Added the BaseTestData class in testlib_offset.py to simplify the test data, and changed the TestData, DifferentTestData, and SameTestData classes to its subclasses.

This commit is contained in:
依瑪貓 2023-04-09 09:53:53 +08:00
parent 51f0185bcf
commit 87f9063ceb
2 changed files with 231 additions and 330 deletions

View File

@ -26,9 +26,7 @@ from flask.testing import FlaskCliRunner
from test_site import db
from testlib import create_test_app, get_client, Accounts
from testlib_journal_entry import match_journal_entry_detail
from testlib_offset import JournalEntryData, CurrencyData, \
JournalEntryLineItemData
from testlib_offset import BaseTestData, JournalEntryData, CurrencyData
PREFIX: str = "/accounting/unmatched-offsets"
"""The URL prefix for the unmatched offset management."""
@ -408,51 +406,28 @@ class UnmatchedOffsetTestCase(unittest.TestCase):
self.assertEqual(line_item.original_line_item_id, data.l_p_or4c.id)
class DifferentTestData:
class DifferentTestData(BaseTestData):
"""The test data for different descriptions and amounts."""
def __init__(self, app: Flask, client: httpx.Client, csrf_token: str):
"""Constructs the test data.
:param app: The Flask application.
:param client: The client.
:param csrf_token: The CSRF token.
"""
self.app: Flask = app
self.client: httpx.Client = client
self.csrf_token: str = csrf_token
def couple(description: str, amount: str, debit: str, credit: str) \
-> tuple[JournalEntryLineItemData, JournalEntryLineItemData]:
"""Returns a couple of debit-credit line items.
:param description: The description.
:param amount: The amount.
:param debit: The debit account code.
:param credit: The credit account code.
:return: The debit line item and credit line item.
"""
return JournalEntryLineItemData(debit, description, amount),\
JournalEntryLineItemData(credit, description, amount)
def _init_data(self) -> None:
# Receivable original line items
self.l_r_or1d, self.l_r_or1c = couple(
self.l_r_or1d, self.l_r_or1c = self._couple(
"Accountant", "1200", Accounts.RECEIVABLE, Accounts.SERVICE)
self.l_r_or2d, self.l_r_or2c = couple(
self.l_r_or2d, self.l_r_or2c = self._couple(
"Toy", "600", Accounts.RECEIVABLE, Accounts.SALES)
self.l_r_or3d, self.l_r_or3c = couple(
self.l_r_or3d, self.l_r_or3c = self._couple(
"Noodles", "100", Accounts.RECEIVABLE, Accounts.SALES)
self.l_r_or4d, self.l_r_or4c = couple(
self.l_r_or4d, self.l_r_or4c = self._couple(
"Interest", "3.4", Accounts.RECEIVABLE, Accounts.INTEREST)
# Payable original line items
self.l_p_or1d, self.l_p_or1c = couple(
self.l_p_or1d, self.l_p_or1c = self._couple(
"Airplane", "2000", Accounts.TRAVEL, Accounts.PAYABLE)
self.l_p_or2d, self.l_p_or2c = couple(
self.l_p_or2d, self.l_p_or2c = self._couple(
"Phone", "900", Accounts.OFFICE, Accounts.PAYABLE)
self.l_p_or3d, self.l_p_or3c = couple(
self.l_p_or3d, self.l_p_or3c = self._couple(
"Steak", "120", Accounts.MEAL, Accounts.PAYABLE)
self.l_p_or4d, self.l_p_or4c = couple(
self.l_p_or4d, self.l_p_or4c = self._couple(
"Envelop", "0.9", Accounts.OFFICE, Accounts.PAYABLE)
# Original journal entries
@ -469,33 +444,33 @@ class DifferentTestData:
20, [CurrencyData("USD", [self.l_p_or2d, self.l_p_or3d],
[self.l_p_or2c, self.l_p_or3c])])
self.__add_journal_entry(self.j_r_or1)
self.__add_journal_entry(self.j_r_or2)
self.__add_journal_entry(self.j_p_or1)
self.__add_journal_entry(self.j_p_or2)
self._add_journal_entry(self.j_r_or1)
self._add_journal_entry(self.j_r_or2)
self._add_journal_entry(self.j_p_or1)
self._add_journal_entry(self.j_p_or2)
# Receivable offset items
self.l_r_of1d, self.l_r_of1c = couple(
self.l_r_of1d, self.l_r_of1c = self._couple(
"Accountant", "500", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of2d, self.l_r_of2c = couple(
