939 lines
32 KiB
Python
939 lines
32 KiB
Python
# The accounting application of the Mia project.
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# by imacat <imacat@mail.imacat.idv.tw>, 2020/6/30
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# Copyright (c) 2020 imacat.
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#
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# Licensed under the Apache License, Version 2.0 (the "License");
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# you may not use this file except in compliance with the License.
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# You may obtain a copy of the License at
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#
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# http://www.apache.org/licenses/LICENSE-2.0
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#
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# Unless required by applicable law or agreed to in writing, software
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# distributed under the License is distributed on an "AS IS" BASIS,
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# WITHOUT WARRANTIES OR CONDITIONS OF ANY KIND, either express or implied.
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# See the License for the specific language governing permissions and
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# limitations under the License.
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"""The view controllers of the accounting application.
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"""
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import re
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from django.db.models import Sum, Case, When, F, Q, Count, Max, Min
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from django.db.models.functions import TruncMonth, Coalesce
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from django.http import HttpResponseRedirect, Http404
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from django.shortcuts import render
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from django.urls import reverse
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from django.utils import dateformat, timezone
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from django.utils.translation import pgettext
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from django.views.decorators.http import require_GET
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from accounting.models import Record, Transaction, Account, \
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RecordSummary
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from accounting.utils import ReportUrl
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from mia import settings
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from mia_core.digest_auth import digest_login_required
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from mia_core.period import Period
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from mia_core.utils import Pagination, get_multi_lingual_search
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# noinspection PyUnusedLocal
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@require_GET
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@digest_login_required
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def cash_default(request):
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"""The default cash account.
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Args:
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request (HttpRequest) The request.
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Returns:
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HttpResponseRedirect: The redirection to the default account
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and month.
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"""
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account_code = settings.ACCOUNTING["DEFAULT_CASH_ACCOUNT"]
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period_spec = dateformat.format(timezone.localdate(), "Y-m")
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return HttpResponseRedirect(
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reverse("accounting:cash", args=(account_code, period_spec)))
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@require_GET
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@digest_login_required
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def cash(request, account_code, period):
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"""The cash account.
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Args:
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request (HttpRequest) The request.
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account_code (str): The code of the specified account.
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period (Period): The period.
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Returns:
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HttpResponse: The response.
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"""
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# The account
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accounts = _cash_accounts()
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current_account = None
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for account in accounts:
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if account.code == account_code:
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current_account = account
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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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if current_account.code == "0":
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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="11") |
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Q(record__account__code__startswith="12") |
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Q(record__account__code__startswith="21") |
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Q(record__account__code__startswith="22")))),
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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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.order_by("transaction__date", "transaction__ord",
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"is_credit", "ord"))
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balance_before = 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="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="21")))\
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.aggregate(
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balance=Coalesce(Sum(Case(
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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(
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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=account_code))),
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~Q(account__code__startswith=account_code))
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.order_by("transaction__date", "transaction__ord",
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"is_credit", "ord"))
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balance_before = Record.objects\
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.filter(
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transaction__date__lt=period.start,
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account__code__startswith=current_account.code)\
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.aggregate(
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balance=Coalesce(Sum(Case(When(
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is_credit=True, then=-1),
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default=1) * F("amount")), 0))["balance"]
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balance = balance_before
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for record in records:
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sign = 1 if record.is_credit else -1
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balance = balance + sign * record.amount
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record.balance = balance
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record_sum = Record(
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transaction=Transaction(date=records[-1].transaction.date),
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account=current_account,
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summary=pgettext("Accounting|", "Total"),
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balance=balance
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)
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record_sum.credit_amount = sum([
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x.amount for x in records if x.is_credit])
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record_sum.debit_amount = sum([
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x.amount for x in records if not x.is_credit])
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records.insert(0, Record(
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transaction=Transaction(date=period.start),
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account=Account.objects.get(code="3351"),
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is_credit=balance_before >= 0,
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amount=abs(balance_before),
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balance=balance_before))
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records.append(record_sum)
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pagination = Pagination(request, records, True)
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records = pagination.items
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_find_imbalanced(records)
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_find_order_holes(records)
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shortcut_accounts = settings.ACCOUNTING["CASH_SHORTCUT_ACCOUNTS"]
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return render(request, "accounting/cash.html", {
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"item_list": records,
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"pagination": pagination,
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"current_account": current_account,
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"period": period,
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"reports": ReportUrl(cash=current_account, period=period),
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"shortcut_accounts": [x for x in accounts
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if x.code in shortcut_accounts],
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"all_accounts": [x for x in accounts
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if x.code not in shortcut_accounts],
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})
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# noinspection PyUnusedLocal
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@require_GET
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@digest_login_required
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def cash_summary_default(request):
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"""The default cash account summary.
