c0ecf2fa3bebd46bdfd0169efd73b89653d1dfed
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Commits
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f1230282a9 |
feat(bookkeeping): verifikationsserie per bankkonto for bank-transaction bookings (#2160)
* feat(bookkeeping): verifikationsserie per bankkonto for bank-transaction bookings A company running several bank accounts (main bank on A, company card on M, both imported via CSV) could not route each account's bookings into its own series: every bank_transaction booking took the single company-wide default from default_voucher_series_per_source_type. - cash_accounts.voucher_series (nullable, single letter): per-account override, editable under Inställningar → Bokföring → Verifikationsserier per bankkonto (new PATCH /api/cash-accounts/[id]). - resolveCashAccountVoucherSeries(): step 2 of the resolution order (explicit pick → account override → per-type map → A). Wired into the book route and createTransactionJournalEntry, which covers categorize, the agent, pending operations and the v1 API. - Booking dialog gets the series picker, seeded from the server via /voucher-sequences/next?source_type&cash_account_id so dialog and route can never disagree. An unresolved embedded picker omits voucher_series so a stray 'A' never overrides the account's series. Scope: bank_transaction bookings only. Invoice settlements matched from the bank keep their payment series; bulk-book resolves inside its RPC (see DECISIONS.md). Migration applied to staging as 20260902121420. Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com> Claude-Session: https://claude.ai/code/session_01JWSLbQc3jgpfqnxWe6nteh * fix(bookkeeping): audit and document the per-bankkonto series, tighten preview and PATCH Consolidated pass over the PR #2160 findings (skeptics, CodeRabbit, Swedish compliance review): - Behandlingshistorik (BFNAR 2013:2 p. 9.16): changing cash_accounts.voucher_series is a behandlingsregel that outranks the audited per-type map. New trigger audit_cash_accounts_voucher_series (UPDATE only, WHEN the series changes, so bank-sync churn never logs), cash_accounts added to AUDITED_TABLES and the audit_log filter, "Bankkonto ... Verifikationsserie: (tomt) -> M" events in the report, pg-real test. Applied to staging as 20260902124513. - Systemdokumentation (p. 9.2-9.15): revision/systemdokumentation.json gains a verifikationsserier_regler block with the resolution order and the two exceptions (invoice settlements, samlingsverifikat); the per-account mapping itself is in data/cash_accounts.json. - Settings picker uses the same closed list as the manual verifikat form (presets plus letters already in use) instead of all 26 letters; strings moved to messages/sv.json and messages/en.json. - /voucher-sequences/next applies the account override only for source_type=bank_transaction (CodeRabbit), so a manual-entry preview cannot show a series the entry will not get. - Book route resolves the series from the account the row ends up on after a stranded-row repoint, not the stale one. - PATCH /api/cash-accounts/[id] answers 404 for a non-UUID id instead of a Postgres cast 500; the series lookup logs a warning when it fails open. Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com> Claude-Session: https://claude.ai/code/session_01JWSLbQc3jgpfqnxWe6nteh --------- Co-authored-by: Claude Fable 5.1 <noreply@anthropic.com> |
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cd40127f0e |
feat(bank): expose bank-reported balance (booked + available) in UI, reconciliation, MCP and v1 API (#2118)
* feat(bank): expose bank-reported balance (booked + available) in UI, reconciliation, MCP and v1 API
The PSD2 sync has fetched the bank's reported balance for years but the
data was stranded (F7): the Bank-page source picker read a cash_accounts
column no sync ever updated (frozen at connect time), reconciliation
hard-coded external_balance to null for bank accounts, and neither MCP
nor the v1 API exposed any balance at all, so the only path to a current
bank balance was logging into the bank.