self.l_r_of2d, self.l_r_of2c = self._couple(
"Accountant", "200", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of3d, self.l_r_of3c = couple(
self.l_r_of3d, self.l_r_of3c = self._couple(
"Accountant", "100", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of4d, self.l_r_of4c = couple(
self.l_r_of4d, self.l_r_of4c = self._couple(
"Toy", "240", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of5d, self.l_r_of5c = couple(
self.l_r_of5d, self.l_r_of5c = self._couple(
"Interest", "3.4", Accounts.CASH, Accounts.RECEIVABLE)
# Payable offset items
self.l_p_of1d, self.l_p_of1c = couple(
self.l_p_of1d, self.l_p_of1c = self._couple(
"Airplane", "800", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of2d, self.l_p_of2c = couple(
self.l_p_of2d, self.l_p_of2c = self._couple(
"Airplane", "300", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of3d, self.l_p_of3c = couple(
self.l_p_of3d, self.l_p_of3c = self._couple(
"Airplane", "100", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of4d, self.l_p_of4c = couple(
self.l_p_of4d, self.l_p_of4c = self._couple(
"Phone", "400", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of5d, self.l_p_of5c = couple(
self.l_p_of5d, self.l_p_of5c = self._couple(
"Envelop", "0.9", Accounts.PAYABLE, Accounts.CASH)
# Offset journal entries
@ -516,112 +491,48 @@ class DifferentTestData:
self.j_p_of3: JournalEntryData = JournalEntryData(
5, [CurrencyData("USD", [self.l_p_of5d], [self.l_p_of5c])])
self.__set_is_need_offset(False)
self.__add_journal_entry(self.j_r_of1)
self.__add_journal_entry(self.j_r_of2)
self.__add_journal_entry(self.j_r_of3)
self.__add_journal_entry(self.j_p_of1)
self.__add_journal_entry(self.j_p_of2)
self.__add_journal_entry(self.j_p_of3)
self.__set_is_need_offset(True)
def __set_is_need_offset(self, is_need_offset: bool) -> None:
"""Sets whether the payables and receivables need offset.
:param is_need_offset: True if payables and receivables need offset, or
False otherwise.
:return:
"""
from accounting.models import Account
with self.app.app_context():
for code in {Accounts.RECEIVABLE, Accounts.PAYABLE}:
account: Account | None = Account.find_by_code(code)
assert account is not None
account.is_need_offset = is_need_offset
db.session.commit()
def __add_journal_entry(self, journal_entry_data: JournalEntryData) \
-> None:
"""Adds a journal entry.
:param journal_entry_data: The journal entry data.
:return: None.
"""
from accounting.models import JournalEntry
store_uri: str = "/accounting/journal-entries/store/transfer"
response: httpx.Response = self.client.post(
store_uri, data=journal_entry_data.new_form(self.csrf_token))
assert response.status_code == 302
journal_entry_id: int \
= match_journal_entry_detail(response.headers["Location"])
journal_entry_data.id = journal_entry_id
with self.app.app_context():
journal_entry: JournalEntry | None \
= db.session.get(JournalEntry, journal_entry_id)
assert journal_entry is not None
for i in range(len(journal_entry.currencies)):
for j in range(len(journal_entry.currencies[i].debit)):
journal_entry_data.currencies[i].debit[j].id \
= journal_entry.currencies[i].debit[j].id
for j in range(len(journal_entry.currencies[i].credit)):
journal_entry_data.currencies[i].credit[j].id \
= journal_entry.currencies[i].credit[j].id
self._set_is_need_offset({Accounts.RECEIVABLE, Accounts.PAYABLE},
False)
self._add_journal_entry(self.j_r_of1)
self._add_journal_entry(self.j_r_of2)
self._add_journal_entry(self.j_r_of3)
self._add_journal_entry(self.j_p_of1)
self._add_journal_entry(self.j_p_of2)
self._add_journal_entry(self.j_p_of3)
self._set_is_need_offset({Accounts.RECEIVABLE, Accounts.PAYABLE},
True)
class SameTestData:
class SameTestData(BaseTestData):
"""The test data with same descriptions and amounts."""
