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							- <?php
 - 
 - namespace App\Services;
 - 
 - use App\Enums\Accounting\AccountCategory;
 - use App\Models\Accounting\Account;
 - use App\Models\Accounting\Bill;
 - use App\Models\Accounting\Invoice;
 - use App\Models\Accounting\Transaction;
 - use App\Repositories\Accounting\JournalEntryRepository;
 - use App\Utilities\Currency\CurrencyAccessor;
 - use App\ValueObjects\Money;
 - use Closure;
 - use Illuminate\Database\Eloquent\Builder;
 - use Illuminate\Database\Query\JoinClause;
 - use Illuminate\Support\Facades\DB;
 - 
 - class AccountService
 - {
 -     public function __construct(
 -         protected JournalEntryRepository $journalEntryRepository
 -     ) {}
 - 
 -     public function getDebitBalance(Account $account, string $startDate, string $endDate): Money
 -     {
 -         $query = $this->getAccountBalances($startDate, $endDate, [$account->id])->first();
 - 
 -         return new Money($query->total_debit, $account->currency_code);
 -     }
 - 
 -     public function getCreditBalance(Account $account, string $startDate, string $endDate): Money
 -     {
 -         $query = $this->getAccountBalances($startDate, $endDate, [$account->id])->first();
 - 
 -         return new Money($query->total_credit, $account->currency_code);
 -     }
 - 
 -     public function getNetMovement(Account $account, string $startDate, string $endDate): Money
 -     {
 -         $query = $this->getAccountBalances($startDate, $endDate, [$account->id])->first();
 - 
 -         $netMovement = $this->calculateNetMovementByCategory(
 -             $account->category,
 -             $query->total_debit ?? 0,
 -             $query->total_credit ?? 0
 -         );
 - 
 -         return new Money($netMovement, $account->currency_code);
 -     }
 - 
 -     public function getStartingBalance(Account $account, string $startDate, bool $override = false): ?Money
 -     {
 -         if ($override === false && $account->category->isNominal()) {
 -             return null;
 -         }
 - 
 -         $query = $this->getAccountBalances($startDate, $startDate, [$account->id])->first();
 - 
 -         return new Money($query->starting_balance ?? 0, $account->currency_code);
 -     }
 - 
 -     public function getEndingBalance(Account $account, string $startDate, string $endDate): ?Money
 -     {
 -         $query = $this->getAccountBalances($startDate, $endDate, [$account->id])->first();
 - 
 -         $netMovement = $this->calculateNetMovementByCategory(
 -             $account->category,
 -             $query->total_debit ?? 0,
 -             $query->total_credit ?? 0
 -         );
 - 
 -         if ($account->category->isNominal()) {
 -             return new Money($netMovement, $account->currency_code);
 -         }
 - 
 -         $endingBalance = ($query->starting_balance ?? 0) + $netMovement;
 - 
 -         return new Money($endingBalance, $account->currency_code);
 -     }
 - 
 -     public function calculateNetMovementByCategory(AccountCategory $category, int $debitBalance, int $creditBalance): int
 -     {
 -         if ($category->isNormalDebitBalance()) {
 -             return $debitBalance - $creditBalance;
 -         } else {
 -             return $creditBalance - $debitBalance;
 -         }
 -     }
 - 
 -     public function getBalances(Account $account, string $startDate, string $endDate): array
 -     {
 -         $query = $this->getAccountBalances($startDate, $endDate, [$account->id])->first();
 - 
 -         $needStartingBalances = $account->category->isReal();
 - 
 -         $netMovement = $this->calculateNetMovementByCategory(
 -             $account->category,
 -             $query->total_debit ?? 0,
 -             $query->total_credit ?? 0
 -         );
 - 
 -         $balances = [
 -             'debit_balance' => $query->total_debit,
 -             'credit_balance' => $query->total_credit,
 -             'net_movement' => $netMovement,
 -             'starting_balance' => $needStartingBalances ? ($query->starting_balance ?? 0) : null,
 -             'ending_balance' => $needStartingBalances
 -                 ? ($query->starting_balance ?? 0) + $netMovement
 -                 : $netMovement, // For nominal accounts, ending balance is just the net movement
 -         ];
 - 
 -         // Return balances, filtering out any null values
 -         return array_filter($balances, static fn ($value) => $value !== null);
 -     }
 - 
