Commit Graph

65 Commits

Author SHA1 Message Date
Mattsson b68c082ef5 feat(bank-sync): close the F2 report: gap backfill, consent and paused chip states, agent-triggered sync (#2165)
* fix(bank-sync): cron backfills the gap since the last successful sync

The daily incremental sync always asked the bank for the last 7 days. Any
pause longer than that (a lapsed subscription paid again, a consent renewed
after expiry, an outage) silently lost the days in between: the connection
came back, looked healthy, and the missing transactions never arrived.

The lookback now widens to cover the gap since last_synced_at plus one day
of overlap, capped at the 90-day PSD2 limit, and a gap of a month or more
asks for strategy=longest like the manual sync route does. Dedup via
external_id makes the overlap harmless. First syncs keep their 90-day path.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01QdcDV7CngLkWUvfKSsxFhS

* feat(bank-sync): chip warns seven days before a bank consent expires

The transactions-page chip only reacted once a connection was already dead
(expired/error) or had gone stale. A consent that is about to end looked
healthy until the morning it stopped syncing. New "expiring" state when a
live connection's consent_expires is within seven days, the same threshold
as the consent-expiry email in the sync cron. Precedence: attention,
expiring, stale, healthy.

getChipState moves to lib/transactions/bank-sync-chip-state.ts so the
precedence is unit-tested; the component keeps the rendering only.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01QdcDV7CngLkWUvfKSsxFhS

* feat(bank-sync): chip says paused when the subscription lapsed

The daily cron filters connections by the bank_sync capability, so a
company whose trial or subscription ended keeps status=active rows with a
frozen last_synced_at. The chip read that as "stale, check the connection",
which sends the user to re-authorise a connection that is perfectly alive.
56 of 191 active connections on prod were in this state on 2026-09-01.

New "paused" state, ranked above everything else, when the company lacks
bank_sync: hosted points at billing, self-host at the connector key, the
same split BankSyncNowButton already makes. getChipState takes an options
object so the clock stays out of render (react-hooks/purity).

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01QdcDV7CngLkWUvfKSsxFhS

* feat(api): agent-triggerable bank sync in v1 and MCP

Closes the first wish in the F2 report: an integration could read bank
data but never refresh it. New POST /api/v1/companies/{id}/bank-connections/
{connectionId}/sync and MCP gnubok_sync_bank, both on a shared runner
(extensions/general/enable-banking/lib/trigger-sync.ts).

Cost is bounded structurally, not by policy: the window is never
caller-controlled (the cron's gap-aware 7 to 90 day lookback), a connection
synced within 15 minutes answers BANK_SYNC_COOLDOWN with next_allowed_at
(429 + Retry-After on v1; synced=false in-band on MCP so the agent reads on
instead of retrying), and a failing connection is throttled per process by
attempt time. A dead session is flipped to expired with a remediation that
hands the user the connect link: no API call revives a consent.

Gated on bank_sync like gnubok_connect_bank; scope transactions:write.
Registry, scope map, load-routes, spec snapshot and the generated
accounted-api skill updated; five BANK_SYNC_* / BANK_SESSION_EXPIRED codes
added to the structured-error registry. The web Synka-nu route is left as
is (see DECISIONS.md).

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01QdcDV7CngLkWUvfKSsxFhS

* test(bank-sync): use the options object in the remaining chip-state calls

Four multi-line calls still passed the clock positionally after
getChipState moved to an options object; tsc flagged them (vitest did not,
the extra argument was ignored at runtime).

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01QdcDV7CngLkWUvfKSsxFhS

* fix(api): address skeptic findings on the agent-triggered bank sync

Three refutations from the pre-publish skeptic pass:

1. Core imported the extension. The v1 sync route pulled the runner
   straight from @/extensions, which the core-build gate rejects and which
   left a live bank endpoint on zero-extension builds. The route now
   resolves it through the registry's services channel against a contract
   in lib/bank-sync/trigger-sync-contract.ts (same pattern as the
   Skatteverket read service) and answers EXTENSION_DISABLED when the
   extension is absent.

2. The idempotency cache stored the handler-level 429. A same-key retry
   after Retry-After, which is the documented retry, replayed the stale
   cooldown as a 400 for the cache's 24-hour TTL. withApiV1 no longer
   caches 429 responses; regression test added. The endpoint's pitfall no
   longer claims Idempotency-Key is mandatory (it was never enforced).

3. Two cron tests read the clock twice and failed whenever a millisecond
   passed between the reads. They now pin the clock with fake timers.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01QdcDV7CngLkWUvfKSsxFhS

* fix(bank-sync): durable cooldown lease and review wording

Resolves the PR #2165 review findings in one pass.

Superagent P1: the attempt throttle was a process-local Map, so two agent
calls on different serverless instances (or a retry after a cold start on
a failing connection) could each bill an Enable Banking call, contradicting
the one-sync-per-15-minutes promise. New bank_connections.sync_lease_until
(migration 20260902150000), claimed with one conditional UPDATE before the
bank is called; Postgres row locking makes exactly one claimer win, the
rest answer BANK_SYNC_COOLDOWN. The lease stays for the full window on
success and failure. Tests cover the claim order, a failed attempt seen
from a second instance, a lost race, and an expired lease.

CodeRabbit: the =1 plural branch now reads "in 1 day" / "om 1 dag"
(daysUntilConsentExpiry rounds a partial day up, so "tomorrow" could be
today); the cooldown pitfall on the v1 endpoint, the MCP description and
the in-band cooldown instruction now say a cooldown can follow a failed
attempt and tell the agent to compare last_synced_at before deciding.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_0125TMQQBjBBZG9YxP7wQWub

* fix(bank-sync): lease claim as a literal filter for the schema guard

CI's no-phantom-columns guard counts runtime-built query expressions and
its ceiling is exact; the templated `.or('sync_lease_until.is.null,...')`
claim added one. The column now defaults to epoch (NOT NULL), so "never
claimed" is just "expired long ago" and the atomic claim is a single
literal `.lte('sync_lease_until', now)` the guard can check. Migration is
unshipped (same PR), so it is edited in place.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_0125TMQQBjBBZG9YxP7wQWub

* fix(bank-sync): runner verifies company membership before the lease

Superagent (round 3): the MCP path reached the shared runner without a
membership check of its own. Both callers do enforce it upstream
(withApiV1's company resolution and resolveMcpCompanyContext in the MCP
dispatcher), but the runner writes transactions and bills a bank call, so
it now checks company_members itself, before the cooldown and the lease
claim, and answers NOT_FOUND for a non-member. The viewer check that was
buried inside the sync block moves up with it.

Co-Authored-By: Claude Fable 5.1 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_0125TMQQBjBBZG9YxP7wQWub

---------

Co-authored-by: Claude Fable 5.1 <noreply@anthropic.com>
2026-09-02 17:17:41 +02:00
Jakob Wennberg f266c386f3 chore: repo-wide bloat sweep, remove dead code and fold duplicate helpers (#2150)
* chore: repo-wide bloat sweep, remove dead code and fold duplicate helpers

Remove 33 dead files, ~270 unreferenced exports/types, 13 dead i18n
namespaces and 4 unused dependencies; fold byte-identical helper copies
into one canonical home each (lib/utils chunk/sleep/utcDateStamp,
lib/dates/iso, lib/invariants/uuid, lib/xml/escape, lib/reports/sru/format,
lib/pdf/number-text, lib/browser/panel-request, lib/api/v1/body +
v1ValidationError rolled out to ~55 v1 routes, booking-template schemas).

No behaviour change: v1 bodies and status codes, MCP tool schemas, DB
writes and money math are untouched. Naive ore rounding was deliberately
not swapped for roundOre; see DECISIONS.md 2026-09-02 for the full list
of things left alone on purpose.

tsc, lint, 19588 unit tests and check:guards green; antipattern baseline
ratcheted (naive-ore-round 622 -> 620, hand-rolled-invariant 115 -> 113).

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

* test(transactions): import RawTransaction from @/types after the ingest re-export removal

CI's type ratchet (check:types, full tsconfig) caught the one test file
that still imported the type through lib/transactions/ingest.

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

---------

Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
Co-authored-by: Claude Fable 5.1 <noreply@anthropic.com>
2026-09-02 11:51:16 +02:00
Jakob Wennberg 6a40b3c0ef fix(inbox): name the FK in the underlag lock-state embed so locked items classify (#1548) (#2022)
fiscal_periods carries two FKs back to journal_entries (closing_entry_id, opening_balance_entry_id), so the bare fiscal_periods(...) embed in resolveUnderlagAnchoring is ambiguous on prod and every lock-state read failed on the first underlag-reconcile cron run: 34 locked-period items were treated as retryable and hit the period-lock trigger daily. The embed now names journal_entries_fiscal_period_id_fkey (same hint the MCP server uses) and the exact select string is pinned in the unit test, since mocks cannot see PostgREST ambiguity. Follow-up to #2012 (issue #1548).
2026-08-31 10:16:21 +01:00
Jakob Wennberg dc07ca8872 feat(transactions): steer private marking in locked periods to ignore, with v1 and MCP ignore verbs (#1661) (#2031)
Decision (option a): a private marking stays a real booking (eget uttag/insattning), so it remains blocked in a locked or closed period; the legal escape for rows that are not affarshandelser is ignore. Private + locked now returns TX_CATEGORIZE_PRIVATE_PERIOD_LOCKED with remediation naming the ignore paths instead of a bare PERIOD_LOCKED, on all four categorize surfaces and the bulk driver. New v1 POST/DELETE /transactions/{id}/ignore (isTransactionBooked-based 409, idempotent) and a staged MCP gnubok_ignore_transaction (+ accounted_ alias, search visibility to respect the tools/list payload ceiling) with operation_type ignore_transaction; the CHECK pair 20260831070000/070001 rebuilds the constraint from main's newest list plus the new value. Dashboard toast gains an Ignorera i stallet action. Closes #1661
2026-08-31 08:39:04 +01:00
Mattsson 84ba8323b4 fix(transactions): derive pre-migration marker cutoff from imported voucher dates, not fiscal_year_end (#2047)
* fix(transactions): derive pre-migration marker cutoff from imported voucher dates, not fiscal_year_end

A SIE file exported mid-year still declares the full fiscal year in #RAR 0,
so sie_imports.fiscal_year_end is a future date for mid-year migrators and
the 'fran perioden fore din migrering' marker fired on every new bank
transaction until New Year. The cutoff now comes from the latest posted
source_type='import' entry_date (excluding the M-series omforingsverifikation,
which is deliberately dated at fiscal year end), so it tracks where the
imported bokforing actually ends and self-corrects on undo/replace.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01UU5QbL3p8xNB3tSZDbyrr3

* fix(transactions): arm pre-migration cutoff on completed SIE import, exclude omforing by description

Skeptic findings on the frozen commit: (1) source_type='import' is accepted
from v1 API clients, so a never-migrated company with an API-labeled backfill
would get a false cutoff; the marker is now armed only when a completed
sie_imports row exists. (2) Imported vouchers keep the source file's voucher
series, so excluding series M dropped genuine M-series vouchers (6 prod
companies); the omforingsverifikation is now excluded by its hardcoded
description prefix instead.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01UU5QbL3p8xNB3tSZDbyrr3

* docs(transactions): state the pre-migration cutoff residuals truthfully

The ledger duplicate guard only reaches the completed-year single-skip case
(7-day window vs a fiscal-year-end-dated aggregate omforing), so it is not
a general backstop for the skip-window gap; the gap is accepted on rarity.
Also documents the rattelse-rename fragility of the description-keyed
exclusion. Skeptic re-review condition, no code change.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01UU5QbL3p8xNB3tSZDbyrr3

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-30 23:16:34 +02:00
Jakob Wennberg d11d0a2e90 feat(reconciliation): match one bank event to several verifikationer (1:N) (#1553) (#2029)
One bank row can now settle several vouchers: journal_entry_id stays NULL and one transaction_voucher_links row per voucher carries a signed allocated_amount slice (sum must equal the row within the link tolerance, each slice bounded by the voucher's net line on the account). linkTransactionToVouchers does the locked transaction UPDATE first and rolls back on a failed junction insert; unlink and the re-booking guards understand junction-only rows; a storno of one of the N vouchers releases the row when the remaining slices no longer sum to its amount. The worksheet's right pane becomes multi-select when exactly one bank row is picked (Koppla only at difference 0); the v1/dashboard pair schemas accept allocations; the MCP reconcile resolver and executor carry 1:N pairs; skattekonto keeps single-pointer semantics. Closes #1553
2026-08-30 11:56:15 +02:00
Jakob Wennberg 4e1eb3d662 fix(cash-accounts): never propose or accept an orphaned twin ledger as counter-account; match and re-point across sibling ledgers (#1643) (#2010)
* fix(cash-accounts): never propose or accept an orphaned cash-account ledger as counter-account (#1643)

A broken bank reconnect leaves cash_accounts rows that share the live
account's IBAN (held by a revoked connection, or demoted to manual by the
#916 fix). Three consequences are fixed here:

- Problem 4 (silent mis-booking): the own-account transfer detector paired
  with such an orphan and proposed its ledger as the counter-account, and a
  counterparty template learned from that result replayed as 1940/1931 in
  the booking dialog. The detector now tolerates several rows on one IBAN,
  never pairs with the transaction's own row, a disabled row, or a revoked
  holder; the mapping engine drops a "transfer" whose counter equals the
  settlement account; suggest-categories withholds learned suggestions that
  reference an orphaned ledger; and both commit paths (POST
  /api/transactions/[id]/categorize, categorizeMatchedTransaction) reject
  with the new TX_CATEGORIZE_ORPHANED_COUNTER_ACCOUNT (400). Orphans are
  only refused in the COUNTER position: a stranded row still settles on its
  own ledger, and a manual account without a live IBAN twin is never
  treated as orphaned, so transfers between two live accounts keep booking.
- Problem 1 (match dialog): the ranked unmatched-entries path also offers
  vouchers booked on sibling ledgers of the same IBAN, and manualLink
  accepts a voucher line on a sibling ledger. When it does, the same locked
  UPDATE re-points transactions.cash_account_id to the live sibling row
  (currency-gated, like PATCH /api/transactions/[id]/cash-account) so the
  account-keyed reconciliation does not count a cross-account link as an
  imbalance on both ledgers.
- Problem 3 (naming): allocatePsd2LedgerAccount names the chart account
  BAS-style (BAS reference name for a standard slot, else "Bankkonto
  <CUR>") instead of the ASPSP-reported holder name.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna

* fix(cash-accounts): address review findings on the orphaned-ledger guards (#1643)

One in-memory topology (cash_accounts rows + bank_connections status) now
defines "live", "orphaned" and "same physical account" for the transfer
detector, the match/link flows and every commit guard, so a proposal is
never made that a guard later rejects.

- Finding 1/4/6 (own IBAN as counterparty): findPairableCashAccountByIban
  treats the transaction's own IBAN as "not a transfer": every same-currency
  row on that IBAN is the same physical account, whichever is live, so
  interest stamped with the own IBAN never pairs with a twin (two active
  rows, a demoted-manual twin, or a live twin of a stranded row). Only a
  pocket in another currency on that IBAN can still pair. guardCounterLegs
  refuses a same-IBAN same-currency twin in the counter position on every
  commit path, even when both rows are active.
- Finding 3: with several surviving candidates (currency pockets with no
  discriminator, or two active twins) the finder returns null instead of
  picking the lowest ledger, which is what the pre-PR lookup did.
- Finding 5: the finder drops every row in the orphaned set, the same
  predicate the commit guards use (demoted-manual twins included).
- Finding 9: "live" means enabled + connection status 'active'; an
  expired/error twin of a live row is orphaned, a lone expired connection
  (re-auth window) is not.
- Finding 2: siblings are keyed on (normalized IBAN, currency) in
  describeCashAccountSiblings and the unmatched-entries route, so a SEK
  transaction can no longer link to a voucher whose only bank leg is on the
  EUR pocket of the same IBAN; manualLink rejects that as before.
- Finding 8: manualLink re-points a row only when the voucher sits on the
  LIVE sibling and the own row is not live; the reverse direction links
  without moving the row.
- Finding 7: the v1 REST categorize route runs the same guardCounterLegs
  check after account_override and returns
  TX_CATEGORIZE_ORPHANED_COUNTER_ACCOUNT. MCP stages through
  categorizeMatchedTransaction, already covered.
- Finding 10: a learned template whose stale 19xx leg is a twin of the
  settlement row is rewritten to the settlement account (it is the bank
  leg, not the counter) instead of refused; suggest-categories exempts each
  transaction's own settlement ledger before withholding a suggestion. The
  error message now covers both the twin and the disconnected case.

Tests pin each behavior (service, detector, manualLink, unmatched-entries,
dashboard and v1 categorize routes, suggest-categories).