def __init__(self, app: Flask, client: httpx.Client, csrf_token: str):
"""Constructs the test data.
:param app: The Flask application.
:param client: The client.
:param csrf_token: The CSRF token.
"""
self.app: Flask = app
self.client: httpx.Client = client
self.csrf_token: str = csrf_token
def couple(description: str, amount: str, debit: str, credit: str) \
-> tuple[JournalEntryLineItemData, JournalEntryLineItemData]:
"""Returns a couple of debit-credit line items.
:param description: The description.
:param amount: The amount.
:param debit: The debit account code.
:param credit: The credit account code.
:return: The debit line item and credit line item.
"""
return JournalEntryLineItemData(debit, description, amount),\
JournalEntryLineItemData(credit, description, amount)
def _init_data(self) -> None:
# Receivable original line items
self.l_r_or1d, self.l_r_or1c = couple(
self.l_r_or1d, self.l_r_or1c = self._couple(
"Noodles", "100", Accounts.RECEIVABLE, Accounts.SALES)
self.l_r_or2d, self.l_r_or2c = couple(
self.l_r_or2d, self.l_r_or2c = self._couple(
"Noodles", "100", Accounts.RECEIVABLE, Accounts.SALES)
self.l_r_or3d, self.l_r_or3c = couple(
self.l_r_or3d, self.l_r_or3c = self._couple(
"Noodles", "100", Accounts.RECEIVABLE, Accounts.SALES)
self.l_r_or4d, self.l_r_or4c = couple(
self.l_r_or4d, self.l_r_or4c = self._couple(
"Noodles", "100", Accounts.RECEIVABLE, Accounts.SALES)
self.l_r_or5d, self.l_r_or5c = couple(
self.l_r_or5d, self.l_r_or5c = self._couple(
"Noodles", "100", Accounts.RECEIVABLE, Accounts.SALES)
self.l_r_or6d, self.l_r_or6c = couple(
self.l_r_or6d, self.l_r_or6c = self._couple(
"Noodles", "100", Accounts.RECEIVABLE, Accounts.SALES)
# Payable original line items
self.l_p_or1d, self.l_p_or1c = couple(
self.l_p_or1d, self.l_p_or1c = self._couple(
"Steak", "120", Accounts.MEAL, Accounts.PAYABLE)
self.l_p_or2d, self.l_p_or2c = couple(
self.l_p_or2d, self.l_p_or2c = self._couple(
"Steak", "120", Accounts.MEAL, Accounts.PAYABLE)
self.l_p_or3d, self.l_p_or3c = couple(
self.l_p_or3d, self.l_p_or3c = self._couple(
"Steak", "120", Accounts.MEAL, Accounts.PAYABLE)
self.l_p_or4d, self.l_p_or4c = couple(
self.l_p_or4d, self.l_p_or4c = self._couple(
"Steak", "120", Accounts.MEAL, Accounts.PAYABLE)
self.l_p_or5d, self.l_p_or5c = couple(
self.l_p_or5d, self.l_p_or5c = self._couple(
"Steak", "120", Accounts.MEAL, Accounts.PAYABLE)
self.l_p_or6d, self.l_p_or6c = couple(
self.l_p_or6d, self.l_p_or6c = self._couple(
"Steak", "120", Accounts.MEAL, Accounts.PAYABLE)
# Original journal entries
@ -650,47 +561,47 @@ class SameTestData:
self.j_p_or6: JournalEntryData = JournalEntryData(
10, [CurrencyData("USD", [self.l_p_or6d], [self.l_p_or6c])])
self.__add_journal_entry(self.j_r_or1)
self.__add_journal_entry(self.j_r_or2)
self.__add_journal_entry(self.j_r_or3)
self.__add_journal_entry(self.j_r_or4)
self.__add_journal_entry(self.j_r_or5)
self.__add_journal_entry(self.j_r_or6)
self.__add_journal_entry(self.j_p_or1)
self.__add_journal_entry(self.j_p_or2)
self.__add_journal_entry(self.j_p_or3)
self.__add_journal_entry(self.j_p_or4)
self.__add_journal_entry(self.j_p_or5)
self.__add_journal_entry(self.j_p_or6)
