{-| A ledger-compatible @balance@ command, with additional support for multi-column reports. Here is a description/specification for the balance command. See also "Hledger.Reports" -> \"Balance reports\". /Basic balance report/ With no report interval (@--monthly@ etc.), hledger's balance command emulates ledger's, showing accounts indented according to hierarchy, along with their total amount posted (including subaccounts). Here's an example. With @examples/sample.journal@, which defines the following account tree: @ assets bank checking saving cash expenses food supplies income gifts salary liabilities debts @ the basic @balance@ command gives this output: @ $ hledger -f sample.journal balance $-1 assets $1 bank:saving $-2 cash $2 expenses $1 food $1 supplies $-2 income $-1 gifts $-1 salary $1 liabilities:debts -------------------- 0 @ Subaccounts are displayed indented below their parent. Only the account leaf name (the final part) is shown. (With @--flat@, account names are shown in full and unindented.) Each account's \"balance\" is the sum of postings in that account and any subaccounts during the report period. When the report period includes all transactions, this is equivalent to the account's current balance. The overall total of the highest-level displayed accounts is shown below the line. (The @--no-total/-N@ flag prevents this.) /Eliding and omitting/ Accounts which have a zero balance, and no non-zero subaccount balances, are normally omitted from the report. (The @--empty/-E@ flag forces such accounts to be displayed.) Eg, above @checking@ is omitted because it has a zero balance and no subaccounts. Accounts which have a single subaccount also being displayed, with the same balance, are normally elided into the subaccount's line. (The @--no-elide@ flag prevents this.) Eg, above @bank@ is elided to @bank:saving@ because it has only a single displayed subaccount (@saving@) and their balance is the same ($1). Similarly, @liabilities@ is elided to @liabilities:debts@. /Date limiting/ The default report period is that of the whole journal, including all known transactions. The @--begin\/-b@, @--end\/-e@, @--period\/-p@ options or @date:@/@date2:@ patterns can be used to report only on transactions before and/or after specified dates. /Depth limiting/ The @--depth@ option can be used to limit the depth of the balance report. Eg, to see just the top level accounts (still including their subaccount balances): @ $ hledger -f sample.journal balance --depth 1 $-1 assets $2 expenses $-2 income $1 liabilities -------------------- 0 @ /Account limiting/ With one or more account pattern arguments, the report is restricted to accounts whose name matches one of the patterns, plus their parents and subaccounts. Eg, adding the pattern @o@ to the first example gives: @ $ hledger -f sample.journal balance o $1 expenses:food $-2 income $-1 gifts $-1 salary -------------------- $-1 @ * The @o@ pattern matched @food@ and @income@, so they are shown. * @food@'s parent (@expenses@) is shown even though the pattern didn't match it, to clarify the hierarchy. The usual eliding rules cause it to be elided here. * @income@'s subaccounts are also shown. /Multi-column balance report/ hledger's balance command will show multiple columns when a reporting interval is specified (eg with @--monthly@), one column for each sub-period. There are three kinds of multi-column balance report, indicated by the heading: * A \"period balance\" (or \"flow\") report (the default) shows the change of account balance in each period, which is equivalent to the sum of postings in each period. Here, checking's balance increased by 10 in Feb: > Change of balance (flow): > > Jan Feb Mar > assets:checking 20 10 -5 * A \"cumulative balance\" report (with @--cumulative@) shows the accumulated ending balance across periods, starting from zero at the report's start date. Here, 30 is the sum of checking postings during Jan and Feb: > Ending balance (cumulative): > > Jan Feb Mar > assets:checking 20 30 25 * A \"historical balance\" report (with @--historical/-H@) also shows ending balances, but it includes the starting balance from any postings before the report start date. Here, 130 is the