Commit Graph
8 Commits
Author SHA1 Message Date
MattssonandClaude Fable 5.1 d670fe6663 feat(invoices): named payee accounts and per-invoice choice of bank account (#2233)
* fix(enable-banking): read BBAN from AccountIdentification.other and store it on the account

Enable Banking has no top-level `bban` key on AccountIdentification: a
Swedish BBAN (clearing + account number) arrives as `other.identification`
with `other.scheme_name = 'BBAN'`, or in `all_account_ids`. The client typed
`bban?: string` and read `.bban`, so the value was always undefined: no
connected account ever carried its clearing + account number, and domestic
counterparty accounts on transactions were dropped.

Type the identifiers per the OpenAPI spec, add extractBban() and
pickAccountIdentifier(), read counterparty identifiers through the scheme
list (IBAN, then BBAN/BGNR/PGNR, then anything), and store `bban` on
StoredAccount from the OAuth callback. The external_id dedup scope stays
IBAN-then-uid and is untouched.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01UaZTY21HVN57hJoPXKSLjV

* feat(invoices): named payee accounts on cash_accounts with a default per currency

A company had exactly one set of payment instructions per invoice currency
(company_settings.invoice_payment_accounts), picked by currency alone. A
second SEK bank account, or a second bankgiro number, had nowhere to live.

cash_accounts is already the per-company bank-account entity. Migration
20260903150000 adds the payee fields (bankgiro, plusgiro, clearing +
account number, BBAN, BIC, Swish, foreign routing) plus invoice_payee, a
small invoice_payee_defaults table (one default account per currency; one
account may be the default for several currencies, a SEK account with an
IBAN is the usual EUR payee), and a SECURITY DEFINER mirror that rewrites
the legacy map and the SEK bank columns from the default accounts. Every
existing reader (PDF, email, reminders, v1, MCP) keeps working; the three
writers that only touched legacy columns (PUT /api/settings, v1 settings,
MCP update_company_settings) now write through to the default account, so
what an agent sets is what the PDF prints. Peppol PaymentMeans is built
from the resolver instead of the raw legacy column. bg_pg is dropped
(never read or written; NULL on every prod and staging row).

Backfill lands only on existing cash accounts (primary, IBAN match, or the
only enabled account in the currency). Entries with no target stay in the
map as the resolver fallback and get an attach action in settings.

New: POST /api/cash-accounts (manual bank account on the next free 19xx),
PATCH /api/cash-accounts/[id] payee fields (owner/admin), GET/PUT
/api/cash-accounts/payee-defaults. Settings page rewritten as an account
list with per-currency defaults. Behandlingshistorik and the full archive
cover the new table and columns.

Verified on staging: migration applied (11 defaults landed), mirror
trigger observed rewriting company_settings from a payee edit.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01UaZTY21HVN57hJoPXKSLjV

* feat(invoices): choose which bank account an invoice is paid to, frozen at issue

Migration 20260903160000 adds invoices.payment_cash_account_id (FK to
cash_accounts, SET NULL) and invoices.payment_details, the payee fields
frozen when the account is chosen and refreshed at issue.

Resolver: resolveInvoicePaymentAccount / companyWithInvoicePaymentAccount /
assertInvoicePaymentAccountForRender take an optional override, and
hasRequiredInvoicePaymentAccount reads it from the invoice row, so every
surface (PDF, Swish QR, email, reminders, payment confirmation, Peppol,
recurring, staged MCP send) prints the frozen payee when one exists and the
company default per currency otherwise. Invoices that never chose an
account behave exactly as before.

Issue paths (mark-sent, send, v1 send, v1 mark-sent, Peppol send,
recurring, MCP send and mark-sent) refresh the snapshot from the account as
it is at issue; a chosen account that is disabled, un-flagged or unusable
for the currency blocks with INVOICE_SEND_PAYMENT_ACCOUNT_INVALID.