self._add_journal_entry(self.j_r_or1)
self._add_journal_entry(self.j_r_or2)
self._add_journal_entry(self.j_r_or3)
self._add_journal_entry(self.j_r_or4)
self._add_journal_entry(self.j_r_or5)
self._add_journal_entry(self.j_r_or6)
self._add_journal_entry(self.j_p_or1)
self._add_journal_entry(self.j_p_or2)
self._add_journal_entry(self.j_p_or3)
self._add_journal_entry(self.j_p_or4)
self._add_journal_entry(self.j_p_or5)
self._add_journal_entry(self.j_p_or6)
# Receivable offset items
self.l_r_of1d, self.l_r_of1c = couple(
self.l_r_of1d, self.l_r_of1c = self._couple(
"Noodles", "100", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of2d, self.l_r_of2c = couple(
self.l_r_of2d, self.l_r_of2c = self._couple(
"Noodles", "100", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of3d, self.l_r_of3c = couple(
self.l_r_of3d, self.l_r_of3c = self._couple(
"Noodles", "100", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of3c.original_line_item = self.l_r_or2d
self.l_r_of4d, self.l_r_of4c = couple(
self.l_r_of4d, self.l_r_of4c = self._couple(
"Noodles", "100", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of5d, self.l_r_of5c = couple(
self.l_r_of5d, self.l_r_of5c = self._couple(
"Noodles", "100", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of6d, self.l_r_of6c = couple(
self.l_r_of6d, self.l_r_of6c = self._couple(
"Noodles", "100", Accounts.CASH, Accounts.RECEIVABLE)
# Payable offset items
self.l_p_of1d, self.l_p_of1c = couple(
self.l_p_of1d, self.l_p_of1c = self._couple(
"Steak", "120", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of2d, self.l_p_of2c = couple(
self.l_p_of2d, self.l_p_of2c = self._couple(
"Steak", "120", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of3d, self.l_p_of3c = couple(
self.l_p_of3d, self.l_p_of3c = self._couple(
"Steak", "120", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of3d.original_line_item = self.l_p_or2c
self.l_p_of4d, self.l_p_of4c = couple(
self.l_p_of4d, self.l_p_of4c = self._couple(
"Steak", "120", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of5d, self.l_p_of5c = couple(
self.l_p_of5d, self.l_p_of5c = self._couple(
"Steak", "120", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of6d, self.l_p_of6c = couple(
self.l_p_of6d, self.l_p_of6c = self._couple(
"Steak", "120", Accounts.PAYABLE, Accounts.CASH)
# Offset journal entries
@ -719,60 +630,19 @@ class SameTestData:
self.j_p_of6: JournalEntryData = JournalEntryData(
15, [CurrencyData("USD", [self.l_p_of6d], [self.l_p_of6c])])
self.__set_is_need_offset(False)
self.__add_journal_entry(self.j_r_of1)
self.__add_journal_entry(self.j_r_of2)
self.__add_journal_entry(self.j_r_of4)
self.__add_journal_entry(self.j_r_of5)
self.__add_journal_entry(self.j_r_of6)
self.__add_journal_entry(self.j_p_of1)
self.__add_journal_entry(self.j_p_of2)
self.__add_journal_entry(self.j_p_of4)
self.__add_journal_entry(self.j_p_of5)
self.__add_journal_entry(self.j_p_of6)
self.__set_is_need_offset(True)
self.__add_journal_entry(self.j_r_of3)
self.__add_journal_entry(self.j_p_of3)
def __set_is_need_offset(self, is_need_offset: bool) -> None:
"""Sets whether the payables and receivables need offset.