 -     public function getTransactionDetailsSubquery(string $startDate, string $endDate, ?string $entityId = null): Closure
 -     {
 -         return static function ($query) use ($startDate, $endDate, $entityId) {
 -             $query->select(
 -                 'journal_entries.id',
 -                 'journal_entries.account_id',
 -                 'journal_entries.transaction_id',
 -                 'journal_entries.type',
 -                 'journal_entries.amount',
 -                 'journal_entries.description',
 -                 DB::raw('journal_entries.amount * IF(journal_entries.type = "debit", 1, -1) AS signed_amount')
 -             )
 -                 ->whereBetween('transactions.posted_at', [$startDate, $endDate])
 -                 ->join('transactions', 'transactions.id', '=', 'journal_entries.transaction_id')
 -                 ->orderBy('transactions.posted_at')
 -                 ->with('transaction:id,type,description,posted_at,is_payment,transactionable_id,transactionable_type');
 - 
 -             if ($entityId) {
 -                 $entityId = (int) $entityId;
 -                 if ($entityId < 0) {
 -                     $query->whereHas('transaction', function ($query) use ($entityId) {
 -                         $query->whereHasMorph('transactionable', [Bill::class], function ($query) use ($entityId) {
 -                             $query->where('vendor_id', abs($entityId));
 -                         });
 -                     });
 -                 } else {
 -                     $query->whereHas('transaction', function ($query) use ($entityId) {
 -                         $query->whereHasMorph('transactionable', [Invoice::class], function ($query) use ($entityId) {
 -                             $query->where('client_id', $entityId);
 -                         });
 -                     });
 -                 }
 -             }
 -         };
 -     }
 - 
 -     public function getAccountBalances(string $startDate, string $endDate, array $accountIds = []): Builder
 -     {
 -         $accountIds = array_map('intval', $accountIds);
 - 
 -         $query = Account::query()
 -             ->select([
 -                 'accounts.id',
 -                 'accounts.name',
 -                 'accounts.category',
 -                 'accounts.type',
 -                 'accounts.subtype_id',
 -                 'accounts.currency_code',
 -                 'accounts.code',
 -             ])
 -             ->addSelect([
 -                 DB::raw("
 -                     COALESCE(
 -                         IF(accounts.category IN ('asset', 'expense'),
 -                             SUM(IF(journal_entries.type = 'debit' AND transactions.posted_at < ?, journal_entries.amount, 0)) -
 -                             SUM(IF(journal_entries.type = 'credit' AND transactions.posted_at < ?, journal_entries.amount, 0)),
 -                             SUM(IF(journal_entries.type = 'credit' AND transactions.posted_at < ?, journal_entries.amount, 0)) -
 -                             SUM(IF(journal_entries.type = 'debit' AND transactions.posted_at < ?, journal_entries.amount, 0))
 -                         ), 0
 -                     ) AS starting_balance
 -                 "),
 -                 DB::raw("
 -                     COALESCE(SUM(
 -                         IF(journal_entries.type = 'debit' AND transactions.posted_at BETWEEN ? AND ?, journal_entries.amount, 0)
 -                     ), 0) AS total_debit
 -                 "),
 -                 DB::raw("
 -                     COALESCE(SUM(
 -                         IF(journal_entries.type = 'credit' AND transactions.posted_at BETWEEN ? AND ?, journal_entries.amount, 0)
 -                     ), 0) AS total_credit
 -                 "),
 -             ])
 -             ->join('journal_entries', 'journal_entries.account_id', '=', 'accounts.id')
 -             ->join('transactions', function (JoinClause $join) use ($endDate) {
 -                 $join->on('transactions.id', '=', 'journal_entries.transaction_id')
 -                     ->where('transactions.posted_at', '<=', $endDate);
 -             })
 -             ->groupBy([
 -                 'accounts.id',
 -                 'accounts.name',
 -                 'accounts.category',
 -                 'accounts.type',
 -                 'accounts.subtype_id',
 -                 'accounts.currency_code',
 -                 'accounts.code',
 -             ])
