c0ecf2fa3bebd46bdfd0169efd73b89653d1dfed
14
Commits
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f1230282a9 |
feat(bookkeeping): verifikationsserie per bankkonto for bank-transaction bookings (#2160)
* feat(bookkeeping): verifikationsserie per bankkonto for bank-transaction bookings A company running several bank accounts (main bank on A, company card on M, both imported via CSV) could not route each account's bookings into its own series: every bank_transaction booking took the single company-wide default from default_voucher_series_per_source_type. - cash_accounts.voucher_series (nullable, single letter): per-account override, editable under Inställningar → Bokföring → Verifikationsserier per bankkonto (new PATCH /api/cash-accounts/[id]). - resolveCashAccountVoucherSeries(): step 2 of the resolution order (explicit pick → account override → per-type map → A). Wired into the book route and createTransactionJournalEntry, which covers categorize, the agent, pending operations and the v1 API. - Booking dialog gets the series picker, seeded from the server via /voucher-sequences/next?source_type&cash_account_id so dialog and route can never disagree. An unresolved embedded picker omits voucher_series so a stray 'A' never overrides the account's series. Scope: bank_transaction bookings only. Invoice settlements matched from the bank keep their payment series; bulk-book resolves inside its RPC (see DECISIONS.md). Migration applied to staging as 20260902121420. Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com> Claude-Session: https://claude.ai/code/session_01JWSLbQc3jgpfqnxWe6nteh * fix(bookkeeping): audit and document the per-bankkonto series, tighten preview and PATCH Consolidated pass over the PR #2160 findings (skeptics, CodeRabbit, Swedish compliance review): - Behandlingshistorik (BFNAR 2013:2 p. 9.16): changing cash_accounts.voucher_series is a behandlingsregel that outranks the audited per-type map. New trigger audit_cash_accounts_voucher_series (UPDATE only, WHEN the series changes, so bank-sync churn never logs), cash_accounts added to AUDITED_TABLES and the audit_log filter, "Bankkonto ... Verifikationsserie: (tomt) -> M" events in the report, pg-real test. Applied to staging as 20260902124513. - Systemdokumentation (p. 9.2-9.15): revision/systemdokumentation.json gains a verifikationsserier_regler block with the resolution order and the two exceptions (invoice settlements, samlingsverifikat); the per-account mapping itself is in data/cash_accounts.json. - Settings picker uses the same closed list as the manual verifikat form (presets plus letters already in use) instead of all 26 letters; strings moved to messages/sv.json and messages/en.json. - /voucher-sequences/next applies the account override only for source_type=bank_transaction (CodeRabbit), so a manual-entry preview cannot show a series the entry will not get. - Book route resolves the series from the account the row ends up on after a stranded-row repoint, not the stale one. - PATCH /api/cash-accounts/[id] answers 404 for a non-UUID id instead of a Postgres cast 500; the series lookup logs a warning when it fails open. Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com> Claude-Session: https://claude.ai/code/session_01JWSLbQc3jgpfqnxWe6nteh --------- Co-authored-by: Claude Fable 5.1 <noreply@anthropic.com> |
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f266c386f3 |
chore: repo-wide bloat sweep, remove dead code and fold duplicate helpers (#2150)
* chore: repo-wide bloat sweep, remove dead code and fold duplicate helpers Remove 33 dead files, ~270 unreferenced exports/types, 13 dead i18n namespaces and 4 unused dependencies; fold byte-identical helper copies into one canonical home each (lib/utils chunk/sleep/utcDateStamp, lib/dates/iso, lib/invariants/uuid, lib/xml/escape, lib/reports/sru/format, lib/pdf/number-text, lib/browser/panel-request, lib/api/v1/body + v1ValidationError rolled out to ~55 v1 routes, booking-template schemas). No behaviour change: v1 bodies and status codes, MCP tool schemas, DB writes and money math are untouched. Naive ore rounding was deliberately not swapped for roundOre; see DECISIONS.md 2026-09-02 for the full list of things left alone on purpose. tsc, lint, 19588 unit tests and check:guards green; antipattern baseline ratcheted (naive-ore-round 622 -> 620, hand-rolled-invariant 115 -> 113). Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com> * test(transactions): import RawTransaction from @/types after the ingest re-export removal CI's type ratchet (check:types, full tsconfig) caught the one test file that still imported the type through lib/transactions/ingest. Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com> --------- Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com> Co-authored-by: Claude Fable 5.1 <noreply@anthropic.com> |
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cd40127f0e |
feat(bank): expose bank-reported balance (booked + available) in UI, reconciliation, MCP and v1 API (#2118)
* feat(bank): expose bank-reported balance (booked + available) in UI, reconciliation, MCP and v1 API
The PSD2 sync has fetched the bank's reported balance for years but the
data was stranded (F7): the Bank-page source picker read a cash_accounts
column no sync ever updated (frozen at connect time), reconciliation
hard-coded external_balance to null for bank accounts, and neither MCP
nor the v1 API exposed any balance at all, so the only path to a current
bank balance was logging into the bank.
- getAccountBalance now returns booked + available from the same
quota-limited BALANCES response (previously all but one type discarded)
- every sync (manual + cron) mirrors balance, available_balance and
balance_updated_at into cash_accounts, fixing the stale picker
- new cash_accounts.available_balance column (additive migration)
- reconciliation bank kind: external_balance = bank-reported balance,
plus bank_reported_* fields and fetch timestamp in the bank block;
difference math stays movement-based and untouched
- reconciliation view shows "Saldo enligt banken ... hamtat {date}"
- MCP gnubok_list_cash_accounts returns the three balance fields; the
cash_today prompt now reports the bank's figure instead of teaching
agents to answer with the bookkept 19xx balance
- new GET /api/v1/companies/{companyId}/cash-accounts endpoint
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01Ewu46quXgh9LSr9UwYusxm
* fix(bank): keep external_balance null for bank sign-offs; never fabricate a zero balance; guard the mirror against stale writers
Post-review fixes from the skeptic pass + CodeRabbit on PR #2118:
- external_balance stays null for the bank reconciliation kind: sign-off
persists it into account_reconciliations and bokslutsbilagor computes
closing - external from that row, so a today-balance stored on a
balansdag sign-off printed a phantom warning-red differens in the
year-end appendix. The bank-reported figure lives only in the
timestamped bank_reported_* pair in the bank block, and only when its
fetch timestamp exists (a balance of unknown age is suppressed).
- AccountOverview no longer falls back to today's date when the balance
timestamp is missing; the line is omitted instead.
- getAccountBalance returns null on an empty BALANCES response instead
of fabricating amount 0 with a fresh timestamp; sync keeps the
previous stored value.
- updateBalancesFromSync only writes over an older-or-missing
balance_updated_at, so an older sync run finishing later cannot move
the mirrored balance backwards.
- The inline initial backfill (picker save) now mirrors fetched
balances into cash_accounts too (accounts_data is deliberately not
re-written there).