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Args:
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request (HttpRequest) The request.
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Returns:
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HttpResponseRedirect: The redirection to the default account.
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"""
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account_code = settings.ACCOUNTING["DEFAULT_CASH_ACCOUNT"]
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return HttpResponseRedirect(
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reverse("accounting:cash-summary", args=(account_code,)))
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@require_GET
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@digest_login_required
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def cash_summary(request, account_code):
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"""The cash account summary.
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Args:
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request (HttpRequest) The request.
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account_code (str): The code of the specified account.
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Returns:
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HttpResponse: The response.
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"""
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# The account
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accounts = _cash_accounts()
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current_account = None
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for account in accounts:
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if account.code == account_code:
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current_account = account
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if current_account is None:
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raise Http404()
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# The month summaries
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if current_account.code == "0":
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months = [RecordSummary(**x) for x in Record.objects
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.filter(
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Q(transaction__in=Transaction.objects.filter(
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Q(record__account__code__startswith="11") |
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Q(record__account__code__startswith="12") |
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Q(record__account__code__startswith="21") |
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Q(record__account__code__startswith="22"))),
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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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.annotate(month=TruncMonth("transaction__date"))
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.values("month")
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.order_by("month")
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.annotate(
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debit=Coalesce(
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Sum(Case(When(is_credit=False, then=F("amount")))),
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0),
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credit=Coalesce(
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Sum(Case(When(is_credit=True, then=F("amount")))),
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0),
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balance=Sum(Case(
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When(is_credit=False, then=-F("amount")),
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default=F("amount"))))]
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else:
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months = [RecordSummary(**x) for x in Record.objects
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.filter(
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Q(transaction__in=Transaction.objects.filter(
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record__account__code__startswith=account_code)),
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~Q(account__code__startswith=account_code))
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.annotate(month=TruncMonth("transaction__date"))
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.values("month")
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.order_by("month")
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.annotate(
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debit=Coalesce(
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Sum(Case(When(is_credit=False, then=F("amount")))),
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0),
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credit=Coalesce(
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Sum(Case(When(is_credit=True, then=F("amount")))),
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0),
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balance=Sum(Case(
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When(is_credit=False, then=-F("amount")),
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default=F("amount"))))]
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cumulative_balance = 0
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for month in months:
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cumulative_balance = cumulative_balance + month.balance
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month.cumulative_balance = cumulative_balance
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months.append(RecordSummary(
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label=pgettext("Accounting|", "Total"),
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credit=sum([x.credit for x in months]),
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debit=sum([x.debit for x in months]),
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balance=sum([x.balance for x in months]),
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cumulative_balance=cumulative_balance,
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))
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pagination = Pagination(request, months, True)
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shortcut_accounts = settings.ACCOUNTING["CASH_SHORTCUT_ACCOUNTS"]
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return render(request, "accounting/cash-summary.html", {
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"item_list": pagination.items,
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"pagination": pagination,
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"current_account": current_account,
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"reports": ReportUrl(cash=current_account),
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"shortcut_accounts": [x for x in accounts if
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x.code in shortcut_accounts],
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"all_accounts": [x for x in accounts if
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x.code not in shortcut_accounts],
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})
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# noinspection PyUnusedLocal
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@require_GET
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@digest_login_required
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def ledger_default(request):
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"""The default ledger.
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Args:
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request (HttpRequest) The request.
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Returns:
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HttpResponseRedirect: The redirection to the default account
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and month.
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"""
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account_code = settings.ACCOUNTING["DEFAULT_LEDGER_ACCOUNT"]
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period_spec = dateformat.format(timezone.localdate(), "Y-m")
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return HttpResponseRedirect(
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reverse("accounting:ledger",
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args=(account_code, period_spec)))
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@require_GET
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@digest_login_required
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def ledger(request, account_code, period):
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"""The ledger.
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Args:
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request (HttpRequest) The request.
