Files
sure/app/models/income_statement/totals.rb
soky srm 560c9fbff3 Family sharing (#1272)
* Initial account sharing changes

* Update schema.rb

* Update schema.rb

* Change sharing UI to modal

* UX fixes and sharing controls

* Scope include in finances better

* Update totals.rb

* Update totals.rb

* Scope reports to finance account scope

* Update impersonation_sessions_controller_test.rb

* Review fixes

* Update schema.rb

* Update show.html.erb

* FIX db validation

* Refine edit permissions

* Review items

* Review

* Review

* Add application level helper

* Critical review

* Address remaining review items

* Fix modals

* more scoping

* linter

* small UI fix

* Fix: Sync broadcasts push unscoped balance sheet to all users

* Update sync_complete_event.rb

 The fix removes the sidebar broadcasts (which rendered unscoped account groups using family.balance_sheet without user context)
  along with the now-unused sidebar_targets, account_group, and family_balance_sheet private methods.

  The sidebar will still update correctly — when the sync completes, Family::SyncCompleteEvent#broadcast fires family.broadcast_refresh, which triggers a
  morph-based page refresh for each user with their own authenticated session, rendering properly scoped sidebar content.
2026-03-25 10:50:23 +01:00

176 lines
6.8 KiB
Ruby

class IncomeStatement::Totals
def initialize(family, transactions_scope:, date_range:, include_trades: true, included_account_ids: nil)
@family = family
@transactions_scope = transactions_scope
@date_range = date_range
@include_trades = include_trades
@included_account_ids = included_account_ids
validate_date_range!
end
def call
# No finance accounts means no transactions to report
return [] if @included_account_ids&.empty?
ActiveRecord::Base.connection.select_all(query_sql).map do |row|
TotalsRow.new(
parent_category_id: row["parent_category_id"],
category_id: row["category_id"],
classification: row["classification"],
total: row["total"],
transactions_count: row["transactions_count"],
is_uncategorized_investment: row["is_uncategorized_investment"]
)
end
end
private
TotalsRow = Data.define(:parent_category_id, :category_id, :classification, :total, :transactions_count, :is_uncategorized_investment)
def query_sql
ActiveRecord::Base.sanitize_sql_array([
@include_trades ? combined_query_sql : transactions_only_query_sql,
sql_params
])
end
# Combined query that includes both transactions and trades
def combined_query_sql
<<~SQL
SELECT
category_id,
parent_category_id,
classification,
is_uncategorized_investment,
SUM(total) as total,
SUM(entry_count) as transactions_count
FROM (
#{transactions_subquery_sql}
UNION ALL
#{trades_subquery_sql}
) combined
GROUP BY category_id, parent_category_id, classification, is_uncategorized_investment;
SQL
end
# Original transactions-only query (for backwards compatibility)
def transactions_only_query_sql
<<~SQL
SELECT
c.id as category_id,
c.parent_id as parent_category_id,
CASE WHEN at.kind = 'investment_contribution' THEN 'expense' WHEN ae.amount < 0 THEN 'income' ELSE 'expense' END as classification,
ABS(SUM(CASE WHEN at.kind = 'investment_contribution' THEN ABS(ae.amount * COALESCE(er.rate, 1)) ELSE ae.amount * COALESCE(er.rate, 1) END)) as total,
COUNT(ae.id) as transactions_count,
false as is_uncategorized_investment
FROM (#{@transactions_scope.to_sql}) at
JOIN entries ae ON ae.entryable_id = at.id AND ae.entryable_type = 'Transaction'
JOIN accounts a ON a.id = ae.account_id
LEFT JOIN categories c ON c.id = at.category_id
LEFT JOIN exchange_rates er ON (
er.date = ae.date AND
