コード例 #1
0
void KInstitutionsView::loadSubAccounts(KMyMoneyAccountTreeItem* parent)
{
  bool showClosedAccounts = kmymoney2->toggleAction("view_show_all_accounts")->isChecked()
      || !KMyMoneyGlobalSettings::hideClosedAccounts();
  const MyMoneyAccount& account = dynamic_cast<const MyMoneyAccount&>(parent->itemObject());
  QValueList<QString>::const_iterator it_a;
  MyMoneyFile* file = MyMoneyFile::instance();
  for(it_a = account.accountList().begin(); it_a != account.accountList().end(); ++it_a) {
    MyMoneyAccount acc = m_accountMap[(*it_a)];
    if(!acc.isInvest())
      continue;
    if(acc.isClosed() && !showClosedAccounts)
      continue;
    const MyMoneySecurity& security = m_securityMap[acc.currencyId()];
    QValueList<MyMoneyPrice> prices;
    prices += file->price(acc.currencyId(), security.tradingCurrency());
    if(security.tradingCurrency() != file->baseCurrency().id()) {
      MyMoneySecurity sec = m_securityMap[security.tradingCurrency()];
      prices += file->price(sec.id(), file->baseCurrency().id());
    }
    KMyMoneyAccountTreeItem* item = new KMyMoneyAccountTreeItem(parent, acc, prices, security);
    if(acc.id() == m_reconciliationAccount.id())
      item->setReconciliation(true);
  }
}
コード例 #2
0
ファイル: kforecastview.cpp プロジェクト: KDE/kmymoney
void KForecastView::loadAccounts(MyMoneyForecast& forecast, const MyMoneyAccount& account, QTreeWidgetItem* parentItem, int forecastType)
{
  QMap<QString, QString> nameIdx;
  QStringList accList;
  MyMoneyFile* file = MyMoneyFile::instance();
  QTreeWidgetItem *forecastItem = 0;

  //Get all accounts of the right type to calculate forecast
  accList = account.accountList();

  if (accList.size() == 0)
    return;

  QStringList::ConstIterator accList_t;
  for (accList_t = accList.constBegin(); accList_t != accList.constEnd(); ++accList_t) {
    MyMoneyAccount subAccount = file->account(*accList_t);
    //only add the account if it is a forecast account or the parent of a forecast account
    if (includeAccount(forecast, subAccount)) {
      nameIdx[subAccount.id()] = subAccount.id();
    }
  }

  QMap<QString, QString>::ConstIterator it_nc;
  for (it_nc = nameIdx.constBegin(); it_nc != nameIdx.constEnd(); ++it_nc) {

    const MyMoneyAccount subAccount = file->account(*it_nc);
    MyMoneySecurity currency;
    if (subAccount.isInvest()) {
      MyMoneySecurity underSecurity = file->security(subAccount.currencyId());
      currency = file->security(underSecurity.tradingCurrency());
    } else {
      currency = file->security(subAccount.currencyId());
    }

    forecastItem = new QTreeWidgetItem(parentItem);
    forecastItem->setText(0, subAccount.name());
    forecastItem->setIcon(0, subAccount.accountPixmap());
    forecastItem->setData(0, ForecastRole, QVariant::fromValue(forecast));
    forecastItem->setData(0, AccountRole, QVariant::fromValue(subAccount));
    forecastItem->setExpanded(true);

    switch (forecastType) {
      case eSummary:
        updateSummary(forecastItem);
        break;
      case eDetailed:
        updateDetailed(forecastItem);
        break;
      case eBudget:
        updateBudget(forecastItem);
        break;
      default:
        break;
    }

    loadAccounts(forecast, subAccount, forecastItem, forecastType);
  }
}
コード例 #3
0
ファイル: kforecastview.cpp プロジェクト: KDE/kmymoney
void KForecastView::updateSummary(QTreeWidgetItem *item)
{
  MyMoneyMoney amountMM;
  int it_c = 1; // iterator for the columns of the listview
  MyMoneyFile* file = MyMoneyFile::instance();
  int daysToBeginDay;

  MyMoneyForecast forecast = item->data(0, ForecastRole).value<MyMoneyForecast>();

  if (QDate::currentDate() < forecast.beginForecastDate()) {
    daysToBeginDay = QDate::currentDate().daysTo(forecast.beginForecastDate());
  } else {
    daysToBeginDay = forecast.accountsCycle();
  }

  MyMoneyAccount account = item->data(0, AccountRole).value<MyMoneyAccount>();
  MyMoneySecurity currency;
  if (account.isInvest()) {
    MyMoneySecurity underSecurity = file->security(account.currencyId());
    currency = file->security(underSecurity.tradingCurrency());
  } else {
    currency = file->security(account.currencyId());
  }


  //add current balance column
  QDate summaryDate = QDate::currentDate();
  amountMM = forecast.forecastBalance(account, summaryDate);

  //calculate the balance in base currency for the total row
  setAmount(item, it_c, amountMM);
  setValue(item, it_c, amountMM, summaryDate);
  showAmount(item, it_c, amountMM, currency);
  it_c++;

  //iterate through all other columns
  for (QDate summaryDate = QDate::currentDate().addDays(daysToBeginDay); summaryDate <= forecast.forecastEndDate(); summaryDate = summaryDate.addDays(forecast.accountsCycle()), ++it_c) {
    amountMM = forecast.forecastBalance(account, summaryDate);

    //calculate the balance in base currency for the total row
    setAmount(item, it_c, amountMM);
    setValue(item, it_c, amountMM, summaryDate);
    showAmount(item, it_c, amountMM, currency);
  }
  //calculate and add variation per cycle
  setNegative(item, forecast.accountTotalVariation(account).isNegative());
  setAmount(item, it_c, forecast.accountTotalVariation(account));
  setValue(item, it_c, forecast.accountTotalVariation(account), forecast.forecastEndDate());
  showAmount(item, it_c, forecast.accountTotalVariation(account), currency);
}
コード例 #4
0
QString makeAccount( const QString& _name, MyMoneyAccount::accountTypeE _type, MyMoneyMoney _balance, const QDate& _open, const QString& _parent, QString _currency, bool _taxReport )
{
  MyMoneyAccount info;
  MyMoneyFileTransaction ft;

  info.setName(_name);
  info.setAccountType(_type);
  info.setOpeningDate(_open);
  if ( _currency != "" )
    info.setCurrencyId(_currency);
  else
    info.setCurrencyId(MyMoneyFile::instance()->baseCurrency().id());

  if(_taxReport)
    info.setValue("Tax", "Yes");

