Commit Graph
30 Commits
Author SHA1 Message Date
MattssonandClaude Opus 4.8 8322830f46 Add/issue in absurdum (#739)
* feat(assets): allow editing fixed asset fields before depreciation

The fixed asset register only offered a "Dispose" action, so correcting a
mis-entered acquisition date/cost/category meant running the disposal flow —
which posts a real divestment voucher plus a Ch. 8a VAT adjustment.
Disproportionate and wrong for a data-entry fix.

Add an Edit action that allows correcting those fields directly, gated for
correctness:

- service: extend updateAsset() with category/acquisition_date/
  acquisition_cost; block the change once the asset is disposed or has posted
  depreciation (AssetCorrectionBlockedError) where it would desync posted
  vouchers from the register; realign the BAS triple on category change.
  Name, useful life, and method stay editable.
- api: extend the PATCH schema; annotate GET /api/assets with
  has_posted_depreciation so the UI can lock basis fields proactively.
- ui: EditAssetDialog + pencil action; disables date/cost/category when
  depreciation has been booked, with an inline explanation.
- errors: register ASSET_CORRECTION_BLOCKED (409).
- tests: unit tests for the guard; pg test for pre-disposal editability.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* feat(assets): also block basis edits when depreciation was hand-posted

The correction guard only consulted depreciation_schedules, so an
avskrivning booked as a manual journal entry (no schedule row) slipped
through and a basis correction was wrongly allowed.

Add a ledger scan: any posted credit to the asset's ackumulerade-
avskrivningar account (12x9) counts as depreciation. Entries that
depreciation_schedules attributes to a *different* asset are excluded, so
a sibling's engine avskrivning on a shared 12x9 account doesn't produce a
false block. What remains is depreciation tied to this asset (engine or
manual); a basis correction is blocked there and must go through storno.

Adds two unit tests: blocks on a hand-posted credit, allows when the only
12x9 credit belongs to a sibling's engine entry.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(invoices): allow negative unit prices for discount lines

The invoice creation form rejected negative unit prices via a frontend
superRefine check, blocking valid discount lines (e.g. "Rabatt -100").
The unit_price error was never rendered inline, so submission failed
silently. The backend schema already allows negative unit prices (see
CreateInvoiceItemSchema test), so the form was simply out of sync.

Remove the non-negative constraint; empty/NaN prices are still rejected
by the base z.number() type. Drop the now-unused validation_price_positive
translation key from both locale files.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* feat(invoices): allow editing draft invoices

Drafts could be saved but not edited — the only way to change a draft's
lines, customer, dates or amounts was to delete and recreate it. Add a
"Redigera" action on draft invoices that opens the invoice editor
pre-filled with the draft and saves changes in place.

A verifikat is only created when an invoice is sent (or paid, under
kontantmetoden), so every status=draft invoice is uncommitted and safe to
edit; sent/paid invoices stay immutable and still require a credit note.

- Extract buildInvoiceWriteData() with the shared validation + computation
  (VAT rules, ROT/RUT, accruals, totals, currency, item rows); POST now
  uses it too, behaviour unchanged.
- Add UpdateInvoiceSchema and PATCH /api/invoices/[id], guarded to drafts
  (status=draft, no journal entry, not self-billed); number and status are
  preserved and no invoice.created is emitted.
- Extract the invoice creator into a shared InvoiceEditor with create /
  edit modes; /invoices/new is now a thin wrapper and /invoices/[id]/edit
  is the new edit page.
- Add a "Redigera" button on draft invoice detail pages + sv/en strings.
- Tests for the builder, UpdateInvoiceSchema and the PATCH route.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* feat(reports): make Huvudbok findable via account/saldo search terms

Searching the command palette for natural phrases like 'saldo per konto', 'kontoutdrag', 'kontoanalys' or 'transaktioner per konto' returned nothing, so users couldn't find the general ledger. Enrich the Huvudbok entry's keywords with those synonyms, and let Saldobalans and Balansrapport match 'saldo per konto' too since they are genuinely per-account balance views.

Companion change — the clearer Huvudbok report description ('Saldo och alla transaktioner per konto') — already landed in d5f474cb.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* feat(settings): let users edit their personal name

Add an editable Namn field to /settings/account that updates profiles.full_name and best-effort syncs auth user_metadata. Previously the personal name was only ever set from BankID's legal name at signup with no way to correct it, so users whose tilltalsnamn isn't their first given name were greeted by the wrong name (and email/password users had no name at all).

New POST /api/user/profile route (requireAuth, RLS-scoped update) mirrors /api/user/locale. sv/en strings added.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>

* feat(invoices): per-invoice öresavrundning override

Add a display-only öresavrundning flag per invoice that wins over the
company-wide setting. Resolution order in getDisplayTotal: per-invoice
override -> company setting -> default-on. The stored total and the booked
verifikat keep the exact öre; only the rendered total changes.

Supplier invoices gain the same flag but resolve a null to off (they never
had rounding historically), exposed via a toggle on the new-invoice form
and a rounding row on the detail page.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>

* feat(transactions): warn on possible duplicate before booking

Before committing a transaction (via book or categorize), detect an
already-booked sibling with the same date and amount and return a 409
TRANSACTION_BOOK_POSSIBLE_DUPLICATE instead of silently double-booking.

The user can override with force=true, which must be bound to the reviewed
sibling via expected_duplicate_transaction_id; the candidate is re-detected
server-side, so a stale or guessed id is rejected with
TRANSACTION_BOOK_FORCE_CANDIDATE_MISMATCH. Detection is fail-open on the
non-force path and fail-closed under force.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>

* feat(transactions): shadow-mode scope-drift dedup counter in bank ingest

Count rows that an enforcing same-feed scope-drift rule WOULD treat as
re-imports (the IBAN-drift re-imports the external_id check misses) and
surface it as IngestResult.shadow_scope_drift_candidates. Nothing is
blocked yet -- the counter only measures how often the rule would fire so
it can be validated against real data before enforcement.

Also gitignore scripts/delete-duplicate-transactions.ts: a destructive,
hand-run cleanup tool kept out of the repo so it can't run in CI/cron or be
mistaken for a supported feature.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>

* fix(bokslut): base bolagsskatt on post-disposition result

Bokslutsdispositioner are booked as source_type='year_end', which the
income statement excludes, so net_result alone overstates resultat före
skatt and the booked tax ignored the periodiseringsfond avsättning (too-high
tax, ÅR/INK2 mismatch).

calculateBolagsskatt now accepts resultBeforeTaxOverride. The preview builder
mirrors each proposal's P&L effect (+återföring, -avsättning, -SLP) onto the
pre-disposition result; the commit path sums the already-posted dispositions
via the new sumPostedYearEndDispositions (class 88 + 7533) since bolagsskatt
is committed last.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>

* feat(settings): fiscal years manager

Add a FiscalYearsManager to the bookkeeping settings that lists fiscal
periods with their status (closed > locked > open) and creates the next
year via CreatePeriodDialog, seeded to chain forward from the latest
period end.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>