- getAccountBalance now returns booked + available from the same
quota-limited BALANCES response (previously all but one type discarded)
- every sync (manual + cron) mirrors balance, available_balance and
balance_updated_at into cash_accounts, fixing the stale picker
- new cash_accounts.available_balance column (additive migration)
- reconciliation bank kind: external_balance = bank-reported balance,
plus bank_reported_* fields and fetch timestamp in the bank block;
difference math stays movement-based and untouched
- reconciliation view shows "Saldo enligt banken ... hamtat {date}"
- MCP gnubok_list_cash_accounts returns the three balance fields; the
cash_today prompt now reports the bank's figure instead of teaching
agents to answer with the bookkept 19xx balance
- new GET /api/v1/companies/{companyId}/cash-accounts endpoint
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01Ewu46quXgh9LSr9UwYusxm
* fix(bank): keep external_balance null for bank sign-offs; never fabricate a zero balance; guard the mirror against stale writers
Post-review fixes from the skeptic pass + CodeRabbit on PR #2118:
- external_balance stays null for the bank reconciliation kind: sign-off
persists it into account_reconciliations and bokslutsbilagor computes
closing - external from that row, so a today-balance stored on a
balansdag sign-off printed a phantom warning-red differens in the
year-end appendix. The bank-reported figure lives only in the
timestamped bank_reported_* pair in the bank block, and only when its
fetch timestamp exists (a balance of unknown age is suppressed).
- AccountOverview no longer falls back to today's date when the balance
timestamp is missing; the line is omitted instead.
- getAccountBalance returns null on an empty BALANCES response instead
of fabricating amount 0 with a fresh timestamp; sync keeps the
previous stored value.
- updateBalancesFromSync only writes over an older-or-missing
balance_updated_at, so an older sync run finishing later cannot move
the mirrored balance backwards.
- The inline initial backfill (picker save) now mirrors fetched
balances into cash_accounts too (accounts_data is deliberately not
re-written there).
- cash_today MCP prompt mentions the gnubok_call_tool bridge for hosts
that only see the default catalog.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01Ewu46quXgh9LSr9UwYusxm
* fix(bank): express the stale-writer guard as two literal predicates for the schema guard
The .or() with a template literal pushed the no-phantom-columns
unresolvable-expression count over its ceiling. Same semantics, two
updates: one for rows with an older timestamp, one for rows with none.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01Ewu46quXgh9LSr9UwYusxm
* fix(bank): rank interimBooked (ITBD) as a booked balance type before the generic fallback
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01Ewu46quXgh9LSr9UwYusxm
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Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
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1cd8863958 |
fix(transactions): resolve bank account from cash_account_id in booking dialog (#769)
* feat(transactions): expose cash_account_id in list API response Add cash_account_id to the transactions list API select so that components can resolve the bank account from the transaction instead of hardcoding. Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * feat(cash-accounts): extract resolveAccount to shared utility Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * refactor(transactions): use shared resolveAccount in MatchVoucherDialog Replace the local resolveAccount function with the shared utility from lib/cash-accounts/resolve-account, reducing code duplication and improving maintainability. Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(transactions): resolve bank account from cash_account_id in booking dialog Replaces the hardcoded '1930' bank leg in TransactionBookingDialog with the actual ledger_account of the transaction's cash account. Companies with multiple bank accounts (e.g. 1930 + 1940) now get the correct account pre-filled in both the blank and template-based booking flows. Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(transactions): cancel stale cash-account fetch on dialog re-open Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(transactions): prevent form remount discarding edits during bank account fetch Hold JournalEntryForm render until the /api/cash-accounts fetch resolves by changing bankAccount state to string | null (null = pending). This prevents the form from mounting with key '…-1930', then immediately remounting with the correct account key and losing any user edits made in the sub-100ms window. Also adds r.ok guard before parsing and sets '1930' as explicit catch fallback. Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(transactions): cancel stale cash-account fetch in MatchVoucherDialog Pass a signal object into loadCandidates and return a cleanup from the useEffect so a stale in-flight fetch (from a previous transaction) cannot call setAccountNumber/setAccountFallback/setGlLines/setSelected after the dialog re-opens for a different transaction. Also adds r.ok check before parsing /api/cash-accounts response. 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> |