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna

* fix(cash-accounts): address round-2 review findings (#1643)

1+3. Orphan derivation keyed on (IBAN, currency): loadCashAccountTopology
   now keys the live twin on normalized IBAN plus currency (the rule every
   other "same physical account" check in the PR already used), so a
   manual or deselected GBP/EUR pocket beside a live SEK pocket of a
   multi-currency account is never orphaned, still pairs in the transfer
   detector and is accepted as counter at commit. Twin computation is
   shared (twinLedgersOf).
2. suggest-categories mirrors guardCounterLegs: a learned 19xx leg that is
   a twin of the transaction's own row is rewritten to the settlement
   ledger in the offered suggestion instead of being withheld; only a true
   counter-position orphan (or a twin that would book the settlement
   ledger against itself) is withheld. One topology load per batch
   (loadCounterLegTopology).
4. The free-form dialog path (POST /api/transactions/[id]/book) gets a
   line-level guard (guardBookedCounterLines): a 19xx line that is a twin
   of the transaction's own row or an orphaned ledger, alongside the
   settlement leg, is refused with TX_CATEGORIZE_ORPHANED_COUNTER_ACCOUNT.
   Only runs when the lines touch two distinct 19xx ledgers. The twin
   rewrite in suggest-categories (2) covers the both-active shape before
   the dialog is even opened.
5. manualLink re-points the row onto the sibling ledger the voucher was
   booked on whenever the sibling is live or the own row is not (both-live
   twins and both-dead rows included); only a live row whose voucher sits
   on a dead sibling links without moving. unmatched-entries now uses
   describeCashAccountSiblings and does not offer dead-sibling vouchers to
   a live row.

DECISIONS.md: the PR's existing review follow-up line amended.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna

* fix(cash-accounts): address round-3 review findings (#1643)

1. Revoked-held rows are no longer orphaned unconditionally. A row whose
   connection is revoked is orphaned only under the twin rule (not live
   AND a live row shares its normalized IBAN + currency), so a
   disconnected-but-real account (the company's only 1930, or two real
   accounts on one revoked connection) stays pairable by the transfer
   detector and bookable as counter on every guarded path. Tests cover
   the no-twin case for getOrphanedCounterLedgers,
   findPairableCashAccountByIban, detectOwnAccountTransfer,
   guardCounterLegs and guardBookedCounterLines; the existing revoked
   tests now use a twin shape.
2. manualLink / unmatched-entries decide the re-point on the destination:
   a new shouldRepointToSibling moves onto a live sibling, or onto a dead
   one only when the own row's holder is gone (released: bank_connection_id
   null or revoked) and no sibling is live. An expired/error/pending own
   row links without moving. SiblingCashAccount gains `released`. Tests:
   expired own row + demoted twin links without moving and the twin's
   vouchers are not offered.
3. loadCounterLegTopology is exercised directly: settlement ledger and
   twins, other-currency pocket, null/unknown ids, cache, orphan set
   equal to guardCounterLegs' refusals on the same fixture, lookup failure.
4. guardBookedCounterLines docstring and the /book route comment now state
   that only the two-cash-legs shape is inspected; a single hand-typed
   19xx line is not (covering it would cost a cash_accounts lookup on
   every ordinary booking). DECISIONS.md lines amended accordingly.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna

* fix(cash-accounts): address round-4 review findings (#1643)

1. Same-connection re-registration twins (the dominant prod shape): two
   enabled rows on one active connection sharing (IBAN, currency) are now
   told apart by balance_updated_at; only the most recently synced row is
   live, the other is a stale twin (orphaned as a counter, never a
   re-point destination, and the transfer detector pairs with the syncing
   row alone). Rows with no stamp or the same stamp both stay live.
2. POST /book: a single 19xx line that is a sibling ledger the row should
   move to (the live twin of a stranded row) re-points cash_account_id in
   the same locked UPDATE that links the voucher, mirroring manualLink.
   guardBookedCounterLines returns { refusedLedger, repointCashAccountId };
   an ordinary booking pays one PK read of the own row.
3. manualLink refuses the link (success:false, Swedish error) when the
   voucher sits only on a dead sibling instead of writing a cross-account
   link with a server-side warn; the REST and MCP link callers reach it
   without the unmatched-entries filter.
4. manualLink judges a voucher touching several sibling ledgers on the
   best of them (a live sibling, else the first the row may move to)
   instead of the first line PostgREST returns.

Tests pinned in lib/cash-accounts, lib/reconciliation and the /book route;
the two DECISIONS.md lines for #1643 amended in place.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna

* fix(cash-accounts): address round-5 review findings (#1643)

1/2/5. Same-connection twin liveness no longer ranks on
   cash_accounts.balance_updated_at (a connect-time snapshot the sync
   never refreshes, inverted on prod in 4 of 5 stamped groups). The live
   row is the one whose external_uid the bank still lists in
   bank_connections.accounts_data (rewritten on every sync); no listing,
   both listed or neither listed keeps both rows live (round-3 behavior).
   getConnectionStatuses selects accounts_data in the same query.
3. guardBookedCounterLines single-19xx-line shape: a twin the row may not
   move to (dead or disabled) is refused with
   TX_CATEGORIZE_ORPHANED_COUNTER_ACCOUNT instead of posting the only
   bank leg on the dead ledger; an unrelated 19xx line still posts as
   typed. Route test added.
4. Disabled cash_accounts rows are never siblings, so neither manualLink
   nor /book re-points a transaction onto a deselected row; a voucher
   booked only there is refused as a cross-account link.
6. PR body rewritten to the final rules; DECISIONS.md round-4 line
   amended (signal correction, /book refusal, disabled siblings).

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna

* fix(cash-accounts): never treat a null external_uid as listed by the bank (#1643)

CashAccount.external_uid is nullable in the shared type; the same-connection
twin rule now skips null uids instead of passing them to Set.has, which
failed the strict type check in CI.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna

* fix(cash-accounts): drop the same-connection twin liveness rule; both rows stay live (#1643)

Two enabled rows on one active bank connection sharing (IBAN, currency)
are no longer ranked. Round 4 ranked on cash_accounts.balance_updated_at
and round 5 on external_uid presence in bank_connections.accounts_data;
each was verified against prod and each was contradicted by it (ingest
routes by the accounts_data entry's ledger_account, which in two groups
points at the OLD row, so the "stale" row is the one still being fed).

Restores the round-3 behavior: neither twin is orphaned, the transfer
finder returns null when both survive, no guard refuses either, and
shouldRepointToSibling treats both as live siblings. No replacement
signal; how to model the shape is a founder decision (PR #2010 review).
getConnectionStatuses no longer selects accounts_data.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna

---------

Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-29 00:26:47 +02:00
Jakob Wennberg a4ceaafa4f feat(inbox): per-item underlag anchoring status and a daily reconcile cron for stranded underlag (#1548) (#2012)
* feat(invoice-inbox): per-item underlag status and daily reconcile of stranded booked items (#1548)

The inbox derives "booked" from the matched transaction's verifikat, but
that says nothing about whether THIS item's document reached it: a link
that failed at propagation time, or a document anchored to another
verifikat, read as booked while the verifikat sat without its underlag
(BFL 5 kap 6-7 §). GET /items and /items/:id now also emit
underlag_status (anchored | unlinked | anchored_elsewhere) from one
batched document_attachments read; the workspace keeps divergent items
in "Att göra", drops the booking bridge for them (the book routes 409 on
a booked transaction) and shows one explanatory line with a link to the
verifikat.

The backfill script's loop moves into lib/transactions/
inbox-underlag-reconcile.ts and runs daily from a new extension-owned
cron (vercel.json plus the generated Docker crontabs): transient link
failures heal without an ad-hoc script run, permanent conflicts are
counted in one summary, and each repaired transaction leaves an
InboxUnderlagReconciled row in behandlingshistorik. That event type is
registered by migration 20260828154800: processing_history.event_type has
an FK to processing_event_types, and the script's previous
InboxUnderlagBackfilled type was never registered, so its appends had
always failed silently.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna

* fix(invoice-inbox): address review findings on the underlag reconcile (#1548)

Findings 1, 3, 6 (scan cap starves the tail): the reconcile no longer caps
the read. The matched-unconsumed candidate set holds permanent residents
(samlingsverifikat siblings, anchored-elsewhere items) that never leave
it, so a uuid-ordered read cap would revisit the same 1000 rows every
night and never reach a stranded item sorting past the cut. The scan now
pages through every candidate (four columns per row) and maxItems bounds
the WORK: at most that many unlinked (or unreadable) items are propagated
per run; already-anchored, anchored-elsewhere and locked items are counted
from the pre-state without a propagation or budget. Items past the budget
are counted as deferred and truncated is logged at warn level.

Findings 2, 5 (false "linked automatically" promise for locked periods):
resolveUnderlagAnchoring reads the fiscal period lock state of the
verifikat for every unlinked item and reports unlinked_locked when
is_closed or locked_at is set, the same pair enforce_period_lock_documents
checks. The reconciler counts it separately (unlinkedLocked), never
propagates it and never warns "still unlinked after re-run"; the rail
shows a message that says the period must be unlocked first.

Findings 4, 7 (absent anchoring read as booked): the list and detail
enrichment emit underlag_status 'unknown' when the helper could not read
the document row, and the workspace treats any status but 'anchored' as
divergent (stays in Att göra, no booking bridge, own message). classify()
counts a repair only when the pre-state was explicitly unlinked, so an
unreadable before-read never earns an InboxUnderlagReconciled event.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna

* fix(invoice-inbox): address round-2 review findings (#1548)

1. [minor] Round-1 fix dropped propagation for transactions whose inbox
   items already read anchored, so the pinned-document leg
   (transactions.document_id) was never repaired and settled items never
   received their created_journal_entry_id stamp, staying in the scan and
   inflating alreadyAnchored every night. reconcileCompany now propagates
   every stranded transaction that has an unlinked (budgeted) item or an
   anchored / document-less item, outside the maxItems budget: the helper
   is idempotent and the stamp shrinks its own population. Locked-only and
   anchored-elsewhere-only transactions stay skipped. Counting and the
   behandlingshistorik trail are unchanged (anchored items keep their
   pre-state verdict, no event). Tests updated and a new case pins the
   anchored-item plus document-less-item transaction: propagated, no
   after-read, no history. DECISIONS line amended.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_015nAd8XJ2RPCmG2eKoLBdna

---------

Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-28 17:45:10 +02:00
Jakob Wennberg f0af4ad4ee fix(transactions): categorize fails closed when the verifikat cannot be created (#1990)
* fix(transactions): categorize fails closed when the verifikat cannot be created (#1947)

Booking into a locked period refused the verifikat but still wrote
is_business/category, so the row left "Att bokföra" and the nav badge
while journal_entry_id stayed NULL (canonical worklist predicate:
is_business IS NULL). The verifikat is the booking: when it cannot be
created nothing is written and the request returns a typed 409
TX_CATEGORIZE_JOURNAL_ENTRY_FAILED (Swedish reason preserved,
details.cause = underlying code); a null engine return maps to 400
NO_OPEN_PERIOD_FOR_DATE. Same shape on the dashboard route, the v1
single route and per item in v1 batch-categorize. journal_entry_error
stays in the 200 body, always null, for client compatibility.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01FkUfWtuFCUkNtRAgMQCse2

* fix(transactions): fail closed on the engine's null return in the MCP/bulk door too

Review findings on #1990: categorizeMatchedTransaction (pending-op
approval, Underlag bulk-book) still wrote is_business/category with
journal_entry_id NULL when createTransactionJournalEntry returned null
(closed year or missing period return null without throwing), recreating
the exact #1947 stranding while the tool reported success. The core now
refuses before the transactions update with a structured 400 whose
errorCode (PERIOD_LOCKED or NO_OPEN_PERIOD_FOR_DATE, told apart via
checkPeriodLock) flows into result_data.error_code; the bulk driver
skips such items with reason no_open_period.

The dashboard route's null guard gets the same disambiguation: a closed
covering year answers PERIOD_LOCKED (reason period_is_closed) instead
of claiming the rakenskapsar does not exist, and the thrown-error branch
now pairs messageSv with messageEn per the errorResponseFromCode
contract. TX_CATEGORIZE_JOURNAL_ENTRY_FAILED message_en no longer
embeds API-doc prose (details.cause guidance lives in remediation).
DECISIONS line corrected: the MCP door was fail-closed only for thrown
engine errors, not the null return.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01FkUfWtuFCUkNtRAgMQCse2

---------

Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-27 22:25:11 +02:00
Jakob Wennberg 7cf15a105f fix(bookkeeping): settle unbound transactions on the company's single enabled cash account (#1831)
* fix(bookkeeping): settle unbound transactions on the company's single enabled cash account

A transaction with no cash_account_id booked its bank leg on the
hardcoded 1930 from the standard templates and category mappings even
when the company's only bank account is e.g. 1920 (PlusGiro), while the
booking dialogs previewed the right account via the client-side
resolveAccount fallback. resolveSettlementAccount now mirrors that
fallback: with a NULL cash_account_id it lists the company's enabled
cash accounts and, when EXACTLY ONE matches the transaction's currency,
settles there; zero or several candidates keep the 1930 fallback. The
explicit-cash_account_id branch (including its throw-on-error path,
issue #842) is byte-identical. Transaction currency is threaded into
the categorize, batch-categorize, pending-operation edit, MCP staging,
and invoice-inbox call sites; other callers get the SEK default.

Forward-only: historical wrong verifikat are corrected only via the
existing storno runbook (docs/SETTLEMENT_ACCOUNT_REMEDIATION.md).

Fixes #1722

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01SyDuePXxUFowaPBKpAv8SF

* test: align duplicate-guard mock queue with combined pre-FY and settlement-fallback lookups

The merge of main (PR #1828) into this branch combined two changes that each
add one query to the categorize commit flow; the strictly ordered queued mock
in the allow_duplicate test needed the cash_accounts listing entry inserted
between the period lookup and the pre-FY clamp lookup.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Claude-Session: https://claude.ai/code/session_01SyDuePXxUFowaPBKpAv8SF

---------

Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-24 13:26:08 +02:00
Jakob Wennberg 8e3015e541 fix(bookkeeping): book pre-FY bank transactions on the fiscal year's first day (#1828)
A newly registered company whose first rakenskapsar starts on the
Bolagsverket registration date could not book the aktiekapital deposit,
because the bank transaction is dated BEFORE the registration. Every
surface dead-ended: the manual booking dialog hard-blocked with the date
locked and only offered creating a (legally wrong) pre-registration
fiscal year, and the categorize paths either marked the row categorized
WITHOUT a verifikat ("Delvis bokforda") or silently minted a bogus
calendar-year period before the company existed.

Root cause: entry_date was hard-wired to the bank date with no clamp
against the company's first fiscal period, and the duplicated
ensureFiscalPeriod helpers upserted a calendar-year period for any
uncovered date.

Fix, per BFL (the event belongs to the first fiscal year; the real
affarshaendelse date is preserved on the verifikat):
- createTransactionJournalEntry clamps a pre-FY date into the earliest
  OPEN unlocked fiscal period with entry_date = period_start and appends
  "Affarshaendelse <date>, bokford pa rakenskapsarets forsta dag" to the
  verifikationstext. Interior gaps, future dates, and a closed/locked
  first year keep the old null return.
- Both ensureFiscalPeriod copies (categorize core + web route) skip the
  calendar-period upsert when the date predates the earliest period.
- JournalEntryForm's no_period block offers "Bokfor pa rakenskapsarets
  forsta dag (<date>)" for pre-FY dates instead of proposing a
  pre-registration year; "Skapa rakenskapsar" remains for the other
  no_period cases.

No schema, RPC, or trigger changes: the /book route and the DB triggers
already accept the clamped booking.

Fixes #1825


Claude-Session: https://claude.ai/code/session_01SyDuePXxUFowaPBKpAv8SF

Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-24 13:19:50 +02:00
Mattsson 47c039453c feat(import): undo a bank file import including ignored transactions (#1764)
* feat(import): undo a bank file import including ignored transactions (#1672)

A mis-parsed bank CSV could not be cleaned up: re-importing dedup-skips
the bad rows, the single-row DELETE refuses imported rows by design
(TRANSACTION_DELETE_IMPORTED), and there was no bulk action. Transactions
also never recorded which import batch inserted them, so a strictly
scoped undo was impossible.

- transactions.bank_file_import_id: batch link stamped at ingest by both
  bank-file import paths (dashboard execute route, v1 REST route). PSD2/
  manual/MCP rows stay NULL. No retroactive backfill: fuzzy attribution
  could delete rows belonging to a different import.
- undo_bank_file_import RPC: owner/admin-only bulk delete of the batch's
  unbooked rows, ignored INCLUDED. Booked rows (journal link, payment
  rows, voucher links) and rows with append-only payment_match_log
  history are skipped and reported, mirroring the single-row route's
  guards. Marks the import 'undone' (re-import reuses the row via the
  company_id+file_hash upsert), writes one audit_log summary row, and
  hardens the actor gate like undo_sie_import: p_user_id honored only
  for service_role callers, 42501 otherwise, no anon EXECUTE.
- DELETE /api/import/bank-file/[id]/undo returns the deletion report;
  RPC 42501 maps to BANK_FILE_UNDO_FORBIDDEN (403).

