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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
MattssonandClaude Fable 5.1 1c82baf553 feat(invoices): offert (quote) document type with own OF-series, decisions, conversion, MCP and v1 (#2163)
* fix(invoices): reminders, AR ledger, AR reconciliation and deadlines only read fakturor

The overdue-reminder run, the kundreskontra, the 1510 reconciliation and the
deadlines page selected invoices by status alone. A sent proforma past its
due date was chased with a betalningspaminnelse and flipped to 'overdue',
and it appeared as a receivable. All four now filter document_type =
'invoice', which is also the precondition for adding quotes (offert): a
quote carries a date but never a receivable.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01W45yD8NfQ97JhyYaXpzN56

* feat(invoices): offert (quote) document type with its own OF-series, decisions and conversion

Adds document_type 'quote' with valid_until, quote_status (open / accepted /
declined; expired is derived from valid_until, never stored) and
quote_decided_at. Quotes are numbered OF-nnn at insert from
company_settings.next_quote_number via generate_quote_number(), the same
pattern as delivery notes, so a declined quote never leaves a hole in the
F-series the way a proforma does. The column next_quote_number already
existed on prod and staging without a migration; the migration adopts it.

Engine: build-invoice-write writes the quote columns and keeps
remaining_amount at 0; the draft editor refuses accepted or declined
quotes; PATCH refuses changing a quote's or delivery note's document type
since the number belongs to the series; mark-paid refuses quotes.

New POST /api/invoices/[id]/quote-status records the decision and locks
once an invoice exists. Conversion is extracted into
lib/invoices/convert-to-invoice.ts (one implementation for the route and
the MCP staged commit, which had drifted): a converted quote stays and
flips to accepted, the invoice links back via converted_from_id and gets
its due date from the customer's payment terms; a declined or already
invoiced quote is refused. next-number previews the OF-series for quotes.

Migration applied to the staging branch and registered as 20260902140000;
the pg test runs in CI (pg-real).

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01W45yD8NfQ97JhyYaXpzN56

* feat(invoices): quote PDF, email and filename surfaces

The customer-facing surfaces get a quote sibling for every proforma branch:
PDF title OFFERT / QUOTE with Offertdatum and Giltig till instead of the
due date, a notice that the document is not an invoice or a payment
request, and no payment box, OCR, bankgiro, Swish, QR or payment link.
The email says the quote is attached and valid until the expiry, drops
the payment details and pay-online button, and asks about the quote
rather than the invoice. Filenames read "Offert nr OF-001". Seller VAT
number and payment accounts are skipped for quotes as for proformas:
a quote is not a faktura under ML 17 kap.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01W45yD8NfQ97JhyYaXpzN56

* feat(invoices): offert in the editor, list and detail pages

Editor: "Offert" document type with a required "Giltig till" field
(default today + 30 days) in place of the due date; the wire body mirrors
it into due_date so the shared schema is satisfied. Payment link, ROT/RUT,
periodisering and the bank box are already gated on real invoices. The
type cannot be switched on an existing quote (its OF-number belongs to
the series).

List: an Offerter tab beside Proforma, "Ny offert" in the split button,
and a status column that shows the decision or the derived expiry:
Utgången and Avböjd are exception chips, Öppen and Accepterad muted text.

Detail: Acceptera and Skapa faktura in the header, Avböj in the overflow
menu; an expired quote asks before accepting or invoicing (bypassable);
once an invoice exists the page links to it as Fakturerad and hides the
decision actions. Strings in both sv and en.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01W45yD8NfQ97JhyYaXpzN56

* feat(mcp,v1): expose offert on the MCP tools and the v1 REST surface

MCP: create_invoice takes document_type quote with a required valid_until
and allocates the OF-number at insert; the convert tool keeps its id and
accepts quotes with the registry refusal codes; new set_quote_status;
list_invoices and get_invoice expose valid_until and the effective quote
status, including a derived expired filter. The tools/list payload stays
under its ceiling without a ledger change. The MCP staged convert now
uses the shared converter.

v1: POST /invoices/{id}/quote-status (registered in the endpoint registry,
scope map and route loader), valid_until and quote_status in the list,
create and detail shapes, and a quote_status list filter. Skill atoms
mention offert. Decision log lines for the own number series, derived
expiry, accepted-not-cancelled conversion and the header action layout.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01W45yD8NfQ97JhyYaXpzN56

* test(invoices): pass route params and period id in the new quote tests

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01W45yD8NfQ97JhyYaXpzN56

* refactor(invoices): literal update payloads in the converter so the phantom-column guard can read them

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01W45yD8NfQ97JhyYaXpzN56

* fix(invoices): close the quote review findings in one pass

Skeptics (correctness, compliance, regression) and CodeRabbit on #2163:

- quote_status is no longer a write-builder output, so a v1 PATCH or MCP
  update_invoice can never reset a recorded accept/decline; new quotes are
  opened by the invoices_quote_defaults trigger (20260902141000), which
  also keeps due_date and valid_until equal. v1 PATCH and the MCP update
  executor now use the shared editable-draft predicate.
- One live invoice per converted source, enforced by a partial unique
  index; the converter maps 23505 to INVOICE_QUOTE_ALREADY_INVOICED and
  both quote-status routes compare-and-set on the decision they read.
- MCP-created quotes carry remaining_amount 0; mark-paid, transaction
  match and voucher link refuse non-invoices on the MCP staging tools,
  the executors and the dashboard link route.
- Conversion of a foreign-currency source refetches the rate for the
  conversion day (ML 8 kap 21-23 paragraphs) and fails closed without one;
  0-day payment terms mean due on receipt.
- bulk-create refuses quotes per item; list_invoices rejects a
  quote_status filter combined with another document_type; an omitted
  document_type on PATCH means unchanged.
- attention, push notifications, open-AR count, FX revaluation, year-end
  and accrual auto-detect and bank-match suggestions only read fakturor.
- Quote PDF and email print Summa / Total instead of Att betala.
- Regenerated skills/accounted-api for the new v1 endpoint.

Declined with reasons in DECISIONS.md: NOT VALID + VALIDATE and CONCURRENTLY
on the migrations (repo precedent, 13.8k rows, transactional apply);
re-validating VAT treatment at conversion (the converted invoice is a
draft the user reviews; follow-up).

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_0111fYAUxKtpxU1BHiBioqzs

* fix(invoices): second review round: migration versions, order links, batch allocation, races

- Migrations renamed to 20260902220000 / 20260902221000: #2166 shipped its
  own 20260902141000 to prod while this PR was in review and prod's head
  moved past both files; below-head versions are skipped by branching,
  which would have left the quote trigger off prod. Staging rows renamed.
- Quote lines never carry sales_order_item_id (an offer must not count as
  invoiced kundorder quantity); the converter carries a proforma line's
  order link onto the invoice.
- Converter compare-and-sets the source (proforma cancel, quote accept):
  a concurrent cancel, proforma-to-order conversion or decision removes
  the orphan invoice with INVOICE_CONVERT_SOURCE_CHANGED instead of a
  second document for the same sale.
- MCP set_quote_status gets the same compare-and-set as the HTTP routes;
  0-row updates report INVOICE_QUOTE_CHANGED_CONCURRENTLY everywhere.
  quote-status (dashboard, v1, MCP) accepts valid_until so an expired
  sent quote can be reopened, as the docs promised.
- MCP mark-paid refuses only quotes, parity with the dashboard route
  (a sent proforma marked paid is a supported prepayment record).
- Batch allocation (dashboard route and MCP tool) refuses non-invoices
  before the RPC, which gates on status alone.
- Customer AR drill-down, v1 customer open invoices and archive guard,
  and the calendar feed read fakturor only.
- Draft quote PDF says "UTKAST" instead of "not a valid invoice"; the
  editor locks the document type on existing quotes and delivery notes.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_0111fYAUxKtpxU1BHiBioqzs

* chore(invoices): use roundOre in the quote MCP summaries and FX test after main tightened the guard baseline

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_0111fYAUxKtpxU1BHiBioqzs

* fix(invoices): third review round: atomic decision lock, viewer gate, lookup errors, quote payment terms

- 20260902222000: BEFORE UPDATE trigger locks an accepted quote while a
  live converted invoice exists (the compare-and-set in the three decision
  writers could still be beaten by a conversion landing in between); the
  routes and the MCP tool map the raise to 409 INVOICE_QUOTE_ALREADY_INVOICED.
  generate_quote_number now also requires a non-viewer membership so a
  viewer's session token cannot burn OF-numbers through PostgREST.
- Converter checks quote eligibility before the Riksbanken call and treats
  a failed company_settings read as a failure instead of a 30-day default.
- Re-sending the same decision keeps quote_decided_at (idempotent).
- gnubok_find_voucher_candidates_for_invoice refuses non-invoices like its
  write sibling; the dashboard link route surfaces a failed lookup.
- Late-fee and credit-term texts never print on a quote.
Applied and registered on staging; pg tests added.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_0111fYAUxKtpxU1BHiBioqzs

* fix(invoices): review nits: fail-closed batch lookup, dry-run expiry, quote heading, quote-date CHECK

