biweeklybudget.models.ofx_statement module¶
-
class
biweeklybudget.models.ofx_statement.
OFXStatement
(**kwargs)[source]¶ Bases:
sqlalchemy.ext.declarative.api.Base
,biweeklybudget.models.base.ModelAsDict
-
_sa_class_manager
= {'account': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'account_id': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'acct_type': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'acctid': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'as_of': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'avail_bal': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'avail_bal_as_of': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'bankid': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'brokerid': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'currency': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'file_mtime': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'filename': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'id': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'ledger_bal': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'ledger_bal_as_of': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'ofx_trans': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'routing_number': <sqlalchemy.orm.attributes.InstrumentedAttribute object>, 'type': <sqlalchemy.orm.attributes.InstrumentedAttribute object>}¶
-
account_id
¶ Foreign key - Account.id - ID of the account this statement is for
-
acct_type
¶ Textual account type, from the bank (i.e. “Checking”)
-
acctid
¶ Institution’s account ID
-
as_of
¶ Last OFX statement datetime
-
avail_bal
¶ Available balance
-
avail_bal_as_of
¶ as-of date for the available balance
-
bankid
¶ FID of the Institution
-
brokerid
¶ BrokerID, for investment accounts
-
currency
¶ Currency definition (“USD”)
-
file_mtime
¶ File mtime
-
filename
¶ Filename parsed from
-
id
¶ Unique ID
-
ledger_bal
¶ Ledger balance, or investment account value
-
ledger_bal_as_of
¶ as-of date for the ledger balance
-
ofx_trans
¶
-
routing_number
¶ Routing Number
-
type
¶ Account Type, string corresponding to ofxparser.ofxparser.AccountType
-