app/views/finance/financial_transactions/_account_info.html.haml
%h3= @ordergroup.name
%p
%table
%tr
%td= t('.balance') + ':'
%td.numeric= number_to_currency(ordergroup.account_balance)
%tr
%td
%td
%tr
%td= t('.open_orders') + ':'
%td.numeric= number_to_currency(ordergroup.value_of_open_orders)
%tr
%td= t('.finished_orders') + ':'
%td.numeric= number_to_currency(ordergroup.value_of_finished_orders)
%tr
%td
%td
%tr
%td= t('.available_funds') + ':'
%td.numeric= number_to_currency(ordergroup.get_available_funds)
%small= t('.last_updated_at', when: distance_of_time_in_words(Time.now, ordergroup.account_updated))