Closes #1672

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Signed-off-by: Emil <emilmattsson14@gmail.com>

* fix(import): return 404 when the bank-file undo target does not exist

An unknown or out-of-company import id answered 400 BANK_FILE_UNDO_FAILED,
hiding the not-found semantics the SIE import routes already expose
('Import not found', 404). Flag the case in undoBankFileImport (notFound)
and map it to a new BANK_FILE_UNDO_NOT_FOUND structured error (404);
status-refusals and RPC failures keep the 400 envelope.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Signed-off-by: Emil <emilmattsson14@gmail.com>

* feat(import): show bank file import history with undo on the import tab

The undo shipped for issue #1672 was API-only: no surface listed a
company's bank_file_imports, so neither users nor founders could reach
DELETE /api/import/bank-file/[id]/undo, and the deletion report existed
only in JSON. Mirror the SIE pattern (SIEImportHistory, #1574):

- GET /api/import/bank-file: list the company's imports newest-first,
  same { data, count, limit, offset } shape as GET /api/import/sie.
- BankFileImportHistory: fold-open 'Tidigare bankfilsimporter' row on
  the Importera tab with filename, date, format, imported count and
  status per import, plus an undo action on completed rows behind a
  DestructiveConfirmDialog. The undo stays owner/admin-only via the
  undo_bank_file_import RPC's actor gate, like the SIE one.
- After undo the toast shows the full report: transactions removed,
  booked rows skipped, rows with match history skipped, so nothing
  disappears silently from the ledger's surroundings.
- i18n strings in messages/sv.json and messages/en.json following the
  sie_history_* key style; list-route test mirroring the SIE list test.

Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
Signed-off-by: Emil <emilmattsson14@gmail.com>

* chore(migrations): move undo_bank_file_import after main's 2026-08-19 migrations

Signed-off-by: Emil <emilmattsson14@gmail.com>

* fix(import): validate bank-file list params, fail closed on undo lookup, log lost batch attribution

Review findings on #1764 (CodeRabbit):
- GET /api/import/bank-file rejects non-integer/negative/oversized limit
  and offset and unknown status with a mapped 400
  (BANK_FILE_LIST_INVALID_QUERY), limit capped at 100; boundary and
  invalid-input tests added.
- undoBankFileImport distinguishes PGRST116 (zero rows -> notFound/404)
  from other lookup failures, which now return an error instead of
  masquerading as a permanent 404.
- The v1 import route no longer discards the bank_file_imports upsert
  error: kept non-fatal by design (an unattributed batch imports fine and
  never appears in undo history), but the failure is now logged loudly.
- Route test beforeEach clears the event bus (repo convention).

Signed-off-by: Emil <emilmattsson14@gmail.com>

---------

Signed-off-by: Emil <emilmattsson14@gmail.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-20 21:25:18 +02:00
Jakob Wennberg 506d030bb1 fix(reconciliation): exclude ignored transactions from the bank total and bridge whitespace-drifted duplicate descriptions (#1705)
Bank reconciliation counted ignored transactions in bank_transaction_total
while excluding them from the unmatched count, so after the sanctioned
duplicate cleanup (ignore one twin) the differens showed the ignored sum
forever and is_reconciled was unreachable: observed live as a permanent
116 367 kr differens on a fully booked enskild firma (78 867 kr ignored
reconnect duplicates + 37 500 kr genuinely unbooked). The ignore toast
already promised 'försvinner från avstämningen'; now the engine keeps
that promise. Ignored rows are surfaced separately (count + sum) in the
status object, the UI card, and the v1 API, mirroring the IB pattern.

The duplicates themselves came from a PSD2 reconnect: the new connection
re-rendered identical transactions with drifted whitespace (CRLF vs
space, and a DROPPED space), so the prefix-containment content bridge
missed every twin. descriptionsBridge now strips all whitespace before
comparing: char-filtering preserves existing prefix relations, and the
compare stays confined to a (date, öre) bucket.

Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-19 20:19:26 +02:00
Mattsson 43cde6deb9 fix: unignore transactions during categorization (#1683)
Fixes #1660
2026-08-19 11:00:02 +02:00
Mattsson fbe4e18730 feat(mcp): book on custom accounts via account_override; fix kontoplan settings link (#1608)
* feat(mcp): book on custom accounts via account_override; fix kontoplan settings link

gnubok_categorize_transaction only spoke a 19-category enum mapping to 21
hardcoded BAS accounts, so company-custom accounts (e.g. VMB) were
unreachable from the agent surface even when active in the chart.

- add account_override to gnubok_categorize_transaction with v1 REST
  semantics via a shared helper (lib/bookkeeping/account-override.ts):
  business-side replacement, class-2 auto-VAT drop with the 2610-2649
  moms-line exception, plus a same-account degenerate guard; validated at
  staging and re-validated at commit
- align the gnubok_create_voucher staging gate with the engine's seeding
  semantics: BAS 2026 accounts merely absent from the chart pass (the
  engine backfills them at commit) and the preview lists
  will_activate_accounts with BAS-name fallback; non-BAS unknown and
  inactive accounts still rejected
- stop suggest_categories silently dropping mapping rules whose account
  is outside the fixed category maps; they surface with the rule's own
  account and an explanatory match_reason
- correct the create_account next-step hint (categorize could never use
  the new account before; now true via account_override)
- point the settings "Kontoplan (BAS)" link at /chart-of-accounts and
  redirect the orphaned /bookkeeping?tab=accounts URL (tab removed in
  #850; the deep link never worked after the #854 merge collision)

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

* fix(mcp): address review findings on account_override

- commit executor rejects a present-but-malformed stored account_override
  loudly instead of degrading to the category default (CodeRabbit major;
  the approver approved a preview showing the override account); with
  commitPendingOperation regression tests
- accountToCategory returns null for unknown income accounts so custom
  income accounts get the same diagnostic as expenses (CodeRabbit minor),
  with income + reason-accumulation tests (CodeRabbit nit)
- pin the class-2 VAT-drop balance invariant with a test through
  buildTransactionEntryLines (Swedish compliance review: gross booking,
  never an unbalanced net + missing VAT leg)
- account_override description asks the agent to state the actual
  affärshändelse in notes when overriding (BFL 5 kap description concern)
- eventBus.clear() in the two new test suites (CodeRabbit minor)

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

* fix(mcp): never guess a moms leg onto an account_override without explicit VAT intent

Round-2 Swedish compliance finding: the class-2 VAT drop did not cover
margin-scheme (VMB) accounts in class 3/4, which are the override's
flagship use case, so a forgotten vat_treatment attached the category
default standard_25 and booked an ingående-moms deduction on a
transaction where input VAT is not deductible (ML 2023:200).

applyAccountOverride now takes explicit VAT intent (vat_treatment or
vat_amount present) and books GROSS with no auto-VAT line without it:
forgetting the flag under-deducts (lawful), never over-deducts. Both
call sites (MCP staging preview, commit core) derive the flag the same
way; the tool description states the enforced behavior. Deliberate
divergence from v1 REST recorded in DECISIONS.md.

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

* chore: move stray decision-log entry to the root DECISIONS.md

The round-2 entry was appended from the wrong working directory and
landed as lib/bookkeeping/__tests__/DECISIONS.md.

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-14 01:24:48 +02:00
Mattsson 4a9fa5e6c5 feat(inbox): staged upload ack, HEIC/HEIF validation, WhatsApp silence fixes (#1605)
* fix(whatsapp): app-side unmute, close silent intake paths, health visibility

- add POST /link/unmute and a Reactivate control on the Pausad state
- company resolution: transient query errors release the row for sweep
  retry; genuine zero-options sends M19 instead of parking silently
- media from unlinked senders bypasses the hourly greeting throttle
  (10 min burst window, daily cap kept)
- GET /link returns 7-day failed-delivery and parked-inbound counts;
  sweep summary logs outboundFailed24h

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

* fix(documents): real HEIC/HEIF magic-byte validation, bilingual upload errors

- detect ISO-BMFF ftyp brands (heic/heix/heim/heis/hevc/hevx/hevm/hevs,
  mif1/msf1) instead of exempting image/heic from validation; declared
  heic/heif accepts either family member (iOS labels vary)
- new INBOX_UPLOAD_* structured error codes replace raw English strings
  on the inbox upload and attach-document routes
- registry doc corrected to the real 10 MB cap

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

* feat(inbox): staged upload with instant ack and deferred AI extraction

- web uploads insert the inbox item as status processing and respond
  immediately; Bedrock extraction and supplier match run via after()
  with a CAS flip to received (email and WhatsApp channels keep the
  synchronous path)
- widen invoice_inbox_items.status CHECK to include processing
  (migration 20260813180000, pg-real test included)
- crash-recovery sweep cron (*/2) flips stale processing rows;
  bulk-book skips extraction_in_progress items
- workspace: processing chip, in-flight rows disable actions, realtime
  flip, retry-extraction button for empty extractions
- picker accept list drops HEIC/HEIF so iOS transcodes library photos
  to JPEG; server allowlists unchanged (supersedes 2026-08-01 HEIC
  decision, see DECISIONS.md)

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

* fix(migrations): bump inbox processing-status migration past main's latest

Main merged 20260813210000 while this PR was in flight; an inserted
version older than the latest applied aborts the prod db push at merge.
Renamed 20260813180000 to 20260813213000 and updated references.

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

* docs(decisions): log preview-tracker orphan repair after migration rename

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-13 23:57:53 +02:00
Jakob Wennberg 0d3ba5268d fix(transactions): close the booking duplicate guard's blind spots (#1573)
* fix(transactions): close booking duplicate guard blind spots G1-G3

The booking-time duplicate guard missed the most common bank-fee twin
shapes:

- G1: the sibling scan matched on the EXACT date only, so a duplicate
  import with a drifted date (CSV bokforingsdag vs PSD2 valutadag) was
  invisible. The scan now uses a +-3 day window with a deterministic
  ranking where exact-date candidates always outrank drifted ones
  (force=true re-detection stays bound to the reviewed candidate).
- G2: booked-ness required transactions.journal_entry_id, so bulk-booked
  (transaction_voucher_links) and multi-allocated (invoice_payments /
  supplier_invoice_payments) siblings read as unbooked. The scan now
  batch-fetches the anchor rows and resolves the verifikat via
  getPrimaryJournalEntryId (is_transaction_booked semantics).
- G3: the ledger scan excluded every voucher linked to any transaction,
  so a voucher booked from a date-drifted duplicate row escaped BOTH
  halves and the booking proceeded with no warning. A voucher whose
  linking transaction itself matches the target (same ore in the same
  currency, compatible cash account, date in the window) is now returned
  as the twin with transaction_id set.

All candidate picks keep explicit total-order tiebreakers so a force
re-detect returns the same candidate the user reviewed, and the
SEK-or-null amount contract is unchanged.

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

* fix(transactions): offer match/ignore for sibling duplicates and route all 409s into the dialog

The duplicate dialog hid its match action for sibling-transaction
candidates (canMatch required transaction_id === null), so the user who
most needed steering saw only 'Bokfor anda'. manualLink explicitly
allows N:1 links, so the match action is now offered for both candidate
kinds. Sibling candidates get question-form body copy ('vill du matcha
mot verifikatet i stallet?') and an additional 'Ignorera transaktionen'
action via the existing POST /api/transactions/[id]/ignore, which is the
correct resolution when the row itself is a duplicate import (matching
would double-count the bank side, booking the ledger side).

Two clients dead-ended the TRANSACTION_BOOK_POSSIBLE_DUPLICATE 409 in a
destructive toast with no way forward:

- the counterparty-template branch of handleQuickReviewConfirm now sets
  the shared duplicateWarning state exactly like runCategorize, with the
  force retry bound to the reviewed candidate's voucher
- BankReconciliationView's quick-book now opens the same dialog, with
  match/ignore refreshing the reconciliation lists

New sv/en strings: dialog_duplicate_body_sibling,
dialog_duplicate_ignore, dialog_duplicate_ignore_failed. File-level
parity tests pin the 409 routing and the dialog affordances.

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

* fix(transactions): duplicate guard on the bulk-book samlingsverifikation path

/api/transactions/bulk-book never called detectBookingDuplicate, so a
batch containing an already-booked twin minted a second verifikat with
no warning. The route now runs the shared per-tx guard before the RPC,
with intra-batch exclusions (the other selected txs are distinct events
the user picked, and the link-existing target voucher is the batch's own
destination), returning 409 TRANSACTION_BOOK_POSSIBLE_DUPLICATE with the
candidate and the flagged tx id.

BulkBookDialog routes the 409 into DuplicateBookingDialog for review
(view voucher / cancel / book anyway) instead of a dead-end toast;
'Bokfor anda' re-runs the batch with force=true. On force the route
re-detects and records each dismissed candidate as
BankTransactionDuplicateDismissed in behandlingshistorik (BFNAR 2013:2
kap 8), parity with the /categorize bypass. Detection failures stay
fail-open. Note: the MCP RPC twin (gnubok_bulk_book_transactions)
bypasses this route and remains unguarded; guarding inside the RPC needs
a migration and is out of scope here.

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

* fix(transactions): gate the duplicate-dialog ignore hint on the action being present

The sibling body copy mentioned ignoring the row, but two render sites
(the manual booking form and the bulk dialog) show sibling candidates
without the ignore action. The guidance now lives in a separate
dialog_duplicate_ignore_hint string rendered only when the Ignorera
button itself renders, so copy never points at a button that is not
there.

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

---------

Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-13 15:21:55 +02:00
Jakob Wennberg e1f13f870a feat(import): warn about already-imported rows in the bank-file wizard (#1567)
* fix(transactions): paginate the ingest dedup maps past the 1000-row cap

buildExistingTransactionMaps issued un-paginated selects for the booked and
unbooked dedup maps, so PostgREST silently truncated each at 1000 rows: a
re-import over a wide date range in an active company deduped against a
partial map and inserted everything past the cap as duplicates. Both queries
now go through fetchAllRows with a stable .order('id') for range paging.

Also exports the function and its types for the upcoming read-only duplicate
preview, which must share the exact stored-row universe execute-side ingest
dedups against.

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

* feat(import): add read-only duplicate preview endpoint for bank files

New POST /api/import/bank-file/check-duplicates (withRouteContext + Zod,
transactions capped at 20000) computes external_ids with the exact
generateExternalId(tx, format, index) derivation execute uses and runs
previewDuplicates: Layer-1 id collisions plus the Layer-2 text bridge with
counting semantics and the currency guard, against the same stored-row maps
ingest builds (buildExistingTransactionMaps). The result is advisory; execute
stays authoritative and mirrors/settlement-account guards are documented
preview/execute differences.

A dedicated endpoint because the generic_csv path re-parses client-side and
never re-hits /parse. Also removes the dead existing_transaction_count field
from the parse response (a raw date-range count consumed by nothing).

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

* feat(import): surface duplicate rows in the bank-file import wizard

Overlapping bank imports used to dedup silently: the wizard promised
'Importera N transaktioner', ingest skipped the twins, and the user saw fewer
rows than parsed with zero explanation. The wizard now calls check-duplicates
after a successful parse AND inside handleColumnMappingConfirm (the
generic_csv path never re-hits parse), and:

- BankFilePreviewStep: warning card in the AlertTriangle pattern ('{count}
  rader finns redan', skipped automatically) plus a 'Finns redan' badge on
  flagged rows in the 50-row table
- BankFileConfirmStep: repeats the summary card (generic path skips preview)
  and the CTA counts 'Importera {parsed - duplicates} transaktioner'
- BankFileResultStep: renders result.duplicates when > 0, closing the loop
  ingest.ts documents as unrendered

Execute semantics unchanged: all rows are sent, ingest skips; the preview is
advisory and never promises an exact final number. New strings in both
messages/sv.json and messages/en.json next to the import_psd2 anchors.

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

---------

Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-13 15:16:29 +02:00
Mattsson 5769e35869 fix(api-v1): propagate underlag when booking via v1 categorize routes (#1564)
The v1 categorize and batch-categorize routes create the journal entry
via createTransactionJournalEntry directly and never ran the shared
underlag propagation, so a booking made through the API-key surface
left the transaction's pinned document unanchored and matched inbox
items unstamped: the same "Underlag saknas" gap #1560 closed for the
dashboard, /book and bulk-book paths, surviving on this one surface.

Both routes now call propagateUnderlagForBookedTransaction after the
CAS write succeeds (only when this request owns the booking; skipped on
partial success and lost CAS races). Best-effort by contract, same as
every other caller: a propagation failure is logged inside the helper
and never fails the booking.

Also adds the attach-after-bulk-book unit test salvaged from the closed
duplicate PR #1559: a document pinned to a bulk-booked transaction
(verifikat anchored via transaction_voucher_links) is anchored against
the samlingsverifikat when attached after the booking.

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-13 13:48:01 +02:00
Mattsson d9dddba682 fix(transactions): anchor the pinned document to the verifikat on booking (#1560)
A document pinned to a transaction (transactions.document_id) with no
unconsumed inbox item was never anchored onto the verifikat when the
transaction was booked: document_attachments.journal_entry_id stayed
null and every underlag surface reported "Underlag saknas" for a
booking that HAS its underlag (attach-before-book via the manual
booking dialog, the 2026-08-13 user report).

PR #1547 already routed /book, bulk-book and categorize through the
shared propagateUnderlagForBookedTransaction helper, but that helper
only walked matched inbox items. This adds a pinned-document leg to the
helper, so all booking paths anchor the pin in one place:

- the pin is read fresh inside the helper (not from the caller's
  pre-booking snapshot) so a concurrent attach is still anchored
- same guard semantics as inbox docs, via the extracted
  anchorDocumentToJournalEntry: no-op when already anchored to this
  verifikat, never steal another verifikat's underlag, log-and-continue
  on failure (the booking is already posted; a re-run repairs the link)
- the bulk-book RPC already anchors pins atomically, so the leg no-ops
  there

Route tests cover the three plan cases: pinned doc anchored, matched
inbox item stamped, and propagation failure never failing the booking.

