gnucash/src/libqof/qof/qofbook.c

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/********************************************************************\
* qofbook.c -- dataset access (set of books of entities) *
* *
* This program is free software; you can redistribute it and/or *
* modify it under the terms of the GNU General Public License as *
* published by the Free Software Foundation; either version 2 of *
* the License, or (at your option) any later version. *
* *
* This program is distributed in the hope that it will be useful, *
* but WITHOUT ANY WARRANTY; without even the implied warranty of *
* MERCHANTABILITY or FITNESS FOR A PARTICULAR PURPOSE. See the *
* GNU General Public License for more details. *
* *
* You should have received a copy of the GNU General Public License*
* along with this program; if not, contact: *
* *
* Free Software Foundation Voice: +1-617-542-5942 *
* 51 Franklin Street, Fifth Floor Fax: +1-617-542-2652 *
* Boston, MA 02110-1301, USA gnu@gnu.org *
\********************************************************************/
/*
* FILE:
* qofbook.c
*
* FUNCTION:
* Encapsulate all the information about a QOF dataset.
*
* HISTORY:
* Created by Linas Vepstas December 1998
* Copyright (c) 1998-2001,2003 Linas Vepstas <linas@linas.org>
* Copyright (c) 2000 Dave Peticolas
* Copyright (c) 2007 David Hampton <hampton@employees.org>
*/
#include "config.h"
#include <stdlib.h>
#include <string.h>
#include <glib.h>
#include "qof.h"
#include "qofevent-p.h"
#include "qofbackend-p.h"
#include "qofbook-p.h"
#include "qofid-p.h"
#include "qofobject-p.h"
#include "qofbookslots.h"
static QofLogModule log_module = QOF_MOD_ENGINE;
QOF_GOBJECT_IMPL(qof_book, QofBook, QOF_TYPE_INSTANCE);
/* ====================================================================== */
/* constructor / destructor */
static void coll_destroy(gpointer col)
{
qof_collection_destroy((QofCollection *) col);
}
static void
qof_book_init (QofBook *book)
{
if (!book) return;
book->hash_of_collections = g_hash_table_new_full(
g_str_hash, g_str_equal,
(GDestroyNotify)qof_util_string_cache_remove, /* key_destroy_func */
coll_destroy); /* value_destroy_func */
qof_instance_init_data (&book->inst, QOF_ID_BOOK, book);
book->data_tables = g_hash_table_new (g_str_hash, g_str_equal);
book->data_table_finalizers = g_hash_table_new (g_str_hash, g_str_equal);
book->book_open = 'y';
book->version = 0;
}
QofBook *
qof_book_new (void)
{
QofBook *book;
ENTER (" ");
book = g_object_new(QOF_TYPE_BOOK, NULL);
qof_object_book_begin (book);
qof_event_gen (&book->inst, QOF_EVENT_CREATE, NULL);
LEAVE ("book=%p", book);
return book;
}
static void
book_final (gpointer key, gpointer value, gpointer booq)
{
QofBookFinalCB cb = value;
QofBook *book = booq;
gpointer user_data = g_hash_table_lookup (book->data_tables, key);
(*cb) (book, key, user_data);
}
static void
qof_book_dispose_real (GObject *bookp)
{
}
static void
qof_book_finalize_real (GObject *bookp)
{
}
void
qof_book_destroy (QofBook *book)
{
GHashTable* cols;
if (!book) return;
ENTER ("book=%p", book);
book->shutting_down = TRUE;
qof_event_force (&book->inst, QOF_EVENT_DESTROY, NULL);
/* Call the list of finalizers, let them do their thing.
* Do this before tearing into the rest of the book.
*/
g_hash_table_foreach (book->data_table_finalizers, book_final, book);
qof_object_book_end (book);
g_hash_table_destroy (book->data_table_finalizers);
book->data_table_finalizers = NULL;
g_hash_table_destroy (book->data_tables);
book->data_tables = NULL;
/* qof_instance_release (&book->inst); */
/* Note: we need to save this hashtable until after we remove ourself
* from it, otherwise we'll crash in our dispose() function when we
* DO remove ourself from the collection but the collection had already
* been destroyed.
