Ultimately I would like to make it possible to configure the software
entirely through this file, rather than the hodgepodge system we have
now. But that can come later.
payment-report and accrual-report query to find the last date a
series of postings had a non/zero balance. This method is a good
building block for that.
This is something reporting tools will want a lot. This will make it
easier for them to look at just postings without worrying about the
parent transaction.
See docstring for full rationale. This greatly reduces the need for other
plugin code to handle the case of `post.units.number is None`, eliminating
the need for entire methods and letting it do plain numeric comparisons.
This lets us import the plugin module without importing all of the included
hooks. This provides better isolation and error reporting in case there's
something like a syntax problem in one of the hooks: it doesn't cause
importing any plugin module to fail.
Extend the base class from checking 1 metadata value to checking N.
This is preparation for RT#10643, letting payables be documented with
invoice or contract.
This does unify error reporting, because now we always report all
type/invalid value errors *plus* a missing error if appropriate.
I think this consistency and thoroughness is appropriate, although
it did require some adjustments to the tests.
When we send checks, we don't have a check document anywhere (for
security reasons), we just note the check number. Update the
validation to match. RT#10507.
The main impetus of this change is to rename accounts that were outside
Beancount's accepted five root accounts, to move them into that
structure. This includes:
Accrued:*Payable: → Liabilities:Payable:*
Accrued:*Receivable: → Assets:Receivable:*
UneanedIncome:* → Liabilities:UnearnedIncome:*
Note the last change did inspire in a change to our validation rules. We no
longer require income-type on unearned income, because it's no longer
considered income at all. Once it's earned and converted to an Income
account, that has an income-type of course.
This did inspire another rename that was not required, but
provided more consistency with the other account names above:
Assets:Prepaid* → Assets:Prepaid:*
Where applicable, I have generally extended tests to make sure one of each
of the five account types is tested. (This mostly meant adding an Equity
account to the tests.) I also added tests for key parts of the hierarchy,
like Assets:Receivable and Liabilities:Payable, where applicable.
As part of this change, Account.is_real_asset() got renamed to
Account.is_cash_equivalent(), to better self-document its purpose.