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-13 11:50:03 +02:00
Mattsson b9bf60234d feat(transactions): filter /transactions by rakenskapsar and kvartal (#1545)
* feat(transactions): filter /transactions by rakenskapsar and kvartal

User request: booking a specific period (including brutet rakenskapsar,
e.g. July-June) meant scrolling past every other year's transactions.

- New FyPicker chip in the toolbar scopes both the inbox and history views
  to a fiscal year; quarter chips (Q1-Q4, fiscal-year aligned) appear once
  a year is selected. Clicking the active quarter widens back to the year.
- Bounds are pushed into the Supabase queries (window, pending backlog,
  badge count, load-more) so pagination and the Att bokfora count stay
  consistent with the visible list; skattekonto rows are bounded client-side.
- Scope persists under a page-local localStorage key, deliberately separate
  from the shared report scope so a year picked on a report page never
  silently hides pending inbox rows.
- lib/transactions/period-filter.ts derives quarter bounds from fiscal
  period dates (handles brutet, shortened and extended years); unit tested.
- FyPicker gains an optional storageKeyPrefix prop; default unchanged.

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

* fix(transactions): never hide pending rows behind the period filter

Swedish accounting review on PR #1545: scoping the pending-backlog fetch
and badge count to the period made unbooked rows outside the selected
year vanish from the inbox worklist (BFL 5 kap: pending affarshandelser
must stay visible until booked).

- Pending-backlog fetch and the DB pending count are unscoped again;
  only the history window pages server-side within the period.
- The inbox applies the period client-side over the complete backlog;
  the tab badge counts pending rows inside the scope.
- When pending rows (bank or skattekonto) fall outside the scope, the
  footer says how many and offers Visa alla, which clears the filter
  and its persisted value.

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

* fix(transactions): guard list fetches against stale cross-scope responses

CodeRabbit on PR #1545:
- fetchTransactions/loadMoreTransactions now carry a fetch generation;
  a response applies only if no newer fetch (scope change, realtime
  refresh, load-more) started meanwhile, so a slow pre-filter request
  can no longer overwrite the active period scope's window, paging
  offsets, or loading skeleton.
- FyPicker restore effect includes storageKeyPrefix in its deps.

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

* fix(transactions): label quarter chips as fiscal-year quarters

Swedish accounting review note on PR #1545: Q1-Q4 follow the company's
rakenskapsar, which on a brutet rakenskapsar differs from the calendar
quarters that momsdeklaration periods use. Say so in the group's
aria-label and hover title so the chips are not mistaken for VAT
periods.

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-13 01:21:31 +02:00
Mattsson 8d56219c31 fix(inbox): booked items no longer strand in Att gora as matched-forever (#1547)
* fix(inbox): booked items no longer strand in Att gora as matched-forever

A matched inbox item only left the active inbox when
created_journal_entry_id was stamped, and only categorizeTransactionCore
stamped it. Booking the matched transaction through any other path (the
/book dialog route, bulk-book, link-to-existing-voucher) or matching a
receipt to an already-booked transaction (receipt hunt approvals,
attach-document, match-transaction) left the item "linked" forever,
pointing at a transaction that had already left the transactions work
list. Todays hunt fix (#1524) turned this July-old gap into a visible
flood of stuck items.

Two-part fix, because stamps alone cannot cover the reported case:
created_journal_entry_id is UNIQUE (20260515090000), so on a bulk-book
samlingsverifikat only one of N matched items can ever carry it.

Write side: lib/transactions/inbox-underlag.ts is the shared
implementation all paths now call. It links matched items' documents to
the anchoring verifikat (BFL 5 kap 6-7 kap: underlag on the
verifikation) and stamps created_journal_entry_id best-effort (CAS on
null, unique_violation tolerated). Wired into categorize-core (replacing
its inline block), /book, bulk-book, linkTransactionToJournalEntry, both
attach paths (REST + pending-operation), and the inbox match-transaction
handler. The attach paths and the doc-conflict guard also resolve
bulk-booked transactions through transaction_voucher_links, which they
previously treated as unbooked.

Read side: GET /items (and /items/:id) enrich matched-but-unstamped
items with matched_transaction_journal_entry_id, and the workspace
derives "booked" from it. This is what clears the stuck rows already in
prod without a status backfill, and what covers the N-1 samlingsverifikat
items the UNIQUE constraint refuses to stamp. Bulk-book selection
filters exclude such items so "Bokfor valda" no longer offers 409 fodder.

scripts/backfill-inbox-booked-underlag.ts (dry-run by default) repairs
the historical document->verifikat links the old paths never made.

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

* fix(inbox): stamp only settled underlag, and give the backfill behandlingshistorik

Both from the Swedish accounting compliance review.

The consumed-stamp is now conditional on the underlag actually
referencing a verifikat: stamping over a failed document link hid the
item from the .is('created_journal_entry_id', null) query forever,
leaving a posted verifikation without its underlag reference
(BFL 5 kap 6-7 kap) and nothing left to surface or repair it. A failed
link now leaves the item unstamped so re-runs and the backfill can
finish the job; a document preserved on another verifikat still counts
as settled.

The backfill script now appends an InboxUnderlagBackfilled event per
repaired transaction to processing_history (BFNAR 2013:2 kap 8): a mass
repair touching underlag-to-verifikat linkage leaves a changelog trail
distinguishing it from the original booking action.

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

* refactor(inbox): backfill writes behandlingshistorik through the shared appender

From the Swedish accounting compliance review round 2: a hand-rolled
processing_history insert in the backfill script could drift from the
shared row shape and skip the PII validation. appendProcessingHistory
now delegates to appendProcessingHistoryWithClient, which takes a
caller-supplied service-role client, so standalone scripts write
behandlingshistorik through the exact same code path as the app
(BFNAR 2013:2 kap 8: one reconcilable change log across writers).

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

* fix(inbox): leave the item unstamped when its document belongs to another verifikat

Swedish accounting review round 3: refusing to steal the document was
right, but stamping the item consumed anyway hid the fact that the
transaction's own verifikat ended up with no underlag reference from it
(BFL 5 kap 6-7 kap). The anchored-elsewhere case now leaves
created_journal_entry_id null so the mismatch keeps surfacing for
reconciliation, same posture as a failed link.

Also documents in the backfill script header why its writes cannot land
in locked periods: linkToJournalEntry's UPDATE is guarded by the
enforce_period_lock DB trigger, which fires for service-role writes too.

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-13 00:49:20 +02:00
Jakob Wennberg a004990041 feat(inbox): the purchases that are still missing their receipt (#1517)
The page lists documents, so a purchase with no document at all could not
appear on it. That is precisely the gap the receipt hunt exists to close,
and the half a user can do something about: fetch the invoice from the
supplier's portal, or ask whoever made the purchase.

GET /purchases supplies it, read-only, with the portal link attached when
the directory knows where that supplier keeps its invoices. Salary and tax
get no link: they have no invoice to fetch, and a link there implies
somewhere to go.

The predicate moves into lib/transactions/purchases-without-underlag.ts,
and it is not the hunt's filter copied across. `journal_entry_id IS NULL`
is not the same as "not booked": bulk-booking many transactions onto one
verifikat records it in transaction_voucher_links, and a payment split
across invoices records it in the payment tables, and both leave that
column null. The hunt tolerates the false candidate because the worst case
is a proposal nobody accepts. A list shown to a person does not: those
rows would sit under "saknar underlag" forever, already booked, with
nothing the user could do to clear them.

So the column filter stays as the cheap indexed first pass and
isTransactionBooked settles it afterwards. That predicate is canonical and
nothing here re-implements it.

The hunt is deliberately not rewired in this change: its query is
identical apart from that check, but moving a nightly cron onto new code
belongs in its own PR. The thresholds are kept equal to the hunt's so the
two cannot drift meanwhile.

Removing the booked filter fails five of the seven predicate tests.

Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com>
2026-08-11 12:09:42 +02:00
Jakob Wennberg 70845edf69 feat(transactions): structured transaction_method instead of channel-in-the-name (#1459)
* feat(transactions): structured transaction_method instead of channel-in-the-name

Swedish bank feeds embed the payment channel in the description string
("Vercel Jul Överföring via internet", "ANTHROPIC* ... Kortköp/uttag"):
the PSD2 remittance array is joined into one string and the ISO 20022
type codes were dropped at insert. This promotes the channel to data:

- transactions.transaction_method (text + CHECK closed vocabulary: card,
  transfer, bankgiro, plusgiro, swish, autogiro, e_invoice, international,
  deposit, withdrawal, salary, fee, interest, adjustment) plus verbatim
  bank_transaction_code / proprietary_bank_transaction_code evidence
  columns (data_quality_master Appendix B "Layer-A capture").
- classifyTransactionMethod() in lib/transactions/transaction-method.ts:
  explicit source method (Stripe txn.type) > trailing Swedish channel
  phrase > ISO 20022 family/subfamily > proprietary-code keywords > MCC.
  It also splits the clean display title off the description.
- Ingest stores the clean title as description and the full bank string
  as original_description; dedup is untouched (external_id is date+öre,
  the content bridge reads original_description and is prefix-based, and
  a trailing strip leaves a prefix). Enable Banking passes the codes
  through; the Stripe feed sets methods from its balance-txn types.
- Backfill migration classifies existing rows from the description text
  (+ MCC and Stripe prefixes) and strips unedited titles; user-edited
  titles are never rewritten.
- mapping-engine also matches original_description so user rules written
  against the full bank text keep firing.
- UI: the inbox row shows the clean name; clicking it now folds out
  "Betalsätt: Kortköp" etc. (sv/en), making every classified row
  expandable.

A card purchase implies a physical receipt, a Bankgiro/e-invoice payment
implies a supplier invoice: downstream automations can now branch on the
rail instead of regexing display strings.

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

* fix(transactions): anchor counterparty-template identity on original_description

Audit follow-up to the phrase-strip change: counterparty template lookup
AND learning derived their key from merchant_name || description. With
the working title now stripped ("SPOTIFY AB Kortköp" -> "SPOTIFY AB"),
templates learned from the full bank string would only re-match via the
occurrence-gated single-token tier, and single-token counterparties with
fewer than 3 bookings would silently stop matching.

Both sides now read merchant_name || original_description || description:
the immutable bank original is identical across eras (and across user
renames), so every stored key and alias keeps matching exactly. Same
anchoring rationale as buildMerchantHistory in category-suggestions.

Existing tests that relied on the fixture's default original_description
now state it explicitly; two new regression tests pin the era stability
(lookup via alias on the full string, learning key derivation).

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

* fix(transactions): review follow-ups on method classification

- methodFromCodes: two-pass subfamily-then-family scan so a SALA/XBCT
  refinement on the proprietary code beats a bare family match on the
  ISO code, matching the documented precedence; pinned by a test.
- mapping-engine: regression tests for merchant/description patterns
  that only match original_description, including the invalid-regex
  substring fallback and the no-match default.
- Stripe: regression test for the SDK-unmodeled 'tax' balance-txn type
  mapping to 'fee'.

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

* fix(transactions): scope method classification to feed rows + adjective guard

Multi-bank risk hardening before the backfill ships:

- Feed-row scope: classification and title stripping now require a real
  import feed (import_source present, not manual/mcp), both at the
  ingest boundary (USER_CREATED_IMPORT_SOURCES, now exported) and in
  every backfill statement. User-authored titles like "Egen insättning"
  on manual/MCP rows are never classified and never rewritten.
- Adjective guard (TS + SQL): a strip that would leave the title ending
  in a possessive/scope adjective (egen/eget/privat/intern/extern ...)
  is skipped, so "Egen insättning" stays whole even on bank-feed rows;
  the method column still classifies (deposit).
- Unknown bank phrasings remain untouched by construction: an unmatched
  phrase means no method and no rewrite, so the worst case for any bank
  whose vocabulary we have not seen is the status quo.

Pinned by new unit + pg-real cases (user-created exclusion for
NULL/manual/mcp, adjective guard, feed defaults in the pg fixture).

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

* chore(migrations): re-timestamp transaction_method migrations after rebase

Main gained migrations dated 20260729-20260730 (already applied to prod)
while this branch carried 20260728 versions, which would have applied
out-of-order on merge. The files have never reached prod, so renaming to
current timestamps is safe and removes any dependence on the integration's
out-of-order handling. All code/doc references updated; the pg test reads
the backfill by its new filename.

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

* chore(migrations): bump transaction_method versions past prod's max

Main's newest applied migration is 20260730090000 (future-leaning
timestamp), so the previous 202607300731xx rename still sorted before
prod's tail and risked a silent skip on merge-time apply. Versions are
now 20260730100000/20260730100100, strictly after everything applied to
prod. References updated; full migration stream replays clean.

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

* fix(transactions): final review round: keyboard guard + bank_connection_id feed marker

- TransactionInboxCard: row-level Enter/Space handling now ignores events
  bubbling from nested controls, so keyboard activation of Bokför / the
  overflow menu is no longer cancelled by the (now much more common)
  expandable row.
- Feed predicate parity with isImportedTransaction(): a live
  bank_connection_id marks a feed row even when import_source is unset
  (the oldest PSD2 rows predate that column), in both the ingest
  classifier and every backfill statement: those legacy rows now get
  classified instead of being skipped as user-created.
- pg fixture typing uses the TransactionMethod union.

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

* chore(migrations): re-timestamp transaction_method migrations past prod's 20260807 tail

Prod max applied is 20260807170000 (verified by name via list_migrations);
the 20260730-stamped pair would sort before it. References in code,
tests, and DECISIONS.md updated to the new versions.

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

* fix(migrations): enforce, not assume, original_description preservation in the title strip

The strip UPDATE now fills a NULL original_description from the
pre-strip description in the same statement. Prod has zero such rows
(0/25,566 feed-scope rows, verified read-only), and 20260605120000's
backfill plus ingest make the NULL case unreachable on any DB that
replayed history, but the migration should not depend on that history
to avoid losing the only copy of a bank string.

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

* docs: record the compliance-review triage of the backfill's booked-row title strip

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

---------

Co-authored-by: Jakob Wennberg <jakob.wennberg@gmail.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
2026-08-08 11:58:51 +02:00
Jakob Wennberg 858ad49852 fix(booking): explicit Ingen moms in quick review books exempt, not the derived default (#1450)
QuickReviewDialog collapsed 'none' to undefined on the wire, so the server
re-derived the category default and booked 25% moms against an explicit
no-VAT choice while the preview showed no VAT line. 'none' now maps to
'exempt' only when it deviates from the seeded default: untouched bookings
on exempt-default categories (bank fees) stay byte-identical, an explicit
Ingen moms books no VAT line with the classification the momsdeklaration
should see, and the class-2 account auto-'none' stops booking a stray moms
line. Same gap the swedish-compliance bot flagged on #1443.

Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-07 14:58:46 +02:00
Jakob Wennberg d1c411ad6f feat(invoice-inbox): surface WhatsApp chat context in booking flows (#1339)
* feat(invoice-inbox): surface WhatsApp chat context in booking flows

The WhatsApp intake bot writes verified human answers (photo caption,
representation deltagare + syfte, sender note, open-question state) to
invoice_inbox_items.channel_context. This makes the in-app booking flows
READ it:

- New core renderer lib/documents/channel-context-notes.ts: deterministic
  compact Swedish line ("Representation: Anna Berg (Volvo), Jakob W ·
  Syfte: uppföljning av avtal"), capped at 220 chars by dropping whole
  participant names ("… och N till"), never mid-name. Representation
  first, then user_note; caption only when nothing else exists.
- FieldsRail "Från WhatsApp" block in InvoiceInboxWorkspace: caption,
  deltagare, syfte, anteckning rows plus an ochre AttnLine when a chat
  question expired unanswered (pending_question.status = moved_to_app).
- Notes threading: book-direct and convert default their notes to the
  rendered string server-side when the request carries none (a supplied
  value always wins); BookDirectlyDialog prefills its notes input with
  the same string so the user can edit it before it lands. Bulk-book
  (categorize-core) joins the shared batch note with the per-item
  rendered context so the representation trail survives batch booking.
- Inbox list: whatsapp rows get a chat icon and a quiet "Fråga obesvarad"
  badge for moved_to_app items. No worklist count change: unresolved
  whatsapp items are already counted by countInboxDocuments.
- sv/en strings for every new key; renderer + route + bulk tests.

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

* fix(invoice-inbox): honor cleared notes and keep unreviewed captions out of verifikat

Two adversarial-review findings on the WhatsApp surfacing flows, both about
text that lands on an immutable verifikat.

1. A cleared note was silently re-applied. BookDirectlyDialog prefills the
   rendered chat context, and the dialog sent `notes.trim() || undefined`
   while book-direct and convert defaulted from channel_context on any falsy
   value. A user who read the prefill, disagreed and deleted it therefore got
   it written back onto a posted entry, removable only through a formal
   rättelse. Both code comments claimed "an edited value always wins", which
   was false for exactly that edit. Now PRESENCE of the field decides: the
   dialog always submits `notes` (empty string included) and the routes only
   default when the field is absent from the request (MCP, older clients).
   The Zod `.optional()` carrying that distinction is documented at the
   schema so it is not "tidied" into a `.default('')` later.

2. The photo caption was auto-burned into verifikat text with no review.
   renderChannelContextNotes fell back to the raw caption, and bulk-book
   appended the result per item with no per-item notes field at all (the MCP
   approval preview deliberately shows no per-item PII either), so unreviewed
   chat text reached a WORM record nobody had seen. The renderer now takes
   { includeCaption } and leaves the caption out by DEFAULT: representation
   answers and user_note are replies to a question the bot asked, the caption
   is not. Only the Bokför direkt prefill opts in, where the user reads the
   string in an editable field before booking.

