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193 lines
7.4 KiB
Python
193 lines
7.4 KiB
Python
from celery import shared_task
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@shared_task(name="do_accounting")
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def do_accounting():
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"""
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Does all accounting from the beginning of time
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"""
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from datetime import timedelta
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from decouple import config
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from django.db.models import Sum
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from django.utils import timezone
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from api.models import LNPayment, MarketTick, OnchainPayment, Order, Profile
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from control.models import AccountingDay
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all_payments = LNPayment.objects.all()
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all_ticks = MarketTick.objects.all()
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today = timezone.now().date()
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try:
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last_accounted_day = AccountingDay.objects.latest("day").day.date()
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accounted_yesterday = AccountingDay.objects.latest("day")
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except Exception:
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last_accounted_day = None
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accounted_yesterday = None
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if last_accounted_day == today:
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return {"message": "no days to account for"}
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elif last_accounted_day is not None:
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initial_day = last_accounted_day + timedelta(days=1)
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elif last_accounted_day is None:
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initial_day = all_payments.earliest("created_at").created_at.date()
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day = initial_day
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result = {}
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while day <= today:
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day_payments = all_payments.filter(
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created_at__gte=day, created_at__lte=day + timedelta(days=1)
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)
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day_onchain_payments = OnchainPayment.objects.filter(
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created_at__gte=day, created_at__lte=day + timedelta(days=1)
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)
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day_ticks = all_ticks.filter(
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timestamp__gte=day, timestamp__lte=day + timedelta(days=1)
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)
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# Coarse accounting based on LNpayment and OnchainPayment objects
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contracted = day_ticks.aggregate(Sum("volume"))["volume__sum"]
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num_contracts = day_ticks.count()
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inflow = day_payments.filter(
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type=LNPayment.Types.HOLD, status=LNPayment.Status.SETLED
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).aggregate(Sum("num_satoshis"))["num_satoshis__sum"]
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onchain_outflow = day_onchain_payments.filter(
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status__in=[OnchainPayment.Status.MEMPO, OnchainPayment.Status.CONFI]
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).aggregate(Sum("sent_satoshis"))["sent_satoshis__sum"]
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onchain_outflow = 0 if onchain_outflow is None else int(onchain_outflow)
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offchain_outflow = day_payments.filter(
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type=LNPayment.Types.NORM, status=LNPayment.Status.SUCCED
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).aggregate(Sum("num_satoshis"))["num_satoshis__sum"]
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offchain_outflow = 0 if offchain_outflow is None else int(offchain_outflow)
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routing_fees = day_payments.filter(
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type=LNPayment.Types.NORM, status=LNPayment.Status.SUCCED
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).aggregate(Sum("fee"))["fee__sum"]
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mining_fees = day_onchain_payments.filter(
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status__in=[OnchainPayment.Status.MEMPO, OnchainPayment.Status.CONFI]
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).aggregate(Sum("mining_fee_sats"))["mining_fee_sats__sum"]
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rewards_claimed = day_payments.filter(
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type=LNPayment.Types.NORM,
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concept=LNPayment.Concepts.WITHREWA,
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status=LNPayment.Status.SUCCED,
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).aggregate(Sum("num_satoshis"))["num_satoshis__sum"]
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contracted = 0 if contracted is None else contracted
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inflow = 0 if inflow is None else inflow
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outflow = offchain_outflow + onchain_outflow
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routing_fees = 0 if routing_fees is None else routing_fees
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rewards_claimed = 0 if rewards_claimed is None else rewards_claimed
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mining_fees = 0 if mining_fees is None else mining_fees
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accounted_day = AccountingDay.objects.create(
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day=day,
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contracted=contracted,
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num_contracts=num_contracts,
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inflow=inflow,
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outflow=outflow,
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routing_fees=routing_fees,
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mining_fees=mining_fees,
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cashflow=inflow - outflow - routing_fees,
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rewards_claimed=rewards_claimed,
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)
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# Fine Net Daily accounting based on orders
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# Only account for orders where everything worked out right
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payouts = day_payments.filter(
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type=LNPayment.Types.NORM,
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concept=LNPayment.Concepts.PAYBUYER,
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status=LNPayment.Status.SUCCED,
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)
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escrows_settled = 0
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payouts_paid = 0
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costs = 0
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for payout in payouts:
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escrows_settled += int(payout.order_paid_LN.trade_escrow.num_satoshis)
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payouts_paid += int(payout.num_satoshis)
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costs += int(payout.fee)
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# Same for orders that use onchain payments.
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payouts_tx = day_onchain_payments.filter(
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status__in=[OnchainPayment.Status.MEMPO, OnchainPayment.Status.CONFI]
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)
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for payout_tx in payouts_tx:
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escrows_settled += int(payout_tx.order_paid_TX.trade_escrow.num_satoshis)
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payouts_paid += int(payout_tx.sent_satoshis)
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costs += int(payout_tx.mining_fee_sats)
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# account for those orders where bonds were lost
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# + Settled bonds / bond_split
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bonds_settled = day_payments.filter(
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type=LNPayment.Types.HOLD,
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concept__in=[LNPayment.Concepts.TAKEBOND, LNPayment.Concepts.MAKEBOND],
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status=LNPayment.Status.SETLED,
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)
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if len(bonds_settled) > 0:
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collected_slashed_bonds = (
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bonds_settled.aggregate(Sum("num_satoshis"))["num_satoshis__sum"]
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) * float(config("SLASHED_BOND_REWARD_SPLIT"))
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else:
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collected_slashed_bonds = 0
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accounted_day.net_settled = escrows_settled + collected_slashed_bonds
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accounted_day.net_paid = payouts_paid + costs
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accounted_day.net_balance = float(accounted_day.net_settled) - float(
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accounted_day.net_paid
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)
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# Differential accounting based on change of outstanding states and disputes unreslved
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if day == today:
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pending_disputes = Order.objects.filter(
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status__in=[Order.Status.DIS, Order.Status.WFR]
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)
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if len(pending_disputes) > 0:
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outstanding_pending_disputes = 0
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for order in pending_disputes:
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outstanding_pending_disputes += order.payout.num_satoshis
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else:
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outstanding_pending_disputes = 0
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accounted_day.outstanding_earned_rewards = Profile.objects.all().aggregate(
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Sum("earned_rewards")
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)["earned_rewards__sum"]
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accounted_day.outstanding_pending_disputes = outstanding_pending_disputes
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accounted_day.lifetime_rewards_claimed = Profile.objects.all().aggregate(
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Sum("claimed_rewards")
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)["claimed_rewards__sum"]
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if accounted_yesterday is not None:
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accounted_day.earned_rewards = (
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accounted_day.outstanding_earned_rewards
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- accounted_yesterday.outstanding_earned_rewards
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)
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accounted_day.disputes = (
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outstanding_pending_disputes
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- accounted_yesterday.outstanding_earned_rewards
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)
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# Close the loop
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accounted_day.save()
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accounted_yesterday = accounted_day
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result[str(day)] = {
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"contracted": contracted,
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"inflow": inflow,
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"outflow": outflow,
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}
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day = day + timedelta(days=1)
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return result
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@shared_task(name="compute_node_balance", ignore_result=True)
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def compute_node_balance():
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"""
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Queries LND for channel and wallet balance
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"""
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from control.models import BalanceLog
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BalanceLog.objects.create()
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return
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