:param is_need_offset: True if payables and receivables need offset, or
False otherwise.
:return:
"""
from accounting.models import Account
with self.app.app_context():
for code in {Accounts.RECEIVABLE, Accounts.PAYABLE}:
account: Account | None = Account.find_by_code(code)
assert account is not None
account.is_need_offset = is_need_offset
db.session.commit()
def __add_journal_entry(self, journal_entry_data: JournalEntryData) \
-> None:
"""Adds a journal entry.
:param journal_entry_data: The journal entry data.
:return: None.
"""
from accounting.models import JournalEntry
store_uri: str = "/accounting/journal-entries/store/transfer"
response: httpx.Response = self.client.post(
store_uri, data=journal_entry_data.new_form(self.csrf_token))
assert response.status_code == 302
journal_entry_id: int \
= match_journal_entry_detail(response.headers["Location"])
journal_entry_data.id = journal_entry_id
with self.app.app_context():
journal_entry: JournalEntry | None \
= db.session.get(JournalEntry, journal_entry_id)
assert journal_entry is not None
for i in range(len(journal_entry.currencies)):
for j in range(len(journal_entry.currencies[i].debit)):
journal_entry_data.currencies[i].debit[j].id \
= journal_entry.currencies[i].debit[j].id
for j in range(len(journal_entry.currencies[i].credit)):
journal_entry_data.currencies[i].credit[j].id \
= journal_entry.currencies[i].credit[j].id
self._set_is_need_offset({Accounts.RECEIVABLE, Accounts.PAYABLE},
False)
self._add_journal_entry(self.j_r_of1)
self._add_journal_entry(self.j_r_of2)
self._add_journal_entry(self.j_r_of4)
self._add_journal_entry(self.j_r_of5)
self._add_journal_entry(self.j_r_of6)
self._add_journal_entry(self.j_p_of1)
self._add_journal_entry(self.j_p_of2)
self._add_journal_entry(self.j_p_of4)
self._add_journal_entry(self.j_p_of5)
self._add_journal_entry(self.j_p_of6)
self._set_is_need_offset({Accounts.RECEIVABLE, Accounts.PAYABLE},
True)
self._add_journal_entry(self.j_r_of3)
self._add_journal_entry(self.j_p_of3)

View File

@ -19,6 +19,7 @@
"""
from __future__ import annotations
from abc import ABC, abstractmethod
from datetime import date, timedelta
from decimal import Decimal
@ -161,8 +162,8 @@ class JournalEntryData:
return form
class TestData:
"""The test data."""
class BaseTestData(ABC):
"""The base test data."""
def __init__(self, app: Flask, client: httpx.Client, csrf_token: str):
"""Constructs the test data.
@ -174,120 +175,30 @@ class TestData:
self.app: Flask = app
self.client: httpx.Client = client
self.csrf_token: str = csrf_token
self._init_data()
def couple(description: str, amount: str, debit: str, credit: str) \
-> tuple[JournalEntryLineItemData, JournalEntryLineItemData]:
"""Returns a couple of debit-credit line items.
@abstractmethod
def _init_data(self) -> None:
"""Initializes the test data.
:param description: The description.
:param amount: The amount.
:param debit: The debit account code.
:param credit: The credit account code.
:return: The debit line item and credit line item.