Tests: cleared-notes and whitespace-cleared on book-direct, cleared-notes on
convert, caption-never-defaulted on both routes, caption-not-threaded in
bulk-book, and the renderer's opt-in. The book-direct cleared-notes tests
were mutation-checked (restoring the truthiness fallback fails them).

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

* fix(reports): export the chat answers behind a verifikat in the full archive

The verifikat line caps the representation trail at 220 chars and drops whole
participant names ("… och N till"); the complete list (deltagare, syfte,
raw_answer) exists only in invoice_inbox_items.channel_context. That table was
in ARCHIVE_EXCLUDED_TABLES with a rationale predating channel_context ("inbox
workflow state"), so a company leaving Accounted and keeping the full-archive
export as its BFL 7-year record kept an incomplete deltagare documentation for
its representation deductions.

Dumped as a column PROJECTION, not the whole row: the new
MasterDataTableSpec.columns narrows the select to the underlag provenance
(document, matched transaction, created verifikat / leverantörsfaktura) plus
channel_context, so the answers are tied to what was booked from them while
the inbox workflow state (email bodies, OCR output, error messages) stays out
of the archive. The documents themselves remain in dokument/.

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

---------

Co-authored-by: Jakob Wennberg <jakob.wennberg@gmail.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-05 14:54:30 +02:00
Mattsson 8299ee9fb4 fix(bookkeeping): resolve settlement account in all categorization flows and ship mis-booking audit (#1383)
Completes the #985/#986/#987 caller sweep: categorize-core, v1
batch-categorize, pending-operation edits and the MCP categorize path now
resolve the settlement leg from the transaction's cash account instead of
inheriting a hardcoded or stale account. Extends the correct_entry preview
with currency, tax and dimension line metadata so staged corrections
preserve full line fidelity. Adds a read-only audit query and a runbook for
reviewing and correcting historical mis-bookings via staged storno with
explicit approval; no automated bulk mutation.

Fixes #1001

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-08-03 18:45:38 +02:00
Jakob Wennberg 198d3092c7 fix: counterparty template pick crashes the page (#1291)
Picking a suggestion under "Tidigare motparter" in Bokför transaktion replaced
the page with "Något gick fel". handleOpenTemplateReview built the review state
from `{ id, name_sv } as BookingTemplate`, so `template.debit_account` was
undefined, reached QuickReviewDialog's required `defaultAccount: string`, and
threw on `accountOverride.startsWith('2')` during the first render.

Typed the dialog's template prop as a narrow ReviewTemplate whose optional
fields are actually optional, so the cast disappears and the compiler owns this
class of bug. Also carries the counterparty's learned accounts and VAT (the
preview showed the category fallback, not what the server books) and decides
"is this a counterparty booking" from the template id rather than the presence
of a line_pattern (single-line templates got an account/VAT editor the
categorize route discards).

Five more page-crashes of the same shape, adversarially verified:

- suppliers/[id] and supplier-invoices/[id] passed the error envelope OBJECT as
  a toast description. The Toaster is a sibling of {children} in the ROOT
  layout, so that throw escapes both segment error boundaries onto global-error.
- components/reports/views wrote the same object into a useState<string | null>
  at 13 sites and rendered it bare.
- components/ui/toaster.tsx now coerces non-renderable values as a choke point.
- skattekonto read data.informationstext.length off Skatteverket's raw JSON,
  where the field is not required.
- TicWorkspace read profile.statuses.length off a persisted jsonb blob. 17 of 17
  prod rows predate the TIC v2 upgrade (#584) and lack the key, so that
  workspace was in the error boundary for every company that had opened it.

Plus hardening: formatCurrency coerces a null currency to SEK (prod has 0 NULL
across 28 416 transactions, so defense not a live bug) and cleanSignatory
returns [] for a missing description.

Verified by rendering the real dialog against a throwaway /sandbox route: the
pre-fix prop shape reproduces the exact error boundary, the fixed one renders
D: 6570 Bankavgifter / K: 1930 Företagskonto and the matching verifikat.

No migrations.
2026-07-29 19:20:25 +02:00
Jakob Wennberg 80a14ddfd2 feat(mcp): dimension parity for the write/read tool edges (#1274)
Closes the MCP dimension gaps found in the 2026-07-28 audit:

- gnubok_bulk_book_inbox_items accepts a shared dimensions bag through
  all three layers (tool schema + BulkBookInboxSchema + categorize-core
  BulkBookInboxInput), resolve-don't-select with echoed resolutions; the
  web inbox bulk-book route and the pending-op executor inherit it via
  the shared schema.
- gnubok_create_employee / gnubok_update_employee accept
  default_dimensions (names resolve to codes; {} clears on update).
  The command layer already persisted the field: only the MCP boundary
  blocked it, leaving payroll tagging dashboard-only.
- gnubok_query_journal: dimensions bag filter (jsonb containment via
  the GIN index, covers custom dims the legacy project/cost_center
  filters cannot) + include_dimensions to return each line's bag.
  The wide full-match fetch stays dims-free unless something needs it.
- gnubok_list_invoices / gnubok_list_supplier_invoices return
  default_dimensions (agents could set invoice bags but never read
  them back).
- Discoverability: create_voucher, categorize_transaction,
  correct_entry, update_invoice descriptions now name dimensions;
  categorize_month and invoice_run loadouts include
  gnubok_list_dimensions. Trimmed new schema prose to stay under the
  tools/list payload budget.

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-07-29 09:39:53 +02:00
Mattsson f24b26a139 fix: similar-sweep currency remediation, security hardening and v1 API fixes (#1215)
* fix(security): gate replace_sie_import behind owner/admin membership

The RPC was SECURITY DEFINER with EXECUTE granted to PUBLIC and anon, no
company_members lookup, no auth.uid() reference and no unauthorized raise,
while setting gnubok.allow_delete to disarm the BFL immutability and
retention triggers. Any caller holding a company_id and an import id could
hard delete another tenant's verifikationer. Confirmed live in production.

Applies the same fail closed owner/admin guard that undo_sie_import already
carries (migration 20260624120000), resolving the actor from
COALESCE(p_user_id, auth.uid()) so it denies when the role is NULL, then
revokes EXECUTE from PUBLIC and anon. search_path and the raised
statement_timeout are restated, since CREATE OR REPLACE drops settings that
are not repeated.

userId is a required parameter on replaceSIEImport: the service client has a
NULL auth.uid(), so a caller without an explicit actor now fails to compile
rather than hitting the closed gate at runtime.

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

* fix(security): validate arcim OAuth callback state server side

The callback route is skipAuth and decoded the state parameter as plain
base64url JSON, trusting consentId and provider from it. A one time code was
minted at flow start and never read. An unauthenticated attacker who learned
a consent id could run an OAuth flow on their own provider account and post
the callback with a forged state, landing their tokens on another tenant's
consent, so the victim's next migration imported the attacker's ledger.

State is now an opaque randomBytes(32) pointer to a provider_otc row,
consumed by a single atomic UPDATE guarded on used_at IS NULL and
expires_at, so a replay loses the row lock race and updates nothing.
provider is read from provider_consents rather than trusted from the client.
provider_otc already existed for exactly this purpose and was never wired up.

Also scopes getConsent to an owning company, closing a cross tenant status
oracle where the preview and migrate paths echoed a consent's status before
the scoped check ran.

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

* fix(security): scope documents storage to company_id (phase A)

The documents bucket policies matched on auth.uid(), and upload keys were
documents/{userId}/..., so company membership was never consulted. Removing a
member revoked nothing: their session still authenticated and they kept
direct Storage read access to every receipt, supplier invoice and bank
statement they had uploaded. The same bug was fixed for sie-files in
20260416120000; this bucket was left behind.

Phase A is additive. Company scoped policies are added alongside the
uploader scoped ones, uploads move to documents/{companyId}/{userId}/..., and
reads accept either layout so nothing breaks mid migration. Phase C, which
drops the old policies, is gated on the backfill reporting zero remaining
legacy prefix objects.

The policy compares the company segment as text rather than casting to uuid
the way sie-files does: this bucket holds keys whose second segment is not a
uuid (MCP audit packages), and Postgres does not guarantee the bucket prefix
qual runs before the cast, so a planner reordering would raise 22P02 and fail
the whole query instead of filtering the row out.

deleteDocument now removes both candidate keys. Removing only the stored
pointer would leave a readable orphan copy of a document the user asked to
erase.

The backfill script is included but has never been run. It defaults to dry
run, refuses .env.local by name, and verifies each copy is readable and
SHA-256 identical before repointing the row.

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

* fix(security): enforce events:read scope and membership on /api/events

This was the only one of the three validateApiKey call sites with no
downstream guard: v1 and the MCP server both check scope and re-verify
company membership, this route did neither. An events:read scope existed and
was documented as gating the endpoint but was never called, so a legacy key
falling back to DEFAULT_SCOPES read the full log. The bound company id went
straight from the api_keys row into a service role query, so a key whose user
had been removed from the company kept reading.

Adds the scope check before any database access, re-verifies company_members
with archived_at IS NULL, honours test mode by stamping X-Gnubok-Mode instead
of ignoring it, applies minimisePayload so the pull surface can never return
a wider payload than the push surface, and replaces the three flat error
strings with the canonical envelope.

Test key reads are served rather than blocked: TEST_KEY_WRITE_BLOCKED is
gated on mutations in with-api-v1, so a read gets the same treatment as every
other v1 read endpoint.

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

* perf(bookkeeping): sweep remaining journal_entries!inner embeds

A previous refactor removed this pattern from lib/reports and introduced
fetchEntryLines, but the class was never swept. Seventeen sites remained and
had become the top application consumer of production database time:
measured across the resulting query shapes, 32,694 calls and 25,848 seconds
of execution, mean 790ms, with shapes averaging 2.6s and 3.0s and maxing at
7,962ms against the 8s statement_timeout, which surfaced to users as 500s on
the booking path.

PostgREST compiles an embed with filters on the embedded side into a
correlated INNER JOIN LATERAL with a parameterized LIMIT, which stops
Postgres reordering the join, so each query walked the whole
journal_entry_lines table across all tenants. Driving from the entries side
instead turns that into two indexed round trips.

Converted sites keep their existing shape: the helper reattaches the parent
entry under the same key the embed produced. Several conversions also remove
a latent silent truncation where an unpaginated query was capped at
PostgREST's 1000 row ceiling.

Two deliberate exceptions. The free text ilike legs of the MCP display query
stay on the embed, because each is capped at legLimit and that cap drives the
truncation contract the tool reports, while the helper is unbounded. The
accounts route moves to the existing get_account_usage_counts RPC instead,
since its embed was a head count and the helper returns rows.

commitEntry's write path is untouched: the change there is confined to the
read query of the pre-commit dimension rule check.

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

* fix(api): anchor v1 list cursors on created_at

Page two returned page one, forever, while still advertising a fresh
next_cursor. The three routes sorted by and encoded a Postgres date column,
which serializes as YYYY-MM-DD, but decodeDefaultCursor validates the cursor
timestamp as full ISO-8601 and returned null, so the keyset filter was never
applied and has_more never went false. An integrator syncing verifikat looped
on the newest rows indefinitely.

The transactions route already solved this and its comment names the trap;
the fix was never ported. All three now order and encode on created_at with
an id tie break, matching the transactions keyset predicate exactly.
ISO_TIMESTAMP is deliberately left alone: relaxing it would silently change
sort semantics on the route that currently works.

Default ordering therefore moves from business date to insert order. Every
business date is still on the row, and the invoices list gains date_from and
date_to filters so a date range is still reachable; the other two already had
them.

The tests use an in-memory PostgREST that actually evaluates the filters,
because the repo's pass-through mock cannot catch this class of bug: the bug
is that the filter is never sent. They walk to exhaustion with a hard
iteration cap, so an unterminated walk fails instead of hanging.

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

* fix(api): separate dry run from commit in the idempotency hash

The request hash was built from url.pathname, which excludes the query
string, so a dry run and its commit hashed identically. Following the flow
documented in dry-run.ts, re-issuing the request with the same
Idempotency-Key returned the cached preview with Idempotent-Replayed set and
wrote nothing, while reporting 200. An agent or integrator saw success for a
write that never happened.

dry_run is folded into the hash only when true, not as an unconditional
boolean. Including it as false would change the hash of every ordinary write,
and with a 24h idempotency TTL any key in flight across the deploy would fail
the request_hash comparison and 409 on a legitimate retry. Both hash call
sites now go through one shared helper so they cannot drift into a permanent
cache miss, and dry run responses are no longer stored at all.

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

* ci: install the Bedrock SDK out of tree in the compliance review

The Swedish accounting compliance gate had failed ten consecutive runs and so
was posting nothing. With --no-package-lock npm discarded the lockfile and
re-resolved the whole tree from package.json, floating @hookform/resolvers to
5.4.3, whose valibot ^1 peer conflicts with the pinned valibot 0.39.0.

Installing into the parent of the checkout resolves only that one package, so
an unrelated peer conflict can never take the gate down again. Node still
finds it because ESM bare specifiers walk up parent node_modules; NODE_PATH
would not have worked, as it is CommonJS only. --legacy-peer-deps was
rejected because it masks future genuine peer conflicts and still reifies the
full tree.

The same step's SDK version is aligned from 0.31.0 back to the 0.29.1 that
package.json and check:guards enforce after the streaming outage. That drift
went unnoticed because the pin guard only inspects package.json and the
lockfile, never workflow files.

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

* build(docker): generate crontabs from vercel.json

vercel.json defines 16 cron jobs; both Docker crontabs carried 9, and were
byte identical to each other. Self hosted deployments therefore never sent
recurring invoices, never dispatched webhooks and never cleaned up
idempotency keys. tax-deadlines also ran once a year on 2 January instead of
daily, and documents/verify weekly instead of daily.

Extension crons are included rather than excluded. The Dockerfile copies the
whole tree before building, so every extension cron route is compiled into
the image regardless of the enabled preset, and each returns 200 when its
extension is unconfigured, so curl -sf logs no failure. Two such entries were
already present in the crontab for extensions absent from the preset, which
settles the intent.

documents/verify is treated as drift rather than a self hosted concession:
the weekly cadence was present in the hosted crontab too, and the run is
capped at 200 documents walking a nulls-first queue, so weekly drains the
integrity queue seven times slower on a check that exists for BFL retention.

webhooks/dispatch keeps its per minute cadence, adding 1,440 requests a day
on self hosted. A gentler tick would silently stretch the first retry, since
the retry ladder opens at 60 seconds. SCHEDULE_OVERRIDES is the one line
place to change that.

A parity test asserts the path sets match minus a documented exclusion list,
and ratchets three cron routes that are currently scheduled nowhere so they
are named rather than silently rotting.

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

* chore(observability): add a provider agnostic error sink

There is no error tracking in this codebase: logs go to console and Vercel
retention and nowhere else, nothing alerts on the 16 cron jobs, and seven
code comments across lib, app, components and extensions asserted that Sentry
captures errors when Sentry is not a dependency. The two most recent bug
fixes on this repo were both discovered by customer email.

This adds the sink, not a vendor. No dependency is taken: the interface has a
no-op default and a registration point, so behaviour is unchanged until an
adapter is registered. Releases are tagged from the build id already inlined
by next.config.ts.

Redaction moved out of lib/logger.ts into a leaf module that both the logger
and the sink import, so there is one denylist and no path from application
data to a third party can skip the personnummer regex, including direct sink
calls that bypass the logger. That matters here because these logs carry
personnummer and financial data.

verifyCronSecret now reports its own 401s, which covers all 16 jobs without
touching a route file and catches the case where CRON_SECRET is rotated
without updating the scheduler and every job silently 401s forever. The
threshold is one failure rather than the backup alert's three: suppressing
the first occurrence is precisely how an outage stays invisible.

The seven misleading comments are corrected to describe what the code
actually does, including the two cases that still are not covered: the client
side one, since the sink is server side, and a warn level call that is not
forwarded.

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

* fix: remediate the 2026-07-26 similar-sweep findings across all surfaces

Resolves the ~150-finding sweep (dev_docs/similar-sweep-2026-07-26.md) with
one agent per finding; every behavioural fix carries a regression test proven
to fail at HEAD. Full status, corrections to the sweep, refusals and open
decisions in dev_docs/similar-sweep-2026-07-26-remediation-status.md.

Structural roots closed:
- resolveSekAmountOrNull(): honest SEK resolution refuses instead of booking
  1:1; four duplicated toSek closures now refuse via INVOICE_FX_RATE_MISSING
- ledger-line-amount.ts: journal_entry_lines.currency labels the document,
  not the amount; SQL pre-filter decoy proven and fixed
- sparse-patch.ts: .partial() does not strip .default() in Zod 4.4.3; the
  exploitable salary payslip-line PATCH and KPI preferences sinks fixed
- tests/schema: migration-replay phantom-column guard (13k+ refs, closed
  CHECK sets, onConflict targets); found 28 real defects, all fixed, all
  four baselines now empty
- three new ratchet guards: sek-labelled-amount, cross-extension-import,
  ungated-extension-route

Highlights: lawful VAT-rate set on all seven invoice surfaces (ML 6 kap),
RC input VAT mismatch wired on web + both MCP callers, missing-underlag
resource delegates to the shared RPC predicate, push-notifications consent
polarity fail-closed, deadlines undo honours requested state, silent-failure
and read-side-fabrication classes fixed across settings/KPI/inbox/Stripe/
Arcim/kassaflodesanalys, error-envelope stringification fixed at 10+ sites
with isSwedishUserMessage extended.