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account_code (str): The code of the specified account.
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period (Period): The period.
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Returns:
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HttpResponse: The response.
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"""
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# The account
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accounts = _ledger_accounts()
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current_account = None
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for account in accounts:
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if account.code == account_code:
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current_account = account
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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(
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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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.order_by("transaction__date", "transaction__ord", "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\
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.filter(
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transaction__date__lt=period.start,
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account__code__startswith=current_account.code)\
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.aggregate(
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balance=Coalesce(Sum(Case(When(
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is_credit=True, then=-1),
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default=1) * F("amount")), 0))["balance"]
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record_brought_forward = Record(
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transaction=Transaction(date=period.start),
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account=current_account,
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summary=pgettext("Accounting|", "Brought Forward"),
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is_credit=balance < 0,
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amount=abs(balance),
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balance=balance,
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)
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else:
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balance = 0
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record_brought_forward = None
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for record in records:
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balance = balance + \
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(-1 if record.is_credit else 1) * record.amount
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record.balance = balance
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if record_brought_forward is not None:
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records.insert(0, record_brought_forward)
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pagination = Pagination(request, records, True)
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records = pagination.items
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_find_imbalanced(records)
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_find_order_holes(records)
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return render(request, "accounting/ledger.html", {
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"item_list": records,
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"pagination": pagination,
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"current_account": current_account,
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"period": period,
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"reports": ReportUrl(ledger=current_account, period=period),
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"accounts": accounts,
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})
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# noinspection PyUnusedLocal
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@require_GET
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@digest_login_required
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def ledger_summary_default(request):
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"""The default ledger summary.
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Args:
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request (HttpRequest) The request.
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Returns:
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HttpResponseRedirect: The redirection to the default account.
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"""
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account_code = settings.ACCOUNTING["DEFAULT_LEDGER_ACCOUNT"]
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print(account_code)
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return HttpResponseRedirect(
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reverse("accounting:ledger-summary", args=(account_code,)))
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@require_GET
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@digest_login_required
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def ledger_summary(request, account_code):
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"""The ledger summary report.
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Args:
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request (HttpRequest) The request.
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account_code (str): The code of the specified account.
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Returns:
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HttpResponse: The response.
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"""
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# The account
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accounts = _ledger_accounts()
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current_account = None
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for account in accounts:
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if account.code == account_code:
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current_account = account
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if current_account is None:
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raise Http404()
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# The month summaries
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months = [RecordSummary(**x) for x in Record.objects
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.filter(account__code__startswith=current_account.code)
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.annotate(month=TruncMonth("transaction__date"))
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.values("month")
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.order_by("month")
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.annotate(
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debit=Coalesce(
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Sum(Case(When(is_credit=False, then=F("amount")))),
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0),
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credit=Coalesce(
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Sum(Case(When(is_credit=True, then=F("amount")))),
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0),
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balance=Sum(Case(
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When(is_credit=False, then=F("amount")),
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default=-F("amount"))))]
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cumulative_balance = 0
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for month in months:
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cumulative_balance = cumulative_balance + month.balance
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month.cumulative_balance = cumulative_balance
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months.append(RecordSummary(
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label=pgettext("Accounting|", "Total"),
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credit=sum([x.credit for x in months]),
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debit=sum([x.debit for x in months]),
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balance=sum([x.balance for x in months]),
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cumulative_balance=cumulative_balance,
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))
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pagination = Pagination(request, months, True)
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return render(request, "accounting/ledger-summary.html", {
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"item_list": pagination.items,
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"pagination": pagination,
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"current_account": current_account,
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"reports": ReportUrl(ledger=current_account),
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"accounts": accounts,
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})
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# noinspection PyUnusedLocal
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@require_GET
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@digest_login_required
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def journal_default(request):
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"""The default journal.
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Args:
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request (HttpRequest) The request.
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Returns:
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HttpResponseRedirect: The redirection to the default month.
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"""
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period_spec = dateformat.format(timezone.localdate(), "Y-m")
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return HttpResponseRedirect(
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reverse("accounting:journal", args=(period_spec,)))
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|
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@require_GET
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@digest_login_required
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def journal(request, period):
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"""The journal.
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Args:
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request (HttpRequest) The request.
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period (Period): The period.
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Returns:
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HttpResponse: The response.
