eb77ad50b598f1156dc62e2ebeae5f5a042d329d
215
Commits
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eb77ad50b5 |
feat(mcp): add create_voucher + correct_entry MCP tools (#448)
* feat(mcp): add create_voucher + correct_entry MCP tools The MCP toolset had no way to post a journal entry outside the preset workflows (categorize_transaction, create_invoice, …). That blocks legitimate flows the engine already supports — K3 capitalization to BAS 1010, period-end accruals, FX adjustments, prepayments, and rättelseposter for foreign reverse-charge VAT that landed on 2641 instead of 2614/2645. create_voucher exposes the existing createJournalEntry() primitive: arbitrary balanced lines, optional fiscal-period auto-resolution, staged for human approval. correct_entry exposes correctEntry() (storno + new corrected entry per BFL 5 kap 5§) so part of a posted verifikation can be fixed without losing the legs that were right. Both are HIGH risk in OPERATION_RISK_TIERS — the arbitrary account/amount/ period inputs make them compliance-critical despite being structurally similar to uncategorize_transaction (medium). Approval flow unchanged; no auto-commit, regardless of trust level. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(mcp): address PR #448 review — voucher tools hardening Greptile P1 + compliance bot findings, all in one pass. commitCreateVoucher (commit.ts): - Hardcode source_type to 'manual' instead of reading from params. A future direct-staging path or hand-inserted pending_operations row could otherwise inject 'bank_transaction'/'invoice_created'/etc. and corrupt the audit-trail origin. - Re-validate balance defensively before reaching the engine, so a tampered params row surfaces a clean Swedish 400 instead of an opaque engine error. gnubok_create_voucher (server.ts): - Validate the explicit fiscal_period_id when supplied: confirm it exists, is open (is_closed = false), and that entry_date falls within its span. Without this, a closed/locked period was only caught at commit-time with a generic DB-trigger error. - Throw at staging when any line targets an account that's missing from chart_of_accounts or marked inactive, rather than relying on the approver to spot the advisory flag. - Remove source_type from the staged params blob entirely — the executor ignores it anyway, no point letting it travel through. - Add a comment that the staging-time period-lock check is advisory and the executor is the authoritative guard, so future cleanup doesn't remove either as 'redundant'. Descriptions: - gnubok_correct_entry now explicitly notes that the storno + corrected entries land in the original period (defends against compliance bot's speculative "different period" concern recurring on future reviews). - Both tools' tax_code field gets a note that the BAS account number drives momsdeklaration ruta mapping, not tax_code — guards against an LLM treating tax_code as the VAT-routing dial. commitCorrectEntry (commit.ts): - Add a comment pointing at storno-service.ts:99,102,195,198 to make the "uses original period and date" invariant explicit in this file. Tests: - +2 voucher-executors cases: source_type tampering is ignored, unbalanced params return 400. - +10 new voucher-tools tests (MCP layer): unbalanced, closed explicit period, missing explicit period, entry_date outside period, unknown account, inactive account, happy path + correct_entry registration + unbalanced replacement. 720 tests pass in the impacted suites; full suite 2998/2998. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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17c67fece0 |
Inbox UX overhaul + cross-currency supplier-invoice fixes (#444)
* feat(kpi): expense mix and top suppliers charts Replace the single monthly-trend chart with two additional compact visuals on /kpi: expense composition donut (BAS class 4-7) and top suppliers bar (supplier_invoices sum_sek over the fiscal period). KPIReport gains expenseComposition and topSuppliers fields, computed from the trial balance and supplier_invoices rows already fetched in the API. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(nav): swap Deadlines sidebar slot for Dokumentinkorg Sidebar main-menu slot now points to the invoice-inbox extension. The /deadlines page stays accessible via dashboard widgets and direct links — only the prominent nav entry changes. Most users open gnubok to act on incoming documents, not to read tax deadlines. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(supplier-invoices): cross-currency totals, FX residual, review SEK display Five fixes around foreign-currency supplier invoices: - Form layout: move Valuta / Växelkurs / Reverse charge from collapsed "Övrigt" into a visible row above the line-item table. Auto-fetch the Riksbanken rate when switching to a non-SEK currency; never clobber a user-typed rate; clear it when switching back to SEK. - Form submit: reset() the form on successful submit so the useUnsavedChanges hook detaches its beforeunload listener before the router.push, killing the "Are you sure you want to leave?" prompt that fired during Turbopack-mediated navigations. - BankTransactionPicker: drop the strict currency filter that hid every SEK transaction when the invoice was in EUR/USD. Cross-currency rows fall to the bottom with an "Annan valuta" hint instead of producing a meaningless numeric diff. - match-supplier-invoice route: when the bank transaction currency differs from the invoice currency, compute the FX diff against the AP-booked SEK and pass it to createSupplierInvoicePaymentEntry so 7960/3960 catches the residual instead of leaving a permanent stub on 2440. Fix also covers the "EUR transaction paying a SEK invoice" case that the first iteration missed. - Review dialog: buildJournalPreview now multiplies amounts by the exchange rate so the "Verifikation som bokförs" table shows the actual SEK numbers that hit the DB, not the EUR magnitudes labelled with no unit. Header gains an "(i SEK)" hint when foreign currency. Test coverage for the FX residual path covers SEK-SEK (no diff), SEK-into-EUR-invoice (loss), SEK-into-EUR-invoice (gain), foreign-tx- into-SEK-invoice, and the no-rate fallback. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(inbox): rate limits, multi-file UX, onboarding, retry, supplier autolink Big workspace pass on /e/general/invoice-inbox. Highlights: Backend - New table inbox_rate_counters + RPC check_and_increment_inbox_quota. Postgres-backed (no Upstash dep) per-company limit: 30/min, 500/day. Applied at /upload, /inbound, and /items/:id/retry-extraction. - POST /items/:id/retry-extraction — re-runs the deterministic extractor on a stored document when the previous attempt errored. - POST /items/:id/match-supplier — links a freshly-created supplier back to the inbox item so the next action prefills correctly. - POST /api/transactions/create-from-document — creates an uncategorized manual transaction from an inbox item for the "I have a receipt, no bank transaction" case. The user categorizes through the normal flow. - /inbound caps email at 20 attachments/email; truncated count goes to processing_history as AttachmentsTruncated. Rate-limit drops emit RateLimitedDropped and return 200 so Resend doesn't retry. - attach-document side effect: when the document came from an inbox item, the inbox row's matched_transaction_id is updated so the UI can flip it to "Kopplad till transaktion" without a round-trip. New migration: re-introduces matched_transaction_id on invoice_inbox_items as a plain FK (the AI metadata that the previous migration stripped doesn't come back). Workspace UI - Onboarding card replaces the thin empty-state with a 3-step checkmark guide (Aktivera adress → Ladda upp → Matcha eller bokför). Auto-hides when all three steps are done; localStorage-backed dismiss. Beta badge + link to gnubok.se/priser. - Responsive layout: 3-pane at lg, 2-pane at md, master-detail toggle on phone (list xor detail with a back button). - Filter pills (Alla / Behöver åtgärd / Bearbetade / Fel) + search input above the list — client-side over the existing items list. - Multi-file upload queue with "Laddar X av N…" progress counter on the button. Sequential to avoid hammering pdfjs. Selection stays put during a batch (only single-file drops auto-jump the detail pane). - Bulk select + delete with sticky action bar. Items linked to a supplier invoice are skipped with a count toast. - Retry button in the FieldsRail error branch. - "Skapa transaktion från underlag" CTA in the match dialog when no unmatched bank transactions exist. Prefills date/amount/description from the extracted data; user picks the sign. - "Skapa leverantör" inline CTA when the extractor caught a supplier name with no match against existing suppliers. POSTs /api/suppliers with the extracted fields, then auto-links via /items/:id/match-supplier. - Matched-state CTA renamed to "Bokför transaktionen" with link to /transactions?highlight=<id> so the categorize panel auto-opens. Tests - lib/rate-limits/__tests__/inbox.test.ts — RPC wrapper happy/error/scope - app/api/transactions/create-from-document/__tests__/route.test.ts — auth, validation, 404/409/200/500, inbox-link failure tolerated - extensions/general/invoice-inbox/__tests__/retry-extraction.test.ts — auth, rate limit, 404, 409, 400 no-doc, success, extraction failure - attach-document tests extend coverage to the new inbox-link side effect (both success and best-effort failure paths) - inbound-webhook test mocks the rate-limit module so the queued-mock sequence in each existing test doesn't have to know about it CLAUDE.md gains a row for lib/rate-limits/ so the new helper is discoverable. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(transactions): paperclip indicator and highlight-row param Close the feedback loop after a user attaches a receipt to a transaction from the inbox: the row in /transactions now shows a paperclip icon when transaction.document_id is set, with a click handler that fetches a signed download URL and opens the document in a new tab. Works for both uncategorized and history views. When the inbox sends a user to /transactions?highlight=<id>, the page now scrolls that row into view and auto-opens the categorize panel if the transaction is still uncategorized. Behind a double-rAF so the row DOM exists when scrollIntoView fires. QuickReviewDialog no longer prompts to upload underlag when the transaction already has a doc attached (which it does after the inbox match flow). Shows "Underlag bifogat — Visa" instead, opening the existing doc in a new tab. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(pr-444): address review feedback (Greptile + compliance bots) Migration rules - New migration 20260512092423: adds updated_at trigger on inbox_rate_counters (CLAUDE.md rule 2) and explicit USING (false) RLS policies for the four DML verbs to make the SECURITY DEFINER-only intent explicit (rule 1). - New pg-real test inbox-rate-limit.pg.test.ts covering happy path, minute-cap rejection, day-cap rejection, per-company isolation, and the updated_at trigger firing. CLAUDE.md mandates *.pg.test.ts for every new RPC because mocks pass on broken PL/pgSQL. Bugs - Stale exchange rate on currency switch (Greptile P1) — userTouchedRateRef was scoped per session, not per currency. Switching EUR (with a hand-edited rate) → USD kept the EUR rate. Now tracks the last fetched currency in a ref and resets the touched flag on currency change while still honoring manual edits within a single currency. - topSuppliersResult.error silently swallowed (Greptile P2) — failed queries used to render an empty chart matching the no-data state. Logged now. - Currency from extracted_data not validated (GDPR Art.25(2), OWASP V4.5, Swedish compliance bot) — extracted PDF currency was inserted into transactions.currency without sanitisation. Allowlisted against the six supported ISO 4217 codes; coerce to SEK otherwise. - Idempotency gap on create-from-document (OWASP V2.3) — two concurrent POSTs with the same inbox_item_id could each pass the matched_transaction_id IS NULL read and insert duplicate transactions. UPDATE now includes .is('matched_transaction_id', null) as an optimistic-lock release and returns 409 with an orphan-transaction rollback when the predicate doesn't match. - FX residual on cash-method match path (Swedish compliance bot) — createSupplierInvoiceCashEntry has no exchange_rate_difference path, so a cross-currency match would silently leave a 1930 reconciliation gap. Added a guard that returns MATCH_SI_CASH_FX_UNSUPPORTED (400) before the JE is created. Users on cash method can switch to accrual or book the FX diff manually. Design system - gap-y-1.5 / gap-1.5 in KPIExpenseMixChart — replaced with gap-y-2 / gap-2 (CLAUDE.md design tokens; 2.5/1.5/5/hardcoded pixels are forbidden spacing values). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * chore(migrations): rename to match applied versions The mcp__plugin_supabase_supabase__apply_migration tool stamps its own timestamp when it applies a migration to the live project, so the version recorded in supabase_migrations.schema_migrations differs from my local generation-time filenames. Renaming the local files so a production CD run sees the migrations as already-applied (matching versions) instead of trying to re-apply them — which would fail for the trigger/RLS migration (CREATE TRIGGER and CREATE POLICY don't support IF NOT EXISTS). Follows the pattern from d854efcd ("chore(migration): rename to match applied version"). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(create-from-document): scope orphan rollback DELETE by company_id Defence in depth on the inbox-link race rollback. newTx.id is a fresh UUID from a company-scoped insert two statements above, so the existing single-key DELETE is already safe, but adding .eq('company_id', companyId) makes the cross-company invariant explicit on every write — addresses the OWASP ASVS V2.3 finding from the compliance swarm on PR #444. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(nav): mark Dokumentinkorg with Beta badge Same signal we use for Löner and Anställda — the inbox flow (AI extraction, supplier autolink, manual transaction creation) is in end-to-end customer testing. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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8f15f98687 |
Bug/employees creation (#440)
* Fix/employees page salary display logic and labels * feat: add salary_worked_days table and related functionality - Implemented the salary_worked_days table to track per-day worked hours for hourly employees. - Established row-level security (RLS) policies to ensure tenant isolation for salary_worked_days. - Created unique index on (employee_id, work_date) to enforce uniqueness. - Added trigger to enforce a 24-hour cap across worked and absence days for the same employee and date. - Developed tests to validate RLS, uniqueness, and 24-hour cap logic. * Fix: update hourly_salary calculation and refresh logic in salary run processing |
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dec920682f |
Fix/UI changes (#439)
* feat(bookkeeping): add preview for next voucher number in JournalEntryForm * feat(encoding): implement U+FFFD recovery for Swedish text in encoding functions |
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a53a119a2e |
Fix/vat parent accounts (#438)
* feat(enable-banking): add support for account selection and syncing - Updated StoredAccount interface to include an 'enabled' flag for account syncing preferences. - Enhanced ensureFiscalPeriod function to handle overlapping fiscal periods with posted entries and opening balances. - Added tests for fiscal period validation and account syncing logic. - Implemented AccountPickerDialog component for user account selection. - Created API routes for PATCH /accounts and POST /sync to manage account syncing. - Introduced 'pending_selection' status for bank connections to allow user account selection before syncing. - Updated database migration to support new connection status and backfill existing accounts with enabled=true. * feat(enable-banking): implement account selection and consent event logging --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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d0fbc2b616 |
refactor(ui): app-wide UI/UX consistency pass (#436)
* refactor(ui): app-wide UI/UX consistency pass
Net: +1,159 / −1,373 LOC across 77 files. No new features, no behavior
changes. Locks in a uniform design system across every dashboard surface.
What changed:
- **Foundation**: sidebar width 232→256px (md:w-64), spacing scale locked
(Tailwind 1/2/3/4/6/8/10/12; 2.5/5 forbidden), card padding p-6 default
(p-4 for compact metric cards), space-y-8 between page sections.
- **Tables unified**: all 33 thead blocks now share the Resultatrapport
pattern via shadcn Table primitive (text-[11px] font-medium uppercase
tracking-wider text-muted-foreground). Hand-rolled <table> instances
converted where they were data tables; form/edit grids kept distinct.
- **Status badges unified**: every status indicator routes through
shadcn <Badge variant>. Eliminated raw Tailwind colors
(bg-amber-100, bg-emerald-500/10, bg-blue-100, bg-purple-100, etc.)
in favor of the gnubok semantic palette (success=sage, warning=ochre,
destructive=terracotta).
- **Empty states unified**: list pages migrated from hand-rolled
"flex flex-col items-center py-12" divs to the EmptyState primitive.
- **Loading skeletons unified**: hand-rolled bg-muted rounded animate-pulse
divs replaced with shadcn <Skeleton> across 15 files.
- **Touch targets**: 6 back-buttons + edit-pencil + inbox delete bumped
from 24/32/36px to shadcn's 40px icon default. Added aria-labels on
9 icon-only navigation buttons.
- **Date formatting**: formatDate() for accounting data (ISO yyyy-MM-dd,
table-friendly) vs formatDateLong() for metadata (Swedish long form).
Raw {x.invoice_date} renderings routed through formatDate() in 18 sites.
- **Toast titles**: eliminated 33 generic "Fel" titles. Each toast title
now carries the action ("Kunde inte skapa lönekörning" etc.) with
description carrying the error detail.
- **Page-level cleanups**:
- Dashboard: dropped greeting hero + Snabbåtgärder/Att hantera nav
duplicates + Visa detaljer collapsible.
- Reports: 5-col mega-menu replaced with left-rail layout
(new ReportsNav component).
- Bookkeeping: fixed layout jump between Verifikationer/Ny verifikation
tabs (moved FiscalYearSelector inside journal tab).
- Bookkeeping: added voucher sort (A1 first / latest first) alongside
existing date sort. Required matching API param sort_by.
- KPI page: FiscalYearSelector instead of raw <select>; InfoTooltip
instead of inline info-button toggle; bigger numbers.
- Salary section: enum values translated to Swedish labels, mobile
table collapses to Anställd+Netto on <md, KPI typography aligned
with dashboard.
- Invoice forms: styled RequiredMark + aria-required, tabular-nums
on amount inputs.
- **CLAUDE.md**: new "Design System Tokens" subsection documents the
locked spacing scale, primitives table, typography rules, date helpers,
and forbidden patterns so future contributors don't drift.
Tests: 2,906 passing (unchanged). Lint: unchanged from main baseline.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix: address PR review feedback (Greptile + compliance bot)
- **formatDate / formatDateLong timezone fix**: switch from new Date() to
parseISO. Bare yyyy-MM-dd strings are now parsed as local midnight rather
than UTC midnight, eliminating the off-by-one display in west-of-UTC
timezones flagged by Greptile.
- **DashboardContentProps cleanup**: removed unused firstName and settings
fields from the interface, and the corresponding fetch (profiles table)
+ computation in app/(dashboard)/page.tsx. The greeting was dropped in
the dashboard cleanup; these props were dead weight.
- **Voucher sort behavior documented**: extended the comment in the journal
entries API route to explain why voucher sort intentionally uses strict
fiscal_period_id filtering (BFL 5 kap 6–7 §§ — voucher numbers are
series-scoped within a fiscal year). The row-count delta between date
sort and voucher sort is now a documented design choice.
- **delete_last_voucher migration + draft-delete test included**: the UI
already shipped the "Radera utkast" path in the previous commit; this
pulls in the backing RPC migration that allows draft deletes (with the
full safety logic — drafts skip series/period checks since they have
voucher_number=0, posted entries go through the existing unchanged
path). This was originally meant for a separate PR but the UI shipped
half the feature without it.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* chore(migration): rename to match applied version
The function delete_last_voucher is already applied to the production DB
under version 20260509103736 (verified via pg_get_functiondef — exact
byte-for-byte match to file content). The previous file timestamp
20260509120000 would cause a fresh `supabase db push` to attempt re-applying
under a different version row. Renaming the file aligns local tracking
with what the database actually has.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix: address compliance bot findings (payroll label + VAT visibility)
- sick_karens label: drop "(första sjukdagen)" qualifier. Per sjuklönelagen
6 §, karensavdrag is a single calculated amount (20% of one week's
sjuklön) deducted from the first sick day's pay — not bounded to the
first day. The qualifier could mislead users when the first sick day
and return-to-work span a weekend. Swedish-payroll bot recommendation.