Also includes the parallel session's MCP invoice tools (update_invoice,
recurring schedules, invoice deliveries) which share files with the sweep
work and are verified green together.

13 new migrations are NOT applied anywhere; they apply via branch merge.
20260726120000 backfills 1247 supplier-invoice rows. pg tests for new
DDL are written but unrun (no local Postgres).

Verified: 11088 tests / 881 files green, tsc 0 non-test errors, lint 0
errors, check:guards passing, MCP payload 57475/57500.

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

* fix(migrations): rename replace_sie_import migration off main's 20260726090000 version

origin/main shipped 20260726090000_agent_quota_rpc_caller_guard.sql; keeping
our replace_sie_import migration on the same version would abort the Supabase
apply with a schema_migrations_pkey duplicate at merge time.

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

* fix(review): remediate pre-publish deep-review findings across all slices

A 13-agent review of the full branch diff surfaced 1 critical, 5 high and
~45 further findings; this commit resolves them in one pass:

- replace_sie_import / undo_sie_import: p_user_id honored only for
  service_role callers; any other caller is pinned to auth.uid()
  (impersonation gate bypass), authz raise errcode 42501 mapped to a
  Swedish 403 in the route, new caller-guard migration for undo
- bulk_book_transactions refuses homogeneous non-SEK batches instead of
  writing foreign magnitudes into SEK ledger columns
- credit-note cap trigger: company-match on credited_invoice_id, no
  cross-tenant figures in exception text
- link_voucher RPCs resolve NULL invoice currency as SEK end to end
- personal-number ciphertext CHECK split into NOT VALID + VALIDATE
- same-currency foreign settlements clear 1510 at booking rate and book
  realized diff to 3960/7960; rate-less foreign write paths refuse
- receivables revaluation covers partially_paid and outstanding amounts
- period lock guard paginates candidates past the PostgREST 1000 cap
- documents: service-client storage removals after authz, dual-layout
  reads in integrity cron and archive export, backfill delete-source
  sweep actually deletes with hash verification and shared-key grouping
- invoice matching normalizes NULL/lowercase currencies (regression),
  duplicate candidates stop claiming amount matches they never ran
- match-invoice aborts on any booking failure (no paid-without-verifikat)
- refresh-exchange-rate reverts on concurrent booking (TOCTOU window)
- KPI preferences upsert arbiter aligned to the company-scoped constraint
- personnummer_last4 stripped from all salary responses incl. MCP tools
- worked-hours batch restores destroyed rows on conflict and error paths
- MCP: shared duplicate-claim builder (no more 'null kr'), short-circuit
  on tag_journal_lines overflow, auto_send schedules stage as high risk
- observability sink redacts emails/IBANs/API keys and keeps redacted
  stacks in prod; assorted small guards (safe-return-to /@, dry_run=True,
  cursor helper off-by-one, OAuth state TTL 10 min, arcim saveMappings
  call removed)

Full dispositions, deferred items and hand-verified accounting numbers
are documented in the PR body and DECISIONS.md.

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

* feat(personnummer): implement masking and encryption for personal numbers with tests

* fix(review): address CI and compliance-bot findings for PR #1215

pg-real: the CI image's auth shim reads the legacy request.jwt.claim.role
GUC, so both service-role simulations (runAsServiceRole and the
invoice-delivery test's local helper) never satisfied auth.role() =
'service_role' and every legitimate p_user_id path failed closed; the
shared helper now sets both GUC shapes plus SET LOCAL ROLE with a
fail-loud sanity check, and the delivery test reuses it. The link-voucher
migration had recreated both RPCs from pre-rewrite file text,
reintroducing the NULL-unsafe membership pattern the
null-safe-tenant-guards ratchet bans; both guards now use
public.caller_is_company_member() with all currency changes preserved.

Compliance bots: the customers export now emits the standard masked form
instead of raw AES-256-GCM ciphertext in the Org-/personnummer column,
and maskCustomerRow returns a non-round-trippable placeholder on decrypt
failure instead of 500ing the list. MCP parity: gnubok_lock_period's
staging pre-check now runs the exact countUnbookedInPeriod the commit
path enforces (exported from period-service; local mirror deleted), and
gnubok_agi_status resolves AGI state run-scoped so a correction run no
longer renders as already filed.

Declined with evidence: PR-Agent's opening-balances null-zeroing concern
(all mergeable columns are NOT NULL with defaults per 20260713101000).

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

* fix(review): address codex review findings on PR #1215

- restore 20260726140000 to its preview-recorded content and restate the
  NULL-safe tenant guard under 20260727130000: a recorded migration version
  never re-runs, so the in-place edit could not reach the preview branch
- replace toFixed() with sv-SE two-decimal formatting in the ROT/RUT cap
  warning texts and update the pinned test expectations
- drop the em dash in the fiscal-periods route comment
- strip trailing whitespace in import-existing.test.ts

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

* test(reports): raise timeout on real PDF render tests

renderToBuffer does real @react-pdf layout work and exceeds the 5s
default when the full suite saturates the CPU; tests pass in isolation.

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

---------

Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com>
2026-07-27 03:34:56 +02:00
Jakob Wennberg 49e86e2e67 fix(transactions): share bank-sync busy state across surfaces (#1163)
* fix(transactions): share bank-sync busy state across surfaces

useBankSync() kept busyId/syncingAll/connections as hook-local state, but
the header "Synka bank nu" split-button row and the footer "Synka nu"
button each call the hook independently: a sync started from one surface
left the other enabled and spinner-less, so a second concurrent sync of
the same connection could be started.

Hoist the state into a module-level store (lib/transactions/
bank-sync-store.ts) consumed via useSyncExternalStore, so every instance
shares busy state and the connection list:

- both surfaces spin and disable while either one syncs
- runFor/syncAll re-check the live snapshot before firing, so a click
  racing a sync from the other surface is a no-op instead of a second
  paid PSD2 call
- the bank_connections query runs once per company instead of once per
  surface (first mounted instance claims the fetch; failures release the
  claim so a later mount retries)
- a sync that hits a dead PSD2 session flips the connection to expired
  on every surface at once, not just the one that ran it

Fixes #1162.

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

* fix(transactions): discard stale connection loads after company switch

publishConnections now requires the caller to still own the load claim:
a fetch resolving after the active company switched (and re-claimed the
slot) no longer clobbers the newer company's published list.

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-07-24 20:10:58 +02:00
Mattsson d840257c0c Add/stripe connect transactions (#1139)
* fix(mcp-oauth): allow ChatGPT connector callbacks and resume OAuth after login

Add chatgpt.com/connector/oauth/* (per-instance) and the legacy
chatgpt.com/connector_platform_oauth_redirect to the built-in OAuth
redirect allowlist so ChatGPT MCP connectors can register and authorize.

Fix the login page dropping the ?next= destination: an OAuth-initiated
visit that required login previously ended on the dashboard and the
connection flow silently died. Login now resumes to the sanitized next
path (hard navigation, since the consent page is route-handler HTML),
carries it through the MFA step-up as returnTo, and /mfa/verify
hard-navigates for /api/ destinations.

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

* fix(transactions): dedup incoming feed rows against booked hand-entered twins

Users who bookkeep via MCP/chat first and connect their bank afterwards got
the same movement twice: the synced row's external_id lives in a different
namespace, the free-form manual title never text-bridges the bank's raw
string, and the cross-channel mirror deliberately excluded manual/mcp rows.

Extend the mirror with a booked-hand-entered track: an incoming feed row is
skipped when a BOOKED manual/mcp row shares its (date, ore) bucket count-
symmetrically. Gates beyond the feed-vs-feed mirror: stored row must be
booked (staged rows never consume an import), currencies must not contradict
(bucket key is date+ore only), the cash-account guard applies to the count
exactly as to consumption, and symmetry uses the Layer-1-unmatched incoming
count so an already-stored row cannot inflate it. Consumption stamps the
batch cash_account_id onto an account-unbound hand row, so one hand row can
never consume feed rows on other accounts in later syncs.

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

* feat(bookkeeping): inline verifikat rattelse (strike lines + text/date edit)

Second sanctioned correction track under BFL 5 kap 5/9 pp, Fortnox-style:
strike lines inside a posted verifikat with replacements in the same
voucher, and correct description/entry_date without an andringsverifikat.
Envelope: posted entries, open unlocked periods, company lock date,
same-period date moves, structural/FX/doc-linked lines excluded, and a
reconciliation guard preserving per-account net on bank/reskontra sides of
externally linked entries. Every rattelse writes an immutable who/when row
(journal_entry_rattelse_log, WORM, archived as rakenskapsinformation) and
struck originals render struck-through in the verifikat; list rows and the
detail header carry a Rattad marker. CLAUDE.md hard rule 1 and the
swedish-accounting-compliance skill are amended to state the two-track
rule. Staging carries the DDL; prod gets it on merge.

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

* feat: live saldo in booking form, prior-year window comparison, hideable assistant FAB

- Manual journal entry: saldo column now shows before -> after computed
  from the typed debit/credit amounts (direction feedback while booking)
- Resultatrapport: a narrowed date range now compares against the same
  window shifted one year back (#862), merged across fiscal periods for
  brutet rakenskapsar; P&L rows report window activity instead of
  rolled-forward YTD closing
- Assistant FAB: per-user hide toggle (user_preferences.hide_assistant_fab,
  settings > assistant), sidebar entry unaffected; collapsed sessions keep
  their reopen handle

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

* feat(stripe): sync balance transactions as a bank feed on 1686

Import the connected Stripe balance into the transactions inbox, opt-in
per connection (transaction_sync_enabled on stripe_connections):

- Balance transactions map to feed rows with the two-row gross+fee split
  and frozen external_id formats (stripe_{acct}_{txn} / _fee), dated on
  created, bound to a provisioned "Stripe-saldo" cash account on 1686 so
  booking settles against the clearing account by construction.
- Double-booking protection: settled payment-link charges import
  pre-linked to their settlement entry; payout rows import pre-linked to
  the payout entry; processPayoutPaidEvent claims the payout's fee rows
  at booking time (linkPayoutFeedRows, idempotent from both directions).
- Cursor last_balance_txn_synced_at with 24h overlap; first run
  backfills 90 days floored at the day after the company lock date.
- Nightly cron /api/extensions/stripe/transactions/cron (03:30),
  transaction-sync toggle route, "Synka nu" covers both feeds, settings
  panel toggle with last-synced/backfill note, sv+en strings.
- Migration 20260723200000 (applied to staging).

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

* fix(transactions): offer match-to-voucher on unbooked history rows

Unbooked transactions with is_business already set (e.g. left behind when
a voucher was removed without a full uncategorize) land in the history
list instead of the inbox, where the match-against-existing-voucher
action did not exist, leaving them with no path back to voucher
matching. Add the same menu item to the history list for unbooked rows.

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

* feat(transactions): enhance ownership checks and error handling in journal entry routes

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-07-24 01:16:20 +02:00
Jakob Wennberg 4a0b524fbb fix(categorization): connect card descriptors to counterparty history (#1095)
* fix(categorization): connect card descriptors to counterparty history

suggest_categories returned no signal for recurring card merchants
(reported: Anthropic booked to 5420 fourteen times, zero suggestions).
Three compounding causes, all fixed:

- normalizeCounterpartyName() now reduces card-network descriptors to
  their merchant segment ("ANTHROPIC* CLAUDE SUB SAN FRANCISCO" ->
  "anthropic"; "PAYPAL *SPOTIFY" -> "spotify"), so monthly per-charge
  tails stop splintering one merchant into unmatchable variants. SQL
  mirror normalize_counterparty_key() updated in lockstep (migration
  20260721140000), keeping the ledger-context template join exact.
- New token_subset match tier bridges templates learned from manual
  bookings ("Claude Dec" -> "claude") to bank descriptors containing
  the token, and card-core descriptors to legacy splintered templates.
  Guarded by a distinctive-token filter so generic/geo words never
  match on their own.
- Merchant history falls back to description when merchant_name is
  null: card purchases never carry merchant_name, so the history path
  was structurally blind to exactly the transactions that need it.
  History keys now share the counterparty-template normalization and
  the 200-row window is ordered by recency.

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

* fix(categorization): guard single-token matches, anchor history on original_description

Review follow-ups (CodeRabbit on #1095):

- token_subset tier: a single shared distinctive token now also requires
  occurrence_count >= 3 on the template, so a template named after a
  common word or first name (one prior booking) cannot vacuum up
  unrelated transfers ("SWISH ANDERS JOHANSSON"). Multi-token agreement
  stays unrestricted; the Claude/Anthropic case (14 bookings) is
  unaffected.
- merchant history keys on original_description ?? description: the raw
  bank descriptor is immutable while description is a user-editable
  working title, so renaming a transaction no longer severs its history
  link for future recurring charges.

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

* chore(migrations): re-timestamp card-descriptor migration after prod moved past it

Prod applied 20260721144311 (#1101) through 20260721201747 (#1104) while
this PR was open; 20260721140000 would sort before them and risk being
skipped by out-of-order auto-apply at merge. Not yet applied to prod, so
renaming is safe; the preview branch re-applies idempotently
(CREATE OR REPLACE).

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-07-22 15:58:45 +02:00
Jakob Wennberg f04dc4c4e0 fix(transactions): allow re-linking a bank tx stranded on a reversed verifikat (#988) (#1009)
* fix(transactions): allow re-linking a bank tx stranded on a reversed verifikat (#988)

A transaction whose journal_entry_id points at a reversed/cancelled entry reads
as "utan koppling" in the UI (the transactions page enriches only status='posted'
links), yet the re-booking guards treated ANY non-null pointer as "already
linked". So a storno'd/corrected transaction could never be linked to another
verifikat or re-categorized: the exact symptom in issue #988.

Add a shared hasLiveJournalEntryLink() predicate used by every re-booking guard
(linkTransactionToJournalEntry, manualLink, categorize-core, and the MCP link
stage-check): a pointer at a non-posted entry is treated as re-linkable, and the
two optimistic-locked writes now lock on the exact previous pointer (null OR the
stale id) instead of always .is(null), so the overwrite goes through race-safely.
hasLiveJournalEntryLink fails closed on a read error so a transient blip can't
detach a genuinely live link.

The source was fixed in #726 (reverseEntry/correctEntry now detach/re-point the
tx); this makes the guards self-heal for the pre-#726 backlog and any future
best-effort miss.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(transactions): detect 0-row CAS before invoice effects; fix categorize commit test

Addresses PR review (CodeRabbit Critical + CI):

- link-journal-entry.ts: the tx UPDATE now .select('id') and treats a 0-row
  result as LINK_TX_TX_ALREADY_LINKED, failing BEFORE any invoice settlement /
  invoice_payments insert. Without this, a concurrent re-link that lost the CAS
  would still mark the invoice paid against a transaction we didn't link (same
  optimistic-lock contract manualLink already enforces).

- pending-operations commit route test: the categorize_transaction "already
  categorized" case now enqueues the hasLiveJournalEntryLink status read (posted
  = live) so it still returns 409. This was the core-only CI failure: the new
  liveness read in categorize-core consumed a queued response.

- Updated the link happy-path / invoice-race test enqueues to return a row for
  the now-selecting tx UPDATE.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-07-12 22:43:02 +02:00
Jakob Wennberg 82c66739d7 fix(transactions): steer duplicate guard to matching for ledger-only vouchers (#958)
When the booking-time duplicate guard flags a ledger-only voucher
candidate (transaction_id null: a verifikat from an SIE import, a paid
invoice, a salary payout), the dialog's primary action is now "Matcha
mot verifikatet": it links the bank transaction to the existing voucher
via /api/reconciliation/bank/link (the same path MatchVoucherDialog
uses) instead of double-booking the same affarshandelse. "Bokfor anda"
stays available but demoted to an outline button. Sibling-transaction
candidates keep today's layout: matching a second bank line onto a
voucher that already has one is the N:1 edge case, not the default.

Wired through both call sites: the transactions page (runCategorize)
reuses handleVoucherLinked's refresh, and TransactionBookingDialog
(JournalEntryForm, /api/transactions/[id]/book path) reuses the booked
flow so in-dialog attached documents land on the matched verifikat and
the row leaves the list, with a "Bankhandelsen kopplad" toast instead
of "Bokford". No lib change: the candidate payload already carries the
transaction_id discriminator, covered by existing detection tests.

Closes #919.

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-07-09 22:08:44 +02:00
Jakob Wennberg 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>
2026-07-04 15:58:06 +02:00
Jakob Wennberg 678f2ccffd feat(mcp): P2 hygiene — honest category suggestions, skill-reference lint, cadence copy (#882)
* feat(mcp): counterparty-tied category suggestions + no_signal (P2-1)

suggest_categories padded every transaction with a company-wide
category-frequency fallback at <=0.5 confidence — an identical four-way
spread on 20+/24 items that agents correctly reported as pure noise
(agent.feedback). Real signal came from memory atoms and query_journal.

