122bcbbcc12f5017a48d71dccbcbb66f877d75dd
30
Commits
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c74b19df1b |
Accounted rebrand + swarm-skill cleanup + bank-reconciliation fixes (#643)
* feat(reconciliation): close the bank-feed loop on voucher links and re-tag mis-typed opening balances
Two related fixes to bank reconciliation correctness:
1. Auto-reconcile on voucher link. Linking an invoice or supplier invoice to
an existing voucher previously advanced only the invoice — the bank
transaction that paid it kept sitting in the Transactions inbox with a null
journal_entry_id. linkInvoiceToVoucher / linkSupplierInvoiceToVoucher now
call autoReconcileTransactionForLinkedVoucher (lib/reconciliation), which
links the bank transaction to the same verifikat when exactly one unbooked
line matches it. Best-effort and post-commit: a failure here never fails the
link. The result surfaces reconciledTransactionId; the inbox row leaves the
list and the UI shows link_success_tx_reconciled.
2. Re-tag mis-typed opening balances. getReconciliationStatus and the GL-line
matching RPCs identify a cash account's ingående balans solely by
journal_entries.source_type='opening_balance'. Companies migrated from other
systems often booked the bank IB as an ordinary voucher (source_type
'import' or 'manual'), so it was never excluded and surfaced as a phantom
reconciliation difference equal to the opening balance. Adds:
- migration mark_entry_as_opening_balance: a GUC-gated carve-out in the
immutability trigger plus a SECURITY DEFINER RPC that validates the entry
(balance-sheet lines only, dated on a fiscal-period boundary), flips the
source_type, and writes an audit row — no blanket data sweep.
- POST /api/reconciliation/bank/mark-opening-balance + MarkOpeningBalanceSchema.
- BankReconciliationView action to trigger it from the IB diff.
The gnubok_create_voucher executor now accepts a typed is_opening_balance flag
and derives source_type='opening_balance' only after validating class 1/2 lines
on the period start, so new IBs land correctly typed.
Covered by lib/reconciliation auto-reconcile tests, voucher-executors tests,
and a mark-entry-as-opening-balance pg-real test.
Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
* chore: rebrand gnubok → Accounted and prune swarm agent skills
Product rebrand and skills housekeeping. No runtime behaviour change.
Rebrand: replace user-visible "gnubok" with "Accounted" across docs, READMEs,
in-code comments, doc-site content, MCP skill/resource prose, and the
gnubok-mcp package description. The MCP resource URI scheme is moved gnubok://
→ Accounted:// consistently across resource registrations, the event-type
comment, and the resource/skill tests. Deliberately preserved as stable
identifiers (NOT rebranded): the gnubok-company-id cookie, gnubok_sk_ / gnubok_inv_
token prefixes, the gnubok-mcp npm bridge name, and the AGI <gem:Programnamn>
value (kept 'gnubok' per its source comment — it is the software identifier sent
to Skatteverket and must not churn across visual rebrands).
Skills: remove the 27 swarm-* agent SKILL.md atoms (no longer used; already
absent from the agent_atom_registry in prod), refresh the remaining skill docs,
add the .claude/rules/ path-scoped rule set, and regenerate the
seed_agent_atom_bodies migration + .skill-body-manifest.json via
`npm run skills:generate` so the DB-backed skill bodies match the trimmed set.
Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
---------
Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
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ea1bf01f1e |
Fix/m sprint fixes (#613)
* fix(dashboard): exclude ignored and already-triaged transactions from stale count The "Gamla transaktioner" widget counted transactions that had been ignored or already marked as is_business=true but not yet booked, so users saw a nag for a row they had already dealt with — and the /transactions inbox correctly hid it. Align the count with the inbox criterion (is_business IS NULL, is_ignored = false) so the widget clears when the row leaves the inbox. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(transactions): read entity_type from settings response wrapper The transactions page read entityRes.entity_type directly, but /api/settings returns { data: { entity_type, ... } }. The expression was always undefined, so setEntityType never fired and entityType stayed at its initial 'enskild_firma'. The template picker's entity_type filter then dropped every aktiebolag-tagged user template for AB customers — only entity_type='all' templates made it through. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * stale templates bank sync journal entry from transaction * fixed pr comments * fixed pr comment --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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7bcd46d503 |
feat(transactions): match overshoot guards + supplier voucher linking (#602)
* feat(transactions): match overshoot guards + supplier voucher linking
Three changes that together close the "I can't link a bank transaction
to an already-booked verifikat on the supplier side" gap and fix a
latent data-corruption bug on the per-tx match endpoints.
1. fix: clamp paid_amount on match endpoints when tx > remaining
/api/transactions/[id]/match-{invoice,supplier-invoice} previously
used transaction.amount wholesale as the paid amount, pushing
invoice.paid_amount past invoice.total whenever the bank tx was
larger than what was owed. Both endpoints now reject with
MATCH_AMOUNT_EXCEEDS_REMAINING / MATCH_SI_AMOUNT_EXCEEDS_REMAINING
and a structured { transaction_amount, remaining_amount, excess }
payload that points the user at the future split-payment flow.
FX branch already clamps to invoice.remaining_amount and is
unchanged.
2. feat: supplier-side "link existing verifikat" (mirror of #591)
lib/invoices/supplier-voucher-matching.ts mirrors the customer
voucher-matching module: finds posted JEs that debit 2440
(Leverantörsskulder), validates currency + remaining-amount, and
atomically links them as supplier_invoice_payments rows. New
/api/supplier-invoices/[id]/{voucher-candidates,link-to-voucher}
routes wrap it. LinkVoucherPicker gains a mode='supplier_invoice'
prop so the same component renders both flows. The supplier-invoice
mark-paid dialog now uses Tabs ("Ny betalning" / "Befintlig
verifikation") to match the customer-side UX.
3. infra: transaction_voucher_links junction + denorm guard
Foundation migration for upcoming multi-tx ↔ multi-voucher flows.
Adds the junction table (with RLS, updated_at, indexes), a
block_contradictory_invoice_denorm trigger on transactions that
refuses to set invoice_id/supplier_invoice_id to a value that
contradicts an existing payment row, and is_transaction_booked(uuid)
as a single source of truth for "is this tx anchored?" once
multi-allocation leaves denorm columns NULL. No application code
uses these yet — they unlock the batch allocation and bulk-book
flows in follow-up PRs.
Tests: 98 unit tests pass across the touched paths (match-invoice,
match-supplier-invoice, supplier-voucher-matching, link-to-voucher).
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix(supplier-invoices): PR review — atomic link RPC, computeRemaining edge case, pg-real tests
Addresses the three real issues raised by Greptile on PR #602.
1. (P1) Atomic supplier voucher linking — new
link_supplier_invoice_to_voucher PL/pgSQL RPC. The TS-side
linkSupplierInvoiceToVoucher() previously did UPDATE-then-INSERT with
a manual unconditional rollback. Under concurrent linking against the
same invoice, request A's rollback could overwrite a sibling B's
successful write while leaving B's payment row in place. Moving both
writes into a single PG transaction (one RPC call) lets PG's own
rollback handle the failure path correctly. TS wrapper now just
translates the structured RPC return into the lib's Result type.
2. (P1) pg-real tests — tests/pg/transaction_voucher_links.pg.test.ts.