balance from all checking postings at the end of Feb, including pre-Jan postings which created a starting balance of 100: > Ending balance (historical): > > Jan Feb Mar > assets:checking 120 130 125 /Eliding and omitting, 2/ Here's a (imperfect?) specification for the eliding/omitting behaviour: * Each account is normally displayed on its own line. * An account less deep than the report's max depth, with just one interesting subaccount, and the same balance as the subaccount, is non-interesting, and prefixed to the subaccount's line, unless @--no-elide@ is in effect. * An account with a zero inclusive balance and less than two interesting subaccounts is not displayed at all, unless @--empty@ is in effect. * Multi-column balance reports show full account names with no eliding (like @--flat@). Accounts (and periods) are omitted as described below. /Which accounts to show in balance reports/ By default: * single-column: accounts with non-zero balance in report period. (With @--flat@: accounts with non-zero balance and postings.) * periodic: accounts with postings and non-zero period balance in any period * cumulative: accounts with non-zero cumulative balance in any period * historical: accounts with non-zero historical balance in any period With @-E/--empty@: * single-column: accounts with postings in report period * periodic: accounts with postings in report period * cumulative: accounts with postings in report period * historical: accounts with non-zero starting balance + accounts with postings in report period /Which periods (columns) to show in balance reports/ An empty period/column is one where no report account has any postings. A zero period/column is one where no report account has a non-zero period balance. Currently, by default: * single-column: N/A * periodic: all periods within the overall report period, except for leading and trailing empty periods * cumulative: all periods within the overall report period, except for leading and trailing empty periods * historical: all periods within the overall report period, except for leading and trailing empty periods With @-E/--empty@: * single-column: N/A * periodic: all periods within the overall report period * cumulative: all periods within the overall report period * historical: all periods within the overall report period /What to show in empty cells/ An empty periodic balance report cell is one which has no corresponding postings. An empty cumulative/historical balance report cell is one which has no correponding or prior postings, ie the account doesn't exist yet. Currently, empty cells show 0. -} {-# LANGUAGE OverloadedStrings #-} module Hledger.Cli.Commands.Balance ( balancemode ,balance ,balanceReportAsText ,balanceReportItemAsText ,multiBalanceReportAsText ,multiBalanceReportAsCsv ,renderBalanceReportTable ,balanceReportAsTable ,tests_Hledger_Cli_Commands_Balance ) where import Data.List (intercalate, nub) import Data.Maybe import qualified Data.Map as Map -- import Data.Monoid import qualified Data.Text as T import System.Console.CmdArgs.Explicit as C import Data.Decimal (roundTo) import Text.CSV import Test.HUnit import Text.Printf (printf) import Text.Tabular as T import Text.Tabular.AsciiWide import Hledger import Hledger.Cli.CliOptions import Hledger.Cli.Utils -- | Command line options for this command. balancemode = (defCommandMode $ ["balance"] ++ aliases) { -- also accept but don't show the common bal alias modeHelp = "show accounts and balances" `withAliases` aliases ,modeGroupFlags = C.Group { groupUnnamed = [ flagNone ["change"] (\opts -> setboolopt "change" opts) "show balance change in each period (default)" ,flagNone ["cumulative"] (\opts -> setboolopt "cumulative" opts) "show balance change accumulated across periods (in multicolumn reports)" ,flagNone ["historical","H"] (\opts -> setboolopt "historical" opts) "show historical ending balance in each period (includes postings before report start date)\n " ,flagNone ["tree"] (\opts -> setboolopt "tree" opts) "show accounts as a tree; amounts include subaccounts (default in simple reports)" ,flagNone ["flat"] (\opts -> setboolopt "flat" opts) "show accounts as a list; amounts exclude subaccounts except when account is