1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
41
42
43
44
45
46
47
48
49
50
51
52
53
54
55
56
57
58
59
60
61
62
63
64
65
66
67
68
69
70
71
72
73
74
75
76
77
78
79
80
81
82
83
84
85
86
87
88
89
90
91
92
93
94
95
96
97
98
99
100
101
102
103
104
105
106
107
108
109
110
111
112
113
114
115
116
117
118
119
120
121
122
123
124
125
126
127
128
129
130
131
132
133
134
135
136
137
138
139
140
141
142
143
144
145
146
147
148
149
150
151
152
153
154
155
156
157
158
159
160
161
162
163
164
165
166
167
168
169
170
171
172
173
174
|
from dataclasses import field, dataclass
from serenitas.ops.trade_dataclasses import Deal, Fund
from serenitas.analytics.dates import prev_business_day, next_business_day
import datetime
import gpg
from serenitas.utils.exchange import ExchangeMessage
from serenitas.utils.env import DAILY_DIR
import pandas as pd
from serenitas.utils.db import dbconn, dawn_engine
from typing import ClassVar
from .misc import get_dir
def dt_from_fname(f):
return datetime.datetime.strptime(
f.name.removesuffix(".csv").removesuffix(".xlsx").rsplit("_")[-1], "%Y%m%d%H%M"
)
@dataclass
class IAMDeal(Deal, deal_type=None, table_name="iam_tickets"):
trade_date: datetime.date = field(metadata={"globeop": "SettlementDate"})
action: str = field(metadata={"globeop": "Action"})
strategy: str = field(metadata={"globeop": "Folder"})
counterparty: str = field(metadata={"globeop": "Counterparty"})
maturity: datetime.date
start_money: float = field(metadata={"globeop": "StartMoney"})
currency: str = field(metadata={"globeop": "Currency"})
booked_offset: bool
uploaded: bool
fund: Fund
dealid: str = field(metadata={"insert": False})
id: int = field(metadata={"insert": False})
def to_globeop(self, action):
obj = super().to_globeop(action)
obj["Deal Type"] = "IamDeal"
obj["ExpirationDate"] = self.trade_date if self.action == "UPDATE" else None
obj["CallNoticeIndicator"] = "24H" if self.action == "NEW" else None
obj["TransactionIndicator"] = ("DEPOSIT" if obj["StartMoney"] > 0 else "LOAN",)
obj["StartMoney"] = abs(obj["StartMoney"])
obj["Folder"] = (
"M_CSH_CASH" if obj["strategy"] == "CSH_CASH" else obj["strategy"]
)
obj["DealFunction"] = "OTC"
obj["MarginType"] = "Variation"
obj["Basis"] = "ACT/360"
return obj
@dataclass
class CashReport:
fund: ClassVar[str]
account_number: ClassVar[str]
date: datetime.date
_conn: ClassVar[dbconn] = dbconn("dawndb")
_staging_queue: ClassVar[set] = set()
_insert_sql = "INSERT INTO cash_balances VALUES (%s, %s, %s, %s, %s, %s) ON CONFLICT DO NOTHING"
def __init_subclass__(cls, fund, account_number):
cls.fund = fund
cls.account_number = account_number
def to_db(self, report_name):
self.download_reports(self.date)
report_dir = get_dir(self.date)
report_dir.mkdir(exist_ok=True, parents=True)
p = max(
[f for f in get_dir(self.date).iterdir() if f.name.startswith(report_name)],
key=dt_from_fname,
default=None,
)
if not p:
raise ValueError(
f"No reports found for fund: {self.fund} date: {self.date}"
)
return p
@classmethod
def commit(cls):
with cls._conn.cursor() as c:
c.executemany(cls._insert_sql, cls._staging_queue)
cls._conn.commit()
class IsoselCashReport(CashReport, fund="ISOSEL", account_number="ISOS01"):
@classmethod
def download_reports(cls, date=datetime.date.today()):
em = ExchangeMessage()
for msg in em.get_msgs(path=["SeleneOps", "Passport"]):
for attach in msg.attachments:
message_time = attach.last_modified_time
if attach.name == "Attachment1.pgp" and message_time.date() == date:
dest = get_dir(message_time.date(), archived=False)
dest.mkdir(exist_ok=True, parents=True)
with attach.fp as fp:
plaintext, result, verify_result = gpg.Context().decrypt(
fp.read(), passphrase="Serenitas1"
)
fname = (
"custodian_wires"
if "custodian" in verify_result.file_name
else "cash"
)
dest = dest / f"{fname}_{message_time:%Y%m%d%H%M}.csv"
with open(dest, "w") as csvFile:
text = plaintext.decode("utf-8").replace("\t", ",")
csvFile.write(text)
def to_db(self):
p = super().to_db("cash_")
df = pd.read_csv(p, on_bad_lines="warn")
df = df[df["T-NARR-LONG"] == "CLOSING BALANCE"]
df = df[["Consolidation", "Currency code", "A-TRAN-AMT"]]
df.columns = df.columns.str.replace(" |-|_", "", regex=True).str.lower()
df = df.set_index(["consolidation", "currencycode"])
for row in df.itertuples():
self.stage_from_row(row)
self.commit()
self._staging_queue.clear()
def stage_from_row(self, row):
(account, currency), amount = row
self._staging_queue.add(
(
prev_business_day(self.date),
self.fund,
f"NT Custody Account {self.fund}",
account,
currency,
amount,
)
)
class UmbCashReport(CashReport, fund="SERCGMAST", account_number="159260.1"):
@classmethod
def download_reports(cls, date=datetime.date.today()):
em = ExchangeMessage()
for msg in em.get_msgs(count=20, path=["NYops", "Powerstation"]):
for attach in msg.attachments:
timestamp = attach.last_modified_time
if (
attach.name.startswith("cash_reporting")
and timestamp.date() == date
):
dest = get_dir(timestamp.date(), archived=False)
dest.mkdir(exist_ok=True, parents=True)
p = dest / f"umb_{timestamp:%Y%m%d%H%M}.xlsx"
if not p.exists():
p.write_bytes(attach.content)
def to_db(self):
p = super().to_db("umb_")
df = pd.read_excel(p, skiprows=3)
for row in (
df.groupby(["Portfolio #", "Currency"]).sum()["Current Balance"].items()
):
self.stage_from_row(row)
self.commit()
self._staging_queue.clear()
def stage_from_row(self, row):
(account, currency), amount = row
self._staging_queue.add(
(
prev_business_day(self.date),
self.fund,
f"UMB Custody Account {self.fund}",
account,
currency,
amount,
)
)
|