class Account < ApplicationRecord include Syncable include Monetizable validates :name, :balance, :currency, presence: true belongs_to :family belongs_to :institution, optional: true has_many :entries, dependent: :destroy, class_name: "Account::Entry" has_many :transactions, through: :entries, source: :entryable, source_type: "Account::Transaction" has_many :valuations, through: :entries, source: :entryable, source_type: "Account::Valuation" has_many :trades, through: :entries, source: :entryable, source_type: "Account::Trade" has_many :holdings, dependent: :destroy has_many :balances, dependent: :destroy has_many :imports, dependent: :destroy has_many :syncs, dependent: :destroy monetize :balance enum :classification, { asset: "asset", liability: "liability" }, validate: { allow_nil: true } scope :active, -> { where(is_active: true) } scope :assets, -> { where(classification: "asset") } scope :liabilities, -> { where(classification: "liability") } scope :alphabetically, -> { order(:name) } scope :ungrouped, -> { where(institution_id: nil) } delegated_type :accountable, types: Accountable::TYPES, dependent: :destroy delegate :value, :series, to: :accountable class << self def by_group(period: Period.all, currency: Money.default_currency.iso_code) grouped_accounts = { assets: ValueGroup.new("Assets", currency), liabilities: ValueGroup.new("Liabilities", currency) } Accountable.by_classification.each do |classification, types| types.each do |type| group = grouped_accounts[classification.to_sym].add_child_group(type, currency) self.where(accountable_type: type).each do |account| group.add_value_node( account, account.balance_money.exchange_to(currency, fallback_rate: 0), account.series(period: period, currency: currency) ) end end end grouped_accounts end def create_with_optional_start_balance!(attributes:, start_date: nil, start_balance: nil) account = self.new(attributes.except(:accountable_type)) account.accountable = Accountable.from_type(attributes[:accountable_type])&.new # Always build the initial valuation account.entries.build \ date: Date.current, amount: attributes[:balance], currency: account.currency, entryable: Account::Valuation.new # Conditionally build the optional start valuation if start_date.present? && start_balance.present? account.entries.build \ date: start_date, amount: start_balance, currency: account.currency, entryable: Account::Valuation.new end account.save! account end end def alert latest_sync = syncs.latest [ latest_sync&.error, *latest_sync&.warnings ].compact.first end def favorable_direction classification == "asset" ? "up" : "down" end def update_balance!(balance) valuation = entries.account_valuations.find_by(date: Date.current) if valuation valuation.update! amount: balance else entries.create! \ date: Date.current, amount: balance, currency: currency, entryable: Account::Valuation.new end end def holding_qty(security, date: Date.current) entries.account_trades .joins("JOIN account_trades ON account_entries.entryable_id = account_trades.id") .where(account_trades: { security_id: security.id }) .where("account_entries.date <= ?", date) .sum("account_trades.qty") end end