* fix(api): return 400 when locking a period with unbooked transactions

lockPeriod() refuses to lock a period that still has uncategorized business
transactions. Detect that message in the lock route and surface it as a
clear PERIOD_HAS_UNBOOKED_TRANSACTIONS (400) instead of a generic 500.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>

* feat(invoices): implement isEditableInvoiceDraft utility and apply it across invoice edit routes
feat(transactions): log duplicate dismissal events in behandlingshistorik
test(invoices): add tests for isEditableInvoiceDraft function
test(transactions): enhance tests to verify behandlingshistorik logging
refactor(bokslut): update tax calculation test descriptions for clarity

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-16 10:42:37 +02:00
MattssonandClaude Fable 5 db8983ba9e Add/bokslut (#718)
* feat(arcim-migration): Briox provider with SIE-over-API import

- Briox auth via account ID + application token (no app-level
  credentials); both tokens rotate on refresh and are persisted
- New sie-fetcher pulls the general ledger as SIE through the
  provider API for Fortnox, Briox and Bjorn Lunden
- Wizard stops on a failed SIE import and surfaces the real errors
  instead of proceeding to the misleading migrate-guard message
- PROVIDER_SIE_ONLY_FORTNOX renamed to PROVIDER_SIE_NOT_SUPPORTED;
  new PROVIDER_TOKEN_INVALID for rejected provider credentials

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>

* feat(bookkeeping): per-line accruals (periodisering) on invoices and supplier invoices

Defer revenue/costs per invoice line to 29xx/17xx interim accounts with
automatic monthly dissolution (nightly cron + catch-up at registration),
schedule cancellation on credit, year-end auto-detect exclusion for
already-scheduled invoices, invoice-inbox service-period extraction for
prefill, and an MCP tool to list schedules.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>

* feat(bokslut): iXBRL arsredovisning generation and Bolagsverket digital filing

Generate the annual report as iXBRL from a generated taxonomy registry
(K2 element lists, taxonomy:generate/check scripts + CI guard), expose it
via the fiscal-period API, and add the bolagsverket extension for digital
submission to eget utrymme with webhook-driven status tracking
(submissions table + pg tests, lifecycle events, year-end wizard UI).

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>

* test(mcp): raise origin-guard test timeout to 20s

The dynamic import pulls in the full server module; the parse alone
flirts with the 5s default under full-suite parallel load.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>

* Add new scripts and documentation for K2 AB taxonomy generation and validation

- Introduced `generate-taxonomy-registry.ts` to automate the generation of the iXBRL taxonomy concept registry from official element lists and tuple models.
- Added `validate-ixbrl.mjs` for validating generated iXBRL reports against the official taxonomy package using Arelle.
- Included new documentation files:
  - `k2-ab-arsredovisning-elementlista-2024-09-12_rev20250312_sv.xlsx`
  - `tuple-innehallsmodell-arsredovisning-k2-2024-09-12.xlsx`
  - `taxonomi-paket-2024-09-12_rev20250312.zip`

* Add tests for bookkeeping accruals dissolution and supplier invoices

- Implement tests for the POST /api/bookkeeping/accruals/[id]/dissolve route, covering success and error scenarios.
- Add tests for the DELETE /api/supplier-invoices/[id] route, including authentication checks and validation of invoice deletion conditions.
- Introduce tests for the Arcim migration provider client, ensuring token handling and error classification.
- Create tests for the Bolagsverket extension, validating submission role enforcement and environment settings.
- Add Zod schemas for Bolagsverket response payloads to ensure proper validation.
- Implement tests for MCP server's list accrual schedules, confirming registration and scope mapping.
- Add consistency tests for IXBRL document generation, ensuring duplicate facts and XML escaping are handled correctly.
- Introduce typed domain errors for accrual schedules to improve error handling in the service.
- Add tests for resolving consent with Briox token refresh concurrency, ensuring proper token management and error handling.

* fix(tests): update payload size guard comments to reflect recent changes in tool descriptions and ceiling adjustments

* fix(gitattributes): mark generated JSON files in bokslut taxonomy as linguist-generated

* feat(migrations): add backfill for invoices.journal_entry_id and fallback for next_voucher_number user_id

* feat(bokslut): enhance compliance and financial processing features with new submission details and security measures

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-06-12 16:35:30 +02:00
Jakob WennbergandClaude Fable 5 e978136210 fix(supplier-invoices): payment-match integrity — no more paid-without-voucher half-states (#711)
* fix(transactions): abort supplier-invoice match when payment voucher fails

The match route caught a payment-JE creation failure and proceeded anyway:
invoice marked paid with payment_journal_entry_id NULL, a payments row with
no voucher, and the bank line linked but unbooked. That half-state is
unrecoverable from the UI — mark-paid rejects 'paid' invoices and the match
route rejects already-linked transactions (the "user can re-book" comment
was wrong). The v1 route was already strict; this aligns the cookie route.

A failed voucher now fails the whole match before any state mutation, with
bookkeeping errors mapped to their structured codes and a new
MATCH_SI_JE_FAILED fallback.

Incident: Arcim 2026-06-11 — invoice 20250928 marked paid with no payment
voucher because account 3740 was missing from the chart.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>

* fix(transactions): bank-sync supplier-invoice match is a suggestion, not a hard link

A high-confidence (>=0.85, unambiguous) supplier-invoice hit at sync time
set transactions.supplier_invoice_id directly — without booking a payment
or touching the invoice. The half-link then BLOCKED the match route
(MATCH_SI_TX_ALREADY_LINKED), stranding the bank line with no path to a
payment voucher and the invoice stuck on 'registered'.

Sync now always writes potential_supplier_invoice_id; the hard link is
reserved for completed matches where the payment voucher is booked.
High-confidence hits still drain the matching pool and skip the mapping
engine.

Incident: Arcim 2026-06-11 — RosholmDell 18299 (29 890 kr) auto-linked at
sync, unmatchable afterwards.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>

* feat(bookkeeping): seed standard BAS accounts on demand in the engine

A minimal company chart routinely lacks accounts that legitimate engine
flows reach — 3740 (öres- och kronutjämning) the first time a Bankgiro
payment lands a sub-krona off the invoice, 6580 on a first legal invoice.
createDraftEntry threw AccountsNotInChartError and turned a standard
account into a dead end.

The engine now backfills missing accounts from BAS_REFERENCE (full
metadata incl. SRU code) before failing. Conservative by design: unknown
numbers still throw, and deactivated accounts are never resurrected —
deactivation is a deliberate user choice. Concurrent seeding (23505) counts
as success.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>

* fix(supplier-invoices): require explicit expense account, drop the 5010 seed

Every new line item (and every AI-prefilled line) was silently seeded with
account 5010 Lokalhyra. AI extraction deliberately never suggests accounts,
so any invoice saved without touching the field was misbooked as premises
rent — legally wrong verifikat that need rättelse to fix.

Lines now start with an empty account: the supplier's
default_expense_account fills empty rows when set, and submit blocks with a
clear toast until every row has an account.

