feat: add financial transactions management for companies
- Implemented a new route for managing financial transactions (money) for companies, including creating, editing, and deleting transactions. - Added a new model `Buchung` to represent transactions with fields for date, account type, transaction type, amount, and description. - Updated the `companies` model to include a relation to the new `Buchung` model. - Enhanced the company overview page to link to the new financial transactions page. - Added migration scripts to create the necessary database tables and fields for the new functionality. - Created utility scripts for resetting the admin password and setting up the initial admin user.
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/*
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Warnings:
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- You are about to drop the column `money` on the `companies` table. All the data in the column will be lost.
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*/
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-- AlterTable
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ALTER TABLE `companies` DROP COLUMN `money`;
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-- CreateTable
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CREATE TABLE `buchungen` (
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`id` VARCHAR(191) NOT NULL,
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`companyId` VARCHAR(191) NOT NULL,
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`date` DATETIME(3) NOT NULL,
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`account` ENUM('KASSE', 'BANK') NOT NULL,
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`type` ENUM('EINLAGE', 'ENTNAHME') NOT NULL,
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`amount` DECIMAL(10, 2) NOT NULL,
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`description` TEXT NULL,
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`createdAt` DATETIME(3) NOT NULL DEFAULT CURRENT_TIMESTAMP(3),
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`updatedAt` DATETIME(3) NOT NULL,
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INDEX `buchungen_companyId_idx`(`companyId`),
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INDEX `buchungen_date_idx`(`date`),
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PRIMARY KEY (`id`)
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) DEFAULT CHARACTER SET utf8mb4 COLLATE utf8mb4_unicode_ci;
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-- AddForeignKey
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ALTER TABLE `buchungen` ADD CONSTRAINT `buchungen_companyId_fkey` FOREIGN KEY (`companyId`) REFERENCES `companies`(`id`) ON DELETE CASCADE ON UPDATE CASCADE;
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