CLAUDE.md mandates *.pg.test.ts for any PR adding a trigger, RPC, or
RLS. The Phase 1A foundation migration added all three but had no
pg-real coverage. Tests now cover:
- trg_block_contradictory_invoice_denorm refusing contradictory
UPDATEs on invoice_id and supplier_invoice_id
- the same trigger PERMITTING a matching UPDATE (no false positives)
- is_transaction_booked() returning true via journal_entry_id, via
invoice_payments, and via transaction_voucher_links rows.
3. (P2) computeRemaining edge case — trust remaining_amount whenever
the column is non-null (including the legitimate 0 for fully-paid
invoices). The old "> 0" guard fell through to total - paid_amount,
which under rounding drift could compute a tiny positive residue and
slip a fully-paid invoice past LINK_SI_VOUCHER_INVOICE_FULLY_PAID.
The fourth Greptile comment (overdue invoices silently get no
candidates) was a misread: 'overdue' IS in the open-state list at
route.ts:35. No code change needed there.
Tests: 100 unit tests pass (16 in the directly-touched paths).
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix(supplier-invoices): PR review round 2 — broaden AP range, log event failures
Addresses the actionable findings from the compliance-swarm and
Swedish-accounting-compliance bot reviews on PR #602.
1. (swedish-accounting-compliance, high) AP account hardcoded to 2440
rejected legitimate samlingsverifikationer that debit 2441
(Leverantörsskulder i utländsk valuta), 2443 (Skuldfakturor), etc.
BAS 2026 reserves the full 2440–2449 range for Leverantörsskulder.
The TS-side AP_ACCOUNT constant becomes AP_ACCOUNT_PREFIX ('244')
used with .like() and .startsWith(). The PL/pgSQL RPC's
account_number filter becomes LIKE '244%'. The
LINK_SI_VOUCHER_NO_AP_DEBIT error message updates to reference the
244x range with examples.
2. (ISO 27001:2022 A.8.15 / OWASP V16) Empty catch on the
supplier_invoice.paid event emission now logs with log.warn so a
failure in the downstream reminder/audit subscriber leaves an
auditable trail without blocking the response.
3. (GDPR Art.5(1)(c)) Documented design rationale for retaining
select('*') on the post-link invoice re-fetch: the
supplier_invoice.paid event payload is typed as
`supplierInvoice: SupplierInvoice` in lib/events/types.ts, narrowing
would break the subscriber contract. The event stays in-process
and consumers legitimately need the full context.
Skipped findings:
- V8.2.1 ownership concerns: route + RPC already filter by
company_id from withRouteContext; the RPC's WHERE clause covers it.
- DELETE policy scoping: matches the gnubok pattern across all
company-scoped tables — any member with write access manages records.
- transaction_id = NULL on the voucher-link path: by design — the
flow has no bank tx (the voucher's 1930 line represents it).
- Reverse-charge VAT (2614/2647) validation on linked vouchers:
real concern but invasive change; tracked for follow-up.
- Storno-chain integrity (linking the original of a storno pair):
edge case; tracked for follow-up.
Tests: 26 unit tests pass in the directly-touched paths. RPC patch
applied to remote via Supabase MCP.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
---------
Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
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ccdfed5fea |
feat: voucher linking, recovery ops, and salary overrides (#591)
* feat: voucher linking, recovery ops, and salary overrides Adds reversible/correction-style write paths that customers and agents have been asking for, plus per-run salary employee overrides. Invoice → voucher linking - POST /api/invoices/[id]/link-to-voucher and GET /api/invoices/[id]/voucher-candidates - lib/invoices/voucher-matching.ts with full + pg test coverage - LinkVoucherPicker UI in PaymentBookingDialog - pending_operations.operation_type expanded with link_invoice_voucher (medium risk) and a (journal_entry_id, invoice_id) unique guard - MCP: gnubok_find_voucher_candidates_for_invoice and gnubok_link_invoice_to_voucher tools SIE undo - POST /api/import/sie/[id]/undo + undo_sie_import RPC - sie_imports.status gains 'undone' - ImportResultStep surfaces the action; structured error SIE_UNDO_FAILED Edit-recreate journal entries - POST /api/bookkeeping/journal-entries/[id]/edit-recreate - Bookkeeping detail page wires it into the existing edit flow Delete-last-voucher clears IB link - Trigger + pg test ensure deleting the last voucher of a period nulls the opening_balance_journal_entry_id link so a re-import lands cleanly Salary employee overrides - salary_run_employees gains per-run override fields + migration - lib/salary/effective-values.ts centralises resolved values; all payslip, payment, AGI, KU, and booking routes read through it - SalaryOverridePanel on the employee detail page Account classifier - lib/bookkeeping/account-classifier.ts + tests; AddAccountDialog uses it - backfill-import-accounts script updated Misc - toast: minor styling tweak - AGI generate-declaration: respect effective values - structured-errors: new LINK_INVOICE_VOUCHER namespace Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat: add link_invoice_voucher operation type to pending_operations * feat: refactor salary run calculations and update error handling for SIE imports * fix: PR review feedback on voucher linking and SIE recovery pg-real (blocking): - tests/pg/delete-last-voucher-ib: drop posted_at = now() from the seed UPDATE — journal_entries has no posted_at column. - lib/invoices/__tests__/voucher-matching.pg: seed the posted voucher before closing the fiscal period so enforce_period_lock doesn't block the INSERT during setup. voucher-matching error codes and rollback: - Add LINK_VOUCHER_DB_ERROR (HTTP 500) and return it on real invoice UPDATE / payment INSERT failures. Previously these returned LINK_VOUCHER_VOUCHER_NOT_FOUND (404) which the pending-op dispatcher auto-rejects on transient DB errors. - Log rollback failures explicitly so an invoice left in a half-linked state (advanced status, no payment row) surfaces for manual reconciliation instead of disappearing silently. resyncNextPeriodOpeningBalance ordering: - Create the new IB first, relink the period FK, then storno the old IB. Previously the storno ran first; if createJournalEntry failed the next period was left with a reversed IB and nothing to replace it, and executeSIEImport swallows the error as a non-fatal warning. replace_period_opening_balance_link: - Tighten role check to owner/admin (was owner/admin/member). Matches delete_last_voucher and undo_sie_import. Data minimisation: - /api/invoices/[id]/voucher-candidates and the matching MCP tools now project only the invoice and customer fields the matcher reads, instead of returning the full customer row. Schema bounds: - SalaryEmployeeOverrideSchema caps each numeric override at 10 MSEK to catch typos before they reach the ledger or AGI. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(tests): supply user_id when seeding voucher_sequences voucher_sequences.user_id is NOT NULL (per the multi-tenant refactor in 20260330130000). The previous test seed only set company_id / fiscal_period_id / voucher_series, which made the seed fail with a constraint violation on the latest pg-real run. Pass the same userId used elsewhere in the seed helper. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(tests): scope delete-last-voucher RPC assertions inside the tx withUserContext always ROLLBACKs, so any DELETE the RPC performs is discarded when the callback returns. The previous test then queried journal_entries via a fresh getPool() connection that only saw the pre-RPC committed seed state — hence "expected '1' to be '0'". Move every post-RPC assertion (entry count, period FK clear, opening_balances_set flip, audit log entry, sie_imports clear) inside the same withUserContext callback so they observe the uncommitted state before ROLLBACK fires. Also fix the sie_imports INSERT: the column is `filename`, not `file_name`, and `sie_type` is NOT NULL. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(tests): assert against the IB-marker audit row directly DELETE on journal_entries fires two audit_log writes: the generic write_audit_log() trigger row ("Deleted journal_entries record") and the delete_last_voucher RPC's explicit "(was period IB)" entry. Both land at the same statement_timestamp(), so ORDER BY created_at DESC LIMIT 1 returned the trigger row non-deterministically in CI. Switch to a presence check with a LIKE filter on the IB marker so the test verifies what it actually cares about — that the RPC's IB-aware audit row exists. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(db): set company_id on delete_last_voucher audit_log rows 20260528120000_delete_last_voucher_clears_ib_link.sql inserts directly into audit_log without setting company_id. audit_log's SELECT policy filters company_id IN user_company_ids(), so those rows landed with company_id=NULL and were invisible to every reader — only the generic write_audit_log() trigger row remained visible. That broke BFL audit- trail intent: the "(was period IB)" provenance row was never readable. Republish delete_last_voucher with p_company_id populated on both audit_log INSERTs (draft path and posted path). Behavior is otherwise unchanged; the pg-real test for the IB-clear flow now sees the RPC-written marker row as expected. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> Co-authored-by: Emil <emilmattsson14@gmail.com> |