*/
cols = book->hash_of_collections;
g_object_unref (book);
g_hash_table_destroy (cols);
/*book->hash_of_collections = NULL;*/
LEAVE ("book=%p", book);
}
/* ====================================================================== */
/* XXX this should probably be calling is_equal callbacks on gncObject */
gboolean
qof_book_equal (const QofBook *book_1, const QofBook *book_2)
{
if (book_1 == book_2) return TRUE;
if (!book_1 || !book_2) return FALSE;
return FALSE;
}
/* ====================================================================== */
gboolean
qof_book_not_saved (const QofBook *book)
{
if (!book) return FALSE;
return(qof_instance_get_dirty_flag(book) || qof_object_is_dirty(book));
}
void
qof_book_mark_saved (QofBook *book)
{
gboolean was_dirty;
if (!book) return;
was_dirty = qof_instance_get_dirty_flag(book);
qof_instance_set_dirty_flag(book, FALSE);
book->dirty_time = 0;
qof_object_mark_clean (book);
if (was_dirty)
{
if (book->dirty_cb)
book->dirty_cb(book, FALSE, book->dirty_data);
}
}
void qof_book_mark_dirty (QofBook *book)
{
gboolean was_dirty;
if (!book) return;
was_dirty = qof_instance_get_dirty_flag(book);
qof_instance_set_dirty_flag(book, TRUE);
if (!was_dirty)
{
book->dirty_time = time(NULL);
if (book->dirty_cb)
book->dirty_cb(book, TRUE, book->dirty_data);
}
}
void
qof_book_print_dirty (const QofBook *book)
{
if (qof_instance_get_dirty_flag(book))
printf("book is dirty.\n");
qof_book_foreach_collection
(book, (QofCollectionForeachCB)qof_collection_print_dirty, NULL);
}
time_t
qof_book_get_dirty_time (const QofBook *book)
{
return book->dirty_time;
}
void
qof_book_set_dirty_cb(QofBook *book, QofBookDirtyCB cb, gpointer user_data)
{
if (book->dirty_cb)
g_warning("qof_book_set_dirty_cb: Already existing callback %p, will be overwritten by %p\n",
book->dirty_cb, cb);
book->dirty_data = user_data;
book->dirty_cb = cb;
}
/* ====================================================================== */
/* getters */
QofBackend *
qof_book_get_backend (const QofBook *book)
{
if (!book) return NULL;
return book->backend;
}
gboolean
qof_book_shutting_down (const QofBook *book)
{
if (!book) return FALSE;
return book->shutting_down;
}
/* ====================================================================== */
/* setters */
void
qof_book_set_backend (QofBook *book, QofBackend *be)
{
if (!book) return;
ENTER ("book=%p be=%p", book, be);
book->backend = be;
LEAVE (" ");
}
void qof_book_kvp_changed (QofBook *book)
{
qof_book_begin_edit(book);
qof_book_mark_dirty(book);
qof_book_commit_edit(book);
}
/* ====================================================================== */
KvpFrame *qof_book_get_slots(const QofBook *book)
{
return qof_instance_get_slots(QOF_INSTANCE(book));
}
/* Store arbitrary pointers in the QofBook for data storage extensibility */
/* XXX if data is NULL, we should remove the key from the hash table!
*/
void
qof_book_set_data (QofBook *book, const char *key, gpointer data)
{
if (!book || !key) return;
g_hash_table_insert (book->data_tables, (gpointer)key, data);
}
void
qof_book_set_data_fin (QofBook *book, const char *key, gpointer data, QofBookFinalCB cb)
{
if (!book || !key) return;
g_hash_table_insert (book->data_tables, (gpointer)key, data);
if (!cb) return;
g_hash_table_insert (book->data_table_finalizers, (gpointer)key, cb);
}
gpointer
qof_book_get_data (const QofBook *book, const char *key)
{
if (!book || !key) return NULL;
return g_hash_table_lookup (book->data_tables, (gpointer)key);
}
/* ====================================================================== */
QofCollection *
qof_book_get_collection (const QofBook *book, QofIdType entity_type)
{
QofCollection *col;
if (!book || !entity_type) return NULL;
col = g_hash_table_lookup (book->hash_of_collections, entity_type);
if (!col)
{
col = qof_collection_new (entity_type);
g_hash_table_insert(
book->hash_of_collections,
qof_util_string_cache_insert((gpointer) entity_type), col);
}
return col;
}
struct _iterate
{
QofCollectionForeachCB fn;
gpointer data;
};
static void
foreach_cb (gpointer key, gpointer item, gpointer arg)
{
struct _iterate *iter = arg;
QofCollection *col = item;
iter->fn (col, iter->data);
}
void
qof_book_foreach_collection (const QofBook *book,
QofCollectionForeachCB cb, gpointer user_data)
{
struct _iterate iter;
g_return_if_fail (book);
g_return_if_fail (cb);
iter.fn = cb;
iter.data = user_data;
g_hash_table_foreach (book->hash_of_collections, foreach_cb, &iter);
}
/* ====================================================================== */
void qof_book_mark_closed (QofBook *book)
{
if (!book)
{
return;
}
book->book_open = 'n';
}
gchar qof_book_get_open_marker(const QofBook *book)
{
if (!book)
{
return 'n';
}
return book->book_open;
}
gint32 qof_book_get_version (const QofBook *book)
{
if (!book)
{
return -1;
}
return book->version;
}
void qof_book_set_version (QofBook *book, gint32 version)
{
if (!book && version < 0)
{
return;
}
book->version = version;
}
gint64
qof_book_get_counter (QofBook *book, const char *counter_name)
{
KvpFrame *kvp;
KvpValue *value;
if (!book)
{
PWARN ("No book!!!");
return -1;
}
if (!counter_name || *counter_name == '\0')
{
PWARN ("Invalid counter name.");
return -1;
}
/* Use the KVP in the book */
kvp = qof_book_get_slots (book);
if (!kvp)
{
PWARN ("Book has no KVP_Frame");
return -1;
}
value = kvp_frame_get_slot_path (kvp, "counters", counter_name, NULL);
if (value)
{
/* found it */