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"""
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# The accounting records
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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)\
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.order_by("transaction__date", "transaction__ord", "is_credit", "ord")
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# The brought-forward records
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brought_forward_accounts = Account.objects\
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.filter(
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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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.annotate(balance=Sum(
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Case(
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When(record__is_credit=True, then=-1),
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default=1
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) * F("record__amount"),
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filter=Q(record__transaction__date__lt=period.start)))\
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.filter(~Q(balance=0))
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debit_records = [Record(
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transaction=Transaction(date=period.start),
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account=x,
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is_credit=False,
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amount=x.balance
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) for x in brought_forward_accounts if x.balance > 0]
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credit_records = [Record(
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transaction=Transaction(date=period.start),
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account=x,
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is_credit=True,
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amount=-x.balance
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) for x in brought_forward_accounts if x.balance < 0]
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sum_debits = sum([x.amount for x in debit_records])
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sum_credits = sum([x.amount for x in credit_records])
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if sum_debits < sum_credits:
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debit_records.append(Record(
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transaction=Transaction(date=period.start),
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account=Account.objects.get(code="3351"),
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is_credit=False,
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amount=sum_credits - sum_debits
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))
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elif sum_debits > sum_credits:
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credit_records.append(Record(
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transaction=Transaction(date=period.start),
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account=Account.objects.get(code="3351"),
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is_credit=True,
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amount=sum_debits - sum_credits
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))
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records = list(debit_records) + list(credit_records)\
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+ list(records)
|
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pagination = Pagination(request, records, True)
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return render(request, "accounting/journal.html", {
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"item_list": pagination.items,
|
|
"pagination": pagination,
|
|
"reports": ReportUrl(period=period),
|
|
"period": period,
|
|
})
|
|
|
|
|
|
# noinspection PyUnusedLocal
|
|
@require_GET
|
|
@digest_login_required
|
|
def trial_balance_default(request):
|
|
"""The default trial balance.
|
|
|
|
Args:
|
|
request (HttpRequest) The request.
|
|
|
|
Returns:
|
|
HttpResponseRedirect: The redirection to the default month.
|
|
"""
|
|
period_spec = dateformat.format(timezone.localdate(), "Y-m")
|
|
return HttpResponseRedirect(
|
|
reverse("accounting:trial-balance", args=(period_spec,)))
|
|
|
|
|
|
@require_GET
|
|
@digest_login_required
|
|
def trial_balance(request, period):
|
|
"""The trial balance.
|
|
|
|
Args:
|
|
request (HttpRequest) The request.
|
|
period (Period): The period.
|
|
|
|
Returns:
|
|
HttpResponse: The response.
|
|
"""
|
|
# The accounts
|
|
nominal = list(
|
|
Account.objects
|
|
.filter(
|
|
Q(record__transaction__date__gte=period.start),
|
|
Q(record__transaction__date__lte=period.end),
|
|
~(Q(code__startswith="1")