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20989379bb |
feat(sandbox,branding): prod-parity demo with AI gating + accounted rebrand (#585)
* feat(sandbox,branding): prod-parity demo with AI gating + accounted rebrand Sandbox now ships with seeded suppliers, supplier invoices, an asset, a verified agent_profile, and pending operations so the demo company exercises every prod surface. Server-side `guardSandbox()` short- circuits any AI or paid-external API call (Bedrock chat/composer, Resend invoice send, Riksbanken FX, VIES, etc.) and the AgentSheet swaps in a SandboxAgentPreview that explains what's gated and offers a register CTA. DashboardContent no longer mounts the NewUserChecklist when the agent is already built, fixing the path that let sandbox users still trigger /onboarding/agent. Visible branding flips from Gnubok to Accounted: new BrandWordmark component (Hedvig Letters Serif 700), new app/icon.png + PWA icons generated from the accounted icon, default appName updated. URLs, header names, API key prefixes, hostnames, and event/cookie/ localStorage keys keep `gnubok` — the rebrand is visual only. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(sandbox): hardcode supplier-invoice arrival numbers in seed get_next_arrival_number is MAX(arrival_number) + 1 against the same table we're about to insert into. Calling it twice before either row lands made both calls return 1, which then violated the (company_id, arrival_number) unique index — POST /api/sandbox/seed 500'd on first sandbox start. The seeded company is brand new in this branch so 1 and 2 are guaranteed unused; hardcoding side-steps the race entirely. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(sandbox): set paid_amount=0 on unpaid supplier invoice PostgREST normalizes the column set across rows in a bulk insert, so the second supplier invoice (Espresso House, status=registered) was being sent with paid_amount=null because the first row (Telia, paid) set it. supplier_invoices.paid_amount is NOT NULL DEFAULT 0; the default only kicks in when the column is *absent* from the payload, not when it's explicitly null. Set it inline to side-step the normalization. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(sandbox): set actor_type=agent_chat on seeded pending_operations pending_operations only allows user-scoped INSERTs via the `pending_operations_chat_insert` policy, which requires actor_type='agent_chat' alongside auth.uid()=user_id + company membership. The seed was inserting with the default actor_type='user', tripping the RLS check. Also lift risk_level from preview_data (where it was unused) onto the row itself, matching the column added in 20260430120000_pending_operations_actor_and_risk. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(pr-review): address PR #585 review feedback Fixes called out by the core-only CI check, Greptile, and the compliance + Swedish-accounting bots: - AGI Programnamn pinned back to 'gnubok' (CI blocker). The XML Skatteverket receives must keep the stable software identifier regardless of the visual rebrand — same rule as the v1 health endpoint's `service: 'gnubok'` literal. - handleCreateAccount in SandboxAgentPreview + ChatEmptyState now wraps signOut() in try/catch so a transient Supabase failure doesn't strand the user on a dead button (greptile P2 × 2). - /api/currency/rate hard-fails on missing companyId instead of conditionally skipping the sandbox guard (greptile P2 / compliance V8.2.1). - topUpSandboxAdditions now delegates to ensureSandboxAgentProfile; the assistant persona lives in exactly one place across the seed, layout backfills, and top-up path (greptile P2 outside-diff / compliance SOC2 CC6.1). - ensureSandboxAgentProfile drops the userId param and sets verified_by_user_id to NULL — synthetic seed data should not attribute verification to a real user (compliance V8.2.1 / GDPR Art. 25(2)). Errors now logged via the structured logger instead of being silently swallowed (V16). - Sandbox seed swaps real-world company names (Telia, Espresso House) for clearly-synthetic Demo-prefixed brands using the 5559... documentation org-number range (compliance A.8.33). Asset cost bumped 24 000 → 35 000 SEK so the demo clears the förbrukningsinventarier threshold and illustrates capitalization unambiguously (swedish-asset-accounting). - Representation pending-operation preview corrected: VAT label fixed from 6% → 12%, and input VAT split between the avdragsgill (2641) and ej-avdragsgill (5811) portions to match swedish-vat / ML 8 kap rules (swedish-vat). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(pr-review): seed preview consistency + AGI Programnamn constant Two last review-bot items before merge: - Sandbox seed: the representation pending-operation preview was splitting the 240 SEK café meal 60/180 between 5810 and 5811, which is wrong for a single attendee under the 300 SEK / person avdragsgill cap (ML 8 kap) — the entire amount is fully avdragsgill in that case. Collapse the preview to a single 5810 + 2641 + 2440 entry so it matches the supplier_invoice_items row 1:1 and stops teaching demo users an incorrect bookkeeping pattern. - Hoist the AGI Programnamn 'gnubok' literal into a named constant with a comment pointing to potential future Skatteverket vendor registration (per the swedish-compliance bot's nit). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(sandbox): avoid BFL duplicate-verification on pending op + fix VAT cap comment Swedish-compliance bot caught two final nits: - The pending operation for the Demokafé representation was using the same supplier_invoice_number as the already-seeded supplier_invoices row (88245). If the sandbox user approved the staged operation, the insert would have created (or attempted) a duplicate verification — BFL 5 kap. requires each affärshändelse be recorded exactly once. Swap the staged operation's invoice number to a distinct value (INKOMMANDE-2026-001) so approval cleanly creates a new row. - The preview comment described the 300 SEK threshold as an "avdragsgill cap". The actual rule (ML 8 kap. 9 §) caps the deductible VAT at 25 % × 300 SEK × antal_personer = 75 SEK per person — the 300 SEK is the tax base, not the total. Math here is correct either way, but the comment now states the correct formula so future seed edits don't propagate the wrong understanding. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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e4488a900b |
feat: add user locale preference to user_preferences table (#555)
* feat: add user locale preference to user_preferences table
- Introduced a new column 'locale' in the user_preferences table to store per-user UI language preferences.
- Added a CHECK constraint to ensure only supported locales ('sv', 'en') are allowed.
- Triggered a schema reload notification for the changes.
chore: declare CSS module support in TypeScript
- Added a declaration for CSS modules in globals.d.ts to enable TypeScript support for importing CSS files.