return kvp_value_get_gint64 (value);
}
else
{
/* New counter */
return 0;
}
}
gchar *
qof_book_increment_and_format_counter (QofBook *book, const char *counter_name)
{
QofBackend *be;
KvpFrame *kvp;
KvpValue *value;
gint64 counter;
if (!book)
{
PWARN ("No book!!!");
return NULL;
}
if (!counter_name || *counter_name == '\0')
{
PWARN ("Invalid counter name.");
return NULL;
}
/* Get the current counter value from the KVP in the book. */
counter = qof_book_get_counter(book, counter_name);
/* Check if an error occured */
if (counter < 0)
return NULL;
/* Increment the counter */
counter++;
/* Get the KVP from the current book */
kvp = qof_book_get_slots (book);
if (!kvp)
{
PWARN ("Book has no KVP_Frame");
return NULL;
}
/* Save off the new counter */
qof_book_begin_edit(book);
value = kvp_value_new_gint64 (counter);
kvp_frame_set_slot_path (kvp, value, "counters", counter_name, NULL);
kvp_value_delete (value);
qof_book_mark_dirty(book);
qof_book_commit_edit(book);
/* Generate a string version of the counter */
return g_strdup_printf ("%.6" G_GINT64_FORMAT, counter);
}
Bug #537476: Implement currency trading accounts optionally, to be enabled per-book. Patch by Mike Alexander: This patch implements trading accounts somewhat as described in Peter Selinger's document at <http://www.mathstat.dal.ca/~selinger/accounting/gnucash.html>. Although he describes it as a multiple currency problem, it really applies to any transactions involving multiple commodities (for example buying or selling a stock) Hence I've called the trading accounts "commodity exchange accounts" which seems more descriptive. In summary these patches add an option to use commodity exchange accounts and if it is on a transaction must be balanced both in value (in the transaction currency) and in each commodity or currency used in any split in the transaction. If a transaction only contains splits in the transaction currency then this is the same rule as Gnucash has always enforced. In this patch, the option to use trading accounts has been moved from Edit->Preferences to File->Properties and is now associated with the active book instead of being a global option. If you have set the global value on in a previous version you will need to set it on again in each file for which you want trading accounts, the previous global setting will be ignored. A more detailed list of changes follows: 1. Added a "Use commodity exchange accounts" per-book option. 2. Added gnc_monetary and MonetaryList data types. 3. Renamed xaccTransGetImbalance to xaccTransGetImbalanceValue and added a new xaccTransGetImbalance that returns a MonetaryList. Also added xaccTransIsBalanced to see if the transaction is balanced without returning a GList that needs to be freed. It calls both xaccTransGetImbalance and xaccTransGetImbalanceValue since a transaction may be unbalanced with regard to either without being unbalanced with regard to the other. 4. Changed gnc_split_register_get_debcred_bg_color to use xaccTransIsBalanced. 5. Changed gnc_split_register_balance_trans to not offer to adjust an existing split if there imbalances in multiple currencies. Because of bugs in the register code this is rarely called. 6. Changed importers to use xaccTransGetImbalanceValue to check for imbalance, assuming that they won't create multiple currency trasactions. 7. Changed xaccTransScrubImbalance to create a balancing split for each imbalanced commodity in the transaction. Also balances the transaction value. The commodity balancing splits go into accounts in the hierarchy Trading:NAMESPACE:COMMODITY. The value balancing splits go into Imbalance-CURRENCY as before. 8. Changed xaccSplitConvertAmount to use xaccTransIsBalanced instead of xaccTransGetImbalance. 9. Changed gnc_split_register_get_debcred_entry to sometimes use the split amount instead of value if using currency accounts. If the register is a stock register (i.e., shows shares and prices), it uses the value if the split is in the register commodity (i.e. is for the stock) and the amount otherwise. It shows the currency symbol unless the commodity is the default currency. If the register is not a stock register it always uses the amount and shows the currency symbol if the split is not in the register commodity. Also changed it to not return a value for a null split unless the transaction is unbalanced in exactly one currency. This is what goes in a blank split as the proposed value. 10. Changed refresh_model_row to use xaccTransGetImbalanceValue to get the imbalance, assuming that importers don't create transactions in multiple currencies. Also same change in gnc_import_process_trans_item, downloaded_transaction_append, and gnc_import_TransInfo_is_balanced. 11. Changed the TRANS_IMBALANCE accessor method in xaccTransRegister to use xaccTransGetImbalanceValue. As far as I can tell this is only used by the "pd-balance" query type in gnc_scm2query_term_query_v1() defined in engine-helpers.c. This query type only tests the result for zero/non-zero. 12. Changed xaccTransGetAccountConvRate to accept any split into the correct commodity instead of insisting on one into the provided account. Then can use it in xaccTransScrubImbalance to set the value of the imbalance split from its amount, however later changed xaccTransScrubImbalance to not use it. Instead it sets the value for the new split correctly to keep the value of the whole transaction balanced. 