Writers: dashboard POST/PATCH, v1 create/update and MCP create_invoice
accept payment_cash_account_id and validate it against the company's payee
accounts (INVOICE_PAYEE_ACCOUNT_INVALID). Credit notes inherit the
original's payee; copies carry the choice; preview-pdf renders the chosen
account. The editor shows "Betalas till" under the currency when the
company has two or more usable payee accounts for that currency.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01UaZTY21HVN57hJoPXKSLjV

* feat(invoices): book manual payments on the invoice's chosen bank account

Manual mark-paid (dashboard, v1, MCP gnubok_mark_invoice_as_paid) and the
booking dialog's proposed lines debited 1930 regardless of which bank
account the invoice asked to be paid to. They now resolve the chosen
payee account's ledger account (resolveInvoiceSettlementAccount) and fall
back to 1930 only when no account was chosen or the row is gone.

Bank-transaction matching keeps debiting the account the money landed on
and does not filter by the chosen account; between equal-confidence
candidates it prefers the invoice that asked to be paid to the landing
account. Scores are untouched, so nothing new auto-matches.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01UaZTY21HVN57hJoPXKSLjV

* chore(invoices): keep the payload-size and phantom-column ceilings after the payee work

Shorten the new gnubok_create_invoice argument description (tools/list
payload was 29 bytes over the 60 kB budget), inline the cash-account payee
UPDATE/INSERT payloads and the settings select strings as literals so the
phantom-column scanner can read their columns, and reuse ACCOUNT_NUMBER_RE
instead of a hand-rolled copy.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01UaZTY21HVN57hJoPXKSLjV

* fix(invoices): harden the payee model after review (admin-only payee columns, separate payee IBAN, company-scoped FK)

Review findings from CodeRabbit, Superagent, the Swedish accounting review
and three skeptic passes, resolved in one batch:

Schema (both migrations are unshipped and edited in place):
- cash_accounts.payee_iban: the printed IBAN is its own column. iban stays
  the bank identity written by every sync and used to re-pair on reconnect,
  so a sync can no longer rewrite an invoice instruction or resurrect a
  cleared IBAN. The backfill copies each currency entry verbatim onto the
  target account (IBAN match first, then primary), so every invoice keeps
  printing exactly what it printed before; the bank IBAN is never pushed
  onto invoices that did not carry one.
- Payee columns are owner/admin-only at the database (BEFORE trigger,
  service role exempt): cash_accounts is member-writable for bank sync, and
  the SECURITY DEFINER mirror would otherwise have let a member rewrite
  where customers pay.
- Revoking an account as payee or disabling it drops its defaults; deleting
  a default drops that currency from the map and clears the legacy SEK
  columns (an admin saying "nothing to print" must not keep printing a
  closed account). The mirror leaves the legacy SEK columns alone when the
  map has no SEK entry, so legacy-only companies are never wiped by a
  mirror run for another currency.
- Audit and mirror triggers fire on the same column set; anon and
  authenticated can no longer execute the trigger-only definer functions.
- invoices.payment_cash_account_id is a composite same-company FK with
  SET NULL scoped to the account column.

Code:
- Only 19xx bank accounts can be payee: PATCH, the defaults PUT (which now
  also requires enabled, payee-flagged and usable for the currency),
  resolveInvoicePayeeChoice, and the mark-paid settlement resolver (which
  also refuses disabled rows and logs every fallback to 1930).
- createManualBankAccount excludes every ledger slot any row already holds
  (findFreeLedgerAccount treats a manual holder as free; this path inserts).
- The legacy settings writers (PUT /api/settings, v1, MCP) write through to
  the account BEFORE updating company_settings and fail the request on
  error; the account is written before it is adopted as default so the
  mirror never sees an empty payee.
- snapshotInvoicePayee: dry runs no longer persist; a failed snapshot write
  blocks issue (INVOICE_PAYEE_SNAPSHOT_FAILED). v1 mark-sent/mark-paid
  projections carry the payee columns; v1 create validates the payee
  before the dry-run return and echoes it in the preview.
- pickAccountIdentifier: supplementary IBAN wins over a primary BBAN, and
  non-account schemes (card PANs) are never persisted.
- Editor shows the payee select for a single usable account with no
  default; the booking dialog waits for cash accounts before proposing
  lines; a failed default write no longer hides a created account.
- Behandlingshistorik names the account on created/deleted defaults.
- Regenerated skills/accounted-api; MCP argument description trimmed under
  the tools/list payload ceiling.

