- Add vendor-changed HTMX handlers for both bulk code and individual edit - Pre-populate default account at 100% when vendor is selected and no accounts exist - Fix render-accounts-section to render from step-params correctly - Change bulk code vendor-changed from hx-get to hx-post to include form data - Add routes for vendor-changed endpoints - Update e2e tests to cover vendor pre-population - Run lein cljfmt fix across codebase
42 lines
2.1 KiB
Clojure
42 lines
2.1 KiB
Clojure
(ns auto-ap.ledger-test
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(:require
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[auto-ap.integration.util :refer [wrap-setup]]
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[clojure.test :as t]))
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(t/use-fixtures :each wrap-setup)
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(t/deftest entity-change->ledger
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#_(t/testing "Should code an expected deposit"
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(let [{:strs [ed ccp receipts-split client]}
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(:tempids @(d/transact conn [#:expected-deposit {:status :expected-deposit-status/pending
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:client {:db/id "client"
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:client/code "BRYCE"
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:client/locations ["M"]}
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:total 4.0
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:fee 1.0
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:date #inst "2021-01-01T00:00:00-08:00"
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:location "M"
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:db/id "ed"}]))
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result (sut/entity-change->ledger (d/db conn) [:expected-deposit ed])]
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(t/is (= #:journal-entry
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{:source "expected-deposit"
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:client {:db/id client}
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:date #inst "2021-01-01T00:00:00-08:00"
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:original-entity ed
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:vendor :vendor/ccp-square
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:amount 4.0}
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(dissoc result :journal-entry/line-items)))
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(t/testing "should debit ccp"
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(t/is (= [#:journal-entry-line
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{:debit 4.0
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:location "A"
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:account :account/ccp}]
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(filter :journal-entry-line/debit (:journal-entry/line-items result)))))
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(t/testing "should credit receipts split ccp"
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(t/is (= [#:journal-entry-line
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{:credit 4.0
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:location "A"
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:account :account/receipts-split}]
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(filter :journal-entry-line/credit (:journal-entry/line-items result))))))))
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