depth-clipped (default in multicolumn reports)\n " ,flagNone ["average","A"] (\opts -> setboolopt "average" opts) "show a row average column (in multicolumn reports)" ,flagNone ["row-total","T"] (\opts -> setboolopt "row-total" opts) "show a row total column (in multicolumn reports)" ,flagNone ["no-total","N"] (\opts -> setboolopt "no-total" opts) "omit the final total row" ,flagReq ["drop"] (\s opts -> Right $ setopt "drop" s opts) "N" "omit N leading account name parts (in flat mode)" ,flagNone ["no-elide"] (\opts -> setboolopt "no-elide" opts) "don't squash boring parent accounts (in tree mode)" ,flagReq ["format"] (\s opts -> Right $ setopt "format" s opts) "FORMATSTR" "use this custom line format (in simple reports)" ,flagNone ["pretty-tables"] (\opts -> setboolopt "pretty-tables" opts) "use unicode to display prettier tables" ,flagNone ["sort-amount","S"] (\opts -> setboolopt "sort-amount" opts) "sort by amount instead of account name (in flat mode). With multiple columns, sorts by the row total, or by row average if that is displayed." ,flagNone ["budget"] (setboolopt "budget") "show performance compared to budget goals defined by periodic transactions" ,flagNone ["show-unbudgeted"] (setboolopt "show-unbudgeted") "with --budget, show unbudgeted accounts also" ] ++ outputflags ,groupHidden = [] ,groupNamed = [generalflagsgroup1] } } where aliases = ["b","bal"] -- | The balance command, prints a balance report. balance :: CliOpts -> Journal -> IO () balance opts@CliOpts{rawopts_=rawopts,reportopts_=ropts} j = do d <- getCurrentDay case lineFormatFromOpts ropts of Left err -> error' $ unlines [err] Right _ -> do let format = outputFormatFromOpts opts interval = interval_ ropts -- XXX shenanigans: use singleBalanceReport or multiBalanceReport when we must, -- ie when there's a report interval, or when --historical or --cumulative -- are used (balanceReport doesn't handle those). -- Otherwise prefer the older balanceReport since it can elide boring parents. -- See also compoundBalanceCommandSingleColumnReport, singleBalanceReport etc. case interval of NoInterval -> do let report -- For --historical/--cumulative, we must use multiBalanceReport. -- (This forces --no-elide.) | balancetype_ ropts `elem` [HistoricalBalance, CumulativeChange] = let ropts' | flat_ ropts = ropts | otherwise = ropts{accountlistmode_=ALTree} in singleBalanceReport ropts' (queryFromOpts d ropts) j | otherwise = balanceReport ropts (queryFromOpts d ropts) j render = case format of "csv" -> \ropts r -> (++ "\n") $ printCSV $ balanceReportAsCsv ropts r _ -> balanceReportAsText writeOutput opts $ render ropts report _ | boolopt "budget" rawopts -> do let budget = budgetJournal opts j j' = budgetRollUp opts budget j report = multiBalanceReport ropts (queryFromOpts d ropts) j' budgetReport = multiBalanceReport ropts (queryFromOpts d ropts) budget render = case format of -- XXX: implement csv rendering "csv" -> (++ "\n") . printCSV . multiBalanceReportAsCsv ropts _ -> multiBalanceReportWithBudgetAsText ropts budgetReport writeOutput opts $ render report | otherwise -> do let report = multiBalanceReport ropts (queryFromOpts d ropts) j render = case format of "csv" -> (++ "\n") . printCSV . multiBalanceReportAsCsv ropts _ -> multiBalanceReportAsText ropts writeOutput opts $ render report -- | Re-map account names to closet parent with periodic transaction from budget. -- Accounts that dont have suitable parent are either remapped to ":topAccount" -- or left as-is if --show-unbudgeted is provided budgetRollUp :: CliOpts -> Journal -> Journal -> Journal budgetRollUp CliOpts{rawopts_=rawopts} budget j = j { jtxns = remapTxn <$> jtxns j } where budgetAccounts = nub $ concatMap (map paccount . ptpostings) $ jperiodictxns budget remapAccount origAcctName = remapAccount' origAcctName where remapAccount' acctName | acctName `elem` budgetAccounts = acctName | otherwise = case parentAccountName acctName of "" | boolopt "show-unbudgeted" rawopts -> origAcctName | otherwise -> T.append (T.pack ":") acctName parent -> remapAccount' parent remapPosting p = p { paccount = remapAccount $ paccount p, porigin = Just . fromMaybe p $ porigin p } remapTxn = mapPostings (map remapPosting) mapPostings f t = txnTieKnot $ t { tpostings = f $ tpostings t } -- | Generate journal of all periodic transactions in the given journal for the -- entireity of its history or reporting period, whatever is smaller budgetJournal :: CliOpts -> Journal -> Journal budgetJournal opts j = journalBalanceTransactions' opts j { jtxns = budget } where dates = spanIntersect (jdatespan j) (periodAsDateSpan $ period_ $ reportopts_ opts) budget = [makeBudget t | pt <- jperiodictxns j, t <- runPeriodicTransaction pt dates] makeBudget t = txnTieKnot $ t { tdescription = T.pack "Budget transaction" } journalBalanceTransactions' opts j = let assrt = not . ignore_assertions_ $ inputopts_ opts in either error' id $ journalBalanceTransactions assrt j -- single-column balance reports -- | Find the best commodity to convert to when asked to show the -- market value of this commodity on the given date. That is, the one -- in which it has most recently been market-priced, ie the commodity -- mentioned in the most recent applicable historical price directive -- before this date. -- defaultValuationCommodity :: Journal -> Day -> CommoditySymbol -> Maybe CommoditySymbol -- defaultValuationCommodity j d c = mpamount <$> commodityValue j d c -- | Render a single-column balance report as CSV. balanceReportAsCsv :: ReportOpts -> BalanceReport -> CSV balanceReportAsCsv opts (items, total) = ["account","balance"] : [[T.unpack a, showMixedAmountOneLineWithoutPrice b] | (a, _, _, b) <- items] ++ if no_total_ opts then [] else [["total", showMixedAmountOneLineWithoutPrice total]] -- | Render a single-column balance report as plain text. balanceReportAsText :: ReportOpts -> BalanceReport -> String balanceReportAsText opts ((items, total)) = unlines $ concat lines ++ t where fmt = lineFormatFromOpts opts lines = case fmt of Right fmt -> map (balanceReportItemAsText opts fmt) items Left err -> [[err]] t = if no_total_ opts then [] else case fmt of Right fmt -> let -- abuse renderBalanceReportItem to render the total with similar format acctcolwidth = maximum' [T.length fullname | (fullname, _, _, _) <- items] totallines = map rstrip $ renderBalanceReportItem opts fmt (T.replicate (acctcolwidth+1) " ", 0, total) -- with a custom format, extend the line to the full report width; -- otherwise show the usual 20-char line for compatibility overlinewidth | isJust (format_ opts) = maximum' $ map length $ concat lines | otherwise = defaultTotalFieldWidth overline = replicate overlinewidth '-' in overline : totallines Left _ -> [] tests_balanceReportAsText = [ "balanceReportAsText" ~: do -- "unicode in balance layout" ~: do j <- readJournal' "2009/01/01 * медвежья шкура\n расходы:покупки 100\n актив:наличные\n" let opts = defreportopts balanceReportAsText opts (balanceReport opts (queryFromOpts (parsedate "2008/11/26") opts) j) `is` unlines [" -100 актив:наличные" ," 100 расходы:покупки" ,"--------------------" ," 0" ] ] {- :r This implementation turned out to be a bit convoluted but implements the following algorithm for formatting: - If there is a single amount, print it with the account name directly: - Otherwise, only print the account name on the last line. a USD 1 ; Account 'a' has a single amount EUR -1 b USD -1 ; Account 'b' has two amounts. The account name is printed on the last line. -} -- | Render one balance report line item as plain text suitable for console output (or -- whatever string format is specified). Note, prices will not be rendered, and -- differently-priced quantities of the same commodity will appear merged. -- The output will be one or more lines depending on the format and number of commodities. balanceReportItemAsText :: ReportOpts -> StringFormat -> BalanceReportItem -> [String] balanceReportItemAsText opts fmt (_, accountName, depth, amt) = renderBalanceReportItem opts fmt ( maybeAccountNameDrop opts accountName, depth, normaliseMixedAmountSquashPricesForDisplay amt ) -- | Render a balance report item using the given StringFormat, generating one or more lines of text. renderBalanceReportItem :: ReportOpts -> StringFormat -> (AccountName, Int, MixedAmount) -> [String] renderBalanceReportItem opts fmt (acctname, depth, total) = lines $ case fmt of OneLine comps -> concatOneLine $ render1 comps TopAligned comps -> concatBottomPadded $ render comps BottomAligned comps -> concatTopPadded $ render comps where render1 = map (renderComponent1 opts (acctname, depth, total)) render = map (renderComponent opts (acctname, depth, total)) defaultTotalFieldWidth = 20 -- | Render one StringFormat component for a balance report item. renderComponent :: ReportOpts -> (AccountName, Int, MixedAmount) -> StringFormatComponent -> String renderComponent _ _ (FormatLiteral s) = s renderComponent opts (acctname, depth, total) (FormatField ljust min max field) = case field of DepthSpacerField -> formatString ljust Nothing max $ replicate d ' ' where d = case min of Just m -> depth * m Nothing -> depth AccountField -> formatString ljust min max (T.unpack acctname) TotalField -> fitStringMulti min max True False $ showamt total where showamt | color_ opts = cshowMixedAmountWithoutPrice | otherwise = showMixedAmountWithoutPrice _ -> "" -- | Render one StringFormat component for a balance report item. -- This variant is for use with OneLine string formats; it squashes -- any multi-line rendered values onto one line, comma-and-space separated, -- while still complying with the width spec. renderComponent1 :: ReportOpts -> (AccountName, Int, MixedAmount) -> StringFormatComponent -> String renderComponent1 _ _ (FormatLiteral s) = s renderComponent1 opts (acctname, depth, total) (FormatField ljust min max field) = case field of AccountField -> formatString ljust min max ((intercalate ", " . lines) (indented (T.unpack acctname))) where -- better to indent the account name here rather than use a DepthField component -- so that it complies with width spec. Uses a fixed indent step size. indented = ((replicate (depth*2) ' ')++) TotalField -> fitStringMulti min max True False $ ((intercalate ", " . map strip . lines) (showamt total)) where showamt | color_ opts = cshowMixedAmountWithoutPrice | otherwise = showMixedAmountWithoutPrice _ -> "" -- multi-column balance reports -- | Render a multi-column balance report as CSV. multiBalanceReportAsCsv :: ReportOpts -> MultiBalanceReport -> CSV multiBalanceReportAsCsv opts (MultiBalanceReport (colspans, items, (coltotals,tot,avg))) = ("account" : "short account" : "indent" : map showDateSpan colspans ++ (if row_total_ opts then ["total"] else []) ++ (if average_ opts then ["average"] else []) ) : [T.unpack a : T.unpack a' : show i : map showMixedAmountOneLineWithoutPrice (amts ++ (if row_total_ opts then [rowtot] else []) ++ (if average_ opts then [rowavg] else [])) | (a,a',i, amts, rowtot, rowavg) <- items] ++ if no_total_ opts then [] else [["totals", "", ""] ++ map showMixedAmountOneLineWithoutPrice ( coltotals ++ (if row_total_ opts then [tot] else []) ++ (if average_ opts then [avg] else []) )] -- | Render a multi-column balance report as plain text suitable for console output. multiBalanceReportAsText :: ReportOpts -> MultiBalanceReport -> String multiBalanceReportAsText opts r = printf "%s in %s:\n\n" typeStr (showDateSpan $ multiBalanceReportSpan r) ++ renderBalanceReportTable opts tabl where tabl = balanceReportAsTable opts r typeStr :: String typeStr = case balancetype_ opts of PeriodChange -> "Balance changes" CumulativeChange -> "Ending balances (cumulative)" HistoricalBalance -> "Ending balances (historical)" -- | Render two multi-column balance reports as plain text suitable for console output. -- They are assumed to have same number of columns, one of them representing -- a budget multiBalanceReportWithBudgetAsText :: ReportOpts -> MultiBalanceReport -> MultiBalanceReport -> String multiBalanceReportWithBudgetAsText opts budget r = printf "%s in %s:\n\n" typeStr (showDateSpan $ multiBalanceReportSpan r) ++ renderBalanceReportTable' opts showcell tabl where tabl = combine (balanceReportAsTable opts r) (balanceReportAsTable opts budget) typeStr :: String typeStr = case balancetype_ opts of PeriodChange -> "Balance changes" CumulativeChange -> "Ending balances (cumulative)" HistoricalBalance -> "Ending balances (historical)" showcell (real, Nothing) = showamt real showcell (real, Just budget) = case percentage real budget of Just pct -> printf "%s [%s%% of %s]" (showamt real) (show $ roundTo 0 pct) (showamt