def parse_statement(self): statement = Statement() statement.account_id = self.account_id statement.bank_id = self.bank_id statement.currency = self.currency rows = self.sheet_rows() for r in rows[2:]: bokf_date, _, _, _, balance = r # first row will be our start balance & date first_row = (statement.start_date is None) or (statement.start_balance is None) if first_row: statement.start_date = self.parse_datetime(bokf_date) statement.start_balance = self.parse_float(balance) # last row will be our end balance & date statement.end_balance = self.parse_float(balance) statement.end_date = self.parse_datetime(bokf_date) # # Use the fact that first cell contains the statement date as a suffix e.g. 'Kontoutdrag - 2018-01-04' # info_header_row = rows[0] m = re.match('Kontoutdrag *- *([0-9]{4}-[0-9]{2}-[0-9]{2})$', info_header_row[0]) if m: stmt_date, = m.groups() statement.end_date = self.parse_datetime(stmt_date) return statement
def parse_statement(self): statement = Statement() sheet = self.workbook.active # We need only first 3 rows here. rows = take(3, sheet.iter_rows()) rows = [[c.value for c in row] for row in rows] assert len(rows) == 3 header_row, account_row, footer_row = rows account_id, saldo, disponibelt_belopp, beviljad_kredit, _1, _2 = account_row statement.account_id = account_id statement.end_balance = atof(saldo, self.locale) statement.bank_id = self.bank_id statement.currency = self.currency_id for r in self.footer_regexps: m = re.match(r, footer_row[0]) if m and m.groups(): part_from, part_to = m.groups() statement.start_date = self.parse_datetime(part_from) statement.end_date = self.parse_datetime(part_to) return statement
def _parse_statement(self, stmt): statement = Statement() statement.currency = self.currency bnk = stmt.find('./s:Acct/s:Svcr/s:FinInstnId/s:BIC', self.xmlns) if bnk is None: bnk = stmt.find('./s:Acct/s:Svcr/s:FinInstnId/s:Nm', self.xmlns) iban = stmt.find('./s:Acct/s:Id/s:IBAN', self.xmlns) other = stmt.find('./s:Acct/s:Id/s:Othr/s:Id', self.xmlns) ccy = stmt.find('./s:Acct/s:Ccy', self.xmlns) bals = stmt.findall('./s:Bal', self.xmlns) acctCurrency = ccy.text if ccy is not None else None if acctCurrency: statement.currency = acctCurrency else: if statement.currency is None: raise exceptions.ParseError( 0, "No account currency provided in statement. Please " "specify one in configuration file (e.g. currency=EUR)") bal_amts = {} bal_dates = {} for bal in bals: cd = bal.find('./s:Tp/s:CdOrPrtry/s:Cd', self.xmlns) amt = bal.find('./s:Amt', self.xmlns) dt = bal.find('./s:Dt', self.xmlns) amt_ccy = amt.get('Ccy') # Amount currency should match with statement currency if amt_ccy != statement.currency: continue bal_amts[cd.text] = self._parse_amount(amt) bal_dates[cd.text] = self._parse_date(dt) if not bal_amts: raise exceptions.ParseError( 0, "No statement balance found for currency '%s'. Check " "currency of statement file." % statement.currency) statement.bank_id = bnk.text if bnk is not None else None statement.account_id = iban.text if iban is not None else other.text statement.start_balance = bal_amts['OPBD'] statement.start_date = bal_dates['OPBD'] statement.end_balance = bal_amts['CLBD'] statement.end_date = bal_dates['CLBD'] self._parse_lines(stmt, statement) return statement