|
|
| Q(code__startswith="2")
|
|
| Q(code__startswith="3")))
|
|
.annotate(
|
|
balance=Sum(Case(
|
|
When(record__is_credit=True, then=-1),
|
|
default=1) * F("record__amount")))
|
|
.filter(balance__isnull=False)
|
|
.annotate(
|
|
debit=Case(
|
|
When(balance__gt=0, then=F("balance")),
|
|
default=None),
|
|
credit=Case(
|
|
When(balance__lt=0, then=-F("balance")),
|
|
default=None))
|
|
.order_by("code"))
|
|
real = list(
|
|
Account.objects
|
|
.filter(
|
|
Q(record__transaction__date__lte=period.end),
|
|
(Q(code__startswith="1")
|
|
| Q(code__startswith="2")
|
|
| Q(code__startswith="3")),
|
|
~Q(code="3351"))
|
|
.annotate(
|
|
balance=Sum(Case(
|
|
When(record__is_credit=True, then=-1),
|
|
default=1) * F("record__amount")))
|
|
.filter(balance__isnull=False)
|
|
.annotate(
|
|
debit=Case(
|
|
When(balance__gt=0, then=F("balance")),
|
|
default=None),
|
|
credit=Case(
|
|
When(balance__lt=0, then=-F("balance")),
|
|
default=None))
|
|
.order_by("code"))
|
|
balance = Record.objects\
|
|
.filter(
|
|
(Q(transaction__date__lt=period.start)
|
|
& ~(Q(account__code__startswith="1")
|
|
| Q(account__code__startswith="2")
|
|
| Q(account__code__startswith="3")))
|
|
| (Q(transaction__date__lte=period.end)
|
|
& Q(account__code="3351")))\
|
|
.aggregate(
|
|
balance=Sum(Case(
|
|
When(is_credit=True, then=-1),
|
|
default=1) * F("amount")))["balance"]
|
|
if balance is not None and balance != 0:
|
|
brought_forward = Account.objects.get(code="3351")
|
|
if balance > 0:
|
|
brought_forward.debit = balance
|
|
brought_forward.credit = 0
|
|
else:
|
|
brought_forward.debit = None
|
|
brought_forward.credit = -balance
|
|
real.append(brought_forward)
|
|
accounts = nominal + real
|
|
accounts.sort(key=lambda x: x.code)
|
|
total_account = Account()
|
|
total_account.title = pgettext("Accounting|", "Total")
|
|
total_account.debit = sum([x.debit for x in accounts
|
|
if x.debit is not None])
|
|
total_account.credit = sum([x.credit for x in accounts
|
|
if x.credit is not None])
|
|
return render(request, "accounting/trial-balance.html", {
|
|
"item_list": accounts,
|
|
"total_item": total_account,
|
|
"reports": ReportUrl(period=period),
|
|
"period": period,
|
|
})
|
|
|
|
|
|
# noinspection PyUnusedLocal
|
|
@require_GET
|
|
@digest_login_required
|
|
def income_statement_default(request):
|
|
"""The default income statement.
|
|
|
|
Args:
|
|
request (HttpRequest) The request.
|
|
|
|
Returns:
|
|
HttpResponseRedirect: The redirection to the default month.
|
|
"""
|
|
period_spec = dateformat.format(timezone.localdate(), "Y-m")
|
|
return HttpResponseRedirect(
|
|
reverse("accounting:income-statement", args=(period_spec,)))
|
|
|
|
|
|
@require_GET
|
|
@digest_login_required
|
|
def income_statement(request, period):
|
|
"""The income statement.
|
|
|
|
Args:
|
|
request (HttpRequest) The request.
|
|
period (Period): The period.
|
|
|
|
Returns:
|
|
HttpResponse: The response.
|
|
"""
|
|
# The accounts
|
|
accounts = list(
|
|
Account.objects
|
|
.filter(
|
|
Q(record__transaction__date__gte=period.start),
|
|
Q(record__transaction__date__lte=period.end),
|
|
~(Q(code__startswith="1")
|
|
| Q(code__startswith="2")
|
|
| Q(code__startswith="3")))
|
|
.annotate(
|
|
balance=Sum(Case(
|
|
When(record__is_credit=True, then=1),
|
|
default=-1) * F("record__amount")))
|
|
.filter(balance__isnull=False)
|
|
.order_by("code"))
|
|
groups = list(Account.objects.filter(
|
|
code__in=[x.code[:2] for x in accounts]))
|
|
sections = list(Account.objects.filter(
|
|
Q(code="4") | Q(code="5") | Q(code="6")
|
|
| Q(code="7") | Q(code="8") | Q(code="9")).order_by("code"))
|
|
cumulative_accounts = {
|
|
"5": Account(title=pgettext("Accounting|", "Gross Income")),
|
|
"6": Account(title=pgettext("Accounting|", "Operating Income")),
|
|
"7": Account(title=pgettext("Accounting|", "Before Tax Income")),
|
|
"8": Account(title=pgettext("Accounting|", "After Tax Income")),
|
|
"9": Account.objects.get(code="3353"),
|
|
}
|
|
cumulative_total = 0
|
|
for section in sections:
|
|
section.groups = [x for x in groups
|
|
if x.code[:1] == section.code]
|
|
for group in section.groups:
|
|
group.details = [x for x in accounts
|
|
if x.code[:2] == group.code]
|
|
group.balance = None
|
|
group.total = sum([x.balance
|
|
for x in group.details])
|
|
section.balance = None
|
|
section.total = sum([x.total for x in section.groups])
|
|
cumulative_total = cumulative_total + section.total
|
|
if section.code in cumulative_accounts:
|
|
section.cumulative_total\
|
|
= cumulative_accounts[section.code]
|
|
section.cumulative_total.balance = None
|
|
section.cumulative_total.total = cumulative_total
|
|
else:
|
|
section.cumulative_total = None
|
|
section.has_next = True
|
|
sections[-1].has_next = False
|
|
return render(request, "accounting/income-statement.html", {
|
|
"item_list": sections,
|
|
"reports": ReportUrl(period=period),
|
|
"period": period,
|
|
})
|
|
|
|
|
|
# noinspection PyUnusedLocal
|
|
@require_GET
|
|
@digest_login_required
|
|
def balance_sheet_default(request):
|
|
"""The default balance sheet.
