64ea0fef0200e38fdbd142ec2a646d2db5cec6f4
69 Commits
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64ea0fef02 |
fix(transactions): resolve customer-invoice payment account from cash_account_id (#987)
* refactor(transactions): add shared settlement-account resolution helper Cherry-picked from fork/worktree-starry-waddling-wirth (PR #985) commit 34d5d35 — pulling in just the new lib/bookkeeping/settlement-account.ts helper and its test, without the match-supplier-invoice route changes from that PR (those depend on 8bfc31d, not yet on main, and are out of scope here). Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(transactions): resolve customer-invoice payment account from cash_account_id Customer-invoice payment matching never resolved the bank leg from the matched transaction's own cash_account_id: it was unconditionally hardcoded to 1930 in buildInvoicePaymentClearingLines, createInvoicePaymentJournalEntry, and createInvoiceCashEntry, with no override parameter at all. Any bank receipt landing in a non-primary cash/bank account (a secondary SEK account, or a foreign-currency account like 1940 for EUR) was silently misbooked to 1930 -- the same class of bug PR #985 fixed on the supplier-invoice side, except unconditional there (no stale-setting trigger needed). Adds an optional paymentAccount parameter (default '1930', preserving behavior for every caller that doesn't pass one) to the three lib functions, and threads resolveSettlementAccount(cash_account_id) through every real bank-transaction-matching call site: the dashboard match-invoice route (POST + preview), its v1/MCP-facing counterpart, and the agent/MCP match_transaction_invoice commit path. Deliberately left on default 1930: mark-paid (dashboard + v1, no bank transaction in scope), fix-cash-mismatch (narrow historical repair tool for a different bug), and the agent mark_invoice_paid commit path. Brings in lib/bookkeeping/settlement-account.ts (cherry-picked from fork/worktree-starry-waddling-wirth commit 34d5d35) so this PR is mergeable independently of #985's merge order. Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * test(invoice-entries): cover ROT/RUT 1513 line stays fixed under a non-default paymentAccount Compliance-bot finding on PR #987: createInvoiceCashEntry's paymentAccount override was only tested against a plain standard_25 invoice, never combined with a ROT/RUT deduction_type item. The 1513 receivable line was already correctly untouched by paymentAccount (it's never the bank leg), this just closes the test-coverage gap. Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(bookkeeping): abort instead of silently defaulting to 1930 when settlement-account lookup errors Same shared-helper fix as PR #985/#986: resolveSettlementAccount now throws BookkeepingDatabaseError on a genuine cash_accounts query error instead of warning and falling back to 1930. An explicit cash_account_id almost certainly resolves to a non-1930 account, so a transient failure masking it risked the same class of misbooking this whole PR series exists to fix, just via infra flakiness instead of a stale setting. No route/commit.ts changes needed: match-invoice (POST + preview) run under withRouteContext's existing catch-all, and commitPendingOperation already has identical generic bookkeeping-error handling for every other engine failure. Added regression tests for all three call sites (dashboard POST, preview, and the agent/MCP commit path) confirming the abort rather than assuming the shared infrastructure handles it silently. Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(v1): guard resolved settlement account against chart of accounts Closes the two remaining gaps from jakobwennberg's triage on #987 (after rebasing onto main and picking up the already-pushed resolveSettlementAccount abort-on-error fix): - Added the v1 match-invoice route-level test coverage that was missing (cash-account threading, BOOKKEEPING_DATABASE_ERROR abort, ACCOUNTS_NOT_IN_CHART), mirroring the dashboard route's existing settlement-account-resolution tests. - Added the same findUnresolvableAccounts pre-validation guard against chart_of_accounts that 32c07c4 added to #986's match-supplier-invoice route, gated on !customLines since that is the only branch here that consumes the resolved paymentAccount. Signed-off-by: Jonas Flodén Signed-off-by: Jonas Flodén <jonas@floden.nu> * test(bookkeeping): align settlement-account error assertion with #985 Use .rejects.toBeInstanceOf(BookkeepingDatabaseError) instead of toMatchObject({ constructor: ... }), matching #985's edef79d follow-up (the assertion was correct either way, but this is the more idiomatic check and now makes the shared helper's test file byte-identical across #985/#986/#987, removing the add/add merge conflict between them noted in the merge-order validation. Signed-off-by: Jonas Flodén Signed-off-by: Jonas Flodén <jonas@floden.nu> * test(invoice-payment-lines): add missing 3740 coverage for non-1930 paymentAccount CodeRabbit nitpick on #987: the test named "...does not affect the FX-diff or öresavrundning lines" only exercised the 3960 FX-diff branch, never the pure-SEK 3740 öresavrundning branch it also claimed to cover. Split into two tests: the existing one renamed to describe only its FX-diff coverage, plus a new pure-SEK sub-krona-short case with a resolved non-1930 paymentAccount asserting the 3740 line books correctly and the bank leg lands on the resolved account, not 1930. Signed-off-by: Jonas Flodén Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(ci): quote compliance-pr.yml name to fix invalid YAML The unquoted colon in `name: compliance: review (advisory)` (introduced by #890's em-dash removal, which swapped an em dash for a colon in-place) makes YAML read it as a nested mapping key, so GitHub can't parse the workflow at all - every run fails with 0 jobs scheduled. Signed-off-by: Jonas Flodén Signed-off-by: Jonas Flodén <jonas@floden.nu> * Revert "fix(ci): quote compliance-pr.yml name to fix invalid YAML" This reverts commit e7c890245d1834cd8f3c9b13a2bc3247fea7eacb. Signed-off-by: Jonas Flodén <jonas@floden.nu> --------- Signed-off-by: Jonas Flodén <jonas@floden.nu> Co-authored-by: Jakob Wennberg <jakob.wennberg@gmail.com> |
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8a41b5dbf2 |
fix(v1): resolve supplier-payment/categorize settlement account from cash_account_id (#986)
* refactor(transactions): extract shared settlement-account resolution helper Dedupe the identical cash_account_id -> ledger_account lookup across match-supplier-invoice (POST + preview) and categorize into resolveSettlementAccount, per CodeRabbit's nitpick on PR #985. Pure extraction, no behavior change. Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(v1): resolve supplier-payment/categorize settlement account from cash_account_id Closes the v1/MCP-facing half of the settlement-account gap left open by PR #985 (which only fixed the dashboard routes): - match-supplier-invoice: the pure-SEK accrual path always called createSupplierInvoicePaymentEntry with no paymentAccount at all (hardcoded internal default 1930), never reading the transaction's cash_account_id. Now resolves it via resolveSettlementAccount, same as the dashboard route post-#985. - categorize: never called applySettlementAccount after building the mapping result, so every categorization booked the bank leg to 1930 regardless of which cash account the transaction was linked to. Left the FX/foreign-currency branch (createSupplierInvoicePaymentEntry) and the cash-method branch (createSupplierInvoiceCashEntry) on their pre-existing internal 1930 default, matching #985's own scope decision on the equivalent dashboard route. Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(bookkeeping): abort instead of silently defaulting to 1930 when settlement-account lookup errors Same shared-helper fix as PR #985: resolveSettlementAccount now throws BookkeepingDatabaseError on a genuine cash_accounts query error instead of warning and falling back to 1930. An explicit cash_account_id almost certainly resolves to a non-1930 account, so a transient failure masking it risked the same class of misbooking this whole PR series exists to fix, just via infra flakiness instead of a stale setting. No route changes needed: both v1 call sites (match-supplier-invoice, categorize) already run under withApiV1, whose existing catch-all converts any isBookkeepingError() throw into the correct structured 500. Added regression tests confirming the abort for both. Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(v1): guard resolved settlement account against chart of accounts CodeRabbit and jakobwennberg's triage on #986 both flagged that resolveSettlementAccount() returns cash_accounts.ledger_account unvalidated, so an inactive/removed account surfaced as the generic MATCH_SI_RECORD_PAYMENT_FAILED instead of an actionable error. Add the same findUnresolvableAccounts pre-check and AccountsNotInChartError race-guard the categorize routes already use. Signed-off-by: Jonas Flodén <jonas@floden.nu> * test(bookkeeping): align settlement-account error assertion with #985 Use .rejects.toBeInstanceOf(BookkeepingDatabaseError) instead of toMatchObject({ constructor: ... }), matching #985's edef79d follow-up (the assertion was correct either way, but this is the more idiomatic check and now makes the shared helper's test file byte-identical across #985/#986/#987, removing the add/add merge conflict between them noted in the merge-order validation. Signed-off-by: Jonas Flodén Signed-off-by: Jonas Flodén <jonas@floden.nu> --------- Signed-off-by: Jonas Flodén <jonas@floden.nu> Co-authored-by: Jakob Wennberg <jakob.wennberg@gmail.com> |
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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> |
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ee3c33c7a4 |
docs(api): correct /docs/api against the v1 implementation (#999)
Audited every endpoint, param, header, request/response field, error code, and webhook event in the public API docs against the v1 implementation and fixed the drift; addressed two rounds of CodeRabbit review. - Error envelope, idempotency, dry-run, and reversal-field corrections. - Registered the missing articles/dimensions/inbox-items reference resources. - Cookbook fixes: removed nonexistent endpoints, corrected params/fields, fixed the test-key vs live-key quickstart flow and the year-end lock/close sequence. - Webhooks/changelog: retry window ~87h (incl. route metadata), shipped-vs- coming-soon, counts, API-key format, previous_attributes. - export-docs-to-website.mts absolutises app-served links for the website. The gnubok-website side is on branch docs/api-correctness (already deployed). 🤖 Generated with [Claude Code](https://claude.com/claude-code) |
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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> |
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650c7be5e1 |
fix(bookkeeping): revive counterparty template learning (dead since the multi-tenant refactor) (#989)
* fix(bookkeeping): revive counterparty template learning, dead since the multi-tenant refactor (#865) The learning half of counterparty templates has written nothing since 2026-03-30 (prod: 750 SIE imports, zero new templates). Two stacked bugs: - The multi-tenant refactor re-scoped categorization_templates to company_id and the lib stopped writing user_id, but user_id kept its NOT NULL: every insert failed with a null violation that supabase-js returns rather than throws, so nothing was ever logged. Migration 20260711100000 drops the NOT NULL and the dead user_id indexes. - Four of six learning call sites (both categorize routes, categorize-core, the MCP server) passed the auth user id as companyId, so even with the column fixed the writes would fail FK/RLS and corrections could never find the template they were correcting. Hardening while in here: - insertOrUpdateTemplate now checks every write result, logs failures, and returns whether a row was written; populateTemplatesFromSieVouchers reports only templates actually persisted. - Sign-mismatched matches (an incoming refund matching an expense-learned template) previously booked backwards: debit expense / credit bank for money coming IN. They are now mirrored into the correct refund shape (VAT leg reversed for deductible input VAT), flagged requires_review, and excluded from template/rule learning so a refund can never flip a learned template. - Template amounts are computed from the SEK-resolved amount, so foreign-currency transactions no longer produce unbalanced multi-line entries (or VAT computed on foreign units). - SIE extraction no longer hardcodes 25% for 2641 (rate-agnostic in BAS): the rate is inferred from voucher amounts and snapped to 25/12/6%, and reverse-charge counterparties learn vat_treatment='reverse_charge' instead of losing the RC legs (which also no longer poison the ratio base). - New pg-real test locks the exact insert column set against the real schema, so a schema/code drift like this can't ship green again. Closes #865 Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(bookkeeping): mirror fiktiv-moms legs on RC credit notes, exclude import VAT accounts from ratio base Compliance-review follow-ups on #989: - REVERSE_CHARGE_VAT_ACCOUNTS gains the import output-VAT accounts (2615/2625/2635), which pair with 2645 in import vouchers exactly like the RC pairs and must not shrink the business ratio base. - A sign-mismatched match against a reverse_charge template (an RC supplier's credit note) now mirrors both fiktiv legs (credit 2645 / debit 2614) instead of booking gross, so Ruta 30/48 net back to zero. The income line-builder nets VAT credits against debit legs to keep the mirrored pair balance-neutral (identical result for all existing credit-only output-VAT paths). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(types): CategorizationTemplate.user_id is nullable since 20260711100000 (CodeRabbit) Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(bookkeeping): use roundOre for the VAT netting, keep the ore-round ratchet at baseline Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(bookkeeping): review-gate stale 12% templates across the livsmedel transition, pattern-aware direction guard Compliance-review round 2 on #989: - Livsmedel VAT dropped 12% -> 6% on 2026-04-01 (Prop. 2025/26:55) while restaurang/hotell stay at 12%. A reduced_12 template whose last_seen_date predates the transition can no longer be trusted unreviewed: its match is flagged requires_review until a post-transition approval refreshes it (re-approval keeps 12%, a correction relearns 6%). Actively-confirmed 12% counterparties flow without friction. - The opposite-direction correction guard now falls back to the line pattern's business sides when the legacy fields are both settlement-ish and cannot classify a multi-line template. - Documented the accepted import-RC mirroring limitation (2614 vs 2615 ruta attribution) and the netted-vatCredit precondition. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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2e7931b36b |
feat(customers): let users set a customer number shown on the invoice (#957)
Implements #914 (kundnummer on customers, printed on the invoice PDF). - Migration: nullable text column customers.customer_number, no unique constraint in v1 so existing rows and imports keep working. - API: CreateCustomerSchema/UpdateCustomerSchema accept an optional customer_number (trimmed, max 32 chars, nullable-then-optional so the OpenAPI registry sees it as not required); create/update routes persist it and normalize empty string to null so it can be cleared. - v1 public API: customers create/detail/update round-trip the field (insert and update field lists, response projections, response schemas), and the invoices :send route fetches customer_number in its explicit customer join so the emailed PDF matches the downloaded one (the pdf route already selects customers(*)). - UI: optional Kundnummer field in CustomerForm (next-intl keys in both sv and en), wired into the edit dialog's initialData; read-only Kundnummer row on the customer detail page's business-details card. - Invoice PDF: renders "Kundnr:" / "Customer no.:" in the customer box when set; the PDF reads the live customers join, so no snapshot column is needed. - Tests: route tests cover 400 validation, trimming, clearing with null/empty, and omit-leaves-untouched on POST and PATCH; v1 tests cover the create/update round-trip (insert/update payload + response projection) and the :send customer-join projection. Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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63e05c4eec |
fix(import): company-scope the bank_file_imports dedup key (#925)
* fix(import): company-scope the bank_file_imports dedup key The bank_file_imports unique constraint was (user_id, file_hash), predating multi-tenancy: a user importing the same statement file into a second company hit an upsert that resolved onto the first company's row, which RLS rejected (42501). Widen it to (company_id, file_hash) - the swap 20260330130000 made for sie_imports but missed here - and drop the now-obsolete BANK_IMPORT_DUPLICATE_OTHER_COMPANY cross-company pre-check from the v1 route (the structured-error code stays for API compat). The migration was already applied to prod; committing it reconciles the orphan (prod schema_migrations had 20260707130000 with no matching repo file). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * docs(import): fix stale unique-constraint comment (CodeRabbit) The completion-update comment still described the old (user_id, file_hash) constraint; it is (company_id, file_hash) since 20260707130000. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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3a88b53fd9 |
