects
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.filter(Q(record__transaction__date__lte=period.end),
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.filter(
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Q(record__transaction__date__lte=period.end),
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(Q(code__startswith="1")
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| Q(code__startswith="2")
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| Q(code__startswith="3")),
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@ -574,8 +588,10 @@ def trial_balance(request, period_spec):
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default=None),
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credit=Case(
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When(balance__lt=0, then=-F("balance")),
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default=None)))
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balance = Record.objects.filter(
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default=None))
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.order_by("code"))
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balance = Record.objects\
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.filter(
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(Q(transaction__date__lt=period.start)
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& ~(Q(account__code__startswith="1")
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| Q(account__code__startswith="2")
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@ -643,7 +659,8 @@ def income_statement(request, period_spec):
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period = _get_period(period_spec)
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# The accounts
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accounts = list(
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Account.objects.filter(
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Account.objects
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.filter(
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Q(record__transaction__date__gte=period.start),
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Q(record__transaction__date__lte=period.end),
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~(Q(code__startswith="1")
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@ -653,7 +670,8 @@ def income_statement(request, period_spec):
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balance=Sum(Case(
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When(record__is_credit=True, then=1),
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default=-1) * F("record__amount")))
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.filter(balance__isnull=False))
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.filter(balance__isnull=False)
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.order_by("code"))
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groups = list(Account.objects.filter(
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code__in=[x.code[:2] for x in accounts]))
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sections = list(Account.objects.filter(
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@ -728,7 +746,8 @@ def balance_sheet(request, period_spec):
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# The accounts
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accounts = list(
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Account.objects
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.filter(Q(record__transaction__date__lte=period.end),
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.filter(
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Q(record__transaction__date__lte=period.end),
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(Q(code__startswith="1")
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| Q(code__startswith="2")
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| Q(code__startswith="3")),
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@ -737,7 +756,8 @@ def balance_sheet(request, period_spec):
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balance=Sum(Case(
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When(record__is_credit=True, then=-1),
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default=1) * F("record__amount")))
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.filter(balance__isnull=False))
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.filter(balance__isnull=False)
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.order_by("code"))
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for account in accounts:
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account.url = reverse(
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"accounting:ledger", args=[account.code, period.spec])
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@ -849,13 +869,17 @@ def _cash_accounts():
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Returns:
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list[Account]: The cash accounts.
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"""
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accounts = list(Account.objects.filter(
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code__in=Record.objects.filter(
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accounts = list(
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Account.objects
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.filter(
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code__in=Record.objects
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.filter(
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Q(account__code__startswith="11")
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| Q(account__code__startswith="12")
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| Q(account__code__startswith="21")
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| Q(account__code__startswith="22"))
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.values("account__code")))
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.values("account__code"))
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.order_by("code"))
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accounts.insert(0, Account(
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code="0",
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title=pgettext(
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