feat: CDI % configurável por conta + fix mocks de teste
- Adiciona campo cdi_percentage (default 100%) na tabela accounts - Cálculo CDI aplica proporção: balance × (compound-1) × (pct/100) - Frontend exibe input de % quando yield_type=cdi e badge mostra valor - Corrige mocks de teste desatualizados (DeleteByMonth, isTax) - Corrige ConfirmIncome para rejeitar tipo expense (ErrRecurringNotIncome) Co-Authored-By: Claude Sonnet 4.6 <[email protected]>
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@@ -33,7 +33,7 @@ func (r *AccountRepository) List(ctx context.Context) ([]model.Account, error) {
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rows, err := r.pool.Query(ctx, `
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SELECT
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a.id, a.name, a.type, a.initial_balance,
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a.yield_type, a.last_yield_date::text,
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a.yield_type, a.cdi_percentage, a.last_yield_date::text,
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a.closing_day, a.due_day,
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a.created_at::text, a.updated_at::text,
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a.initial_balance
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@@ -54,7 +54,7 @@ func (r *AccountRepository) List(ctx context.Context) ([]model.Account, error) {
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var out []model.Account
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for rows.Next() {
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var a model.Account
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if err := rows.Scan(&a.ID, &a.Name, &a.Type, &a.InitialBalance, &a.YieldType, &a.LastYieldDate, &a.ClosingDay, &a.DueDay, &a.CreatedAt, &a.UpdatedAt, &a.Balance); err != nil {
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if err := rows.Scan(&a.ID, &a.Name, &a.Type, &a.InitialBalance, &a.YieldType, &a.CDIPercentage, &a.LastYieldDate, &a.ClosingDay, &a.DueDay, &a.CreatedAt, &a.UpdatedAt, &a.Balance); err != nil {
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return nil, err
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}
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out = append(out, a)
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@@ -68,7 +68,7 @@ func (r *AccountRepository) GetByID(ctx context.Context, id int) (*model.Account
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err := r.pool.QueryRow(ctx, `
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SELECT
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a.id, a.name, a.type, a.initial_balance,
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a.yield_type, a.last_yield_date::text,
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a.yield_type, a.cdi_percentage, a.last_yield_date::text,
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a.closing_day, a.due_day,
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a.created_at::text, a.updated_at::text,
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a.initial_balance
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@@ -79,7 +79,7 @@ func (r *AccountRepository) GetByID(ctx context.Context, id int) (*model.Account
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LEFT JOIN transactions t ON t.account_id = a.id
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WHERE a.id = $1 AND a.profile_id = $2
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GROUP BY a.id
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`, id, pid).Scan(&a.ID, &a.Name, &a.Type, &a.InitialBalance, &a.YieldType, &a.LastYieldDate, &a.ClosingDay, &a.DueDay, &a.CreatedAt, &a.UpdatedAt, &a.Balance)
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`, id, pid).Scan(&a.ID, &a.Name, &a.Type, &a.InitialBalance, &a.YieldType, &a.CDIPercentage, &a.LastYieldDate, &a.ClosingDay, &a.DueDay, &a.CreatedAt, &a.UpdatedAt, &a.Balance)
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if err != nil {
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return nil, err
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}
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@@ -92,13 +92,17 @@ func (r *AccountRepository) Create(ctx context.Context, in model.AccountInput) (
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if yt == "" {
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yt = "none"
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}
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cdiPct := in.CDIPercentage
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if cdiPct <= 0 {
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cdiPct = 100
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}
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var a model.Account
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err := r.pool.QueryRow(ctx, `
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INSERT INTO accounts (name, type, initial_balance, yield_type, closing_day, due_day, profile_id)
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VALUES ($1, $2, $3, $4, $5, $6, $7)
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RETURNING id, name, type, initial_balance, yield_type, last_yield_date::text, closing_day, due_day, created_at::text, updated_at::text
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`, in.Name, in.Type, in.InitialBalance, yt, in.ClosingDay, in.DueDay, pid).
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Scan(&a.ID, &a.Name, &a.Type, &a.InitialBalance, &a.YieldType, &a.LastYieldDate, &a.ClosingDay, &a.DueDay, &a.CreatedAt, &a.UpdatedAt)
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INSERT INTO accounts (name, type, initial_balance, yield_type, cdi_percentage, closing_day, due_day, profile_id)
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VALUES ($1, $2, $3, $4, $5, $6, $7, $8)
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RETURNING id, name, type, initial_balance, yield_type, cdi_percentage, last_yield_date::text, closing_day, due_day, created_at::text, updated_at::text
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`, in.Name, in.Type, in.InitialBalance, yt, cdiPct, in.ClosingDay, in.DueDay, pid).
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Scan(&a.ID, &a.Name, &a.Type, &a.InitialBalance, &a.YieldType, &a.CDIPercentage, &a.LastYieldDate, &a.ClosingDay, &a.DueDay, &a.CreatedAt, &a.UpdatedAt)
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if err != nil {
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return nil, err
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}
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@@ -112,13 +116,17 @@ func (r *AccountRepository) Update(ctx context.Context, id int, in model.Account
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if yt == "" {
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yt = "none"
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}
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cdiPct := in.CDIPercentage
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if cdiPct <= 0 {
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cdiPct = 100
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}
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row := r.pool.QueryRow(ctx, `
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UPDATE accounts SET name=$1, type=$2, initial_balance=$3, yield_type=$4, closing_day=$5, due_day=$6, updated_at=NOW()
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WHERE id=$7 AND profile_id=$8
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RETURNING id, name, type, initial_balance, yield_type, last_yield_date::text, closing_day, due_day, created_at::text, updated_at::text
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`, in.Name, in.Type, in.InitialBalance, yt, in.ClosingDay, in.DueDay, id, pid)
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UPDATE accounts SET name=$1, type=$2, initial_balance=$3, yield_type=$4, cdi_percentage=$5, closing_day=$6, due_day=$7, updated_at=NOW()
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WHERE id=$8 AND profile_id=$9
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RETURNING id, name, type, initial_balance, yield_type, cdi_percentage, last_yield_date::text, closing_day, due_day, created_at::text, updated_at::text
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`, in.Name, in.Type, in.InitialBalance, yt, cdiPct, in.ClosingDay, in.DueDay, id, pid)
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var a model.Account
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if err := row.Scan(&a.ID, &a.Name, &a.Type, &a.InitialBalance, &a.YieldType, &a.LastYieldDate, &a.ClosingDay, &a.DueDay, &a.CreatedAt, &a.UpdatedAt); err != nil {
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if err := row.Scan(&a.ID, &a.Name, &a.Type, &a.InitialBalance, &a.YieldType, &a.CDIPercentage, &a.LastYieldDate, &a.ClosingDay, &a.DueDay, &a.CreatedAt, &a.UpdatedAt); err != nil {
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return nil, err
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}
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full, err := r.GetByID(ctx, a.ID)
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