- cash_today MCP prompt mentions the gnubok_call_tool bridge for hosts
that only see the default catalog.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01Ewu46quXgh9LSr9UwYusxm
* fix(bank): express the stale-writer guard as two literal predicates for the schema guard
The .or() with a template literal pushed the no-phantom-columns
unresolvable-expression count over its ceiling. Same semantics, two
updates: one for rows with an older timestamp, one for rows with none.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01Ewu46quXgh9LSr9UwYusxm
* fix(bank): rank interimBooked (ITBD) as a booked balance type before the generic fallback
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01Ewu46quXgh9LSr9UwYusxm
---------
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
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24614c19ff |
fix(cash-accounts): rebind movable transactions when remapping a PSD2 ledger (#2023)
When a PSD2 remap collides with an overflow duplicate cash account (1931 next to a promoted 1930), the unbooked, unmatched, non-anchored transactions on the duplicate are rebound onto the promoted row before the duplicate is resolved, so booking stops proposing the dead ledger. Rows that are booked or anchored via transaction_voucher_links / invoice_payments / supplier_invoice_payments stay put and the duplicate is demoted (never deleted) while any remain, as before. Supersedes #1756. Co-authored-by: Daniel Stenborg <daniel@stenborg.se> |
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4e1eb3d662 |
fix(cash-accounts): never propose or accept an orphaned twin ledger as counter-account; match and re-point across sibling ledgers (#1643) (#2010)
* fix(cash-accounts): never propose or accept an orphaned cash-account ledger as counter-account (#1643) A broken bank reconnect leaves cash_accounts rows that share the live account's IBAN (held by a revoked connection, or demoted to manual by the #916 fix). Three consequences are fixed here: - Problem 4 (silent mis-booking): the own-account transfer detector paired with such an orphan and proposed its ledger as the counter-account, and a counterparty template learned from that result replayed as 1940/1931 in the booking dialog. The detector now tolerates several rows on one IBAN, never pairs with the transaction's own row, a disabled row, or a revoked holder; the mapping engine drops a "transfer" whose counter equals the settlement account; suggest-categories withholds learned suggestions that reference an orphaned ledger; and both commit paths (POST /api/transactions/[id]/categorize, categorizeMatchedTransaction) reject with the new TX_CATEGORIZE_ORPHANED_COUNTER_ACCOUNT (400). Orphans are only refused in the COUNTER position: a stranded row still settles on its own ledger, and a manual account without a live IBAN twin is never treated as orphaned, so transfers between two live accounts keep booking. - Problem 1 (match dialog): the ranked unmatched-entries path also offers vouchers booked on sibling ledgers of the same IBAN, and manualLink accepts a voucher line on a sibling ledger. When it does, the same locked UPDATE re-points transactions.cash_account_id to the live sibling row (currency-gated, like PATCH /api/transactions/[id]/cash-account) so the account-keyed reconciliation does not count a cross-account link as an imbalance on both ledgers. - Problem 3 (naming): allocatePsd2LedgerAccount names the chart account BAS-style (BAS reference name for a standard slot, else "Bankkonto <CUR>") instead of the ASPSP-reported holder name. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna * fix(cash-accounts): address review findings on the orphaned-ledger guards (#1643) One in-memory topology (cash_accounts rows + bank_connections status) now defines "live", "orphaned" and "same physical account" for the transfer detector, the match/link flows and every commit guard, so a proposal is never made that a guard later rejects. - Finding 1/4/6 (own IBAN as counterparty): findPairableCashAccountByIban treats the transaction's own IBAN as "not a transfer": every same-currency row on that IBAN is the same physical account, whichever is live, so interest stamped with the own IBAN never pairs with a twin (two active rows, a demoted-manual twin, or a live twin of a stranded row). Only a pocket in another currency on that IBAN can still pair. guardCounterLegs refuses a same-IBAN same-currency twin in the counter position on every commit path, even when both rows are active. - Finding 3: with several surviving candidates (currency pockets with no discriminator, or two active twins) the finder returns null instead of picking the lowest ledger, which is what the pre-PR lookup did. - Finding 5: the finder drops every row in the orphaned set, the same predicate the commit guards use (demoted-manual twins included). - Finding 9: "live" means enabled + connection status 'active'; an expired/error twin of a live row is orphaned, a lone expired connection (re-auth window) is not. - Finding 2: siblings are keyed on (normalized IBAN, currency) in describeCashAccountSiblings and the unmatched-entries route, so a SEK transaction can no longer link to a voucher whose only bank leg is on the EUR pocket of the same IBAN; manualLink rejects that as before. - Finding 8: manualLink re-points a row only when the voucher sits on the LIVE sibling and the own row is not live; the reverse direction links without moving the row. - Finding 7: the v1 REST categorize route runs the same guardCounterLegs check after account_override and returns TX_CATEGORIZE_ORPHANED_COUNTER_ACCOUNT. MCP stages through categorizeMatchedTransaction, already covered. - Finding 10: a learned template whose stale 19xx leg is a twin of the settlement row is rewritten to the settlement account (it is the bank leg, not the counter) instead of refused; suggest-categories exempts each transaction's own settlement ledger before withholding a suggestion. The error message now covers both the twin and the disconnected case. Tests pin each behavior (service, detector, manualLink, unmatched-entries, dashboard and v1 categorize routes, suggest-categories). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna * fix(cash-accounts): address round-2 review findings (#1643) 1+3. Orphan derivation keyed on (IBAN, currency): loadCashAccountTopology now keys the live twin on normalized IBAN plus currency (the rule every other "same physical account" check in the PR already used), so a manual or deselected GBP/EUR pocket beside a live SEK pocket of a multi-currency account is never orphaned, still pairs in the transfer detector and is accepted as counter at commit. Twin computation is shared (twinLedgersOf). 2. suggest-categories mirrors guardCounterLegs: a learned 19xx leg that is a twin of the transaction's own row is rewritten to the settlement ledger in the offered suggestion instead of being withheld; only a true counter-position orphan (or a twin that would book the settlement ledger against itself) is withheld. One topology load per batch (loadCounterLegTopology). 4. The free-form dialog path (POST /api/transactions/[id]/book) gets a line-level guard (guardBookedCounterLines): a 19xx line that is a twin of the transaction's own row or an orphaned ledger, alongside the settlement leg, is refused with TX_CATEGORIZE_ORPHANED_COUNTER_ACCOUNT. Only runs when the lines touch two distinct 19xx ledgers. The twin rewrite in suggest-categories (2) covers the both-active shape before the dialog is even opened. 5. manualLink re-points the row onto the sibling ledger the voucher was booked on whenever the sibling is live or the own row is not (both-live twins and both-dead rows included); only a live row whose voucher sits on a dead sibling links without moving. unmatched-entries now uses describeCashAccountSiblings and does not offer dead-sibling vouchers to a live row. DECISIONS.md: the PR's existing review follow-up line amended. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna * fix(cash-accounts): address round-3 review findings (#1643) 1. Revoked-held rows are no longer orphaned unconditionally. A row whose connection is revoked is orphaned only under the twin rule (not live AND a live row shares its normalized IBAN + currency), so a disconnected-but-real account (the company's only 1930, or two real accounts on one revoked connection) stays pairable by the transfer detector and bookable as counter on every guarded path. Tests cover the no-twin case for getOrphanedCounterLedgers, findPairableCashAccountByIban, detectOwnAccountTransfer, guardCounterLegs and guardBookedCounterLines; the existing revoked tests now use a twin shape. 2. manualLink / unmatched-entries decide the re-point on the destination: a new shouldRepointToSibling moves onto a live sibling, or onto a dead one only when the own row's holder is gone (released: bank_connection_id null or revoked) and no sibling is live. An expired/error/pending own row links without moving. SiblingCashAccount gains `released`. Tests: expired own row + demoted twin links without moving and the twin's vouchers are not offered. 3. loadCounterLegTopology is exercised directly: settlement ledger and twins, other-currency pocket, null/unknown ids, cache, orphan set equal to guardCounterLegs' refusals on the same fixture, lookup failure. 4. guardBookedCounterLines docstring and the /book route comment now state that only the two-cash-legs shape is inspected; a single hand-typed 19xx line is not (covering it would cost a cash_accounts lookup on every ordinary booking). DECISIONS.md lines amended accordingly. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna * fix(cash-accounts): address round-4 review findings (#1643) 1. Same-connection re-registration twins (the dominant prod shape): two enabled rows on one active connection sharing (IBAN, currency) are now told apart by balance_updated_at; only the most recently synced row is live, the other is a stale twin (orphaned as a counter, never a re-point destination, and the transfer detector pairs with the syncing row alone). Rows with no stamp or the same stamp both stay live. 2. POST /book: a single 19xx line that is a sibling ledger the row should move to (the live twin of a stranded row) re-points cash_account_id in the same locked UPDATE that links the voucher, mirroring manualLink. guardBookedCounterLines returns { refusedLedger, repointCashAccountId }; an ordinary booking pays one PK read of the own row. 3. manualLink refuses the link (success:false, Swedish error) when the voucher sits only on a dead sibling instead of writing a cross-account link with a server-side warn; the REST and MCP link callers reach it without the unmatched-entries filter. 