13. Changed the balance sheet report to include a new option to not compute unrealized gains and losses. 14. Related to 9 above, changed gnc_split_register_auto_calc to not do anything if given a stock register where the value cell doesn't contain the value. 15. Also related to 9, changed gnc_split_register_save_amount_values to set the amount and value fields in the split correctly when using trading accounts. 16. Changed the new account and edit account dialogs to allow any commodity or currency for an income account if using trading accounts. It would be better to add a new account type for trading accounts, but that's a big deal and I'll leave that for later after we see whether this set of changes is going to be accepted or rejected. 17. Change gnc_xfer_dialog_run_exchange_dialog to understand that the new value is really the split's amount if using trading accounts. 18. Changed xaccSplitGetOtherSplit to ignore trading splits if using commodity exchange accounts. git-svn-id: svn+ssh://svn.gnucash.org/repo/gnucash/trunk@18429 57a11ea4-9604-0410-9ed3-97b8803252fd
2009-11-20 14:11:03 -06:00
/* Determine whether this book uses trading accounts */
gboolean
qof_book_use_trading_accounts (const QofBook *book)
Bug #537476: Implement currency trading accounts optionally, to be enabled per-book. Patch by Mike Alexander: This patch implements trading accounts somewhat as described in Peter Selinger's document at <http://www.mathstat.dal.ca/~selinger/accounting/gnucash.html>. Although he describes it as a multiple currency problem, it really applies to any transactions involving multiple commodities (for example buying or selling a stock) Hence I've called the trading accounts "commodity exchange accounts" which seems more descriptive. In summary these patches add an option to use commodity exchange accounts and if it is on a transaction must be balanced both in value (in the transaction currency) and in each commodity or currency used in any split in the transaction. If a transaction only contains splits in the transaction currency then this is the same rule as Gnucash has always enforced. In this patch, the option to use trading accounts has been moved from Edit->Preferences to File->Properties and is now associated with the active book instead of being a global option. If you have set the global value on in a previous version you will need to set it on again in each file for which you want trading accounts, the previous global setting will be ignored. A more detailed list of changes follows: 1. Added a "Use commodity exchange accounts" per-book option. 2. Added gnc_monetary and MonetaryList data types. 3. Renamed xaccTransGetImbalance to xaccTransGetImbalanceValue and added a new xaccTransGetImbalance that returns a MonetaryList. Also added xaccTransIsBalanced to see if the transaction is balanced without returning a GList that needs to be freed. It calls both xaccTransGetImbalance and xaccTransGetImbalanceValue since a transaction may be unbalanced with regard to either without being unbalanced with regard to the other. 4. Changed gnc_split_register_get_debcred_bg_color to use xaccTransIsBalanced. 5. Changed gnc_split_register_balance_trans to not offer to adjust an existing split if there imbalances in multiple currencies. Because of bugs in the register code this is rarely called. 6. Changed importers to use xaccTransGetImbalanceValue to check for imbalance, assuming that they won't create multiple currency trasactions. 7. Changed xaccTransScrubImbalance to create a balancing split for each imbalanced commodity in the transaction. Also balances the transaction value. The commodity balancing splits go into accounts in the hierarchy Trading:NAMESPACE:COMMODITY. The value balancing splits go into Imbalance-CURRENCY as before. 8. Changed xaccSplitConvertAmount to use xaccTransIsBalanced instead of xaccTransGetImbalance. 9. Changed gnc_split_register_get_debcred_entry to sometimes use the split amount instead of value if using currency accounts. If the register is a stock register (i.e., shows shares and prices), it uses the value if the split is in the register commodity (i.e. is for the stock) and the amount otherwise. It shows the currency symbol unless the commodity is the default currency. If the register is not a stock register it always uses the amount and shows the currency symbol if the split is not in the register commodity. Also changed it to not return a value for a null split unless the transaction is unbalanced in exactly one currency. This is what goes in a blank split as the proposed value. 10. Changed refresh_model_row to use xaccTransGetImbalanceValue to get the imbalance, assuming that importers don't create transactions in multiple currencies. Also same change in gnc_import_process_trans_item, downloaded_transaction_append, and gnc_import_TransInfo_is_balanced. 11. Changed the TRANS_IMBALANCE accessor method in xaccTransRegister to use xaccTransGetImbalanceValue. As far as I can tell this is only used by the "pd-balance" query type in gnc_scm2query_term_query_v1() defined in engine-helpers.c. This query type only tests the result for zero/non-zero. 12. Changed xaccTransGetAccountConvRate to accept any split into the correct commodity instead of insisting on one into the provided account. Then can use it in xaccTransScrubImbalance to set the value of the imbalance split from its amount, however later changed xaccTransScrubImbalance to not use it. Instead it sets the value for the new split correctly to keep the value of the whole transaction balanced. 