 -             ->with(['subtype:id,name,inverse_cash_flow']);
 - 
 -         if (! empty($accountIds)) {
 -             $query->whereIn('accounts.id', $accountIds);
 -         }
 - 
 -         $query->addBinding([$startDate, $startDate, $startDate, $startDate, $startDate, $endDate, $startDate, $endDate], 'select');
 - 
 -         return $query;
 -     }
 - 
 -     public function getCashFlowAccountBalances(string $startDate, string $endDate, array $accountIds = []): Builder
 -     {
 -         $accountIds = array_map('intval', $accountIds);
 - 
 -         $query = Account::query()
 -             ->select([
 -                 'accounts.id',
 -                 'accounts.name',
 -                 'accounts.category',
 -                 'accounts.type',
 -                 'accounts.subtype_id',
 -                 'accounts.currency_code',
 -                 'accounts.code',
 -             ])
 -             ->addSelect([
 -                 DB::raw("
 -                     COALESCE(
 -                         IF(accounts.category IN ('asset', 'expense'),
 -                             SUM(IF(journal_entries.type = 'debit' AND transactions.posted_at < ?, journal_entries.amount, 0)) -
 -                             SUM(IF(journal_entries.type = 'credit' AND transactions.posted_at < ?, journal_entries.amount, 0)),
 -                             SUM(IF(journal_entries.type = 'credit' AND transactions.posted_at < ?, journal_entries.amount, 0)) -
 -                             SUM(IF(journal_entries.type = 'debit' AND transactions.posted_at < ?, journal_entries.amount, 0))
 -                         ), 0
 -                     ) AS starting_balance
 -                 "),
 -                 DB::raw("
 -                     COALESCE(SUM(
 -                         IF(journal_entries.type = 'debit' AND transactions.posted_at BETWEEN ? AND ?, journal_entries.amount, 0)
 -                     ), 0) AS total_debit
 -                 "),
 -                 DB::raw("
 -                     COALESCE(SUM(
 -                         IF(journal_entries.type = 'credit' AND transactions.posted_at BETWEEN ? AND ?, journal_entries.amount, 0)
 -                     ), 0) AS total_credit
 -                 "),
 -             ])
 -             ->join('journal_entries', 'journal_entries.account_id', '=', 'accounts.id')
 -             ->join('transactions', function (JoinClause $join) use ($endDate) {
 -                 $join->on('transactions.id', '=', 'journal_entries.transaction_id')
 -                     ->where('transactions.posted_at', '<=', $endDate);
 -             })
 -             ->whereExists(function (\Illuminate\Database\Query\Builder $subQuery) {
 -                 $subQuery->select(DB::raw(1))
 -                     ->from('journal_entries as je')
 -                     ->join('bank_accounts', 'bank_accounts.account_id', '=', 'je.account_id') // Join bank_accounts on account_id
 -                     ->whereNotNull('bank_accounts.id') // Ensure there is a linked BankAccount
 -                     ->whereColumn('je.transaction_id', 'journal_entries.transaction_id');
 -             })
 -             ->groupBy([
 -                 'accounts.id',
 -                 'accounts.name',
 -                 'accounts.category',
 -                 'accounts.type',
 -                 'accounts.subtype_id',
 -                 'accounts.currency_code',
 -                 'accounts.code',
 -             ])
 -             ->with(['subtype:id,name,inverse_cash_flow']);
 - 
 -         if (! empty($accountIds)) {
 -             $query->whereIn('accounts.id', $accountIds);
 -         }
 - 
 -         $query->addBinding([$startDate, $startDate, $startDate, $startDate, $startDate, $endDate, $startDate, $endDate], 'select');
 - 
 -         return $query;
 -     }
 - 
 -     public function getTotalBalanceForAllBankAccounts(string $startDate, string $endDate): Money
 -     {
 -         $accountIds = Account::whereHas('bankAccount')
 -             ->pluck('id')
 -             ->toArray();
 - 
 -         if (empty($accountIds)) {
 -             return new Money(0, CurrencyAccessor::getDefaultCurrency());
 -         }
 - 
 -         $result = DB::table('journal_entries')
 -             ->join('transactions', function (JoinClause $join) use ($endDate) {
 -                 $join->on('transactions.id', '=', 'journal_entries.transaction_id')
 -                     ->where('transactions.posted_at', '<=', $endDate);
 -             })