  MyMoneyAccount parent = MyMoneyFile::instance()->account(_parent);
  MyMoneyFile::instance()->addAccount( info, parent );
  // create the opening balance transaction if any
  if(!_balance.isZero()) {
    MyMoneySecurity sec = MyMoneyFile::instance()->currency(info.currencyId());
    MyMoneyFile::instance()->openingBalanceAccount(sec);
    MyMoneyFile::instance()->createOpeningBalanceTransaction(info, _balance);
  }
  ft.commit();

  return info.id();
}
コード例 #5
0
void MyMoneyStorageDump::dumpTransaction(QTextStream& s, IMyMoneyStorage* storage, const MyMoneyTransaction& it_t)
{
  s << "  ID = " << it_t.id() << "\n";
  s << "  Postdate  = " << it_t.postDate().toString(Qt::ISODate) << "\n";
  s << "  EntryDate = " << it_t.entryDate().toString(Qt::ISODate) << "\n";
  s << "  Commodity = [" << it_t.commodity() << "]\n";
  s << "  Memo = " << it_t.memo() << "\n";
  s << "  BankID = " << it_t.bankID() << "\n";
  dumpKVP("KVP:", s, it_t, 2);

  s << "  Splits\n";
  s << "  ------\n";
  QList<MyMoneySplit>::ConstIterator it_s;
  for (it_s = it_t.splits().constBegin(); it_s != it_t.splits().constEnd(); ++it_s) {
    s << "   ID = " << (*it_s).id() << "\n";
    s << "    Transaction = " << (*it_s).transactionId() << "\n";
    s << "    Payee = " << (*it_s).payeeId();
    if (!(*it_s).payeeId().isEmpty()) {
      MyMoneyPayee p = storage->payee((*it_s).payeeId());
      s << " (" << p.name() << ")" << "\n";
    } else
      s << " ()\n";
    for (int i = 0; i < (*it_s).tagIdList().size(); i++) {
      s << "    Tag = " << (*it_s).tagIdList()[i];
      if (!(*it_s).tagIdList()[i].isEmpty()) {
        MyMoneyTag ta = storage->tag((*it_s).tagIdList()[i]);
        s << " (" << ta.name() << ")" << "\n";
      } else
        s << " ()\n";
    }
    s << "    Account = " << (*it_s).accountId();
    MyMoneyAccount acc;
    try {
      acc = storage->account((*it_s).accountId());
      s << " (" << acc.name() << ") [" << acc.currencyId() << "]\n";
    } catch (const MyMoneyException &) {
      s << " (---) [---]\n";
    }
    s << "    Memo = " << (*it_s).memo() << "\n";
    if ((*it_s).value() == MyMoneyMoney::autoCalc)
      s << "    Value = will be calculated" << "\n";
    else
      s << "    Value = " << (*it_s).value().formatMoney("", 2)
      << " (" << (*it_s).value().toString() << ")\n";
    s << "    Shares = " << (*it_s).shares().formatMoney("", 2)
    << " (" << (*it_s).shares().toString() << ")\n";
    s << "    Action = '" << (*it_s).action() << "'\n";
    s << "    Nr = '" << (*it_s).number() << "'\n";
    s << "    ReconcileFlag = '" << reconcileToString((*it_s).reconcileFlag()) << "'\n";
    if ((*it_s).reconcileFlag() != MyMoneySplit::NotReconciled) {
      s << "    ReconcileDate = " << (*it_s).reconcileDate().toString(Qt::ISODate) << "\n";
    }
    s << "    BankID = " << (*it_s).bankID() << "\n";
    dumpKVP("KVP:", s, (*it_s), 4);
    s << "\n";
  }
  s << "\n";
}
コード例 #6
0
ファイル: kforecastview.cpp プロジェクト: KDE/kmymoney
void KForecastView::updateBudget(QTreeWidgetItem *item)
{
  MyMoneySecurity currency;
  MyMoneyMoney tAmountMM;

  MyMoneyForecast forecast = item->data(0, ForecastRole).value<MyMoneyForecast>();

  MyMoneyFile* file = MyMoneyFile::instance();
  int it_c = 1; // iterator for the columns of the listview
  QDate forecastDate = forecast.forecastStartDate();

  MyMoneyAccount account = item->data(0, AccountRole).value<MyMoneyAccount>();

  if (account.isInvest()) {
    MyMoneySecurity underSecurity = file->security(account.currencyId());
    currency = file->security(underSecurity.tradingCurrency());
  } else {
    currency = file->security(account.currencyId());
  }

  //iterate columns
  for (; forecastDate <= forecast.forecastEndDate(); forecastDate = forecastDate.addMonths(1), ++it_c) {
    MyMoneyMoney amountMM;
    amountMM = forecast.forecastBalance(account, forecastDate);
    if (account.accountType() == MyMoneyAccount::Expense)
      amountMM = -amountMM;

    tAmountMM += amountMM;
    setAmount(item, it_c, amountMM);
    setValue(item, it_c, amountMM, forecastDate);
    showAmount(item, it_c, amountMM, currency);
  }

  //set total column
  setAmount(item, it_c, tAmountMM);
  setValue(item, it_c, tAmountMM, forecast.forecastEndDate());
  showAmount(item, it_c, tAmountMM, currency);
}
コード例 #7
0
ファイル: kforecastview.cpp プロジェクト: KDE/kmymoney
QList<MyMoneyPrice> KForecastView::getAccountPrices(const MyMoneyAccount& acc)
{
  MyMoneyFile* file = MyMoneyFile::instance();
  QList<MyMoneyPrice> prices;
  MyMoneySecurity security = file->baseCurrency();
  try {
    if (acc.isInvest()) {
      security = file->security(acc.currencyId());
      if (security.tradingCurrency() != file->baseCurrency().id()) {
        MyMoneySecurity sec = file->security(security.tradingCurrency());
        prices += file->price(sec.id(), file->baseCurrency().id());
      }
    } else if (acc.currencyId() != file->baseCurrency().id()) {
      if (acc.currencyId() != file->baseCurrency().id()) {
        security = file->security(acc.currencyId());
        prices += file->price(acc.currencyId(), file->baseCurrency().id());
      }
    }

  } catch (const MyMoneyException &e) {
    qDebug() << Q_FUNC_INFO << " caught exception while adding " << acc.name() << "[" << acc.id() << "]: " << e.what();
  }
  return prices;
}
コード例 #8
0
ファイル: kforecastview.cpp プロジェクト: KDE/kmymoney
void KForecastView::updateDetailed(QTreeWidgetItem *item)
{
  QString amount;
  QString vAmount;
  MyMoneyMoney vAmountMM;
  MyMoneyFile* file = MyMoneyFile::instance();

  MyMoneyAccount account = item->data(0, AccountRole).value<MyMoneyAccount>();

  MyMoneySecurity currency;
  if (account.isInvest()) {
    MyMoneySecurity underSecurity = file->security(account.currencyId());
    currency = file->security(underSecurity.tradingCurrency());
  } else {
    currency = file->security(account.currencyId());
  }

  int it_c = 1; // iterator for the columns of the listview

  MyMoneyForecast forecast = item->data(0, ForecastRole).value<MyMoneyForecast>();

  for (QDate forecastDate = QDate::currentDate(); forecastDate <= forecast.forecastEndDate(); ++it_c, forecastDate = forecastDate.addDays(1)) {
    MyMoneyMoney amountMM = forecast.forecastBalance(account, forecastDate);

    //calculate the balance in base currency for the total row
    setAmount(item, it_c, amountMM);
    setValue(item, it_c, amountMM, forecastDate);
    showAmount(item, it_c, amountMM, currency);
  }

  //calculate and add variation per cycle
  vAmountMM = forecast.accountTotalVariation(account);
  setAmount(item, it_c, vAmountMM);
  setValue(item, it_c, vAmountMM, forecast.forecastEndDate());
  showAmount(item, it_c, vAmountMM, currency);
}
コード例 #9
0
ファイル: kforecastview.cpp プロジェクト: KDE/kmymoney
void KForecastView::setValue(QTreeWidgetItem* item, int column, const MyMoneyMoney& amount, const QDate& forecastDate)
{
  MyMoneyAccount account = item->data(0, AccountRole).value<MyMoneyAccount>();
  //calculate the balance in base currency for the total row
  if (account.currencyId() != MyMoneyFile::instance()->baseCurrency().id()) {
    ReportAccount repAcc = ReportAccount(account.id());
    MyMoneyMoney curPrice = repAcc.baseCurrencyPrice(forecastDate);
    MyMoneyMoney baseAmountMM = amount * curPrice;
    MyMoneyMoney value = baseAmountMM.convert(MyMoneyFile::instance()->baseCurrency().smallestAccountFraction());
    item->setData(column, ValueRole, QVariant::fromValue(value));
    adjustParentValue(item->parent(), column, value);
  } else {
    item->setData(column, ValueRole, QVariant::fromValue(item->data(column, ValueRole).value<MyMoneyMoney>() + amount));
    adjustParentValue(item->parent(), column, amount);
  }
}
コード例 #10
0
void MyMoneyForecast::doFutureScheduledForecast(void)
{
  MyMoneyFile* file = MyMoneyFile::instance();

  if(isIncludingFutureTransactions())
    addFutureTransactions();

  if(isIncludingScheduledTransactions())
    addScheduledTransactions();