- History is now counterparty-keyed: buildMerchantHistory groups past
  categorized transactions by normalized merchant; the engine only
  surfaces history for THIS transaction's merchant, with provenance
  ('Bokförd N gånger tidigare för denna motpart') and occurrence-scaled
  confidence (0.56 at 1x, capped 0.85). No global padding — an empty
  list is the honest answer.
- The MCP tool returns no_signal_transaction_ids for transactions where
  NO source matched, steering agents to investigate (query_journal)
  instead of pattern-matching on unrelated rows.
- Both callers (REST suggest-categories route + MCP tool) share the new
  helpers, so web UI and agents improve together.

Part of dev_docs/mcp_optimization_plan.md (P2-1).

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

* feat(skills): dangling-reference validation in skills:check + fix 10 dangling links (P2-2)

skills:generate/check now fail when an atom SKILL.md links a
references/*.md that does not exist on disk — a dangling pointer ships
a 404 to every agent that follows it (the weekly-booking-check
incident, agent.feedback).

The validator immediately caught 10 live dangling links in 4 atoms,
three distinct flavors:
- filename typo: swedish-asset-accounting/references/depreciaton.md
  renamed to depreciation.md (the link was right, the file misspelled)
- link mismatch: swedish-e-invoicing linked market-providers-pricing.md;
  the file is market-provider-pricing.md (link fixed)
- unauthored plans: single-shareholder-ab-fmb TODOs and reklambyra's
  'planerad utbyggnad' section used resolvable references/ paths for
  files that were never written — rephrased as plans without paths

Seed migration regenerated (4 atoms bumped, renamed reference child).

Part of dev_docs/mcp_optimization_plan.md (P2-2).

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

* docs(events): align agent-feedback review cadence copy (P2-4)

gnubok_feedback replies 'we aggregate signal weekly'; the event-log
handler comment said quarterly. One of them was lying — weekly wins
(the mcp_optimization_plan triage is the living example).

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-07-03 11:48:29 +02:00
Mattsson f63d3e3100 Bug/open banking flow (#854)
* fix(enable-banking): pin Mobile BankID (decoupled) auth_method so Handelsbanken corporate connects

We never sent auth_method to Enable Banking, so it fell back to the ASPSP's
visible default — REDIRECT for Handelsbanken. For Handelsbanken *corporate*
PSUs the redirect flow does not support Mobile BankID, so authorization failed
right after the user approved in the BankID app. Mobile BankID at Handelsbanken
is a DECOUPLED method flagged hidden_method=true, which Enable Banking only uses
when requested explicitly.

Resolve the bank's preferred auth method before /auth: query the ASPSP's
auth_methods and pick the DECOUPLED (Mobile BankID) method when present,
otherwise leave auth_method unset so banks that already work are untouched.
The method name is read dynamically per psu_type, so it is robust across
sandbox/production naming.

- api-client: add approach/hidden_method to AuthMethod, fix ASPSP.auth_methods
  field name (was available_auth_methods, never populated), add
  getPreferredAuthMethod(), thread optional authMethod through startAuthorization
- index: resolve authMethod in /connect and pass it on both fresh + reconnect
- tests: cover method selection and request-body shaping

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* refactor(invoice-inbox): clean up bulk-selection toolbar UI

Redesign the selection toolbar shown when inbox items are checked:
one solid primary "Bokför valda" button with outlined secondary
actions ("Fråga assistenten", "Ta bort") and a plain selection
count. Removes the redundant "Avmarkera" button (users uncheck the
still-visible box), fixes label clipping, and gives the toolbar more
breathing room.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* chore(entitlements): bypass paywall in local development

Add isPaywallBypassed() so all gated capabilities are testable locally
without a subscription. Fires only on NODE_ENV=development (npm run dev)
or an explicit DISABLE_PAYWALL=true escape hatch — production builds run
under NODE_ENV=production and the entitlement suite runs under 'test',
so both keep exercising the real gate.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(tic): resolve enskild firma bolagsuppgifter via 12-digit personnummer

TIC's Lens search is fuzzy and only resolves an enskild firma from the 12-digit (century-prefixed) personnummer; a 10-digit form fuzzy-matched an unrelated entity. Expand personnummer to 12 digits before querying and reject hits whose registration number is unrelated to the request. Add a "Hämta" action to the settings Bolagsuppgifter panel to (re)fetch on demand.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* feat(transactions): implement categorize core for bank transaction categorization

- Added `categorize-core.ts` to handle categorization of bank transactions, supporting single and bulk operations.
- Introduced `categorizeMatchedTransaction` and `bulkBookMatchedInboxItems` functions for transaction processing.
- Implemented fiscal period validation and duplicate booking detection.
- Enhanced logging and error handling for transaction categorization.

feat(scripts): add diagnostic script for Handelsbanken ASPSP metadata

- Created `check-handelsbanken-aspsp.mjs` to fetch and display available authentication methods for Handelsbanken.
- Outputs metadata for business and personal PSU types, including default authentication methods.

fix(migrations): increase statement timeout for SIE bulk delete operations

- Updated `20260629160000_sie_bulk_delete_statement_timeout.sql` to set a longer statement timeout for bulk delete RPCs to prevent cancellations during large imports.

feat(migrations): add bulk book inbox items to pending operations

- Expanded `pending_operations` table to include `bulk_book_inbox_items` operation type in `20260630120000_pending_operations_add_bulk_book_inbox_items.sql`.
- Supports bulk booking of matched inbox items against bank transactions.

test(pg): add tests for replace_period_opening_balance_link RPC

- Implemented tests in `replace-period-opening-balance-link.pg.test.ts` to validate the functionality of the opening-balance correction flow.
- Ensured immutability of opening balance links and proper handling of posted vs. non-posted entries.

* fix(sie-export): update journal entries and lines handling in SIE export tests

* fix(migrations): resolve version collision on 20260629160000

The SIE bulk-delete statement_timeout migration shared version
20260629160000 with journal_entries_list_series_filter (merged from
main via #798/#823), causing a schema_migrations_pkey duplicate key
error on apply. Rename the branch's migration to 20260629160100.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(compliance): resolve compliance-swarm + review findings

- opening-balance/correct: compensating rollback for the non-atomic
  storno+rebook so a mid-sequence failure never leaves two posted OB
  entries (ASVS V2.3); durable audit event on every failure path
  (V16); reference the original verifikationsnummer in the corrected
  entry per BFL 5 kap 5§; document that requireWrite already enforces
  write-role + membership (V8.2.1 was a false positive)
- reports sources routes: validate the cursor date component as ISO
  (/^\d{4}-\d{2}-\d{2}$/) before use, 400 on malformed (ASVS V1.2),
  applied to both the VAT-declaration and trial-balance routes
- AgentSessionList: await the rename PATCH, revert the optimistic
  title and toast on failure (ASVS V4.5)
- bank booking: exclude same-batch siblings from the booking-time
  duplicate guard so bulk-booking distinct same-(date,amount)
  transactions no longer false-positives; pre-existing duplicate
  detection is preserved
- BulkBookInboxDialog: drop the unsafe currency-based reverse_charge
  default, add an omvänd skattskyldighet advisory, and type VAT
  options to the backend VatTreatment union
- OpeningBalanceRowEditor: hold onChange in a ref (synced in effect,
  not during render) so an unstable callback can't cause a render loop

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-07-01 18:13:00 +02:00
Mattsson 9ed0b9515a Fix/invoice booking vat fixes (#778)
* feat(invoices): add Plusgiro input to bank details settings

Plusgiro was already persisted, validated by the API schema, rendered on
the invoice PDF and toggleable via "Visa plusgiro" — but the settings UI
had no field to enter the number, so plusgiro-only users could not fill
it in. Add the input next to Bankgiro with Luhn validation and hyphen
formatting, include it in the save payload (normalised on save so raw
digits still match the dashed schema format), and add sv/en strings.

Adds validatePlusgiroNumber/formatPlusgiroNumber helpers + tests.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(invoices): respect non-VAT-registered seller in PDF preview + portal tooltips

Two user-reported bugs:

- PDF preview (/api/invoices/preview-pdf) ignored company.vat_registered and
  fell back to the customer-driven 25% rate, so a non-momsregistrerad seller
  saw VAT in the review step even though the created invoice books none. Mirror
  the server-side write gate (build-invoice-write.ts): force 0% when
  vat_registered is false (delivery notes excepted).

- InfoTooltip rendered TooltipContent without a Portal, so tooltips were
  clipped by the scrollable DialogContent (overflow-y-auto) in the send-invoice
  journal-entry review. Wrap in TooltipPrimitive.Portal.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(transactions): book library mall from its literal lines, not a lossy fallback

Booking a bank transaction with a user-created booking-template (mall) via the
convertible "QuickReview" fast path reduced the template to a single category +
one account_override, silently discarding the chosen debit/credit. A
kundinbetalning mall (D 1930 / K 1510) booked as a generic cost (D 6991 / K 1930),
or with a VAT line as D 1930 / K 1930 / K 2611 — and the result flipped with the
direction inferred from the business/settlement line tags, so visually-identical
templates produced different verifikationer.

Route every library template through the journal-entry editor (applyTemplate ->
/book), which posts the literal lines, regardless of convertibility. Add
regression tests locking the contract.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(bookkeeping): make the booking-time duplicate guard bypassable

TRANSACTION_BOOK_POSSIBLE_DUPLICATE told users they could "book anyway" but
the UI dead-ended on a toast with no way to do so. Add a shared
DuplicateBookingDialog that surfaces the already-booked sibling and lets the
user review it or book anyway (force bound to the reviewed candidate, which
the server re-detects so a stale id cannot wave the guard away).

- Wire the dialog into the /transactions categorize flow and the manual
  booking dialog (JournalEntryForm -> /api/transactions/[id]/book)
- Bind the override to expected_duplicate_transaction_id OR
  expected_duplicate_journal_entry_id so ledger-only vouchers (paid invoice,
  salary run) can be confirmed too
- Extend the guard to the pending-operations commit path and the MCP server
- Tests for book/categorize routes, detection, and the commit guard

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(bookkeeping): log duplicate-guard bypass to behandlingshistorik in the agent commit path

The web /book and /categorize routes append a durable
BankTransactionDuplicateDismissed event when a user books over a detected
possible double-booking. The agent commit path (commitCategorizeTransaction,
commitMarkInvoicePaid) skipped the guard silently on allow_duplicate=true,
leaving no behandlingshistorik — an auditor could not reconstruct why the
duplicate was allowed (BFNAR 2013:2 kap 8).

When allow_duplicate=true, re-detect the candidate and append the dismissal
event (BankTransactionDuplicateDismissed for the bank-line path,
InvoiceDuplicatePaymentDismissed for mark-paid). Best-effort — a logging
failure never blocks a legitimate booking. Payloads stay PII-safe (ids,
amounts, dates only — no customer or merchant name).

Also fix the misleading DuplicateBookingDialog JSDoc: the retry binds
expected_duplicate_journal_entry_id, not candidate.transaction_id, so the
systemdokumentation matches the actual control (BFL 7 kap).

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* test(mcp-server): stub booking-duplicate guard in receipt-matcher categorize tests

The gnubok_categorize_transaction tool runs the booking-time duplicate guard
before staging; its detection queries consumed the queued supabase mock
results, so the staging assertions saw a thrown duplicate error instead of a
staged op. Mock detectBookingDuplicate to "no duplicate" since these tests
don't exercise that path.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* refactor(transactions): use roundOre for duplicate-guard öre rounding

Replace naive Math.round(x*100)/100 with roundOre() from @/lib/money in the
booking-time duplicate guard (detection lib, commit executor, MCP categorize
tool), satisfying the no-new-antipatterns ratchet 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>
2026-06-25 15:54:35 +02:00
Mattsson 2a8bf9b42e Bug/year end numbers (#744)
* fix(bookkeeping): allow creating a fiscal year that fills an interior gap

Fiscal-period creation only allowed chaining a new räkenskapsår before the
earliest or after the latest existing period, so a company with a gap between
years (e.g. 2024 + 2026 from an SIE import, missing 2025) could not create the
missing year — it failed with "New period must chain before the earliest or
after the latest existing period".

Generalise forward chaining onto the new period's immediate predecessor, which
covers both appending a new latest year and filling an interior gap. The
"prior year must be locked" guard now applies only to true appends, not gap
fills (a backfill, like backward chaining). previous_period_id is set to the
predecessor and the successor is relinked so the BFNAR 2013:2 continuity chain
stays intact. The create dialog suggests the missing year (capped so it never
overlaps the next period), the settings page seeds the dialog at the earliest
gap, and the default suggested name is now "Räkenskapsår <year>".

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(bookkeeping): omföra föregående års resultat (2099 → 2098) at year-end

Year-end closing posts the result to 2099 "Årets resultat" and the opening
balance carried it forward on 2099 every year, so 2099 accumulated across
years and the prior result never moved off "Årets resultat".

executeYearEndClosing now posts a separate "Omföring av föregående års
resultat" verifikat (Dr 2099 / Cr 2098 for a profit, reversed for a loss)
into the new period after the continuity check passes, so 2099 starts each
year at zero. Kept as a standalone entry rather than folded into the opening
balance so the IB stays a faithful mirror of the prior UB and IB/UB
continuity still holds. Aktiebolag only; idempotent; no-op when 2099 is flat.
The 2098 → 2091/2898 disposition (bolagsstämma decision) is intentionally
left to a separate step.

- new source_type 'result_appropriation' (migration + type + Zod enum)
- generateResultAppropriation helper (planner + poster) wired as step 11
- ResultStep surfaces the omföring voucher
- unit tests + pg-real invariant
- scripts/repair-result-appropriation.ts: retroactive catch-up (dry-run default)

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* feat(transactions): shadow-detect date-drift duplicate bank transactions

The content-dedup bridge buckets on exact (date, ore), so the same
transaction re-imported with a booking date that drifted a day lands in
a different bucket and slips past every dedup layer. Add a measure-only
("shadow") detector that flags would-be +/-1-day duplicates and counts
them, without changing what is inserted - so the gap can be validated on
real data before any enforcement, mirroring the scope-drift shadow.

- shiftIsoDate(): pure, deterministic adjacent-date helper
- ingest: DEDUP_DATE_DRIFT_MODE flag (default on), pre-loop bucket
  snapshot, per-row gate with desc-bridge + cross-channel-symmetry
  signals; logs shadow_date_drift_candidates, never alters inserts
- fail-safe date guard so the measurement can never abort an import
- regression tests for both signals, account/window/distinct guards,
  no-double-count, and the malformed-date fail-safe

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* test(bookkeeping): anonymize a customer reference in fiscal-period tests

Remove a real customer name ("AXMD AB") from regression-test comments;
no logic change.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(workflows): enhance Docker image scanning and caching mechanisms

* fix(bookkeeping): enhance year-end result appropriation handling and error reporting

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-16 18:22:09 +02:00
Mattsson 8322830f46 Add/issue in absurdum (#739)
* feat(assets): allow editing fixed asset fields before depreciation

The fixed asset register only offered a "Dispose" action, so correcting a
mis-entered acquisition date/cost/category meant running the disposal flow —
which posts a real divestment voucher plus a Ch. 8a VAT adjustment.
Disproportionate and wrong for a data-entry fix.

Add an Edit action that allows correcting those fields directly, gated for
correctness:

- service: extend updateAsset() with category/acquisition_date/
  acquisition_cost; block the change once the asset is disposed or has posted
  depreciation (AssetCorrectionBlockedError) where it would desync posted
  vouchers from the register; realign the BAS triple on category change.
  Name, useful life, and method stay editable.
- api: extend the PATCH schema; annotate GET /api/assets with
  has_posted_depreciation so the UI can lock basis fields proactively.
- ui: EditAssetDialog + pencil action; disables date/cost/category when
  depreciation has been booked, with an inline explanation.
- errors: register ASSET_CORRECTION_BLOCKED (409).
- tests: unit tests for the guard; pg test for pre-disposal editability.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* feat(assets): also block basis edits when depreciation was hand-posted

The correction guard only consulted depreciation_schedules, so an
avskrivning booked as a manual journal entry (no schedule row) slipped
through and a basis correction was wrongly allowed.

Add a ledger scan: any posted credit to the asset's ackumulerade-
avskrivningar account (12x9) counts as depreciation. Entries that
depreciation_schedules attributes to a *different* asset are excluded, so
a sibling's engine avskrivning on a shared 12x9 account doesn't produce a
false block. What remains is depreciation tied to this asset (engine or
manual); a basis correction is blocked there and must go through storno.

Adds two unit tests: blocks on a hand-posted credit, allows when the only
12x9 credit belongs to a sibling's engine entry.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(invoices): allow negative unit prices for discount lines

The invoice creation form rejected negative unit prices via a frontend
superRefine check, blocking valid discount lines (e.g. "Rabatt -100").
The unit_price error was never rendered inline, so submission failed
silently. The backend schema already allows negative unit prices (see
CreateInvoiceItemSchema test), so the form was simply out of sync.

Remove the non-negative constraint; empty/NaN prices are still rejected
by the base z.number() type. Drop the now-unused validation_price_positive
translation key from both locale files.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* feat(invoices): allow editing draft invoices

Drafts could be saved but not edited — the only way to change a draft's
lines, customer, dates or amounts was to delete and recreate it. Add a
"Redigera" action on draft invoices that opens the invoice editor
pre-filled with the draft and saves changes in place.

A verifikat is only created when an invoice is sent (or paid, under
kontantmetoden), so every status=draft invoice is uncommitted and safe to
edit; sent/paid invoices stay immutable and still require a credit note.