Declined: clearing legacy columns via a forward migration (the mirror now
does it on delete); Swedish review's "show the debit account in the
mark-paid UI" (the booking dialog already proposes and lets the user edit
the debit line); manual ledger collision (UNIQUE exists, and the create
path now rejects it with a clear error); Peppol aligning to the PDF value
for companies whose legacy column had drifted from the map (the PDF is the
customer-facing document; both now agree).

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01UaZTY21HVN57hJoPXKSLjV

* fix(invoices): read NEW.invoice_payee only on the cash_accounts branch of the mirror trigger

trg_mirror_invoice_payee_defaults fires for both tables; plpgsql resolves
record fields per expression, so the combined condition failed with
"record new has no field invoice_payee" whenever a default row changed,
which took down every pg-real case on the payee tables. The revoke/disable
check now sits inside its own TG_TABLE_NAME branch. The MCP settings
executor test mocks the payee write-through like the settings route test
already does.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01UaZTY21HVN57hJoPXKSLjV

* fix(invoices): keep member disables from revoking payee defaults, gate payee on 1920-1999, fit the MCP payload

Cycle 3 of /resolve-pr on #2233.

Superagent P1: the SECURITY DEFINER mirror trigger deleted an admin's
invoice_payee_defaults rows whenever cash_accounts.enabled flipped to
false, and enabled is member-writable (the bank picker's "Synkas ej"), so
a member could undo an admin's payee decision. The trigger now drops
defaults only on the admin-only invoice_payee true -> false revoke; the
mirror trigger's WHEN no longer lists enabled. Disabled accounts stay out
of the pick lists and the send gate already refuses an invoice that chose
one. Applied to staging as the same function + trigger definition and
probed inside a rolled-back block: disable keeps the default and the
mirrored bankgiro, revoke clears both.

pg-real: the admin-guard test ran three expectations inside one
withUserContext transaction; the first raise aborted it and the next
statement failed with "current transaction is aborted". One transaction
per expectation now, and the member case also flips enabled to prove the
column stays member-level.

Swedish review: payee eligibility was /^19\d\d$/, which admits 1910 Kassa
and the 1911-1919 tills. A customer pays to a giro or bank account, so
isBankCashAccount, CreateCashAccountSchema.ledger_account and the PATCH
route now require BAS 1920-1999; tests cover 1910 and 1919.

Unit tests (3/4): the tools/list payload guard read 60 025, then 60 014
tokens after main merged #2166 and #2163 alongside this branch. The
ceiling is not bumped and no read on this surface is a demotion
candidate, so gnubok_create_invoice drops payment_cash_account_id;
agent-created invoices print the per-currency default and v1 REST plus
the editor keep the field. Recorded in DECISIONS.md.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01UaZTY21HVN57hJoPXKSLjV

* chore(migrations): move invoices_payment_cash_account to 20260903183000 after colliding with main's KPI migration

origin/main merged 20260903160000_kpi_monthly_include_reversed_originals
while this branch held the same version; identical versions abort the
Supabase apply. Staging's schema_migrations row was moved to the new
version with the file.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01UaZTY21HVN57hJoPXKSLjV

* fix(invoices): gate invoice_payee on BAS 1920-1999 at the database, and unblock the typecheck ratchet

Cycle 4 of /resolve-pr on #2233, on Emil's go.

Swedish review: the 1920-1999 payee rule lived only in the routes. The
cash_accounts_payee_admin_only trigger now also refuses invoice_payee on
any other ledger (INVOICE_PAYEE_ACCOUNT_INVALID, 23514), whoever writes
it, and the backfill only targets giro/bank rows, so a company whose
single enabled cash_accounts row is a Stripe clearing account keeps its
legacy bankgiro in company_settings instead of landing it on 1686. pg
test covers insert and update on 1686 and 1910; the function was applied
to staging and probed.