  //do not show accounts with no transactions
  if(!isIncludingUnusedAccounts())
    purgeForecastAccountsList(m_accountList);

  //adjust value of investments to deep currency
  QMap<QString, QString>::ConstIterator it_n;
  for ( it_n = m_nameIdx.begin(); it_n != m_nameIdx.end(); ++it_n ) {
    MyMoneyAccount acc = file->account ( *it_n );

    if ( acc.isInvest() ) {
      //get the id of the security for that account
      MyMoneySecurity undersecurity = file->security ( acc.currencyId() );

      //only do it if the security is not an actual currency
      if ( ! undersecurity.isCurrency() )
      {
        //set the default value
        MyMoneyMoney rate = MyMoneyMoney ( 1, 1 );
        MyMoneyPrice price;

        for (QDate it_day = QDate::currentDate(); it_day <= forecastEndDate(); ) {
          //get the price for the tradingCurrency that day
          price = file->price ( undersecurity.id(), undersecurity.tradingCurrency(), it_day );
          if ( price.isValid() )
          {
            rate = price.rate ( undersecurity.tradingCurrency() );
          }
          //value is the amount of shares multiplied by the rate of the deep currency
          m_accountList[acc.id() ][it_day] = m_accountList[acc.id() ][it_day] * rate;
          it_day = it_day.addDays(1);
        }
      }
    }
  }
}
コード例 #11
0
ファイル: csvutil.cpp プロジェクト: CGenie/kmymoney
void CsvUtil::dissectTransaction(const MyMoneyTransaction& transaction, const MyMoneySplit& split, MyMoneySplit& assetAccountSplit, QList<MyMoneySplit>& feeSplits, QList<MyMoneySplit>& interestSplits, MyMoneySecurity& security, MyMoneySecurity& currency, MyMoneySplit::investTransactionTypeE& transactionType)
{
  // collect the splits. split references the stock account and should already
  // be set up. assetAccountSplit references the corresponding asset account (maybe
  // empty), feeSplits is the list of all expenses and interestSplits
  // the list of all incomes
  MyMoneyFile* file = MyMoneyFile::instance();
  QList<MyMoneySplit>::ConstIterator it_s;
  for (it_s = transaction.splits().constBegin(); it_s != transaction.splits().constEnd(); ++it_s) {
    MyMoneyAccount acc = file->account((*it_s).accountId());
    if ((*it_s).id() == split.id()) {
      security = file->security(acc.currencyId());
    } else if (acc.accountGroup() == MyMoneyAccount::Expense) {
      feeSplits.append(*it_s);
    } else if (acc.accountGroup() == MyMoneyAccount::Income) {
      interestSplits.append(*it_s);
    } else {
      assetAccountSplit = *it_s;
    }
  }

  // determine transaction type
  if (split.action() == MyMoneySplit::ActionAddShares) {
    transactionType = (!split.shares().isNegative()) ? MyMoneySplit::AddShares : MyMoneySplit::RemoveShares;
  } else if (split.action() == MyMoneySplit::ActionBuyShares) {
    transactionType = (!split.value().isNegative()) ? MyMoneySplit::BuyShares : MyMoneySplit::SellShares;
  } else if (split.action() == MyMoneySplit::ActionDividend) {
    transactionType = MyMoneySplit::Dividend;
  } else if (split.action() == MyMoneySplit::ActionReinvestDividend) {
    transactionType = MyMoneySplit::ReinvestDividend;
  } else if (split.action() == MyMoneySplit::ActionYield) {
    transactionType = MyMoneySplit::Yield;
  } else if (split.action() == MyMoneySplit::ActionSplitShares) {
    transactionType = MyMoneySplit::SplitShares;
  } else if (split.action() == MyMoneySplit::ActionInterestIncome) {
    transactionType = MyMoneySplit::InterestIncome;
  } else
    transactionType = MyMoneySplit::BuyShares;

  currency.setTradingSymbol("???");
  try {
    currency = file->security(transaction.commodity());
  } catch (const MyMoneyException &) {
  }
}
コード例 #12
0
ファイル: csvutil.cpp プロジェクト: CGenie/kmymoney
QString CsvUtil::nameToId(const QString& name, MyMoneyAccount& parent)
{
  //  Adapted from KMyMoneyApp::createAccount(MyMoneyAccount& newAccount, MyMoneyAccount& parentAccount, MyMoneyAccount& brokerageAccount, MyMoneyMoney openingBal)
  //  Needed to find/create category:sub-categories
  MyMoneyFile* file = MyMoneyFile::instance();

  QString id = file->categoryToAccount(name, MyMoneyAccount::UnknownAccountType);
  // if it does not exist, we have to create it
  if (id.isEmpty()) {
    MyMoneyAccount newAccount;
    MyMoneyAccount parentAccount = parent;
    newAccount.setName(name) ;
    int pos;
    // check for ':' in the name and use it as separator for a hierarchy
    while ((pos = newAccount.name().indexOf(MyMoneyFile::AccountSeperator)) != -1) {
      QString part = newAccount.name().left(pos);
      QString remainder = newAccount.name().mid(pos + 1);
      const MyMoneyAccount& existingAccount = file->subAccountByName(parentAccount, part);
      if (existingAccount.id().isEmpty()) {
        newAccount.setName(part);
        newAccount.setAccountType(parentAccount.accountType());
        file->addAccount(newAccount, parentAccount);
        parentAccount = newAccount;
      } else {
        parentAccount = existingAccount;
      }
      newAccount.setParentAccountId(QString());  // make sure, there's no parent
      newAccount.clearId();                       // and no id set for adding
      newAccount.removeAccountIds();              // and no sub-account ids
      newAccount.setName(remainder);
    }//end while
    newAccount.setAccountType(parentAccount.accountType());

    // make sure we have a currency. If none is assigned, we assume base currency
    if (newAccount.currencyId().isEmpty())
      newAccount.setCurrencyId(file->baseCurrency().id());

    file->addAccount(newAccount, parentAccount);
    id = newAccount.id();
  }
  return id;
}
コード例 #13
0
ファイル: csvutil.cpp プロジェクト: CGenie/kmymoney
void CsvUtil::scanCategories(QString& id, const MyMoneyAccount& invAcc, const MyMoneyAccount& parentAccount, const QString& defaultName)
{
  if (!m_scannedCategories) {
    previouslyUsedCategories(invAcc.id(), m_feeId, m_interestId);
    m_scannedCategories = true;
  }

  if (id.isEmpty()) {
    MyMoneyFile* file = MyMoneyFile::instance();
    MyMoneyAccount acc = file->accountByName(defaultName);
    // if it does not exist, we have to create it
    if (acc.id().isEmpty()) {
      MyMoneyAccount parent = parentAccount;
      acc.setName(defaultName);
      acc.setAccountType(parent.accountType());
      acc.setCurrencyId(parent.currencyId());
      file->addAccount(acc, parent);
    }
    id = acc.id();
  }
}
コード例 #14
0
ファイル: knewloanwizard.cpp プロジェクト: CGenie/kmymoney
MyMoneyTransaction KNewLoanWizard::transaction() const
{
  MyMoneyTransaction t;
  bool hasInterest = !field("interestRateEdit").value<MyMoneyMoney>().isZero();