er.from_currency = ae.currency AND
er.to_currency = :target_currency
)
WHERE at.kind NOT IN (#{budget_excluded_kinds_sql})
AND ae.excluded = false
AND a.family_id = :family_id
AND a.status IN ('draft', 'active')
#{exclude_tax_advantaged_sql}
#{include_finance_accounts_sql}
GROUP BY c.id, c.parent_id, CASE WHEN at.kind = 'investment_contribution' THEN 'expense' WHEN ae.amount < 0 THEN 'income' ELSE 'expense' END;
SQL
end
def transactions_subquery_sql
<<~SQL
SELECT
c.id as category_id,
c.parent_id as parent_category_id,
CASE WHEN at.kind = 'investment_contribution' THEN 'expense' WHEN ae.amount < 0 THEN 'income' ELSE 'expense' END as classification,
ABS(SUM(CASE WHEN at.kind = 'investment_contribution' THEN ABS(ae.amount * COALESCE(er.rate, 1)) ELSE ae.amount * COALESCE(er.rate, 1) END)) as total,
COUNT(ae.id) as entry_count,
false as is_uncategorized_investment
FROM (#{@transactions_scope.to_sql}) at
JOIN entries ae ON ae.entryable_id = at.id AND ae.entryable_type = 'Transaction'
JOIN accounts a ON a.id = ae.account_id
LEFT JOIN categories c ON c.id = at.category_id
LEFT JOIN exchange_rates er ON (
er.date = ae.date AND
er.from_currency = ae.currency AND
er.to_currency = :target_currency
)
WHERE at.kind NOT IN (#{budget_excluded_kinds_sql})
AND (
at.investment_activity_label IS NULL
OR at.investment_activity_label NOT IN ('Transfer', 'Sweep In', 'Sweep Out', 'Exchange')
)
AND ae.excluded = false
AND a.family_id = :family_id
AND a.status IN ('draft', 'active')
#{exclude_tax_advantaged_sql}
#{include_finance_accounts_sql}
GROUP BY c.id, c.parent_id, CASE WHEN at.kind = 'investment_contribution' THEN 'expense' WHEN ae.amount < 0 THEN 'income' ELSE 'expense' END
SQL
end
def trades_subquery_sql
# Trades are completely excluded from income/expense budgets
# Rationale: Trades represent portfolio rebalancing, not cash flow
# Example: Selling $10k AAPL to buy MSFT = no net worth change, not an expense
# Contributions/withdrawals are tracked separately as Transactions with activity labels
<<~SQL
SELECT NULL as category_id, NULL as parent_category_id, NULL as classification,
NULL as total, NULL as entry_count, NULL as is_uncategorized_investment
WHERE false
SQL
end
def sql_params
params = {
target_currency: @family.currency,
family_id: @family.id,
start_date: @date_range.begin,
end_date: @date_range.end
}
# Add tax-advantaged account IDs if any exist
ids = @family.tax_advantaged_account_ids
params[:tax_advantaged_account_ids] = ids if ids.present?
# Add included account IDs for per-user finance scoping
params[:included_account_ids] = @included_account_ids if @included_account_ids
params
end
# Returns SQL clause to exclude tax-advantaged accounts from budget calculations.
# Tax-advantaged accounts (401k, IRA, HSA, etc.) are retirement savings, not daily expenses.
def exclude_tax_advantaged_sql
ids = @family.tax_advantaged_account_ids
return "" if ids.empty?
"AND a.id NOT IN (:tax_advantaged_account_ids)"
end
# Returns SQL clause to filter to only accounts included in the user's finances.
def include_finance_accounts_sql
return "" if @included_account_ids.nil?
"AND a.id IN (:included_account_ids)"
end
def budget_excluded_kinds_sql
@budget_excluded_kinds_sql ||= Transaction::BUDGET_EXCLUDED_KINDS.map { |k| "'#{k}'" }.join(", ")
end
def validate_date_range!
unless @date_range.is_a?(Range)
raise ArgumentError, "date_range must be a Range, got #{@date_range.class}"
end
unless @date_range.begin.respond_to?(:to_date) && @date_range.end.respond_to?(:to_date)
raise ArgumentError, "date_range must contain date-like objects"
end
end
end