银行管理系统之Java语言实现4

系统需求:

本系统相对于之前的系统最大的特点是,他有一种信用账户,并且信用账户允许透支,每个信用账户都有一定的信用额度,总的透支额应该在信用额度之内。此外还要求向信用账户存钱时不会有利息,但是账户透支时则会产生利息。

系统设计:

为了实现存款账户和信用账户的区别,因此我们需要引入派送类,即在系统实现上设立一个抽象类Accunte类作为SavingsAccount类和CreditAccount类的父类。然后根据SavingsAccount类和CreditAccount类各自不同的需求编写不同的方法。

画出UML类图:

根据需求画出UML类图:

Accumlator

 

Account

 

date

-lastDate:Date

-value :double

-sum : double

 

-id : String

-balance :double

-total : double

 

-year : int

-month : int

-day : int

-tatalDays :int

+Accumlator(date:Date,value :double)

+getSum(date:Date) :double

+change(date : Dtae,value :double)

+reset(date :Date, value:double)

 

+Accout(date:Date,id:int)

+record(date:Date,amount:double,desc:String)

+error(msg:string)

+getId():int

+getBalance():double

+show() :

+getTotal():double

 

+Date(year:int ,month:int ,day:int)

+getYear( ):int

+getMonth( ):int

+getDay( ):int

+getMaxDay( ):int

+isLeapYear( ):int

+show( )

+distance(date:Date) :int

 

 

SavingAccount

 

CreditAccount

-acc:Accumulator

-rate:double

 

-acc:Accumlator

-credit:double

-rate:double

-total:double

+savingAccount(date:Date,id:int,rate:double)

+getRate():double

+deposit(date:Date,amount:double,desc:string)

+withdrow(date:Date,amount:double,desc:string)

+settle(date:Date)

 

-getDebt():double

+creditAccount(date:Date,id:int,credit:double,rate:duble,fee:double)

+getCredit():double

+getRate():double

+getFee():double

+getAvailableCredit():double

+deposit(date:Date,amount:double,desc:String)

+settle()(date:Date)

+show()

 

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转载自blog.csdn.net/qq_41989372/article/details/85107604