- match-batch surfaces a failed document lookup instead of allocating.
- v1 quote-status dry-run preview carries the new valid_until.
- Quote PDF heading reads Offertinformation / Quote information.
- 20260902222000 also pins the date invariants the trigger maintains as a
  CHECK: a quote always has valid_until = due_date, nothing else has one.
  Applied on staging.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_0111fYAUxKtpxU1BHiBioqzs

---------

Co-authored-by: Claude Fable 5.1 <noreply@anthropic.com>
2026-09-02 22:40:25 +02:00
MattssonandClaude Fable 5.1 c0818bb2d2 feat(sales-orders): kundorder with partial delivery and partial invoicing (#2166)
* feat(sales-orders): kundorder with partial delivery and partial invoicing

Adds sales orders (kundorder) as their own non-ledger document between
agreement and invoice, for companies that deliver or invoice in parts.

Schema (20260902130000): sales_orders + sales_order_items with RLS via
user_company_ids(), OR-<n> numbering RPC (membership-gated, no anon
execute), company_settings.sales_orders_enabled UI gate, and back-links
invoices.sales_order_id / invoice_items.sales_order_item_id. The invoiced
quantity per order line is DERIVED from the linked invoice lines on
non-cancelled, non-credited invoices and enforced by a BEFORE trigger, so
no counter can drift and a credited invoice frees its quantity. Header
status is draft / confirmed / completed / cancelled; completion is kept
by DB triggers from the same derived quantity. Delivery and invoicing
progress are derived per line, never stored as status.

Service + API: lib/sales-orders (create/update with id-preserving line
replace, transitions with compare-and-set, cumulative delivery
registration, invoice-from-order through buildInvoiceWriteData so
booking stays in the engine, proforma -> order conversion), routes under
/api/sales-orders and /api/invoices/[id]/convert-to-order, structured
SALES_ORDER_* error codes, archive classification of the new tables.
The invoice editor round-trips sales_order_item_id so a draft edit
cannot drop the link; GET /api/invoices gains ?sales_order_id=.

UI: /sales-orders list, create/edit form reusing the invoice line
conventions, detail with deliver and create-invoice dialogs and linked
invoices; nav row behind the settings toggle; the webshop row is
relabelled webshop_orders; "Skapa order" on proformas.

MCP (20260902141000/141001): list/get reads plus four staged writes
(create, transition, register delivery, create invoice from order) whose
executors call the lib services; op types added to the pending
operations CHECK.

Tests: route tests for every route (401/400/404/happy), service unit
tests, executor and tool tests, and tests/pg/sales-orders.pg.test.ts
(16 cases, green on staging) covering RLS, numbering guards, the
over-invoice trigger incl. release on cancel/credit and cross-company
refusal, the quantity floor, and completion maintenance.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01RQW7mXvbAPgjUHq7dSEamr

* fix(sales-orders): harden kundorder after skeptic and security review

Resolves every finding from the PR #2166 review pass in one batch.

Order link integrity: replaceInvoiceItems now refuses a line set that
drops an existing sales_order_item_id (INVOICE_UPDATE_DROPS_ORDER_LINK),
closing the MCP update_invoice header-only edit and the v1 PATCH path
that severed the link and freed the quantity for double invoicing. The
update_invoice re-fetch, gnubok_get_invoice and the v1 item projection
now carry sales_order_item_id so well-behaved clients round-trip it.

Quantity math: derived remaining/invoiced quantities are rounded to six
decimals and compared with an epsilon (roundQty, qtyGreater) so a float
remainder such as 0.5999999999999996 can neither refuse the final partial
invoice nor land as an invoice quantity; duplicate explicit picks are
summed before validation.

Leveransdatum: per-line last_delivery_date (migration 20260902160000);
an invoice takes the latest date over the lines it covers and only when
the covered quantity was delivered, never the header date and never for
an advance invoice (ML 17 kap 24 p.7, FX anchor per ML 8 kap 21-23).

VAT drift: the order stores the customer type and VAT-validation flag its
lines were priced under; invoicing refuses with
SALES_ORDER_CUSTOMER_VAT_CHANGED when they differ, and re-saving the
order re-validates the lines. Customer and currency are frozen once
invoices exist.

Tenant and role gates: composite FK (sales_order_id, company_id) ties a
line to its parent's company (Superagent P2); aa_enforce_company_writer_role
on both tables so a viewer cannot write through the browser client.

Proforma -> order refuses proformas with ROT/RUT, periodisering or
negative-quantity lines instead of dropping those fields. RESTRICT FK
errors on delete map to SALES_ORDER_LINE_LOCKED / SALES_ORDER_HAS_INVOICES.