|
|
|
|
Args:
|
|
request (HttpRequest) The request.
|
|
|
|
Returns:
|
|
HttpResponseRedirect: The redirection to the default month.
|
|
"""
|
|
period_spec = dateformat.format(timezone.localdate(), "Y-m")
|
|
return HttpResponseRedirect(
|
|
reverse("accounting:balance-sheet", args=(period_spec,)))
|
|
|
|
|
|
@require_GET
|
|
@digest_login_required
|
|
def balance_sheet(request, period):
|
|
"""The balance sheet.
|
|
|
|
Args:
|
|
request (HttpRequest) The request.
|
|
period (Period): The period.
|
|
|
|
Returns:
|
|
HttpResponse: The response.
|
|
"""
|
|
# The accounts
|
|
accounts = list(
|
|
Account.objects
|
|
.filter(
|
|
Q(record__transaction__date__lte=period.end),
|
|
(Q(code__startswith="1")
|
|
| Q(code__startswith="2")
|
|
| Q(code__startswith="3")),
|
|
~Q(code="3351"))
|
|
.annotate(
|
|
balance=Sum(Case(
|
|
When(record__is_credit=True, then=-1),
|
|
default=1) * F("record__amount")))
|
|
.filter(balance__isnull=False)
|
|
.order_by("code"))
|
|
for account in accounts:
|
|
account.url = reverse(
|
|
"accounting:ledger", args=(account.code, period))
|
|
balance = Record.objects\
|
|
.filter(
|
|
Q(transaction__date__lt=period.start)
|
|
& ~((Q(account__code__startswith="1")
|
|
| Q(account__code__startswith="2")
|
|
| Q(account__code__startswith="3"))
|
|
& ~Q(account__code="3351")))\
|
|
.aggregate(
|
|
balance=Sum(Case(
|
|
When(is_credit=True, then=-1),
|
|
default=1) * F("amount")))["balance"]
|
|
if balance is not None and balance != 0:
|
|
brought_forward = Account.objects.get(code="3351")
|
|
brought_forward.balance = balance
|
|
brought_forward.url = reverse(
|
|
"accounting:income-statement", args=(period,))
|
|
accounts.append(brought_forward)
|
|
balance = Record.objects\
|
|
.filter(
|
|
Q(transaction__date__gte=period.start)
|
|
& Q(transaction__date__lte=period.end)
|
|
& ~((Q(account__code__startswith="1")
|
|
| Q(account__code__startswith="2")
|
|
| Q(account__code__startswith="3"))
|
|
& ~Q(account__code="3351")))\
|
|
.aggregate(
|
|
balance=Sum(Case(
|
|
When(is_credit=True, then=-1),
|
|
default=1) * F("amount")))["balance"]
|
|
if balance is not None and balance != 0:
|
|
net_income = Account.objects.get(code="3353")
|
|
net_income.balance = balance
|
|
net_income.url = reverse(
|
|
"accounting:income-statement", args=(period,))
|
|
accounts.append(net_income)
|
|
for account in [x for x in accounts if x.code[0] in "23"]:
|
|
account.balance = -account.balance
|
|
groups = list(Account.objects.filter(
|
|
code__in=[x.code[:2] for x in accounts]))
|
|
sections = list(Account.objects.filter(
|
|
Q(code="1") | Q(code="2") | Q(code="3")).order_by("code"))
|
|
for section in sections:
|
|
section.groups = [x for x in groups
|
|
if x.code[:1] == section.code]
|
|
for group in section.groups:
|
|
group.details = [x for x in accounts
|
|
if x.code[:2] == group.code]
|
|
group.balance = sum([x.balance
|
|
for x in group.details])
|
|
section.balance = sum([x.balance for x in section.groups])
|
|
by_code = {x.code: x for x in sections}
|
|
return render(request, "accounting/balance-sheet.html", {
|
|
"assets": by_code["1"],
|
|
"liabilities": by_code["2"],
|
|
"owners_equity": by_code["3"],
|
|
"reports": ReportUrl(period=period),
|
|
"period": period,
|
|
})
|
|
|
|
|
|
@require_GET
|
|
@digest_login_required
|
|
def search(request):
|
|
"""The search.