  MyMoneySplit sPayment, sInterest, sAmortization;
  // setup accounts. at this point, we cannot fill in the id of the
  // account that the amortization will be performed on, because we
  // create the account. So the id is yet unknown.
  sPayment.setAccountId(field("paymentAccountEdit").toStringList().first());


  //Only create the interest split if not zero
  if (hasInterest) {
    sInterest.setAccountId(field("interestAccountEdit").toStringList().first());
    sInterest.setValue(MyMoneyMoney::autoCalc);
    sInterest.setShares(sInterest.value());
    sInterest.setAction(MyMoneySplit::ActionInterest);
  }

  // values
  if (field("borrowButton").toBool()) {
    sPayment.setValue(-field("paymentEdit").value<MyMoneyMoney>());
  } else {
    sPayment.setValue(field("paymentEdit").value<MyMoneyMoney>());
  }

  sAmortization.setValue(MyMoneyMoney::autoCalc);
  // don't forget the shares
  sPayment.setShares(sPayment.value());

  sAmortization.setShares(sAmortization.value());

  // setup the commodity
  MyMoneyAccount acc = MyMoneyFile::instance()->account(sPayment.accountId());
  t.setCommodity(acc.currencyId());

  // actions
  sPayment.setAction(MyMoneySplit::ActionAmortization);
  sAmortization.setAction(MyMoneySplit::ActionAmortization);

  // payee
  QString payeeId = field("payeeEdit").toString();
  sPayment.setPayeeId(payeeId);
  sAmortization.setPayeeId(payeeId);

  MyMoneyAccount account("Phony-ID", MyMoneyAccount());
  sAmortization.setAccountId(account.id());

  // IMPORTANT: Payment split must be the first one, because
  //            the schedule view expects it this way during display
  t.addSplit(sPayment);
  t.addSplit(sAmortization);

  if (hasInterest) {
    t.addSplit(sInterest);
  }

  // copy the splits from the other costs and update the payment split
  foreach (const MyMoneySplit& it, m_transaction.splits()) {
    if (it.accountId() != account.id()) {
      MyMoneySplit sp = it;
      sp.clearId();
      t.addSplit(sp);
      sPayment.setValue(sPayment.value() - sp.value());
      sPayment.setShares(sPayment.value());
      t.modifySplit(sPayment);
    }
  }
  return t;
}
コード例 #15
0
void InvTransactionHelper::init( const QDate& _date, const QString& _action, MyMoneyMoney _shares, MyMoneyMoney _price, const QString& _stockaccountid, const QString& _transferid, const QString& _categoryid )
{
  MyMoneyFile* file = MyMoneyFile::instance();
  MyMoneyAccount stockaccount = file->account(_stockaccountid);
  MyMoneyMoney value = _shares * _price;

  setPostDate(_date);

  setCommodity("USD");
  MyMoneySplit s1;
  s1.setValue(value);
  s1.setAccountId(_stockaccountid);

  if ( _action == MyMoneySplit::ActionReinvestDividend )
  {
    s1.setShares(_shares);
    s1.setAction(MyMoneySplit::ActionReinvestDividend);

    MyMoneySplit s2;
    s2.setAccountId(_categoryid);
    s2.setShares(-value);
    s2.setValue(-value);
    addSplit(s2);
  }
  else if ( _action == MyMoneySplit::ActionDividend || _action == MyMoneySplit::ActionYield )
  {
    s1.setAccountId(_categoryid);
    s1.setShares(-value);
    s1.setValue(-value);

    // Split 2 will be the zero-amount investment split that serves to
    // mark this transaction as a cash dividend and note which stock account
    // it belongs to.
    MyMoneySplit s2;
    s2.setValue(0);
    s2.setShares(0);
    s2.setAction(_action);
    s2.setAccountId(_stockaccountid);
    addSplit(s2);

    MyMoneySplit s3;
    s3.setAccountId(_transferid);
    s3.setShares(value);
    s3.setValue(value);
    addSplit(s3);
  }
  else if ( _action == MyMoneySplit::ActionBuyShares )
  {
    s1.setShares(_shares);
    s1.setAction(MyMoneySplit::ActionBuyShares);

    MyMoneySplit s3;
    s3.setAccountId(_transferid);
    s3.setShares(-value);
    s3.setValue(-value);
    addSplit(s3);
  }
  addSplit(s1);

  //kdDebug(2) << "created transaction, now adding..." << endl;

  MyMoneyFileTransaction ft;
  file->addTransaction(*this);

  //kdDebug(2) << "updating price..." << endl;

  // update the price, while we're here
  QString stockid = stockaccount.currencyId();
  QString basecurrencyid = file->baseCurrency().id();
  MyMoneyPrice price = file->price( stockid, basecurrencyid, _date, true );
  if ( !price.isValid() )
  {
    MyMoneyPrice newprice( stockid, basecurrencyid, _date, _price, "test" );
    file->addPrice(newprice);
  }
  ft.commit();
  //kdDebug(2) << "successfully added " << id() << endl;
}
コード例 #16
0
void MyMoneyForecast::setStartingBalance(const MyMoneyAccount &acc)
{
  MyMoneyFile* file = MyMoneyFile::instance();

  //Get current account balance
  if ( acc.isInvest() ) { //investments require special treatment
    //get the security id of that account
    MyMoneySecurity undersecurity = file->security ( acc.currencyId() );

    //only do it if the security is not an actual currency
    if ( ! undersecurity.isCurrency() )
    {
      //set the default value
      MyMoneyMoney rate = MyMoneyMoney ( 1, 1 );
        //get te
      MyMoneyPrice price = file->price ( undersecurity.id(), undersecurity.tradingCurrency(), QDate::currentDate() );
      if ( price.isValid() )
      {
        rate = price.rate ( undersecurity.tradingCurrency() );
      }
      m_accountList[acc.id()][QDate::currentDate()] = file->balance(acc.id(), QDate::currentDate()) * rate;
    }
  } else {
    m_accountList[acc.id()][QDate::currentDate()] = file->balance(acc.id(), QDate::currentDate());
  }

  //if the method is linear regression, we have to add the opening balance to m_accountListPast
  if(forecastMethod() == eHistoric && historyMethod() == 2) {
    //FIXME workaround for stock opening dates
    QDate openingDate;
    if(acc.accountType() == MyMoneyAccount::Stock) {
      MyMoneyAccount parentAccount = file->account(acc.parentAccountId());
      openingDate = parentAccount.openingDate();
    } else {
      openingDate = acc.openingDate();
    }

    //add opening balance only if it opened after the history start
    if(openingDate >= historyStartDate()) {

      MyMoneyMoney openingBalance;

      openingBalance = file->balance(acc.id(), openingDate);

      //calculate running sum
      for(QDate it_date = openingDate; it_date <= historyEndDate(); it_date = it_date.addDays(1) ) {
        //investments require special treatment
        if ( acc.isInvest() ) {
          //get the security id of that account
          MyMoneySecurity undersecurity = file->security ( acc.currencyId() );

          //only do it if the security is not an actual currency
          if ( ! undersecurity.isCurrency() )
          {
            //set the default value
            MyMoneyMoney rate = MyMoneyMoney ( 1, 1 );