Also: schema-guard literal payloads in lib/sales-orders (ceiling +2 with
reason), regenerated skills/accounted-api (sales_order_item_id on invoice
items), pg tests for the composite FK, the viewer gate and the new
columns, unit tests for every changed path.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01XzFmmH82hCJNmZbPqycDiW

* fix(sales-orders): resolve CodeRabbit round on PR #2166

Quick wins from the review, all in one pass:

- replaceInvoiceItems fails closed when the invoice_items snapshot cannot
  be read (it is both the restore source and the input to the kundorder
  link guard); the guard branch is explicit in both PATCH routes.
- Cumulative delivery registration carries an optimistic predicate on the
  quantity it read, so two concurrent registrations cannot regress each
  other; DELETE of an order keeps its allowed status in the predicate and
  answers a conflict when zero rows match.
- Business dates (order date, delivery date, invoice date) default to the
  Europe/Stockholm calendar day (todayIsoStockholm), never UTC: the
  delivery date is also the Riksbanken rate anchor.
- The invoice-from-order executor treats an event emit failure as
  non-blocking: the draft already exists.
- sales_order_items are archived through their parent with the order
  currency denormalised, like invoice_items.
- Proforma "Skapa order" tolerates a 2xx without a parsable body; the
  settings toggle refreshes the server-rendered nav.
- List route doc states that q matches the order number (customer names
  are matched client-side).

Declined (out of scope for this PR): moving header + line writes and the
delivery loop into transactional RPCs (same PostgREST pattern as the
invoice PATCH path, tracked as a follow-up), the MCP approval handler's
error message shape (pre-existing code outside this change), and the
docstring-coverage warning (no repo convention).

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01XzFmmH82hCJNmZbPqycDiW

* fix(sales-orders): move hardening migration off a colliding version; archive contract; ceiling

- 20260902160000_sales_orders_hardening.sql collided with main's
  20260902160000_parties_substrate.sql after the third sync; renamed to
  20260902180000 and made idempotent (DROP ... IF EXISTS before each
  ADD CONSTRAINT) so a preview branch that applied it under the old
  version replays it cleanly. Staging's schema_migrations row renamed.
- sales_order_items goes back to a direct archive dump: the coverage
  contract (tests/pg/full-archive-coverage.pg.test.ts) requires it for a
  table with its own company_id; the currency lives on the parent order
  one file over, joined by sales_order_id.
- Scanner ceiling re-baselined after merging main (parties phase 1): 397.
- v1 PATCH test queues a real empty invoice_items snapshot now that
  replaceInvoiceItems fails closed on an unreadable one.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01XzFmmH82hCJNmZbPqycDiW

* fix(sales-orders): drop the composite FK before its unique index on replay

The idempotent guard in 20260902180000_sales_orders_hardening.sql dropped
the unique (id, company_id) before the FK that depends on its index, so
the preview branch replay (which had applied the file under its former
version) failed with SQLSTATE 2BP01. Order swapped; replay verified on
staging.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01XzFmmH82hCJNmZbPqycDiW

---------

Co-authored-by: Claude Fable 5.1 <noreply@anthropic.com>
2026-09-02 18:14:49 +02:00
MattssonandClaude Fable 5 f216a60bf8 feat(invoices): per-line percentage discount and separate fakturamarkning (#2084)
* feat(invoices): per-line percentage discount and separate fakturamarkning

User request: rabatt i procent per artikelrad, and a marking field
separate from Er referens.

- invoice_items.discount_percent (0-100, default 0): line_total and
  vat_amount are stored NET of the discount. Shared exact-ore math in
  lib/invoices/line-amounts.ts (gross, discount, net) used by the web
  builder, staged-operation commit, editor preview, PDF, and Peppol.
  Undiscounted lines keep the legacy unrounded qty*price byte-identical.
- ROT/RUT deduction computes on the discounted net line total.
- invoices.invoice_marking: printed on the PDF next to the references
  and mapped to Peppol BT-10 BuyerReference (marking wins over
  your_reference; either satisfies the BT-10 requirement).
- Peppol renders the discount as a BG-27 line AllowanceCharge
  (reason code 95, MultiplierFactorNumeric, Amount, BaseAmount).
- Editor: "Lagg till rabatt" in the row menu (same reveal pattern as
  ROT/RUT), Markning row next to Er referens, forval chip, review
  dialog shows discounts and marking.
- Plumbed through v1 REST projections, MCP create/get/update invoice
  tools, pending-operations update path, and copy-invoice (discount
  copied; marking deliberately not, it is recipient-specific).

