^assets?(:.+)?:(cash|bank|che(ck|que?)(ing)?|savings?|current)(:|$)
This should have no effect outside the cash report.
The rule for auto-detecting "Cash" (liquid assets) from account names
has changed in this release - see [Account types]. This is to simplify
how account types are detected and configured. If you use the cashflow
report without explicitly declaring accounts as Cash, you might notice a
change, and might need to add explicit account type: tags.
This requires checking parent accounts for any new accounts introduced by auto postings which do not exist in the original journal.
Also refactor journalFinalise to only call journalPostingsAddAccountTags once, and use fewer intermediate variables.
type:TYPES, where TYPES is any of the (case insensitive) letters
ALERXCV, matches accounts by their declared or inferred type.
(See https://hledger.org/hledger.html#account-types.)
This should work with most commands, eg:
hledger bal type:al
hledger reg type:x
API changes:
Journal has a new jaccounttypes map.
The journalAccountType lookup function makes it easy to check an account's type.
The journalTags and journalInheritedTags functions look up an account's tags.
Functions like journalFilterPostings and journalFilterTransactions,
and new matching functions matchesAccountExtra, matchesPostingExtra
and matchesTransactionExtra, use these to allow more powerful matching
that is aware of account types and tags.
Accounts, postings, and transactions can now all be filtered by the
tags in an account's declaration. In particular it's now possible to
more reliably select accounts by type, using their type: tag rather
than their name:
account myasset ; type:Asset
account myliability ; type:Liability
$ hledger accounts tag:type=^a
myasset
Accounts inherit tags from their parents.
API changes:
A finalised Journal has a new jdeclaredaccounttags field
for easy lookup of account tags.
Query.matchesTaggedAccount is a tag-aware version of matchesAccount.
directives.
Previously, you declare an account type with the following format:
account assets A
This has been deprecated since 1.13, and should now be declared with one
of:
account assets ; type:A
account assets ; type:asset
Previously the helper functions splitspan and splitspan' would calculate
each span from the start point of the previous span. This meant we had
to be very careful not to lose any relevant information (e.g. what day
of the week it was) about the original start date. We now calculate each
span from the original start date, so there's no risk of losing
information. This simplifies many of the calculations.
parsers to allow for arbitrary numbers of periods in relative dates.
We now accept smart dates like “in 5 days, 5 weeks ahead, in -6 months, 2 quarters ago”.
Introduce --infer-equity option which will generate conversion postings.
--cost will override --infer-equity.
This means there will no longer be unbalanced transactions, but will be
offsetting conversion postings to balance things out. For example.
2000-01-01
a 1 AAA @@ 2 BBB
b -2 BBB
When converting to cost, this is treated the same as before.
When used with --infer-equity, this is now treated as:
2000-01-01
a 1 AAA
equity:conversion:AAA-BBB:AAA -1 AAA
equity:conversion:AAA-BBB:BBB 2 BBB
b -2 BBB
There is a new account type, Conversion/V, which is a subtype of Equity/E.
The first account declared with this type, if any, is used as the base account
for inferred equity postings in conversion transactions, overriding the default
"equity:conversion".
API changes:
Costing has been changed to ConversionOp with three options:
NoConversionOp, ToCost, and InferEquity.
The first correspond to the previous NoCost and Cost options, while the
third corresponds to the --infer-equity flag. This converts transactions with costs
(one or more transaction prices) to transactions with equity:conversion postings.
It is in ConversionOp because converting to cost with -B/--cost and inferring conversion
equity postings with --infer-equity are mutually exclusive.
Correspondingly, the cost_ record of ReportOpts has been changed to
conversionop_.
This also removes show_costs_ option in ReportOpts, as its functionality
has been replaced by the richer cost_ option.
Together with -E, this shows a balance for both used and declared
accounts (excluding empty parent accounts, which are usually not
wanted in list-mode reports).
This is somewhat consistent with --declared in the accounts and payees
commands, except for the leaf account restriction.
The idea of this is to be able to see a useful "complete" balance
report, even when you don't have transactions in all of your declared
accounts yet. I mainly want this for hledger-ui, but there's no harm
in exposing it in the balance CLI as well.
Together with -E, this allows showing a balance for all accounts, both
used and declared. I mainly want this for hledger-ui, but there's no
harm in exposing it in the balance command as well. This is somewhat
consistent with the accounts and payees commands.
This allows more control over how multicommodity amounts are displayed.
In addition to the default single-line display, and the recent commodity
column display, we now have multi-line display. This is controlled by
the --layout option, which has possible values "wide", "tall", and
"bare". The --commodity-column option has been hidden, but is equivalent
to --layout=bare.
squash
Replace showPosting with a wrapper around postingAsLines.
The functions textConcat(Top|Bottom)Padded are no longer used anywhere
in the code base, and can be removed if desired.
This produces slightly different output for showPosting, in particular
it no longer displays the transaction date. However, this has been
marked as ‘for debugging only’ for a while, and is only used in
hledger-check-fancy assertions. The output there is still acceptable.
Combining valuation with filtration is subtle and error-prone (see e.g. #1625).
We have to do in in both MultiBalanceReport and PostingsReport, where it
is done in slightly different ways. This refactors this functionality
into separate functions which are called in both reports, for uniform
behaviour.
(SourcePos, SourcePos).
This has been marked for possible removal for a while. We are keeping
strictly more information. Possible edge cases arise with Timeclock and
CsvReader, but I think these are covered.
The particular motivation for getting rid of this is that
GenericSourcePos is creating some awkward import considerations for
little gain. Removing this enables some flattening of the module
dependency tree.
Hledger.Data.Balancing.
Both Hledger.Data.Transaction and Hledger.Data.Journal are massive
module with many things in them. Placing the balancing functions, which
are conceptually related, into a separate module helps keep things more
modular.
It also reduces the risk of import cycles, as right now balancing
functions cannot depend on any functions defined outside of
Hledger.Data.Transaction or Hledger.Data.Journal, respectively, if those
modules require basic transaction or journal functions.
mixedAmount(Looks|Is)Zero now operate directly on the MixedAmount,
rather than converting them to a list of amounts first.
mixedAmountCost no longer reconstructs the entire MixedAmount when there
are amounts with no cost.
transactionCheckBalanced only checks if signs are okay if sums are not
okay. It also only traverses the list of postings once when picking real
and balanced virtual postings.
rawOptsTo* in hledger-lib now takes a day as an argument, and does not
live in the IO monad, since it's now pure.
This is so that we can run tests containing future transactions that
won't fail as soon as ‘the future’ actually arrives.
There are no modules which depend on Hledger.Data.Commodity which don't
also depend on Hledger.Data.Amount. Though Hledger.Data.Amount is a very
large module and might be broken up, Hledger.Data.Commodity only defines
three very small functions which are used, and so can be combined with
little cost.