4. manualLink judges a voucher touching several sibling ledgers on the best of them (a live sibling, else the first the row may move to) instead of the first line PostgREST returns. Tests pinned in lib/cash-accounts, lib/reconciliation and the /book route; the two DECISIONS.md lines for #1643 amended in place. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna * fix(cash-accounts): address round-5 review findings (#1643) 1/2/5. Same-connection twin liveness no longer ranks on cash_accounts.balance_updated_at (a connect-time snapshot the sync never refreshes, inverted on prod in 4 of 5 stamped groups). The live row is the one whose external_uid the bank still lists in bank_connections.accounts_data (rewritten on every sync); no listing, both listed or neither listed keeps both rows live (round-3 behavior). getConnectionStatuses selects accounts_data in the same query. 3. guardBookedCounterLines single-19xx-line shape: a twin the row may not move to (dead or disabled) is refused with TX_CATEGORIZE_ORPHANED_COUNTER_ACCOUNT instead of posting the only bank leg on the dead ledger; an unrelated 19xx line still posts as typed. Route test added. 4. Disabled cash_accounts rows are never siblings, so neither manualLink nor /book re-points a transaction onto a deselected row; a voucher booked only there is refused as a cross-account link. 6. PR body rewritten to the final rules; DECISIONS.md round-4 line amended (signal correction, /book refusal, disabled siblings). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna * fix(cash-accounts): never treat a null external_uid as listed by the bank (#1643) CashAccount.external_uid is nullable in the shared type; the same-connection twin rule now skips null uids instead of passing them to Set.has, which failed the strict type check in CI. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna * fix(cash-accounts): drop the same-connection twin liveness rule; both rows stay live (#1643) Two enabled rows on one active bank connection sharing (IBAN, currency) are no longer ranked. Round 4 ranked on cash_accounts.balance_updated_at and round 5 on external_uid presence in bank_connections.accounts_data; each was verified against prod and each was contradicted by it (ingest routes by the accounts_data entry's ledger_account, which in two groups points at the OLD row, so the "stale" row is the one still being fed). Restores the round-3 behavior: neither twin is orphaned, the transfer finder returns null when both survive, no guard refuses either, and shouldRepointToSibling treats both as live siblings. No replacement signal; how to model the shape is a founder decision (PR #2010 review). getConnectionStatuses no longer selects accounts_data. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna --------- Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com> Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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21c63b8b12 |
fix(enable-banking): carry dedup scope and cash account across a no-IBAN uid change on reconnect (#1826)
Root cause (issue #1709 residual corner): on an in-place reconnect, the callback carries each account's external_id dedup scope by matching prior accounts by IBAN or uid. A no-IBAN account whose ASPSP minted a new uid matched neither, so it got a fresh scope: every historical external_id regenerated, Layer-1 dedup missed the re-import, and the whole history came back as new unbooked rows. The cash_accounts mirror then could not find the old row either and allocated an overflow 19xx slot plus a NEW row, which also blocked the content-dedup bridge's account guard. Fix: pair such accounts by elimination, only when unambiguous (per currency, exactly one unclaimed prior and exactly one fresh-scope new account, neither with an IBAN): carry the prior scope and enabled flag, and reuse the connection's own old cash_accounts row via the existing explicit reuse_cash_account_id promote path in upsertFromPsd2, so the row id, ledger, and transaction links survive the uid change. Any ambiguity keeps the previous fresh-scope behavior. Also count account-incompatible same-feed orphaned ids in the scope-drift shadow (log-only) so fleet validation can see this incident class. IBAN-carrying accounts were already fixed by #1705/#1728; the frozen external_id format is untouched. Claude-Session: https://claude.ai/code/session_01SyDuePXxUFowaPBKpAv8SF Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com> Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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65c6d4c178 |
Fix/07 27 (#1271)
* fix(enable-banking): keep bank account mappings across reconnects and surface dead sessions A PSD2 reconnect silently moved the user's ledger mapping. Account identity came from the provider's account uid, which does not survive a re-authorization at every ASPSP, and a fresh connect to an already-connected bank mints a new bank_connections row regardless. Both paths looked like "an account we have never seen", so the allocator handed out the next free 19xx slot and a 1930/1940/1941 mapping came back as 1942-1946 on every consent renewal, roughly quarterly per connection. Match on the IBAN instead. resolvePsd2LedgerAccount() finds the existing cash_accounts row by normalized IBAN before allocating, and upsertFromPsd2 promotes that row in place rather than inserting a second one, so it keeps its id and its linked transactions and is re-pointed at the connection that just authorized. The previous holder's connection status is deliberately ignored: one IBAN is one physical account, and the old row often still reads 'active' because the bank killed the session without telling us. The allocator also stopped treating a 19xx number as free just because no cash_accounts row holds it. A chart imported from SIE carries the company's real bank accounts by name with no PSD2 row behind them, which is how a SEK company account got proposed as an unrelated brokerage account. Overflow now skips chart-occupied numbers, falling back only when nothing unnamed is left. Dead connections kept rendering as "Aktiv": status only ever changed when a transaction fetch failed, so a session killed bank-side stayed healthy-looking with a stale last_synced_at while the user read old balances as current. Add probeSessionHealth() and run it in the daily cron over every connection that run did not prove alive, including the ones the loop skips silently (capability gate, all accounts deselected) and the ones parked in pending_selection that the cron never looked at. It acts only on a definite dead answer; anything ambiguous leaves the row alone, since a wrong flip costs a full BankID re-authorization. The all-accounts-deselected branch is reclassified 'synced' to 'skipped' for the same reason: it never contacts the bank, so it must not count as proof of life. The settings row warns when an active connection has not synced in three days or has never synced. Which company a connection belongs to was invisible. Everything was already scoped to ctx.companyId, so there was no cross-tenant leak, but a bank authorized while the wrong company was active looked identical to the right one. Name the company on the connect surface and in the account picker, and say where the connection went when the callback lands under a different active company. Warn (bypassably) before authorizing a bank where the same user already holds live connections in other companies: several ASPSPs allow one active AIS session per login, so the new authorization can kill the others. The history start date already defaulted to the fiscal-year start; the card above it recommended a mid-year date and contradicted the selected option. It now states the fact and offers the shortcut without presenting it as advice. Not addressed: sharing one PSD2 session across companies. company_id is the tenancy anchor on bank_connections and cash_accounts hangs off (company_id, bank_connection_id), so that needs the session to become its own entity. See DECISIONS.md. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(supplier-invoices): show the posted line description in the voucher preview The "Verifikation som bokförs" preview built its expense debit lines with description set to the raw account number, so the BESKRIVNING column showed "5615" or "6990" where the posted verifikat actually says "Leverantörsfaktura 123, ACME AB". A hardcoded 11-entry ACCOUNT_LABELS map masked this for 2440/2641/26xx, which is why the column read as a mix of friendly labels and bare account numbers, neither of which was the posted text. The preview now renders exactly the line_description the engine writes: the shared invoice-level text on expense lines and 2440, "Ingående moms {rate}% {desc}" on 2641, and the reverse-charge pair taken straight from generateReverseChargeLines instead of being re-derived locally. buildSupplierDescription moves into its own dependency-free module so the client-side preview can call it without pulling the journal engine (and its Supabase server client) into the browser bundle. The account name stays reachable on the AccountNumber hover card. Picked option A from the issue, keeping the fixed invoice-level description rather than propagating each item's own text: the customer-invoice side already writes invoice-level descriptions, so per-item text would create an inconsistency between the two invoice sides rather than remove one, and it would need an aggregation-collision policy in the journal engine. Rationale recorded in DECISIONS.md. Refs #1258 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(bookkeeping): restore the copy icon on verifikat rows The row-language rewrite in #1123 reused the copy icon's slot for the new expand toggle, removing the zero-click copy affordance from the bookkeeping list without mentioning it. The leftover orphaned copy_voucher_tooltip key in both message files is what identifies it as collateral rather than a product decision. Restore a copy icon in the row's right-edge action cell, reusing that key for aria-label and title. stopPropagation keeps the click off the row's expand toggle. The icon is hover-revealed on md+ and always visible below it: #1123 collapsed the desktop table and the mobile card into one responsive table, so hover-only would leave touch users with nothing. Copy is no longer gated on posted. The copy_from handler and the GET journal-entries route never looked at status, so copying a draft already worked end-to-end and only the detail-page button hid it; the two list surfaces were already ungated. Both list affordances now respect canWrite, which previously dropped read-only users into a dialog they could not submit. The repo does not render components in tests, which is why #1123 removed