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01JJAt9yM7tgZ69f1XnNnq52

* fix(invoices): carry discount_percent through every deduction, credit, convert and preview path

Skeptic + CI findings on the discount/marking feature, one pass:

- generateRotRutLines and propose-send-lines now pass discount_percent
  into computeDeduction: the send/credit/cash verifikat booked 1513 on
  the GROSS line while deduction_total, the PDF and the Skatteverket
  claim carried the net, stranding the difference on 1513 and pushing
  1510 negative once the customer paid. Test pins 1513=3000/1510=7000
  for a 20%-discounted 10 000 kr ROT line.
- preview-pdf route accepts discount_percent (net totals + net-based
  deduction) and invoice_marking; the editor now sends the marking, so
  the preview equals the invoice it becomes.
- Credit notes carry discount_percent (buildCreditNoteItem, v1 credit
  route select+insert, MCP credit executor) and invoice_marking, so the
  kreditfaktura face arithmetic multiplies out and shows the Rabatt
  column (ML 17 kap 24 §).
- Proforma->invoice convert copies discount_percent + invoice_marking:
  the converted invoice previously failed Peppol LINE_TOTAL_MISMATCH
  and lost the rebate on the next builder pass.
- Editor hides the discount menu in self-billed mode (the self-billed
  wire shape has no discount; previewed net would book gross).
- MCP staging and commitCreateInvoice reject a non-number
  discount_percent (a string coerced past the range check but was
  ignored by the totals math and still stored).
- Regenerated skills/accounted-api (apiskill:check CI failure).

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01JJAt9yM7tgZ69f1XnNnq52

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-31 15:34:06 +02:00
MattssonandClaude Fable 5 619b446c52 fix(invoices): make the Swish QR encode the amount to pay after ROT/RUT deduction (#1685)
* fix(invoices): make the Swish QR encode the amount to pay after ROT/RUT deduction

The Swish payment QR on invoice PDFs encoded the pre-deduction invoice
total (getDisplayTotal), while the totals block and the invoice email
state "Att betala" as total minus the ROT/RUT deduction (getAmountToPay,
fakturamodellen). Since the Swish payload locks the amount (editmask 0),
a customer scanning a RUT/ROT invoice was asked to pay the full total
with no way to correct it: overpaying by the entire skattereduktion.

Swap the QR amount source to getAmountToPay(...).toPay so the QR, the
printed "Att betala" and the email always agree. A fully deducted
invoice (toPay = 0) now renders no QR via the existing amount > 0 guard.
All seven render surfaces (send, preview, pdf, v1 send/pdf, MCP commit,
recurring, issue-and-book) go through this one helper.

Reported by a user: "QR-koden for swish stammer INTE med beloppet man
ska betala. Den tar INTE hansyn till reduktionen."

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

* fix(invoices): select the amount-to-pay columns on the v1 pdf and send surfaces

Skeptic review of the Swish QR fix found it was a silent no-op on the v1
GET pdf route: its column projection predated ROT/RUT and omitted
deduction_total (and ore_rounding), so getAmountToPay saw undefined,
treated it as "no deduction", and the route kept emitting a locked
full-amount QR while the sent email said the deducted "Att betala".
INVOICE_FULL_COLUMNS (v1 send renders from it) likewise omitted
ore_rounding, ignoring the per-invoice oresavrundning override there.

Move INVOICE_PDF_COLUMNS into lib/api/v1/invoice-columns.ts, add
deduction_total, deduction_personnummer_last4 and ore_rounding to it, add
ore_rounding to INVOICE_FULL_COLUMNS, and pin the amount-path columns of
both projections with a test: a projection gap does not error, it renders
the wrong money on one surface only, so it must be caught structurally.

Also records the defect and remediation in DECISIONS.md per the
compliance-swarm change-risk finding (the repo has no risk_register.csv;
the decision log is its equivalent).

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

* fix(invoices): gate the Swish QR to payable documents and restore delivery_date on the v1 pdf

Swedish accounting review round 2: buildSwishQrDataUrl had no non-payable
gate, so a kreditfaktura (a refund document) still produced a locked
Swish payment QR at helper level; the template happens to hide the
payment box for credit notes, but a payment request against a refund
must stay impossible rather than merely unrendered. Apply the same
document gate buildPaymentLinkQrDataUrl already has (invoice documents
without credited_invoice_id only) and pin it with tests replacing the
credit-note parity case.

Also add delivery_date to INVOICE_PDF_COLUMNS: ML 17 kap 24 p.7 requires
leveransdatum on the invoice when it differs from the invoice date, the
template renders exactly that, and the v1 pdf projection silently
dropped it. Same projection-starvation class as the previous commit.

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

* docs(invoices): name the covered render surfaces and drop the contested lagrum point number

CodeRabbit round 3, both documentation-only: the DECISIONS defect record
said "all surfaces" while the editor preview is deferred to #1686, so it
now lists the covered surfaces explicitly; and the delivery_date comment
cited ML 17 kap 24 p.7 where CodeRabbit reads p.8 in SFS 2023:200 while
the repo's swedish-invoice-compliance reference table says p.7, so the
citation drops the point number and stays at the paragraph, which is
correct under either enumeration. No behavior change.