Incident: Arcim 2026-06-11 — a legal-services invoice (should be 6580) and
a SaaS subscription (should be 5420) both posted to 5010.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>

* refactor(bookkeeping): clarify voucher description suffix to (ankomstnr N)

"(ankomst 2)" read as "arrived twice" / a duplicate marker; it is the
company-internal sequential arrival counter for supplier invoices.
"(ankomstnr 2)" says what the number is. Existing posted vouchers keep
their old description (immutable).

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>

* fix(transactions): cancel orphaned payment voucher when match loses the CAS race

When the payment JE posts but the invoice CAS update matches 0 rows (a
concurrent request settled it first), both match routes returned
MATCH_SI_NOT_OPEN and left the voucher orphaned in the ledger. mark-paid
has always compensated for exactly this case; the compensation is now a
shared helper (cancelOrphanedPaymentEntry: cancel + voucher-gap
explanation per BFNAR 2013:2) used by all three routes.

Flagged by the compliance swarm and the Swedish compliance review on
PR #711 — the one finding both converged on.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>

* fix(bookkeeping): next_voucher_number user_id fallback for service-role contexts

Mirrors 20260421170500 (commit_journal_entry got this fix; its twin did
not). Under a service-role client auth.uid() is NULL and the
voucher_sequences upsert fails its user_id NOT NULL check before
ON CONFLICT can arbitrate — even when the sequence row exists. Every
non-interactive caller of the storno/correction path
(getNextVoucherNumber → correctEntry) was broken.

Fallback: companies.created_by (same source seed_chart_of_accounts uses).
Interactive flows still record auth.uid(); DO UPDATE never touches
user_id on existing rows. Also restores SET search_path = public, lost
when 20260330 recreated the function after the 20260304 hardening.

pg-real: new test exercises the RPC on the superuser connection
(auth.uid() IS NULL) and asserts sequential numbers + owner attribution.

Found live: the Arcim repair script booked payment vouchers fine
(commit_journal_entry) but failed on corrections (next_voucher_number).

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>

* fix(bookkeeping): harden cancelOrphanedPaymentEntry — never throw, breadcrumb before mutating

Two hardenings from the PR #711 review round:
- Whole body wrapped in try/catch: the caller is returning the correct
  CAS-conflict response, so an unexpected client rejection must not
  replace it with a 500 (best-effort is now a hard guarantee).
- The gap-recovery data (series, number, period, explanation) is logged
  BEFORE the cancel: the cancel and gap insert are separate statements,
  and a crash between them would otherwise leave a cancelled voucher
  with no BFNAR 2013:2 gap explanation and no way to reconstruct it.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-06-11 10:44:15 +02:00
Mattsson 809120c4b8 Bug/document linking (#688)
* feat: enhance supplier invoice payment process and settings handling

- Implemented linking of invoice documents to journal entries for cash payments in the supplier invoice payment process.
- Refactored settings fetching logic to improve loading states and error handling across various settings components.
- Introduced a new SettingsLoadError component to handle cases where settings fetch fails or returns no data.
- Updated useSettings hook to manage loading and error states more effectively, allowing for retries on failure.
- Enhanced tests for supplier invoice creation to ensure document IDs are persisted correctly for cash method payments.

* feat(salary): enable monthly salary edits in draft runs and handle zero-total declarations
2026-06-08 07:37:24 +02:00
Jakob WennbergandClaude Opus 4.8 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>
2026-06-03 10:52:01 +02:00
MattssonandClaude Opus 4.8 f6ee0c2a82 Bug/customer invoice bug (#628)
* fix(supplier-invoices): self-assess reverse-charge VAT + link payments to vouchers

Reverse-charge supplier invoices now carry a per-item reverse_charge_rate (0.06/0.12/0.25). Under omvänd skattskyldighet the supplier charges 0% VAT, so the line vat_rate stays 0 and the buyer self-assesses fiktiv moms at the statutory rate. Centralizes rate resolution (resolveReverseChargeRate) and the ruta 20-24 basis-account guard (isReverseChargeBasisAccount) in vat-entries so the booking engine and review-dialog preview can no longer drift.

Adds the link_supplier_invoice_voucher pending operation: mark a leverantorsfaktura paid by linking an existing posted verifikat that debits 2440, with no new journal entry. Exposes find-candidates/link MCP tools and the bulk-reconcile helper, scoped under suppliers:read/write.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(vat): report yearly VAT over the rakenskapsar, not the calendar year

Annual VAT (helarsmoms) is filed per beskattningsar/rakenskapsar (SFL 26 kap), which can be extended or shortened up to 18 months. The previous Jan-Dec calendar span silently dropped part of an extended first year. calculateVatDeclaration now accepts a fiscalPeriodId and resolves the period's actual bounds for yearly; monthly/quarterly stay calendar. The reports UI passes the selected fiscal period, defaults the periodicity from the company's moms_period setting, and carries the period into the ruta drill-down. full-archive export threads the period id through too.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(migration): resolve supplier invoice status from payment amounts

The provider's lifecycle status and its payment status are computed independently upstream and can contradict each other (e.g. a Fortnox invoice marked booked but fully paid). Both the arcim entity-mapper and the Fortnox mapper now let payment state win: fully paid -> paid, partial -> partially_paid, otherwise the mapped lifecycle status, with credit notes forced terminal. Balance is compared numerically (never strict === 0) so float drift or a residual ore resolves cleanly, and an absent Balance is treated as unpaid.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(enable-banking): only ingest booked transactions to stop re-import drift

Pending entries are skipped during sync: a pending row is unstable across syncs (a later 'synka nu' returns it still pending or finally booked, often with a different effective date). Because both the dedup external_id and the content-dedup key are date-derived, that drift minted a new id and re-imported a transaction that already existed - observed in production as the same amount+description landing twice with different dates. Gating the import set on a stable booking_date removes the drift at the source and leaves booked rows' ids byte-identical.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* chore(gitignore): ignore local SIE test fixtures

tests/fixtures/sie/ may contain real or scrubbed company data and must never be committed.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(invoice): handle errors during registration journal entry creation and ensure invoice rollback
feat(tests): add test for reverse charge rate handling on supplier invoice line items
feat(fortnox): ensure paid status reflects zero balance for fully paid invoices
chore(migrations): add reverse_charge_rate to supplier_invoice_items and backfill link_supplier_invoice_voucher

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-02 13:25:48 +02:00
MattssonandClaude Opus 4.8 c6c86cded4 Mcp/template data feedback (#617)
* fix(booking-templates): scope template list to the active company

GET /api/settings/booking-templates relied solely on the btl_select RLS
policy, which is membership-wide (user_company_ids) and returns templates
from every company the user belongs to. A user who owns multiple companies
saw all their templates merged regardless of which company was active.

Narrow the list in the API layer (mirroring counterparty-templates) to
system + the active company + the active company's team. RLS stays the
security backstop; this fixes the cross-company merge within a single
user's own view (it was never a cross-tenant data leak).

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(import): show proper message for duplicate bank file upload

The bank file import page mis-parsed the structured error envelope
({ error: { code, message, details } }), so a BANK_FILE_DUPLICATE
(409) fell through to the generic "Kunde inte läsa filen" fallback.
The upload step also hardcoded that same string as the error heading,
so duplicates were doubly misreported as parse failures.