Add/api and invoice (#911)
* feat(salary): validate employee clearing/kontonummer at entry Bank details on the "Anställda" form had no structural validation, so a typo in clearing/kontonummer was saved silently and only surfaced at Bankgirot LB generation (or never, on the SEPA path). Adds a shared validator (lib/salary/payment/bank-account.ts) wired into the create dialog, edit page, CreateEmployeeSchema, and the PATCH route: 4-digit clearing or 5-digit Swedbank (8xxxx), 5-11 digit account, both-or-neither. Mirrors encodeReceiverAccount so entry-time validation matches what the payout layer can encode. Update validates only when a bank field actually changes, so legacy free-text data stays editable. Includes a conservative clearing to bank-name hint (null for unknown ranges). Per-bank mod10/mod11 checksum deferred to a soft-warning follow-up. Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com> * feat(chart-of-accounts): styled delete warnings and bulk select-all Replace the native window.confirm() on single-account delete with the styled DestructiveConfirmDialog, and add to the prune dialog a master 'select all unused accounts' checkbox plus an explicit confirmation step before bulk deletion. New sv/en strings for the confirm titles and actions. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(salary): encrypt personnummer on v1 employee create; tolerate legacy plaintext on read The v1 REST create route stored personnummer unencrypted, which then threw ERR_CRYPTO_INVALID_AUTH_TAG on every decrypt-on-read path and 500'd the employees roster. Encrypt on write in v1 create, decrypt on read in the v1 list/detail/patch responses, and make decryptPersonnummer pass a raw 12-digit value through with a warn so a legacy plaintext row can't take the roster down. Encrypt seeded personnummer. Add a gated, idempotent backfill for existing rows. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(bookkeeping): save a manual entry as a reusable template Add a "Spara som mall" action to the manual journal-entry form next to the existing "Anvand mall" picker, so users can capture a booking pattern the moment they work it out. Opens the shared TemplateForm (create mode) pre-seeded from the current lines via deriveTemplateLinesFromBooking, and saves through the existing POST /api/settings/booking-templates. Rendered in both the mobile and desktop layouts and in create + edit modes. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(pending): label all staged operation types The Granskning list rendered the raw snake_case operation_type (e.g. create_supplier_invoice_from_inbox) for any type missing from the label map, which hogs the meta row and wraps awkwardly on mobile. Add short sv/en labels for all operation types in OPERATION_RISK_TIERS, plus a humanized fallback for future ones, and simplify the label map to a plain operation_type -> i18n-key record (the icon/variant fields were dead). Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(reports): let users file moms without a Skatteverket connection The momsdeklaration was never gated on the Skatteverket connection (it renders from the bookkeeping), but the not-connected "Anslut med BankID" card read as a wall. Make manual filing a first-class path: - Add a "Lämna in din momsdeklaration" card under the report with a PDF download (SKV 4700 layout, hela kronor) and a skatteverket.se link. - Add a momsdeklaration PDF route + template; buildManualFilingRows() rounds each ruta to whole kronor and recomputes ruta 49 per the SKV 4700 formula so it ties out. The PDF is a read/record copy, not a submission file (moms has no upload channel). - Offer PDF alongside Excel in the report's export menu. - Reframe the not-connected SkatteverketPanel to "Skicka direkt till Skatteverket (valfritt)". Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(salary): compact new-employee dialog and warn on bad account check digit Redesign NewEmployeeDialog into a compact layout: borderless sections split by hairline dividers (no per-section cards), a fixed header + scrolling body + solid footer (fixes content showing through the old sticky bar), and denser grids. EmployeeTaxCard gains a `flat` variant so the dialog can host it without card chrome; the edit page keeps the boxed version. Add non-blocking Swedish account check-digit validation (lib/bankgiro/account-number.ts): mod10 (reuses luhn) + mod11, with a clearing->method table from the Bankgirot "Bankernas kontonummeruppbyggnad" spec, cross-checked against jop-io/kontonummer.js and verified against a real account (Forex 9420/4172385). Surfaced as a soft warning in both employee forms; unrecognised clearings return 'unknown' so we never warn on a valid but unmapped account. Never blocks saving. Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com> * feat(invoices): configurable send time + editing for recurring invoices Re-register the accidentally-removed recurring cron (now hourly) and add a per-schedule send hour (Europe/Stockholm, DST-aware). The cron never sends for a past date, and the enabling migration pauses every existing schedule on deploy so nothing auto-sends behind a user's back; users reactivate consciously (with a confirm) or click "Skapa faktura nu" to send this month on demand. Automatic sending now requires a customer email. Adds a full edit flow (row click opens the prefilled form, PATCH), fixing the row-click 404. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(invoices): configure självfaktura via the invoice API Add an optional is_self_billed flag (plus external_invoice_number, self_billing_agreement_ref, received_date) to the public invoice-create endpoint so callers can register a received self-billing invoice (mottagen självfaktura, ML 17 kap 15§) via the API. It was previously only reachable from the internal dashboard route, so it was missing from the API docs. Extract the booking into a shared service (lib/invoices/self-billed-sale.ts) and refactor the internal /api/invoices/self-billed route to a thin wrapper over it, so the dashboard and the API cannot drift. Books as a sale (Debit 1510 / Credit 30xx+26xx) with the counterparty's number; no own number is consumed. Fields are plain optionals (no schema refine) so UpdateInvoiceSchema.omit() keeps working; required-when-self-billed is enforced in the route. Documented in the endpoint registry. No migration (columns already exist). Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(settings): allow a partial voucher-series-per-source-type map In Zod 4 an enum-keyed z.record is exhaustive (every source_type required), so saving a default_voucher_series_per_source_type map that omits a source type (e.g. the newly added result_appropriation) failed with "expected string, received undefined". Use partialRecord so the map can be sparse; the engine falls back to series 'A' for any unmapped key. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * refactor(salary): resolve employer name via getCompanyDisplayName Payslip PDFs, the payslip email, AGI, KU10, and the BG/LB + SEPA payment files now resolve the employer name through getCompanyDisplayName (company_settings.company_name, falling back to companies.name), matching how invoices already display it. Read-side coalesce, so no migration or backfill: companies.name is write-once at onboarding and not authoritative for these surfaces. The sidebar company switcher uses the same coalesce for the non-active companies in the list. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * perf(kontoplan): index-only account usage counts + lighter reference load Add a covering index on journal_entry_lines (journal_entry_id, account_number) so get_account_usage_counts becomes an index-only scan (prod worst case ~440ms). Slim /api/bookkeeping/accounts/reference to return only the company's activation rows and merge against the client-bundled BAS_REFERENCE instead of re-sending the full ~1,300-account catalog every load, and defer the BAS catalog + usage counts off the first-paint critical path in ChartOfAccountsManager. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * i18n(salary): add bank-account checksum warning string sv/en strings for the employee bank-account (clearing/kontonummer) soft checksum warning shown by the create/edit forms. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * docs: update decision log Append the 2026-07-06/07 decision entries (salary employer-name coalesce, sidebar switcher, employees API personnummer fix, kontoplan load optimization, momsdeklaration manual filing, recurring invoices resend + reactivation + editing, "spara som mall", voucher-series partial map, and självfaktura via the invoice API). Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix: address compliance-review findings on recurring invoices + moms filing - recurring cron: close the double-send window with an atomic compare-and-set claim on last_run_at (release-on-failure) so two overlapping hourly runs can't both spawn from the same stale batch row - recurring edit dialog: force auto_send=false whenever the effective customer has no email, so a disabled-but-checked box can't PATCH auto_send=true after the async customer load - momsdeklaration manual-filing: truncate rutor to whole kronor (öretal faller bort per SFL 22 kap 1 §) instead of round-to-nearest, matching the SRU path Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.8 <noreply@anthropic.com> |
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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> |
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9b126d22b9 |
fix(reconciliation): server-side confidence floor for unattended auto-apply (#903)
* fix(reconciliation): server-side confidence floor for unattended auto-apply runReconciliation applied every greedy match, including auto_fuzzy at confidence 0.75, with no server-side threshold. The UI is checkbox-gated, but the unattended callers (enable-banking nightly sync cron, the extension's post-sync sweep, and the v1 run endpoint) had no guardrail. - Add ReconciliationOptions.confidenceThreshold (0..1, clamped): the apply loop skips matches below it. Skipped matches stay in the result's matches array and are counted in the new skippedBelowThreshold field, so they are reported for review rather than silently dropped. Dry runs are unaffected; omitting the threshold preserves current behavior. - Both enable-banking sync callers now pass DEFAULT_UNATTENDED_CONFIDENCE_THRESHOLD (0.9, mirroring the gnubok_auto_match_period MCP default), so unattended runs never commit fuzzy (0.75) or date-range (0.85) matches. - v1 POST /reconciliation/bank/run accepts confidence_threshold (optional, 0..1, mirroring the MCP tool naming) and returns skipped_below_threshold; registry docs/pitfalls updated. Closes #880 Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(reconciliation): surface skippedBelowThreshold in unattended sync logs Review finding on the first pass: the floor's 'reported, not silently dropped' guarantee never reached the two unattended callers, which discarded or under-logged the result. Also logs the DECISIONS.md line for the deliberate no-default choice on the v1 route. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- 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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237b77a366 |
feat: custom inbound mail domains, rot/rut payout file, invoice email texts, security hardening (#878)
* fix(security): guard MCP test keys, RLS role gate + voucher RPC guards, /api MFA gate, deps - MCP: force dry-run / block writes for test-mode API keys in tools/call (extensions/general/mcp-server) - DB: current_user_can_write role gate on write policies (40 tables) + tenant guards, SET search_path, REVOKE anon on commit_journal_entry / next_voucher_number / detect_voucher_gaps (migration 20260702093000) - Middleware: MFA (AAL2) gate on cookie-authenticated /api routes via apiPathSkipsMfaGate - Deps: npm audit fix clears mailparser/linkify-it/nodemailer/svix/uuid highs; xlsx -> SheetJS 0.20.3 Adds unit + pg-real tests. Does not touch in-progress ROT/RUT or invoice-email-texts work. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(invoices): rot/rut begäran om utbetalning — HUS XML (V6), payout tracking + settlement, MCP tool Generates Skatteverkets begäran-om-utbetalning file (schema V6) from paid ROT/RUT invoices — no submission API exists, the file is uploaded manually at skatteverket.se. Headless by design for now: API routes + MCP tool (gnubok_generate_rot_rut_file), no UI surfaces. - lib/invoices/rot-rut-file.ts: pure XML generator with deterministic per-invoice blockers (hours, work type, personnummer, property info, mixed rot+rut, XSD limits) + 31 January deadline warnings - rot_rut_payout_requests(+items) tables: one active begäran per invoice (DB triggers incl. reactivation guard), RLS, audit, pg-real tests - Settlement: POST /settle books debit 1930 / credit 1513 via the engine (source_type rot_rut_payout); partial payouts → partially_paid - Work-type lists corrected against Begaran.xsd: IT-tjänster is rut-only, snöskottning/tillsyn/tvätt added (schablontjänster utfört-only) - Fix: invoice-level fastighetsbeteckning was validated but never persisted — now stamped onto rot lines in build-invoice-write; API accepts bostadsrätt pair (lägenhetsnr + BRF orgnr, editor UI deferred) - invoice_items.brf_org_number migration + MCP scope invoices:write Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(invoices): per-company editable invoice email texts Add an "E-posttexter" section under Settings -> Fakturering where the subject, greeting, body and sign-off of the standard invoice email can be customized per company in Swedish and English. Fields pre-fill with the standard texts and only diffs from the standard are stored (company_settings.invoice_email_texts JSONB), so future improvements to the stock wording still reach companies that have not customized. Each field has a reset-to-standard button; cleared fields snap back. Texts support a fixed placeholder set (invoice number, customer name, first name, company, due date, amount) substituted at send time in a single pass; unknown placeholders stay literal. Custom texts are HTML-escaped after substitution, newlines become <br> in the HTML variant, and subject lines are flattened to a single header line. Overrides apply to standard invoices only - credit notes, proforma and delivery notes keep the stock texts. All send paths (UI, v1 API, MCP approval, recurring) pick the texts up via the existing settings row. The Zod schema half of this change (InvoiceEmailTextsSchema in lib/api/schemas.ts) was inadvertently included in 8291f745. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(documents): accept PDFs with preamble before %PDF- header, surface content rejections as 400 detectFileMagic required the %PDF- signature at byte 0 (BOM aside), rejecting genuine PDFs that carry a leading newline or junk bytes — files every ISO 32000 reader opens fine. Now scan the first 1024 bytes for the signature, matching real-reader behavior. Image types stay strict at offset 0 to keep the anti-placeholder defense tight. Magic-byte rejections were also mislabeled as DOC_UPLOAD_STORAGE_FAILED (500 'Filen kunde inte sparas'), blaming storage for a client-side file problem. Both upload routes now map them to a new DOC_UPLOAD_INVALID_CONTENT (400) with an accurate message. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(bookkeeping): full keyboard flow for manual journal entry Enter now drives the whole verifikat flow: verifikationstext drops into the first row missing an account, konto commits advance to debet, Enter on an empty debet hops to kredit, and an entered amount jumps to the next row. Once the voucher balances, Enter opens the review (unchanged gate) and the auto-focused confirm posts it — including through the no-underlag warning dialog. Escape in the inline review goes back to the form. Also fixes an Enter footgun in AccountCombobox: a bare Enter on a freshly focused field no longer selects the first account in the list — selection now requires typing or arrow navigation; otherwise Enter re-commits the current value or bubbles to the form-level handler. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat: add custom inbound domains management for companies - Implemented functionality to allow companies to claim and manage their own inbound email domains via Resend's API. - Created a new table `company_inbound_domains` to store domain information, including status and DNS records. - Added necessary RLS policies to restrict access based on user roles (owner/admin). - Developed functions for domain normalization, validation, claiming, verification, and removal. - Implemented webhook handling for domain status updates from Resend. - Added comprehensive tests for RLS, constraints, and triggers related to the new domain management feature. * fix: address PR #878 review findings and CI failures - migrations: drop the ai_usage_tracking policy block from the role-gate migration — the table was removed by 20260504120000_remove_ai_subsystem and only lingers on staging as drift; a from-scratch chain (pg-real, Supabase preview) failed on it - invoice-inbox: never flip a custom domain to verified off a domain.updated webhook alone — confirm the receiving capability with Resend first (fail-closed); normalize both sides of the orphan-adoption domain match - rot/rut: block files where begärt belopp exceeds what the buyer paid (DEDUCTION_EXCEEDS_PAYMENT); tighten brf_org_number validation to real orgnr shapes; parameterize the settlement bank account (19xx, default 1930) - rot/rut routes: log acting user on financial mutations, stop swallowing item mirror errors, narrow response projections (no customer ids through the invoice join); document the deliberate inline-XML decision - documents: stop echoing raw storage-layer error messages to clients Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix: round-2 CI + compliance findings on PR #878 - migrations: the role-gate migration targeted automation_webhooks, which 20260515170000_webhooks_v2 renamed to webhooks on the canonical chain (staging kept the old name — drift); gate public.webhooks instead, dropping legacy schema-sync policy names defensively. Restore the 20260623130000 owner fallback in next_voucher_number that the stale copied-verbatim body silently reverted (caught by engine.pg locally). Full migration chain verified from scratch against supabase/postgres:15. - mcp: bump the tools/list payload ceiling 44K -> 45K — main's #877 qualified-identifier schemas plus this branch's rot/rut tool crossed the ceiling only in combination; documented in the test's history log. - rot/rut: refuse partial settlement before Skatteverkets beslut is recorded (would bypass the PATCH lifecycle and strand the request); block zero-kronor ärenden (ZERO_DEDUCTION); require sekelsiffra 16 on 12-digit brf orgnr in both schema validation and normalizeBrfOrgNr Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix: rename branch migrations off main's colliding versions After the merge with main, two versions were shared by two files each (20260702100000: rot_rut_payout_requests vs company_settings_dimensions_ enabled; 20260702130000: invoice_email_texts vs pending_operations_add_ create_dimension_value). psql-based CI applies by filename and doesn't care, but Supabase branching records migrations by version (PK) — the second file with the same version breaks the preview with a schema_migrations_pkey duplicate. Neither branch migration is version- recorded on staging or prod, so renaming to fresh 20260703 versions is safe; nothing between the old and new positions depends on these objects. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(security): scope the /api MFA-gate bypass to real Bearer-auth surfaces Any Authorization header — attacker-controlled — used to skip the AAL2 gate for every /api route, so a stolen-password AAL1 cookie session could reach cookie-authenticated routes (which ignore the header) by attaching `Authorization: x`. The skip is now scoped to the surfaces whose auth contract IS the header (/api/v1 API keys, the MCP endpoint's OAuth tokens); pure Bearer callers elsewhere (cron secret, signed webhooks) carry no cookie session and were never touched by the gate, which only fires for cookie users. Superagent P2 on PR #878. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * test: normalize path separators in dimension statutory guard scan The route scan compared walked file paths against a POSIX-path allowlist, so the suite failed on Windows (backslash separators) while passing on Linux CI. Normalize the scanned paths to forward slashes. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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ea236cbcdf |
fix(reconciliation): Bankavstämning phase 0 — correctness + feedback batch (+ nav IA regrouping) (#879)
* feat(nav): interaction-mode sidebar grouping — Arbeta/Analys/Data/Skatt & bokslut Nav IA redesign phase 0 (dev_docs/nav_ia_redesign.md): same routes, regrouped by what the user is doing. CLAUDE.md restructured around Hard Rules (doc references updated); pending-page explainer removed. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(reconciliation): correctness + feedback batch for Bankavstämning (phase 0) Engine: fetchAllRows pagination on status/run/RPC fetches (silent 1000-row cap corrupted totals), optimistic-lock guards on manualLink + apply, unlink audit rows attributed to the acting user (was: company UUID), selected_matches partial apply intersected with a fresh match run. View: silent in-place refresh instead of a full-page skeleton per action, checkbox-gated apply with confidence badges (fuzzy unticked) in chunks of 500, honest result toasts, dry-run errors surfaced, ranked per-row picker candidates pinned to the applied date window, currency-correct amounts (bank side in account currency, GL side SEK), voucher links, translated source types, colored differens, dirty-date-filter guard. Discovery: year-end preflight 404 href fixed (/reconciliation/bank never existed), ⌘K palette entry, real links from the transactions page. v1: status registry schema now matches the actual ReconciliationStatus payload, errors documented as a count, false ~0.85-threshold pitfall replaced, route test mocks the real shape. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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163fbd8222 |
feat(dimensions): PR8 salary — employees.default_dimensions, per-employee cost lines, aggregation re-key (#869)
Employees carry a default dimensions bag and the salary booking puts each
employee's cost on their kostnadsställe/projekt
(dev_docs/dimensions_implementation_plan.md PR8):
- employees.default_dimensions (migration 20260702220000; jsonb DEFAULT
'{}' + object CHECK)
- salary-entries: the one-line-per-account aggregation is re-keyed to
account+bag — P&L cost lines (löner incl. line items + base remainder,
arbetsgivaravgifter, semesteravsättning + dess avgifter, pension, SLP)
split per employee bag while every balance-sheet/settlement leg (2710,
1930, 2731, 29xx, 2740, 2514) stays aggregated; liability credits equal
the sum of the rounded debit buckets so entries balance by construction;
dimension-less runs book byte-identically to before. Replaces the dead
SalaryRunEmployee.cost_center/project pair (never wired)
- both book routes (dashboard + v1) read the bag via the employees join —
read-at-book, so the run review shows exactly what will book
- employee form (new + edit) gets a gated Kostnadsställe/Projekt card;
run review shows per-employee dims chips; run GET + v1 employee
routes/schemas + MCP list_employees carry the field
- pre-merge audit: all salary reports (salary-journal, AGI,
avgifter-basis, vacation-liability) read salary_run_employees — not
journal lines — and every ledger consumer sums per account, so the
line split breaks nothing; SIE export + dimension P&L pick the split
up as intended
8 new engine propagation tests + book-route dims flow test.
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
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8bb49c07a2 |
feat(dimensions): PR2 registry — CRUD API, register UI, settings toggle, SIE export on the new registry (#858)
* feat(dimensions): PR2 registry — CRUD API, register UI, settings toggle, SIE export on the new registry
Phase 2 of dev_docs/dimensions_implementation_plan.md. Companies with
dimensions_enabled=false (default) see zero change.
API:
- Dashboard CRUD: GET /api/dimensions (lazy-seeds system dims 1/6 via the
ensure_company_dimensions RPC), PATCH /api/dimensions/[id] (is_system
rename blocked), POST/PATCH/DELETE values (code immutable after creation;
strict Fortnox code format ^[A-Za-z0-9ÅÄÖåäö_+\-]{1,20}$ at the API layer;
retention-trigger deletes surface the Swedish "arkivera istället" message
as 409 DIMENSION_VALUE_REFERENCED).
- POST /api/dimensions/import-existing — scans journal_entry_lines.dimensions
for unregistered codes and mints inactive placeholder registry rows.
- v1 public API: GET dimensions + POST values (Idempotency-Key, dry-run),
registered in the OpenAPI spec (102→104 endpoints).
- dimensions_enabled boolean on company_settings (new migration,
UI-visibility only, never correctness-bearing) exposed through the
existing settings read/update path.
SIE export (lib/reports/sie-export.ts):
- Reads the new dimensions/dimension_values registry; legacy
cost_centers/projects tables now have zero readers (drop migration next).
- Fixes the latent Visma-rejection bug: #OBJEKT now declared for INACTIVE
values referenced by lines.
- Generic-N: #DIM/#UNDERDIM loop sorted by sie_dim_no; #TRANS object lists
serialize from the line JSONB map (sorted, '01'→'1' collapse); orphan
codes/dims synthesize declarations from the SIE reserved-number seed —
every referenced (dim, code) pair is guaranteed declared.
UI:
- /dimensions register (Register-recipe): tabs per dimension, search,
sortable table, value dialog (code immutable on edit, projekt dates on
dim 6), archive-not-delete affordances.
- DimensionCombobox shipped (mounts in the tagging PR).
- Settings toggle "Aktivera kostnadsställen & projekt" — toggle-on runs the
import-existing scan and links to the register.
- Nav row in redovisning, rendered only when dimensions_enabled (same
mechanism as pays_salaries).
- dimensions.* i18n namespace (51 keys, sv/en parity).
- Sandbox seed: demo dims + values, revenue line tagged {"1":"BUTIK","6":"P001"}.
Verified: 6328/6328 unit tests, guard + coverage gate green, tsc parity with
main (210=210), production build passes.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* fix(dimensions): PR2 review round — atomic archived-create, UNDERDIM ordering, import robustness, date semantics
- POST values accepts is_active so "create as archived" is atomic; the UI's
fragile create-then-PATCH fallback is deleted (PR Agent finding 1).
- DimensionCombobox blur revert reads the committed value/values through refs
so a selection landing inside the 150ms window always wins (finding 2).
- import-existing sanitizes candidate codes like the PR1 backfill and upserts
with ignoreDuplicates — one bad/duplicate code can no longer abort the
batch; created counted from returned rows (finding 3).
- SIE export emits all root #DIM before any #UNDERDIM so a parent always
precedes a lower-numbered child (SIE4 declaration order — Swedish review);
synthesized placeholder declarations now log one structured warning
(BFNAR 2013:2 behandlingshistorik) + defence-in-depth comment.
- Value dates rejected (400 DIMENSION_VALUE_DATES_NOT_ALLOWED) when the
parent dimension is flow-period (resets_annually=true); explicit null
still clears (Swedish review).
- Sandbox seed logs seeded dimension codes; GET /api/dimensions documents
the deliberate absence of dimensions_enabled gating (UI-visibility flag,
not a security boundary — compliance-swarm V8.2.1 rejected by design).
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
---------
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
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5df6199bd1 |
fix(invoices): remaining_amount + invoice.paid on agent mark-paid path (#825) (#845)
* fix(invoices): book remaining_amount + emit invoice.paid on agent mark-paid path (#825) The agent/MCP commit path commitMarkInvoicePaid flipped status to 'paid' and set paid_amount = total but never wrote remaining_amount (left at the original total) and never emitted invoice.paid — so partial state and webhooks diverged from the dashboard and v1 mark-paid routes. Route the agent path through the shared planInvoicePayment helper (the source of truth introduced in #841): compute paid/remaining/status with the overpayment guard BEFORE booking the JE (so a rejected payment never burns a voucher number), persist remaining_amount + the partially_paid transition, and best-effort emit invoice.paid for webhook parity. Adds lib/pending-operations/__tests__/mark-invoice-paid.test.ts covering the state + event behaviour of this path. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(invoices): address review feedback on agent mark-paid path (#825) - CAS-guard 409 message now reflects the expanded payable states: the UPDATE filter accepts partially_paid (reachable via a concurrent settle race), not just sent/overdue. - Derive the settle amount from total − paid_amount when remaining_amount is null (legacy rows) instead of falling back to the full total, so a prior partial payment is not double-counted into a false overpayment rejection. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(invoices): derive remaining from total − paid_amount on all mark-paid surfaces (#825) The dashboard and v1 mark-paid routes defaulted the settle amount to invoice.total when remaining_amount was null, which over-settles a legacy invoice that has a prior partial payment recorded in paid_amount (false overpayment / AR over-credit). Align both with the agent path (commit.ts): remaining_amount ?? total − paid_amount. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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f8504f3bd0 |
fix: audit batch — pagination truncation, MFA/dead-code cleanup, mark-paid fail-closed (#841)
* fix(reports): paginate 8 more report/ledger queries (1000-row truncation) Raw .select() without fetchAllRows() silently caps at PostgREST's 1000-row limit, producing wrong statutory output for high-volume companies. Following #806 (trial-balance/VAT), wrap the remaining offenders in fetchAllRows + a stable .order('id') + dedupeBy: - ink2-engine / ne-engine: INK2 & NE-bilaga tax declarations under-counted - ar-reconciliation (1510/1513), supplier-reconciliation (2440): phantom "Ej avstämd" gaps - full-archive-export: 7-year DR archive (added a unique total order so rows are not silently skipped/duplicated across pages) - avgifter-basis, currency-revaluation, vat-declaration Adds a regression guard test asserting >1000 ledger lines are summed, not truncated at 1000. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(api): close extension-dispatcher MFA gap, scope /api/events to API key, sweep dead code Security/correctness: - ext/[...path] dispatcher now uses requireAuth() instead of inline supabase.auth.getUser(), enforcing MFA (AAL2) on hosted across the whole enabled-extension surface (banking sync, document upload/booking, supplier invoices, migration). Ratchets antipatterns-baseline raw-route-auth 168->165. - /api/events now filters by the API key's bound company_id instead of the user's active company (was a cross-company read with a scoped key). - enable-banking OAuth callback calls ensureInitialized() at module load so the PSD2 consent audit event (ASVS V16 / GDPR Art.30) isn't dropped on a cold-start instance. Dead-code sweep (all confirmed zero importers): - delete lib/tax/calculator.ts, lib/salary/engangsskatt.ts (+test), lib/email/resend.ts, lib/salary/salary-transaction-matcher.ts, lib/webhooks/diff.ts, lib/salary/effective-values.ts, lib/bookkeeping/template-prompt.ts - trim unused lib/vat/eu-countries.ts helpers (keep EU_COUNTRIES) - remove dead getAutomaticStatus() and the abandoned Activepieces CSP entry Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(invoices): fail closed when a payment journal entry doesn't post Three mark-paid paths (legacy route, v1 API, agent commit) diverged on the "mark paid but the JE failed" case — two would flip the invoice to paid (or leave an orphaned posted voucher) with no booking, silently diverging the GL from the AR/AP sub-ledger. Unify on fail-closed: - legacy + v1 + agent commitMarkInvoicePaid: never mark paid without a posted voucher; on a null/failed JE return INVOICE_PAID_BOOK_FAILED before any state mutation (v1 mirrors the match-invoice strict mode). - agent path: add the .in('status',[...]).select('id') CAS guard and cancel the orphaned voucher (cancelOrphanedPaymentEntry) on a lost race or update error, matching the web route. - legacy route: cancel the orphan on a non-race update error too (was only handled on the race branch). - supplier mark-paid: stop swallowing a failed supplier_invoice_payments insert — that row drives the reversal amount in payment-sync; roll back the status flip and cancel the voucher instead. - pending-ops orchestrator: error-check the terminal 'committed' write so an op stranded in 'committing' (the expire sweep only targets 'pending') is at least logged loudly. Adds a guard test for the legacy fail-closed path. Full unit suite green. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(ci): unblock core build + address compliance-review findings - avgifter-basis.ts: fix the core-build TypeScript error — PostgREST's type-level select parser models the salary_run embed as an array, which wasn't assignable to the object-typed generic. Type it `unknown` (rows are read via an explicit cast), making it robust across postgrest-js versions. - /api/events: add a non-null companyId guard before the event_log query (defense-in-depth for the API-key-bound scope) — addresses ASVS V8.2.1 / ISO A.5.15. - supplier mark-paid: add a CAS guard (.eq('status', newStatus)) to the payment-insert-failure rollback so a concurrent settlement can't be clobbered — addresses ASVS V2.3. - dispatcher: add an AAL2 regression test asserting a non-MFA session is rejected (403) and the extension handler never runs — addresses the GDPR Art.32 review ask for the single extension chokepoint. Verified deletions are safe: effective-values.ts was a dead duplicate — the live AGI/payslip path inlines the same `?? override` coalescing (generate-declaration.ts), so AGI correctness is unaffected. next build: exit 0. Full unit suite: 6147 passing. ESLint clean. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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5b4cefe8ab |
feat(api): v1 endpoints to stamp invoice inbox items as consumed (#767)
* feat(api): v1 endpoints to stamp invoice inbox items as consumed
Adds inbox_item_id support to POST /api/v1/companies/{companyId}/documents/{id}/link
(best-effort stamp on the originating invoice_inbox_items row) and a new dedicated
POST /api/v1/companies/{companyId}/inbox-items/{id}/stamp endpoint for stamping
independently of the document link — both use documents:write scope and require
Idempotency-Key.
Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com>
Signed-off-by: Jonas Flodén <jonas@floden.nu>
* fix(api): wrap stamp response in dataEnvelope and register route in load-routes
Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com>
Signed-off-by: Jonas Flodén <jonas@floden.nu>
---------
Signed-off-by: Jonas Flodén <jonas@floden.nu>
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837f354d81 |
fix(sie): add ?encoding=cp437 for legacy bookkeeping software (#810)
* fix(sie): add ?encoding=cp437 option for legacy bookkeeping software SIE spec mandates CP437 (#FORMAT PC8) but accounted generates UTF-8. Most modern cloud tools (Fortnox, Bokio) accept UTF-8 fine, so UTF-8 remains the default. Pass ?encoding=cp437 to get a properly encoded CP437 binary with #FORMAT PC8 in the header, required by desktop software such as Visma Administration and BL Administration. Removes the spurious #FORMAT PC8 tag from the default UTF-8 output since declaring CP437 while serving UTF-8 caused mojibake on import. Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(sie): wrap Uint8Array in Buffer.from so NextResponse accepts it Uint8Array is not directly assignable to BodyInit in the Next.js NextResponse constructor — wrapping with Buffer.from() satisfies the type without changing the byte content. Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> --------- Signed-off-by: Jonas Flodén <jonas@floden.nu> |
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4f0a7b1db0 |
feat(entitlements): per-company capability paywall — gate, trial seeding, UI upsells, Stripe checkout (#815)
* feat(entitlements): capability-grant gate substrate (paywall + modularity) Two-axis capability primitive behind the SaaS paywall and the per-tenant modularity/marketplace vision: - migration: capability_grants (entitlement axis, polymorphic company/firm scope), company_capability_config (enablement axis), metered_events (append-only), company_has_capability() RPC reusing the 20260619130100 tenant guard; SELECT-only RLS (writes service-role only, no self-grant). - lib/entitlements: hasCapability/requireCapability gate (mirrors guardSandbox, fail-closed, NEXT_PUBLIC_SELF_HOSTED bypass), capability key namespace, metering helper. - unit (11) + pg-real tests (RPC/RLS/tenant-guard incl. no-self-grant). Gate not yet wired into call sites (follow-up commit). Paid keys: ai, bank_sync, skatteverket, email_send. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(entitlements): enforce capability gate at paid external-service chokepoints Wire the gate into the paid surfaces (keys: ai, email_send, bank_sync, skatteverket): - AI routes (agent invoke/composer/onboarding stream): requireCapability(ai) - Invoice send (web + v1): requireCapability(email_send) - document-extraction event handler: skip Bedrock extract if ai not entitled - enable-banking + skatteverket crons: per-company hasCapability skip in loop - colocated send-route test mocks updated (requireCapability -> null) Free per founder decision: TIC org lookup, VIES VAT validation, FX auto-fetch, cloud backup, BankID login, all internal bookkeeping. DEPLOY ORDER: fail-closed by design — do NOT deploy before trial/comp grant seeding lands, or companies without grants lose these features. Seeding + Stripe checkout/webhook are the next steps. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(entitlements): seed trial + comp capability grants Makes the fail-closed gate safely deployable — nobody is locked out at cutover: - AFTER INSERT trigger on companies grants every NEW company a 30-day trial on the PAID keys (ai, bank_sync, skatteverket, email_send), on ALL creation paths (RPC/MCP/direct) — so a new signup can use onboarding AI immediately. - one-time backfill for EXISTING companies: created <=2026-06-07 -> trial ends 2026-07-07; created later -> created_at + 30 days. - permanent comp grants for Arcim/Mattsson (matched by name, no hardcoded UUIDs). - pg tests: clearGrants() for controlled resolver tests + trigger coverage. Trigger fn is SECURITY DEFINER so it writes grants regardless of caller RLS (table has no INSERT policy for authenticated — no self-grant). Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(entitlements): client capability visibility + billing page Non-payers get a clean upsell instead of broken/empty features: - CompanyContext gains capabilities[] + useCapability(key); resolved once server-side in the dashboard layout via getCompanyCapabilities (batched, 2 queries), all three provider branches wired. - /settings/billing upgrade page — the destination upsells point to (Stripe Payment Link via NEXT_PUBLIC_STRIPE_PAYMENT_LINK; degrades to 'coming soon' until automated checkout lands). - ChatEmptyState: non-payer sees an Uppgradera CTA (mirrors the sandbox state). - SendInvoiceDialog: email send disabled + upsell note when email_send missing (extends the existing sandbox-disable pattern). Fast-follow: chat input/FAB + document-inbox empty state + bank/skatteverket/ AI-suggest buttons + a shared capability_blocked->toast backstop. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(entitlements): gate remaining paid UI surfaces with upsell (fast-follow) disable-with-upsell across the rest of the paid surfaces (keys: bank_sync, skatteverket, ai): - BankSyncNowButton: sync/reconnect disabled + note when !bank_sync (CSV/SIE stays free) - AGIPanel: AGI submit-to-Skatteverket disabled + note when !skatteverket - SkatteverketConnectPanel: BankID connect/reconnect disabled + upsell - ApprovalCard: AI re-propose (correction) gated; manual approve/reject stay free - InvoiceInboxWorkspace: upsell when extraction empty AND !ai (deterministic parse + manual entry unaffected) - AgentTrigger FAB: routes to /settings/billing when !ai (no dead chat) - settings nav: 'Abonnemang'/'Subscription' link to /settings/billing (sv/en) TaxPaymentPanel + TransactionInboxCard intentionally untouched — only local/ deterministic actions there, nothing paid+external to gate. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(entitlements): automated Stripe subscription checkout + webhook Self-serve revenue wired to the same capability-grant primitive: - migration: company_subscriptions (company<->Stripe link/status) + stripe_webhook_events (idempotency) - lib/stripe: getStripe singleton, plan->price mapping, subscription-sync (statusGrantsAccess / subscriptionToState / applySubscriptionState / handleStripeEvent). Active sub -> upsert source='stripe' grants for PAID keys (expiry = period_end + 3d grace); canceled/unpaid -> remove ONLY stripe grants (freeze-and-retain). - routes: POST /api/billing/checkout (hosted subscription Checkout, company_id metadata), POST /api/billing/portal (Customer Portal), POST /api/stripe/webhook (raw-body signature verify, event-id dedup; handles checkout.session.completed + customer.subscription.*) - billing page: real plan-toggle Checkout CTA / manage-subscription portal, gated on isStripeConfigured() - adds stripe@22; unit tests for sync logic Provisioning is webhook-driven (never trusts the success redirect). Needs env: STRIPE_SECRET_KEY, STRIPE_WEBHOOK_SECRET, STRIPE_PRICE_MONTHLY, STRIPE_PRICE_YEARLY. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(entitlements): validate UUIDs in capability filter + log webhook errors Addresses PR review (Superagent Security / PR Agent): - has-capability.ts: validate companyId/teamId as UUIDs before interpolating into the PostgREST .or() filter (fail-closed) — removes the latent injection vector flagged in the entitlement gate. Unit tests updated to use UUIDs. - stripe/webhook: log processing failures with event id + type before the generic 500, so a failing webhook is visible to operators. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(salary): always-free AGI XML download for manual filing; only direct API submit is paid Per founder decision on the swedish-compliance-review finding: AGI is a mandatory statutory filing, so producing/downloading the AGI XML must never be paywalled. Adds a free 'Ladda ner AGI-fil' button (generates + downloads the XML for manual upload to Skatteverket's e-service) on all tiers; the gated 'Skicka in underlag' stays the paid convenience (direct API submission — which also requires the paid BankID connection). Upsell reworded to point to the manual path. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(entitlements): harden comp-grant match after prod verification Verified Arcim/Mattsson in prod (pwxtzglxptnnvjrpixpg): the name match was case-sensitive (missed the active 'Arcim technology AB' lowercase variant) and would have granted 3 archived dupes. Now match by org_number (5595386219 / 5595719864) OR case-insensitive name, active companies only — hits exactly the 3 active comp companies, excludes archived dupes and the unrelated 'Amnäs Mattsson, Emil' enskild firma. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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fce6faff2c |
fix(api): stabilize report pagination + declare real { data, meta } envelope on v1 single/write endpoints (#811)
* fix(reports): stabilize fetchAllRows paging to stop doubled/dropped balances (#790, #791) PostgREST `.range()` paging is only correct when the underlying query has a stable TOTAL order. Several aggregating report queries (general ledger, trial balance, grundbok, supplier/AR ledgers, etc.) paginated without `.order()`, so on datasets larger than one 1000-row page Postgres could return rows in a different order between requests — silently DUPLICATING or SKIPPING rows on a page boundary and doubling or dropping financial totals. - fetch-all.ts: document the ordering invariant and add an optional `dedupeBy` defense-in-depth that drops cross-page duplicates and warns when it fires (surfaces a missing `.order()` in logs instead of corrupting money). - Add a stable `.order()` (line PK or account_number) to every paginated query in lib/reports/ and the account-balances route; pass `dedupeBy` on the money-aggregating line queries. - Add fetch-all unit tests and update report test fixtures to carry row ids. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(api): declare the real { data, meta } envelope on v1 single/write/204 endpoints (#794) The OpenAPI generator derives each endpoint's documented body purely from its registered `response.success` Zod schema, and that schema is never validated at runtime — so a route could advertise a shape its handler never sends. #802 fixed this for list endpoints; the same drift was latent on single-resource and write endpoints, which declared the bare resource schema instead of the `{ data, meta }` envelope the handlers actually return. - registry.ts: extend `ResponseMetaSchema` with the optional `audit` block and `partial_expansions` list that writes/expansions emit; add the `NoBodyResponse` sentinel so 204 DELETE handlers document a bare 204 instead of a phantom 200. - Wrap every single/write endpoint's `response.success` in `dataEnvelope(...)` (or `NoBodyResponse` for 204s) across the v1 routes. - Add a response-envelope contract test that fails CI if any JSON endpoint forgets to wrap its schema, with binary downloads and 204s as the only exemptions. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(reports): extend paging dedupeBy to rc-basis-gaps and opening-balances Address PR review: these two money-aggregating line queries already had the stable `.order('id')` (so paging was correct) but didn't carry `id` in the select, so they couldn't use the `dedupeBy` defense-in-depth that general-ledger and trial-balance got. Select `id` and pass `dedupeBy: r => r.id` so the whole report layer applies the ordering invariant consistently. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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fc2b4d1e23 |
fix(api): declare the real { data, meta } envelope for v1 list endpoints (#802)
The OpenAPI success schemas for v1 list endpoints declared a bare
{ <name>: [...] } object that no handler returns, so the published spec
advertised a shape the API never emits (#781, item 2). response.success is
doc-only (feeds zodToJsonSchema for /openapi.json; not validated at runtime),
so this is a documentation fix with no behaviour change.
Add listEnvelope() ({ data: [...], meta }) and dataEnvelope() ({ data, meta })
plus a shared ResponseMetaSchema. Ten endpoints that return paginated() now use
listEnvelope; the three that deliberately wrap their array under a named key via
ok() (accounts, fiscal-periods, webhooks — a shape their route tests lock in)
use dataEnvelope. Also corrects the accounts/fiscal-periods examples, which
showed an unwrapped data: [...] that contradicted their handlers.
Refs #781.
Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
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55ba66908b |
feat(salary): let an enskild firma employ staff while blocking owner/board payroll (#797)
An enskild firma that hires staff should get the payroll module, but its owner or board can never be on payroll (owner compensation is egna uttag / BAS 2013, not lön). - Migration 20260628120000 adds the enforce_ef_no_owner_employee trigger (BEFORE INSERT OR UPDATE OF employment_type) as the all-paths backstop. - lib/salary/employment-rules.ts is the app-layer mirror (forbidden set kept byte-identical to the trigger); getCompanyEntityType() resolves the same company_settings -> companies precedence. - The two UI salary routes and the v1 POST guard before insert/update for a clean 400 with guidance. - Payroll nav + Lön settings now show for any employer (aktiebolag OR company_settings.pays_salaries), wired through the dashboard layout. Fixes #782. Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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9278221616 |
fix(api): guard params await so static v1 routes don't 500 (#795)
Next.js 16 invokes a static route handler (no [segment]) with
{ params: undefined }. /api/v1/companies is the only authenticated static
route on the v1 surface, so awaiting params.params null-derefs and the catch
turns it into a 500 for every valid API key. Guard the await:
((await params?.params) ?? {}). Dynamic routes are unaffected. Fixes #781.
Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
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10a0b1d8dd |
fix(invoices): embed company logo as PNG so it renders on invoice PDFs (#772) (#776)
* fix(invoices): embed company logo as PNG so it renders on invoice PDFs (#772) @react-pdf/renderer's <Image> only decodes JPG/PNG, but the logo upload route and the `logos` bucket also accept SVG and WebP. For an SVG/WebP logo @react-pdf silently swallows the decode error (console.warn inside a try/catch in its fetchImage step), so the invoice renders with NO logo and nothing surfaces — "Logotyp kommer inte med på fakturor". Fix: prepareInvoicePdfRender now fetches the stored logo and re-encodes it to a PNG data URL via sharp (SVGs rasterized at higher density), handing the template a company whose logo_url is that data URL. Renders regardless of upload format and removes the render-time dependency on a remote fetch inside @react-pdf. Falls back to the original URL unchanged on any failure (network, unreadable image, sharp unavailable), so behaviour is never worse than before. Result is cached per logo URL (5-min TTL, bounded to 50) since the logo is re-rendered on every invoice — twice per send and once per invoice in recurring/batch loops. prepareInvoicePdfRender becomes async and returns the resolved { branding, company }; all 8 call sites updated (6 routes, recurring-schedule-service, pending-operations/commit) to await it and pass the resolved company. Layered cleanly on top of the Swish-QR feature already on main — both coexist at every call site. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(invoices): bound and dedupe the logo fetch (review hardening) Review (PR Agent security): resolveLogoDataUrl fetched logo_url with no timeout or size limit. Add a 5s AbortSignal.timeout and a 5 MB cap (checked on the declared content-length and the read body) so a slow/oversized logo host can't hang or balloon an invoice render. SSRF itself isn't reachable today — logo_url is only ever set to a Supabase logos-bucket URL by the upload route — so an origin allowlist is intentionally skipped (would break self-hosted storage). Also coalesce concurrent renders of the same logo (preflight+final on a send, and recurring/batch loops) onto one in-flight fetch+encode instead of N. New test covers the size-cap fallback; existing SVG test now asserts the timeout signal. 9/9 pass. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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241959513b |
Fix/mcp and req (#753)
* feat(api): test-mode API keys force dry-run on the v1 REST API A key created with mode='test' (prefix gnubok_sk_test_) binds to the real company, but the v1 wrapper forces dry_run on every write so nothing is persisted or sent. Mutations on endpoints that can't be simulated (dryRunSupported=false or unregistered) are refused with 403 TEST_KEY_WRITE_BLOCKED — fail-closed. Reads pass through unchanged and every test-key response carries X-Gnubok-Mode: test. Live keys are unaffected (mode defaults to 'live'). Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(invoices): company default "Vår referens" + per-line sales-account override Add company_settings.default_our_reference (settings form, schema, type); the invoice editor pre-fills our_reference from it on new invoices only, never overwriting an edited draft. Separately, add an optional per-line försäljningskonto (class-3) override in the editor — left blank, the engine still derives the revenue account from the VAT rate, and reverse-charge/export lines ignore the override. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(invoices): render a Swish payment QR on invoice PDFs Build the Swish "Type C" QR payload offline (no Swish API call) and embed it as a PNG in the invoice PDF payment box when Swish display is enabled, the invoice is in SEK, and the amount is positive. Also surface the invoice number in the payment box. Wired through every PDF render path: send, mark-sent and pdf routes (both legacy and v1), the recurring-schedule sender, and the staged-send commit. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(bookkeeping): draft exclusion + correction-chain collapse on verifikationslista Extend list_fiscal_period_entries_with_related with two opt-in params: p_exclude_draft (keep drafts off the committed list — they get their own surface) and p_collapse_corrections (render a correction group as the single live correction, hiding the mechanical storno and the reversed original). Both default false; nothing is deleted, every voucher keeps its number, and a "show all" toggle exposes the full chain. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(reports): link multi-year SIE periods so resultatrapport shows the prior year SIE import now sets fiscal_periods.previous_period_id in both directions when creating a period, so multi-year files chain correctly regardless of #RAR order. A backfill migration repairs periods imported before this (idempotent; only touches NULL links on first-of-month periods). generateResultatrapport falls back to the date-adjacent prior period when the chain is still null, so the comparison column works for legacy data too. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(articles): hide the VAT field for non-momsregistrerade companies The article form reads company_settings.vat_registered and, when false, hides the moms field and forces vat_rate to 0 on submit — mirroring the invoice editor so a non-VAT-registered company never sets a rate it can't charge. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(import): allow file-based imports in the sandbox Bank-file, CSV/Excel and SIE imports run entirely on uploaded data with no external service, so they're now reachable in the sandbox. Only the API-backed options that need live third-party credentials (PSD2 bank connection, provider migration) stay disabled. Updates the sandbox notice copy to match. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(bookkeeping): add edit draft functionality for journal entries * feat(database): add default "Vår referens" column to company_settings for invoicing * fix(tests): set SHOW_SWISH_ON_INVOICE to false in PDF template mocks * @ fix(payments): use roundOre for Swish amount formatting Replace naive Math.round(x*100)/100 with roundOre from @/lib/money to satisfy the antipattern guard. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> @ --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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88f49c0ccc |
fix(bookkeeping): harden correction flow and align VAT/cashflow reports (#726)
Bundles a set of bookkeeping-correctness fixes developed together. Correction / storno flow - correctEntry resolves (and seeds standard BAS) accounts for the corrected lines BEFORE writing the storno. The old order created and posted the storno first, then hit AccountsNotInChartError on the corrected lines and had to cancel it again — leaving a voided 0 kr storno in the chain and permanently burning a voucher number (an unexplained BFNAR 2013:2 gap). It now fails fast with nothing written. - correctEntry re-points the bank transaction and underlag from the reversed original to the live corrected entry, so the transaction keeps reading as booked (and stays correctable) and the underlag travels with it. recordateEntry delegates both relinks to correctEntry. - reverseEntry (engine) clears transactions.journal_entry_id for rows booked by the reversed entry, so a plain storno returns the bank row to "Att bokföra" with a re-booking affordance. The agent paths did this manually; the dashboard reverse route did not. - findUnresolvableAccounts replaces findMissingActiveAccounts in the categorize routes: a standard BAS account merely absent from the chart is seeded on demand by the engine, so pre-validation must not 400 on it — only unknown numbers or deactivated accounts block. - CorrectionChain dims cancelled (0 kr) entries and labels them so they no longer render like a live storno. Report accuracy - calculateVatLiability() (lib/reports/kpi.ts) is shared by the KPI route, the KPI xlsx export and the MCP period-summary tool, and uses the same 26xx accounts as the momsdeklaration (ruta 49). Reverse-charge and import pairs (e.g. 2614 credit + 2645 debit) net to zero instead of inflating the receivable (#715). VAT_OUTPUT_ACCOUNTS / VAT_INPUT_ACCOUNTS are derived from ACCOUNT_RUTA so the widget can never drift from the declaration. - Kassaflödesanalys records erhållna aktieägartillskott (2093) as a financing inflow and counts överkursfond (2086/2097) toward nyemission. 2093 was previously unmapped, so any contribution broke the 19xx reconciliation by exactly the contributed amount (#716). Wired through the report type, both PDF templates, the K3 PDF, the dashboard client and the årsredovisning summary type. Agent guidance - shared-rules: describe the real Accounted correction flow (Rätta rader / Rätta datum / Radera verifikat, on-demand BAS backfill) so the assistant stops inventing flows that don't exist. - verifikation-draft: clearer locked-period guidance. Tests cover all of the above (storno fail-fast + seeding + relink, reverseEntry unlink, findUnresolvableAccounts, VAT netting and the cashflow reconciliation cases). Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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b7f60b23f5 |
fix(invoices): v1 mark-paid booking-state routing + journal_entry_id backfill (#713)
invoices.journal_entry_id means "the registration verifikat that booked this invoice at issuance" — payment flows route on it (set → clear 1510, NULL → kontantmetoden cash entry). Two bugs in v1 mark-paid broke that: - The pre-flight select omitted journal_entry_id, so invoiceAlreadyBooked always read false — a kontantmetoden company paying an already-registered invoice would re-recognise revenue + VAT (double-booking) and orphan the 1510 receivable. Fixed by fetching the column for routing only; the response contract and invoice.paid event payload are unchanged. - The update wrote the just-created PAYMENT/cash entry id into the column (wrong semantic) — once routing reads the column, a cash partial payment #1 would make payment #2 clear a 1510 that was never debited. Removed; the payment entry id still returns in the response body. New backfill migration links the earliest posted invoice_created entry to historical invoices (353 registered-but-unlinked rows in hosted prod), repairs any payment-type links, and links credit_note reversal entries to credit-note rows. Idempotent; rows with no registration entry stay NULL (correct for kontantmetoden/unsent invoices). Tests: 3 new unit tests lock the select projection, the already-booked→ clearing routing, and the no-write-back semantics (the supabase mock now records call args). New pg-real suite (11 tests) runs the actual migration SQL: earliest-wins, reversed/draft exclusion, no-overwrite, cash stays NULL, payment-link repair, credit notes, cross-company isolation, idempotency. insertDraftJournalEntry fixture gains optional sourceType/ sourceId/createdAt (defaults unchanged). Hosted prod requires manual migration apply after merge (Supabase MCP). Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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e978136210 |
fix(supplier-invoices): payment-match integrity — no more paid-without-voucher half-states (#711)
* fix(transactions): abort supplier-invoice match when payment voucher fails The match route caught a payment-JE creation failure and proceeded anyway: invoice marked paid with payment_journal_entry_id NULL, a payments row with no voucher, and the bank line linked but unbooked. That half-state is unrecoverable from the UI — mark-paid rejects 'paid' invoices and the match route rejects already-linked transactions (the "user can re-book" comment was wrong). The v1 route was already strict; this aligns the cookie route. A failed voucher now fails the whole match before any state mutation, with bookkeeping errors mapped to their structured codes and a new MATCH_SI_JE_FAILED fallback. Incident: Arcim 2026-06-11 — invoice 20250928 marked paid with no payment voucher because account 3740 was missing from the chart. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(transactions): bank-sync supplier-invoice match is a suggestion, not a hard link A high-confidence (>=0.85, unambiguous) supplier-invoice hit at sync time set transactions.supplier_invoice_id directly — without booking a payment or touching the invoice. The half-link then BLOCKED the match route (MATCH_SI_TX_ALREADY_LINKED), stranding the bank line with no path to a payment voucher and the invoice stuck on 'registered'. Sync now always writes potential_supplier_invoice_id; the hard link is reserved for completed matches where the payment voucher is booked. High-confidence hits still drain the matching pool and skip the mapping engine. Incident: Arcim 2026-06-11 — RosholmDell 18299 (29 890 kr) auto-linked at sync, unmatchable afterwards. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(bookkeeping): seed standard BAS accounts on demand in the engine A minimal company chart routinely lacks accounts that legitimate engine flows reach — 3740 (öres- och kronutjämning) the first time a Bankgiro payment lands a sub-krona off the invoice, 6580 on a first legal invoice. createDraftEntry threw AccountsNotInChartError and turned a standard account into a dead end. The engine now backfills missing accounts from BAS_REFERENCE (full metadata incl. SRU code) before failing. Conservative by design: unknown numbers still throw, and deactivated accounts are never resurrected — deactivation is a deliberate user choice. Concurrent seeding (23505) counts as success. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(supplier-invoices): require explicit expense account, drop the 5010 seed Every new line item (and every AI-prefilled line) was silently seeded with account 5010 Lokalhyra. AI extraction deliberately never suggests accounts, so any invoice saved without touching the field was misbooked as premises rent — legally wrong verifikat that need rättelse to fix. Lines now start with an empty account: the supplier's default_expense_account fills empty rows when set, and submit blocks with a clear toast until every row has an account. Incident: Arcim 2026-06-11 — a legal-services invoice (should be 6580) and a SaaS subscription (should be 5420) both posted to 5010. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * refactor(bookkeeping): clarify voucher description suffix to (ankomstnr N) "(ankomst 2)" read as "arrived twice" / a duplicate marker; it is the company-internal sequential arrival counter for supplier invoices. "(ankomstnr 2)" says what the number is. Existing posted vouchers keep their old description (immutable). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(transactions): cancel orphaned payment voucher when match loses the CAS race When the payment JE posts but the invoice CAS update matches 0 rows (a concurrent request settled it first), both match routes returned MATCH_SI_NOT_OPEN and left the voucher orphaned in the ledger. mark-paid has always compensated for exactly this case; the compensation is now a shared helper (cancelOrphanedPaymentEntry: cancel + voucher-gap explanation per BFNAR 2013:2) used by all three routes. Flagged by the compliance swarm and the Swedish compliance review on PR #711 — the one finding both converged on. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(bookkeeping): next_voucher_number user_id fallback for service-role contexts Mirrors 20260421170500 (commit_journal_entry got this fix; its twin did not). Under a service-role client auth.uid() is NULL and the voucher_sequences upsert fails its user_id NOT NULL check before ON CONFLICT can arbitrate — even when the sequence row exists. Every non-interactive caller of the storno/correction path (getNextVoucherNumber → correctEntry) was broken. Fallback: companies.created_by (same source seed_chart_of_accounts uses). Interactive flows still record auth.uid(); DO UPDATE never touches user_id on existing rows. Also restores SET search_path = public, lost when 20260330 recreated the function after the 20260304 hardening. pg-real: new test exercises the RPC on the superuser connection (auth.uid() IS NULL) and asserts sequential numbers + owner attribution. Found live: the Arcim repair script booked payment vouchers fine (commit_journal_entry) but failed on corrections (next_voucher_number). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(bookkeeping): harden cancelOrphanedPaymentEntry — never throw, breadcrumb before mutating Two hardenings from the PR #711 review round: - Whole body wrapped in try/catch: the caller is returning the correct CAS-conflict response, so an unexpected client rejection must not replace it with a 500 (best-effort is now a hard guarantee). - The gap-recovery data (series, number, period, explanation) is logged BEFORE the cancel: the cancel and gap insert are separate statements, and a crash between them would otherwise leave a cancelled voucher with no BFNAR 2013:2 gap explanation and no way to reconstruct it. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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c0b006fcc1 |