13. Changed the balance sheet report to include a new option to not compute unrealized gains and losses. 14. Related to 9 above, changed gnc_split_register_auto_calc to not do anything if given a stock register where the value cell doesn't contain the value. 15. Also related to 9, changed gnc_split_register_save_amount_values to set the amount and value fields in the split correctly when using trading accounts. 16. Changed the new account and edit account dialogs to allow any commodity or currency for an income account if using trading accounts. It would be better to add a new account type for trading accounts, but that's a big deal and I'll leave that for later after we see whether this set of changes is going to be accepted or rejected. 17. Change gnc_xfer_dialog_run_exchange_dialog to understand that the new value is really the split's amount if using trading accounts. 18. Changed xaccSplitGetOtherSplit to ignore trading splits if using commodity exchange accounts. git-svn-id: svn+ssh://svn.gnucash.org/repo/gnucash/trunk@18429 57a11ea4-9604-0410-9ed3-97b8803252fd
2009-11-20 14:11:03 -06:00
{
const char *opt;
kvp_value *kvp_val;
kvp_val = kvp_frame_get_slot_path (qof_book_get_slots (book),
Bug #612212: Provide a method to set the default budget Patch by Jeff Kletsky. (Cstim: Accepted even though string freeze is in effect because it was submitted before the freeze. Also, the string additions are very minor.) Summary of Changes: * Initial story related to providing default budget control * Add a "Budgeting" tab to the book-level preferences dialog * Add a "Default Budget" selector to the "Budgeting" tab * Modify gnc_budget_get_default() to * Respect the new KVP, if present * Fall back to 2.2.x behavior, if not present * Modify gnc:make-budget-option * Reformatted for readability with additional comments * Default is now "#f" so that selected value is always saved Otherwise, if selection happened to be the current default and the default was later changed, the report would change * getter, setter, and generate-restore-form all now consistent * setter now always takes a budget object * generate-restore-form does not rely on "hack" in setter that previously allowed either a budget object or a GUID string This is a different fix for 603215 -- see Known Issues * Provide translation support for "Trading Acccounts" (and "Budgeting") * Refactor #define names for consistency and extensibility * KVP_OPTION_PATH for consistency with Guile usage * OPTION_SECTION_blahblah * OPTION_NAME_blahblah * Modify qofbookslots.h to be "SWIG-aware" * Pick up qofbookslots.h in make-gnucash-potfiles.in and po/POTFILES.in Known Issues: * There is no selection (yet) for "Use default budget" so changing the default budget and reloading a report does not change the budget used * setter is no more robust to "bad" values than in previous code * Budget reports created with 2.3.x after r18528 (between 2.3.8 and 2.3.9) may not load or re-render as they relied on the setter taking either a budget object or a GUID as a string This should not impact any 2.2.x users as nothing was saved under 2.2.x related to the default budget. This can be resolved through removing the option restore code in ~/.gnucash/saved-reports-2.4 and, if affected reports were open, in ~/.gnucash/books/<name_of_book> * Budget reports prior to r18528 did not save budget selection (603215) git-svn-id: svn+ssh://svn.gnucash.org/repo/gnucash/trunk@19123 57a11ea4-9604-0410-9ed3-97b8803252fd
2010-05-06 04:01:46 -05:00
KVP_OPTION_PATH,
OPTION_SECTION_ACCOUNTS,
OPTION_NAME_TRADING_ACCOUNTS,
NULL);
Bug #537476: Implement currency trading accounts optionally, to be enabled per-book. Patch by Mike Alexander: This patch implements trading accounts somewhat as described in Peter Selinger's document at <http://www.mathstat.dal.ca/~selinger/accounting/gnucash.html>. Although he describes it as a multiple currency problem, it really applies to any transactions involving multiple commodities (for example buying or selling a stock) Hence I've called the trading accounts "commodity exchange accounts" which seems more descriptive. In summary these patches add an option to use commodity exchange accounts and if it is on a transaction must be balanced both in value (in the transaction currency) and in each commodity or currency used in any split in the transaction. If a transaction only contains splits in the transaction currency then this is the same rule as Gnucash has always enforced. In this patch, the option to use trading accounts has been moved from Edit->Preferences to File->Properties and is now associated with the active book instead of being a global option. If you have set the global value on in a previous version you will need to set it on again in each file for which you want trading accounts, the previous global setting will be ignored. A more detailed list of changes follows: 1. Added a "Use commodity exchange accounts" per-book option. 2. Added gnc_monetary and MonetaryList data types. 3. Renamed xaccTransGetImbalance to xaccTransGetImbalanceValue and added a new xaccTransGetImbalance that returns a MonetaryList. Also added xaccTransIsBalanced to see if the transaction is balanced without returning a GList that needs to be freed. It calls both xaccTransGetImbalance and xaccTransGetImbalanceValue since a transaction may be unbalanced with regard to either without being unbalanced with regard to the other. 