- Parse the structured envelope by error.code; surface error.message
  for all codes instead of rendering the error object.
- Add a dedicated BANK_FILE_DUPLICATE message using the importedAt /
  importedCount details the route already returns.
- Add an optional errorTitle prop to BankFileUploadStep (defaults to
  the previous text) and pass "Filen är redan importerad" for dupes.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* feat(tests): add comprehensive tests for recordateEntry, inbox-linking, and external-id handling

- Implemented unit tests for recordateEntry in the bookkeeping module to validate various scenarios including date changes, non-posted entries, and fiscal period restrictions.
- Created tests for inbox-linking status in pending operations to ensure correct handling of invoice inbox items and supplier invoices, addressing historical bugs related to status updates.
- Added tests for external-id utilities to ensure consistent handling of monetary amounts and deduplication keys across different transaction sources.
- Introduced new functions in external-id.ts for stable external ID generation and normalization of imported descriptions, enhancing transaction deduplication reliability.

feat(migrations): add new database migrations for transaction handling

- Created migration to exclude storno and correction vouchers from unmatched GL lines, ensuring accurate reconciliation.
- Added a migration to preserve original bank transaction descriptions in a new immutable column, allowing for user edits while maintaining audit trails and deduplication integrity.

* feat(migrations): add function to exclude storno/correction vouchers from unmatched GL lines

* feat(transactions): enhance transaction handling with improved description normalization and preloaded original entries

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-01 14:45:49 +02:00
MattssonandClaude Opus 4.7 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>
2026-05-30 01:28:41 +02:00
Jakob WennbergandClaude Opus 4.7 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>
2026-05-29 12:31:19 +02:00
MattssonandClaude Opus 4.7 a9b43ebeb7 Bug/vat selection warning (#583)
* refactor: update VAT handling logic for non-registered sellers and improve related comments

* chore: gate automated email flows behind 503 responses

Disables user-facing access to invoice payment reminders and salary
payslip email sending. Underlying lib code (reminder-processor,
PDF templates, notification_settings) is preserved for easy re-enable.

- Invoice reminders cron route returns 503; settings UI section removed.
- Payslip send route returns 503; original implementation kept as
  _sendPayslipsImpl for future re-enable.
- Push notifications were already extension-disabled, no change needed.

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

* chore: remove Recapt feedback widget

Strips the third-party Recapt SDK and its floating feedback bubble from
the app. The in-app contact form keeps working via the existing email
channel (/api/support/contact). Drops the Recapt entries from the CSP
and the subprocessor list in the privacy policy.

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

* feat: reject meaningless rättelser in correctEntry

Guard against zero-economic-effect corrections in the storno engine:
- Reject when proposed lines net to zero on every account (e.g. 1930
  debit 100 / 1930 credit 100), which would erase the original posting
  without representing any affärshändelse (BFL 5 kap. 5 §).
- Reject when proposed lines are an exact multiset match of the original
  entry — a rättelse must actually change something.

New MeaninglessCorrectionError wired through bookkeepingErrorResponse
(HTTP 400) and the Swedish error translator.

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

* feat: add date-range picker to resultat- and balansrapport

Adds optional from/to date filtering to the four operational financial
reports (resultatrapport, balansrapport, income-statement, balance-sheet)
so users can view a month, quarter, or custom range inside a fiscal year
without leaving the report. Defaults to YTD; "Hela året" preserves the
prior full-period behaviour (URL-identical, cache-stable).

- trial-balance engine accepts optional fromDate/toDate, rolling prior
  in-period activity into IB and clamping period activity to the window
- 12 API routes accept and validate from_date/to_date query params
- ReportDateRange chip picker persists preset per company, only renders
  on the four relevant tabs
- FiscalYearSelector now emits the period object so the range picker
  has bounds without an extra fetch
- PDF/XLSX filenames reflect the chosen range
- Resultatrapport drops the prior-year column when narrowed (full-year
  vs partial-year would mislead)
- 11 new tests (engine + parser); all existing report tests pass

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

* feat: add support for marking journal entries as "no document required"

- Introduced a new sidecar table `journal_entry_no_doc_required` to track entries that do not require separate documentation (e.g., bank fees, interest).
- Implemented API routes for creating and deleting exemptions, including validation and authorization checks.
- Added a toggle component in the UI to allow users to mark entries as exempt, with an optional reason.
- Updated relevant tests to cover the new functionality, including RLS checks and cascading deletes.
- Enhanced existing schemas and types to accommodate the new `vat_amount` field for supplier invoice items.

* fix: address PR review findings on no-doc-required + VAT changes

- pg-real cascade test wraps DELETE in gnubok.allow_delete='true' txn so the
  immutability trigger bypass fires (mirrors delete_last_voucher RPC).
- Clamp supplier-invoice item vat_amount to <= line_total * vat_rate via Zod
  refinement (with 1-öre rounding tolerance) so the manual override can't
  inflate the 2641 debit beyond the statutory ceiling.
- groupVatByRate falls back to line_total * rate when stored vat_amount is 0
  with a positive rate, so legacy/import paths leaving the column at its
  NOT NULL DEFAULT 0 don't silently understate ruta 48.
- ReportDateRange todayIso() and preset endpoints use local date components
  instead of toISOString() (UTC) — fixes the midnight-to-02:00 off-by-one
  that truncated a day from YTD / this-month / this-quarter for Swedish
  users.
- NoDocRequiredToggle restores the previous reason on failed POST/DELETE so
  the rolled-back toggle state stays consistent with the rendered reason.
- Document the company-scoped (not user-scoped) DELETE authorization policy
  on the no-document-required route.

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-28 01:56:09 +02:00
Mattsson 7175daee87 Bug/skv konto numbers (#498)
* feat(skattekonto): add overdue transactions handling and split logic

* feat: enhance transaction handling and loading states

- Update BalanceHero component to display last synced date and additional information about Skatteverket updates.
- Refactor BookDirectlyDialog to simplify transaction linking logic and improve UI for transaction selection.
- Revamp InvoiceInboxWorkspace layout for better responsiveness and user experience, including improved skeleton loading states.
- Introduce new loading states for ExtensionWorkspace to match the live layout and improve user feedback during data fetching.
- Implement exchange rate fetching in QuickReviewDialog, ensuring transactions are always processed in SEK with error handling for rate fetching.
- Add structured error handling for unavailable exchange rates in the transaction API.

* feat(skattekonto): add 'Skattekonto – saldo & transaktioner' scope and update authorization checks

* feat: implement reverse charge handling in supplier invoice calculations and UI
2026-05-15 16:25:05 +02:00
MattssonandClaude Opus 4.7 c8461397c8 Bug/accounting ps eu (#474)
* feat(api): implement commit functionality for journal entries

* fix(extensions): make ExtensionSettings.clear() a real delete so disconnect flows work

The 2026-03-30 multi-tenant refactor dropped all RLS policies on extension_data
and recreated only SELECT/INSERT/UPDATE. Combined with `value jsonb NOT NULL`,
every extension that called `settings.set(key, null)` to clear stored state
(cloud-backup disconnect, skatteverket OAuth/AGI cleanup, arcim-migration
consent reset) silently failed — the upsert hit the NOT NULL constraint and
the error was swallowed, leaving users stuck with stale connection rows.