            //get the rate for that specific date
            MyMoneyPrice price = file->price ( undersecurity.id(), undersecurity.tradingCurrency(), it_date );
            if ( price.isValid() )
            {
              rate = price.rate ( undersecurity.tradingCurrency() );
            }
            m_accountListPast[acc.id()][it_date] += openingBalance * rate;
          }
        } else {
          m_accountListPast[acc.id()][it_date] += openingBalance;
        }
      }
    }
  }
}
コード例 #17
0
void MyMoneyForecast::pastTransactions()
{
  MyMoneyFile* file = MyMoneyFile::instance();
  MyMoneyTransactionFilter filter;

  filter.setDateFilter(historyStartDate(), historyEndDate());
  filter.setReportAllSplits(false);

  QValueList<MyMoneyTransaction> transactions = file->transactionList(filter);
  QValueList<MyMoneyTransaction>::const_iterator it_t = transactions.begin();

  //Check past transactions
  for(; it_t != transactions.end(); ++it_t ) {
    const QValueList<MyMoneySplit>& splits = (*it_t).splits();
    QValueList<MyMoneySplit>::const_iterator it_s = splits.begin();
    for(; it_s != splits.end(); ++it_s ) {
      if(!(*it_s).shares().isZero()) {
        MyMoneyAccount acc = file->account((*it_s).accountId());

        //workaround for stock accounts which have faulty opening dates
        QDate openingDate;
        if(acc.accountType() == MyMoneyAccount::Stock) {
          MyMoneyAccount parentAccount = file->account(acc.parentAccountId());
          openingDate = parentAccount.openingDate();
        } else {
          openingDate = acc.openingDate();
        }

        if(isForecastAccount(acc) //If it is one of the accounts we are checking, add the amount of the transaction
           && ( (openingDate < (*it_t).postDate() && skipOpeningDate())
           || !skipOpeningDate() ) ){ //don't take the opening day of the account to calculate balance
          dailyBalances balance;
          //FIXME deal with leap years
          balance = m_accountListPast[acc.id()];
          if(acc.accountType() == MyMoneyAccount::Income) {//if it is income, the balance is stored as negative number
            balance[(*it_t).postDate()] += ((*it_s).shares() * MyMoneyMoney(-1, 1));
          } else {
            balance[(*it_t).postDate()] += (*it_s).shares();
          }
          // check if this is a new account for us
          m_accountListPast[acc.id()] = balance;
        }
      }
    }
  }

  //purge those accounts with no transactions on the period
  if(isIncludingUnusedAccounts() == false)
    purgeForecastAccountsList(m_accountListPast);

  //calculate running sum
  QMap<QString, QString>::Iterator it_n;
  for(it_n = m_nameIdx.begin(); it_n != m_nameIdx.end(); ++it_n) {
    MyMoneyAccount acc = file->account(*it_n);
    m_accountListPast[acc.id()][historyStartDate().addDays(-1)] = file->balance(acc.id(), historyStartDate().addDays(-1));
    for(QDate it_date = historyStartDate(); it_date <= historyEndDate(); ) {
      m_accountListPast[acc.id()][it_date] += m_accountListPast[acc.id()][it_date.addDays(-1)]; //Running sum
      it_date = it_date.addDays(1);
    }
  }

  //adjust value of investments to deep currency
  for ( it_n = m_nameIdx.begin(); it_n != m_nameIdx.end(); ++it_n ) {
    MyMoneyAccount acc = file->account ( *it_n );

    if ( acc.isInvest() ) {
      //get the id of the security for that account
      MyMoneySecurity undersecurity = file->security ( acc.currencyId() );
      if ( ! undersecurity.isCurrency() ) //only do it if the security is not an actual currency
      {
        MyMoneyMoney rate = MyMoneyMoney ( 1, 1 ); //set the default value
        MyMoneyPrice price;

        for ( QDate it_date = historyStartDate().addDays(-1) ; it_date <= historyEndDate();) {
          //get the price for the tradingCurrency that day
          price = file->price ( undersecurity.id(), undersecurity.tradingCurrency(), it_date );
          if ( price.isValid() )
          {
            rate = price.rate ( undersecurity.tradingCurrency() );
          }
          //value is the amount of shares multiplied by the rate of the deep currency
          m_accountListPast[acc.id() ][it_date] = m_accountListPast[acc.id() ][it_date] * rate;
          it_date = it_date.addDays(1);
        }
      }
    }
  }
}
コード例 #18
0
ファイル: kendingbalancedlg.cpp プロジェクト: KDE/kmymoney
KEndingBalanceDlg::KEndingBalanceDlg(const MyMoneyAccount& account, QWidget *parent) :
    KEndingBalanceDlgDecl(parent),
    d(new Private(Page_InterestChargeCheckings + 1))
{
  setModal(true);
  QString value;
  MyMoneyMoney endBalance, startBalance;

  d->m_account = account;

  MyMoneySecurity currency = MyMoneyFile::instance()->security(account.currencyId());
  //FIXME: port
  m_statementInfoPageCheckings->m_enterInformationLabel->setText(QString("<qt>") + i18n("Please enter the following fields with the information as you find them on your statement. Make sure to enter all values in <b>%1</b>.", currency.name()) + QString("</qt>"));

  // If the previous reconciliation was postponed,
  // we show a different first page
  value = account.value("lastReconciledBalance");
  if (value.isEmpty()) {
    // if the last statement has been entered long enough ago (more than one month),
    // then take the last statement date and add one month and use that as statement
    // date.
    QDate lastStatementDate = account.lastReconciliationDate();
    if (lastStatementDate.addMonths(1) < QDate::currentDate()) {
      setField("statementDate", lastStatementDate.addMonths(1));
    }

    slotUpdateBalances();

    d->m_pages.clearBit(Page_PreviousPostpone);
  } else {
    d->m_pages.clearBit(Page_CheckingStart);
    d->m_pages.clearBit(Page_InterestChargeCheckings);
    //removePage(m_interestChargeCheckings);
    // make sure, we show the correct start page
    setStartId(Page_PreviousPostpone);

    MyMoneyMoney factor(1, 1);
    if (d->m_account.accountGroup() == MyMoneyAccount::Liability)
      factor = -factor;

    startBalance = MyMoneyMoney(value) * factor;
    value = account.value("statementBalance");
    endBalance = MyMoneyMoney(value) * factor;

    //FIXME: port
    m_statementInfoPageCheckings->m_previousBalance->setValue(startBalance);
    m_statementInfoPageCheckings->m_endingBalance->setValue(endBalance);
  }

  // We don't need to add the default into the list (see ::help() why)
  // m_helpAnchor[m_startPageCheckings] = QString("");
  d->m_helpAnchor[m_interestChargeCheckings] = QString("details.reconcile.wizard.interest");
  d->m_helpAnchor[m_statementInfoPageCheckings] = QString("details.reconcile.wizard.statement");

  value = account.value("statementDate");
  if (!value.isEmpty())
    setField("statementDate", QDate::fromString(value, Qt::ISODate));

  //FIXME: port
  m_statementInfoPageCheckings->m_lastStatementDate->setText(QString());
  if (account.lastReconciliationDate().isValid()) {
    m_statementInfoPageCheckings->m_lastStatementDate->setText(i18n("Last reconciled statement: %1", QLocale().toString(account.lastReconciliationDate())));
  }