Typecheck ratchet: main is red from two merges that landed with failing
Checks, and every branch that syncs it inherits the errors.
  - #2242 added POST(req) calls to the fiscal-periods route test without
    the route params argument withRouteContext handlers take (25 errors
    in the file, baseline 23). All 25 calls now pass
    createMockRouteParams({}).
  - #2247 made SyncResult.requestedFromDate and historyNarrowed required;
    the 13 mockedSync results in the enable-banking accounts-route test
    lacked them. They now carry a fixed date and historyNarrowed: false.
Both files' tests pass unchanged in behaviour.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>

* chore(migrations): move invoices_payment_cash_account to 20260903193000 after colliding with main's party_promotion

origin/main merged 20260903183000_party_promotion while this branch held
the same version. Staging's schema_migrations row must follow (pending:
the Supabase MCP was disconnected at the time of this commit).

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>

---------

Co-authored-by: Claude Fable 5.1 <noreply@anthropic.com>
2026-09-03 21:06:45 +02:00
3ee3565d6d perf(reference-data): sweep the remaining raw reads onto the session cache, ratchet to 0 (#1941)
Final consumer migration of the responsiveness plan: the 35 files still
fetching fiscal periods, settings, accounts, cash accounts, dimensions or
templates on their own now read lib/reference-data, and every client
write site invalidates the shared cache instead of refetching locally.

Settings and registries: FiscalYearsManager, FiscalPeriodEditor (period
snapshotted once per company so a revalidation cannot reset dates being
edited), BookingTemplatesPanel, ChartOfAccounts, ChartOfAccountsManager,
EditAccountDialog, CorrectionEntryDialog, StrikeLinesDialog,
InvoicePaymentAccountsSettings; the dimensions registry (DimensionsManager,
DimensionCombobox, LineDimensionFields, DimensionFilter, bookkeeping/[id])
reads useDimensions and the ad-hoc fetchDimensions/fetchDimensionsCached
helpers are deleted.

Pages and pickers: CashAccountSelector (FyPicker-shaped restore, once per
company load), use-account-names, FiscalYearGapNotice,
OpeningBalancePeriodStep, BankFileConfirmStep, ImportReviewStep, the import
page (invalidates accounts + periods after a SIE execute), customers list,
invoices list + detail, pending, salary employee, asset dispose, year-end
and periodisering pages (invalidate periods after closing), reports
DimensionPnlView (its pivot picker read the wrong payload key and was
always empty; it now populates), SkatteverketPanel, TemplatePicker,
ArticleForm (vat_registered).

Invoice dialogs and extensions: SendInvoiceDialog, PaymentBookingDialog
(init reduced to the credit-note lookup + catalogue, proposal and voucher
preview fire on open when cached; a local getSession replaces the network
getUser for the fallback CC), InvoiceInboxWorkspace, TicWorkspace,
ArcimMigrationWorkspace (invalidates after each SIE import step),
enable-banking AccountPickerDialog.

raw-reference-fetch ratchet: 35 -> 0 files.

Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-26 14:56:37 +02:00
MattssonandClaude Fable 5 d0640e0968 fix(settings): clarify bankgiro source on Foretag tab, offer IBAN prefill from bank connection (#1695)
* fix(settings): stop registry bank data masquerading as a setting, offer IBAN from bank connection

User report: the Foretag tab shows a bankgiro from the Bolagsverket snapshot,
which reads as a configured setting while the field payment files and
invoices actually use (Fakturering) was empty.

- Note on the Foretag Bankuppgifter row: data is from Bolagsverket; the
  editable fields live under Installningar -> Fakturering.
- One-click IBAN prefill on the SEK payment account, sourced from the
  connected bank accounts (cash_accounts.iban). Deterministic: only offered
  when every connected account agrees on a single IBAN.
- Delete dead BankDetailsForm.tsx (unmounted since the settings
  restructure); its bank fields are edited via InvoicePaymentAccountsSettings.

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

* fix(settings): only suggest IBAN from enabled, still-connected SEK accounts

Skeptic refutation on the initial PR state: cash_accounts keeps rows after
disconnect (bank_connection_id nulled) and the connect picker mirrors
deselected accounts with enabled=false, so an unfiltered read could offer a
closed or third-party IBAN as the invoice payee / pain.001 sender. Filter on
enabled=true, currency=SEK and a non-null bank_connection_id, matching the
enable-banking session-sharing invariant.