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-18 16:39:49 +02:00
MattssonandClaude Fable 5 98d0c7f2d0 Add/stripe skv (#1004)
* fix(salary): align pain.001 salary file with the Swedish domestic bank dialect

Verified against the Swedish Common Interpretation of ISO 20022
(Bankforeningen, Common Payment Types in Sweden, Appendix 1 Example 4:
Salaries) and Nordea Corporate Access pain.001 examples v2.6 (2026-06-22),
and XSD-validated against the official pain.001.001.03 schema:

- drop SvcLvl SEPA (SEPA credit transfers are EUR-only; omitting SvcLvl
  gets the domestic NURG default)
- drop RmtInf (not allowed for SALA salary payments; the beneficiary
  statement text comes from the Dataclearing LON code)
- address employees domestically: clearing as CdtrAgt ClrSysMmbId SESBA,
  account WITHOUT clearing as CdtrAcct Othr with SchmeNm BBAN
- share the clearing/account split (Swedbank 5-digit shift, Nordea
  personkonto prefix dedup) between the LB and pain.001 generators via
  splitDomesticBankAccount, fixing pain.001 duplicating the personkonto
  clearing
- clamp MsgId/PmtInfId/InstrId/EndToEndId to Max35Text with the per-tx
  counter surviving truncation; carry the org number on Dbtr
- return 400 from the pain001 route on an invalid clearing instead of
  emitting a broken file

Also includes two unrelated decision-log lines from the parallel
revisor-review session (DECISIONS.md is a shared append-only log).

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

* feat(nav): surface the year-end chain in the sidebar

Add Periodiseringar, Arsredovisning (aktiebolag only) and
Inkomstdeklaration (INK2 for AB, NE-bilaga for EF) to the Skatt &
bokslut group, in workflow order. Entity gating via a new entityOnly
flag on NavItem; isActive carve-outs extended so exactly one row
lights up for the new routes. Driven by an external revisor review
that concluded these features did not exist because none of them
were reachable from the nav.

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

* feat(stripe): Stripe Connect integration behind config gate

Connect OAuth per company (only the acct_ id is stored), automatic
single-use Payment Links on invoice send, deterministic payment
settlement against 1686 (BAS moved acquirer receivables 1580 -> 1686),
payout booking with reverse-charge fees (6570 + 4535/4598 + 2645/2614),
and a 15-minute sync cron. Non-deterministic events land as
needs_review, never guessed at.

Fully dark without STRIPE_CONNECT_CLIENT_ID: connect returns 503, the
send hook and cron no-op, and the settings page shows 'Kommer snart'
(hosted) until the Connect platform is verified. Self-hosted keeps the
honest not-configured message.

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

* fix(deadlines): add shared completeTaxDeadline and fix dead AGI deadline auto-complete

generate-declaration.ts has updated non-existent columns (type/period/
status) since inception, so the arbetsgivardeklaration deadline was
never auto-completed. Replace with a shared helper targeting the real
schema (tax_deadline_type/tax_period/is_completed), also used by the
kvittens crons and moms handlers in the follow-up commit.

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

* feat(rot-rut): import Skatteverket beslutsfil and record decisions on payout requests

Parse the beslutsfil JSON from Skatteverkets rot/rut e-tjanst and record
godkant belopp on the matching begaran: matched by stored
skv_referensnummer first, then exact name among active undecided
requests; arenden by fakturanummer then personnummer, exactly-one or the
beslut errors (all-or-nothing). Never auto-settles: recording the beslut
and booking the payout are separate acts. Exposed as an API route and
the gnubok_import_rot_rut_beslut MCP tool.

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

* feat(skatteverket): system auth for background reads, one-click VAT submit, kvittens notifications

Hybrid auth program: system CCG (org certificate) for background reads
while personal BankID stays for interactive submissions, since SKV
per-flow refresh tokens live 65 min and crons structurally cannot run
on them. All system-auth code sits behind SKATTEVERKET_SYSTEM_AUTH_MODE
(default off) with a stub transport until the Expisoft cert and CCG
avtal land; auth resolution is centralized in resolve-auth.ts.

Also in this change:
- One-click VAT submit chaining kontrollera -> utkast -> las
  server-side with a stage discriminator; step-by-step buttons demoted
  to the overflow menu.
- Kvittens crons (AGI + new VAT schedule) with email-only
  notifications, deduped in notification_log under the new
  skv_kvittens type.
- Ombud grant probe + verification UI in the connect panel, and a
  dashboard promo card for unconnected companies.
- skatteverket_company_connections table with pg-real coverage.

