Add preliminary daily accounting

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Reckless_Satoshi 2022-03-21 05:13:57 -07:00
parent 3d9ef5fc58
commit d4023bfd0d
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5 changed files with 39 additions and 20 deletions

View File

@ -121,6 +121,7 @@ class UserProfileAdmin(AdminChangeLinksMixin, admin.ModelAdmin):
"num_disputes",
"lost_disputes",
)
list_editable = ["pending_rewards", "earned_rewards"]
list_display_links = ("avatar_tag", "id")
change_links = ["user"]
readonly_fields = ["avatar_tag"]

View File

@ -111,7 +111,7 @@ def follow_send_payment(lnpayment):
lnpayment.save()
order.status = Order.Status.FAI
order.expires_at = timezone.now() + timedelta(
seconds=Order.t_to_expire[Order.Status.FAI])
seconds=order.t_to_expire(Order.Status.FAI))
order.save()
context = {
"routing_failed":
@ -127,7 +127,7 @@ def follow_send_payment(lnpayment):
lnpayment.save()
order.status = Order.Status.SUC
order.expires_at = timezone.now() + timedelta(
seconds=Order.t_to_expire[Order.Status.SUC])
seconds=order.t_to_expire(Order.Status.SUC))
order.save()
return True, None
@ -139,7 +139,7 @@ def follow_send_payment(lnpayment):
lnpayment.save()
order.status = Order.Status.FAI
order.expires_at = timezone.now() + timedelta(
seconds=Order.t_to_expire[Order.Status.FAI])
seconds=order.t_to_expire(Order.Status.FAI))
order.save()
context = {"routing_failed": "The payout invoice has expired"}
return False, context

View File

@ -22,7 +22,8 @@ class AccountingDayAdmin(ImportExportModelAdmin):
"outstanding_pending_disputes",
"lifetime_rewards_claimed",
"outstanding_earned_rewards",
"pending_disputes",
"earned_rewards",
"disputes",
"rewards_claimed",
)
change_links = ["day"]

View File

@ -32,7 +32,7 @@ class AccountingDay(models.Model):
# Balance change from last day on earned rewards (referral rewards, slashed bonds and solved disputes)
earned_rewards = models.DecimalField(max_digits=15, decimal_places=3, default=0, null=False, blank=False)
# Balance change on pending disputes (not resolved yet)
pending_disputes = models.DecimalField(max_digits=15, decimal_places=3, default=0, null=False, blank=False)
disputes = models.DecimalField(max_digits=15, decimal_places=3, default=0, null=False, blank=False)
# Rewards claimed on day
rewards_claimed = models.DecimalField(max_digits=15, decimal_places=3, default=0, null=False, blank=False)

View File

@ -4,6 +4,7 @@ from control.models import AccountingDay, AccountingMonth
from django.utils import timezone
from datetime import timedelta
from django.db.models import Sum
from decouple import config
@shared_task(name="do_accounting")
def do_accounting():
@ -17,8 +18,10 @@ def do_accounting():
try:
last_accounted_day = AccountingDay.objects.latest('day').day.date()
accounted_yesterday = AccountingDay.objects.latest('day')
except:
last_accounted_day = None
accounted_yesterday = None
if last_accounted_day == today:
return {'message':'no days to account for'}
@ -30,11 +33,11 @@ def do_accounting():
day = initial_day
result = {}
accounted_yesterday = None
while day <= today:
day_payments = all_payments.filter(created_at__gte=day,created_at__lte=day+timedelta(days=1))
day_ticks = all_ticks.filter(timestamp__gte=day,timestamp__lte=day+timedelta(days=1))
# Coarse accounting based on LNpayment objects
contracted = day_ticks.aggregate(Sum('volume'))['volume__sum']
num_contracts = day_ticks.count()
inflow = day_payments.filter(type=LNPayment.Types.HOLD,status=LNPayment.Status.SETLED).aggregate(Sum('num_satoshis'))['num_satoshis__sum']
@ -52,9 +55,6 @@ def do_accounting():
day = day,
contracted = contracted,
num_contracts = num_contracts,
net_settled = 0,
net_paid = 0,
net_balance = 0,
inflow = inflow,
outflow = outflow,
routing_fees = routing_fees,
@ -62,6 +62,31 @@ def do_accounting():
rewards_claimed = rewards_claimed,
)
# Fine Net Daily accounting based on orders
# Only account for orders where everything worked out right
payouts = day_payments.filter(type=LNPayment.Types.NORM,concept=LNPayment.Concepts.PAYBUYER, status=LNPayment.Status.SUCCED)
escrows_settled = 0
payouts_paid = 0
routing_cost = 0
for payout in payouts:
escrows_settled += payout.order_paid.trade_escrow.num_satoshis
payouts_paid += payout.num_satoshis
routing_cost += payout.fee
# account for those orders where bonds were lost
# + Settled bonds / bond_split
bonds_settled = day_payments.filter(type=LNPayment.Types.HOLD,concept__in=[LNPayment.Concepts.TAKEBOND,LNPayment.Concepts.MAKEBOND], status=LNPayment.Status.SETLED)
if len(bonds_settled) > 0:
collected_slashed_bonds = (bonds_settled.aggregate(Sum('num_satoshis'))['num_satoshis__sum'])* float(config('SLASHED_BOND_REWARD_SPLIT'))
else:
collected_slashed_bonds = 0
accounted_day.net_settled = escrows_settled + collected_slashed_bonds
accounted_day.net_paid = payouts_paid + routing_cost
accounted_day.net_balance = accounted_day.net_settled - accounted_day.net_paid
# Differential accounting based on change of outstanding states and disputes unreslved
if day == today:
pending_disputes = Order.objects.filter(status__in=[Order.Status.DIS,Order.Status.WFR])
if len(pending_disputes) > 0:
@ -74,8 +99,9 @@ def do_accounting():
accounted_day.lifetime_rewards_claimed = Profile.objects.all().aggregate(Sum('claimed_rewards'))['claimed_rewards__sum']
if accounted_yesterday != None:
accounted_day.earned_rewards = accounted_day.outstanding_earned_rewards - accounted_yesterday.outstanding_earned_rewards
accounted_day.pending_disputes = outstanding_pending_disputes - accounted_yesterday.outstanding_earned_rewards
accounted_day.disputes = outstanding_pending_disputes - accounted_yesterday.outstanding_earned_rewards
# Close the loop
accounted_day.save()
accounted_yesterday = accounted_day
result[str(day)]={'contracted':contracted,'inflow':inflow,'outflow':outflow}
@ -83,13 +109,4 @@ def do_accounting():
return result
@shared_task(name="account_day")
def account_day():
'''
Does daily accounting since last accounted day.
To be run daily.
'''
return
return result