* feat: add Swish as an invoice payment method in company settings
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cc351158f8 |
Invoicing & account-security polish bundle (#550)
* feat: invoicing & account-security polish bundle Five independent improvements bundled to ship together: - BankID/password lockout fix: BankID-only users could enroll MFA and brick themselves (Supabase requires AAL2 to change password or unenroll MFA, and AAL2 needs a password sign-in). New app_metadata.has_password flag tracks this; middleware gates /mfa/enroll behind it, /account/set- password is the unlock path, SecuritySettings shows a banner, and /api/account/password is the single write path that flips the flag. Backfill script for existing users. - Swish invoice payment method: company_settings.swish + invoice_show_swish columns, validation in lib/api/schemas.ts (accepts 123XXXXXXX företag or 07XXXXXXXX mobile, strips whitespace/hyphens), rendered on invoice PDFs. - Send-reminders kill switch: per-company company_settings.send_invoice_ reminders toggle in PdfPrintSettings/Automatisering. Reminder processor also tightened: positive status allowlist (sent + overdue) so terminal statuses can never match; skip when customer already responded via reminder link; race-window re-check before send. - First-invoice logo prompt: one-shot dialog when creating the first invoice without a logo (issue #520). Self-limits via head-only count. - SIE export opening-balance fallback: route IB through getOpeningBalances so the compute_prior_opening_balances RPC supplies #IB after multi-year imports where opening_balance_entry_id is intentionally NULL. Previously #IB silently went to zero and #UB collapsed to current-period movements. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(account-polish): address PR review feedback - BankID-link path (extensions/general/tic/index.ts): read-merge-write app_metadata instead of passing { bankid_linked: true } alone. updateUserById REPLACES app_metadata wholesale, so the previous code would have wiped has_password for any user who later linked BankID, causing the set-password banner to (incorrectly) reappear and blocking the standard MFA enrollment button. The comment is now corrected. - Middleware (lib/supabase/middleware.ts): thread inner returnTo through the /mfa/enroll → /account/set-password redirect so the user lands on their original destination after the full chain completes, not on /. - safeReturnTo helper (lib/auth/safe-return-to.ts): replace the starts-with-/-but-not-// guard on mfa/enroll and set-password pages. The previous guard let /\evil.com and /@evil.com through. The new helper parses against a synthetic base origin and verifies it matches. - set-password page (app/(auth)/account/set-password/page.tsx): remove CLAUDE.md design system violations — bg-gradient-to-b on page bg, inline shadow-md style on the card, space-y-5, font-medium on the h1, rounded-xl on the card. Flat surface, hairline border, font-display h1 per the design tokens. - Swish dedup (lib/payments/swish.ts): extract normaliseSwish() and isValidSwish() helpers and use them in lib/api/schemas.ts, components/settings/BankDetailsForm.tsx, and the invoicing settings page. Single source of truth for the regex. - Password route (app/api/account/password/route.ts): emit a structured success log so the audit pipeline can detect password-set events, not just failures. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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b46b572ee9 |
fix(invoices): duplicate-payment guard on customer mark-paid + categorize (#502)
* fix(invoices): duplicate-payment guard on customer mark-paid + categorize
Two-pronged fix preventing duplicate verifikationer when a customer
invoice is marked paid OR a 19xx→1510 categorization is applied to an
inbound bank tx that already belongs to an open invoice.
Prong A (mark-paid): before booking, scan unlinked positive business
bank txs from the same customer within ±2% / ±60 days. If candidates
exist, return 409 INVOICE_PAID_LIKELY_DUPLICATE with per-candidate
match_reason (ocr_exact > name_amount_fuzzy > amount_only). Override
via `{ force: true }`. Applied to both legacy /api/invoices/[id]/
mark-paid and v1 /api/v1/.../invoices/[id]/mark-paid; v1 guard runs
before dry-run so previews can't mask the warning.
Prong B (categorize): when the user assigns 1930→1510 directly on a
positive business tx with a matching open customer invoice (by name
OR by OCR-normalized reference), return 409
TX_CATEGORIZE_SUGGEST_CI_MATCH routing them to /match-invoice.
Mirrors the supplier-side guard from #461. Shared helpers
(DUPLICATE_AMOUNT_TOLERANCE_PCT, escapeLikePattern) reused as-is.
New helper normalizeOcrReference() strips non-digits for Swedish OCR
equality. New shared candidate-finder
lib/invoices/duplicate-payment-candidates.ts keeps the legacy and v1
routes calling the same code.
Frontend:
- PaymentBookingDialog intercepts the 409, renders candidate list
with match_reason badges (Exakt OCR-träff / Sannolik träff /
Möjlig träff), offers "Länka transaktion" or "Bokför ändå"
(force-retry generates a fresh Idempotency-Key for v1 callers)
- transactions/page.tsx mirrors siMatchSuggestion handling as
ciMatchSuggestion with a parallel "Matcha mot kundfaktura?" dialog
v1 caveat documented in the route's pitfalls block:
INVOICE_PAID_LIKELY_DUPLICATE force-retry requires a fresh
Idempotency-Key because the original is body-hash bound; reusing it
returns 400 IDEMPOTENCY_KEY_REUSE.
Tests: 5 new mark-paid tests (legacy + v1) covering 409, force
bypass, partial-payment skip, ocr_exact match_reason, multi-candidate
ranking. 1 v1-only test verifying dry-run also surfaces the 409. 2
categorize Prong B tests (409 + confirm_no_match bypass).
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix(invoices): address compliance-swarm review on duplicate-payment guard
Three review-driven fixes:
1. **PostgREST .or() injection (OWASP V1.2.5).** `escapeLikePattern` neutralises
LIKE wildcards but NOT PostgREST filter-DSL chars (`,`, `.`, `(`, `)`). A
customer name like `Acme,fake.eq.true` could otherwise inject a synthetic
filter clause into the `.or('merchant_name.ilike.%X%,description.ilike.%X%')`
string. Replaced with two parameterised `.ilike()` queries dispatched in
parallel and merged by id in JS. Slight perf cost (two index hits per call),
eliminates the DSL-injection surface entirely.
2. **Date window anchored on invoice_date instead of due_date
(swedish-accounting-compliance bot).** The Prong B categorize intercept
filtered open customer invoices by `invoice_date ± 60d` relative to the
bank-tx date. For invoices with 60–90 day payment terms, the actual
payment lands well after `invoice_date`, so the legitimate match falls
outside the window and the guard silently misses it. Switched to
`due_date ± 60d` — the better proxy for "around when payment is expected."
No corresponding change for Prong A (mark-paid), which is correctly
anchored on `paymentDate` (the user-supplied or default-today date) and
scans bank-tx dates around that anchor.
3. **Force-bypass log enrichment (ISO A.8.15, OWASP V16).** Both
`duplicate-payment guard bypassed` warn entries now include `userId` and
`paymentAmount`. Attribution was previously incomplete — the bypass log
carried only `invoiceId`, which forced a join in log aggregation to
identify the acting principal.
Tests updated for the two-query pattern (legacy mark-paid suite enqueues
two transactions-table responses per guard invocation; v1 tests already
worked with the single-entry-per-table mock semantics).
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* chore(docs): redirect /docs/api and /llms-full.txt to docs.gnubok.se
Canonical docs host is now docs.gnubok.se. Every `docs_url` field on the
v1 error envelope still points at /docs/api/* on this app; the 308
permanent redirect forwards humans and agent crawlers to the docs
subdomain without us needing to mass-update structured-errors.ts.
/llms-full.txt also routes through the docs host where it's served from
the docs site's own build.
---------
Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
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d0fbc2b616 |
refactor(ui): app-wide UI/UX consistency pass (#436)
* refactor(ui): app-wide UI/UX consistency pass
Net: +1,159 / −1,373 LOC across 77 files. No new features, no behavior
changes. Locks in a uniform design system across every dashboard surface.