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

* feat(salary): auto-settle AGI tax payment from skattekonto and surface SKV reconnect on the tax card

The "Skatt att betala" card only cleared via the manual mark-paid button
on the run detail page; the promised automatic flip from the Skattekonto
sync was never implemented, so paid periods stayed red.

- settleAgiTaxPayments: during every skattekonto sync, a booked
  "Arbetsgivardeklaration YYYYMM" debit row settles the matching
  agi_declarations.tax_paid_at, but only when the amount equals the
  declared total to the ore and the account is not in deficit
  (deterministic; drift or deficit falls back to manual).
- Salary overview card: reconnect hint when the SKV token needs
  re-consent (link to /settings/tax, silent when the extension is off),
  plus an inline "Markera som betald" button reusing the existing
  endpoint and salary_payments strings.

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

* Add cloud backup scheduling and alerting features

- Implement unit tests for scheduling logic in `schedule.test.ts`, covering various scenarios for determining if a backup schedule is due.
- Create a new module `backup-alert.ts` to handle failure alerts for cloud backup auto-sync, including email notifications for reauthentication and repeated failures.
- Introduce `schedule.ts` to manage scheduling logic, including handling local time zones and converting between local and UTC hours.
- Add CSV report generation functions in `archive-csv.ts` for trial balance, income statement, balance sheet, and general ledger, ensuring compatibility with Swedish Excel formats.
- Create a README generator for the archive structure in `archive-readme.ts`, providing clear documentation for users accessing backup files.
- Implement tests for CSV report generation in `archive-csv.test.ts`, ensuring correct formatting and content.
- Establish a full-archive coverage contract test in `full-archive-coverage.pg.test.ts` to ensure all company-scoped tables are properly classified for backup.

* fix(stripe): correct invoice clearing reference and improve type safety in sync logic

* fix(invoices): narrow accountingMethod before resolveInvoicePaymentSourceType

settleInvoicePayment takes accountingMethod as a raw settings string, but
resolveInvoicePaymentSourceType requires the 'accrual' | 'cash' union.
Normalize at the call site (anything but 'cash' books as accrual), matching
the existing useCashEntry semantics.

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

* fix: address CodeRabbit review findings and nitpicks on PR #1004

Review findings:
- backup settings redirect: always force view=export over incoming params
- AGI/VAT kvittens crons: isolate best-effort post-submit calls, check the
  signed-state persist error, guard recovery calls in catch blocks so one
  company cannot abort the rest; surface grant_revoked in the run summary
- kvittens notifications: atomic claim-first dedup with a partial unique
  index; map non-uuid reference keys to deterministic uuids
- grant probe: record the actual 2xx status; mTLS transport: handle
  response-stream errors
- stripe: amount-aware idempotency keys for payment links; emit
  stripe.disconnected on upstream revocations
- ROT/RUT beslut import: mutate in-memory request state after apply, move
  item + header writes into an atomic apply_rot_rut_beslut RPC, add
  rot_rut_payout to JournalEntrySourceTypeSchema
- migrations: use NOT VALID + VALIDATE CONSTRAINT for CHECK constraints on
  journal_entries, notification_log and rot_rut_payout_requests
- cloud backup: hour_utc-only schedule updates clear stale hour_local

Nitpicks:
- stripe sync: enforce the cron time budget inside per-connection event
  processing with idempotent cursor progress; maybeSingle for settings;
  honest partial-customer DTO shared with the settlement boundary
- shared applyPaymentLinkToInvoice helper for both invoice send routes,
  v1 docblock documents step 6b and PAYMENT_LINK_FAILED
- settings panel: drop redundant decodeURIComponent
- cloud backup: document worst-case archive memory headroom

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-07-12 19:14:12 +02:00
MattssonandClaude Fable 5 7d7f604e00 Add/stripe invoice link (#998)
* feat(supplier-invoices): show registered invoices under "Att betala" with inline approve

Registered supplier invoices are already booked as debt (2440) but were
hidden from the "Att betala" tab until approved, which confused users.
The tab now shows registered invoices too, marked "Ej godkand" with a
compact inline approve button. Approval remains the gate for payment,
not visibility; status model and approve API untouched.

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

* feat(reports): add date range filter to huvudbok (kontoanalys)

Mounts the existing ReportDateRange control on /reports/huvudbok so the
ledger can be narrowed to any date range within the fiscal year, matching
Fortnox kontoanalys. Lines before the range roll into each account's
opening balance so running balances stay correct at the range start;
lines after the range are dropped. Applies to the XLSX export too.