"""
return JournalEntryLineItemData(debit, description, amount),\
JournalEntryLineItemData(credit, description, amount)
:return: None
"""
# Receivable original line items
self.l_r_or1d, self.l_r_or1c = couple(
"Accountant", "1200", Accounts.RECEIVABLE, Accounts.SERVICE)
self.l_r_or2d, self.l_r_or2c = couple(
"Toy", "600", Accounts.RECEIVABLE, Accounts.SALES)
self.l_r_or3d, self.l_r_or3c = couple(
"Noodles", "100", Accounts.RECEIVABLE, Accounts.SALES)
self.l_r_or4d, self.l_r_or4c = couple(
"Interest", "3.4", Accounts.RECEIVABLE, Accounts.INTEREST)
@staticmethod
def _couple(description: str, amount: str, debit: str, credit: str) \
-> tuple[JournalEntryLineItemData, JournalEntryLineItemData]:
"""Returns a couple of debit-credit line items.
# Payable original line items
self.l_p_or1d, self.l_p_or1c = couple(
"Airplane", "2000", Accounts.TRAVEL, Accounts.PAYABLE)
self.l_p_or2d, self.l_p_or2c = couple(
"Phone", "900", Accounts.OFFICE, Accounts.PAYABLE)
self.l_p_or3d, self.l_p_or3c = couple(
"Steak", "120", Accounts.MEAL, Accounts.PAYABLE)
self.l_p_or4d, self.l_p_or4c = couple(
"Envelop", "0.9", Accounts.OFFICE, Accounts.PAYABLE)
:param description: The description.
:param amount: The amount.
:param debit: The debit account code.
:param credit: The credit account code.
:return: The debit line item and credit line item.
"""
return JournalEntryLineItemData(debit, description, amount),\
JournalEntryLineItemData(credit, description, amount)
# Original journal entries
self.j_r_or1: JournalEntryData = JournalEntryData(
50, [CurrencyData("USD", [self.l_r_or1d, self.l_r_or4d],
[self.l_r_or1c, self.l_r_or4c])])
self.j_r_or2: JournalEntryData = JournalEntryData(
30, [CurrencyData("USD", [self.l_r_or2d, self.l_r_or3d],
[self.l_r_or2c, self.l_r_or3c])])
self.j_p_or1: JournalEntryData = JournalEntryData(
40, [CurrencyData("USD", [self.l_p_or1d, self.l_p_or4d],
[self.l_p_or1c, self.l_p_or4c])])
self.j_p_or2: JournalEntryData = JournalEntryData(
20, [CurrencyData("USD", [self.l_p_or2d, self.l_p_or3d],
[self.l_p_or2c, self.l_p_or3c])])
self.__add_journal_entry(self.j_r_or1)
self.__add_journal_entry(self.j_r_or2)
self.__add_journal_entry(self.j_p_or1)
self.__add_journal_entry(self.j_p_or2)
# Receivable offset items
self.l_r_of1d, self.l_r_of1c = couple(
"Accountant", "500", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of1c.original_line_item = self.l_r_or1d
self.l_r_of2d, self.l_r_of2c = couple(
"Accountant", "200", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of2c.original_line_item = self.l_r_or1d
self.l_r_of3d, self.l_r_of3c = couple(
"Accountant", "100", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of3c.original_line_item = self.l_r_or1d
self.l_r_of4d, self.l_r_of4c = couple(
"Toy", "240", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of4c.original_line_item = self.l_r_or2d
self.l_r_of5d, self.l_r_of5c = couple(
"Interest", "3.4", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of5c.original_line_item = self.l_r_or4d
# Payable offset items
self.l_p_of1d, self.l_p_of1c = couple(
"Airplane", "800", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of1d.original_line_item = self.l_p_or1c
self.l_p_of2d, self.l_p_of2c = couple(
"Airplane", "300", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of2d.original_line_item = self.l_p_or1c
self.l_p_of3d, self.l_p_of3c = couple(