  // connect the signals with the slots
  connect(MyMoneyFile::instance(), SIGNAL(dataChanged()), this, SLOT(slotReloadEditWidgets()));
  connect(m_statementInfoPageCheckings->m_statementDate, SIGNAL(dateChanged(QDate)), this, SLOT(slotUpdateBalances()));
  connect(m_interestChargeCheckings->m_interestCategoryEdit, SIGNAL(createItem(QString,QString&)), this, SLOT(slotCreateInterestCategory(QString,QString&)));
  connect(m_interestChargeCheckings->m_chargesCategoryEdit, SIGNAL(createItem(QString,QString&)), this, SLOT(slotCreateChargesCategory(QString,QString&)));
  connect(m_interestChargeCheckings->m_payeeEdit, SIGNAL(createItem(QString,QString&)), this, SIGNAL(createPayee(QString,QString&)));

  KMyMoneyMVCCombo::setSubstringSearchForChildren(m_interestChargeCheckings, !KMyMoneySettings::stringMatchFromStart());

  slotReloadEditWidgets();

  // preset payee if possible
  try {
    // if we find a payee with the same name as the institution,
    // than this is what we use as payee.
    if (!d->m_account.institutionId().isEmpty()) {
      MyMoneyInstitution inst = MyMoneyFile::instance()->institution(d->m_account.institutionId());
      MyMoneyPayee payee = MyMoneyFile::instance()->payeeByName(inst.name());
      setField("payeeEdit", payee.id());
    }
  } catch (const MyMoneyException &) {
  }

  KMyMoneyUtils::updateWizardButtons(this);

  // setup different text and icon on finish button
  setButtonText(QWizard::FinishButton, KStandardGuiItem::cont().text());
  button(QWizard::FinishButton)->setIcon(KStandardGuiItem::cont().icon());
}
コード例 #19
0
ファイル: ktagsview.cpp プロジェクト: KDE/kmymoney
void KTagsView::showTransactions()
{
  MyMoneyMoney balance;
  MyMoneyFile *file = MyMoneyFile::instance();
  MyMoneySecurity base = file->baseCurrency();

  // setup sort order
  m_register->setSortOrder(KMyMoneyGlobalSettings::sortSearchView());

  // clear the register
  m_register->clear();

  if (m_tag.id().isEmpty() || !m_tabWidget->isEnabled()) {
    m_balanceLabel->setText(i18n("Balance: %1", balance.formatMoney(file->baseCurrency().smallestAccountFraction())));
    return;
  }

  // setup the list and the pointer vector
  MyMoneyTransactionFilter filter;
  filter.addTag(m_tag.id());
  filter.setDateFilter(KMyMoneyGlobalSettings::startDate().date(), QDate());

  // retrieve the list from the engine
  file->transactionList(m_transactionList, filter);

  // create the elements for the register
  QList<QPair<MyMoneyTransaction, MyMoneySplit> >::const_iterator it;
  QMap<QString, int> uniqueMap;
  MyMoneyMoney deposit, payment;

  int splitCount = 0;
  bool balanceAccurate = true;
  for (it = m_transactionList.constBegin(); it != m_transactionList.constEnd(); ++it) {
    const MyMoneySplit& split = (*it).second;
    MyMoneyAccount acc = file->account(split.accountId());
    ++splitCount;
    uniqueMap[(*it).first.id()]++;

    KMyMoneyRegister::Register::transactionFactory(m_register, (*it).first, (*it).second, uniqueMap[(*it).first.id()]);

    // take care of foreign currencies
    MyMoneyMoney val = split.shares().abs();
    if (acc.currencyId() != base.id()) {
      const MyMoneyPrice &price = file->price(acc.currencyId(), base.id());
      // in case the price is valid, we use it. Otherwise, we keep
      // a flag that tells us that the balance is somewhat inaccurate
      if (price.isValid()) {
        val *= price.rate(base.id());
      } else {
        balanceAccurate = false;
      }
    }

    if (split.shares().isNegative()) {
      payment += val;
    } else {
      deposit += val;
    }
  }
  balance = deposit - payment;

  // add the group markers
  m_register->addGroupMarkers();

  // sort the transactions according to the sort setting
  m_register->sortItems();

  // remove trailing and adjacent markers
  m_register->removeUnwantedGroupMarkers();

  m_register->updateRegister(true);

  // we might end up here with updates disabled on the register so
  // make sure that we enable updates here
  m_register->setUpdatesEnabled(true);
  m_balanceLabel->setText(i18n("Balance: %1%2",
                               balanceAccurate ? "" : "~",
                               balance.formatMoney(file->baseCurrency().smallestAccountFraction())));
}
コード例 #20
0
KNewAccountDlg::KNewAccountDlg(const MyMoneyAccount& account, bool isEditing, bool categoryEditor, QWidget *parent, const char *name, const QString& title)
  : KNewAccountDlgDecl(parent,name,true),
    m_account(account),
    m_bSelectedParentAccount(false),
    m_categoryEditor(categoryEditor),
    m_isEditing(isEditing)
{
  QString columnName = ( (categoryEditor) ? i18n("Categories") : i18n("Accounts") );

  m_qlistviewParentAccounts->setRootIsDecorated(true);
  m_qlistviewParentAccounts->setAllColumnsShowFocus(true);
  m_qlistviewParentAccounts->setSectionHeader(columnName);
  m_qlistviewParentAccounts->setMultiSelection(false);
  m_qlistviewParentAccounts->header()->setResizeEnabled(true);
  m_qlistviewParentAccounts->setColumnWidthMode(0, QListView::Maximum);
  m_qlistviewParentAccounts->setEnabled(false);
  // never show the horizontal scroll bar
  m_qlistviewParentAccounts->setHScrollBarMode(QScrollView::AlwaysOff);

  m_subAccountLabel->setText(i18n("Is a sub account"));

  m_qlistviewParentAccounts->header()->setFont(KMyMoneyGlobalSettings::listHeaderFont());

  accountNameEdit->setText(account.name());
  descriptionEdit->setText(account.description());

  typeCombo->setEnabled(true);
  MyMoneyFile *file = MyMoneyFile::instance();

  // load the price mode combo
  m_priceMode->insertItem(i18n("default price mode", "<default>"), 0);
  m_priceMode->insertItem(i18n("Price per share"), 1);
  m_priceMode->insertItem(i18n("Total for all shares"), 2);

  int priceMode = 0;
  if(m_account.accountType() == MyMoneyAccount::Investment) {
    m_priceMode->setEnabled(true);
    if(!m_account.value("priceMode").isEmpty())
      priceMode = m_account.value("priceMode").toInt();
  }
  m_priceMode->setCurrentItem(priceMode);

  bool haveMinBalance = false;
  bool haveMaxCredit = false;
  if (categoryEditor)
  {
    // get rid of the tabs that are not used for categories
    QWidget* tab = m_tab->page(m_tab->indexOf(m_institutionTab));
    if(tab)
      m_tab->removePage(tab);
    tab = m_tab->page(m_tab->indexOf(m_limitsTab));
    if(tab)
      m_tab->removePage(tab);

    //m_qlistviewParentAccounts->setEnabled(true);
    startDateEdit->setEnabled(false);
    accountNoEdit->setEnabled(false);

    m_institutionBox->hide();
    m_qcheckboxNoVat->hide();

    typeCombo->insertItem(KMyMoneyUtils::accountTypeToString(MyMoneyAccount::Income));
    typeCombo->insertItem(KMyMoneyUtils::accountTypeToString(MyMoneyAccount::Expense));