What changed:
- **Foundation**: sidebar width 232→256px (md:w-64), spacing scale locked
(Tailwind 1/2/3/4/6/8/10/12; 2.5/5 forbidden), card padding p-6 default
(p-4 for compact metric cards), space-y-8 between page sections.
- **Tables unified**: all 33 thead blocks now share the Resultatrapport
pattern via shadcn Table primitive (text-[11px] font-medium uppercase
tracking-wider text-muted-foreground). Hand-rolled <table> instances
converted where they were data tables; form/edit grids kept distinct.
- **Status badges unified**: every status indicator routes through
shadcn <Badge variant>. Eliminated raw Tailwind colors
(bg-amber-100, bg-emerald-500/10, bg-blue-100, bg-purple-100, etc.)
in favor of the gnubok semantic palette (success=sage, warning=ochre,
destructive=terracotta).
- **Empty states unified**: list pages migrated from hand-rolled
"flex flex-col items-center py-12" divs to the EmptyState primitive.
- **Loading skeletons unified**: hand-rolled bg-muted rounded animate-pulse
divs replaced with shadcn <Skeleton> across 15 files.
- **Touch targets**: 6 back-buttons + edit-pencil + inbox delete bumped
from 24/32/36px to shadcn's 40px icon default. Added aria-labels on
9 icon-only navigation buttons.
- **Date formatting**: formatDate() for accounting data (ISO yyyy-MM-dd,
table-friendly) vs formatDateLong() for metadata (Swedish long form).
Raw {x.invoice_date} renderings routed through formatDate() in 18 sites.
- **Toast titles**: eliminated 33 generic "Fel" titles. Each toast title
now carries the action ("Kunde inte skapa lönekörning" etc.) with
description carrying the error detail.
- **Page-level cleanups**:
- Dashboard: dropped greeting hero + Snabbåtgärder/Att hantera nav
duplicates + Visa detaljer collapsible.
- Reports: 5-col mega-menu replaced with left-rail layout
(new ReportsNav component).
- Bookkeeping: fixed layout jump between Verifikationer/Ny verifikation
tabs (moved FiscalYearSelector inside journal tab).
- Bookkeeping: added voucher sort (A1 first / latest first) alongside
existing date sort. Required matching API param sort_by.
- KPI page: FiscalYearSelector instead of raw <select>; InfoTooltip
instead of inline info-button toggle; bigger numbers.
- Salary section: enum values translated to Swedish labels, mobile
table collapses to Anställd+Netto on <md, KPI typography aligned
with dashboard.
- Invoice forms: styled RequiredMark + aria-required, tabular-nums
on amount inputs.
- **CLAUDE.md**: new "Design System Tokens" subsection documents the
locked spacing scale, primitives table, typography rules, date helpers,
and forbidden patterns so future contributors don't drift.
Tests: 2,906 passing (unchanged). Lint: unchanged from main baseline.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix: address PR review feedback (Greptile + compliance bot)
- **formatDate / formatDateLong timezone fix**: switch from new Date() to
parseISO. Bare yyyy-MM-dd strings are now parsed as local midnight rather
than UTC midnight, eliminating the off-by-one display in west-of-UTC
timezones flagged by Greptile.
- **DashboardContentProps cleanup**: removed unused firstName and settings
fields from the interface, and the corresponding fetch (profiles table)
+ computation in app/(dashboard)/page.tsx. The greeting was dropped in
the dashboard cleanup; these props were dead weight.
- **Voucher sort behavior documented**: extended the comment in the journal
entries API route to explain why voucher sort intentionally uses strict
fiscal_period_id filtering (BFL 5 kap 6–7 §§ — voucher numbers are
series-scoped within a fiscal year). The row-count delta between date
sort and voucher sort is now a documented design choice.
- **delete_last_voucher migration + draft-delete test included**: the UI
already shipped the "Radera utkast" path in the previous commit; this
pulls in the backing RPC migration that allows draft deletes (with the
full safety logic — drafts skip series/period checks since they have
voucher_number=0, posted entries go through the existing unchanged
path). This was originally meant for a separate PR but the UI shipped
half the feature without it.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* chore(migration): rename to match applied version
The function delete_last_voucher is already applied to the production DB
under version 20260509103736 (verified via pg_get_functiondef — exact
byte-for-byte match to file content). The previous file timestamp
20260509120000 would cause a fresh `supabase db push` to attempt re-applying
under a different version row. Renaming the file aligns local tracking
with what the database actually has.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix: address compliance bot findings (payroll label + VAT visibility)
- sick_karens label: drop "(första sjukdagen)" qualifier. Per sjuklönelagen
6 §, karensavdrag is a single calculated amount (20% of one week's
sjuklön) deducted from the first sick day's pay — not bounded to the
first day. The qualifier could mislead users when the first sick day
and return-to-work span a weekend. Swedish-payroll bot recommendation.
- Omvänd skattskyldighet badge: variant outline → warning. The reverse-
charge indicator is compliance-critical (ML 16 kap) — missing it leads
to incorrect input VAT deduction. Outline was too subtle; warning's
ochre fill matches its semantic weight.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
---------
Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
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ed9bdc4c00 |
Bug/transaction import (#435)
* fix(invoices): drop UTKAST banner on numbered invoices and preserve logo aspect ratio Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * revert(invoices): restore UTKAST banner for drafts; keep logo aspect ratio fix Numbered drafts intentionally surface UTKAST until manually marked sent. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * revert(invoices): drop logo objectFit change Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(enable-banking): implement transaction fetch strategy and update related logic --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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0ee5219b6c |
feat(invoices): implement öresavrundning logic and next invoice numbe… (#429)
* feat(invoices): implement öresavrundning logic and next invoice number preview - Added `getDisplayTotal` utility to handle rounding for SEK invoices based on company settings. - Updated `InvoicesPage` to utilize the new rounding logic when displaying totals. - Introduced `peek_next_invoice_number` function to allow previewing the next invoice number without consuming the sequence. - Modified invoice number generation to remove the year prefix and prevent truncation of numbers exceeding three digits. - Enhanced tests for invoice number generation and rounding functionality to ensure correctness. - Updated PDF template to reflect new rounding logic for totals and display appropriate values. - Adjusted company switcher to hide options in sandbox mode. - Improved error handling and logging in sandbox seeding process. * fix(skatteverket): remove unused scope labels from SCOPE_LABELS and DEFAULT_SCOPES |
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81e9dd224e |
Add/csv import options (#420)
* feat(import): add customer and supplier parsing functionality - Implemented customer file parsing in `lib/import/customers/parser.ts` with support for Excel and CSV formats. - Created types for detected customer columns and parsed customer rows in `lib/import/customers/types.ts`. - Added tests for customer classification logic in `lib/import/shared/__tests__/classify.test.ts`. - Developed classification functions for customers and suppliers in `lib/import/shared/classify.ts`. - Introduced shared column utility functions in `lib/import/shared/column-utils.ts`. - Implemented supplier file parsing in `lib/import/suppliers/parser.ts` with validation for various fields. - Created types for detected supplier columns and parsed supplier rows in `lib/import/suppliers/types.ts`. - Added tests for supplier column detection and parsing in `lib/import/suppliers/__tests__/column-detector.test.ts` and `lib/import/suppliers/__tests__/parser.test.ts`. * fix(labels): update 'Svenskt företag' to 'Svenskt företag eller organisation' for clarity * feat(import): refactor encoding handling for Swedish files and add tests for character preservation * feat(recapt): implement clearRecaptIdentity function and integrate into logout flow * feat(bookkeeping): implement copy functionality and next voucher sequence retrieval * feat(import): enhance customer and supplier import functionality with normalization and event handling |
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fd1db89603 |
Fix/invoice numbers (#365)