budget) Nothing -> printf "%s [%s]" (showamt real) (showamt budget) percentage real budget = -- percentage of budget consumed is always computed in the cost basis case (toCost real, toCost budget) of (Mixed [a1], Mixed [a2]) | isReallyZeroAmount a1 -> Just 0 -- if there are no postings, we consumed 0% of budget | acommodity a1 == acommodity a2 && aquantity a2 /= 0 -> Just $ 100 * aquantity a1 / aquantity a2 _ -> Nothing where toCost = normaliseMixedAmount . costOfMixedAmount showamt | color_ opts = cshowMixedAmountOneLineWithoutPrice | otherwise = showMixedAmountOneLineWithoutPrice -- combine reportTable budgetTable will combine them into a single table where cells -- are tuples of (actual, Maybe budget) numbers. Main assumptions is that -- row/column titles of budgetTable are subset of row/column titles or reportTable, -- and there are now row/column titles in budgetTable that are not mentioned in reporTable. -- Both of these are satisfied by construction of budget report and process of rolling up -- account names. combine (Table l t d) (Table l' t' d') = Table l t combinedRows where -- For all accounts that are present in the budget, zip real amounts with budget amounts combinedRows = [ combineRow row budgetRow | (acct, row) <- zip (headerContents l) d , let budgetRow = if acct == "" then [] -- "" is totals row else fromMaybe [] $ Map.lookup acct budgetAccts ] -- Budget could cover smaller interval of time than the whole journal. -- Headers for budget row will always be a sublist of headers of row combineRow r br = let reportRow = zip (headerContents t) r budgetRow = Map.fromList $ zip (headerContents t') br findBudgetVal hdr = Map.lookup hdr budgetRow in map (\(hdr, val) -> (val, findBudgetVal hdr)) reportRow budgetAccts = Map.fromList $ zip (headerContents l') d' -- | Given a table representing a multi-column balance report (for example, -- made using 'balanceReportAsTable'), render it in a format suitable for -- console output. renderBalanceReportTable :: ReportOpts -> Table String String MixedAmount -> String renderBalanceReportTable ropts = renderBalanceReportTable' ropts showamt where showamt | color_ ropts = cshowMixedAmountOneLineWithoutPrice | otherwise = showMixedAmountOneLineWithoutPrice renderBalanceReportTable' :: ReportOpts -> (a -> String) -> Table String String a -> String renderBalanceReportTable' (ReportOpts { pretty_tables_ = pretty}) showCell = unlines . addtrailingblank . trimborder . lines . render pretty id id showCell . align where addtrailingblank = (++[""]) trimborder = drop 1 . init . map (drop 1 . init) align (Table l t d) = Table l' t d where acctswidth = maximum' $ map strWidth (headerContents l) l' = padRightWide acctswidth <$> l -- | Build a 'Table' from a multi-column balance report. balanceReportAsTable :: ReportOpts -> MultiBalanceReport -> Table String String MixedAmount balanceReportAsTable opts (MultiBalanceReport (colspans, items, (coltotals,tot,avg))) = addtotalrow $ Table (T.Group NoLine $ map Header accts) (T.Group NoLine $ map Header colheadings) (map rowvals items) where mkDate = case balancetype_ opts of PeriodChange -> showDateSpan _ -> maybe "" (showDate . prevday) . spanEnd colheadings = map mkDate colspans ++ (if row_total_ opts then [" Total"] else []) ++ (if average_ opts then ["Average"] else []) accts = map renderacct items renderacct (a,a',i,_,_,_) | tree_ opts = replicate ((i-1)*2) ' ' ++ T.unpack a' | otherwise = T.unpack $ maybeAccountNameDrop opts a rowvals (_,_,_,as,rowtot,rowavg) = as ++ (if row_total_ opts then [rowtot] else []) ++ (if average_ opts then [rowavg] else []) addtotalrow | no_total_ opts = id | otherwise = (+----+ (row "" $ coltotals ++ (if row_total_ opts && not (null coltotals) then [tot] else []) ++ (if average_ opts && not (null coltotals) then [avg] else []) )) -- | Figure out the overall date span of a multicolumn balance report. multiBalanceReportSpan :: MultiBalanceReport -> DateSpan multiBalanceReportSpan (MultiBalanceReport ([], _, _)) = DateSpan Nothing Nothing multiBalanceReportSpan (MultiBalanceReport (colspans, _, _)) = DateSpan (spanStart $ head colspans) (spanEnd $ last colspans) tests_Hledger_Cli_Commands_Balance = TestList tests_balanceReportAsText