- Omvänd skattskyldighet badge: variant outline → warning. The reverse-
charge indicator is compliance-critical (ML 16 kap) — missing it leads
to incorrect input VAT deduction. Outline was too subtle; warning's
ochre fill matches its semantic weight.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
---------
Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
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ed9bdc4c00 |
Bug/transaction import (#435)
* fix(invoices): drop UTKAST banner on numbered invoices and preserve logo aspect ratio Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * revert(invoices): restore UTKAST banner for drafts; keep logo aspect ratio fix Numbered drafts intentionally surface UTKAST until manually marked sent. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * revert(invoices): drop logo objectFit change Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(enable-banking): implement transaction fetch strategy and update related logic --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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75043632de |
Fix/compliance and invoices (#433)
* feat(invoices): implement inline membership checks for invoice-number RPCs and enhance error handling * fix(invoices): enhance unpaid amount calculation to support currency-specific rounding * fix(api-client): handle response.text() error for 403 status in skvRequest |
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1876b3b402 |
fix(agi): update AGI submission logic to reflect SKV's auto-persistence and adjust error handling (#432)
fix(pdf): align company logo and document title in invoice PDF layout |
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0ee5219b6c |
feat(invoices): implement öresavrundning logic and next invoice numbe… (#429)
* feat(invoices): implement öresavrundning logic and next invoice number preview - Added `getDisplayTotal` utility to handle rounding for SEK invoices based on company settings. - Updated `InvoicesPage` to utilize the new rounding logic when displaying totals. - Introduced `peek_next_invoice_number` function to allow previewing the next invoice number without consuming the sequence. - Modified invoice number generation to remove the year prefix and prevent truncation of numbers exceeding three digits. - Enhanced tests for invoice number generation and rounding functionality to ensure correctness. - Updated PDF template to reflect new rounding logic for totals and display appropriate values. - Adjusted company switcher to hide options in sandbox mode. - Improved error handling and logging in sandbox seeding process. * fix(skatteverket): remove unused scope labels from SCOPE_LABELS and DEFAULT_SCOPES |
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993b3f5962 |
Fix/remove disabled fields (#426)
* fix(dashboard): enable salary features with "Beta" badge for testing * fix(errors): enhance Swedish error message patterns for better user feedback fix(salary): update Nordea Personkonto handling in account encoding logic * fix(agi): implement feature flag for AGI transmission and update button states * fix(swedish-payroll): update youth rate eligibility criteria and enhance documentation * fix(agi-panel): remove feature flag for AGI transmission and simplify button states |
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27969c5260 | fix(dashboard): enable salary features with "Beta" badge for testing (#425) | ||
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7e81f661b2 |
Add/skv salary agi (#423)
* feat: add Bankgirot LB-fil support for salary payments and tax payments - Implemented `generateBgLb` for salary batch payments, producing opening, payment, and closing records. - Added tests for `generateBgLb` to ensure correct record generation and validation. - Created `generateBankgiroPaymentBgLb` for single tax payments to Skatteverket, including validation and formatting. - Added tests for `generateBankgiroPaymentBgLb` to verify record structure and data integrity. - Introduced `generateSkattekontoOcr` for generating valid OCR references for Skattekonto payments, with tests for various input formats. - Updated database schema to track payment file formats and timestamps for salary runs and AGI declarations. - Created a new table for logging salary payslip deliveries to ensure compliance with audit requirements. * feat: add write permission check and company ID validation for payment file generation * feat: add write permission check for salary payment file generation |
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11e07b34c3 |
fix(sie-import): reject overlap-but-not-contain fiscal periods (#421)
* fix(sie-import): reject overlap-but-not-contain fiscal periods ensureFiscalPeriod previously fell back silently to any partially-overlapping fiscal_period when no period fully contained the SIE file's #RAR range. That stamped every imported voucher with a fiscal_period_id whose date window didn't cover the voucher's own entry_date — breaking the SIE invariant that #VER dates fall inside #RAR and BFL 5 kap. (verifikationsnummer i obruten serie per räkenskapsår). Reproduced in production: a customer with a broken fiscal year (Mar–Feb) had their previous-year SIE collapse into a calendar 2026 period, mixing 116 prior-year vouchers into the current period's voucher sequence. Now: fully-contained → reuse; partial overlap → reject with a clear Swedish message pointing at the period dates that would need to be fixed; no overlap → create a new period as before. Adds a defense-in-depth pre-check in executeImport that rejects with a Swedish error if any individual #VER date falls outside the resolved fiscal period — catches multi-year SIE files (which gnubok does not yet support) without producing corrupted journal entries. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(sie-import): fail closed on period-fetch error in voucher-date guard Greptile correctly flagged that the voucher-date guard wrapped the period fetch in `if (resolvedPeriod)` without checking the .single() error. A transient network error or RLS failure returned null for data, the guard body skipped, and importVouchers ran with no date validation — the same data-corruption path the guard exists to close. Now: surface the fetch error to the user (Swedish) and abort the import. Also switches the date comparison from millisecond timestamps to YYYY-MM-DD string compare. SIE per spec is date-only and our parser normalizes to midnight, but string compare matches the underlying DATE columns exactly and removes a latent off-by-one risk on the period's last day if a future parser change ever attached a time component to v.date. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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81e9dd224e |
Add/csv import options (#420)
* feat(import): add customer and supplier parsing functionality - Implemented customer file parsing in `lib/import/customers/parser.ts` with support for Excel and CSV formats. - Created types for detected customer columns and parsed customer rows in `lib/import/customers/types.ts`. - Added tests for customer classification logic in `lib/import/shared/__tests__/classify.test.ts`. - Developed classification functions for customers and suppliers in `lib/import/shared/classify.ts`. - Introduced shared column utility functions in `lib/import/shared/column-utils.ts`. - Implemented supplier file parsing in `lib/import/suppliers/parser.ts` with validation for various fields. - Created types for detected supplier columns and parsed supplier rows in `lib/import/suppliers/types.ts`. - Added tests for supplier column detection and parsing in `lib/import/suppliers/__tests__/column-detector.test.ts` and `lib/import/suppliers/__tests__/parser.test.ts`. * fix(labels): update 'Svenskt företag' to 'Svenskt företag eller organisation' for clarity * feat(import): refactor encoding handling for Swedish files and add tests for character preservation * feat(recapt): implement clearRecaptIdentity function and integrate into logout flow * feat(bookkeeping): implement copy functionality and next voucher sequence retrieval * feat(import): enhance customer and supplier import functionality with normalization and event handling |
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15d4f429f3 |
feat: consolidate /expenses into /supplier-invoices, dual-channel support feedback, compliance skills (#417)
* feat(supplier-invoices): consolidate /expenses into /supplier-invoices and add bank matching Collapse the duplicate AP entry points by redirecting /expenses, /expenses/new, and /expenses/[id] into the canonical /supplier-invoices routes, and absorb the expense-entry flow into /supplier-invoices/new. Add a BankTransactionPicker so a supplier invoice can be registered and matched to an existing outgoing bank transaction in one step. Extend the transaction → invoice match dialog to handle supplier invoices alongside customer invoices, including the new /match-supplier-invoice endpoint and Swedish copy variants. Update the sidebar to point Leverantörsfakturor at /supplier-invoices and hide the legacy entry. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(support): send feedback to both Recapt and email channels Previously submitFeedback used Recapt when present and only fell back to email on failure, so feedback captured by the SDK never reached the support inbox. Always POST to /api/support/contact in parallel with the Recapt call and return the list of channels that succeeded; feedback is considered delivered if either channel succeeds. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * chore(skills): add compliance skill references for GDPR, ISO 27001, OSS, OWASP ASVS, SOC 2 Add reference material for five compliance domains alongside the existing .claude/skills/ set so future audits and CI gating work has a documented mapping to controls, violation patterns, tool orchestration, and cross-framework crosswalks. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(supplier-invoices): address review issues in register-and-match flow - BankTransactionPicker: move createClient() inside the effect and drop the supabase client from the deps array. Calling createClient() in the component body produced a fresh reference on every render, which combined with the setIsLoading(true) inside the effect to fire an infinite re-fetch loop while the dialog was open. - /supplier-invoices/new: replace the submitMode useState with a useRef. setSubmitMode() in the button onClick and the read in the form onSubmit run in the same React event batch, so onSubmit always saw the previous render's value and the bank picker never opened on first use. - /supplier-invoices/new: route AB companies through the existing review dialog before booking the register-and-match flow. handlePickTransaction now stores the picked transaction and opens the review dialog for AB; on confirm, handleConfirm posts the create and then matches the stored transaction. EF retains the one-step create+approve+match path. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(transactions): populate potential_supplier_invoice so the match flow is reachable fetchTransactions and loadMoreTransactions previously joined potential_invoice from the invoices table but never looked up potential_supplier_invoice, so TransactionInboxCard's hasSupplierInvoiceMatch check was always false and handleConfirmInvoiceMatch's supplier branch was unreachable. Mirror the existing customer-invoice pipeline: collect potential_supplier_invoice_id values, batch-fetch the matching supplier_invoices (with their supplier), build a map, and spread the result onto each TransactionWithInvoice in parallel with the customer-invoice fetch. Update uncategorizedTransactions sort and transactionsWithMatches filter to also recognize supplier-invoice candidates so they bubble to the top of the inbox and aren't excluded from match-driven views. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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9e1e13d388 |
Fix/bank and onboarding (#413)
* fix(onboarding): validate org number at step 2 instead of final submit Run normalizeOrgNumber (Luhn + 10/12-digit check) inside the Step 2 Zod schema and gate the duplicate-check and TIC lookup effects on it, so users get an inline error on the field they just typed instead of filling out two more steps and being bounced back from the server. Server-side check stays as defense in depth. Also fixes the old regex incorrectly rejecting valid 12-digit org numbers. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(reconciliation): pass real userId to transaction.reconciled events runReconciliation and manualLink fell back to companyId when no userId was provided, causing FK violations on event_log.user_id (which references auth.users). Make userId a required arg in both functions, drop the fallback, and forward a real user id from every caller (user.id from authed routes, connection.user_id from the cron path). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * refactor(enable-banking): use local companyId instead of reinlining ctx fallback Three sites in the enable-banking sync handler reinline `ctx?.companyId ?? user.id` instead of using the local `companyId` declared at the top of the block. Collapse all three to the local for consistency and to remove drift risk if the fallback expression ever changes. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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dbe634d0aa |
Mcp/bulk approval (#412)
* feat(pending-operations): implement bulk commit functionality with UI support * feat(pending-operations): add bulk action labels and warnings for confirmation dialogs * feat(pending-operations): enhance bulk commit functionality with rejection handling and summary updates |
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97db09a3ff |
feat(invoices): allocate-on-save, makulera flow, manual invoice picker (#405)
* feat(invoices): allocate-on-save, makulera flow, manual invoice picker
Three coordinated invoice changes:
1. Allocate F-series number when the draft is created (Fortnox-style),
not at send time. Users can download a numbered draft and send it
manually. If number allocation fails, the invoice + items are rolled
back so no orphaned rows remain. Adds INVOICE_CREATE_NUMBER_ASSIGN_FAILED.
2. DELETE /api/invoices/[id] now soft-cancels (status='cancelled') instead
of hard-deleting. The F-series number is retained, keeping the sequence
gap-free per ML 17 kap 24§ and BFNAR 2013:2 — no voucher_gap_explanations
needed. Sent/paid invoices stay immutable (credit note required). Adds
"Makulerade" tab to the invoice list; cancelled invoices are hidden from
"Alla" by default. PDF draft banner stays visible on numbered drafts and
only clears when the invoice is marked sent.
3. New InvoicePicker component lets users manually match an income
transaction to an open invoice from the booking dialog ("Matcha med
faktura..."), complementing the existing auto-match flow.