* feat: make invoice_number nullable and assign on send - Updated the invoices table to allow invoice_number to be nullable. - Modified the logic to assign invoice numbers only when the invoice status transitions to 'sent'. - Refactored related code to handle nullable invoice numbers, including UI components and API routes. - Added tests to ensure correct behavior when handling invoices with null invoice numbers. - Introduced a utility function to display invoice numbers, defaulting to '(Utkast)' for drafts. * fix: update fiscal period handling to return names of open periods in error messages * fix: enhance period creation logic to account for company-wide bookkeeping lock-through * fix: remove unnecessary customer_type field from customer insertion query * fix: scope invoice number count query to specific companies to avoid test interference * feat: Implement atomic invoice number generation and ensure compliance with invoice numbering rules - Introduced `ensureInvoiceNumber` function to assign invoice numbers atomically, handling concurrency and ensuring compliance with document types. - Updated invoice-related components to utilize the new `invoiceNumberDisplay` utility for consistent invoice number formatting. - Added checks to ensure that invoices in non-draft statuses have valid invoice numbers, preventing violations of legal requirements. - Created tests for the new invoice number generation logic, ensuring correct behavior under various scenarios, including concurrent requests. - Added a draft banner to PDF templates for invoices without assigned numbers, clarifying their status to users. - Updated database migrations to support the new atomic invoice number generation logic and enforce constraints on invoice statuses. |
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0222e084bb |
Refactor bookkeeping error handling and introduce new error classes (#356)
- Introduced new error classes for better error categorization: - JournalEntryNotBalancedError - FiscalPeriodNotFoundError - EntryDateOutsideFiscalPeriodError - JournalEntryNotFoundError - CannotReverseNonPostedError - CannotCorrectNonPostedError - EntryAlreadyReversedError - CurrencyRevaluationAlreadyExistsError - InvalidMappingResultError - BookkeepingDatabaseError - Updated existing functions in engine.ts and transaction-entries.ts to throw specific errors instead of generic ones. - Enhanced error response handling in get-error-message.ts to provide localized messages for new error types. - Added unit tests for new error classes and error handling functions to ensure correctness and coverage. |
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aec14f0ca7 |
fix: scope company_settings query to active company in invoice dialogs (#288)
SendInvoiceDialog and PaymentBookingDialog called .single() on company_settings without a company_id filter, relying on RLS to narrow the result. RLS uses user_company_ids() which returns every company the user can access, so multi-company users (including team members) got multiple rows back and PostgREST returned 406. Filter explicitly by the active company and use maybeSingle() so a missing row falls back to defaults. Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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e2d9c8bb85 |
fix: MCP OAuth 303 redirect, send dialog auto-close, bank details null payload (#175)
* fix: MCP OAuth 303 redirect, send dialog auto-close, bank details null payload - OAuth authorize: use 303 See Other instead of default 307, which preserved POST method and caused Claude's callback to return 405 - SendInvoiceDialog: close dialog and show toast after email send instead of leaving a success message that requires manual close - BankDetailsSetupDialog: omit empty fields from payload instead of sending null, which fails Zod validation on non-nullable schema fields Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * refactor: remove dead sentMessage state and fix stale comment Remove sentMessage state, its success banner JSX, and the CheckCircle2 import — all unreachable after the dialog now auto-closes on email send. Fix stale "to null" comment in BankDetailsSetupDialog. Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.6 (1M context) <noreply@anthropic.com> |
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77a316fec1 |
feat: move bank details from onboarding to first invoice creation (#140)
* feat: event log, pending operations, and MCP staging - Event log system: persist bus events to event_log table for external automation platforms. Batch insert for transaction.synced. Daily cleanup cron at 02:00 UTC. - Pending operations: MCP write tools (categorize, create customer, create invoice) now stage to pending_operations instead of executing directly. Users review and commit/reject from /pending in the web UI. - Granskning page: card-based review UI with expandable previews, commit/reject dialogs. Only shown in nav when pending ops exist. - Commit route re-executes using core lib functions (no extension imports). Guards against stale state (double-commit, deleted entities). Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * feat: stage new MCP write tools after main merge Add staging for 4 new write tools from #133: - mark_invoice_paid, send_invoice, mark_invoice_sent, match_transaction_invoice - Expand pending_operations CHECK constraint - Add commit executors with full execution logic - Add UI labels and generic preview component - Remove confirm parameter from categorize (single-call staging) - Fix UUID in pending op title (fetch transaction description) - Hide Granskning nav when no pending ops Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * fix: address PR review feedback - Fix TS build error: use `select('*, customer:customers(*)')` for match_transaction_invoice to avoid array type inference - Add status guard to commitSendInvoice (prevents duplicate sends) - Replace auth.admin.getUserById with user email from session auth - Restore optimistic lock check in commitMatchTransactionInvoice - Fix tool description typo: expense_software → expense_office Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * feat: add support contact links and improve SIE import UX Add a SupportLink component with a contact dialog throughout the app (nav, help page, settings, MFA, error pages, empty states). Improve SIE import flow with phased loading states, structured skip breakdowns, and an elapsed-time counter. Fix MFA enroll stale factor cleanup and URL encoding for settings return path. Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * fix: address PR review — open redirect, XSS, test cleanup, fallback email - Validate returnTo is a relative path in MFA enroll (prevents open redirect) - Add afterEach import to event-log-handler tests (fixes handler leak) - HTML-escape user-supplied subject and message in support email body - Replace hardcoded personal email with support@gnubok.se fallback Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * feat: move bank details from onboarding to first invoice creation Bank details (account, bankgiro, invoice prefix) are now collected contextually when the user creates their first invoice, rather than during onboarding where most users skip them. This ensures invoices always have payment information on the PDF. - Remove onboarding step 5 (bank details), simplify to 4 steps - Delete Step6ConnectBank component - Add BankDetailsSetupDialog with bank account, bankgiro (Luhn), IBAN/BIC (collapsible), and invoice prefix fields - Intercept at "Granska & skapa" for invoice document type only (proforma and delivery notes pass through without bank details) - Show soft info banner on invoice form when bank details are missing - Add controlled mode (value/onChange) to BankNameCombobox for reuse Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * fix: address PR review — null-check race, escape key, starting number - Fix P1: use `hasBankDetails === false` instead of `!hasBankDetails` to avoid treating null (loading) state as missing bank details - Fix P2: remove onEscapeKeyDown override so keyboard users can dismiss the dialog (WCAG AA compliance) - Add starting invoice number field alongside prefix, so users can choose e.g. starting at 14 instead of 1 Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * feat: skip auto-categorization during bank sync when SIE overlap detected Prevents double-booking when bank transactions are synced for a period that already has journal entries from a SIE import. Reconciliation still links transactions to existing GL lines; only new journal entry creation is suppressed. A batch reconciliation sweep runs post-sync to catch additional matches. Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.6 (1M context) <noreply@anthropic.com> |
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6d84828fcc |
Reference UI fix (#132)
* feat: display invoice references as tags instead of plain text Replace the single-line text input for "Er referens" with a tag-style input that lets users add/remove individual references as chips. Updates the detail page, review modal, and PDF template to render comma-separated references as wrapped badge/tag elements instead of a single string. Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * Fixed our reference field --------- Co-authored-by: Claude Opus 4.6 (1M context) <noreply@anthropic.com> |