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-18 17:18:51 +02:00
798a76ed7a fix(invoices): accept USD/GBP payment accounts without an IBAN (#1649)
Payment accounts per currency required an IBAN for every non-SEK
currency. USD (ABA routing number) and GBP (sort code) accounts have no
IBAN, so a Wise US or UK receiving account could only be saved by
pasting an IBAN from another currency, which then printed on the invoice
and misrouted the payment.

- InvoicePaymentAccount gains bank_code (routing number / sort code) and
  foreign_account_number; JSONB column, no migration.
- Rule, shared by the Zod schema, the client validation and
  hasUsableInvoicePaymentAccount: a foreign account is usable with an
  IBAN, or, only for NON_IBAN_CURRENCIES (USD, GBP), with bank_code +
  foreign_account_number + BIC. EUR/NOK/DKK still require IBAN.
- Settings: the two fields appear only for USD/GBP with the identifier
  named per currency (Routing number (ABA) / Sort code), a hint that IBAN
  may be left empty, and IBAN no longer marked required there.
- Invoice PDF renders the routing row with the same per-currency label
  plus the foreign account number, in both sv and en.

Reported via gnubok_feedback 2026-08-03.

Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-17 22:23:36 +02:00
MattssonandClaude Fable 5 1bb423b2b3 fix(salary): surface missing sender bankgiro/IBAN before betalfil download (#1640)
* fix(salary): surface missing sender bankgiro/IBAN before betalfil download

Users see a bankgiro under BANKUPPGIFTER in settings (Bolagsverket
snapshot, display only) while the payment-file routes read
company_settings.bankgiro, so the LB download failed with an error
that pointed at a page that looked correct. 153 companies have a
registry bankgiro but an empty settings field.

- PaymentFilePanel warns up front when the sender bankgiro (bg_lb)
  or IBAN (pain001) is missing, linking to Installningar -> Fakturering
- betalkonton form offers a one-click prefill of the bankgiro from
  companies.tic_snapshot (Luhn-validated, user still saves)
- bg-lb and skattekonto payment-file error copy now names the exact
  place to fix instead of 'foretagsinstallningar'

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

* fix(salary): harden bankgiro prefill and warning per skeptic review

- bankgiroFromTicSnapshot now requires the snapshot's orgNumber to match
  companies.org_number before suggesting anything: stale fuzzy-matched
  snapshots can hold another entity's profile, and this field becomes the
  payee account on invoices and Peppol e-invoices
- salary run page refetches settings when the URL returns from the
  intercepting settings modal, so a bankgiro/IBAN saved there clears the
  missing-sender warning instead of leaving it stale

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-17 11:15:37 +02:00
Jakob WennbergandClaude Fable 5 6d9846b1e7 feat(settings): Fönster redesign - flat rows, ? help, dirty save bar (#1193)
* feat(settings): Fönster redesign - flat rows, help behind ?, dirty save bar

Founder-approved concept (2026-07-25) applied to the whole settings
surface, modal and full-page variants alike:

- New primitives in components/settings/SettingsRows.tsx: section header
  (serif title + one-line intro), eyebrow groups, hairline label/control
  rows, flat inputs/selects/textareas, segmented control, animated
  reveal for gated settings, danger zone.
- Every static explanation paragraph moved behind a "?" popover
  (HelpPopover) at row or group level; dynamic status stays visible.
- Modal chrome: company kicker over serif title, fixed 920x680 window.
- SettingsFormWrapper: save is a sticky bar that appears only when the
  form is dirty; collapses to zero height when clean.
- All 11 sections converted (Konto, Abonnemang, Företag, Bokföring,
  Skatt, Löner, Fakturering, Mallar, Bank incl. Enable Banking-panel,
  Assistenten, API) with handlers, validation, role/entitlement/sandbox
  gates and i18n keys preserved; checkboxes became switches, cards
  dissolved into groups.
- Fix: Escape with an open help popover closed the whole settings
  modal; it now closes the popover first.
- New i18n keys: settings_intro.*, group labels, wrapper_unsaved
  (sv+en).

