I have two collection in database
income_funds timestamp amount status (not confirmed, confirmed, refunded) expenditure_funds timestamp amount
I need get current account balance and get reports about using. How better implement billing logic with this collections?
The simplest way (without additional data):
- to get account balance
sum(confirmed income_funds) - sum(expenditure_funds)
- to get report get income and expenditure funds by period
But I don't like that I must all time calculate account balance.
Add account collection:
I will add
- to get account balance just get
- get report as previous method
But I don't like that I must change balance any time when any funds changed (added or changed status). To verified account balance I always must calculate all funds as in first method. If I get mistake I will don't know how and when it happened.
Add period collection:
I will add
period is_closed (yes, no) start_timestamp end_timestamp start_balance end_balance
- to get account balance return last
- get report as previous method but easy get timestamps by period
I must change
end_balance any time when any funds changed in period. But I can verify balance by period and if will have mistake I will know that it's happened on this period.
Last method likes me most of all, but maybe somebody can give me advice in my conclusions or know other solution.