4. Changed gnc_split_register_get_debcred_bg_color to use xaccTransIsBalanced. 5. Changed gnc_split_register_balance_trans to not offer to adjust an existing split if there imbalances in multiple currencies. Because of bugs in the register code this is rarely called. 6. Changed importers to use xaccTransGetImbalanceValue to check for imbalance, assuming that they won't create multiple currency trasactions. 7. Changed xaccTransScrubImbalance to create a balancing split for each imbalanced commodity in the transaction. Also balances the transaction value. The commodity balancing splits go into accounts in the hierarchy Trading:NAMESPACE:COMMODITY. The value balancing splits go into Imbalance-CURRENCY as before. 8. Changed xaccSplitConvertAmount to use xaccTransIsBalanced instead of xaccTransGetImbalance. 9. Changed gnc_split_register_get_debcred_entry to sometimes use the split amount instead of value if using currency accounts. If the register is a stock register (i.e., shows shares and prices), it uses the value if the split is in the register commodity (i.e. is for the stock) and the amount otherwise. It shows the currency symbol unless the commodity is the default currency. If the register is not a stock register it always uses the amount and shows the currency symbol if the split is not in the register commodity. Also changed it to not return a value for a null split unless the transaction is unbalanced in exactly one currency. This is what goes in a blank split as the proposed value. 10. Changed refresh_model_row to use xaccTransGetImbalanceValue to get the imbalance, assuming that importers don't create transactions in multiple currencies. Also same change in gnc_import_process_trans_item, downloaded_transaction_append, and gnc_import_TransInfo_is_balanced. 11. Changed the TRANS_IMBALANCE accessor method in xaccTransRegister to use xaccTransGetImbalanceValue. As far as I can tell this is only used by the "pd-balance" query type in gnc_scm2query_term_query_v1() defined in engine-helpers.c. This query type only tests the result for zero/non-zero. 12. Changed xaccTransGetAccountConvRate to accept any split into the correct commodity instead of insisting on one into the provided account. Then can use it in xaccTransScrubImbalance to set the value of the imbalance split from its amount, however later changed xaccTransScrubImbalance to not use it. Instead it sets the value for the new split correctly to keep the value of the whole transaction balanced. 13. Changed the balance sheet report to include a new option to not compute unrealized gains and losses. 14. Related to 9 above, changed gnc_split_register_auto_calc to not do anything if given a stock register where the value cell doesn't contain the value. 15. Also related to 9, changed gnc_split_register_save_amount_values to set the amount and value fields in the split correctly when using trading accounts. 16. Changed the new account and edit account dialogs to allow any commodity or currency for an income account if using trading accounts. It would be better to add a new account type for trading accounts, but that's a big deal and I'll leave that for later after we see whether this set of changes is going to be accepted or rejected. 17. Change gnc_xfer_dialog_run_exchange_dialog to understand that the new value is really the split's amount if using trading accounts. 18. Changed xaccSplitGetOtherSplit to ignore trading splits if using commodity exchange accounts. git-svn-id: svn+ssh://svn.gnucash.org/repo/gnucash/trunk@18429 57a11ea4-9604-0410-9ed3-97b8803252fd
2009-11-20 14:11:03 -06:00
if (kvp_val == NULL)
return FALSE;
Bug #537476: Implement currency trading accounts optionally, to be enabled per-book. Patch by Mike Alexander: This patch implements trading accounts somewhat as described in Peter Selinger's document at <http://www.mathstat.dal.ca/~selinger/accounting/gnucash.html>. Although he describes it as a multiple currency problem, it really applies to any transactions involving multiple commodities (for example buying or selling a stock) Hence I've called the trading accounts "commodity exchange accounts" which seems more descriptive. In summary these patches add an option to use commodity exchange accounts and if it is on a transaction must be balanced both in value (in the transaction currency) and in each commodity or currency used in any split in the transaction. If a transaction only contains splits in the transaction currency then this is the same rule as Gnucash has always enforced. In this patch, the option to use trading accounts has been moved from Edit->Preferences to File->Properties and is now associated with the active book instead of being a global option. If you have set the global value on in a previous version you will need to set it on again in each file for which you want trading accounts, the previous global setting will be ignored. A more detailed list of changes follows: 1. Added a "Use commodity exchange accounts" per-book option. 2. Added gnc_monetary and MonetaryList data types. 