- Extract buildInvoiceWriteData() with the shared validation + computation
  (VAT rules, ROT/RUT, accruals, totals, currency, item rows); POST now
  uses it too, behaviour unchanged.
- Add UpdateInvoiceSchema and PATCH /api/invoices/[id], guarded to drafts
  (status=draft, no journal entry, not self-billed); number and status are
  preserved and no invoice.created is emitted.
- Extract the invoice creator into a shared InvoiceEditor with create /
  edit modes; /invoices/new is now a thin wrapper and /invoices/[id]/edit
  is the new edit page.
- Add a "Redigera" button on draft invoice detail pages + sv/en strings.
- Tests for the builder, UpdateInvoiceSchema and the PATCH route.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* feat(reports): make Huvudbok findable via account/saldo search terms

Searching the command palette for natural phrases like 'saldo per konto', 'kontoutdrag', 'kontoanalys' or 'transaktioner per konto' returned nothing, so users couldn't find the general ledger. Enrich the Huvudbok entry's keywords with those synonyms, and let Saldobalans and Balansrapport match 'saldo per konto' too since they are genuinely per-account balance views.

Companion change — the clearer Huvudbok report description ('Saldo och alla transaktioner per konto') — already landed in d5f474cb.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* feat(settings): let users edit their personal name

Add an editable Namn field to /settings/account that updates profiles.full_name and best-effort syncs auth user_metadata. Previously the personal name was only ever set from BankID's legal name at signup with no way to correct it, so users whose tilltalsnamn isn't their first given name were greeted by the wrong name (and email/password users had no name at all).

New POST /api/user/profile route (requireAuth, RLS-scoped update) mirrors /api/user/locale. sv/en strings added.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>

* feat(invoices): per-invoice öresavrundning override

Add a display-only öresavrundning flag per invoice that wins over the
company-wide setting. Resolution order in getDisplayTotal: per-invoice
override -> company setting -> default-on. The stored total and the booked
verifikat keep the exact öre; only the rendered total changes.

Supplier invoices gain the same flag but resolve a null to off (they never
had rounding historically), exposed via a toggle on the new-invoice form
and a rounding row on the detail page.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>

* feat(transactions): warn on possible duplicate before booking

Before committing a transaction (via book or categorize), detect an
already-booked sibling with the same date and amount and return a 409
TRANSACTION_BOOK_POSSIBLE_DUPLICATE instead of silently double-booking.

The user can override with force=true, which must be bound to the reviewed
sibling via expected_duplicate_transaction_id; the candidate is re-detected
server-side, so a stale or guessed id is rejected with
TRANSACTION_BOOK_FORCE_CANDIDATE_MISMATCH. Detection is fail-open on the
non-force path and fail-closed under force.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>

* feat(transactions): shadow-mode scope-drift dedup counter in bank ingest

Count rows that an enforcing same-feed scope-drift rule WOULD treat as
re-imports (the IBAN-drift re-imports the external_id check misses) and
surface it as IngestResult.shadow_scope_drift_candidates. Nothing is
blocked yet -- the counter only measures how often the rule would fire so
it can be validated against real data before enforcement.

Also gitignore scripts/delete-duplicate-transactions.ts: a destructive,
hand-run cleanup tool kept out of the repo so it can't run in CI/cron or be
mistaken for a supported feature.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>

* fix(bokslut): base bolagsskatt on post-disposition result

Bokslutsdispositioner are booked as source_type='year_end', which the
income statement excludes, so net_result alone overstates resultat före
skatt and the booked tax ignored the periodiseringsfond avsättning (too-high
tax, ÅR/INK2 mismatch).

calculateBolagsskatt now accepts resultBeforeTaxOverride. The preview builder
mirrors each proposal's P&L effect (+återföring, -avsättning, -SLP) onto the
pre-disposition result; the commit path sums the already-posted dispositions
via the new sumPostedYearEndDispositions (class 88 + 7533) since bolagsskatt
is committed last.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>

* feat(settings): fiscal years manager

Add a FiscalYearsManager to the bookkeeping settings that lists fiscal
periods with their status (closed > locked > open) and creates the next
year via CreatePeriodDialog, seeded to chain forward from the latest
period end.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>

* fix(api): return 400 when locking a period with unbooked transactions

lockPeriod() refuses to lock a period that still has uncategorized business
transactions. Detect that message in the lock route and surface it as a
clear PERIOD_HAS_UNBOOKED_TRANSACTIONS (400) instead of a generic 500.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>

* feat(invoices): implement isEditableInvoiceDraft utility and apply it across invoice edit routes
feat(transactions): log duplicate dismissal events in behandlingshistorik
test(invoices): add tests for isEditableInvoiceDraft function
test(transactions): enhance tests to verify behandlingshistorik logging
refactor(bokslut): update tax calculation test descriptions for clarity

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-16 10:42:37 +02:00
Jakob Wennberg 0521c385d2 feat(transactions): underlag status badges + attach dialog; auto-expire stale pending ops (#712)
* feat(transactions): per-row underlag status + attach-document dialog

- New "Matcha mot underlag" dialog on /transactions (inbox pick or fresh
  upload), the tx→doc mirror of the Documents view's matcher
- Per-row Underlag/Underlag saknas badges on booked history rows, driven
  by computeJeUnderlagStatus — same posted-only, exemption-aware scope as
  the worklist count so badge and count never disagree
- attach-document route + commit dispatcher now propagate the doc onto
  the verifikation when the tx is already booked (BFL 5 kap 6 §), with a
  409 guard for docs consumed by a different verifikation, idempotent
  re-attach (no same-value rewrite under period lock), and an honest 409
  when the period-lock trigger blocks the propagation
- Booking-dialog doc links also pin the doc to the transaction row
  (first linked doc wins) via the link route's new transaction_id param

messages/{sv,en}.json also carries the strings for the pending-ops
expiry UI that lands in the next commit.

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

* feat(pending-operations): auto-expire stale staged operations after 30 days

- New daily cron (02:30 UTC, vercel.json + both docker crontabs) flips
  >30-day-old pending ops to rejected with the dispatcher's
  { auto_rejected: true, reason: 'expired' } result_data shape — rows are
  never deleted, the table is the audit trail
- /pending renders an "Utgick automatiskt" badge + detail line for these,
  orders terminal tabs by resolved_at so a fresh expiry sweep isn't
  buried, and adds a first-time-reviewer explainer
- Origin labels spell out where a proposal came from (AI chat, MCP key,
  API, cron) instead of the raw actor_label
- agent_chat actor type added to PendingOperationActorType/AuditLogEntry
  (DB CHECK already widened in 20260519090000) and to the agent filter
- ApprovalCard notes that ignoring a proposal is safe

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

* docs(mcp): surface the client telemetry marker in connect instructions

Tag the connector URLs shown in ApiKeysPanel, the connect-claude doc and
the gnubok-mcp README with ?client=<surface> (claude-connector /
claude-code) and GNUBOK_CLIENT=claude-desktop for the npm bridge.
Telemetry-only — the server already reads the param/header; this just
lets us measure which Claude surface connected.

The claude mcp add copy blocks quote the URL: an unquoted ? in the query
string trips zsh globbing ("no matches found").

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

* review: fix stale-closure badge flip + zod-validate link route body (PR #712)

- handleDocumentAttached read journal_entry_id off the render-time
  transactions snapshot; if the list changed while the attach dialog was
  open the optimistic badge flip was silently skipped. Read it off the
  dialog's own subject (attachDocTx) instead.
- POST /api/documents/[id]/link now validates the body against the new
  LinkDocumentSchema (uuid-strict, all four fields) instead of a bare
  presence check on journal_entry_id — same canonical VALIDATION_ERROR
  envelope. Test fixtures switched to real UUIDs accordingly.

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-06-11 11:13:51 +02:00
Jakob Wennberg 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>
2026-06-11 10:44:15 +02:00
Mattsson 64991eb3c9 Add/transaction deletion (#695)
* feat(salary): add remove-employee button to draft salary runs

The DELETE /api/salary/runs/{id}/employees/{employeeId} endpoint already
existed (draft-only, cascades to the employee's line items) but had no UI
trigger, so a mistakenly added employee could only be cleared by deleting
the whole draft. Add a trash-icon action column to the "Anställda" table,
gated on draft status + write permission to match the endpoint's guard,
with a confirm prompt and success/error toast.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* fix(settings): prevent horizontal overflow on mobile

The company settings invite form was a non-wrapping fixed-width flex row that overflowed narrow viewports, forcing the full-screen settings modal to scroll on the x-axis. Stack the form vertically on mobile (sm:flex-row at and above the sm breakpoint) and add the missing min-w-0 guard to the modal content pane.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* feat(bookkeeping): move journal entry filters into a filter dialog

The ledger toolbar showed every filter inline (fiscal year, sort, series,
date range, missing-documents toggle), which felt cluttered. Keep only the
search field visible and move the rest into a "Filtrera" dialog with an
active-filter count badge.

- JournalEntryList now owns the fiscal-year scope, restored from the same
  localStorage key FiscalYearSelector writes, so the page no longer renders
  the selector separately.
- Filters apply live and the dialog stays open; "Rensa alla filter" clears them.
- Export STORAGE_KEY_PREFIX / ALL_YEARS_VALUE from FiscalYearSelector so the
  list reuses the persisted selection without duplicating the key.

Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com>

* feat(transactions): implement imported transaction guard for deletion

- Added a guard to prevent deletion of transactions that are imported via bank sync or file uploads.
- Introduced `isImportedTransaction` utility to determine if a transaction is user-created or imported.
- Updated DELETE endpoint to return a 409 status for attempts to delete imported transactions.
- Enhanced transaction history and inbox components to reflect the new deletion rules.
- Added tests for transaction origin determination and deletion behavior.
- Updated UI components to include a confirmation dialog for clearing journal entry forms.
- Localized new strings for clearing form functionality in English and Swedish.

* feat(transactions): enhance transaction deletion guard and improve fiscal year visibility

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-08 15:25:27 +02:00
Jakob Wennberg 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>
2026-06-02 15:59:10 +02:00
Jakob Wennberg 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>
2026-06-01 18:26:13 +02:00
Mattsson 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>
2026-06-01 14:45:49 +02:00
Mattsson 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>
2026-05-30 01:28:41 +02:00
Jakob Wennberg 4da87e5e4c feat(transactions): bulk-book + is-booked predicate (#606)
* feat(transactions): bulk-book + is-booked predicate

Closes the second of the two multi-tx ↔ multi-voucher flows from the
original plan. Where PR #603's match_batch_allocate took 1 tx and
spread it across N invoices (samlingsbetalning), this PR takes N bank
transactions on the same day and rolls them up into ONE combined
verifikat (samlingsverifikation per BFL 5 kap 6§ st 3) — the kiosk
masshantering pattern the user explicitly asked for.

## Backend (Phase 3b)

- **PL/pgSQL RPC** bulk_book_transactions: two branches, both atomic.

  1. Link to existing posted verifikat (p_existing_journal_entry_id):
     no new JE. Validates the JE's 19xx net equals sum(tx.amount),
     inserts N transaction_voucher_links rows, and for N=1 also sets
     transactions.journal_entry_id (1:1 reader-path back-compat).

  2. Create new combined verifikat (p_new_entry with pre-computed
     balanced lines): the route's applyTemplate() has already done
     ratio + VAT expansion per the chosen mode. The RPC validates the
     lines balance and the 1930 net matches sum(tx.amount), then
     commits via commit_journal_entry.

  Same security pattern as match_batch_allocate: company-member check
  via auth.uid(), SELECT … FOR UPDATE on each tx in id order,
  deterministic fiscal-period resolution (ORDER BY period_start DESC).

- **Endpoint** POST /api/transactions/bulk-book — fetches template via
  RLS, expands per mode (one_line_per_tx | sum_per_account) using
  lib/bookkeeping/template-library.applyTemplate, passes the resulting
  lines to the RPC. On success emits one transaction.reconciled event
  per tx.

- **22 new BULK_BOOK_* error codes** (sv + en) covering all guard
  paths.

## UI (Phase 5b)

- **BulkBookDialog** — template picker + mode toggle (segmented
  control: en rad per transaktion / summera per konto) + live preview
  table with balance + bank-leg invariant indicators. Confirm only
  enabled when both pass.

- **Multi-select inbox** — sticky action bar gains a "Bokför i klump"
  button gated by same-date + same-direction across selected txs.
  Tooltip explains the disabled state.

## Phase 6: is-booked predicate

New lib/transactions/is-booked.ts. After multi-allocation and bulk-
book, tx.journal_entry_id can be NULL even though the tx is anchored
(via invoice_payments / supplier_invoice_payments /
transaction_voucher_links). The helper checks all three storage
locations so future readers don't falsely show multi-anchored txs as
"unbooked". Companion getPrimaryJournalEntryId() resolves the best
JE link to surface in UI. SQL mirror is_transaction_booked() exists
from the PR #602 foundation migration.

Existing readers (TransactionHistoryList, TransactionInboxCard) are
not yet refactored to use the helper — that's a follow-up that
touches per-tx JE links across multiple call sites. The helper is
documented + tested so subsequent refactors are mechanical.

## Tests

- tests/pg/bulk-book-transactions.pg.test.ts — 8 pg-real scenarios
  (happy path create-new with 3 txs, happy path link-existing, date
  mismatch, direction mismatch, amount mismatch, unbalanced lines,
  unauthorized).
- app/api/transactions/bulk-book/__tests__/route.test.ts — 5 unit
  tests (schema XOR, link path, create-new with template fetch +
  applyTemplate, structured-error mapping).
- lib/transactions/__tests__/is-booked.test.ts — 11 cases covering
  all three storage locations + primary-JE resolution.

26 unit tests pass on touched paths. RPC migration applied to remote
via Supabase MCP.

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

* fix(bulk-book): PR #606 review round 1 + CI fixes

Closes the build failure and the two real Greptile findings.

## CI

- **core-only + Vercel build fail**: I used useMemo for
  selectedTransactions and bulkBookEligible on the transactions page
  without importing it. TypeScript build (`next build`) caught it
  with "Cannot find name 'useMemo'". Fixed the import.

## Review findings

- **(P1) Currency mismatch returned BULK_BOOK_DIRECTION_MISMATCH**
  whose user-facing message blames direction. Mixed SEK + EUR batches
  would show "All transactions must be the same direction" which is
  factually wrong. Introduced dedicated BULK_BOOK_MIXED_CURRENCY code
  (sv + en) explaining the actual constraint, and switched the route
  to use it.

- **(P1) Branch B (create-new) N=1 missed
  reconciliation_method='manual'**. Branch A's N=1 UPDATE sets it
  alongside journal_entry_id; Branch B's didn't, leaving the
  reconciliation_method NULL even though the single tx was reconciled
  via the same flow. Downstream readers (reconciliation reports,
  status indicators) would treat the two N=1 paths differently. New
  follow-up migration patches Branch B's final UPDATE.

RPC patch applied to remote via Supabase MCP. 26 unit tests pass.

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-29 14:55:24 +02:00
Jakob Wennberg cad83d180d fix(currency): transaction-date FX rate + mall bookings in SEK (#442) (#483)
* fix(currency): use transaction-date FX rate and post mall bookings in SEK (#442)

Three related defects in non-SEK transaction handling:

1. Ingest priced every transaction in a batch at today's rate because
   fetchMultipleRates() was called without a date. Switch to a per-
   (currency, date) fetch via fetchExchangeRate() + Promise.allSettled,
   so each row stores Riksbanken's rate as of its own transaction date.

2. buildMappingResultFromTemplate emitted VAT/reverse-charge/output-VAT
   lines from Math.abs(transaction.amount) — the source-currency amount.
   Mall bookings on USD/EUR transactions therefore posted the journal
   entry in the wrong currency. Resolve to SEK once via resolveSekAmount()
   and reuse for every line, matching what createTransactionJournalEntry
   already does for the settlement line.

3. The Granska bokföring modal and the journal-entry detail page lacked
   a clear audit trail. The verifikation preview now renders in SEK with
   a separate original-currency subtitle in the header; the detail page
   gains a dedicated "Valutaomräkning" card above Kontorader showing the
   rate and original total.

Also: replace truncate with break-all on the modal description so long
UUID-style strings (e.g. BALANCE_CASHBACK-…) wrap instead of forcing
horizontal overscroll.

Tests: 4 new booking-templates cases (USD 25%, EUR fallback via
exchange_rate, EU reverse-charge on USD, output VAT on USD income) and
2 new ingest cases (per-pair fetch dedup; no fetch for SEK rows).

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

* fix(currency): wire SEK conversion into SwipeCategorizationView (#442 follow-up)

Address Greptile review:

- SwipeCategorizationView rendered JournalEntryPreview without amountSek,
  so the swipe flow had the same defect QuickReviewDialog had — a USD
  transaction showed the verifikation in source currency labeled SEK.
  Now resolves SEK once via resolveSekAmount, passes it to the preview,
  and shows SEK as the headline with the original-currency subtitle
  (parallel to QuickReviewDialog).
- Drop the now-dead `currency` prop from JournalEntryPreviewProps and
  its remaining call site in QuickReviewDialog — the component
  hardcodes 'SEK' on display, so the prop was misleading.
- Correct the misleading inline comment in ingest.ts: network failures
  resolve inside fetchExchangeRate to getFallbackRate() (non-null),
  so the key only stays unset on empty-observation responses or
  outright rejections.

Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-14 15:00:12 +02:00