this silently. Pin the source shape instead, the same way the copy-invoice query is pinned. Closes #1266 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(transactions): revalidate stale invoice match pointers before offering a match potential_invoice_id / potential_supplier_invoice_id are written once, at bank import, and never revisited. When one of several identical recurring invoices was settled by a different transaction, every other transaction kept pointing at the now fully paid invoice. The match dialog then measured the bank amount against a 0 kr remaining balance and reported a "Beloppen skiljer sig ... fakturan blir delbetald" partial payment, and the worklist offered the same dead suggestion as a one-click confirm row. Worse, the manual escape hatch was hidden exactly when it was needed: TransactionInboxCard only shows "Matcha mot leverantörsfaktura" when no suggestion exists, so a stale pointer left the user with no way at all to reach the correct invoice. Fixed by revalidating at read time rather than by clearing sibling pointers on settle. Invoices are settled through many paths (both match routes, mark-paid, MCP, bank reconciliation, SIE import), so write-time cleanup leaks the moment one is missed, while the candidate lookup covers every route into the list. The shared accept-lists in lib/invoices/matchable-statuses.ts mirror the CAS guards the match routes already enforce. - listSuggestedMatches and the transactions page candidate fetch filter on status + remaining_amount, so a settled candidate yields no suggestion and the manual picker reappears on its own. - InvoiceMatchDialog blocks a settled target with a distinct message and a disabled confirm. Not advisory: both routes reject it outright with MATCH_INVOICE_ALREADY_PAID / MATCH_SI_ALREADY_PAID, so no override could succeed. - The supplier detail card now shows remaining_amount like the customer branch, instead of total. On a partially paid invoice it used to print "1 250 kr" directly beside "Differens: 1 250 kr". - match-supplier-invoice clears potential_supplier_invoice_id on the transaction it just matched, mirroring the customer route. No bookkeeping was ever at risk: both routes already refused a settled target before creating a voucher. The damage was confined to a misleading dialog and a dead end. createQueuedMockSupabase gains passive call recording (calls / findCall / findCalls) because the proxy swallowed filter and update arguments, which made the new assertions inexpressible. Refs #1259, #1260 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * feat(webhooks): dispatch on emit instead of waiting for the next cron tick (#1256) * feat(webhooks): dispatch on emit instead of waiting for the next cron tick The webhook dispatcher ran only on a per-minute cron, so the floor on delivery latency was up to 60 seconds plus the request. An external consumer that wanted to react as a transaction landed had only one alternative: polling /api/events, which the 100 rpm per-key limit makes expensive and which still cannot beat the tick interval. Schedules one dispatch cycle as soon as deliveries are enqueued. The cron is unchanged and remains the retry and sweep path; this only moves the first attempt forward. Wired into the event-bus fanout plus the two routes that enqueue a delivery directly: the :test verb, whose entire purpose is telling someone whether their receiver works, and the manual delivery retry. Three properties are load-bearing and covered by tests. The kick is never awaited, because eventBus.emit is awaited at ~99 call sites including journal_entry.committed and each delivery can burn a 10 s receiver timeout. It coalesces per function instance, so a bulk booking that emits once per row does not schedule one claim round trip per row. It claims 5 rows rather than the cron's 50, because it runs on the tail of a user-facing request. Double delivery is not a risk: claim_due_webhook_deliveries already claims FOR UPDATE SKIP LOCKED and flips rows to in_flight in the same statement, so a kick racing the cron sees disjoint rows. Does not close #1201, which asks for a realtime stream for API consumers. This is the cheap half. Refs #1201 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * docs(webhooks): stop claiming the kick makes double delivery impossible Adversarial review of the previous commit caught an overstatement in its own comments. SKIP LOCKED keeps a kick and the cron from claiming the same row at the same moment, but claim_due_webhook_deliveries autocommits before any POST is issued, so from then on ownership is only status='in_flight' and a later cycle's recoverStuckInFlight sweep can re-arm a row still queued behind an earlier cycle's serial loop. Delivery is at-least-once, which is what the public docs already tell receivers ("the same delivery id may arrive more than once ... idempotency is on you"). The comments contradicted that. No behaviour change. The kick does not create this window: the cron claims 50 rows serially against the same 20 s stuck threshold, which is wider than what a batch of 5 can open. Refs #1201 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(bokslut): add bokslut-flow depreciation (78xx) back to the bolagsskatt base (#1253) * fix(bokslut): add bokslut-flow depreciation (78xx) back to the bolagsskatt base sumPostedYearEndDispositions reconstructs resultat fore skatt for the tax calculation, because generateIncomeStatement excludes every source_type='year_end' entry. It summed class 88 and 7533 but not 78xx, so planenlig avskrivning posted by the bokslut flow (lib/bokslut/assets/depreciation-engine.ts) was dropped from the income statement and never added back. The bolagsskatt base and the periodiseringsfond 25 % cap were therefore computed on an overstated result: tax too high by roughly 20.6 % of the depreciation. Also exclude the period's final bokslutsverifikation from the fetch. It carries source_type='year_end' as well and reverses every P&L account, 78xx/88xx/7533 included (verified against production closing entries), so once the year is closed it would cancel the add-back this function exists to produce. That hazard already applied to 88xx and 7533; the fix closes it for all three rather than widening it. Scope is deliberately the tax base only. Making the standalone resultatrakning show bokslut entries is a separate, larger change: the same exclusion is duplicated in the kpi_report_aggregates RPC, it moves displayed profit for every company that ran the bokslut flow, and it means removing the add-back at four call sites. Refs #1051 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(bokslut): scope the closing-entry lookup to the company and fail loudly Review (CodeRabbit + the compliance swarm, ASVS V8.2.1) flagged the new fiscal_periods read in sumPostedYearEndDispositions on two counts, both fair. It filtered only on the period id while every sibling query in the same function carries the tenant scope. Primary key or not, service-role paths have no RLS to fall back on and the repo's rule is to filter company_id explicitly, so it now does. It also discarded the query error. That mattered more than it looks: a failed read fell through to closingEntryId = null, which silently re-admits the closing verifikat's 78xx/88xx reversals and understates the tax base, i.e. exactly the failure this lookup was added to prevent. It now throws, and the surrounding catch turns it into the existing 'Failed to read posted dispositions' error. A wrong bolagsskatt is worse than a loud failure. Two regression tests: the lookup carries both eq filters, and a lookup failure propagates instead of degrading to a wrong number. Refs #1051 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(storage): drop the client-side DELETE policy on the documents bucket (#1254) * fix(storage): drop the client-side DELETE policy on the documents bucket 20240101000024 documents this bucket as WORM: "No UPDATE or DELETE policies". That described the repo, not production. Production carries a users_delete_own_documents policy that exists in no migration file: FOR DELETE TO authenticated USING (bucket_id = 'documents' AND (storage.foldername(name))[2] = auth.uid()::text) Under it, the uploading user can delete the storage bytes of any document they uploaded under the legacy documents/{userId}/... layout, using nothing but their normal browser token. That includes documents linked to a posted verifikat, which are rakenskapsinformation under the BFL 7 kap 2 § seven-year retention duty. deleteDocument()'s linked-check and the block_document_deletion() trigger both guard the document_attachments ROW, not the object: the row survives, still pointing at a file that is gone. Reproduced against a local replay of the full migration stream: with the policy present the uploader's own DELETE removes the object; with it dropped the same statement matches zero rows. Company-scoped keys were never exposed (their second path segment is the company id, not auth.uid()), so this only ever reached the legacy layout, which is where most documents still live. Safe because every in-app remove() on this bucket already runs on the service role, covered by service_role_all_documents. Deliberately narrow: users_read_own_documents and users_upload_own_documents stay. The Phase B backfill from 20260726092000 has not run, so dropping the legacy SELECT policy now would make existing documents unreadable. That is Phase C. The pg-real test asserts no DELETE and no UPDATE policy over the bucket under ANY name: the hole arrived under a name this repo never used, so pinning a name would not have caught it. Refs #1208 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * test(storage): make the WORM ratchet see FOR ALL and WITH CHECK policies Review caught two blind spots in the ratchet, both fair. It matched only polcmd 'd' and 'w', but polcmd '*' (FOR ALL) grants DELETE and UPDATE just as effectively, and FOR ALL is the shape the one legitimate policy on this table already uses, so a hostile one would look unremarkable in the catalogue. It also read only polqual, so an UPDATE policy carrying its bucket restriction in WITH CHECK was invisible. Both assertions now run through one helper that covers d/w/*, concatenates USING and WITH CHECK, and filters by grantee so service_role_all_documents (how the application does its authorized deletes) is excluded while every client-reachable role is not. A policy granted to PUBLIC has an empty polroles, which is the most permissive case there is, so it is treated as client-reachable rather than as "no roles". Matching on the substring rather than the exact `bucket_id = 'documents'` shape pg_get_expr emits today: a policy written as bucket_id::text or with the