    // Hardcoded but acceptable
    switch (account.accountType())
    {
      case MyMoneyAccount::Income:
        typeCombo->setCurrentItem(0);
        break;

      case MyMoneyAccount::Expense:
      default:
        typeCombo->setCurrentItem(1);
        break;
    }
    m_currency->setEnabled(true);
    if (m_isEditing)
    {
      typeCombo->setEnabled(false);
      m_currency->setDisabled(MyMoneyFile::instance()->isReferenced(m_account));
    }
    m_qcheckboxPreferred->hide();

    m_qcheckboxTax->setChecked(account.value("Tax") == "Yes");
    loadVatAccounts();
  }
  else
  {
    // get rid of the tabs that are not used for accounts
    QWidget* taxtab = m_tab->page(m_tab->indexOf(m_taxTab));
    if (taxtab) {
      if(m_account.isAssetLiability()) {
        m_vatCategory->setText(i18n( "VAT account"));
        m_vatAssignmentFrame->hide();
        m_qcheckboxTax->setChecked(account.value("Tax") == "Yes");
      } else {
        m_tab->removePage(taxtab);
      }
    }

    switch(m_account.accountType()) {
      case MyMoneyAccount::Savings:
      case MyMoneyAccount::Cash:
        haveMinBalance = true;
        break;

      case MyMoneyAccount::Checkings:
        haveMinBalance = true;
        haveMaxCredit = true;
        break;

      case MyMoneyAccount::CreditCard:
        haveMaxCredit = true;
        break;

      default:
        // no limit available, so we might get rid of the tab
        QWidget* tab = m_tab->page(m_tab->indexOf(m_limitsTab));
        if(tab)
          m_tab->removePage(tab);
        // don't try to hide the widgets we just wiped
        // in the next step
        haveMaxCredit = haveMinBalance = true;
        break;
    }

    if(!haveMaxCredit) {
      m_maxCreditLabel->setEnabled(false);
      m_maxCreditLabel->hide();
      m_maxCreditEarlyEdit->hide();
      m_maxCreditAbsoluteEdit->hide();
    }
    if(!haveMinBalance) {
      m_minBalanceLabel->setEnabled(false);
      m_minBalanceLabel->hide();
      m_minBalanceEarlyEdit->hide();
      m_minBalanceAbsoluteEdit->hide();
    }

    typeCombo->insertItem(KMyMoneyUtils::accountTypeToString(MyMoneyAccount::Checkings));
    typeCombo->insertItem(KMyMoneyUtils::accountTypeToString(MyMoneyAccount::Savings));
    typeCombo->insertItem(KMyMoneyUtils::accountTypeToString(MyMoneyAccount::Cash));
    typeCombo->insertItem(KMyMoneyUtils::accountTypeToString(MyMoneyAccount::CreditCard));
    typeCombo->insertItem(KMyMoneyUtils::accountTypeToString(MyMoneyAccount::Loan));
    typeCombo->insertItem(KMyMoneyUtils::accountTypeToString(MyMoneyAccount::Investment));
    typeCombo->insertItem(KMyMoneyUtils::accountTypeToString(MyMoneyAccount::Asset));
    typeCombo->insertItem(KMyMoneyUtils::accountTypeToString(MyMoneyAccount::Liability));
    typeCombo->insertItem(KMyMoneyUtils::accountTypeToString(MyMoneyAccount::Stock));
/*
    typeCombo->insertItem(KMyMoneyUtils::accountTypeToString(MyMoneyAccount::CertificateDep));
    typeCombo->insertItem(KMyMoneyUtils::accountTypeToString(MyMoneyAccount::MoneyMarket));
    typeCombo->insertItem(KMyMoneyUtils::accountTypeToString(MyMoneyAccount::Currency));
*/

    // Hardcoded but acceptable
    switch (account.accountType())
    {
      default:
      case MyMoneyAccount::Checkings:
        typeCombo->setCurrentItem(0);
        break;
      case MyMoneyAccount::Savings:
        typeCombo->setCurrentItem(1);
        break;
      case MyMoneyAccount::Cash:
        typeCombo->setCurrentItem(2);
        break;
      case MyMoneyAccount::CreditCard:
        typeCombo->setCurrentItem(3);
        break;
      case MyMoneyAccount::Loan:
        typeCombo->setCurrentItem(4);
        break;
      case MyMoneyAccount::Investment:
        typeCombo->setCurrentItem(5);
        break;
      case MyMoneyAccount::Asset:
        typeCombo->setCurrentItem(6);
        break;
      case MyMoneyAccount::Liability:
        typeCombo->setCurrentItem(7);
        break;
      case MyMoneyAccount::Stock:
        m_institutionBox->hide();
        typeCombo->setCurrentItem(8);
        break;
/*
      case MyMoneyAccount::CertificateDep:
        typeCombo->setCurrentItem(5);
        break;
      case MyMoneyAccount::MoneyMarket:
        typeCombo->setCurrentItem(7);
        break;
      case MyMoneyAccount::Currency:
        typeCombo->setCurrentItem(8);
        break;
*/
    }

    if(!m_account.openingDate().isValid())
      m_account.setOpeningDate(QDate::currentDate());

    startDateEdit->setDate(m_account.openingDate());
    accountNoEdit->setText(account.number());
    m_qcheckboxPreferred->setChecked(account.value("PreferredAccount") == "Yes");
    m_qcheckboxNoVat->setChecked(account.value("NoVat") == "Yes");
    loadKVP("iban", ibanEdit);
    loadKVP("minBalanceAbsolute", m_minBalanceAbsoluteEdit);
    loadKVP("minBalanceEarly", m_minBalanceEarlyEdit);
    loadKVP("maxCreditAbsolute", m_maxCreditAbsoluteEdit);
    loadKVP("maxCreditEarly", m_maxCreditEarlyEdit);
    // reverse the sign for display purposes
    if(!m_maxCreditAbsoluteEdit->lineedit()->text().isEmpty())
      m_maxCreditAbsoluteEdit->setValue(m_maxCreditAbsoluteEdit->value()*MyMoneyMoney(-1,1));
    if(!m_maxCreditEarlyEdit->lineedit()->text().isEmpty())
      m_maxCreditEarlyEdit->setValue(m_maxCreditEarlyEdit->value()*MyMoneyMoney(-1,1));
    loadKVP("lastNumberUsed", m_lastCheckNumberUsed);


    // we do not allow to change the account type once an account
    // was created. Same applies to currency if it is referenced.
    if (m_isEditing)
    {
      typeCombo->setEnabled(false);
      m_currency->setDisabled(MyMoneyFile::instance()->isReferenced(m_account));
    }
    if(m_account.isInvest()) {
      typeCombo->setEnabled(false);
      m_qcheckboxPreferred->hide();
      m_currencyText->hide();
      m_currency->hide();
    } else {
      // use the old field and override a possible new value
      if(!MyMoneyMoney(account.value("minimumBalance")).isZero()) {
        m_minBalanceAbsoluteEdit->setValue(MyMoneyMoney(account.value("minimumBalance")));
      }
    }

//    m_qcheckboxTax->hide(); TODO should only be visible for VAT category/account
  }

  m_currency->setSecurity(file->currency(account.currencyId()));

  // Load the institutions
  // then the accounts
  QString institutionName;

  try
  {
    if (m_isEditing && !account.institutionId().isEmpty())
      institutionName = file->institution(account.institutionId()).name();
    else
      institutionName = QString();
  }
  catch (MyMoneyException *e)
  {
    qDebug("exception in init for account dialog: %s", e->what().latin1());
    delete e;
  }

  initParentWidget(account.parentAccountId(), account.id());
  if(m_account.isInvest())
    m_qlistviewParentAccounts->setEnabled(false);

  if (!categoryEditor)
    slotLoadInstitutions(institutionName);

  accountNameEdit->setFocus();

  if (title)
    setCaption(title);