"Airplane", "100", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of3d.original_line_item = self.l_p_or1c
self.l_p_of4d, self.l_p_of4c = couple(
"Phone", "400", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of4d.original_line_item = self.l_p_or2c
self.l_p_of5d, self.l_p_of5c = couple(
"Envelop", "0.9", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of5d.original_line_item = self.l_p_or4c
# Offset journal entries
self.j_r_of1: JournalEntryData = JournalEntryData(
25, [CurrencyData("USD", [self.l_r_of1d], [self.l_r_of1c])])
self.j_r_of2: JournalEntryData = JournalEntryData(
20, [CurrencyData("USD",
[self.l_r_of2d, self.l_r_of3d, self.l_r_of4d],
[self.l_r_of2c, self.l_r_of3c, self.l_r_of4c])])
self.j_r_of3: JournalEntryData = JournalEntryData(
15, [CurrencyData("USD", [self.l_r_of5d], [self.l_r_of5c])])
self.j_p_of1: JournalEntryData = JournalEntryData(
15, [CurrencyData("USD", [self.l_p_of1d], [self.l_p_of1c])])
self.j_p_of2: JournalEntryData = JournalEntryData(
10, [CurrencyData("USD",
[self.l_p_of2d, self.l_p_of3d, self.l_p_of4d],
[self.l_p_of2c, self.l_p_of3c, self.l_p_of4c])])
self.j_p_of3: JournalEntryData = JournalEntryData(
5, [CurrencyData("USD", [self.l_p_of5d], [self.l_p_of5c])])
self.__add_journal_entry(self.j_r_of1)
self.__add_journal_entry(self.j_r_of2)
self.__add_journal_entry(self.j_r_of3)
self.__add_journal_entry(self.j_p_of1)
self.__add_journal_entry(self.j_p_of2)
self.__add_journal_entry(self.j_p_of3)
def __add_journal_entry(self, journal_entry_data: JournalEntryData) \
-> None:
def _add_journal_entry(self, journal_entry_data: JournalEntryData) -> None:
"""Adds a journal entry.
:param journal_entry_data: The journal entry data.
@ -313,3 +224,123 @@ class TestData:
for j in range(len(journal_entry.currencies[i].credit)):
journal_entry_data.currencies[i].credit[j].id \
= journal_entry.currencies[i].credit[j].id
def _set_is_need_offset(self, account_codes: set[str],
is_need_offset: bool) -> None:
"""Sets whether the line items in some accounts need offset.
:param account_codes: The account codes.
:param is_need_offset: True if the line items in the accounts need
offset, or False otherwise.
:return:
"""
from accounting.models import Account
with self.app.app_context():
for code in account_codes:
account: Account | None = Account.find_by_code(code)
assert account is not None
account.is_need_offset = is_need_offset
db.session.commit()
class TestData(BaseTestData):
"""The test data."""
def _init_data(self) -> None:
# Receivable original line items
self.l_r_or1d, self.l_r_or1c = self._couple(
"Accountant", "1200", Accounts.RECEIVABLE, Accounts.SERVICE)
self.l_r_or2d, self.l_r_or2c = self._couple(
"Toy", "600", Accounts.RECEIVABLE, Accounts.SALES)
self.l_r_or3d, self.l_r_or3c = self._couple(
"Noodles", "100", Accounts.RECEIVABLE, Accounts.SALES)
self.l_r_or4d, self.l_r_or4c = self._couple(
"Interest", "3.4", Accounts.RECEIVABLE, Accounts.INTEREST)
# Payable original line items
self.l_p_or1d, self.l_p_or1c = self._couple(
"Airplane", "2000", Accounts.TRAVEL, Accounts.PAYABLE)
self.l_p_or2d, self.l_p_or2c = self._couple(
"Phone", "900", Accounts.OFFICE, Accounts.PAYABLE)
self.l_p_or3d, self.l_p_or3c = self._couple(
"Steak", "120", Accounts.MEAL, Accounts.PAYABLE)
self.l_p_or4d, self.l_p_or4c = self._couple(
"Envelop", "0.9", Accounts.OFFICE, Accounts.PAYABLE)