Adds an `extension_data_delete` RLS policy, a `clear(key)` method backed by a
real DELETE, switches the four affected handlers, and makes `set()` throw on
Supabase error so this class of silent failure can't recur.

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

* feat(journal-entries): add draft saving functionality to journal entry form

* feat: add periodisk sammanställning report generation and CSV export

- Implemented period date helpers in `period-dates.ts` for calculating start and end dates based on period type (monthly, quarterly, yearly).
- Created `periodisk-sammanstallning.ts` to generate the periodisk sammanställning report, including data fetching, validation, and warning handling.
- Developed CSV serializer in `periodisk-sammanstallning-csv.ts` for exporting the report in SKV574008 format.
- Added new columns to `company_settings` for storing periodisk sammanställning settings and tax contact information via migration.
- Introduced a new migration to add a `paid_with_private_funds` flag to `supplier_invoices` for tracking out-of-pocket expenses.
- Updated journal entries to include the new source type for privately paid supplier invoices.

* feat(migrations): add paid_with_private_funds flag to supplier_invoices and expand journal_entries.source_type CHECK

* fix(ai_requests): drop existing policies and trigger before creating new ones

* fix(migrations): ensure extension_data has a proper DELETE policy for ExtensionSettings.clear()

* fix(supplier-invoices): update error handling for invalid input in POST request

* fix: correct capitalization in project title

* fix(migrations): resolve duplicate version 20260513120000

Two migrations shared the same timestamp prefix, causing
schema_migrations_pkey collision on Supabase preview branches.
Bump extension_data_delete_policy to 20260513120001.

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-14 01:10:44 +02:00
Jakob WennbergandClaude Opus 4.7 07a7964e8d fix(supplier-invoices): guard against duplicate payment when bank tx already booked (#461)
* fix(supplier-invoices): guard against duplicate payment when bank tx already booked

Two-pronged fix for a UX trap where a supplier invoice could be marked paid
even though the bank payment was already booked on 2440, creating a duplicate
verifikation.

Prong A — mark-paid duplicate guard: before booking, scan for an unlinked
outgoing bank transaction matching this supplier (merchant_name ILIKE) within
±2% / ±60 days. If found, return 409 SI_PAID_LIKELY_DUPLICATE with candidates
so the UI can offer "link existing" instead. Override via { force: true }.

Prong B — categorize match suggestion: when the user assigns 2440 directly on
a negative business transaction and an open supplier invoice from the same
supplier covers the same amount, return 409 TX_CATEGORIZE_SUGGEST_SI_MATCH
with candidates and route the user to match-supplier-invoice. Override via
{ confirm_no_match: true }.

Frontend dialogs added on the supplier-invoice detail page and the
transactions inbox. Partial payments skip the mark-paid guard (deliberate
action). Tests cover the 409 path, the override path, and the no-candidates
happy path on both routes.

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

* fix(supplier-invoices): apply PR review fixes to duplicate-payment guards

- Add `is_business = true` filter to mark-paid candidate query so private
  bank withdrawals don't surface as false-positive duplicates
- Escape LIKE wildcards (`%`, `_`, `\`) in both ILIKE patterns to avoid
  silent over-matching when a supplier/merchant name contains those chars
- Round paymentAmount and remaining_amount to 2 decimals before the
  partial-payment guard comparison to avoid float-equality fragility
- Require credit account to be in the 1xxx (bank/cash) series for the
  Prong B 2440 intercept so 2440 against clearing/equity accounts isn't
  misinterpreted as a supplier payment
- Extract DUPLICATE_AMOUNT_TOLERANCE_PCT (0.02) and
  DUPLICATE_DATE_WINDOW_DAYS (60) into a shared helper module with the
  LIKE-escape utility

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

* fix(supplier-invoices): broaden 244x match, audit log overrides, drop JE id from response

Second-round PR review fixes:

- Widen Prong B regex from /^2440$/ to /^244\d$/ so payments mapped to BAS
  sub-accounts (e.g. 2441 leverantörsskulder i utländsk valuta) also trigger
  the suggestion (swedish-invoice-compliance bot)
- Log a structured warning when force=true or confirm_no_match=true is honored,
  with the relevant context (amount, date, accounts) so the override is
  traceable per BFNAR 2013:2 kap 8 (behandlingshistorik)
- Drop journal_entry_id from the SI_PAID_LIKELY_DUPLICATE candidate response
  payload (data minimization, GDPR Art.5(1)(c)); the UI never rendered it

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

* fix(supplier-invoices): third-round PR review — date window on Prong B, length cap, VAT message

- Add the missing date window to the Prong B categorize candidate query
  (swedish-compliance bot): without it, an open invoice from years back can
  surface as a "match" for an unrelated bank transaction. Uses the shared
  DUPLICATE_DATE_WINDOW_DAYS against invoice_date.
- Cap supplier/merchant names to 200 chars before they enter escapeLikePattern
  (OWASP V1.2.5 / ISO A.8.28). Bounds DB work on pathological inputs.
- Log a structured warning when the mark-paid guard is skipped because the
  invoice has no resolved supplier name (BFL 5 kap 7 § — motpart should be
  identifiable; the absence is itself worth surfacing).
- Update the SI-match suggestion error and the matching UI copy to call out
  the actual compliance risk: a duplicate 244x posting double-deducts ingående
  moms (ML 8 kap 3 §), not just bookkeeping symmetry.
- Reword "Bokför på 2440 ändå" to "Bokför på leverantörsskulder ändå" now that
  the regex covers BAS sub-accounts 244x.

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

* fix(supplier-invoices): correct Prong B framing — duplicate verifikation, not VAT double-deduction

Latest swedish-compliance review correctly walked back the earlier
finding that asked for ML 8 kap 3 § VAT framing. Plain 244x
categorization via account_override does not include VAT lines (account
class 2), so the risk is a duplicate verifikation (BFL 5 kap 5 §), not
a double VAT deduction. Update both the structured error message and
the dialog body to reflect the actual mechanism.

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-13 11:38:19 +02:00
MattssonandClaude Opus 4.7 5725c25bf1 Logs/improved logging (#398)
* feat(mcp): add create_transactions tool with /pending approval gate

New MCP tool gnubok_create_transactions stages 1–10 transactions per call
as pending_operations of type create_transaction (risk: medium). Each item
becomes its own card on /pending; on confirm, the executor inserts the row
into transactions with import_source='mcp' so MCP-staged ingestion is
distinguishable from PSD2 sync. Designed for skill workflows that pull
external data (e.g., Airtable) and want the user to gate the writes.