3. Renamed xaccTransGetImbalance to xaccTransGetImbalanceValue and added a new xaccTransGetImbalance that returns a MonetaryList. Also added xaccTransIsBalanced to see if the transaction is balanced without returning a GList that needs to be freed. It calls both xaccTransGetImbalance and xaccTransGetImbalanceValue since a transaction may be unbalanced with regard to either without being unbalanced with regard to the other. 4. Changed gnc_split_register_get_debcred_bg_color to use xaccTransIsBalanced. 5. Changed gnc_split_register_balance_trans to not offer to adjust an existing split if there imbalances in multiple currencies. Because of bugs in the register code this is rarely called. 6. Changed importers to use xaccTransGetImbalanceValue to check for imbalance, assuming that they won't create multiple currency trasactions. 7. Changed xaccTransScrubImbalance to create a balancing split for each imbalanced commodity in the transaction. Also balances the transaction value. The commodity balancing splits go into accounts in the hierarchy Trading:NAMESPACE:COMMODITY. The value balancing splits go into Imbalance-CURRENCY as before. 8. Changed xaccSplitConvertAmount to use xaccTransIsBalanced instead of xaccTransGetImbalance. 9. Changed gnc_split_register_get_debcred_entry to sometimes use the split amount instead of value if using currency accounts. If the register is a stock register (i.e., shows shares and prices), it uses the value if the split is in the register commodity (i.e. is for the stock) and the amount otherwise. It shows the currency symbol unless the commodity is the default currency. If the register is not a stock register it always uses the amount and shows the currency symbol if the split is not in the register commodity. Also changed it to not return a value for a null split unless the transaction is unbalanced in exactly one currency. This is what goes in a blank split as the proposed value. 10. Changed refresh_model_row to use xaccTransGetImbalanceValue to get the imbalance, assuming that importers don't create transactions in multiple currencies. Also same change in gnc_import_process_trans_item, downloaded_transaction_append, and gnc_import_TransInfo_is_balanced. 11. Changed the TRANS_IMBALANCE accessor method in xaccTransRegister to use xaccTransGetImbalanceValue. As far as I can tell this is only used by the "pd-balance" query type in gnc_scm2query_term_query_v1() defined in engine-helpers.c. This query type only tests the result for zero/non-zero. 12. Changed xaccTransGetAccountConvRate to accept any split into the correct commodity instead of insisting on one into the provided account. Then can use it in xaccTransScrubImbalance to set the value of the imbalance split from its amount, however later changed xaccTransScrubImbalance to not use it. Instead it sets the value for the new split correctly to keep the value of the whole transaction balanced. 13. Changed the balance sheet report to include a new option to not compute unrealized gains and losses. 14. Related to 9 above, changed gnc_split_register_auto_calc to not do anything if given a stock register where the value cell doesn't contain the value. 15. Also related to 9, changed gnc_split_register_save_amount_values to set the amount and value fields in the split correctly when using trading accounts. 16. Changed the new account and edit account dialogs to allow any commodity or currency for an income account if using trading accounts. It would be better to add a new account type for trading accounts, but that's a big deal and I'll leave that for later after we see whether this set of changes is going to be accepted or rejected. 17. Change gnc_xfer_dialog_run_exchange_dialog to understand that the new value is really the split's amount if using trading accounts. 18. Changed xaccSplitGetOtherSplit to ignore trading splits if using commodity exchange accounts. git-svn-id: svn+ssh://svn.gnucash.org/repo/gnucash/trunk@18429 57a11ea4-9604-0410-9ed3-97b8803252fd
2009-11-20 14:11:03 -06:00
opt = kvp_value_get_string (kvp_val);
Bug #537476: Implement currency trading accounts optionally, to be enabled per-book. Patch by Mike Alexander: This patch implements trading accounts somewhat as described in Peter Selinger's document at <http://www.mathstat.dal.ca/~selinger/accounting/gnucash.html>. Although he describes it as a multiple currency problem, it really applies to any transactions involving multiple commodities (for example buying or selling a stock) Hence I've called the trading accounts "commodity exchange accounts" which seems more descriptive. In summary these patches add an option to use commodity exchange accounts and if it is on a transaction must be balanced both in value (in the transaction currency) and in each commodity or currency used in any split in the transaction. If a transaction only contains splits in the transaction currency then this is the same rule as Gnucash has always enforced. In this patch, the option to use trading accounts has been moved from Edit->Preferences to File->Properties and is now associated with the active book instead of being a global option. If you have set the global value on in a previous version you will need to set it on again in each file for which you want trading accounts, the previous global setting will be ignored. A more detailed list of changes follows: 1. Added a "Use commodity exchange accounts" per-book option. 2. Added gnc_monetary and MonetaryList data types. 