# Original journal entries
self.j_r_or1: JournalEntryData = JournalEntryData(
50, [CurrencyData("USD", [self.l_r_or1d, self.l_r_or4d],
[self.l_r_or1c, self.l_r_or4c])])
self.j_r_or2: JournalEntryData = JournalEntryData(
30, [CurrencyData("USD", [self.l_r_or2d, self.l_r_or3d],
[self.l_r_or2c, self.l_r_or3c])])
self.j_p_or1: JournalEntryData = JournalEntryData(
40, [CurrencyData("USD", [self.l_p_or1d, self.l_p_or4d],
[self.l_p_or1c, self.l_p_or4c])])
self.j_p_or2: JournalEntryData = JournalEntryData(
20, [CurrencyData("USD", [self.l_p_or2d, self.l_p_or3d],
[self.l_p_or2c, self.l_p_or3c])])
self._add_journal_entry(self.j_r_or1)
self._add_journal_entry(self.j_r_or2)
self._add_journal_entry(self.j_p_or1)
self._add_journal_entry(self.j_p_or2)
# Receivable offset items
self.l_r_of1d, self.l_r_of1c = self._couple(
"Accountant", "500", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of1c.original_line_item = self.l_r_or1d
self.l_r_of2d, self.l_r_of2c = self._couple(
"Accountant", "200", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of2c.original_line_item = self.l_r_or1d
self.l_r_of3d, self.l_r_of3c = self._couple(
"Accountant", "100", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of3c.original_line_item = self.l_r_or1d
self.l_r_of4d, self.l_r_of4c = self._couple(
"Toy", "240", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of4c.original_line_item = self.l_r_or2d
self.l_r_of5d, self.l_r_of5c = self._couple(
"Interest", "3.4", Accounts.CASH, Accounts.RECEIVABLE)
self.l_r_of5c.original_line_item = self.l_r_or4d
# Payable offset items
self.l_p_of1d, self.l_p_of1c = self._couple(
"Airplane", "800", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of1d.original_line_item = self.l_p_or1c
self.l_p_of2d, self.l_p_of2c = self._couple(
"Airplane", "300", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of2d.original_line_item = self.l_p_or1c
self.l_p_of3d, self.l_p_of3c = self._couple(
"Airplane", "100", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of3d.original_line_item = self.l_p_or1c
self.l_p_of4d, self.l_p_of4c = self._couple(
"Phone", "400", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of4d.original_line_item = self.l_p_or2c
self.l_p_of5d, self.l_p_of5c = self._couple(
"Envelop", "0.9", Accounts.PAYABLE, Accounts.CASH)
self.l_p_of5d.original_line_item = self.l_p_or4c
# Offset journal entries
self.j_r_of1: JournalEntryData = JournalEntryData(
25, [CurrencyData("USD", [self.l_r_of1d], [self.l_r_of1c])])
self.j_r_of2: JournalEntryData = JournalEntryData(
20, [CurrencyData("USD",
[self.l_r_of2d, self.l_r_of3d, self.l_r_of4d],
[self.l_r_of2c, self.l_r_of3c, self.l_r_of4c])])
self.j_r_of3: JournalEntryData = JournalEntryData(
15, [CurrencyData("USD", [self.l_r_of5d], [self.l_r_of5c])])
self.j_p_of1: JournalEntryData = JournalEntryData(
15, [CurrencyData("USD", [self.l_p_of1d], [self.l_p_of1c])])
self.j_p_of2: JournalEntryData = JournalEntryData(
10, [CurrencyData("USD",
[self.l_p_of2d, self.l_p_of3d, self.l_p_of4d],
[self.l_p_of2c, self.l_p_of3c, self.l_p_of4c])])
self.j_p_of3: JournalEntryData = JournalEntryData(
5, [CurrencyData("USD", [self.l_p_of5d], [self.l_p_of5c])])
self._add_journal_entry(self.j_r_of1)
self._add_journal_entry(self.j_r_of2)
self._add_journal_entry(self.j_r_of3)
self._add_journal_entry(self.j_p_of1)
self._add_journal_entry(self.j_p_of2)
self._add_journal_entry(self.j_p_of3)