Also: new-invoice review dialog reads accounting_method from settings and
shows a cash-vs-accrual warning so users know when the verification posts.
seed-demo-account adds year-end closing + opening balance helpers so
multi-year demo data is balanced.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix(invoices): address review feedback on PR #405
Greptile P1 + Swedish compliance reviewer findings:
- app/api/invoices/route.ts — replace hard-delete rollback on number-
allocation failure with a soft-cancel (status='cancelled'). If
generate_invoice_number bumped the sequence before failing to write
the number back, hard-deleting would leave a permanent gap in the
F-series in violation of ML 17 kap 24§. Re-fetch invoice_number
first so any partially-written value is logged for operator follow-up.
Log loudly if the cancel itself fails so an orphan row doesn't go
unnoticed.
- app/api/invoices/[id]/route.ts — close TOCTOU race on the cancel
update. The .eq('status','draft') guard prevented data corruption
but Supabase returned error: null with 0 affected rows on a
concurrent flip, and the handler reported success. Add .select('id')
and return new INVOICE_CANCEL_RACE (409) when no row updated.
- components/transactions/InvoicePicker.tsx — memoize createClient()
so the supabase reference is stable across renders. Without this,
including supabase in the useEffect dep array fires the open-invoices
fetch on every render.
- app/(dashboard)/transactions/page.tsx + match-invoice/route.ts —
read category from the match-invoice response instead of hardcoding
'income_services' client-side. Server now echoes the category it
actually booked; client falls back to 'income_services' if absent.
- lib/invoices/pdf-template.tsx — add MAKULERAD banner for cancelled
invoices (red, distinct from the yellow draft banner). A cancelled
invoice PDF previously rendered with no warning if it had a number,
or with the draft banner if it didn't — both could be mistaken for a
valid faktura. Cancelled takes precedence over draft so the legacy
un-numbered-cancelled case is also covered.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix(invoices): guard cancelled status on send + rollback symmetry
Two follow-up fixes from the second-round Swedish compliance review on
PR #405:
- app/api/invoices/[id]/send/route.ts — reject sending a cancelled
invoice. The existing flow had no status guard before
.update({ status: 'sent' }), so a cancelled invoice could be silently
re-activated to sent and a "MAKULERAD"-watermarked PDF could be
delivered to the customer as if it were a live faktura. New
INVOICE_SEND_CANCELLED (400) returned at the top of the handler.
- app/api/invoices/route.ts — add .eq('status', 'draft') to the
rollback-cancel update so the rollback is symmetric with the DELETE
handler's only-drafts-may-be-cancelled rule. At the create flow's
current shape the row can't realistically be anything other than
draft, but the symmetry prevents a future caller adding a status flip
between insert and number-allocation from accidentally cancelling a
posted invoice.
mark-sent (rejects non-draft), mark-paid (only sent/overdue), and
convert (explicitly rejects cancelled proformas) already guard
correctly — no changes needed there.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix(invoices): InvoicePicker filters settled invoices; drop dead error code
Two cleanups from the third-round Swedish compliance review on PR #405:
- components/transactions/InvoicePicker.tsx — add .gt('remaining_amount', 0)
defensively. The picker filtered by status IN (sent, overdue,
partially_paid), but a stale 'sent' or 'overdue' row with
remaining_amount=0 (data inconsistency) would otherwise be selectable
here and could be matched a second time, double-booking the income —
a direct BFL 5 kap accuracy violation.
- lib/errors/structured-errors.ts — remove INVOICE_DELETE_NUMBERED.
The numbered-draft refusal was replaced by the soft-cancel path
earlier in this PR; the entry has no remaining callers.
Verified-safe and not changed:
- Cancel-without-storno concern: createInvoiceJournalEntry only fires
inside mark-sent (after the draft→sent guard) or send (after the
cancelled-status reject). Drafts never have posted verifications, so
cancelling a draft cannot leave an orphaned bokföringspost.
- Hardcoded category: 'income_services' in match-invoice is a
pre-existing classification concern that warrants a larger refactor
(derive from invoice's revenue accounts) rather than a one-line patch.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix(invoices): InvoicePicker excludes proforma invoices
Add .eq('document_type', 'invoice') to the open-invoice query. A
proforma is not a faktura per ML 17 kap 24§ — no VAT obligation, no
binding commercial document — and must never be matched against a
bank receipt. Without this guard a sent proforma could be selected
in the picker, triggering a payment booking and VAT-rate journal
entry that violates BFL 5 kap accuracy rules.
Other findings from the third-round Swedish compliance review were
verified-safe and not changed:
- Cancelled-invoice PDF download path: the MAKULERAD watermark added
earlier in this PR is the safeguard. Blocking the download endpoint
outright would prevent legitimate audit access; the visible banner
prevents the doc being mistaken for a valid faktura.
- Cancel-without-storno: createInvoiceJournalEntry only fires inside
mark-sent / send / pending-operations, all behind status guards.
Drafts never carry a posted verifikation, so cancel can't orphan one.
- Allocate-on-save for proforma uses F-series: not true. The
generate_invoice_number RPC (migration 20260427150100) routes
document_type='proforma' to a separate 'PF-' prefix sequence; the
F-series is untouched.
- closeYearForSeed 2099 → 2091 transfer: real demo-data correctness
issue but a seed-script polish item — separate PR.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix(match-invoice): server-side document_type='invoice' guard
The InvoicePicker filter excluding proformas (added in the previous
commit) is client-only. A direct API call to /api/transactions/[id]/
match-invoice with a proforma id would otherwise still book a payment
journal entry against a document that has no VAT obligation per
ML 17 kap 24§. Add a defense-in-depth check after the invoice fetch.
New error code MATCH_INVOICE_NOT_INVOICE_TYPE (400). Test added.
Other findings from the latest compliance review were verified-safe and
not changed:
- Cancelled-invoice PDF download path: /api/invoices/[id]/pdf always
re-renders through InvoicePDF, so the MAKULERAD banner is always
present. The bot's "cached pre-cancellation PDF" scenario does not
apply to this codebase.
- Proforma F-series allocation: the generate_invoice_number RPC routes
document_type='proforma' to a separate 'PF-' prefix; the F-series is
not polluted.
- Soft-cancel rollback gap when number not written: the RPC is a
single-transaction PL/pgSQL function — sequence bump (UPDATE
company_settings) and row write (UPDATE invoices) commit or roll
back together. The "sequence advanced but row null" scenario the
bot describes is impossible by construction; a thrown exception in
the row-write step rolls back the bump.
- closeYearForSeed obeskattade reserver: seed-script demo accuracy,
separate PR.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
---------
Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
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e77423d099 | feat(transactions): add tool to list transactions without documents and update scope map (#403) | ||
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4131db2894 |
chore: MCP intent-tools, BankID enrichment table, multi-tenant fixes (#402)
* chore: MCP intent-tools, BankID enrichment table, multi-tenant fixes MCP server gains six intent-shaped tools that collapse multi-call agent flows into one: vat_close_check, query_journal, auto_match_period, create_supplier_invoice_from_inbox, audit_package, year_end_readiness. Tools wired into TOOL_SCOPE_MAP and OPERATION_RISK_TIERS as appropriate (create_supplier_invoice_from_inbox at medium tier — reversible until approve, but stages a leverantörsskuld). BankID enrichment now persists to a dedicated bankid_enrichment table keyed by user_id. extension_data has been company-scoped (NOT NULL company_id) since the multi-tenant refactor, so every BankID signup has silently been failing the enrichment upsert. Select-company picker reads from the new table. delete_last_voucher (BFNAR 2013:2) needs to clear document_attachments.journal_entry_id before deleting the entry, but the new document immutability trigger blocks that UPDATE. Added the same gnubok.allow_delete transaction-scoped bypass pattern used by the journal-entry/line/retention triggers. pg-real tests cover the happy path, the unauthorized direct UPDATE, and the swap-to-different-entry attempt under the bypass flag. fiscal_periods.no_overlapping_fiscal_periods exclusion was scoped to user_id from before multi-tenant — rebound to company_id so the same user can have overlapping fiscal years across companies they own/are member of. Also adds scripts/seed-demo-account.ts for end-to-end demo seeding (two companies, full FY2025, active FY2026 with mixed state). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(pr-402): address review feedback Migrations - Drop 20260506140000_document_journal_entry_immutability_delete_bypass.sql: redundant with 20260506140000_document_journal_entry_immutability_bypass.sql that landed on main while this branch was open. Both share the same gnubok.allow_delete pattern; main's version is what the DB actually has. - Rename 20260506150000_bankid_enrichment_table.sql → 20260506160000_bankid_enrichment_table.sql to clear the timestamp clash with 20260506150000_protect_document_journal_link.sql on main (Supabase branch preview was failing on schema_migrations PK collision). Tests - Drop the swap-under-flag test from delete-last-voucher.pg.test.ts: main's bypass returns NEW unconditionally when gnubok.allow_delete='true', so the swap is permitted. Drop the duplicate happy-path test (already covered by 'clears journal_entry_id on attached documents and deletes the voucher'). Keep the unauthorized-direct-UPDATE test. - Add bankid-enrichment.pg.test.ts covering the SELECT RLS policy: user reads own row, cannot read another user's row, INSERT denied for authenticated. gnubok_query_journal - amount_min/amount_max is applied post-fetch (PostgREST can't OR abs(debit) and abs(credit) cleanly), but PostgREST's count is computed pre-filter. Reporting that as total_lines mislead agents into paginating a tail that was already filtered out. When the amount filter is applied, anchor total_lines and truncated to the filtered set and surface db_matched_pre_amount_filter + amount_filter_applied_post_fetch separately. - Escape `_` in the free-text LIKE filter so a search for "2_441" doesn't match "2X441". VAT close check - Reverse-charge blocker no longer fires on ruta 30 (seller-side domestic omvänd skattskyldighet) — the seller books no VAT, the buyer does, so missing ruta 48 is expected. Now scoped to ruta 31/32 (EU acquisition) where the buyer must book both calculated output (2615) and matching ingående moms (2645). - High-value receipt threshold no longer reads journal_entries.total_amount (column doesn't exist; check silently never fired). Sums debits across the entry's lines, which equals the gross for ordinary purchase entries — comparing a gross figure against the BFL/ML 4 000 SEK threshold per ML 17 kap 26–28 §. seed-demo-account.ts - Require an explicit email argument; refuse to run with the previously hardcoded fallback that would silently target a real user. Ensure email is non-undefined for downstream typing. - Type the supabase fiscal_periods insert result locally so tsc no longer reports 'fp implicitly any' from the loose untyped client. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(test): adjust fiscal-period-start-day pg test for per-company overlap The pg-real failure on PR #402 was a latent bug surfaced by this branch's fiscal_periods exclusion constraint flip from user_id to company_id (migration 20260506140100). The test was inserting periods that overlapped seedCompany's default 2026-01-01..2026-12-31 period; the previous constraint slipped past it because the test's INSERT didn't set user_id (NULL escapes the WITH = match), so two same-company overlapping periods silently coexisted. Now that the constraint correctly fires per company, pick years that don't overlap with the seeded 2026 period. The trigger's behavior under test (allow mid-month start when no earlier period exists, allow back-dated SIE imports, reject mid-month start when an earlier period exists) is unchanged. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(vat-close-check): correct reverse-charge/import blocker rutor Rutor 30/31/32 are the buyer's calculated utgående moms on reverse- charge purchases (domestic byggtjänster/electronics → 2614 → ruta 30; EU goods → 2624 → ruta 31; EU services → 2634 → ruta 32). The buyer must also book matching ingående moms (2647 inhemskt / 2645 utlandet → ruta 48). The previous fix removed ruta 30 on the basis that it was seller-side; that's incorrect — domestic-RC sellers book no VAT at all (they report only beskattningsunderlag on ruta 41), so 2614 only sees buyer-side entries. Restore ruta 30. Also extend the check to import rutor 60/61/62 (non-EU import VAT declared via momsdeklaration since 2015 — 2615/2625/2635). Same mechanic: importer books output VAT on these rutor and deducts the input side via ruta 48. SaaS-from-AWS / OpenAI / Vercel companies hit this path; without including 60/61/62 the blocker would silently miss their misbookings. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(mcp): expose ruta 60/61/62 (import VAT) on the local VatReportResult The vat-close-check fix referenced vatReport.rutor.ruta60/61/62 but the MCP server's local VatReportResult type only carries ruta 05-49. Build broke on tsc. Extend the MCP server's slim VAT report to also project import VAT — 2615 → ruta 60 (25%), 2625 → ruta 61 (12%), 2635 → ruta 62 (6%) — and fold those into ruta 49 (att betala/återfå). Mirrors the BAS-to-Ruta mapping in lib/reports/vat-declaration.ts. Output schema and required list updated accordingly. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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ce3af4d17e |
Fix/multiple domain issue (#401)
* feat: enhance invoice management and immutability checks - Update InvoiceDetailPage to prevent deletion of drafts with assigned invoice numbers, providing user feedback. - Modify the invoice conversion API to ensure invoice number allocation occurs only after successful item insertion and proforma cancellation. - Implement structured error responses for invoice deletion, ensuring only drafts without assigned numbers can be deleted. - Add comprehensive tests for invoice deletion and conversion scenarios, including edge cases for draft invoices. - Introduce immutability checks in the document management system to prevent unauthorized changes to linked documents. - Create SQL migration to enforce document metadata immutability, ensuring compliance with accounting regulations. * fix(invoice): prevent invoice number consumption on PDF render failure * feat: add document journal entry immutability enforcement for delete_last_voucher RPC * fix(invoice): implement rollback for orphan invoices on proforma cancel failure * fix(document): extend immutability trigger to protect journal entry links |
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b9a2ce522b |
chore: post-bankid redirect, recapt feedback, TIC SPAR enrichment (#400)
* chore: post-bankid redirect, recapt feedback, TIC SPAR enrichment - BankID login + register now redirect to /select-company so the picker shows freshly enriched CompanyRoles from the current session. - New lib/support/submit-feedback util prefers window.recapt feedback widget when present, falls back to /api/support/contact. SupportLink uses it and hides itself in sandbox companies via new isSandbox flag on CompanyContext (+ useCompanyOptional hook). - TIC enrichment re-requests SPAR alongside CompanyRoles now that both types are enabled on the tenant; enrichment shape logged PII-free (booleans/counts only). Tests cover the SPAR+CompanyRoles path. - Skatteverket api-client: 15s AbortSignal timeout on outbound requests. - Swedish compliance review CI: bump REVIEW_MODEL to claude-opus-4-7. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * chore: keep compliance review model on sonnet-4-6 Reverts the opus-4-7 bump from the previous commit per request. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(tic): don't persist SPAR PII to extension_data The previous commit started requesting SPAR alongside CompanyRoles and wrote the full enrichment payload (incl. personnummer, full name, home address, birth date, gender) verbatim to extension_data.value — a plain JSON column. Personnummer is already hashed + encrypted in bankid_identities, so the extension_data row was an unencrypted PII duplicate exposed to anyone with read access to the table. No consumer (middleware, /select-company, createCompanyFromTicRole) reads any SPAR field today; they only read companyRoles. Persist a sanitized blob of { companyRoles, enrichedAtUtc } instead. SPAR is still requested from TIC (and its shape logged PII-free) so enrichment completes; if address pre-fill ships later, those fields should be encrypted before storage. Also drop the dead `null` branch from SubmitFeedbackResult.channel — every code path returns 'recapt' or 'email'. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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5725c25bf1 |
Logs/improved logging (#398)
* feat(mcp): add create_transactions tool with /pending approval gate New MCP tool gnubok_create_transactions stages 1–10 transactions per call as pending_operations of type create_transaction (risk: medium). Each item becomes its own card on /pending; on confirm, the executor inserts the row into transactions with import_source='mcp' so MCP-staged ingestion is distinguishable from PSD2 sync. Designed for skill workflows that pull external data (e.g., Airtable) and want the user to gate the writes. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(bas): strip concatenated group headers from corrupted account names A chart-data import bug had glued the next group's header onto the last account in each preceding group across all eight bas-data class files (e.g. account 2670 read "Utgående moms på försäljning inom EU, OSS 27 PERSONALENS SKATTER, AVGIFTER OCH LÖNEAVDRAG"). The corrupted names surface in transaction dropdowns, ledgers, SIE exports and årsredovisning, and risk VAT miscategorization on the OSS (2670) and blandad-verksamhet (6999) accounts specifically. - Cleans 69 account_name and 64 description fields across class-1..8 files - Adds a regression test asserting no name contains a concatenated header - Ships an idempotent safety-net migration that updates already-seeded chart_of_accounts rows, gated on the corrupted string so user customizations are preserved Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(errors): add structured error codes and handling for various operations - Introduced a new structured error registry in `structured-errors.ts` to standardize error handling across the application. - Added Swedish and English messages for various error scenarios, including validation, authorization, and bookkeeping errors. - Implemented a client-side error toast in `use-error-toast.ts` to display user-friendly error messages with remediation hints. - Created a wrapper for recording operation outcomes in `record-operation.ts`, enhancing audit capabilities for operations. - Developed a provider call wrapper in `with-provider-call.ts` to handle external HTTP calls with structured logging and error mapping. - Added a new SQL migration to extend the processing history with new event types and aggregate types for better operational telemetry. * Refactor supplier API routes to use context-based logging and error handling - Replaced direct Supabase client usage in GET and POST routes with context-based approach using `withRouteContext`. - Enhanced error handling to provide structured error responses for supplier creation and listing. - Updated logging to include request IDs for better traceability. - Introduced new error codes for supplier-related operations. - Refactored tax deadlines cron job to utilize context and improved error handling. - Updated ESLint configuration to enforce logging practices across API and lib directories. - Enhanced arcim migration extension with structured error handling and logging. - Added classification for provider errors to improve user-facing error messages. - Introduced request ID in extension context for better log correlation. * fix(route-context): update DynamicParams type for improved type safety in route handlers * feat(transactions): add 'create_transaction' operation to PendingOperationType * fix(route): ensure companyId is non-nullable in loadAndDeriveAbsence function * fix(route-context): ensure companyId is always non-null by short-circuiting with COMPANY_CONTEXT_MISSING --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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94f15b9c6c |
feat(invoice-inbox): pin documents to bank transactions + MCP tools (#397)
* feat(invoice-inbox): pin documents to bank transactions + MCP tools Adds a first-class flow for attaching unmatched inbox documents to bank transactions, separate from the existing supplier-invoice convert path: - new transactions.document_id FK → document_attachments (ON DELETE SET NULL) - POST/DELETE /api/transactions/[id]/attach-document - categorize route propagates the link to journal_entry_id on commit - three new MCP tools: gnubok_list_unmatched_documents, gnubok_get_document_content (5-min signed URL), gnubok_attach_document_to_transaction (staged via pending_operations) - InvoiceInboxWorkspace gains a "Koppla till transaktion" picker dialog ranked by amount-match, plus a "Bilaga" badge in SwipeCategorizationView - regex extraction unchanged; supplier-invoice convert flow unchanged Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(invoice-inbox): address PR #397 review findings - categorize: destructure { error } from the document-link update so Supabase-level failures are logged instead of silently dropped (BFL 5 kap 6 § receipt-on-verifikation contract). - list_unmatched_documents: emit next_cursor whenever the inbox query may have more rows, not only when the post-filter slice was full; switch to composite (created_at, id) cursor to avoid same-second collisions. - DELETE /attach-document: return 404 when the tx isn't in the company; return 409 when the linked document already has journal_entry_id set (räkenskapsinformation immutability). - risk tier: attach_document_to_transaction medium (was low) — link becomes part of verifikation underlag once categorize propagates it. - pg-real test: stop reusing $2 across uuid + text-concat contexts (Postgres couldn't deduce the parameter type). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(migrations): break duplicate version 20260505120000 (Supabase Preview) Two migrations on main share filename version 20260505120000: - 20260505120000_api_keys_refresh_token.sql (PR #392) - 20260505120000_drop_agent_auto_commit.sql (PR #394) The schema_migrations primary key is (version), so any fresh DB doing `supabase db push` over both files conflicts on the second insert. This is why every PR with a migration since #394 has had Supabase Preview either fail or skip. Renaming _drop_agent_auto_commit to 20260505190027 — that matches the timestamp recorded in prod schema_migrations from when apply_migration was called for it, so future `db push` against prod sees the file as already- applied (no re-run). The migration body is fully idempotent (IF EXISTS on every drop) so a re-run would be a no-op anyway. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(invoice-inbox): address PR #397 round-2 compliance review Two BFL gaps the compliance bot flagged on the round-1 fix commit: 1. commitAttachDocumentToTransaction silently broke verifikation→underlag if the transaction was categorized between staging and approval. Now reads transactions.journal_entry_id at commit time and, if non-null, also writes document_attachments.journal_entry_id in the same commit so BFL 5 kap 6 § is satisfied regardless of order. 2. Application-layer DELETE check was racy (SELECT then UPDATE) and the FK ON DELETE SET NULL path could null transactions.document_id even for a document that is räkenskapsinformation. Added a BEFORE UPDATE OF document_id trigger on transactions that raises check_violation when the previously-attached document has document_attachments.journal_entry_id set. The app-layer guard stays for friendly Swedish messaging; the trigger is the DB-level safety net. pg-real test extended to cover both directions of the trigger (block detach + block swap) and the happy-path detach when there's no JE link yet. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(invoice-inbox): address PR #397 round-3 compliance review Four findings from the round-2 update of the compliance bot. The first three are genuine compliance gaps; the fourth (preview metadata distinguishing pre- vs post-categorization overwrites) is a UX nicety left for follow-up. 1. transactions.document_id FK switched from ON DELETE SET NULL to RESTRICT (migration 20260506100000). Removes the "trigger ordering" concern: a doc that's pinned to any tx now cannot be deleted at all without explicit detach first. Belt-and-braces with block_document_deletion. 2. commitAttachDocumentToTransaction now does: - pre-check that mirrors the DELETE route's 409 when the existing pinned doc is räkenskapsinformation, so the same Swedish message is returned in both paths; - UPDATE…RETURNING journal_entry_id so the propagation decision uses the post-update state, closing the read-then-write race with concurrent categorize. Either ordering of attach-then-categorize or categorize-then-attach now lands at the same correct final state. 3. Both DELETE /attach-document and the MCP commit path catch the trigger's check_violation (SQLSTATE 23514) and translate to 409 with the Swedish underlag message. The trigger remains the DB-level safety net; the app layer is responsible only for friendly UX. pg-real test rewritten for ON DELETE RESTRICT (blocks deletion of pinned doc; detach-then-delete works). Unit coverage added for commitAttach: 404, two distinct 409 paths (pre-check + trigger-translation), happy-path uncategorized, and propagation when tx was categorized between staging and commit. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(invoice-inbox): address PR #397 round-4 compliance review Three of five round-3 findings actioned: 1. commitAttachDocumentToTransaction: surface propagation failure rather than logging-and-continuing. If document_attachments.journal_entry_id can't be set after the transaction has been categorized, the op fails (status 500) with a Swedish message instructing retry. Retry is idempotent — same document_id on the tx, same propagate target. 2. Replace check_violation (23514) matching with a stable "BFL_DOCUMENT_IMMUTABILITY:" message prefix. The trigger now uses default P0001 + tagged message; both the route handler and the executor match on the prefix instead of the generic SQLSTATE. Future unrelated CHECK constraints on transactions can no longer accidentally surface as the räkenskapsinformation message. 3. gnubok_list_unmatched_documents now returns invoice currency alongside amount so an agent can FX-normalise before comparing to transactions.amount. Description updated to make the requirement explicit. Mirrored in the UI: AttachToTransactionDialog ranks same-currency rows by amount distance and pushes cross-currency rows to the bottom of the list. Skipped: - Two-migration window for FK action change is acknowledged as resolved by the bot; deploy-atomicity is an ops concern, not code. - Period-lock check in attach/detach: realistic compliance concern is already covered by the existing immutability trigger (post-categorize) and by the engine's period-lock enforcement (categorize itself). A dedicated period check on pre-categorize attach would only guard against pinning a doc to a tx in a closed period — defensible defense-in-depth, but no active BFL violation. Left for a follow-up. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(invoice-inbox): address PR #397 round-5 compliance review Three of four findings actioned. The fourth (block_document_deletion verification) is already covered by 20240101000017_enforcement_triggers.sql which raises when document_attachments.journal_entry_id IS NOT NULL on a posted/reversed entry — confirmed via grep, no code change needed. 1. categorize/route.ts: propagation no longer fires-and-forgets. If document_attachments.journal_entry_id can't be set after the JE has been committed, the response now carries a document_link_warning field with a Swedish retry message. The JE is already committed so we can't roll back, but the client can no longer mistake a partial attach for a clean categorize. 2. Rättelse audit trail (BFL 5 kap 5 §): both the REST POST handler and the MCP commit executor now append a TransactionDocumentReplaced event to processing_history whenever a non-null document_id is overwritten, with previous_document_id and new_document_id in the payload. Best-effort — logging failure must not roll back the (compliant) attach. The previous doc id is also returned in the response so callers see what was displaced. 3. MCP staging preview now exposes the existing doc's identity (existing_document_id, existing_document_file_name) plus an explicit existing_document_is_rakenskapsinformation flag, so a human approver sees "replaces X.pdf with Y.pdf" rather than just a will_overwrite_existing boolean. Mirrors BFL 5 kap 5 § informed-rättelse intent. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(invoice-inbox): close trigger SELECT race (PR #397 round-6) The enforce_transactions_document_immutability trigger SELECTed document_attachments.journal_entry_id without a row lock. A concurrent UPDATE setting journal_entry_id on that row could commit between the trigger's SELECT and its RAISE, letting a detach slip through against a document that just became räkenskapsinformation. Add FOR SHARE to the SELECT inside the trigger. A concurrent journal_entry_id write blocks on our share lock until our transaction commits, so either we observe the propagation and raise, or we run first and the propagation observes our committed detach (which is fine because journal_entry_id was still null at that point). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(invoice-inbox): bidirectional immutability + richer staging preview (PR #397 round-7) Two of six round-6 findings actioned. The other four are recurring architectural recommendations (atomic audit-log writes, background reconciliation jobs, migration consolidation, anti-join via materialized view) that are properly scoped as follow-up work. 1. document_attachments side of the immutability link (BFL 5 kap 6 § works in both directions). New trigger enforce_document_journal_entry_immutability blocks UPDATE OF journal_entry_id when going from non-null to NULL or to a different uuid. The original null→uuid path (initial propagation in the categorize / commitAttach flows) still works. Migration 20260506130000. 2. gnubok_attach_document_to_transaction staging preview now joins on invoice_inbox_items.extracted_data and surfaces vendor/amount/currency/ invoice_date alongside the existing doc filename/mime metadata. Gives the human approver the same hints the agent saw before choosing the attachment. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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2c03dac981 |
fix(reports): convert FX to SEK in supplier/AR ledger reconciliation (#396)
* fix(reports): convert FX to SEK in supplier/AR ledger reconciliation The supplier and AR ledger reports were summing remaining_amount directly without converting foreign-currency invoices, so a EUR/USD invoice would land in the aging total at face value while the corresponding 2440 / 1510 GL line was already posted in SEK. This produced false reconciliation discrepancies (e.g. 496,25 kr ledger vs 952,50 kr GL with four EUR/USD invoices). Apply resolveSekAmount(remaining, null, currency, exchange_rate) in supplier-ledger, supplier-reconciliation, ar-ledger, and ar-reconciliation. Per-invoice detail rows on the AR ledger keep the original currency for display; only aging buckets and totals become SEK. Adds mixed-currency test cases to all four files. Also bundles unrelated WIP from the working tree: - bank-reconciliation: log the swallowed catch error and drop the fallback path for the deleted get_unlinked_bank_lines RPC, using get_unlinked_1930_lines directly. - new GET /api/transactions list endpoint with unmatched/reconciled/ currency/date filters and full route tests. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(reports): address PR #396 review findings Compliance and Greptile review identified four issues; all four are addressed here. - Reconciliation: surface unconverted_fx_count on ReconciliationResult and ARReconciliationResult. When > 0 the difference field may be a data gap (FX invoice with no exchange_rate) rather than a true reconciliation break. UI now renders a Swedish caveat below the Avstämd / Ej avstämd badge so users understand the cause. New tests assert the count is set on legacy FX rows. - Reconciliation: document the invoice-date-rate assumption explicitly in the JSDoc of both reconciliation generators. Per ML 8 kap 21–23 §, the report uses each invoice's stored exchange_rate; partial payments settled at a different rate produce a delta correctly booked to 3960/7960 as valutakursvinst/-förlust, but the GL will diverge from the report by that amount until a subledger-derived total is wired up (deferred follow-up). - fetchUnlinkedGLLines: drop the misleading bankAccount parameter. It was advertised as configurable but the function silently returned [] for any value other than '1930'. Now the signature is honest: 1930-only until proper multi-account support is built. - /api/transactions: query MAX_ROWS+1 rows so the response can include has_more and limit fields. Callers can now detect truncation, which matters once a company crosses 500 unmatched transactions in the selected range. New test asserts has_more=true when 501 rows are returned by the DB and the response is sliced to MAX_ROWS. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(reports): address PR #396 round-2 compliance review Compliance bot v2 review surfaced four findings on the previous commit; three are addressed here. The fourth (an fx_rate_diff_amount indicator distinguishing real reconciliation breaks from correctly-booked valutakursvinst/-förlust) requires a subledger-derived total against 3960/7960 — already documented as a deferred follow-up in the JSDoc. Changes: - Exclude unconvertible FX rows from SEK sums. resolveSekAmount's null-rate fallback returned the raw foreign amount, so a 100 EUR invoice with no rate was being added to a SEK total as if it were 100 SEK. All four generators (supplier-ledger, supplier-reconciliation, ar-ledger, ar-reconciliation) now skip rows where currency != SEK and exchange_rate is missing/zero, and count them in unconverted_fx_count. - Surface unconverted_fx_count on SupplierLedgerReport / ARLedgerReport (not just the reconciliation result). UI shows a Swedish caption beneath the "Totalt utestående" card whenever the count is positive, so users see the warning even if they don't enable the reconciliation panel. - Add outstanding_sek: number | null to ARInvoiceDetail. The per-invoice detail row keeps `outstanding` in invoice currency for display, but now also exposes the converted SEK value (or null when unconvertible). Defensive against future callers that sum across customers — they should use outstanding_sek to avoid mixing currencies (a real momsdeklaration foot-gun otherwise). - Add a 1930-only notice to BankReconciliationView. The reconciliation is scoped to account 1930; users with Plusgiro 1920, kreditkort 1940, or valutakonton now see a Swedish caption explaining those are reconciled separately. Tests: - supplier-ledger: previous "falls back to original amount" case flipped to assert the row is excluded and counted; assertion that the legacy supplier disappears from the list when their only row is unconvertible. - supplier-reconciliation: previous "1 100 ledger vs 1 000 GL" case flipped to assert ledger=1 000 and is_reconciled=true with unconverted_fx_count=1. - ar-reconciliation: same pattern. - ar-ledger: existing FX-mix test extended to assert outstanding_sek on each detail row; new test covering the null-rate exclusion path asserts the detail row is still pushed (with outstanding_sek=null) but excluded from buckets and the grand total. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(reports): address PR #396 round-3 compliance review Compliance bot v3 surfaced four findings on the previous commit; two are addressed here, two are deliberately skipped (rationale in JSDoc / this message). Addressed: - is_reconciled now returns false whenever unconverted_fx_count > 0, even if the numeric difference is zero. Per BFL 5 kap, the reconciliation must cover all affärshändelser; if a row was excluded for a missing exchange rate, the calculation is incomplete by construction and the period cannot honestly be stamped Avstämd. The fix is for the user to fill in the missing rate, not for the system to claim balance on partial data. - AR reconciliation now sums account 1510 + 1513 in the GL balance comparison. Forward-looking defense for ROT/RUT fakturamodellen invoices that split AR receivables across the customer portion (1510) and the Skatteverket claim (1513). Today no production code posts to 1513 so the value is unchanged in practice; once fakturamodellen invoicing is added, the reconciliation will continue to balance without requiring another fix. UI label updated to "Kundfordringar (1510 + 1513) saldo" so the inclusion is visible. Field name and shape are unchanged for back-compat with the supplier-side parallel. Skipped: - "Block is_reconciled=true when any FX invoice exists in an open period" — overly aggressive; would block reconciliation for any FX-using company even when their books are correctly matched. The proper solution is the deferred subledger-derived total against 3960/7960 (already documented in JSDoc on both reconciliation generators), which can compute the *expected* FX rate difference and either subtract it from `difference` or expose it as `fx_rate_difference`. Not in scope for this PR. - Plusgiro 1920 wording in BankReconciliationView — bot itself marked this "not a hard finding". The 1920 reference is accurate per BAS 2026. Tests: - supplier-reconciliation: existing v3 exclusion test updated — asserts is_reconciled=false despite numbers matching, with comment explaining BFL rationale. - ar-reconciliation: same update + new test covering the 1510 + 1513 sum (1 200 on 1510, 300 on 1513, ledger total 1 500 → reconciled). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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e31e7567f4 | feat(ar-ledger): enhance outstanding invoice calculations and add tests for credited invoices (#395) | ||
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b05f0e59b9 |
fix(mcp): correct fiscal_periods column ref + remove agent auto-commit (#394)
* fix(mcp): correct fiscal_periods column ref + remove agent auto-commit The MCP `gnubok_list_fiscal_periods` tool selected a non-existent `fiscal_periods.status` column, causing `column fiscal_periods.status does not exist` errors when agents called it. Fixed by selecting the real columns (`is_closed`, `locked_at`, `closed_at`, `opening_balances_set`) and deriving `status` in code. Also removes the agent auto-commit feature (settings card, gating logic, DB columns, tests). In its current shape only `create_customer` was auto-commitable, so the toggle changed nothing meaningful in practice while implying a level of agent autonomy that wasn't actually granted. The risk-tier infrastructure on `pending_operations` (actor model, risk_level) is kept since it's still used by the /pending UI filters. Migration `20260505120000_drop_agent_auto_commit.sql` drops: - pending_operations.auto_commit_eligible - pending_operations.auto_committed_at - company_settings.agent_auto_commit_enabled - company_settings.agent_auto_commit_max_amount Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(mcp): explicitly pick fields in gnubok_list_fiscal_periods response Greptile flagged that `...p` spreads raw DB columns (`is_closed`, `locked_at`, `closed_at`) into the tool response alongside the derived `status`. Drop the spread for an explicit field list so the tool contract is the derived status only — agents don't need to reason about raw columns, and future SELECT additions won't silently leak. Also drops `closed_at` from the SELECT since it wasn't read. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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5c52f24a49 |
feat(mcp): agent-native improvements — progressive discovery, widgets, skills, telemetry (#393)
* feat(mcp): agent-native improvements — progressive discovery, widgets, skills, telemetry
Four coordinated streams of MCP server improvements that move gnubok toward
agent-first design, grounded in Anthropic's Nov 2025 "Code execution with MCP"
article and the May 2026 MCP conference talk.
Context budget — minimize tools/list payload
- New gnubok_search_tools: progressive discovery with name|summary|full detail
levels and scope filtering. Agents pull only the schemas they need.
- Trimmed all 50 tool descriptions from multi-paragraph blocks (avg ~500-1000
chars) to one-sentence summaries (avg ~120 chars). Args/Returns/Examples
blocks dropped — they duplicated inputSchema.
- outputSchema declared on every tool; structuredContent emitted on every
successful tools/call (was previously only widget-tagged tools).
- protocolVersion bumped to 2025-06-18 (negotiates back to 2024-11-05).
- Workflow examples consolidated into initialize.instructions.
- Net effect: tools/list payload ~43 KB / ~10.8K tokens for 51+ tools, with
headroom guard at 20K tokens.
MCP applications — server-shipped UI widgets
- New widgets/ directory with typed UiWidget contract; receipt-matcher moved
out of widget-html.ts (which was deleted) into widgets/receipt-matcher.ts.
- New gnubok_vat_review_widget tool + interactive momsdeklaration widget
(all 8 rutor with summary card, theme-aware light/dark, copy buttons).
- resources/list and resources/read iterate uiWidgets dynamically — adding
the next widget is a single file drop.
Skills over MCP — domain-knowledge primitive
- 5 user-facing SKILL.md-style workflow guides authored from existing
.claude/skills/swedish-* development skills:
• month-end-close — book → reconcile → VAT (monthly filers) → lock
• quarterly-vat-review — ruta-by-ruta map, deadlines, common errors
• year-end-close — bokslut, bokslutstransaktioner, lock → year-end
→ opening balances → close (irreversible)
• invoicing-rules — ML 17 kap. 24 §, customer types, ROT/RUT, Peppol
• payroll-monthly — salary run → calculate → review → AGI XML
- gnubok_list_skills (with optional tag filter) + gnubok_load_skill(slug).
Both unscoped — available to any authenticated key.
- Each skill also exposed as MCP resource at gnubok://skill/<slug>
(text/markdown) for forward compatibility with a future native
skills/list primitive.
Tool-call telemetry — measure before optimizing further
- Three new CoreEvent types (mcp.tool_called, mcp.tools_list_called,
mcp.resource_read), all persisted to event_log (30-day TTL, RLS-scoped).
- Fire-and-forget emission from the dispatcher — never blocks JSON-RPC
response, double-guarded against handler failures.
- tools/call instrumented at all four exit points (success, execution
error, scope denied, unknown tool). Latency measured tightly around
tool.execute() — excludes dispatcher overhead.
- tools/list logs returned tool count (informs progressive-discovery
adoption); resources/read logs URI + kind discriminator (widget /
skill / data / unknown).
- No PII or secret material in payloads — only metadata.
Out of scope (explicitly deferred):
- Code-mode SDK (no production code-mode hosts to consume it yet).
- Elicitations (require streamable HTTP transport — bigger architectural lift).
- DB lockdown / RPC funnel (foundational; should follow once telemetry tells
us where writes actually flow).
- CRUD → intent endpoints (frontend coupling — multi-PR effort).
Tests: +37 new unit tests across search-tools, output-schema, payload-size,
vat-review-widget, skills, telemetry. Existing receipt-matcher test updated
for the new structuredContent contract. 2,615 unit tests passing.
Production build green. No new lint warnings or errors in changed files.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix(mcp): address PR #393 review findings
Greptile (P1 + P2) and the Swedish accounting compliance bot flagged 9 issues
across security, data correctness, and skill content. All addressed:
Security (P1)
- gnubok_search_tools: scope filter now fails closed when __keyScopes is
absent. The earlier permissive default leaked the full tool inventory if
the dispatcher's hard-coded name check ever silently broke. Marker presence
is part of the contract — explicitly empty array also hides scoped tools.
Two new test cases pin the fail-closed behaviour.
Compliance — VAT (data correctness)
- get_vat_report now aggregates 2614/2624/2634 (reverse-charge output VAT)
and exposes them as ruta30/ruta31/ruta32 per SKV 4700. ruta48 also picks
up 2647 (missing before). ruta49 formula corrected to
(10+11+12+30+31+32) − 48. The widget renders the new rutor between the
Utgående and Ingående sections.
- Widget ruta 05 sub-label updated from "3001+3002+3003" to "all momspliktig
försäljning oavsett skattesats" — ruta 05 covers all domestic taxable
supplies, not just direct-rate sales.
- Refactored: extracted computeVatReport() helper used by both
gnubok_get_vat_report and gnubok_vat_review_widget. Removes the
rename-fragile tools.find() lookup at runtime.
Compliance — payroll
- payroll-monthly skill: replaced "born 1958 or earlier = 10.21%" (the 2024
formulation) with the statutory rule "age 66+ on 1 January of the income
year (67+ from income year 2026)". Removed the unsourced "age 16–18:
11.78%" row in favour of a current växa-stöd description with explicit
Prop. 2025/26:34 reference and a "verify against current Skatteverket
tables" caveat.
Compliance — skills text
- invoicing-rules: added explicit footnote on the 1 April 2026 livsmedel
rate change. Restaurang/servering stays at 12 %; livsmedel sold in other
forms drops to 6 %. Per Prop. 2025/26:55.
- year-end-close: clarified periodiseringsfond cap as "25 % of överskott
before this year's avsättning" (IL 30 kap.), removing the ambiguous
"skattemässigt resultat" phrasing that could be misread as a circular
after-fond computation.
Schema correctness
- STAGED_OPERATION_SCHEMA.required gains "staged" — every path through
stagePendingOperation returns the field, so the schema now matches the
contract that MCP clients validate against.