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

* fix(bas): strip concatenated group headers from corrupted account names

A chart-data import bug had glued the next group's header onto the last
account in each preceding group across all eight bas-data class files
(e.g. account 2670 read "Utgående moms på försäljning inom EU, OSS 27
PERSONALENS SKATTER, AVGIFTER OCH LÖNEAVDRAG"). The corrupted names
surface in transaction dropdowns, ledgers, SIE exports and årsredovisning,
and risk VAT miscategorization on the OSS (2670) and blandad-verksamhet
(6999) accounts specifically.

- Cleans 69 account_name and 64 description fields across class-1..8 files
- Adds a regression test asserting no name contains a concatenated header
- Ships an idempotent safety-net migration that updates already-seeded
  chart_of_accounts rows, gated on the corrupted string so user
  customizations are preserved

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

* feat(errors): add structured error codes and handling for various operations

- Introduced a new structured error registry in `structured-errors.ts` to standardize error handling across the application.
- Added Swedish and English messages for various error scenarios, including validation, authorization, and bookkeeping errors.
- Implemented a client-side error toast in `use-error-toast.ts` to display user-friendly error messages with remediation hints.
- Created a wrapper for recording operation outcomes in `record-operation.ts`, enhancing audit capabilities for operations.
- Developed a provider call wrapper in `with-provider-call.ts` to handle external HTTP calls with structured logging and error mapping.
- Added a new SQL migration to extend the processing history with new event types and aggregate types for better operational telemetry.

* Refactor supplier API routes to use context-based logging and error handling

- Replaced direct Supabase client usage in GET and POST routes with context-based approach using `withRouteContext`.
- Enhanced error handling to provide structured error responses for supplier creation and listing.
- Updated logging to include request IDs for better traceability.
- Introduced new error codes for supplier-related operations.
- Refactored tax deadlines cron job to utilize context and improved error handling.
- Updated ESLint configuration to enforce logging practices across API and lib directories.
- Enhanced arcim migration extension with structured error handling and logging.
- Added classification for provider errors to improve user-facing error messages.
- Introduced request ID in extension context for better log correlation.

* fix(route-context): update DynamicParams type for improved type safety in route handlers

* feat(transactions): add 'create_transaction' operation to PendingOperationType

* fix(route): ensure companyId is non-nullable in loadAndDeriveAbsence function

* fix(route-context): ensure companyId is always non-null by short-circuiting with COMPANY_CONTEXT_MISSING

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-06 11:12:02 +02:00
Mattsson 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.
2026-04-23 14:49:45 +02:00
Mattsson e137a9f452 Skill/fix (#355)
* fix: ensure customer email addresses are anonymized and not displayed in tickets

* feat: add uncredit functionality for supplier invoices

- Implemented the ability to uncredit supplier invoices, restoring the original invoice status and freeing up the invoice number.
- Added confirmation dialog for uncrediting actions.
- Updated the supplier invoice detail page to show an "Undo Credit" button for credited invoices.
- Enhanced the new supplier invoice page to handle conflicts when a duplicate invoice number is detected, allowing users to uncredit the existing invoice.
- Created API endpoint for uncrediting invoices, including handling of journal entries and invoice status updates.
- Added tests for the uncredit functionality to ensure proper behavior and error handling.

* feat: implement soft-delete for credited invoices and add reversed status

* fix: update uncredit logic to handle registration journal entries and improve user feedback

* fix: retain no-op migration stub for history alignment with future index changes
2026-04-23 11:57:12 +02:00
Jakob WennbergandClaude Opus 4.7 adf58a51c0 Prompt to activate missing BAS accounts at commit (#308)
* feat: prompt to activate missing BAS accounts at commit

Booking to an account not in the active chart previously threw a
generic 400 "Account(s) not found: 5010" and the user had to leave
the form to enable the account via /bookkeeping > BAS-katalog.

- New AccountsNotInChartError thrown from resolveAccountIds in the
  engine (and the parallel resolver in core/storno-service). The
  query also now filters on is_active=true, so deactivated accounts
  are treated the same as never-added ones.
- API routes that call the engine (journal-entries, reverse, correct,
  transactions/book + match-invoice + match-supplier-invoice +
  uncategorize, invoices/mark-paid, supplier-invoices + mark-paid +
  credit, salary/runs/correct, import/opening-balance/execute,
  pending-operations/commit) catch the typed error and return a
  structured 400: { error: { code: ACCOUNTS_NOT_IN_CHART,
  account_numbers, message } }.
- /api/bookkeeping/accounts/activate now also reactivates rows that
  already exist but are is_active=false, not only INSERTs. Returns
  { activated, reactivated, skipped, unknown }.
- New GET /api/bookkeeping/accounts/bas-lookup?numbers=... resolves
  BAS names client-side so the dialog can show "5010 · Lokalhyra"
  without bundling the full 1,276-account catalog.
- ActivateAccountsDialog lists the missing accounts (BAS names + any
  unknown non-BAS numbers) and confirms with a single action.
- useSubmitWithAccountActivation wraps an async submit: on
  ACCOUNTS_NOT_IN_CHART it opens the dialog, activates on confirm,
  then retries the original submit so the user never re-enters data.
- AccountCombobox accepts any 4-digit numeric value, not just items
  from the active chart — the activation dialog handles the rest.
- JournalEntryForm wired to the hook + dialog. Other submit surfaces
  now surface a clear Swedish message ("Följande konton behöver
  aktiveras: …") via getErrorMessage; wiring the dialog into those
  is an additive follow-up.

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

* docs: sync CLAUDE.md with current codebase state

Catch-up on growth since the last CLAUDE.md revision:
- Integrations list now includes AWS Bedrock, Upstash Redis,
  Google Drive, Recharts, PDF.js, @react-pdf/renderer, xlsx,
  fuse.js, ics.
- Extension table reflects cloud-backup enabled; adds
  inbox-smart-match and example-logger; reorders to match current
  extensions.config.json.
- Updated counts: 36 event types (was 30+), 35 MCP tools (was 26),
  ~60 tables (was ~47), 118 migrations (was 93), 19 report
  endpoints (was 16), 20 report generators (was 17).
- lib/ directory table now covers salary, providers,
  company-lookup, processing-history, support.ts; removes the
  deleted settings/ subdir.
- App routes table adds /salary/*, /help, /settings/salary,
  /settings/backup.
- API endpoints table adds /api/salary/*, /api/support/contact,
  /api/account/delete, /api/audit-trail/*, /api/log,
  /api/currency/rate, top-level extension routes.
- Tables section adds Salary, Third-party providers, Inbox &
  Migration groups; removes salary_payments (replaced by
  salary_runs + salary_line_items).
- Skills list updated to enumerate the Swedish domain skills by
  name instead of the old single /swedish-bookkeeping.

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

* fix: address PR review feedback on account activation

Seven fixes based on Greptile + Swedish compliance review on #308.