 -             ->whereIn('journal_entries.account_id', $accountIds)
 -             ->selectRaw('
 -             SUM(CASE
 -                 WHEN transactions.posted_at < ? AND journal_entries.type = "debit" THEN journal_entries.amount
 -                 WHEN transactions.posted_at < ? AND journal_entries.type = "credit" THEN -journal_entries.amount
 -                 ELSE 0
 -             END) AS totalStartingBalance,
 -             SUM(CASE
 -                 WHEN transactions.posted_at BETWEEN ? AND ? AND journal_entries.type = "debit" THEN journal_entries.amount
 -                 WHEN transactions.posted_at BETWEEN ? AND ? AND journal_entries.type = "credit" THEN -journal_entries.amount
 -                 ELSE 0
 -             END) AS totalNetMovement
 -         ', [
 -                 $startDate,
 -                 $startDate,
 -                 $startDate,
 -                 $endDate,
 -                 $startDate,
 -                 $endDate,
 -             ])
 -             ->first();
 - 
 -         $totalBalance = $result->totalStartingBalance + $result->totalNetMovement;
 - 
 -         return new Money($totalBalance, CurrencyAccessor::getDefaultCurrency());
 -     }
 - 
 -     public function getStartingBalanceForAllBankAccounts(string $startDate): Money
 -     {
 -         $accountIds = Account::whereHas('bankAccount')
 -             ->pluck('id')
 -             ->toArray();
 - 
 -         if (empty($accountIds)) {
 -             return new Money(0, CurrencyAccessor::getDefaultCurrency());
 -         }
 - 
 -         $result = DB::table('journal_entries')
 -             ->join('transactions', function (JoinClause $join) use ($startDate) {
 -                 $join->on('transactions.id', '=', 'journal_entries.transaction_id')
 -                     ->where('transactions.posted_at', '<', $startDate);
 -             })
 -             ->whereIn('journal_entries.account_id', $accountIds)
 -             ->selectRaw('
 -             SUM(CASE
 -                 WHEN transactions.posted_at < ? AND journal_entries.type = "debit" THEN journal_entries.amount
 -                 WHEN transactions.posted_at < ? AND journal_entries.type = "credit" THEN -journal_entries.amount
 -                 ELSE 0
 -             END) AS totalStartingBalance
 -         ', [
 -                 $startDate,
 -                 $startDate,
 -             ])
 -             ->first();
 - 
 -         return new Money($result->totalStartingBalance ?? 0, CurrencyAccessor::getDefaultCurrency());
 -     }
 - 
 -     public function getBankAccountBalances(string $startDate, string $endDate): Builder | array
 -     {
 -         $accountIds = Account::whereHas('bankAccount')
 -             ->pluck('id')
 -             ->toArray();
 - 
 -         if (empty($accountIds)) {
 -             return [];
 -         }
 - 
 -         return $this->getAccountBalances($startDate, $endDate, $accountIds);
 -     }
 - 
 -     public function getEarliestTransactionDate(): string
 -     {
 -         $earliestDate = Transaction::min('posted_at');
 - 
 -         return $earliestDate ?? today()->toDateTimeString();
 -     }
 - 
 -     public function getUnpaidClientInvoices(?string $asOfDate = null): Builder
 -     {
 -         $asOfDate = $asOfDate ?? now()->toDateString();
 - 
 -         return Invoice::query()
 -             ->select([
 -                 'invoices.id',
 -                 'invoices.client_id',
 -                 'invoices.due_date',
 -                 'invoices.amount_due',
 -                 'invoices.currency_code',
 -                 DB::raw('DATEDIFF(?, invoices.due_date) as days_overdue'),
 -             ])
 -             ->addBinding([$asOfDate], 'select')
 -             ->unpaid()
 -             ->where('amount_due', '>', 0);
 -     }
 - 
 -     public function getUnpaidVendorBills(?string $asOfDate = null): Builder
 -     {
 -         $asOfDate = $asOfDate ?? now()->toDateString();
 - 
 -         return Bill::query()
 -             ->select([
 -                 'bills.id',
 -                 'bills.vendor_id',
 -                 'bills.due_date',
 -                 'bills.amount_due',
 -                 'bills.currency_code',
 -                 DB::raw('DATEDIFF(?, bills.due_date) as days_overdue'),
 -             ])
 -             ->addBinding([$asOfDate], 'select')
 -             ->unpaid()
 -             ->where('amount_due', '>', 0);
 -     }
 - }
 
 
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