feat(invoicing): artikelregister (product/article catalog) with per-article revenue account (#703)
* feat(invoicing): artikelregister (product/article catalog) with per-article revenue account Add a lean, non-inventory article catalog (artikelregister) so users can define reusable invoice-line presets (name, unit, price excl VAT, VAT rate) with an optional per-article BAS class-3 revenue-account override. - DB: articles table (RLS via user_company_ids(), audit + updated_at triggers, unique-per-company article_number), generate_article_number RPC (atomic + idempotent), company_settings counter, nullable invoice_items.revenue_account + article_id, pending_operations CHECK expansion. - Engine: generatePerRateLines groups revenue by (vat_rate, account) — byte-identical with no override, balance-safe when split (last account absorbs the rounding remainder), reverse_charge/export still force 3308/3305. - API: /api/articles CRUD (soft-deactivate); override validated against chart_of_accounts (active class-3) and frozen onto invoice lines at create. - Propagation: override carried through send/mark-sent/credit/convert/cash and the staged commit paths (recurring deferred — documented inline). - MCP: gnubok_list/create/update_article (staged, scoped, risk-tiered). - UI: articles register (list/detail/form) + nav + bilingual i18n + invoice-line article picker & "Spara som artikel" quick-create. - Tests: engine regression, route, and pg-real (RPC/RLS/triggers). Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(mcp): strip ILIKE _ wildcard from gnubok_list_articles search Underscore is a single-character ILIKE wildcard; stripping it (alongside the existing %,()\* set) keeps a stray char in the article search from matching every row. Read-only + RLS-scoped, so no security impact — addresses PR #703 reviewer + compliance-swarm CC6.3 notes. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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f7cd1b86e7 |
fix(import): preserve customized SIE #KONTO account names (#669)
* feat(import): add syncMappedAccounts helper for account create + rename Single home for the create-missing-accounts logic that exists in three near-identical copies (executeSIEImport, the SIE execute route, and the arcim-migration extension), plus a new rename pass that carries customized SIE #KONTO names into accounts that already exist (e.g. K1-seeded defaults). The file's name applies only to identity mappings (source === target); remapped targets keep their BAS/current name. With updateAccountNames=false the behavior matches the legacy code exactly. Not wired up yet. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(import): preserve SIE #KONTO account names; add updateAccountNames option Customer report: account names customized in Fortnox did not follow into Accounted via SIE import. The import always used BAS default names for accounts in the BAS reference and never touched accounts that already existed (the K1-seeded chart), so the file's names were silently dropped. executeSIEImport now routes account creation through syncMappedAccounts, which prefers the file's #KONTO name for identity-mapped accounts and renames existing accounts whose name differs (surfaced as a warning). New option updateAccountNames (default true) restores the old behavior when disabled. The duplicated pre-create blocks in the execute route and the arcim-migration extension are removed — executeSIEImport owns account sync on every path now, including the Fortnox re-sync (idempotent renames). Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(mcp): expose update_account_names on gnubok_import_sie Optional boolean on the tool schema, staged into the pending operation and threaded through commitImportSie to executeSIEImport. Defaults to true at both stage and commit time — the commit-side default also covers operations staged before the param existed (Boolean(undefined) would have silently flipped it off). Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(api): v1 SIE import generated no account mappings The route passed [] as mappings to executeSIEImport, which the mapping-coverage guard (added in #613) rejects for any real file — and before that guard, every voucher was silently skipped as unmapped. The route has never produced a working import for files with vouchers. Generate mappings server-side from the file's #KONTO records plus stored per-company overrides (same as the dashboard execute route), reject unmappable files with a clean 400 before the operation row is created, and expose options.updateAccountNames (default true). Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(import): "Använd kontonamn från filen" toggle in import review step New switch (default on) controlling whether the SIE file's #KONTO names are carried into the chart of accounts. Helper text shows how many identity-mapped accounts carry names that differ from the BAS defaults. The page already serializes the whole options object to the execute route, so no further wiring is needed. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(import): address PR #669 review — parallel renames, rename audit trail - Rename pass now runs UPDATEs concurrently in bounded batches of 25 (greptile P2): a re-sync with many custom names no longer serializes N round trips, and a pathological full-chart rename cannot stampede the API. Per-rename failures stay non-fatal via Promise.allSettled. - Persist the per-account rename detail (number, from, to) into sie_imports.migration_documentation as accountRenames — the behandlingshistorik record per BFNAR 2013:2 (swedish-compliance review); the result warnings only carry the count. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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3e42fc6f32 |
Feat/voucher docs (#664)
* feat: implement inbox document picker and linking functionality * feat: implement self-billing invoice functionality - Added support for registering self-billed invoices received from customers. - Updated the invoice schema to include fields for self-billing metadata such as `is_self_billed`, `external_invoice_number`, `self_billing_agreement_ref`, and `received_date`. - Created API route for handling self-billed invoice submissions, including validation and error handling. - Implemented database migrations to add necessary columns and constraints for self-billing invoices. - Developed tests to ensure correct behavior of self-billing invoice creation and validation rules. - Updated Swedish localization files to include new terms related to self-billing. * feat: enforce SIE import requirement for non-Fortnox providers in migration process * feat: streamline invoice processing and enhance error logging across APIs |
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5777f51940 |
Reject overpayment on all invoice-match paths (audit C3) (#647)
* fix(invoices): reject overpayment on all invoice-match paths (audit C3) The paid/remaining math was copy-pasted across three sites; the dashboard match-invoice route guarded against overpayment but the v1 public API route and the agent/MCP commitMatchTransactionInvoice had drifted WITHOUT it — silently accepting payment > remaining (recording paid_amount > total, over-crediting AR; cleanup needs storno, not edit). - New lib/invoices/apply-invoice-payment.ts planInvoicePayment(): single source of the paid/remaining/status math + overpayment guard, via canonical roundOre (@/lib/money, guard rail #9). FX-agnostic — caller passes the invoice-currency amount. - All three sites delegate; the guard runs BEFORE journal-entry creation so a rejected match never burns a voucher number. Dashboard behaviour unchanged (faithful extraction — its existing overpayment test still passes, the equivalence anchor). v1 returns MATCH_AMOUNT_EXCEEDS_REMAINING; commit returns the same registry message at 400. - Removes 7 hand-rolled Math.round(x*100)/100 sites; antipattern guard ratchets 668 -> 661. - Unit tests for the helper (overpayment rejection, half-öre tolerance, remaining_amount fallback). Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * review: run overpayment guard before the storno (PR #647) greptile: in commit.ts and the v1 route the conflicting-JE storno ran BEFORE the new guard, so a rejected overpayment would still reverse the transaction's prior JE and null its journal_entry_id — a side effect on a rejected match. Move planInvoicePayment above the storno so a rejection leaves the transaction fully untouched. (The dashboard route's pre-existing storno-before-guard ordering is FX-entangled and unchanged here; noted as a follow-up.) Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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c74b19df1b |
Accounted rebrand + swarm-skill cleanup + bank-reconciliation fixes (#643)
* feat(reconciliation): close the bank-feed loop on voucher links and re-tag mis-typed opening balances
Two related fixes to bank reconciliation correctness:
1. Auto-reconcile on voucher link. Linking an invoice or supplier invoice to
an existing voucher previously advanced only the invoice — the bank
transaction that paid it kept sitting in the Transactions inbox with a null
journal_entry_id. linkInvoiceToVoucher / linkSupplierInvoiceToVoucher now
call autoReconcileTransactionForLinkedVoucher (lib/reconciliation), which
links the bank transaction to the same verifikat when exactly one unbooked
line matches it. Best-effort and post-commit: a failure here never fails the
link. The result surfaces reconciledTransactionId; the inbox row leaves the
list and the UI shows link_success_tx_reconciled.
2. Re-tag mis-typed opening balances. getReconciliationStatus and the GL-line
matching RPCs identify a cash account's ingående balans solely by
journal_entries.source_type='opening_balance'. Companies migrated from other
systems often booked the bank IB as an ordinary voucher (source_type
'import' or 'manual'), so it was never excluded and surfaced as a phantom
reconciliation difference equal to the opening balance. Adds:
- migration mark_entry_as_opening_balance: a GUC-gated carve-out in the
immutability trigger plus a SECURITY DEFINER RPC that validates the entry
(balance-sheet lines only, dated on a fiscal-period boundary), flips the
source_type, and writes an audit row — no blanket data sweep.
- POST /api/reconciliation/bank/mark-opening-balance + MarkOpeningBalanceSchema.
- BankReconciliationView action to trigger it from the IB diff.
The gnubok_create_voucher executor now accepts a typed is_opening_balance flag
and derives source_type='opening_balance' only after validating class 1/2 lines
on the period start, so new IBs land correctly typed.
Covered by lib/reconciliation auto-reconcile tests, voucher-executors tests,
and a mark-entry-as-opening-balance pg-real test.
Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
* chore: rebrand gnubok → Accounted and prune swarm agent skills
Product rebrand and skills housekeeping. No runtime behaviour change.
Rebrand: replace user-visible "gnubok" with "Accounted" across docs, READMEs,
in-code comments, doc-site content, MCP skill/resource prose, and the
gnubok-mcp package description. The MCP resource URI scheme is moved gnubok://
→ Accounted:// consistently across resource registrations, the event-type
comment, and the resource/skill tests. Deliberately preserved as stable
identifiers (NOT rebranded): the gnubok-company-id cookie, gnubok_sk_ / gnubok_inv_
token prefixes, the gnubok-mcp npm bridge name, and the AGI <gem:Programnamn>
value (kept 'gnubok' per its source comment — it is the software identifier sent
to Skatteverket and must not churn across visual rebrands).
Skills: remove the 27 swarm-* agent SKILL.md atoms (no longer used; already
absent from the agent_atom_registry in prod), refresh the remaining skill docs,
add the .claude/rules/ path-scoped rule set, and regenerate the
seed_agent_atom_bodies migration + .skill-body-manifest.json via
`npm run skills:generate` so the DB-backed skill bodies match the trimmed set.
Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
---------
Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
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331ae11867 |
fix(transactions): stop Enable Banking re-sync from re-importing duplicates (#630)
* fix(transactions): make content-dedup bridge resilient to PSD2 description drift
Enable Banking re-syncs were re-importing every overlapping transaction as a
duplicate. Two changes in the June 1 deploy combined to defeat both dedup layers
at once: the external_id format changed (old rows' stored ids no longer match the
new scheme, so the exact-match layer misses) AND PSD2 descriptions were enriched
("TIC" -> "TIC BG 0000005786439 Bg-bet. via internet"), so the content-dedup
bridge — which compared a fixed 24-char description prefix for equality — also
missed. Result: a full re-import (observed: 53 of 54 "new" rows were dupes).
The external_id format has changed several times historically and 7,120 of 9,393
old rows have no reconstructable canonical id, so a backfill is not viable; the
content bridge is the mechanism meant to survive id-scheme changes. Harden it:
- Split the bridge into bucketing (date, öre) and matching (description), and
match by prefix-containment instead of fixed-prefix equality. PSD2 enrichment
is prefix-preserving, so the enriched re-import bridges its stored original,
while genuinely-distinct same-(date,amount) rows (distinct descriptions) are
kept apart. Consumed with counting semantics + longest-match, so N stored twins
dedup exactly N incoming.
- Replace contentDedupKey with contentBucketKey + descriptionsBridge; update the
live pipeline (ingest.ts) and the v1 dry-run preview to the same logic.
- Freeze the external_id format with a regression test + a header warning: any
future format change must ship a coordinated backfill.
Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
* test/refactor: address PR review — sanitize fixtures, mirror preview counting
- Replace real customer names ("Carl Bennet AB", "Brorsan AB") and prod-derived
reference strings in tests with clearly fictional stand-ins (compliance A.8.33).
- v1 dry-run preview: use the same longest-match + counting/consume semantics as
the live pipeline so a batch of N copies against M booked twins previews M skips,
not N (greptile P2). Update stale pitfall docs: content dedup is now
date+amount+description (prefix-containment), and the preview is booked-only so
its skip count is a lower bound on the live skip count.
Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
* fix(transactions): scope content-dedup bridge by cash account
The content-dedup bridge buckets by (date, öre) company-wide, with no account
scope — while bank reconciliation IS account-scoped (cash_account_id). For a
company with multiple bank accounts, a transaction on account A could therefore
deduplicate a genuinely-different transaction on account B that shares the same
date, amount, and a prefix-bridging description (round-number fees/transfers are
the realistic trigger), dropping a real row before it reaches reconciliation.
Layer 1 (external_id) is already account-safe because the account IBAN is
embedded in the id; only the fuzzy content bridge was account-blind.
Add an account guard: store cash_account_id alongside each bucket entry and only
bridge when BOTH the incoming batch and the stored entry have a known
cash_account_id that matches. A null on either side falls back to bridge-allowed,
so single-account companies and legacy (un-backfilled) rows are unchanged — and
CSV-vs-PSD2 dedup for the same account still works. Affects the 11 multi-account
companies; everyone else is behaviourally identical.
Note: external_id format heterogeneity (old entry_reference / old date+amount /
new öre+index schemes) is harmless downstream — nothing parses the id; it is an
opaque exact-match dedup key and a display string. Reconciliation, invoice/
supplier/payment matching, and reporting all key off real transaction columns,
never external_id.
Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
* harden(transactions): blank description never wildcards a described row
PR review (OWASP V8.2.1 + Swedish compliance) flagged that descriptionsBridge
returned true whenever either side was empty, so a blank stored/incoming title
could wildcard-match any same-(date,öre) transaction and silently consume a real
one. Every live caller normalizes blanks to FALLBACK_DESCRIPTION upstream, so the
branch was unreachable in production — but make the function safe in isolation:
a blank now bridges only another blank (date+öre identity), never a described row.
No live behaviour change; removes the footgun.
Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
---------
Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
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f6ee0c2a82 |
Bug/customer invoice bug (#628)
* fix(supplier-invoices): self-assess reverse-charge VAT + link payments to vouchers Reverse-charge supplier invoices now carry a per-item reverse_charge_rate (0.06/0.12/0.25). Under omvänd skattskyldighet the supplier charges 0% VAT, so the line vat_rate stays 0 and the buyer self-assesses fiktiv moms at the statutory rate. Centralizes rate resolution (resolveReverseChargeRate) and the ruta 20-24 basis-account guard (isReverseChargeBasisAccount) in vat-entries so the booking engine and review-dialog preview can no longer drift. Adds the link_supplier_invoice_voucher pending operation: mark a leverantorsfaktura paid by linking an existing posted verifikat that debits 2440, with no new journal entry. Exposes find-candidates/link MCP tools and the bulk-reconcile helper, scoped under suppliers:read/write. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(vat): report yearly VAT over the rakenskapsar, not the calendar year Annual VAT (helarsmoms) is filed per beskattningsar/rakenskapsar (SFL 26 kap), which can be extended or shortened up to 18 months. The previous Jan-Dec calendar span silently dropped part of an extended first year. calculateVatDeclaration now accepts a fiscalPeriodId and resolves the period's actual bounds for yearly; monthly/quarterly stay calendar. The reports UI passes the selected fiscal period, defaults the periodicity from the company's moms_period setting, and carries the period into the ruta drill-down. full-archive export threads the period id through too. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(migration): resolve supplier invoice status from payment amounts The provider's lifecycle status and its payment status are computed independently upstream and can contradict each other (e.g. a Fortnox invoice marked booked but fully paid). Both the arcim entity-mapper and the Fortnox mapper now let payment state win: fully paid -> paid, partial -> partially_paid, otherwise the mapped lifecycle status, with credit notes forced terminal. Balance is compared numerically (never strict === 0) so float drift or a residual ore resolves cleanly, and an absent Balance is treated as unpaid. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(enable-banking): only ingest booked transactions to stop re-import drift Pending entries are skipped during sync: a pending row is unstable across syncs (a later 'synka nu' returns it still pending or finally booked, often with a different effective date). Because both the dedup external_id and the content-dedup key are date-derived, that drift minted a new id and re-imported a transaction that already existed - observed in production as the same amount+description landing twice with different dates. Gating the import set on a stable booking_date removes the drift at the source and leaves booked rows' ids byte-identical. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * chore(gitignore): ignore local SIE test fixtures tests/fixtures/sie/ may contain real or scrubbed company data and must never be committed. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(invoice): handle errors during registration journal entry creation and ensure invoice rollback feat(tests): add test for reverse charge rate handling on supplier invoice line items feat(fortnox): ensure paid status reflects zero balance for fully paid invoices chore(migrations): add reverse_charge_rate to supplier_invoice_items and backfill link_supplier_invoice_voucher --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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094bd85e81 |
fix(reconciliation): secondary-account scoping, dialog clipping, and N:1 matching (#624)
* fix(reconciliation): secondary-account scoping, dialog clipping, and N:1 matching Three follow-ups to per-account bank reconciliation (PR #623): - Secondary same-currency accounts (e.g. a 1931 savings account) double-counted the company's unassigned (NULL cash_account_id) transactions, inflating their bank total and showing a large bogus difference while 1930 still reconciled. Only the primary cash account now claims NULL rows; every other account scopes strictly to its own id. `includeUnassigned` is threaded through all status/run/list call sites from cash_accounts.is_primary. - The "Matcha mot befintlig verifikation" picker's dropdown was absolutely positioned inside the dialog's overflow-y-auto container and got clipped. Add an `inline` mode that renders the candidate list in normal flow; the dialog uses it, the reconciliation view keeps the compact overlay. - N:1 matching: several bank transactions can now settle one verifikat (a salary run paid in multiple transfers, an invoice paid in instalments). New get_account_gl_lines_for_matching RPC surfaces already-matched vouchers with a linked_transaction_count behind a "Visa även matchade verifikationer" toggle; manualLink's 1:1 guard is relaxed (the aggregate difference still catches mis-links). Tests: extended bank-reconciliation unit tests (strict scope + N:1), rewrote the cash_account_id isolation pg test to prove NULL rows land on the primary account only, and added a pg test for the new RPC. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(reconciliation): address PR review — accurate "att matcha mot" count - BankReconciliationView: the "N verifikationer att matcha mot" hint counted glLines (which includes already-matched vouchers when "Visa matchade" is on), overcounting the vouchers that still need a transaction. Use unmatchedGlLines so the label is correct regardless of the toggle (matches the table below). - MatchVerifikationPicker: document that `open` is overlay-only; the setOpen() writes are intentional no-ops in inline mode. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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953980c875 |
Per-account bank reconciliation + overdue/inbox/privacy fixes (#619)
* feat(reconciliation): scope bank reconciliation per cash account via transactions.cash_account_id A company with two same-currency cash accounts (e.g. checking 1930 + a savings account) saw every SEK transaction on every account, and the status card summed across both — reconciliation filtered transactions by CURRENCY while filtering GL lines by ACCOUNT (issue #604). Bind each bank transaction to the cash_accounts row it settled on: - New nullable transactions.cash_account_id FK (ON DELETE SET NULL — a bank transaction is räkenskapsinformation, BFL 7 kap, and must survive cash-account deletion) + a best-effort 4-pass backfill. - All reconciliation/transaction queries scope to the selected account with a NULL->currency fallback, so legacy/un-backfilled rows never disappear mid-backfill. - ingestTransactions stamps cash_account_id from the batch's settlementAccount; categorize + manualLink resolve and use it. - Bank leg now books to the transaction's actual settlement account via applySettlementAccount (no-op for 1930), so interest/fees on a savings/EUR account reconcile instead of mis-booking to 1930. - manualLink cross-checks the transaction's account and requires a voucher line on the selected account (no silent cross-account links). - BankReconciliationView: quick-book menu for any settlement account, in-flight request abort on account/date switch, 500-row truncation notice, per-account state reset. - pg-real coverage for the FK, all backfill passes, account-scoped query isolation, and cross-company isolation. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(supplier-invoices): stop marking paid invoices and credit notes as overdue update_overdue_supplier_invoices() (the daily pg_cron job) flipped every past-due 'registered'/'approved' row to 'overdue' without looking at the outstanding balance. Credit notes — created 'registered', remaining 0, due today — got flipped the next day, surfacing as "Förfallen" with "kvar att betala 0 kr"; so did any fully-paid invoice left in 'registered'/'approved'. Guard the cron on remaining_amount > 0.005 (the "fully paid" threshold used by the payment/match paths) and is_credit_note = false, and backfill the rows already mis-flagged (credit notes -> 'registered', paid -> 'paid' with paid_at stamped only when missing). pg-real coverage for the guarded function and the one-off backfill. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(invoice-inbox): refresh dokumentinkorg on realtime row changes The InvoiceInboxWorkspace only refetched on mount and on explicit in-component actions. When an inbox item was resolved out of band — the in-app agent sheet committing a staged create_supplier_invoice_from_inbox / book-direct op, the /pending page approving one, or another tab booking it — none of those paths called fetchItems(), so the booked underlag stayed in "Att göra" until a manual reload (issue #600). Add invoice_inbox_items to the supabase_realtime publication (mirrors the /pending fix in 20260520120100) and subscribe in the workspace, refetching the whole list on any change so derived status/counts/ordering stay authoritative. RLS scopes the channel to the user's company. fetchItems now preserves optimistic upload placeholders so a refetch firing mid-upload can't drop an in-flight row. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * docs(privacy): disclose EU AI inference via Amazon Bedrock (eu-north-1) Update the privacy policy and DPA to state that AI inference, when AI features are enabled, runs inside the EU via Amazon Bedrock (eu-north-1, Stockholm) using Anthropic's Claude models — no transfer to a third country, prompts not retained after the call or used for model training. Add AWS as a subprocessor row and refresh the "last updated" dates. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(migrations): rename invoice_inbox_realtime to avoid version collision main's #617 shipped 20260605120000_transactions_original_description.sql — the same version this branch used for the inbox-realtime publication. The Supabase migration tracker keys on the numeric version, not the filename, so the preview branch failed with a duplicate-key error on supabase_migrations.schema_migrations (version 20260605120000 already exists). Rename to the unique version 20260605120500; the body (ALTER PUBLICATION) is order-independent. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(reconciliation): align run guard with status; harden filter interpolation Addresses PR review (greptile + compliance swarm): - The v1 and core bank/run routes rejected an unknown account uniformly, including the default '1930', while the status routes were lenient for '1930'. A company reconciling its primary SEK account without a cash_accounts row got 200 from status but 400 from run. Make run match status: '1930' falls back to currency-only scoping (cashAccountId undefined); non-default unknown accounts are still rejected. Adds a test. - /api/transactions accepts a user-supplied `currency` query param that was interpolated raw into a PostgREST .or() filter. Reject anything that isn't a 3-letter ISO code — RLS already scopes to the company, but an unsanitized value could otherwise malform/widen the filter. Assert currency/cashAccountId shape in scopeTransactionsToAccount as well. - categorize: log (instead of silently swallowing) a cash_accounts settlement-account lookup error, so a fall-back-to-1930 mis-booking is observable in the audit log. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(migrations): correct backfill UPDATE..FROM join; idempotent realtime publication Two SQL errors that only surface on real Postgres (CI pg-real + Supabase preview) — the unit suite mocks Supabase, so neither was caught locally. - Backfill pass (a): `UPDATE transactions t ... FROM journal_entry_lines jel JOIN cash_accounts ca ON ca.company_id = t.company_id` referenced the UPDATE target `t` inside the FROM join's ON clause, which Postgres rejects ("invalid reference to FROM-clause entry for table t"). Move the company match to WHERE; the JOIN now relates jel<->ca only. Semantics unchanged. - invoice_inbox_realtime: `ALTER PUBLICATION ... ADD TABLE` is not idempotent (SQLSTATE 42710 if the table is already a member). The earlier version-collision push partially applied it on the Supabase preview branch, so the re-apply errored. Guard with a pg_publication_tables existence check. Both statements validated against a real Postgres: the single-line tx binds, the two-bank-line transfer stays NULL, and the publication add runs twice cleanly. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(migrations): backfill pass (c) uses array_agg, not min(uuid) Postgres has no min() aggregate for uuid, so pass (c)'s min(id) raised "function min(uuid) does not exist" on apply (CI pg-real + Supabase). The HAVING count(*) = 1 already guarantees one row per group, so (array_agg(id))[1] returns that single id. Validated the full backfill (all four passes) and the overdue migration against a real Postgres: every pass binds / falls through as intended, and the overdue guard + backfill produce the right statuses. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * docs(compliance): add RoPA entry for Amazon Bedrock AI inference (GDPR Art.30) The privacy policy now discloses AI inference (transaction categorization + document/receipt OCR) via Amazon Bedrock as a processing activity, but .compliance/ropa.yaml had no matching Art.30 record. Add it: opt-in consent basis, EU-region (eu-north-1) inference with no third-country transfer, prompts not retained or used for model training. Mirrors the privacy-page disclosure shipped in this PR. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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c6c86cded4 |
Mcp/template data feedback (#617)
* fix(booking-templates): scope template list to the active company GET /api/settings/booking-templates relied solely on the btl_select RLS policy, which is membership-wide (user_company_ids) and returns templates from every company the user belongs to. A user who owns multiple companies saw all their templates merged regardless of which company was active. Narrow the list in the API layer (mirroring counterparty-templates) to system + the active company + the active company's team. RLS stays the security backstop; this fixes the cross-company merge within a single user's own view (it was never a cross-tenant data leak). Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(import): show proper message for duplicate bank file upload The bank file import page mis-parsed the structured error envelope ({ error: { code, message, details } }), so a BANK_FILE_DUPLICATE (409) fell through to the generic "Kunde inte läsa filen" fallback. The upload step also hardcoded that same string as the error heading, so duplicates were doubly misreported as parse failures. - Parse the structured envelope by error.code; surface error.message for all codes instead of rendering the error object. - Add a dedicated BANK_FILE_DUPLICATE message using the importedAt / importedCount details the route already returns. - Add an optional errorTitle prop to BankFileUploadStep (defaults to the previous text) and pass "Filen är redan importerad" for dupes. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(tests): add comprehensive tests for recordateEntry, inbox-linking, and external-id handling - Implemented unit tests for recordateEntry in the bookkeeping module to validate various scenarios including date changes, non-posted entries, and fiscal period restrictions. - Created tests for inbox-linking status in pending operations to ensure correct handling of invoice inbox items and supplier invoices, addressing historical bugs related to status updates. - Added tests for external-id utilities to ensure consistent handling of monetary amounts and deduplication keys across different transaction sources. - Introduced new functions in external-id.ts for stable external ID generation and normalization of imported descriptions, enhancing transaction deduplication reliability. feat(migrations): add new database migrations for transaction handling - Created migration to exclude storno and correction vouchers from unmatched GL lines, ensuring accurate reconciliation. - Added a migration to preserve original bank transaction descriptions in a new immutable column, allowing for user edits while maintaining audit trails and deduplication integrity. * feat(migrations): add function to exclude storno/correction vouchers from unmatched GL lines * feat(transactions): enhance transaction handling with improved description normalization and preloaded original entries --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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ea1bf01f1e |
Fix/m sprint fixes (#613)
* fix(dashboard): exclude ignored and already-triaged transactions from stale count The "Gamla transaktioner" widget counted transactions that had been ignored or already marked as is_business=true but not yet booked, so users saw a nag for a row they had already dealt with — and the /transactions inbox correctly hid it. Align the count with the inbox criterion (is_business IS NULL, is_ignored = false) so the widget clears when the row leaves the inbox. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(transactions): read entity_type from settings response wrapper The transactions page read entityRes.entity_type directly, but /api/settings returns { data: { entity_type, ... } }. The expression was always undefined, so setEntityType never fired and entityType stayed at its initial 'enskild_firma'. The template picker's entity_type filter then dropped every aktiebolag-tagged user template for AB customers — only entity_type='all' templates made it through. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * stale templates bank sync journal entry from transaction * fixed pr comments * fixed pr comment --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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20989379bb |
feat(sandbox,branding): prod-parity demo with AI gating + accounted rebrand (#585)