|
|
|
|
Args:
|
|
request (HttpRequest) The request.
|
|
|
|
Returns:
|
|
HttpResponse: The response.
|
|
"""
|
|
# The accounting records
|
|
query = request.GET.get("q")
|
|
if query is None:
|
|
records = []
|
|
else:
|
|
records = Record.objects.filter(
|
|
get_multi_lingual_search("account__title", query)
|
|
| Q(account__code__icontains=query)
|
|
| Q(summary__icontains=query)
|
|
| Q(transaction__note__icontains=query))
|
|
pagination = Pagination(request, records, True)
|
|
return render(request, "accounting/search.html", {
|
|
"item_list": pagination.items,
|
|
"pagination": pagination,
|
|
"reports": ReportUrl(),
|
|
})
|
|
|
|
|
|
def _cash_accounts():
|
|
"""Returns the cash accounts.
|
|
|
|
Returns:
|
|
list[Account]: The cash accounts.
|
|
"""
|
|
accounts = list(
|
|
Account.objects
|
|
.filter(
|
|
code__in=Record.objects
|
|
.filter(
|
|
Q(account__code__startswith="11")
|
|
| Q(account__code__startswith="12")
|
|
| Q(account__code__startswith="21")
|
|
| Q(account__code__startswith="22"))
|
|
.values("account__code"))
|
|
.order_by("code"))
|
|
accounts.insert(0, Account(
|
|
code="0",
|
|
title=pgettext(
|
|
"Accounting|", "current assets and liabilities"),
|
|
))
|
|
return accounts
|
|
|
|
|
|
def _ledger_accounts():
|
|
"""Returns the accounts for the ledger.
|
|
|
|
Returns:
|
|
list[Account]: The accounts for the ledger.
|
|
"""
|
|
# TODO: Te be replaced with the Django model queries
|
|
return list(Account.objects.raw("""SELECT s.*
|
|
FROM accounting_accounts AS s
|
|
WHERE s.code IN (SELECT s.code
|
|
FROM accounting_accounts AS s
|
|
INNER JOIN (SELECT s.code
|
|
FROM accounting_accounts AS s
|
|
INNER JOIN accounting_records AS r ON r.account_sn = s.sn
|
|
GROUP BY s.code) AS u
|
|
ON u.code LIKE s.code || '%'
|
|
GROUP BY s.code)
|
|
ORDER BY s.code"""))
|
|
|
|
|
|
def _find_imbalanced(records):
|
|
""""Finds the records with imbalanced transactions, and sets their
|
|
is_balanced attribute.
|
|
|
|
Args:
|
|
records (list[Record]): The accounting records.
|
|
"""
|
|
imbalanced = [x.sn for x in Transaction.objects
|
|
.annotate(
|
|
balance=Sum(Case(
|
|
When(record__is_credit=True, then=-1),
|
|
default=1) * F("record__amount")))
|
|
.filter(~Q(balance=0))]
|
|
for record in records:
|
|
record.is_balanced = record.transaction.sn not in imbalanced
|
|
|
|
|
|
def _find_order_holes(records):
|
|
""""Finds whether the order of the transactions on this day is not
|
|
1, 2, 3, 4, 5..., and should be reordered, and sets their
|
|
has_order_holes attributes.
|
|
|
|
Args:
|
|
records (list[Record]): The accounting records.
|
|
"""
|
|
holes = [x["date"] for x in Transaction.objects
|
|
.values("date")
|
|
.annotate(count=Count("ord"),
|
|
max=Max("ord"),
|
|
min=Min("ord"))
|
|
.filter(~(Q(max=F("count")) & Q(min=1)))] +\
|
|
[x["date"] for x in Transaction.objects
|
|
.values("date", "ord")
|
|
.annotate(count=Count("sn"))
|
|
.filter(~Q(count=1))]
|
|
for record in records:
|
|
record.has_order_hole = record.transaction.date in holes
|