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

* fix(settings): founder feedback round 1 on the Fönster redesign

- Abonnemang paying state: status and manage split into two rows so the
  row no longer wraps awkwardly; the included-features list now shows
  for paying companies too.
- Logos where the counterpart has one: BankID mark on the security row
  and on the Koppla BankID button, Skatteverket mark on the connection
  rows.
- Buttons are unmistakably buttons: 27 text-labeled row actions went
  from ghost to outline pills; icon-only actions stay quiet.
- The agent-knowledge view (Regler & profil: Dina regler, Momsprofil,
  Konventioner) converted to the flat row language; it was the last
  old-style surface inside settings. Descriptions moved behind "?",
  rules render as hairline rows, the per-row "Regel" chip demoted to
  muted text.

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

* fix(settings): address review-bot findings on the Fönster redesign

- SettingsFormWrapper marks the form dirty on switch clicks too: Radix
  Switch is a button and fires no input event, so switch-only changes
  (f-skatt, KU, ROT/RUT, OSS...) never revealed the save bar.
- i18n: the migrated hardcoded strings got keys in both locales
  (fiscal-period start date/range/months, security set-password trio);
  dates in ApiKeysPanel/OAuthClientsPanel/CalendarFeedSettings now pass
  the active locale to formatDateLong.
- A11y: member remove/revoke buttons and the invite role select got
  correct accessible names; BankNameCombobox accepts aria-label wired
  from its row; the pinned-fact icon exposes role img.
- BankIdSettings: explicit Avbryt under the QR block so a cancelled
  BankID flow cannot strand isLinking.
- VoucherSeriesManager: clear the skeleton when no company is resolved.

Verified end to end in sandbox: switch-only dirty bar, PUT /api/settings
200 for text and switch saves, persistence across hard reload.

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-07-25 23:55:08 +02:00
MattssonandClaude Opus 5 d54b43f80f Bug/resend and invoices (#1192)
* fix(invoices): anchor the PDF logo to the top-left of its header cell

The logo box is always the full 240x80pt reserved area (any larger logo is
clamped to exactly that), so objectFit: 'contain' placed the image inside it
with the default 50% 50% centering. A wide banner logo fills the width and
lands on the left margin, but a near-square logo scaled down to the 80pt
height cap is only ~117pt wide and got pushed ~60pt in from the margin, which
reads as a misaligned logo and forced companies to reshape their artwork.

Anchor the image top-left so every aspect ratio starts at the margin.

Covered by a test that renders the real PDF and reads the image placement
matrix out of the content stream, for both a wide and a near-square logo.

Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com>

* feat(invoices): show the real delivery outcome in the send history

"Skickad" only meant the email provider accepted the message, so a bounced
invoice looked identical to one that arrived. Resend reports the outcome
asynchronously; that report now lands on the delivery row and drives the
history: green is reserved for a confirmed delivery, bounce/blocked reads
red, delayed and spam-marked read amber, and an accepted-but-unconfirmed
send is neutral instead of falsely green.

The report arrives on a signed webhook and may only touch the three new
provider status columns of an already sent, unredacted row: the WORM trigger
proves nothing else changed, and a lower ranked or older report can never
downgrade an observed failure. The provider reason text can quote the failing
address, so it is masked on read and cleared by the daily PII redaction job.

Timestamps also formatted in Europe/Stockholm instead of falling back to the
runtime zone, which rendered a 14:05 send as 12:05 on Vercel.

Delivery reports are per message, never per recipient: Resend sends one event
for the whole message, so splitting a send per recipient would be the only way
to get finer granularity, at the cost of CC.

Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com>

* feat(stripe): make the integration feed-only

Stripe sync now only imports balance transactions into the transactions
inbox, like any bank feed; nothing auto-books. The event/settlement sync
(lib/sync.ts, lib/payouts.ts) stays in the repo but is no longer wired to
any route or cron: the 15-min sync cron is removed from vercel.json.
Payment links on invoice send are unchanged; their payments arrive as
feed rows and are matched manually.

- /sync runs only syncStripeBalanceTransactions; response is { success,
  transactions }
- connecting via OAuth enables the nightly feed by default (toggle stays
  as opt-out)
- panel: needs-review section and plumbing removed, copy rewritten to
  transactions-first (sv + en), toast reports fetched/imported/linked
  and calls out an empty result instead of silent all-zeros

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

* fix(api): return the article currency from the v1 article list

The dashboard, importer, export and MCP article surfaces all learned to
carry a non-SEK article price (#1166, #1183, #1184), but the v1
projection still omitted currency. An API or agent caller therefore read
price_excl_vat with nothing marking it as EUR and would copy the number
straight onto a SEK invoice line, at a nine-to-one error.