  // load button icons
  KIconLoader* il = KGlobal::iconLoader();
  cancelButton->setGuiItem(KStdGuiItem::cancel());
  createButton->setGuiItem(KStdGuiItem::ok());

  connect(cancelButton, SIGNAL(clicked()), SLOT(reject()));
  connect(createButton, SIGNAL(clicked()), this, SLOT(okClicked()));
  connect(m_qlistviewParentAccounts, SIGNAL(selectionChanged(QListViewItem*)),
    this, SLOT(slotSelectionChanged(QListViewItem*)));
  connect(m_qbuttonNew, SIGNAL(clicked()), this, SLOT(slotNewClicked()));
  connect(typeCombo, SIGNAL(activated(const QString&)),
    this, SLOT(slotAccountTypeChanged(const QString&)));

  connect(accountNameEdit, SIGNAL(textChanged(const QString&)), this, SLOT(slotCheckFinished()));

  connect(m_vatCategory, SIGNAL(toggled(bool)), this, SLOT(slotVatChanged(bool)));
  connect(m_vatAssignment, SIGNAL(toggled(bool)), this, SLOT(slotVatAssignmentChanged(bool)));
  connect(m_vatCategory, SIGNAL(toggled(bool)), this, SLOT(slotCheckFinished()));
  connect(m_vatAssignment, SIGNAL(toggled(bool)), this, SLOT(slotCheckFinished()));
  connect(m_vatRate, SIGNAL(textChanged(const QString&)), this, SLOT(slotCheckFinished()));
  connect(m_vatAccount, SIGNAL(stateChanged()), this, SLOT(slotCheckFinished()));

  connect(m_minBalanceEarlyEdit, SIGNAL(valueChanged(const QString&)), this, SLOT(slotAdjustMinBalanceAbsoluteEdit(const QString&)));
  connect(m_minBalanceAbsoluteEdit, SIGNAL(valueChanged(const QString&)), this, SLOT(slotAdjustMinBalanceEarlyEdit(const QString&)));
  connect(m_maxCreditEarlyEdit, SIGNAL(valueChanged(const QString&)), this, SLOT(slotAdjustMaxCreditAbsoluteEdit(const QString&)));
  connect(m_maxCreditAbsoluteEdit, SIGNAL(valueChanged(const QString&)), this, SLOT(slotAdjustMaxCreditEarlyEdit(const QString&)));

  connect(m_qcomboboxInstitutions, SIGNAL(activated(const QString&)), this, SLOT(slotLoadInstitutions(const QString&)));

  m_vatCategory->setChecked(false);
  m_vatAssignment->setChecked(false);

  // make sure our account does not have an id and no parent assigned
  // and certainly no children in case we create a new account
  if(!m_isEditing) {
    m_account.clearId();
    m_account.setParentAccountId(QString());
    QStringList::ConstIterator it;
    while((it = m_account.accountList().begin()) != m_account.accountList().end())
      m_account.removeAccountId(*it);

    if(m_parentItem == 0) {
      // force loading of initial parent
      m_account.setAccountType(MyMoneyAccount::UnknownAccountType);
      MyMoneyAccount::_accountTypeE type = account.accountType();
      if(type == MyMoneyAccount::UnknownAccountType)
        type = MyMoneyAccount::Checkings;
      slotAccountTypeChanged(KMyMoneyUtils::accountTypeToString(type));
    }
  } else {
    if(!m_account.value("VatRate").isEmpty()) {
      m_vatCategory->setChecked(true);
      m_vatRate->setValue(MyMoneyMoney(m_account.value("VatRate"))*MyMoneyMoney(100,1));
    } else {
      if(!m_account.value("VatAccount").isEmpty()) {
        QString accId = m_account.value("VatAccount").latin1();
        try {
          // make sure account exists
          MyMoneyFile::instance()->account(accId);
          m_vatAssignment->setChecked(true);
          m_vatAccount->setSelected(accId);
          m_grossAmount->setChecked(true);
          if(m_account.value("VatAmount") == "Net")
            m_netAmount->setChecked(true);
        } catch(MyMoneyException *e) {
          delete e;
        }
      }
    }
  }
  slotVatChanged(m_vatCategory->isChecked());
  slotVatAssignmentChanged(m_vatAssignment->isChecked());
  slotCheckFinished();

  kMandatoryFieldGroup* requiredFields = new kMandatoryFieldGroup (this);
  requiredFields->setOkButton(createButton); // button to be enabled when all fields present
  requiredFields->add(accountNameEdit);

  // using a timeout is the only way, I got the 'ensureItemVisible'
  // working when creating the dialog. I assume, this
  // has something to do with the delayed update of the display somehow.
  QTimer::singleShot(50, this, SLOT(timerDone()));
}
コード例 #21
0
ファイル: csvutil.cpp プロジェクト: CGenie/kmymoney
void CsvUtil::createAccount(MyMoneyAccount& newAccount, MyMoneyAccount& parentAccount, MyMoneyAccount& brokerageAccount, MyMoneyMoney openingBal)
{
  MyMoneyFile* file = MyMoneyFile::instance();

  // make sure we have a currency. If none is assigned, we assume base currency
  if (newAccount.currencyId().isEmpty())
    newAccount.setCurrencyId(file->baseCurrency().id());

  MyMoneyFileTransaction ft;
  try {
    int pos;
    // check for ':' in the name and use it as separator for a hierarchy
    while ((pos = newAccount.name().indexOf(MyMoneyFile::AccountSeperator)) != -1) {
      QString part = newAccount.name().left(pos);
      QString remainder = newAccount.name().mid(pos + 1);
      const MyMoneyAccount& existingAccount = file->subAccountByName(parentAccount, part);
      if (existingAccount.id().isEmpty()) {
        newAccount.setName(part);

        file->addAccount(newAccount, parentAccount);
        parentAccount = newAccount;
      } else {
        parentAccount = existingAccount;
      }
      newAccount.setParentAccountId(QString());  // make sure, there's no parent
      newAccount.clearId();                       // and no id set for adding
      newAccount.removeAccountIds();              // and no sub-account ids
      newAccount.setName(remainder);
    }

    const MyMoneySecurity& sec = file->security(newAccount.currencyId());
    // Check the opening balance
    if (openingBal.isPositive() && newAccount.accountGroup() == MyMoneyAccount::Liability) {
      QString message = i18n("This account is a liability and if the "
                             "opening balance represents money owed, then it should be negative.  "
                             "Negate the amount?\n\n"
                             "Please click Yes to change the opening balance to %1,\n"
                             "Please click No to leave the amount as %2,\n"
                             "Please click Cancel to abort the account creation."
                             , MyMoneyUtils::formatMoney(-openingBal, newAccount, sec)
                             , MyMoneyUtils::formatMoney(openingBal, newAccount, sec));

      int ans = KMessageBox::questionYesNoCancel(0, message);
      if (ans == KMessageBox::Yes) {
        openingBal = -openingBal;

      } else if (ans == KMessageBox::Cancel)
        return;
    }

    file->addAccount(newAccount, parentAccount);

    if (newAccount.accountType() == MyMoneyAccount::Investment
        && !brokerageAccount.name().isEmpty()) {
      file->addAccount(brokerageAccount, parentAccount);

      // set a link from the investment account to the brokerage account
      file->modifyAccount(newAccount);
      file->createOpeningBalanceTransaction(brokerageAccount, openingBal);

    } else
      file->createOpeningBalanceTransaction(newAccount, openingBal);

    ft.commit();
  } catch (const MyMoneyException &e) {
    KMessageBox::information(0, i18n("Unable to add account: %1", e.what()));
  }
}