- ActivateAccountsDialog: disable the confirm button when any
  entered number isn't a valid BAS account. Previously activation
  would succeed for the knowns and the retry would immediately
  fail again on the unknowns, giving a confusing double-toast UX.
- pending-operations/commit: revert commitSendInvoice and
  commitMarkInvoiceSent to swallow AccountsNotInChartError
  silently. The prior PR upgrade made these blocking, which
  regressed invoice delivery for users whose AR accounts are
  inactive — and since the activation dialog isn't wired into
  those flows yet, there's no one-click recovery. The silent
  catches now append an InvoiceJournalEntrySkipped event to
  processing_history so the missing verifikation is actionable
  in audit trails rather than silently understating the
  momsdeklaration (revenue / utgående moms unposted).
- engine.reverseEntry: resolve account IDs with includeInactive=true
  so storno of an already-committed entry goes through even when
  the user has since deactivated one of its accounts. Blocking
  the reversal would leave the original entry uncorrected in
  violation of BFL 5 kap 5§ (rättelse must be documented). The
  default (includeInactive=false) still applies to createDraftEntry
  so new bookings to inactive accounts continue to trigger the
  activation dialog.
- supplier-invoices POST + credit: roll back the just-inserted
  supplier_invoices row (items cascade-delete) on any JE failure,
  not only AccountsNotInChartError. An orphan supplier_invoices
  row without a registration / credit JE leaves leverantörsskuld
  (2440) and ingående moms (2641) unposted — a silent
  understatement / overstatement in the momsdeklaration (ML
  2023:200 / BFL 5 kap). The catch now returns a clear Swedish
  error message for non-activation failures (typically period
  lock or DB error) instead of silently logging.

Test mocks for chart_of_accounts updated for the new query chain
(eq.in.eq instead of eq.eq.in after the is_active conditional).

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-04-22 09:58:54 +02:00
Jakob WennbergandClaude Opus 4.6 e46654ab25 feat: concurrency guards, account validation, and reversal side-effects (#247)
* feat: add concurrency guards, account validation, and reversal side-effects to bookkeeping engine

Prevent double-booking via CAS guards on mark-paid and categorize routes (409 on conflict),
make payment GL entries blocking (AP/AR must match GL), validate account resolution in engine,
and auto-sync invoice status on payment reversal. Adds journal_entry.reversed event type.

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* fix: address Greptile review — company_id filter, voucher gaps, status restore

- Add missing company_id filter on supplier-invoice CAS update (defense in depth)
- Add voucher_gap_explanations insert on CAS-cancelled entries in both mark-paid
  routes (BFNAR 2013:2 compliance, matching categorize route pattern)
- Fix reversal status restore: check due_date to determine overdue vs sent/approved
  instead of always reverting to sent/approved
- Rename shadowed reversedLines variable to originalLines (P2 clarity)

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* fix: derive reversal payment amount from payments table, not GL lines

The reversal GL entry is already a line-by-line mirror per BFL 5 kap 5§.
For the business-level invoice sync, use the payment record amount from
supplier_invoice_payments / invoice_payments instead of inspecting GL
account numbers — works identically for kontantmetod and faktureringsmetod
without needing to know which accounts were used.

Also adds company_id filter on all reversal sync queries (defense in depth).

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* fix: allow reversal of partially_paid customer invoices

Widen the status filter from .eq('status', 'paid') to
.in('status', ['paid', 'partially_paid']) so that reversing a partial
payment GL entry correctly updates the invoice state.

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

---------

Co-authored-by: Claude Opus 4.6 (1M context) <noreply@anthropic.com>
2026-04-15 15:23:08 +02:00
Mattsson a1a816b4a5 Delete features (#218)
* Implement company and account deletion features

- Add event types for company and account deletion to CoreEvent.
- Enhance Supabase middleware to handle company context resolution and cookie management for archived companies.
- Create API routes for deleting accounts and companies, including necessary validations and event emissions.
- Implement tests for account and company deletion endpoints to ensure proper functionality and error handling.
- Add retention notice component to inform users about bookkeeping data retention during destructive actions.
- Create database migrations to support soft deletion of companies and anonymization of user accounts, ensuring compliance with retention laws.

* feat: enhance account deletion process and update user notifications

* Add service client for onboarding completion check and update escape hatch visibility

* Enhance invite flow and email handling for company members

* Refactor company context and RLS policies for active company isolation

- Update `switchCompany` to remove unnecessary revalidation as client handles navigation.
- Revise `getActiveCompanyId` to prioritize `user_preferences` and validate against non-archived memberships.
- Modify `setActiveCompany` to ensure `user_preferences` is the authoritative source while maintaining cookie compatibility.
- Enhance middleware to resolve active company using `user_preferences` and fallback to first non-archived membership.
- Introduce new API route `/api/company/current` to fetch the active company ID for cross-tab synchronization.
- Implement `CompanyTabSync` component for real-time active company enforcement across tabs.
- Create migration for RLS policies to enforce single-active-company isolation using `current_active_company_id()`.

* feat: implement viewer role enforcement for write permissions

- Added `useCanWrite` hook to determine if the current user has write permissions based on their role in the active company.
- Updated various components (JournalEntryForm, CustomerForm, DeadlineForm, etc.) to disable write actions and show a lock icon with a tooltip for users without write permissions.
- Introduced `requireWritePermission` function to enforce write permissions at the API level, returning a 403 response for viewers.
- Created tests to verify the behavior of the viewer role and write permissions.
- Added database migration to enforce read-only access for viewers at the database level.
2026-04-11 17:06:32 +02:00
Mattsson fad4899cb4 fix: update RPC calls to use company_id instead of user_id for invoice and arrival number generation (#154) 2026-03-31 17:34:51 +02:00
MattssonandClaude Opus 4.6 0dd1f5ebc1 feat: multi-tenant company refactor (GNU-19) (#153)
* feat: multi-tenant company refactor (GNU-19)

Introduce companies table, company_members, and user_preferences to
support multiple companies per user. All data scoping changes from
user_id to company_id across the entire codebase.

Key changes:
- Database migration: new tables, company_id on 40+ tables, backfill,
  RLS rewrite from user_id to company-member-based, updated RPCs
- Types: Company, CompanyMember, CompanyRole, UserPreferences types;
  company_id added to all entity interfaces; companyId on all events
- Engine: all 7 core functions take companyId; storno, period, year-end
  services updated; 16 report generators updated
- Middleware: company context resolution (cookie → prefs → first company)
- API routes: ~120 routes updated with requireCompanyId()
- Frontend: CompanyProvider context, layout/dashboard/onboarding updated
- Extensions: context factory, 9 extensions, all lib files updated
- Tests: 1880 tests passing, all helpers updated with company_id defaults

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* feat: add database migrations for multi-tenant company and team system (GNU-19)

Adds company_invitations, company creation RPC, team_members, account
deletion RPC, and teams table refactor migrations. Updates base
multi-tenant migration with cascading FKs and onboarding_step column.

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* feat: add team types and update core infrastructure for multi-tenancy (GNU-19)

Adds TeamRole, MemberSource, and Team types. Refactors Supabase service
client to be stateless, updates middleware for team-aware routing, extends
CompanyContext with team/role fields, and updates extension service types
to accept companyId.

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* refactor: thread company_id through business logic functions (GNU-19)

Replaces user_id scoping with company_id across all lib modules:
bookkeeping, documents, transactions, invoices, reconciliation, tax,
deadlines, and import. Updates corresponding tests.