Adds currency to the projection, the response shape and the example, plus
a pitfall stating the price is not always SEK and that this endpoint does
no FX conversion.

Additive field only; no migration (articles.currency already exists).

Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com>

* feat(settings): replace the settings modal with a routed panel sheet

Settings now renders as a sheet that fills the main panel, sliding up over the
page the user came from and back down on close, with the sidebar and frame left
visible and usable. Behind it sits one shared master-detail surface: underline
search across every section and subsection, the grouped section rail, and the
active section as a direct-editing accordion. All 11 sections are decomposed
into subsections, and the legacy *SettingsContent components compose the same
pieces so the stacked and accordion layouts cannot drift.

The sheet is the only presentation, on every entry path. The intercepting route
handles in-app navigation and closes by popping the history entry, landing back
on the page underneath. @settingsModal/default.tsx handles cold loads (refresh,
deep link, new tab), where interception never fires; nothing is mounted
underneath there, so it closes to the dashboard. Both branch on one shared
predicate, isSheetSection, together with the settings layout, which must render
nothing for those sections or the surface would stack twice behind the sheet
and run every section's fetches twice.

Closing is deliberate rather than incidental: the X, Esc, or navigating away.
The dialog is non-modal so the sidebar's account popover and company switcher
keep working with settings up, and an outside click no longer dismisses it.
Sections land fully collapsed, and the scroll position of the page behind
survives opening and closing the sheet.

Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com>

* feat: enhance article management and settings UI

- Add PATCH test for toggling article active state without other fields.
- Remove unused MessageCircle icon from DashboardContent.
- Refactor AccountingFrameworkForm to use SettingsFieldRow for better help text display.
- Update CompanyInfoForm, DimensionsToggle, and various settings forms to replace description with help text.
- Remove redundant headings and intros in several settings components to streamline UI.
- Improve help text for various settings in English and Swedish translations.
- Update structured error messages for better clarity on article deletion.

* refactor(ArticleDetailPage): remove unused imports and duplicate state variable

* fix(settings): own deep-linked settings routes by route list, not nav visibility

Review fixes from the settings panel sheet work:
* isSheetSection reads the full settings route list so a hidden-but-deep-linked
  section (assistant before BankID, banking in sandbox, api without MCP) is
  claimed by the sheet instead of rendering the legacy shell around an empty panel
* keep 503 on the Resend delivery webhook when the signing secret is unset, with
  a test pinning the behaviour
* stripe callback route test coverage

Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com>

* refactor: update salary, tax, and templates settings components

- Refactored SalarySettingsContent to use a form wrapper and improved payment settings UI.
- Enhanced TaxSettingsContent with new signals for EU sales, KU obligations, and ROT/RUT deductions.
- Updated TemplatesSettingsContent to remove legacy comments and improve readability.
- Simplified navigation items by removing unnecessary constants and directly using hrefs.
- Cleaned up translation files by removing deprecated keys and adding new descriptions for clarity.

---------

Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com>
2026-07-25 22:56:17 +02:00
Mattsson 466e55a015 Fix/invoice delivery and payment accounts (#1116)
* fix: reconcile annual reports with final closing entries

* test: cover annual report depreciation and VAT balances

* Merge remote-tracking branch 'origin/main' into fix/usr-fdbck-ch

* fix: show exact invoice delivery details

* fix: use currency account in invoice emails

* fix: address invoice delivery review feedback

* fix: harden invoice delivery and payment accounts

* test: assert RLS-denied zero-row updates

* fix: close remaining invoice compliance gaps

* fix: harden invoice archive authorization

* fix: close invoice delivery review findings

* fix: verify delivery finalization results

* fix: cap combined invoice email recipients

* fix: close final invoice compliance findings

* fix: prevent stale payment account saves

* test: prove invoice delivery isolation

* fix: close invoice privacy review findings

* test: normalize delivery retention dates
2026-07-23 09:54:02 +02:00