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d8e0a22495 |
feat: counterparty templates, Skatteverket extension, complete VAT form (#117)
* feat: separate AR/AP/accounting into distinct nav groups (#92) Split the flat "Finans" sidebar group into three visually distinct sections — Försäljning (AR), Inköp (AP), and Redovisning — so users coming from Fortnox immediately find customer invoicing and supplier invoices as top-level concepts. Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * feat: journal entry detail view, correction chain, and account name display - Add journal entry detail page at /bookkeeping/[id] with full entry view - Add correction chain API and component showing storno relationships - Add JournalEntryStatusBadge component for entry status display - Show debit/credit account names in template picker and review dialogs - Expand client-side BAS account name mapping with additional accounts - Show account codes on transaction inbox suggestion buttons Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * fix: address review feedback — N+1 query, duplicate name, nav dedup - Batch reverse-lookup into single query per BFS iteration (was N+1) - Differentiate account 2393 from 2893 in display names - Extract shared loop for desktop/mobile nav group rendering Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * feat: counterparty templates, Skatteverket extension, VAT form completeness, and UI cleanup - Add counterparty-based categorization templates (learned from user approvals and auto-ingestion) with fuzzy matching in the mapping engine - Add Skatteverket extension for direct VAT declaration submission via API - Complete VAT declaration form with all 30 SKV 4700 boxes (ruta 08, 35-42, 50, 60-62) - Fix ruta 49 formula to include import VAT (ruta 60+61+62) - Simplify dashboard UI: remove redundant icons from stat cards, customer cards, invoice list, supplier invoices; use Badge variants consistently - Add SkatteverketPanel component to reports page - Add categorization_templates and skatteverket_tokens migrations - Update tests and helpers for new types Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * fix: address PR review feedback — VAT detection, migration timestamps, dedup - Fix detectVatTreatment to derive actual rate (12%/6%) from VAT line description instead of hardcoding standard_25 - Rename skatteverket_tokens migration to 20260324120001 to avoid duplicate timestamp with categorization_templates (fixes Supabase deployment failure) - Make refreshAccessToken accept previousRefreshCount param to enforce refresh limit contract at the type level - Fix rate limiter TOCTOU by claiming slot before await - Extract formatRedovisare/formatRedovisningsperiod to shared lib/skatteverket/format.ts — eliminates duplication between mappers.ts and SkatteverketPanel.tsx Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.6 (1M context) <noreply@anthropic.com> |
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3050743013 |
Last feedback fixes (#116)
* Transaction updates. Email updates. Bookkeeping updates. * Added email confirmation box * Update components/invoices/SendInvoiceDialog.tsx Co-authored-by: greptile-apps[bot] <165735046+greptile-apps[bot]@users.noreply.github.com> * Update app/(dashboard)/invoices/[id]/page.tsx Co-authored-by: greptile-apps[bot] <165735046+greptile-apps[bot]@users.noreply.github.com> * fix: restore deleted useEffect and remove stray JSX closing tag The SendInvoiceDialog useEffect body was accidentally removed in e32c9b3, leaving only the dependency array. Also removes a stray `/>` in the invoice detail page that broke the Turbopack build. Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> --------- Co-authored-by: greptile-apps[bot] <165735046+greptile-apps[bot]@users.noreply.github.com> Co-authored-by: Claude Opus 4.6 (1M context) <noreply@anthropic.com> |
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ceec8c02a8 |
feat: reverse charge VAT (ruta 20-32) + mobile UX improvements (#50)
* fix: include reversed entries in all reports (general ledger, trial balance, VAT, SIE, NE, INK2) Reversed entries (storno) must appear alongside their original posted entries in reports for a complete audit trail. Previously, filtering by status='posted' excluded them, causing discrepancies when corrections had been made. Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * feat: semi-manual invoice payment booking with editable journal lines When marking an invoice as paid, users now see a dialog where they can: - Choose which bank/cash account the payment goes to (1910, 1920, 1930, etc.) - Review and edit the proposed journal entry lines before committing - The happy path remains fast — lines are pre-filled correctly Implementation: - Pure proposePaymentLines() function for line computation (accrual + cash) - PaymentBookingDialog with AccountCombobox, balance validation, date picker - API accepts optional custom lines, falls back to auto-generation without them - 18 tests (8 unit + 10 API) all passing Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * fix: address Greptile review — validation fallback, balance check, error handling - P1: Return 400 on invalid body instead of silently falling back to auto-generated lines (split JSON parse from schema validation) - P1: Add server-side balance check for custom lines before committing (debit must equal credit, totalDebit > 0) - P2: Wrap PaymentBookingDialog init() in try/catch with toast on failure and auto-close instead of silent empty state - Add 2 new tests: unbalanced lines → 400, invalid schema → 400 Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * fix: OAuth callback redirect for local dev and timeout resilience - Pass redirectUri dynamically from NEXT_PUBLIC_APP_URL so OAuth callbacks work on localhost (not just production) - Encode consentId/provider in OAuth state (base64url JSON) so the callback doesn't depend on session storage - Add skipAuth flag to extension API routes for OAuth callbacks (external provider redirects have no user session cookie) - Wrap AbortError in descriptive timeout messages in arcim-client - Make preview endpoint resilient to partial failures (company info and SIE fetch are individually non-blocking) - Simplify login page (remove unused magic link auth mode) Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * fix: create journal entry before marking invoice as paid Move journal entry creation before the invoice status update so that if accounting fails, the invoice is not permanently marked paid without a corresponding entry. Previously the error was silently swallowed. Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * fix: update mark-paid tests for journal-first ordering Reorder mock queue to match new flow (settings before update), update failure test to expect 500 instead of silent success, add try-catch with proper error response in route handler. Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * feat: add reverse charge VAT (ruta 20-32) and improve mobile UX across dashboard Add full reverse charge (omvänd skattskyldighet) support to the VAT declaration: - Map accounts 2614/2624/2634 to ruta 30/31/32 for self-assessed output VAT - Calculate purchase bases (ruta 20-24) from supplier invoices by supplier type - Include ruta 30-32 in ruta 49 formula and totalOutputVat summary - Display reverse charge section in reports UI and composition chart - Add comprehensive test coverage for all reverse charge scenarios Improve mobile UX across the app: - Convert nav drawer to bottom sheet with drag handle and safe area padding - Add mobile card layout for PaymentBookingDialog journal lines - Replace settings tab pills with dropdown selector on mobile - Make wizard step indicators responsive (collapsed on mobile) - Ensure all dialog footers stack buttons full-width on mobile - Add 44px minimum touch targets throughout - Make onboarding buttons full-width on mobile Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * fix: address Greptile review — indentation, query efficiency, tab dedup - Fix misleading try-block indentation in mark-paid route - Filter reversed entries at DB level (.eq('status', 'posted')) instead of fetching then discarding in memory - Extract shared settingsTabs array so mobile Select and desktop TabsList stay in sync automatically Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.6 (1M context) <noreply@anthropic.com> |
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3e82295cce |
feat: semi-manual invoice payment booking dialog (#37)