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* refactor: thread company_id through API routes and extensions (GNU-19)

Updates all existing API routes to extract and pass companyId. Updates
enable-banking and arcim-migration extensions for company-scoped
transaction ingestion and sync.

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* feat: add company and team management API routes (GNU-19)

Adds CRUD endpoints for company members, company invitations, team
members, and team invitations. Includes invite token utilities, email
templates, and company switch server action.

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* feat: add team/company UI components, pages, and dashboard updates (GNU-19)

Adds CompanySwitcher, ConsultantEmptyState, Step0RoleChoice, company
members and team management panels. Updates dashboard layout for
team-aware routing, onboarding for multi-step role choice, and auth
callback for team invite acceptance. Ignores supabase/.branches/.

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* fix: add null guards for company in import page (GNU-19)

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* fix: move appUrl declaration to outer scope in invite route (GNU-19)

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* fix: add optional chaining for company.name in members section (GNU-19)

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* fix: add optional chaining for second company.name in members section (GNU-19)

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* fix: add null guards for company in extension components (GNU-19)

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* fix: pass companyId to executeSIEImport in arcim-migration extension (GNU-19)

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* fix: update tests to use companyId instead of userId and improve type handling

---------

Co-authored-by: Claude Opus 4.6 (1M context) <noreply@anthropic.com>
2026-03-31 16:41:52 +02:00
Jakob WennbergandClaude Opus 4.6 86348c80c7 feat: BFL-compliant journal descriptions and cancelled entry status (#55)
* 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>

* feat: add resilience fallbacks, Arcim retry logic, and client tests

Add FallbackPrompt component and integrate it across banking and migration
error states so users always have a manual import escape hatch. Add retry
with exponential backoff to Arcim API client for transient failures (429,
502, 503, 504) and timeouts. Expand import page deep-linking with ?mode=
parameter. Add persistent error banner on settings page for bank connection
failures. Include 18 new tests for the Arcim client covering retry, backoff,
pagination, timeout, env validation, and singleton resource unwrapping.

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* fix: address Greptile review — setActiveTab, test cleanup, redundant clearTimeout

- Add missing setActiveTab('banking') when handling bank_error query
  param so the error banner is actually visible (P1)
- Guard env-var cleanup with try/finally in arcim-client tests to
  prevent state leakage on assertion failure (P2)
- Only mock retry-range setTimeout delays in backoff test, letting
  AbortController timers pass through real setTimeout (P2)
- Remove redundant clearTimeout in catch block — finally handles it (P2)

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* feat: add BFL-compliant counterparty names to journal descriptions and cancelled entry status

Journal descriptions now include customer/supplier names for traceability
(e.g. "Kundfaktura 1001, Foretag AB"). Failed draft entries are marked as
'cancelled' instead of deleted, respecting immutability constraints.
Includes DB migration for the new journal_entries status value.

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* fix: address Greptile review — Swedish typos, missing source type, trigger and reversal cleanup

- Fix Swedish spelling: leverantor → leverantör in all supplier description prefixes
- Add supplier_credit_note to supplierSourceTypes in VAT declaration so credit
  notes correctly reduce reverse-charge bases (ruta 20–24)
- Mark orphaned concurrent reversals as cancelled instead of attempting deletion
  that the immutability trigger blocks
- Allow posted → cancelled transition in trigger for orphaned reversal cleanup
- Restrict cancelled entry line trigger to DELETE-only (block INSERT/UPDATE)

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* fix: use main's Step3TaxRegistration (onboarding restructured in PR #54)

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

* chore: retrigger Greptile review

Co-Authored-By: Claude Opus 4.6 (1M context) <noreply@anthropic.com>

---------

Co-authored-by: Claude Opus 4.6 (1M context) <noreply@anthropic.com>
2026-03-18 17:53:54 +01:00
Jakob WennbergandClaude Opus 4.6 a9bf24ce0b feat: enhance supplier invoices, entity-aware categorization, and new tests
Expand supplier invoice module with overdue cron job, credit note journal
entries, and event emissions on approve/mark-paid/create flows. Add entity
type (EF/AB) awareness to transaction categorization UI and category
mapping logic. Add comprehensive tests for supplier-invoice-entries,
transaction-entries, and expanded API route coverage.

Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com>
2026-03-03 17:08:26 +01:00
Jakob WennbergandClaude Opus 4.6 03b569d708 refactor: consolidate extension system to general-only with manifest-driven architecture
- Remove all sector-specific extensions (construction, ecommerce, export,
  hotel, restaurant, tech) — only general-purpose extensions remain
- Move NE-bilaga and SRU export from extensions to core reports (lib/reports/)
- Move moms-box-mapping from extensions/export/shared to lib/vat/
- Replace per-extension API routes with catch-all dispatcher
  (app/api/extensions/ext/[...path]/route.ts)
- Add manifest.json for each extension with metadata, env vars, and deps
- Add api-routes.ts pattern for extension-defined API endpoints
- Add code generation scripts (generate-extension-registry, create-extension)
- Add extensions.config.json for opt-in extension loading
- Add extensions.schema.json for config validation
- Add email service interface with noop default (lib/email/service.ts)
- Add CI workflow (core-build.yml) to verify core builds with zero extensions
- Add migration 045: expand account_type CHECK for untaxed_reserves
- Update CLAUDE.md with comprehensive extension system documentation
- Update all report engines and bookkeeping services for new imports
- Clean up extensions.schema.json to only list existing extensions

Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com>
2026-02-26 14:32:56 +01:00
Jakob WennbergandClaude Opus 4.6 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>
2026-02-23 16:00:38 +01:00
EmilandClaude Opus 4.6 ce66a21010 feat: add document bucket auto-creation, extension defaults, and chat widget on dashboard
Auto-create documents storage bucket on first upload. Default legacy general
extensions to enabled when no toggle row exists. Add ChatWidget to dashboard
root page with open-ai-chat event support and AI assistant quick action.
Add ensureInitialized to supplier invoices route for event emission.

Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com>
2026-02-23 13:00:16 +01:00
Emil 0a0e74fdfb Merge remote-tracking branch 'origin/main' into code-quality-improvements 2026-02-21 16:10:02 +01:00
Jakob WennbergandClaude Opus 4.6 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>
2026-02-21 14:57:15 +01:00
EmilandClaude Opus 4.6 2f83f232c6 test: add API route tests for 10 critical endpoints
Add test coverage for invoices, transactions, bookkeeping, and supplier
invoice API routes. Includes test helpers (createMockRequest,
parseJsonResponse, createMockRouteParams, createQueuedMockSupabase) and
fixture factories (makeInvoice, makeCustomer, makeSupplier,
makeSupplierInvoice, makeCompanySettings).

Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com>
2026-02-20 16:12:51 +01:00
Jakob WennbergandClaude Opus 4.6 838dc6b8b5 refactor: clean up codebase, remove dead code and obsolete docs
Remove influencer-era documentation, unused components, boilerplate
assets, and ghost tiktok cron job. Add supplier invoice management,
document API routes, and PWA icons. Replace boilerplate README.

Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com>
2026-02-20 12:23:17 +01:00