- Add trial balance and general ledger pages to client resource with interactive tables - Implement sales and expenses relation managers for client-specific transactions - Enhance transaction handling with proper tax and withholding calculations - Add date casting to Transaction model and define client relationships - Configure super admin role bypass in AppServiceProvider - Update Filament components and fix JavaScript formatting issues
62 lines
2.5 KiB
Markdown
62 lines
2.5 KiB
Markdown
I need to add comprehensive trial balance functionality to my Filament application with adjustment capabilities:
|
|
|
|
1. Create models for:
|
|
- TrialBalance (main trial balance report)
|
|
- TrialBalanceAdjustment (for adjusting entries)
|
|
- SuspenseAccount (temporary holding for discrepancies)
|
|
|
|
2. TrialBalance fields:
|
|
- period_start_date, period_end_date
|
|
- account_code, account_name
|
|
- debit_balance, credit_balance
|
|
- account_type (asset, liability, equity, revenue, expense)
|
|
- is_adjusted (boolean)
|
|
- created_at, updated_at
|
|
|
|
3. TrialBalanceAdjustment fields:
|
|
- trial_balance_id (foreign key)
|
|
- adjustment_type (enum: accrual, deferral, depreciation, correction, suspense)
|
|
- account_code
|
|
- description
|
|
- debit_amount, credit_amount
|
|
- adjustment_date
|
|
- created_by (user_id)
|
|
- status (enum: draft, posted, reversed)
|
|
|
|
4. Filament Resource features:
|
|
- Main trial balance table showing all accounts with balances
|
|
- Summary footer showing:
|
|
* Total Debits
|
|
* Total Credits
|
|
* Difference (highlighted in red if non-zero)
|
|
- Action button "Add Adjustment Entry" that opens a modal form
|
|
- Adjustment form with:
|
|
* Account selection dropdown
|
|
* Adjustment type selector
|
|
* Debit/Credit amount inputs (with validation that one must be zero)
|
|
* Description field
|
|
* Auto-calculation of new balance
|
|
- "Create Suspense Entry" button for unexplained differences
|
|
- Table filter for: adjusted/unadjusted entries, date range, account type
|
|
- Relation manager showing all adjustments for each account
|
|
- Color coding: green when balanced, red when unbalanced
|
|
- "Post Adjustments" action to finalize entries
|
|
- "Adjusted Trial Balance" view showing balances after adjustments
|
|
|
|
5. Additional features:
|
|
- Audit trail for all adjustments
|
|
- Ability to reverse adjustments
|
|
- Automatic journal entry creation from adjustments
|
|
- Export to PDF/Excel with adjustments detailed
|
|
- Before/after comparison view
|
|
- Permission checks (only accountants can add adjustments)
|
|
|
|
6. Include these methods:
|
|
- calculateTrialBalance() - generates from ledger
|
|
- addAdjustment() - creates adjustment entry
|
|
- postAdjustments() - finalizes and posts to general ledger
|
|
- reverseAdjustment() - reverses a posted adjustment
|
|
- getAdjustedBalance() - calculates balance after adjustments
|
|
- checkBalance() - verifies debits equal credits
|
|
|
|
Please provide the complete code including models, migrations, Fila ment resources, and form components. |