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

* feat(invoices): add optional payment link on invoices (paste-link MVP)

The user pastes a payment link created in their PSP dashboard (e.g. a
Stripe Payment Link) onto an invoice. The recipient gets a "Betala
online" button in the invoice email and a QR code + clickable link in
the PDF payment box. No PSP integration server-side: this is the
demand probe; a future Stripe Connect integration would auto-fill the
same column.

- invoices.payment_link_url (migration 20260709090000), https-only +
  2048-char cap enforced in CreateInvoiceSchema; empty string
  normalises to undefined and build-invoice-write always writes a
  concrete value so clearing the field on a draft edit NULLs the column
- editor field (real invoices only) with one-link-per-invoice hint;
  strings in sv+en (messages landed via e0e11066)
- email button (customer.language, hidden for credit notes/proforma/
  delivery notes, URL escaped for the href attribute) + URL in the
  plain-text part
- PDF QR + link row following the Swish QR pattern; wired into send,
  download and preview routes
- derived documents (credit note, proforma convert, recurring) do NOT
  copy the link: it encodes one amount for one specific invoice
- MCP gnubok_create_invoice accepts payment_link_url (validated at
  staging and re-checked in the commit executor); v1 API exposes the
  column; tools/list token ceiling bumped 45K -> 45.5K (ledger entry
  in payload-size.bench.test.ts, headroom was <10 tokens)

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

* fix(invoices): show oresavrundning on editor/form totals, supplier list and invoice email

The rounding logic (getDisplayTotal) was correct but only applied on the
PDF, invoice list/detail and review dialog. The invoice editor summary,
the supplier invoice form totals and the supplier invoice list showed the
raw ore total right next to the toggle, and the invoice email said
"Att betala" with the unrounded invoice.total while the attached PDF
showed the rounded amount (and the email also ignored the ROT/RUT
deduction).

Extract the PDF's Att betala block into getAmountToPay
(lib/invoices/rounding.ts) and point PDF + email at it so they cannot
drift; behavior-identical refactor for the PDF. Booked amounts stay
ore-exact; display-only as designed.

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

* test(reports): adapt huvudbok date-range tests to the two-step entry-lines fetch

The date-range tests (0969168f) mocked the old single-query shape with the
parent entry embedded on each line; main's refactor (fetchEntryLines)
queries journal_entries first and reattaches. Queue entry rows like the
other tests so the merge of the two features is actually exercised.

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

* fix(invoices): fetch full invoice projection in v1 send so ROT/RUT deduction and payment link reach the PDF and email

The v1 send route's hand-rolled column list omitted deduction_total,
deduction_personnummer_last4, payment_link_url and the item-level
ROT/RUT fields, so invoices sent via the public API overstated
'Att betala' and dropped the deduction box. Reuse the shared
INVOICE_FULL_COLUMNS/INVOICE_ITEM_FULL_COLUMNS so the send row can
never drift from the GET shape again.

Also harden the supplier-invoice inline approve: a thrown fetch left
the button stuck spinning; failures now refetch the true server state.

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-07-12 00:56:16 +02:00
Jakob WennbergandClaude Opus 4.7 cdac1808c9 feat(api): ROT/RUT, articles, and project lifecycle on the v1 API (#904)
* feat(api): ROT/RUT + articles + dimensions on the v1 invoice surface (#895)

- v1 invoice POST now routes through buildInvoiceWriteData, the same
  builder as the dashboard: ROT/RUT deduction lines (server-side compute,
  personnummer encryption), article_id + revenue_account linkage,
  accruals, and line_type no longer get silently dropped on the wire.
- v1 invoice PATCH accepts default_dimensions so integrations can tag a
  draft with a project/cost centre after creation.
- New PATCH/DELETE /dimensions/:id/values/:valueId: rename, archive,
  set end_date on project codes; delete unreferenced values (409 with an
  archive hint when the BFL retention trigger blocks).
- New GET /articles: read-only artikelregister list (incl. housework_type)
  so callers can resolve article_id before composing invoice lines.
- Invoice GET/POST projections now expose deduction fields and full item
  columns; dry-run previews never echo the encrypted personnummer.

Closes #895

Co-Authored-By: Claude Opus 4.7 <noreply@anthropic.com>

* refactor(api): address review on #904

- Extract shared v1 invoice projections to lib/api/v1/invoice-columns.ts
  so create/detail/patch responses can't drift; PATCH now returns
  deduction_total + deduction_personnummer_last4 like GET/POST.
- Narrow the v1 create customer fetch back to the three fields the
  builder reads instead of select('*').

Co-Authored-By: Claude Opus 4.7 <noreply@anthropic.com>

---------

Co-authored-by: Claude Opus 4.7 <noreply@anthropic.com>
2026-07-06 15:21:53 +02:00