3. Renamed xaccTransGetImbalance to xaccTransGetImbalanceValue and added a new xaccTransGetImbalance that returns a MonetaryList. Also added xaccTransIsBalanced to see if the transaction is balanced without returning a GList that needs to be freed. It calls both xaccTransGetImbalance and xaccTransGetImbalanceValue since a transaction may be unbalanced with regard to either without being unbalanced with regard to the other. 4. Changed gnc_split_register_get_debcred_bg_color to use xaccTransIsBalanced. 5. Changed gnc_split_register_balance_trans to not offer to adjust an existing split if there imbalances in multiple currencies. Because of bugs in the register code this is rarely called. 6. Changed importers to use xaccTransGetImbalanceValue to check for imbalance, assuming that they won't create multiple currency trasactions. 7. Changed xaccTransScrubImbalance to create a balancing split for each imbalanced commodity in the transaction. Also balances the transaction value. The commodity balancing splits go into accounts in the hierarchy Trading:NAMESPACE:COMMODITY. The value balancing splits go into Imbalance-CURRENCY as before. 8. Changed xaccSplitConvertAmount to use xaccTransIsBalanced instead of xaccTransGetImbalance. 9. Changed gnc_split_register_get_debcred_entry to sometimes use the split amount instead of value if using currency accounts. If the register is a stock register (i.e., shows shares and prices), it uses the value if the split is in the register commodity (i.e. is for the stock) and the amount otherwise. It shows the currency symbol unless the commodity is the default currency. If the register is not a stock register it always uses the amount and shows the currency symbol if the split is not in the register commodity. Also changed it to not return a value for a null split unless the transaction is unbalanced in exactly one currency. This is what goes in a blank split as the proposed value. 10. Changed refresh_model_row to use xaccTransGetImbalanceValue to get the imbalance, assuming that importers don't create transactions in multiple currencies. Also same change in gnc_import_process_trans_item, downloaded_transaction_append, and gnc_import_TransInfo_is_balanced. 11. Changed the TRANS_IMBALANCE accessor method in xaccTransRegister to use xaccTransGetImbalanceValue. As far as I can tell this is only used by the "pd-balance" query type in gnc_scm2query_term_query_v1() defined in engine-helpers.c. This query type only tests the result for zero/non-zero. 12. Changed xaccTransGetAccountConvRate to accept any split into the correct commodity instead of insisting on one into the provided account. Then can use it in xaccTransScrubImbalance to set the value of the imbalance split from its amount, however later changed xaccTransScrubImbalance to not use it. Instead it sets the value for the new split correctly to keep the value of the whole transaction balanced. 13. Changed the balance sheet report to include a new option to not compute unrealized gains and losses. 14. Related to 9 above, changed gnc_split_register_auto_calc to not do anything if given a stock register where the value cell doesn't contain the value. 15. Also related to 9, changed gnc_split_register_save_amount_values to set the amount and value fields in the split correctly when using trading accounts. 16. Changed the new account and edit account dialogs to allow any commodity or currency for an income account if using trading accounts. It would be better to add a new account type for trading accounts, but that's a big deal and I'll leave that for later after we see whether this set of changes is going to be accepted or rejected. 17. Change gnc_xfer_dialog_run_exchange_dialog to understand that the new value is really the split's amount if using trading accounts. 18. Changed xaccSplitGetOtherSplit to ignore trading splits if using commodity exchange accounts. git-svn-id: svn+ssh://svn.gnucash.org/repo/gnucash/trunk@18429 57a11ea4-9604-0410-9ed3-97b8803252fd
2009-11-20 14:11:03 -06:00
if (opt && opt[0] == 't' && opt[1] == 0)
return TRUE;
return FALSE;
}
const char*
qof_book_get_string_option(const QofBook* book, const char* opt_name)
{
return kvp_frame_get_string(qof_book_get_slots(book), opt_name);
}
void
qof_book_set_string_option(QofBook* book, const char* opt_name, const char* opt_val)
{
qof_book_begin_edit(book);
kvp_frame_set_string(qof_book_get_slots(book), opt_name, opt_val);
qof_book_mark_dirty(book);
qof_book_commit_edit(book);
}
void
qof_book_begin_edit (QofBook *book)
{
qof_begin_edit(&book->inst);
}
static void commit_err (QofInstance *inst, QofBackendError errcode)
{
PERR ("Failed to commit: %d", errcode);
// gnc_engine_signal_commit_error( errcode );
}
#if 0
static void lot_free(QofInstance* inst)
{
GNCLot* lot = GNC_LOT(inst);
gnc_lot_free(lot);
}
#endif
static void noop (QofInstance *inst) {}
void
qof_book_commit_edit(QofBook *book)
{
if (!qof_commit_edit (QOF_INSTANCE(book))) return;
qof_commit_edit_part2 (&book->inst, commit_err, noop, noop/*lot_free*/);
}
/* QofObject function implementation and registration */
gboolean qof_book_register (void)
{
static QofParam params[] =
{
{ QOF_PARAM_GUID, QOF_TYPE_GUID, (QofAccessFunc)qof_entity_get_guid, NULL },
{ QOF_PARAM_KVP, QOF_TYPE_KVP, (QofAccessFunc)qof_instance_get_slots, NULL },
{ NULL },
};
qof_class_register (QOF_ID_BOOK, NULL, params);
return TRUE;
}
/* ========================== END OF FILE =============================== */