Files
sure/app/models/plaid_account/processor.rb
Josh Waldrep cfda5a6d3d Remove InvestmentActivityDetector and related functionality
- Deleted the `InvestmentActivityDetector` and associated tests.
- Removed rake tasks for backfilling and clearing investment activity labels.
- Simplified transaction processing in `SimplefinEntry::Processor` by removing inferred activity label logic.
- Added new rule `SetInvestmentActivityLabel` for setting labels using rules.
- Updated `Rule::Registry::TransactionResource` to include the new rule executor.
2026-01-12 15:35:14 -05:00

143 lines
4.7 KiB
Ruby

class PlaidAccount::Processor
include PlaidAccount::TypeMappable
attr_reader :plaid_account
def initialize(plaid_account)
@plaid_account = plaid_account
end
# Each step represents a different Plaid API endpoint / "product"
#
# Processing the account is the first step and if it fails, we halt the entire processor
# Each subsequent step can fail independently, but we continue processing the rest of the steps
def process
process_account!
process_transactions
process_investments
process_liabilities
end
private
def family
plaid_account.plaid_item.family
end
# Shared securities reader and resolver
def security_resolver
@security_resolver ||= PlaidAccount::Investments::SecurityResolver.new(plaid_account)
end
def process_account!
PlaidAccount.transaction do
# Find existing account through account_provider or legacy plaid_account_id
account_provider = AccountProvider.find_by(provider: plaid_account)
account = if account_provider
account_provider.account
else
# Legacy fallback: find by plaid_account_id if it still exists
family.accounts.find_by(plaid_account_id: plaid_account.id)
end
# Initialize new account if not found
if account.nil?
account = family.accounts.new
account.accountable = map_accountable(plaid_account.plaid_type)
end
# Create or assign the accountable if needed
if account.accountable.nil?
accountable = map_accountable(plaid_account.plaid_type)
account.accountable = accountable
end
# Name and subtype are the attributes a user can override for Plaid accounts
# Use enrichable pattern to respect locked attributes
account.enrich_attributes(
{
name: plaid_account.name
},
source: "plaid"
)
# Enrich subtype on the accountable, respecting locks
account.accountable.enrich_attributes(
{
subtype: map_subtype(plaid_account.plaid_type, plaid_account.plaid_subtype)
},
source: "plaid"
)
account.assign_attributes(
balance: balance_calculator.balance,
currency: plaid_account.currency,
cash_balance: balance_calculator.cash_balance
)
account.save!
# Create account provider link if it doesn't exist
unless account_provider
AccountProvider.find_or_create_by!(
account: account,
provider: plaid_account,
provider_type: "PlaidAccount"
)
end
# Create or update the current balance anchor valuation for event-sourced ledger
# Note: This is a partial implementation. In the future, we'll introduce HoldingValuation
# to properly track the holdings vs. cash breakdown, but for now we're only tracking
# the total balance in the current anchor. The cash_balance field on the account model
# is still being used for the breakdown.
account.set_current_balance(balance_calculator.balance)
end
end
def process_transactions
PlaidAccount::Transactions::Processor.new(plaid_account).process
rescue => e
report_exception(e)
end
def process_investments
PlaidAccount::Investments::TransactionsProcessor.new(plaid_account, security_resolver: security_resolver).process
PlaidAccount::Investments::HoldingsProcessor.new(plaid_account, security_resolver: security_resolver).process
rescue => e
report_exception(e)
end
def process_liabilities
case [ plaid_account.plaid_type, plaid_account.plaid_subtype ]
when [ "credit", "credit card" ]
PlaidAccount::Liabilities::CreditProcessor.new(plaid_account).process
when [ "loan", "mortgage" ]
PlaidAccount::Liabilities::MortgageProcessor.new(plaid_account).process
when [ "loan", "student" ]
PlaidAccount::Liabilities::StudentLoanProcessor.new(plaid_account).process
end
rescue => e
report_exception(e)
end
def balance_calculator
if plaid_account.plaid_type == "investment"
@balance_calculator ||= PlaidAccount::Investments::BalanceCalculator.new(plaid_account, security_resolver: security_resolver)
else
balance = plaid_account.current_balance || plaid_account.available_balance || 0
# We don't currently distinguish "cash" vs. "non-cash" balances for non-investment accounts.
OpenStruct.new(
balance: balance,
cash_balance: balance
)
end
end
def report_exception(error)
Sentry.capture_exception(error) do |scope|
scope.set_tags(plaid_account_id: plaid_account.id)
end
end
end