comparison reversed would slip past a stricter match, and for a WORM ratchet a false alarm is cheap while a silent hole is not. Adds a probe case that creates a FOR ALL policy and asserts the helper sees it, so the main assertion cannot pass vacuously. That case earned its keep immediately: it caught that node-postgres hands back a raw string for a name[] column, so the role filter needed rolname::text to work at all. Verified against a local replay of the full migration stream: red with the original prod FOR DELETE policy present, red with a FOR ALL probe, green without either. Full pg-real suite 933 passed. Refs #1208 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * test(storage): catch a destructive policy that names no bucket at all Adversarial review of the previous commit found the ratchet still failed open, and reproduced it: a policy with no bucket_id predicate covers EVERY bucket, documents included, so gating on the bucket name discarded exactly the widest hole. The concrete shape is Supabase's own stock "Enable delete for users based on user_id" template, USING (auth.uid() = owner), which is the single most likely form of a future dashboard edit. A destructive policy is now in scope unless it provably cannot reach this bucket, i.e. only a bucket_id predicate naming some other bucket exempts it. The behavioural assertions had the matching blind spot: fixtures were seeded without an owner, so an owner-based policy matched NULL and the DELETE reported 0 rows for the wrong reason. Objects now carry an owner the way storage-api stamps them in production, so those tests fail loudly instead of passing by accident. Two probes pin both directions: a bucketless policy must be reported (and is shown to really permit the delete), and a policy scoped to another bucket must not be, so the ratchet cannot start crying wolf on receipts or sie-files and get switched off. Verified against a local replay of the full migration stream: red with the stock bucketless template installed, green without it. Full pg-real suite 935 passed. Refs #1208 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(kontoplan): make a deactivated account reachable again (#1262) is_active=false read as "does not exist" on every read path but as "exists" on the (company_id, account_number) unique constraint, so a deactivated account vanished from the kontoplan with no way back and re-creating it answered "Kontonummer X finns redan i din kontoplan." The write side was already correct: POST /accounts/activate has a toReactivate branch and PUT /accounts/[number] accepts is_active:true. Both were simply unreachable, so this opens routes to them rather than relaxing the read filters, which are load-bearing for AccountsNotInChartError. - Kontoplan gets a "Visa inaktiva" filter; inactive rows carry an "Inaktiv" chip and the existing per-row switch reactivates them in one click. - Deactivating an account that has posted lines now warns first, using the usage count already loaded for the Verifikat column. - POST /accounts distinguishes the two collisions and returns the new ACCOUNT_EXISTS_INACTIVE code; AddAccountDialog offers "Aktivera kontot istallet" rather than a dead-end 409. The stored account is left exactly as it was; values typed into the failed create form are not applied. - bas-lookup consults the company's own chart before the static BAS reference, so a deactivated custom account reads as known and "Aktivera och bokfor" is no longer disabled for it. New in_chart / is_active fields let callers tell "will be added" from "will be revived". - BAS-katalog stops showing "Aktiverat" for an account the company holds but has deactivated; it falls through to a relabelled Aktivera button, and the per-class counts follow. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(supplier-invoices): flag foreign 0 % lines with reverse charge switched off (#1255) * fix(supplier-invoices): flag foreign 0 % lines with reverse charge switched off A foreign supplier charging no Swedish VAT is normally omvand skattskyldighet. With the reverse-charge switch off, createSupplierInvoiceRegistrationEntry emits neither the 26x4 output leg nor the 44xx/45xx basis lines, so ruta 20-24, 30-32 and 48 all stay empty and the momsdeklaration takes a shape Skatteverket rejects. For a fully deductible purchase the net moms att betala is unchanged, which is exactly why this goes unnoticed. The form already auto-ticks reverse charge for eu_business but not for non_eu_business, so that path slips through silently. Adds a pure helper plus a non-blocking banner cloned from the existing rc_account_warning block. Deliberately silent for swedish_business, where 0 % is a genuine exemption that belongs in no ruta at all, and phrased as a question rather than an assertion: a non-EU goods purchase cleared at customs is legitimately 0 % without reverse charge, and pushing that user into ticking the switch would manufacture a new wrong verifikat. Does not add the exempt/import/other picker the issue proposes: supplier_invoices.vat_treatment is metadata that no booking or ruta mapping reads, and the codebase cannot book import VAT at all, so an import option would imply ruta 50/60 were handled when they are not. Refs #1042 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(supplier-invoices): name the local-VAT case in the foreign 0 % hint Review flagged that the most common foreign document a Swedish small company sees is an invoice carrying the supplier's OWN local VAT, booked at 0 % Swedish VAT with reverse charge correctly off. The banner fires there, and the previous copy only offered "momsfri av annat skal, till exempel en varuimport" as the way out, which does not describe that invoice at all: it is not VAT-free, it carries foreign VAT. Names both legitimate cases explicitly and says 0 % is correct in them, so the hint cannot read as an instruction to tick reverse charge on a purchase where that would produce a wrong verifikat. Title also narrowed to "utan svensk moms" for the same reason. Refs #1042 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> * feat(sandbox): call the sandbox assistant Assistenten, not Anna (#1244) A named persona earns its name once someone has been through onboarding and chosen it: it is their assistant and they named it. Nobody in the sandbox chose anything, so a first name reads as a character the product invented and implies a relationship the visitor never opted into. Both halves move together, which is the point. profile_summary is the agent's own self-description inside the system prompt, so leaving it as "Du är Anna" would have the header say one thing while the assistant introduces itself as another in its first sentence. Nothing else in the stack checks that pairing, so a test now does. Scope: this changes the seed, so new sandbox companies get the new name. The 483 sandbox profiles already seeded keep 'Anna' (the seeder returns early once a profile exists, and its caller only runs while verified_at is null). Backfilling those is a production write on demo data and is being raised separately rather than smuggled into a code change. Co-authored-by: Claude Opus 5 <noreply@anthropic.com> * feat(reports): show the last posted voucher per series in report headers Adds a "Senaste bokforda verifikat: A 214, B 37" line to the balans- and resultatrapport, so a printed or exported report answers which vouchers are actually in it rather than only which dates it spans (#1267). Reads MAX(voucher_number) over posted entries, never voucher_sequences.last_number. The sequence counter is an allocation high-water mark that drifts from the books in both directions: next_voucher_number burns a number when the follow-up insert fails, delete_last_voucher decrements by one instead of resetting to the new MAX, and pre-RPC SIE imports left it behind. Since the point of the line is avstamning, an allocated number would send a reconciler chasing a gap that does not exist, so the label says plainly that the number is the posted one. Scoped to the report own date range, so a Q1 report printed in November says something true about Q1. The balansrapport keeps the fiscal-year start as its lower bound because it accumulates. Skipped on a dimension-filtered resultatrapport: that report already discloses it is partial, and an unfiltered voucher range beside a filtered result invites the wrong conclusion. Populated in both engines, so the JSON, PDF and XLSX routes all inherit it without signature changes. Best-effort: a header nicety never breaks a report. The pure formatter lives in its own module so the client view does not pull the Supabase query path into the browser bundle. No new i18n keys; both report views and the PDF template are hard-coded Swedish per the "stays Swedish" report surfaces in .claude/rules/i18n.md. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(customers): stop rendering personnummer ciphertext, make unreadable rows editable, add a reveal path (#1263) customers.personal_number holds AES-256-GCM ciphertext (20260726110000). Three defects compounded into one broken surface for private customers. The list queried Supabase from the browser with select('*') and rendered the raw value, 76-82 chars of hex, into the nowrap identifier cell. It now reads GET /api/customers, which already masks every row, so the ciphertext never leaves the server. Searching by personnummer works again: the client filter had been matching against ciphertext and could never hit. A row whose value cannot be decrypted renders as the placeholder '********-????'. None of the three mask checks recognised it, each having its own '-1234'-only copy, so such a customer could not be edited in ANY field: name and address edits 400'd on a personnummer the user had no way to correct. All three now share one pattern from the new crypto-free lib/customers/mask-personal-number.ts, which the client form can import. Typing a fresh personnummer overwrites the unreadable value, which is the only repair possible: the rejected writes failed whole INSERTs, so there is nothing to backfill. The value was write-only by construction. GET /api/customers/{id}/personal-number is the deliberate drill-in, mirroring the employee convention, gated on the write role because .compliance/ropa.yaml listed no_full_value_read_endpoint as a safeguard for this column; that entry is rewritten rather than left stale, and reveals log actor and customer id but never the value. Also: arcim-migration wrote the identity number as plaintext, which aborts any import containing a Privatperson with 23514 since the constraint flip; and the customer embeds on /api/invoices shipped ciphertext to the browser on every invoice read. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * feat: enhance ruta 05 handling for dynamic revenue accounts - Introduced `fetchDynamicRuta05Accounts` to fetch company-specific revenue accounts marked with a VAT rate, addressing issue #1261. - Updated VAT declaration logic to include these dynamic accounts in ruta 05 calculations, ensuring accurate reporting for user-added accounts. - Modified `ACCOUNT_RUTA` to include account 3000 for completeness in ruta 05. - Enhanced tests to validate the inclusion of user-added revenue accounts in ruta 05 and ensure correct VAT calculations. - Seeded default VAT rates for BAS revenue accounts to ensure proper classification in the VAT declaration. * fix: enhance data handling and masking in customer and invoice APIs * fix(vat): resolve the 3000 gruppkonto's rate for the ruta 05 base split 3000 "Forsaljning inom Sverige" is mapped to ruta05 by ACCOUNT_RUTA, so a balance on it is filed in the right box already. What was missing is the rate split: unlike 3001/3002/3003 the account number carries no sats, and fetchDynamicRuta05Accounts skipped it because it is in ACCOUNT_TO_BOX. A company posting to the gruppkonto therefore got a ruta 05 total that breakdown.invoices.base25/12/6 did not add up to. Surface those rates separately as staticRateByAccount: rate-only on purpose, because the static map already sums the account and adding it to the dynamic account list would double the filed figure. A test pins that single-count property. Also add 3000 to the MCP server's RUTA_05_ACCOUNTS, which is the display list behind report.rutor.ruta05: without it a 3000 balance appeared in the filed projection but not in the report the agent reads back. The comment claiming SALES_OUTPUT_VAT_SHORTFALL reads base25/12/6 was wrong and is corrected. That check derives its expected base from the output-VAT rutor (ruta10/0.25 + ruta11/0.12 + ruta12/0.06); nothing reads the per-rate bases, which are reporting metadata. So the incomplete split never affected a filed return or a warning, only the breakdown. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> Co-authored-by: Jakob Wennberg <149234542+jakobwennberg@users.noreply.github.com> |
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f8033cb32d |
fix(transactions): bind manually-fed transactions to a cash account (#1016) (#1017)
* fix(transactions): bind manually-fed transactions to a cash account (#1016) create_transactions inserted rows with cash_account_id = null, so ledger accounts fed via MCP/CSV without a PSD2 feed (e.g. 1935 Wise SEK) had no kassakonto: get_reconciliation_status 404'd with "Okänt kassakonto" and the "Matcha mot befintlig verifikation" dialog fell back to 1930. No schema change: cash_accounts.bank_connection_id is already nullable and source='manual' already exists (every company is seeded a manual 1930). This is the creation-side leg of the #985-#987 root cause: the resolution chain was fixed, but manually-fed accounts never got the cash_account_id link. - Add ensureManualCashAccount (lib/cash-accounts/service.ts): find-or-create a manual (source='manual', bank_connection_id=null) cash_accounts row for a ledger slot, tolerating the (company_id, ledger_account) UNIQUE race. - Add an optional ledger_account hint (^19xx) to gnubok_create_transactions; commitCreateTransaction resolves/creates the manual account and sets cash_account_id on the inserted row. Reconciliation and voucher matching then resolve the real account unchanged. Forward-looking; historical cash_account_id=null remediation stays in #1001. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> Signed-off-by: Alexander Reinthal <email@reinthal.me> * fix(cash-accounts): guard ensureManualCashAccount against currency mismatch (CodeRabbit #1017) The existing-row lookup matched only on (company_id, ledger_account) and returned the row id ignoring currency, so a SEK transaction hinting at a ledger already claimed for USD would bind to the wrong-currency cash account. Since that pair is UNIQUE (one currency per ledger), a mismatch is a real conflict: throw instead of silently mis-binding. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> Signed-off-by: Alexander Reinthal <email@reinthal.me> --------- Signed-off-by: Alexander Reinthal <email@reinthal.me> Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> Co-authored-by: Jakob Wennberg <jakob.wennberg@gmail.com> |
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2c5e1ce317 |
fix(enable-banking): release ledger claims on disconnect so reconnect lands on the original account (#916) (#955)
Disconnecting a bank left its cash_accounts rows pointing at the revoked connection, so the BAS slot (e.g. 1930) looked taken forever: reconnecting the same bank was shunted to 1939 and the picker save was rejected with a 400 the user never saw. Four coordinated fixes: - DELETE /disconnect now demotes the connection's cash_accounts rows to manual (bank_connection_id = null) after marking the connection revoked. Rows are never deleted: transactions.cash_account_id and ledger history reference them, and upsertFromPsd2 promotes manual holders in place on reconnect. - findFreeLedgerAccount and the PATCH /accounts collision guard no longer count claims held by revoked connections (new getRevokedConnectionIds helper). This is the self-heal path for rows orphaned before this fix: no manual data repair needed. - upsertFromPsd2 promotes a holder row owned by a revoked connection in place (same as the manual seed row), keeping the row id stable so the ledger's transaction history stays attached. A duplicate row for the same connection+uid on an overflow slot (mirrored there by the callback while the slot was wrongly blocked) is merged: deleted when it has no linked transactions, demoted to manual otherwise. Either way a primary duplicate hands the flag to the promoted row, so the __PRIMARY_SEK__ sentinel never resolves to a deleted or stale manual row. The linked-transactions probe is company-scoped (defense in depth on the service-role client). - AccountPickerDialog surfaces rejected saves inline in the picker with the picks intact instead of routing them into the sync-progress modal. It also stops signaling the parent to close before the request resolves: the parent unmounts the whole component on close, which tore down the progress modal mid-flight and made every save outcome (including the 400) invisible. Tests: allocator revoked-exclusion + promote/merge unit tests in lib/cash-accounts, PATCH self-heal case in accounts-route.test.ts, and a new disconnect-route.test.ts covering claim release and its failure mode. Fixes #916 Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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2c2743eb79 |
Check/salary bankid api (#892)
* fix(bankid): harden login/signup flow — polling, signup rollback, metadata merge, enrichment lookup - middleware: read BankID enrichment from the bankid_enrichment table (the extension_data path has been dead since the multi-tenant refactor), so company-less BankID users land on /select-company instead of the manual wizard - BankIdAuth: hard 6-min poll deadline; every failed poll counts toward the give-up limit; guard overlapping ticks so completion runs exactly once (a double /complete regenerated the magic link and invalidated the first, failing logins intermittently); retry clicks wait out the start cooldown instead of silently no-oping; Swedish messages for 429/unknown start errors - bankid/complete: all-or-nothing signup — delete the created user when the identity insert, app_metadata update, or magic-link generation fails, so a retry starts clean instead of hitting account_exists with an unusable account - bankid/unlink: read-merge-write app_metadata so has_password survives unlink (BankID-only users could otherwise strand themselves with no login method) - login: BankID "create account" CTA now links to /register instead of dismissing the notice; sv.json: fix missing å/ä/ö in settings_bankid strings Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * docs: move secondary guides into docs/, delete dead root files Move DOCKER.md, SELF-HOSTING.md, WHITELABEL.md and extensions.md (renamed EXTENSIONS.md) into a new docs/ folder and update all path references (README, setup.sh, .dockerignore image rules, docker-publish workflow comment, _example-branding, lib/branding/service.ts). Delete two dead root files: customer.json (stray API-test payload) and findings.md (point-in-time swarm audit export, criticals already filed). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> Signed-off-by: Emil <emilmattsson14@gmail.com> * fix(api): security & correctness hardening + withRouteContext MFA migration across API routes Audit of ~100 app/api routes. Highlights: Security - agent/conversations: list leaked colleagues' titles + message previews (company-scoped RLS, no user filter) -> user-scoped - calendar/feed PUT: raw body into .update() allowed feed_token fixation on a public unauthenticated URL -> strict schema, content toggles only - bokslutsdispositioner: unbounded schablonintaktRate could inflate the IL 30 kap 25% periodiseringsfond cap base -> bounded - agent profile/composer/onboarding: viewers could rewrite the agent profile while sibling /verify blocked them -> role-gated Correctness - account-totals / listAssets: unbounded queries silently truncated at 1000 rows (under-counted money; skipped assets at year-end depreciation) -> fetchAllRows with stable order (+3 more pagination fixes) - voucher-gaps: swallowed detect_voucher_gaps RPC errors (BFNAR gap view could show "no gaps" when the check never ran) -> surfaced - 5 phantom-success writes (OK on zero matched rows) fixed - assets K3 component-sum validated against stale acquisition_cost -> fixed - invite silent email-send failure -> response carries email_sent; deadlines/calendar cast-then-check JSON crashes -> Zod Convention - ~44 legacy routes converted to withRouteContext (MFA); added Zod validation, corrected status codes, console.* -> lib/logger Response shapes preserved for existing callers. ~110 new tests. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(bookkeeping): save a booking as a reusable template from Bokför direkt Add a "Spara som mall" action to the manual booking dialog so users can capture a kontering they just worked out as a booking template — right where they figured out how something should be booked. - derive amount-parameterised template lines from the concrete booking (settlement = the non-VAT leg nearest the total, 26xx = a VAT line with its rate snapped to the nearest standard rate, the rest = business ratios; line labels come from the loaded BAS chart) - extract the shared TemplateForm out of BookingTemplatesPanel so the booking dialog reuses the same editor, live preview and convertibility hints instead of duplicating them - save via the existing POST /api/settings/booking-templates endpoint Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(bokslut): render arsredovisning RR/BR at ÅRL post level — no kontonummer Bolagsverket rejected a user's filed årsredovisning with "Balansräkning och resultaträkning ska inte innehålla kontonummer": the PDF built every statement row as per-account "1930 Företagskonto" lines while the iXBRL filing path already aggregated to statutory posts, so the two artifacts diverged. The PDF statements now derive from the same K2 risbs mapping the iXBRL document uses (mapTrialBalancesToK2), via a new statement-rows.ts that emits post-level rows in uppställningsform order for both the K2 and K3 templates. Also fixed along the way: - Jämförelseår column (ÅRL 3:5 §) — previous-year trial balances now load and render; the old PDF had no comparatives at all. - mapping.warnings (unmapped accounts, RR ≠ 2099, obalans, reclass nudges) flow into ArsredovisningData.warnings so the wizard flags a non-fileable document before download. - Flerårsöversikt current/previous year overridden with the mapper's strict-3000–3799 Nettoomsattning, mirroring build-input's duplicate-fact rule, so the FB table ties to the RR. - FB eget kapital-table is post-level and drops obeskattade reserver (never eget kapital); K3 equity-changes statement uses real prior-year opening balances with derived utdelning/nyemission residuals that tie the roll-forward exactly to booked UB. - build-input dedupes warnings now that the PDF path runs the same mapping. Regression test asserts no RR/BR label ever contains a four-digit account number again. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(reports): diagnose untransferred prior-year results behind balance-sheet differens Prod incident (97 kr): a multi-year SIE migration lacked one year's omforing av arets resultat; the residual corrupted every later derived opening balance and Balansrakningen showed a bare "Differens: 97 kr" with no explanation. Continuity checking cannot catch this failure mode (prior-year UB and derived IB match per-account by construction) - the invariant that actually breaks is per-year P&L = 0 for all non-latest years. - lib/reports/imbalance-diagnosis.ts: shared detector (findUntransferredResults + buildImbalanceDiagnosis) - Balansrakning/Balansrapport attach imbalance_diagnosis when unbalanced, naming the exact culprit years; rendered in web views + PDF; MCP gnubok_get_balance_sheet inherits the field via spread - SIE import: parse-time warning when a completed year's vouchers leave a P&L residual, plus a post-import DB walk surfacing culprits as warnings and structured details.untransferredResults; the Arcim migration workspace previously dropped result.warnings entirely and now renders them - opening-balance/correct: pre-flight the company lock date and return 409 OB_COMPANY_LOCK_DATE (retryable: false, lock date interpolated in the client message) instead of the retryable 500 that invited blind retries; catch-path maps a raced trigger rejection to the same code Diagnosis runs only on unbalanced paths (zero cost when healthy) and never fails the report or the import. No migration, nothing persisted. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix: production error remediation — FX rates, deadlines, log levels, correction relink Batch of fixes for recurring Vercel runtime errors: - Riksbanken FX rates: persistent read-through cache (exchange_rates table), one retry honoring Retry-After on 429/5xx, bounded ingest concurrency, and an honest fallback — most recent cached observation or null, never a hardcoded rate silently booked into amount_sek. Unrated transactions stay repairable via refresh-exchange-rate. - Tax deadline regeneration inserts replacement rows before deleting the superseded set, so a failed insert no longer wipes a company's deadlines (the 23502 user_id regression did exactly that). Migration makes deadlines.user_id nullable for system-generated rows. - Route wrappers + errorResponse log 4xx outcomes at warn so only genuine 5xx reach Vercel's runtime-error clustering; client-supplied /api/log telemetry demoted to warn as well. - application/json documents (raw PSD2 responses archived per BFL) validate as parseable JSON with object/array root instead of always failing the magic-byte check. - correctEntry surfaces document-relink failures to callers, and the BFL document-immutability trigger now allows relinking underlag from a reversed entry to its correction (migration + pg test). - Middleware clears stale session cookies on /api requests too, using scope 'local' so cleanup doesn't re-trigger the failed token refresh. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(skatteverket): persist token health and stop retrying dead consents Terminal auth errors (SESSION_EXPIRED, REFRESH_EXHAUSTED, MISSING_SCOPE, TOKEN_CORRUPTED) mark the token row needs_reconsent with the error code and timestamp — SKV per-flow refresh tokens live 65 minutes, so once expired nothing recovers without a fresh BankID consent. The AGI kvittens and skattekonto sync crons skip flagged connections instead of failing every night, and the settings panel prompts for re-consent proactively. A successful reconnect resets the row to active. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(banking): allocate distinct BAS ledger slots for PSD2 mirror accounts A bank returning N same-currency accounts used to map them all onto the currency default (1930/1932/1933/1934), tripping the UNIQUE (company_id, ledger_account) constraint per-account — swallowed errors left accounts silently unmirrored. allocatePsd2LedgerAccount now hands out the currency default first, then free 1931–1959 sub-account slots, skipping slots held by any existing row. - Callback persists allocations to accounts_data so the picker pre-fills reality; reconnect reuses previously mirrored ledgers instead of re-deriving (a user remap to 1935 survives). - Selection save resolves effective ledgers up front and rejects duplicates or cross-connection conflicts with a 400 instead of silently skipping the mirror. - Bank error codes + psu_type are forwarded to the settings page for every OAuth error, keying the Handelsbanken corporate fullmakt guidance. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(agent): stage exact journal lines on categorization previews Categorization previews only carried debit/credit accounts, the GROSS amount, and separate VAT rows — read together that looks like an unbalanced 'gross on cost account + VAT debit' entry, and it misled both users and agents into rejecting correct proposals. The MCP preview and the pending-operation PATCH now materialize the exact lines the commit executor will post (net cost line, VAT line, gross bank line, SEK) via buildTransactionEntryLines, and PATCH re-derives them from the new mapping instead of spreading stale staged lines. ApprovalCard and /pending render the verifikat lines, falling back to the legacy summary only for operations staged before this fix. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(bookkeeping): prune unused imported accounts from the chart SIE imports routinely bring in hundreds of accounts that were never used and clutter the kontoplan. New account_usage_counts RPC (one grouped query instead of a count per account) backs GET /api/bookkeeping/accounts/usage, and POST /api/bookkeeping/accounts/prune deletes zero-usage accounts — dry-run first, then an explicit account list capped at 2000. Accounts with journal lines are skipped, never deleted. The chart manager shows a usage column and a prune dialog grouping custom accounts vs unused BAS-seeded ones. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(api): carry dimensions through v1 invoice and supplier-invoice surfaces Credit-note creation now copies default_dimensions and per-line dimensions from the original, so the reversing journal entry nets against the same dimension cells instead of dropping them. List/detail responses expose the dimension fields, and the OpenAPI spec snapshot follows. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * perf: batch serial Supabase round-trips on hot dashboard paths Every dashboard render pays the layout's query chain, so serialized awaits are direct wall-clock: the layout, chat conversation, invoice detail, supplier detail, select-company, and agent-onboarding pages now run their independent lookups in parallel batches, and getCompanyCapabilities folds its disabled-config read into the same round-trip. JournalEntryList hydrates the saved fiscal-year scope optimistically instead of serializing the first entries fetch behind the fiscal-periods request. The supplier detail page filters invoices server-side via a new supplier_id query param instead of fetching the whole company ledger, and the invoice editor (with its framer-motion dependency) lazy-loads so it stops shipping with the invoice list bundle. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(salary): one-click runs, payslip delivery, payments settings, run cockpit Salary P1 batch, driving the 20-click flow toward 3 clicks: - One-click 'Starta lönekörning': POST /api/salary/runs accepts an empty body and resolves defaults server-side — period follows the latest non-corrected run, payment date from the new salary_pay_day setting, series from the per-source-type map. The separate /salary/runs/new page is gone. - Run detail page rebuilt as a step-railed cockpit (progress rail, KPI cards, employee ledger, journal preview) on a deliberately wider canvas; components extracted to components/salary/run/. - Payslip delivery: tokenized public payslip pages (/payslip/[token], backed by salary_payslip_links) plus per-employee email send with PDF — employees need no account, and the middleware exempts the route from auth redirects. - Payments settings: salary pay day, default bank, and pain.001 vs Bankgirot Lön format with per-bank upload instructions and an LB sunset warning (banks retire LB during 2026). - AGI panel: full submission status flows (stale drafts, signing links, kvittens polling, error reports); tax payment panel with skattekonto shortcut and mark-as-paid. - Salary calendar bulk editing, employee benefits/tax-card polish, municipality tax-table lookup improvements. messages/sv+en also carry the strings for the account-prune, skatteverket-reconsent, and banking surfaces committed just before this. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * chore: adopt Next 16 proxy.ts convention + repo housekeeping - Rename middleware.ts to proxy.ts with the proxy() export (Next 16 renamed the middleware convention; behavior unchanged). - Exclude dev_docs/ from tsconfig so stray snippets in planning docs don't break the build type-check. - Ratchet antipatterns-baseline down (raw-route-auth 165 → 119) to lock in the withRouteContext migration from 5cfd2b76. - template-library uses roundOre() instead of inline rounding. - database.md: drop account_balances from the key-tables list. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(bookkeeping): robust service-role detection in correction document relink relink_documents_to_correction() keyed its service-role branch on auth.role(), which reads the singular request.jwt.claim.role GUC that PostgREST v10+ and the pg-real harness no longer populate. Genuine service-role callers (pending-ops executor / MCP approve) landed in the auth gate and could not relink underlag. Read the role from the request.jwt.claims JSON directly, mirroring the canonical link_voucher_rpcs_tenant_guard convention. Validated on staging. Also: harden the salary run page's error paths (res.json().catch) against non-JSON error bodies, and roll back the pg-real service-role case in finally so an aborted transaction cannot poison a pooled connection for the next test. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(documents): restore journal_entry_line_id link durability (BFL 7 kap) Migration 20260704103000 rewrote enforce_document_journal_entry_immutability to guard journal_entry_id but left journal_entry_line_id to the metadata trigger, which exempts draft-linked docs -- and the entry-level trigger only fired on UPDATE OF journal_entry_id, so a line-id-only UPDATE never invoked it at all. That let a set journal_entry_line_id be cleared to NULL, breaking the "link durable from first set" invariant (document-immutability.pg regression). Widen the trigger to fire on journal_entry_line_id too and guard it with the same uuid-durability rule as journal_entry_id (setting NULL -> uuid stays allowed; clearing/re-pointing a set value is blocked, status-independent). The correction-relink GUC path, which legitimately clears line_id when moving underlag to the posted correction, stays exempt. Validated on staging. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Signed-off-by: Emil <emilmattsson14@gmail.com> Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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ec27228a8e |
style: remove em/en dashes repo-wide, add CLAUDE.md rule against them (#890)
Em dashes (—) and en dashes (–) had spread across comments, docs, tests, and a few UI strings, reading as AI-generated boilerplate rather than house style. Replaced each with punctuation matching its context: colon for explanatory clauses, comma for asides, plain hyphen for numeric/legal ranges (e.g. "21-23§"), "to"/"till" for date ranges, parentheses for paired-dash asides. messages/en.json and messages/sv.json were fixed by hand together to keep sv/en in sync. Left untouched where the dash is the functional subject rather than decorative punctuation: date-range-parser.ts's separator regex, charset-repair.ts's CP1252 byte-mapping table (and its test), the SIE encoding mojibake docs, generic-csv.ts's minus-sign normalizer, the agent system-prompt files that already instruct against em dashes, and a golden iXBRL test fixture compared byte-for-byte. Also fixes two bugs surfaced along the way: an off-by-one in ApiKeysPanel's scope-label split (a leftover from an earlier partial pass), and a charset-repair test that had lost the literal en-dash it exists to verify. Regenerated the agent atom seed migration (skills:generate) since 27 SKILL.md files changed. Added a CLAUDE.md rule against em/en dashes, with an explicit carve-out for the functional-dash cases above. Co-authored-by: Claude Sonnet 5 <noreply@anthropic.com> |
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a3491b6d89 |
fix(transactions): resolve bank account from cash_account_id in bulk-book and direct-book dialogs (#770)
Follow-up to #769: applies the same fetch-on-open + resolveAccount pattern to BulkBookDialog (manual tab bank-leg pre-fill) and BookDirectlyDialog (settlement line in buildPrefillLines). Both dialogs now fetch /api/cash-accounts when they open, gate the pre-fill on the fetch resolving, and resolve the correct BAS ledger account per transaction instead of always emitting '1930'. Adds lib/cash-accounts/resolve-account.ts (cherry of the utility from #769) since that PR is not yet merged into main. Signed-off-by: Jonas Flodén <jonas@floden.nu> |
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a586cc8a58 |
feat(transactions): show all library templates in picker; fix PSD2 seed-row collision (#596)
* feat(transactions): show all library templates in picker; fix PSD2 seed-row collision - Booking template picker: surface every active library template, not only the convertible 2-account shapes. Multi-leg/complex templates route to the manual journal editor pre-filled via applyTemplate instead of being hidden. Drop direction filtering for user templates (inferred direction is unreliable); the curated static catalog still respects it. Add an "Aktivera och bokfor" recovery toast for TX_CATEGORIZE_INVALID_ACCOUNT mirroring the existing ACCOUNTS_NOT_IN_CHART flow. CreateTemplateForm reflows to one card per line so trash buttons stop colliding on narrow screens. - cash_accounts.upsertFromPsd2: the seed_default_cash_account migration plants a manual (bank_connection_id IS NULL) row on the same ledger_account, so the first PSD2 sync's upsert on (company_id, bank_connection_id, external_uid) cannot match it (NULL != NULL) and falls through to INSERT, tripping the (company_id, ledger_account) UNIQUE constraint. Look up and promote the seed row in place first. - Tests: pin the TX_CATEGORIZE_INVALID_ACCOUNT error shape the recovery toast parses; cover applyTemplate on shapes the converter rejects (split-expense and all-'business'-typed). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(transactions): PR review — currency metadata, MRU ordering, observable promote, BAS validation - TransactionBookingDialog.buildInitialLinesFromTemplate: attach buildCurrencyMetadata to settlement lines for foreign-currency transactions so the journal entry retains the original currency, amount, and exchange_rate. Without this, non-SEK transactions routed through a non-convertible template were recorded in SEK only with no foreign-currency annotation. (Greptile #2) - TemplatePicker.handleSelectLibraryRaw: only bump the MRU after confirming the click will actually do something (i.e. converted OR a callback is wired). Future consumers that omit onPickLibraryTemplate would otherwise corrupt MRU ordering for templates the user never successfully applied. (Greptile #1) - cash_accounts.upsertFromPsd2 promote-seed: add .select('id') so a zero-row UPDATE is observable. If the seed row vanishes between the SELECT and UPDATE (concurrent ops), fall through to the normal upsert instead of silently returning success without persisting anything. (Greptile #3, compliance A.8.9) - transactions/page.tsx TX_CATEGORIZE_INVALID_ACCOUNT toast: validate accountNumber against /^\d{4}$/ before embedding in any fetch URL/body. Defense-in-depth against a malformed server error envelope. (compliance V8.2.1) - categorize route test: switch the not-in-chart fixture from '4535' (Inköp av varor från annat EU-land — reverse-charge) to '5420' (Programvaror) so the example doesn't imply a domestic override against an EU-reverse-charge account would be valid without its paired moms legs. (Swedish compliance review #3) Other review items deliberately not addressed in this PR: - Validate-on-save that every VAT-rated template has a 'vat' line — overrides existing CreateTemplateForm UX, separate PR. - vat_rate enum guard in applyTemplate — defensive; the editor dropdown only surfaces legal rates and is the only write path in production today. - Imbalance UI warning — already handled: JournalEntryForm computes isBalanced and gates submission; DB trigger check_journal_entry_balance enforces BFL 5 kap server-side. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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8a6ce7093e |
feat: implement skattekonto drift detection and alerting (#525)
* feat: implement skattekonto drift detection and alerting - Add skattekonto drift computation logic to compare Skatteverket's saldo with GL 1630 sum. - Implement alerting mechanism for significant drift changes, with throttling to prevent alert spamming. - Introduce database functions to sum GL 1630 entries and list unbooked skattekonto rows. feat: create own account transfer detection - Develop logic to detect transfers between a company's own cash accounts based on counterparty IBAN. - Implement tests to validate detection logic under various scenarios, including matching and non-matching IBANs. feat: establish cash accounts as a first-class entity - Create cash_accounts table to manage routable cash accounts, replacing ad-hoc JSONB structures. - Implement functions for listing, upserting, and managing cash accounts, including primary account designation. feat: enhance GL line reconciliation functionality - Modify get_unlinked_1930_lines RPC to accept any account number for reconciliation, improving flexibility for different currencies. - Update related functions to ensure compatibility with the new cash_accounts structure. feat: capture counterparty IBAN in transactions - Add counterparty_iban column to transactions table to facilitate intra-account transfer detection. - Create index for efficient lookups based on counterparty IBAN. * feat: Enhance cash account handling and reconciliation processes - Updated reconciliation routes to enforce cash account validation for all account numbers, including '1930'. - Improved error handling for unknown cash accounts in reconciliation status and unmatched entries routes. - Changed CashAccountSelector to use sessionStorage instead of localStorage for better data privacy. - Fixed mapping for employer payroll taxes to route to the correct account (2730 instead of 2731). - Added safety checks for company IDs in the guessCounterAccount function to prevent injection vulnerabilities. - Introduced atomic RPC for setting primary cash accounts to avoid intermediate states during updates. - Seeded default cash accounts for new companies to ensure reconciliation routes are accessible from day one. - Updated email notifications for drift detection to avoid exposing sensitive financial data. - Enhanced bank reconciliation logic to handle multi-currency transactions correctly. - Renamed and updated tests to reflect changes in the underlying RPCs and ensure accurate coverage. - Migrated existing cash account rules to correct mappings in compliance with Swedish accounting standards. |