* feat(sandbox,branding): prod-parity demo with AI gating + accounted rebrand Sandbox now ships with seeded suppliers, supplier invoices, an asset, a verified agent_profile, and pending operations so the demo company exercises every prod surface. Server-side `guardSandbox()` short- circuits any AI or paid-external API call (Bedrock chat/composer, Resend invoice send, Riksbanken FX, VIES, etc.) and the AgentSheet swaps in a SandboxAgentPreview that explains what's gated and offers a register CTA. DashboardContent no longer mounts the NewUserChecklist when the agent is already built, fixing the path that let sandbox users still trigger /onboarding/agent. Visible branding flips from Gnubok to Accounted: new BrandWordmark component (Hedvig Letters Serif 700), new app/icon.png + PWA icons generated from the accounted icon, default appName updated. URLs, header names, API key prefixes, hostnames, and event/cookie/ localStorage keys keep `gnubok` — the rebrand is visual only. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(sandbox): hardcode supplier-invoice arrival numbers in seed get_next_arrival_number is MAX(arrival_number) + 1 against the same table we're about to insert into. Calling it twice before either row lands made both calls return 1, which then violated the (company_id, arrival_number) unique index — POST /api/sandbox/seed 500'd on first sandbox start. The seeded company is brand new in this branch so 1 and 2 are guaranteed unused; hardcoding side-steps the race entirely. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(sandbox): set paid_amount=0 on unpaid supplier invoice PostgREST normalizes the column set across rows in a bulk insert, so the second supplier invoice (Espresso House, status=registered) was being sent with paid_amount=null because the first row (Telia, paid) set it. supplier_invoices.paid_amount is NOT NULL DEFAULT 0; the default only kicks in when the column is *absent* from the payload, not when it's explicitly null. Set it inline to side-step the normalization. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(sandbox): set actor_type=agent_chat on seeded pending_operations pending_operations only allows user-scoped INSERTs via the `pending_operations_chat_insert` policy, which requires actor_type='agent_chat' alongside auth.uid()=user_id + company membership. The seed was inserting with the default actor_type='user', tripping the RLS check. Also lift risk_level from preview_data (where it was unused) onto the row itself, matching the column added in 20260430120000_pending_operations_actor_and_risk. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(pr-review): address PR #585 review feedback Fixes called out by the core-only CI check, Greptile, and the compliance + Swedish-accounting bots: - AGI Programnamn pinned back to 'gnubok' (CI blocker). The XML Skatteverket receives must keep the stable software identifier regardless of the visual rebrand — same rule as the v1 health endpoint's `service: 'gnubok'` literal. - handleCreateAccount in SandboxAgentPreview + ChatEmptyState now wraps signOut() in try/catch so a transient Supabase failure doesn't strand the user on a dead button (greptile P2 × 2). - /api/currency/rate hard-fails on missing companyId instead of conditionally skipping the sandbox guard (greptile P2 / compliance V8.2.1). - topUpSandboxAdditions now delegates to ensureSandboxAgentProfile; the assistant persona lives in exactly one place across the seed, layout backfills, and top-up path (greptile P2 outside-diff / compliance SOC2 CC6.1). - ensureSandboxAgentProfile drops the userId param and sets verified_by_user_id to NULL — synthetic seed data should not attribute verification to a real user (compliance V8.2.1 / GDPR Art. 25(2)). Errors now logged via the structured logger instead of being silently swallowed (V16). - Sandbox seed swaps real-world company names (Telia, Espresso House) for clearly-synthetic Demo-prefixed brands using the 5559... documentation org-number range (compliance A.8.33). Asset cost bumped 24 000 → 35 000 SEK so the demo clears the förbrukningsinventarier threshold and illustrates capitalization unambiguously (swedish-asset-accounting). - Representation pending-operation preview corrected: VAT label fixed from 6% → 12%, and input VAT split between the avdragsgill (2641) and ej-avdragsgill (5811) portions to match swedish-vat / ML 8 kap rules (swedish-vat). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(pr-review): seed preview consistency + AGI Programnamn constant Two last review-bot items before merge: - Sandbox seed: the representation pending-operation preview was splitting the 240 SEK café meal 60/180 between 5810 and 5811, which is wrong for a single attendee under the 300 SEK / person avdragsgill cap (ML 8 kap) — the entire amount is fully avdragsgill in that case. Collapse the preview to a single 5810 + 2641 + 2440 entry so it matches the supplier_invoice_items row 1:1 and stops teaching demo users an incorrect bookkeeping pattern. - Hoist the AGI Programnamn 'gnubok' literal into a named constant with a comment pointing to potential future Skatteverket vendor registration (per the swedish-compliance bot's nit). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(sandbox): avoid BFL duplicate-verification on pending op + fix VAT cap comment Swedish-compliance bot caught two final nits: - The pending operation for the Demokafé representation was using the same supplier_invoice_number as the already-seeded supplier_invoices row (88245). If the sandbox user approved the staged operation, the insert would have created (or attempted) a duplicate verification — BFL 5 kap. requires each affärshändelse be recorded exactly once. Swap the staged operation's invoice number to a distinct value (INKOMMANDE-2026-001) so approval cleanly creates a new row. - The preview comment described the 300 SEK threshold as an "avdragsgill cap". The actual rule (ML 8 kap. 9 §) caps the deductible VAT at 25 % × 300 SEK × antal_personer = 75 SEK per person — the 300 SEK is the tax base, not the total. Math here is correct either way, but the comment now states the correct formula so future seed edits don't propagate the wrong understanding. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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32d9978f1b |
Fix/chrome pdf preview csp (#572)
* feat: add option to exclude year-end closing entries in SIE export and related reports * delete docs * fix: allow Chrome's PDF viewer in verifikat document preview The /api/documents/:id/inline route shipped with `object-src 'none'` in its CSP, which blocked Chrome's built-in PDF viewer (it renders inline PDFs via an internal <embed>). Users on Chrome saw "Det här innehållet har blockerats" when expanding a PDF attachment in the bookkeeping view; Firefox (PDF.js) and Edge (own viewer) were unaffected, and JPGs worked because <img> isn't subject to object-src. Drops the CSP for this route to the minimum needed for embeddability: `frame-ancestors 'self'`. X-Content-Type-Options: nosniff plus the fixed Content-Type from the handler already block MIME confusion; X-Frame-Options: SAMEORIGIN + frame-ancestors still block clickjacking. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(auth): add webmail deep link to email confirmation screens Mirrors Stripe's signup UX: after asking the user to verify their email, detect their webmail provider from the domain and show a button that opens the inbox in a new tab. Gmail gets a from:<sender> search pre-populated; Outlook/Yahoo/iCloud/Proton open the inbox directly. Unknown / custom domains fall back to the existing copy. Sender address is configurable via NEXT_PUBLIC_BRANDING_AUTH_EMAIL_FROM (default noreply@gnubok.se) so white-label installs can match their Supabase Auth SMTP config. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(auth): unblock first-time password set for BankID users with MFA Supabase rejects updateUser({password}) and mfa.unenroll with "AAL2 session is required" whenever a TOTP factor is enrolled. BankID magic-link logins produce AAL1, and middleware skips MFA enforcement for bankid_linked users, so they had no path to AAL2 — leaving them unable to set a backup password or disable MFA without going through the email-recovery escape hatch. - /api/account/password: branch on app_metadata.has_password. First-time set writes via service.auth.admin.updateUserById (no existing credential to protect, AAL2 guard does not apply). Change-password keeps the user-session updateUser so AAL2 still fires for credential rotation. - /mfa/verify: accept a safeReturnTo query param and route there after successful verify, so step-up flows can land back where they came from. - SecuritySettings: detect the AAL2 error from both change-password and mfa.unenroll and redirect through /mfa/verify?returnTo=/settings/account instead of toasting a dead-end error. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * Add tests and rounding utility for öre precision in bokslut calculations - Implemented `roundOre` function for rounding SEK amounts to two decimal places, ensuring consistent monetary calculations. - Introduced `ORE_TOLERANCE` constant for comparing rounded amounts, facilitating invariant checks in financial entries. - Created comprehensive tests for `roundOre`, covering typical cases, edge cases, and idempotency. - Added year-end invariants tests to verify database-level guarantees for closing entries, ensuring they balance to the öre and reject discrepancies. - Developed end-to-end tests for the dispositions chain, validating the correctness of calculations across various scenarios. * fix: update PDF rendering to remove Swish QR code generation and set default to disable Swish visibility * fix: enhance security by rejecting data URIs in safeReturnTo function tests * fix: improve rounding logic in roundOre function and add customer_type migration * fix: add customer_type column to customers and enforce CHECK constraint --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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0087b7be3f | feat: add option to exclude year-end closing entries in SIE export and related reports (#567) | ||
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78c91e00e4 |
feat: add language preference for customers to support invoice locali… (#561)
* feat: add language preference for customers to support invoice localization - Introduced language support for invoices, allowing customers to choose between Swedish and English. - Updated invoice PDF generation to reflect the selected language for titles, labels, and messages. - Enhanced email templates to generate content in the customer's preferred language. - Added migration to include a language column in the customers table with a default value of Swedish. - Updated tests to verify correct language usage in invoice emails and PDFs. * fix: debounce API requests in InvoicePreviewCard and update F-skatt terminology in email templates |
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239261a0be |
Bug/mcp bas lag (#543)
* fix(mcp): update workflow descriptions for transaction categorization and approval processes * feat: implement account validation for transaction categorization to handle inactive accounts * fix(tests): stub findMissingAccountsMock to ensure no missing accounts during batch-categorize tests * fix(errors): ensure deterministic sorting of account numbers in AccountsNotInChartError |
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566ed72984 |
Bug/mcp connection issue (#541)
* feat(api): implement caching and logging in health check endpoint - Added in-memory caching for health check responses to reduce load on Postgres. - Introduced logging for error handling in health check. - Updated response structure to exclude error details from public responses. feat(api): enhance OAuth consent UI and scope handling - Improved consent UI to reflect exact requested scopes and added better user guidance. - Updated scope handling logic to ensure least-privilege access. - Enhanced styling for better user experience and accessibility. chore(docker): improve security and resource management in Docker setup - Updated Docker Compose configuration to enforce read-only file systems and resource limits. - Added health checks and logging options for better observability. - Introduced optional Caddy reverse proxy for TLS termination. fix(migrations): resolve ambiguity in create_company_with_owner function - Dropped orphaned 3-arg overload of create_company_with_owner function. - Recreated canonical 4-arg version with cash account seeding logic. - Ensured proper permissions for function execution in Postgres. * feat: enhance security checks for team membership in company creation * test: add CSP tests for OAuth authorization endpoint * feat: enhance error handling and reporting in bank file import process |
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d27c3dd3dc |
Bug/customer cron job (#516)
* fix(reminder-processor): filter out credited invoices in overdue reminders * feat: implement linking of transactions to journal entries - Added POST endpoint for linking a bank transaction to an existing journal entry without creating new bookkeeping. - Implemented validation for required fields and error handling for various scenarios (e.g., missing journal_entry_id, transaction already linked, journal entry not found). - Created tests for the new endpoint to cover various cases including successful linking, error responses, and invoice handling. - Introduced duplicate payment detection logic to prevent double-booking of bank receipts. - Added a new component for correction affordance in the UI to facilitate user corrections on journal entries. * feat(invoice-matching): enhance force matching with expected journal entry validation |
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b46b572ee9 |
fix(invoices): duplicate-payment guard on customer mark-paid + categorize (#502)
* fix(invoices): duplicate-payment guard on customer mark-paid + categorize
Two-pronged fix preventing duplicate verifikationer when a customer
invoice is marked paid OR a 19xx→1510 categorization is applied to an
inbound bank tx that already belongs to an open invoice.
Prong A (mark-paid): before booking, scan unlinked positive business
bank txs from the same customer within ±2% / ±60 days. If candidates
exist, return 409 INVOICE_PAID_LIKELY_DUPLICATE with per-candidate
match_reason (ocr_exact > name_amount_fuzzy > amount_only). Override
via `{ force: true }`. Applied to both legacy /api/invoices/[id]/
mark-paid and v1 /api/v1/.../invoices/[id]/mark-paid; v1 guard runs
before dry-run so previews can't mask the warning.
Prong B (categorize): when the user assigns 1930→1510 directly on a
positive business tx with a matching open customer invoice (by name
OR by OCR-normalized reference), return 409
TX_CATEGORIZE_SUGGEST_CI_MATCH routing them to /match-invoice.
Mirrors the supplier-side guard from #461. Shared helpers
(DUPLICATE_AMOUNT_TOLERANCE_PCT, escapeLikePattern) reused as-is.
New helper normalizeOcrReference() strips non-digits for Swedish OCR
equality. New shared candidate-finder
lib/invoices/duplicate-payment-candidates.ts keeps the legacy and v1
routes calling the same code.
Frontend:
- PaymentBookingDialog intercepts the 409, renders candidate list
with match_reason badges (Exakt OCR-träff / Sannolik träff /
Möjlig träff), offers "Länka transaktion" or "Bokför ändå"
(force-retry generates a fresh Idempotency-Key for v1 callers)
- transactions/page.tsx mirrors siMatchSuggestion handling as
ciMatchSuggestion with a parallel "Matcha mot kundfaktura?" dialog
v1 caveat documented in the route's pitfalls block:
INVOICE_PAID_LIKELY_DUPLICATE force-retry requires a fresh
Idempotency-Key because the original is body-hash bound; reusing it
returns 400 IDEMPOTENCY_KEY_REUSE.
Tests: 5 new mark-paid tests (legacy + v1) covering 409, force
bypass, partial-payment skip, ocr_exact match_reason, multi-candidate
ranking. 1 v1-only test verifying dry-run also surfaces the 409. 2
categorize Prong B tests (409 + confirm_no_match bypass).
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix(invoices): address compliance-swarm review on duplicate-payment guard
Three review-driven fixes:
1. **PostgREST .or() injection (OWASP V1.2.5).** `escapeLikePattern` neutralises
LIKE wildcards but NOT PostgREST filter-DSL chars (`,`, `.`, `(`, `)`). A
customer name like `Acme,fake.eq.true` could otherwise inject a synthetic
filter clause into the `.or('merchant_name.ilike.%X%,description.ilike.%X%')`
string. Replaced with two parameterised `.ilike()` queries dispatched in
parallel and merged by id in JS. Slight perf cost (two index hits per call),
eliminates the DSL-injection surface entirely.
2. **Date window anchored on invoice_date instead of due_date
(swedish-accounting-compliance bot).** The Prong B categorize intercept
filtered open customer invoices by `invoice_date ± 60d` relative to the
bank-tx date. For invoices with 60–90 day payment terms, the actual
payment lands well after `invoice_date`, so the legitimate match falls
outside the window and the guard silently misses it. Switched to
`due_date ± 60d` — the better proxy for "around when payment is expected."
No corresponding change for Prong A (mark-paid), which is correctly
anchored on `paymentDate` (the user-supplied or default-today date) and
scans bank-tx dates around that anchor.
3. **Force-bypass log enrichment (ISO A.8.15, OWASP V16).** Both
`duplicate-payment guard bypassed` warn entries now include `userId` and
`paymentAmount`. Attribution was previously incomplete — the bypass log
carried only `invoiceId`, which forced a join in log aggregation to
identify the acting principal.
Tests updated for the two-query pattern (legacy mark-paid suite enqueues
two transactions-table responses per guard invocation; v1 tests already
worked with the single-entry-per-table mock semantics).
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* chore(docs): redirect /docs/api and /llms-full.txt to docs.gnubok.se
Canonical docs host is now docs.gnubok.se. Every `docs_url` field on the
v1 error envelope still points at /docs/api/* on this app; the 308
permanent redirect forwards humans and agent crawlers to the docs
subdomain without us needing to mass-update structured-errors.ts.
/llms-full.txt also routes through the docs host where it's served from
the docs site's own build.
---------
Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
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