* fix: include reversed entries in all reports (general ledger, trial balance, VAT, SIE, NE, INK2) Reversed entries (storno) must appear alongside their original posted entries in reports for a complete audit trail. Previously, filtering by status='posted' excluded them, causing discrepancies when corrections had been made. Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * feat: semi-manual invoice payment booking with editable journal lines When marking an invoice as paid, users now see a dialog where they can: - Choose which bank/cash account the payment goes to (1910, 1920, 1930, etc.) - Review and edit the proposed journal entry lines before committing - The happy path remains fast — lines are pre-filled correctly Implementation: - Pure proposePaymentLines() function for line computation (accrual + cash) - PaymentBookingDialog with AccountCombobox, balance validation, date picker - API accepts optional custom lines, falls back to auto-generation without them - 18 tests (8 unit + 10 API) all passing Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> * fix: address Greptile review — validation fallback, balance check, error handling - P1: Return 400 on invalid body instead of silently falling back to auto-generated lines (split JSON parse from schema validation) - P1: Add server-side balance check for custom lines before committing (debit must equal credit, totalDebit > 0) - P2: Wrap PaymentBookingDialog init() in try/catch with toast on failure and auto-close instead of silent empty state - Add 2 new tests: unbalanced lines → 400, invalid schema → 400 Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.6 (1M context) <noreply@anthropic.com> |
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a1ca96453c |
feat: mobile UX improvements across dashboard (#9)
* feat: mobile UX improvements across dashboard pages - Responsive layouts with stacked mobile forms and grid desktop views - Safe area handling (viewportFit cover, bottom nav insets, main padding) - Touch-friendly dialogs, tabs, and page headers - Mobile nav drawer open/close animation - Dashboard layout parallel Supabase queries - SIE parser: handle quoted VER/TRANS fields - Skip account override for template-based transaction booking Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com> * fix: address PR review feedback from Greptile - Fix nav drawer close timer race condition with useRef + clearTimeout - Show locked VAT rate as read-only label on mobile instead of hiding it - Remove dead bottom-16 class overridden by inline style Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.6 <noreply@anthropic.com> |
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66a4027f1e |
feat: BAS data overhaul, currency revaluation, expenses, UI polish, and cleanup
- Update BAS account catalog with comprehensive SRU codes and K2 flags - Add currency revaluation service with tests and API route - Add expenses page and account deletion API - Enhance booking templates with new patterns and improved tests - Improve transaction categorization with template picker and description matching - Polish dashboard, onboarding, import, and transaction UIs - Refactor year-end service for multi-step closing - Move SRU generator to ne-bilaga, remove standalone SRU export - Remove unused dev docs, mock data, and extension hooks - Add invoice delivery note sequences migration Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com> |
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acb85edf4a |
feat: wire Zod validation into API routes, improve types and components
- Add 8 new Zod schemas (UpdateCustomer, UpdateSupplier, UpdateSupplierInvoice, UpdateAccount, BankUnlink, RunReconciliation, CorrectJournalEntry, EvaluateMappingRules) and wire validateBody() into 24 JSON-body API routes - Remove redundant manual validation checks replaced by Zod - Add comprehensive schema tests (222 tests) - Improve type definitions in types/index.ts with expanded interfaces - Refactor extension types (push-notifications, receipt-ocr) for cleaner imports - Update transaction components (BatchCategorySelector, SwipeCategorizationView, QuickReviewDialog, VatTreatmentSelect) and invoice inbox workspace - Add invoice-inbox utilities and type decoupling tests - Fix NE-bilaga, SRU export, and invoice PDF template type usage - Update CLAUDE.md with expanded architecture documentation Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com> |
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3c036059ab |
fix: improve VAT rounding and add per-line VAT display support
Fix calculateVat/calculateTotal to use proper monetary rounding. Add getVatSummaryFromItems helper for deriving VAT labels from mixed-rate items. Update invoice preview, review, and detail pages to show per-rate VAT breakdown instead of a single aggregated rate. Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com> |
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0a0e74fdfb | Merge remote-tracking branch 'origin/main' into code-quality-improvements | ||
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91e2c1705a |
feat: per-line VAT, invoice document types, ledger-based VAT declaration, bank reconciliation, and pagination
Per-line VAT rates: - Add generatePerRateLines() to group invoice items by vat_rate with separate revenue + VAT lines per rate group (invoice-entries.ts) - Add getAvailableVatRates() and getVatTreatmentForRate() (vat-rules.ts) - PDF template shows per-line VAT column and per-rate totals for mixed-rate invoices - Invoice create/review UI supports per-line rate selection - Types: add vat_rate/vat_amount to InvoiceItem, vat_rate to CreateInvoiceItemInput Invoice document types (proforma, delivery note): - Add InvoiceDocumentType, document_type and converted_from_id to Invoice type - PDF hides prices for delivery notes, adds proforma notice - Email templates support all document types - mark-paid skips journal entries for non-invoice document types - Migration 031: invoice_document_type Accounting method support: - Add AccountingMethod type (accrual/cash) - Migration 032: add_accounting_method column to company_settings VAT declaration rewrite: - Rewrite to read directly from general ledger (26xx/3xxx account lines) instead of aggregating invoices/transactions/receipts - ACCOUNT_RUTA mapping drives momsdeklaration boxes from GL balances Bank reconciliation: - Transaction ingest now pre-fetches unlinked GL lines and attempts auto-reconciliation during import - Add transaction.reconciled event type - Add ReconciliationMethod type and reconciliation_method on Transaction - Migration 030: bank_reconciliation - New reconciliation engine, API routes, and BankReconciliationView component Pagination (fetchAllRows): - New lib/supabase/fetch-all.ts overcomes PostgREST 1000-row limit - Adopted in all report generators, SIE/SRU export, account list APIs Fiscal period validation: - New validate-period-duration.ts enforces max 18 months per BFL 3 kap. - Applied in period-service.ts and fiscal-periods API Account mapper simplification: - Remove Levenshtein/fuzzy matching, use exact account number match only Swedbank parser improvements: - Support abbreviated headers (Clnr, Bokfdag, Radnr) - Use Referens column as counterparty Chart of accounts management: - Add DELETE endpoint with system account and usage protection - PUT uses partial updates - New AccountCombobox, AddAccountDialog, EditAccountDialog, ChartOfAccountsManager Tax deadline corrections: - Rewrite inkomstdeklaration_ab using Skatteverket lookup table - Rewrite arsredovisning deadline to 7 months after FY end per ÅRL 8:3 Onboarding first fiscal year: - Add first fiscal year toggle with date pickers and 18-month validation UI terminology: - Change "okategoriserad/kategorisera" to "obokförd/bokföra" throughout Report column fix: - Fix start_date/end_date to period_start/period_end in report queries Supplier invoice input: - CreateSupplierInvoiceItemInput uses amount field (legacy quantity/unit_price kept) Misc: - SIE import uses upsert for idempotent account creation - account-descriptions.ts falls back to BAS reference data - Add invoice_default_notes to CompanySettings - Update CLAUDE.md to reflect current project state Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com> |
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06c0678691 |
refactor: consolidate lib/invoice/ into lib/invoices/
Merge the singular lib/invoice/ directory into the plural lib/invoices/ to align with the codebase convention (transactions/, extensions/, reports/, etc.). Updates all import paths and CLAUDE.md architecture docs. Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com> |
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ba94f60d06 |
feat: add review confirmation dialogs and BAS account number tooltips
Add modal review/confirmation dialogs before submitting invoices, supplier invoices, and journal entries. Since journal entries are legally immutable once posted, users now see a full summary with an amber warning before confirming. Add AccountNumber component with rich tooltips showing account name, class, type, and plain-language Swedish explanation for ~45 key BAS accounts across all report views. Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com> |