Tests: 2,617 passing (+2 for the search-tools fail-closed cases).
Production build green.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix(mcp): address PR #393 round-2 compliance review
Round 2 of the swedish-compliance bot ran after the previous fix-push and
flagged four substantive items + a recommendation. All addressed:
VAT computation (data correctness)
- ruta05 expanded beyond 3001/3002/3003 to cover the common BAS taxable-
revenue accounts (3001-3008, 3041-3048, 3051-3058, 3071-3078). Companies
that book to 30xx alternates were previously under-reporting taxable
turnover; now all standard BAS taxable-revenue numbering contributes.
- One-sided reverse-charge warning: when output VAT is booked on
2614/2624/2634 (rutor 30/31/32 > 0) but the matching calculated input
VAT (2645) is zero, computeVatReport now returns a Swedish-language
warning string. ruta49 is inflated in this case — the warning surfaces
the most common reverse-charge error per the swedish-vat skill. The
widget renders warnings in a terracotta panel above the summary card.
- computeVatReport exported and a focused unit test added — exercises 2647
inclusion in ruta48, reverse-charge balanced/unbalanced cases, and the
expanded ruta05 mapping. Fills the gap that prior tools/call integration
tests couldn't reach.
Skill content
- payroll-monthly Step 6: BAS journal-entry example no longer hard-codes
31.42 % on the 7510/2730 lines. The avgift line is now described as
"avgift_base × applicable_rate per employee" with explicit aggregation
semantics for runs that mix full-rate and reduced-rate employees.
Aligns with the Step-4 reduced-rate caveats already in place.
- invoicing-rules ROT/RUT block: replaced the bare "30 % / max 50 000 SEK"
text with the full year-by-year picture — RUT 50 % / 75 000 max, ROT
baseline 30 % / 50 000 max, 2024 H2 doubled ceiling, 2025 May–Dec
enhanced 50 % rate. Defaults to "verify against current Skatteverket
table" rather than a single hard-coded rate.
False positives in the round-2 review (no fix needed; documented for the
record):
- "Old vat_report path still computes ruta48 without 2647" — the old path
was replaced by computeVatReport in the previous push; the bot was
reading the diff hunk and conflating it with current behaviour.
- "Widget prose says ruta49 = (10+11+12) - 48" — no such prose exists in
widgets/vat-review.ts. The skill body has the correct
(10+11+12+30+31+32)-48 formula.
- "Including 'reversed' status entries in VAT aggregation may over-count
cross-period storno" — current behaviour is correct per Skatteverket
period-aligned filing: the reversed original stays in its own period,
the matching storno (status 'posted') lands in the reversal period,
and they net to zero across the full year. Adding code comment to
document.
Tests: 2,623 passing (+6 for computeVatReport unit tests). Production
build green.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix(mcp): address PR #393 round-3 compliance review
Compliance bot re-ran after the round-2 push and flagged three items:
VAT computation
- One-sided reverse-charge warning previously only checked 2645 (EU
acquisitions). For domestic reverse charge per ML 16:13 (byggtjänster,
electronics > 100k SEK, etc.) the matching input lands on 2647 — a
correctly-balanced 2614+2647 booking would have falsely fired the
warning. Fixed: warning now triggers only when *both* 2645 and 2647
are zero. Updated message text mentions both accounts. Added a test
case asserting the no-warning path for 2647-only-input.
Skill documentation drift
- quarterly-vat-review skill body still showed ruta05 source as
"3001 + 3002 + 3003" while the runtime computeVatReport sums 32 BAS
taxable-revenue accounts. Updated the skill table to read
"3001–3008, 3041–3048, 3051–3058, 3071–3078" so the auditor-facing
docs match the implementation.
outputSchema upgrade
- gnubok_get_vat_report and gnubok_vat_review_widget previously declared
outputSchema as the bare { type: 'object' }. Replaced with a shared
VAT_REPORT_OUTPUT_SCHEMA constant declaring period, period_label, all
11 rutor (with descriptions referencing source accounts), summary,
and warnings. Modern MCP clients that validate structuredContent
against outputSchema now have an accurate contract. Added a test
asserting the schema is non-trivial and declares every ruta the
runtime returns.
Tests: 2,625 passing (+2 for the 2647 warning path and the
outputSchema shape assertion). Production build green.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix(mcp): address PR #393 round-4 compliance review
The compliance bot re-ran after the round-3 push with a fresh batch.
Real findings fixed; false positives documented.
VAT computation
- Removed 3004 (Försäljning inom Sverige, momsfri / VAT-exempt) from
RUTA_05_ACCOUNTS — round-2's expansion accidentally included it. Ruta 05
is the *taxable* base; exempt sales must NOT contribute. New test pins
the exclusion.
- Added 3106 (taxable EU goods supply, momspliktig) to RUTA_05_ACCOUNTS.
Used when EU buyer's VAT number is invalid or buyer is private.
- Added ruta35 — EU intra-community goods supplies, momsfri (account
3108). Previously omitted entirely from the rutor schema; SKV 4700
has it as a distinct box separate from ruta 39 (services) and ruta 40
(export outside EU). VatReportResult, VAT_REPORT_OUTPUT_SCHEMA, the
widget table, the copy-summary block, and the quarterly-vat-review
skill table all updated. New test covers 3108 → ruta35 mapping.
- Strengthened the comment on the posted+reversed status filter to
document why current behavior is correct per ML 2023:200 and
faktureringsmetoden (the bot's cross-period storno concern is a false
positive — see commit message rationale below).
Skill content
- invoicing-rules: added explicit BFL 5 kap. 6–7 § / ML 17 kap. 22–23 §
note that the kreditfaktura itself consumes a sequential number from
the same (or dedicated KR-) fakturaserie. The KR- prefix is a display
convention; the underlying löpnummer must be unbroken just like the
regular series.
- payroll-monthly: added the missing "born 1937 or earlier → 0 %"
cohort to the rate breakdown. Previously could lead a payroll run to
over-pay avgifter on the oldest cohort.
False positives in the round-4 review (verified, not changed)
- 2644/2648 as reverse-charge inputs: verified against gnubok's actual
BAS chart (lib/bookkeeping/bas-data/class-2-equity-liabilities.ts).
2644 does not exist; 2648 is "Vilande ingående moms" (dormant input
VAT for cash method), not RC at 6 %. Canonical RC inputs are 2645 (EU)
and 2647 (domestic) — both already covered.
- Cross-period storno over-count: per ML 2023:200 + Skatteverket
faktureringsmetoden, the original sale's VAT belongs to the invoice-
date period; the kreditfaktura's reduction belongs to the storno-date
period. Including 'reversed' status entries (which still have their
original date) is therefore correct. *Excluding* them would
under-report the original period and over-credit the reversal period.
Added a multi-line comment in computeVatReport documenting this.
Tests: 2,627 passing (+2 for ruta35 mapping and 3004 exclusion).
Production build green.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
---------
Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
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c03582b5c7 |
Fix/percistent mcp connection (#392)
* feat(oauth): add support for refresh tokens in OAuth flow and update database schema * feat(prompts): add MCP prompts and corresponding functionality for prompt retrieval * feat(auth): enhance error handling for refresh token operations and validation |
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fa7d4075cf |
Supp/invoice bfl errors (#390)
* feat(accounting): update accounting method validation and messaging for aktiebolag and enskild firma * Remove AI subsystem and related code - Deleted AI proposals and requests persistence logic from `lib/ai/proposals/persist.ts`. - Removed re-validation logic for proposals in `lib/ai/proposals/re-validate.ts`. - Cleaned up schemas related to AI flows in `lib/api/schemas.ts`. - Removed AI-related fields from bookkeeping engine in `lib/bookkeeping/engine.ts`. - Eliminated AI event types from `lib/events/types.ts`. - Updated tests to reflect the removal of AI-related functionality in `lib/extensions/__tests__/sectors.test.ts`. - Adjusted initialization logic in `lib/init.ts` to exclude AI proposal handler registration. - Cleaned up transaction ingestion logic in `lib/transactions/ingest.ts` to remove AI flow checks. - Updated helper functions in `tests/helpers.ts` to remove AI-related settings. - Removed AI-related types and interfaces from `types/index.ts`. - Added migration script to drop AI-related tables and settings from the database. * fix(migrations): ensure foreign key constraint is dropped before removing AI tables * feat(invoice-inbox): implement deterministic invoice field extraction and inbox provisioning - Added `extract-invoice-fields.ts` for extracting fields from PDF invoices using regex and pdfjs-dist, replacing the previous AI classifier. - Introduced `inbox-provisioning.ts` to manage company inbox addresses and rotation of inboxes using Supabase RPCs. - Created `resend-inbound.ts` for handling inbound email events and attachments via the Resend API. - Defined the extension manifest for the invoice inbox, specifying required environment variables and descriptions. - Migrated database schema to remove AI-related columns and tighten the status enum in `invoice_inbox_items`. * feat(invoice-inbox): remove AI-specific columns and tighten status enum * fix(skattekonto): remove manual entry creation reference from transaction input * fix(schemas): remove accounting method validation for aktiebolag in UpdateSettingsSchema |
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f3fd4c0822 |
feat(salary, skatteverket): per-day absence + AGI Frånvarouppgift + skattekonto + hardening (#388)
* feat(salary): per-day absence tracking with calendar UX Replace aggregated-day absence counts with per-day records so payroll calculations can correctly enforce Swedish legal rules that depend on actual dates: karensavdrag once per sjuklöneperiod, återinsjuknande within 5 calendar days, allmänt högriskskydd cap of 10 karensavdrag per rolling 12 months, day-8 läkarintyg flag, day-15 transition to Försäkringskassan. Adds: - salary_absence_days table (RLS, dedup unique on employee+date+type) - /api/salary/employees/[id]/absence CRUD route - deriveAbsenceLineItems helper that walks per-day records into sjuklöneperioder and emits correctly-classified line items, with the existing absence-calculator formulas reused for VAB / parental - Per-employee pay-spec detail page with month-grid AbsenceCalendar - Calculate route now derives line items from the calendar before running the salary engine, replacing the prior sumQuantity model - Salary run GET surfaces the formatted Skatteverket arbetsgivare ID so downstream UI can build extension URLs without a second round-trip - GET /salary/runs/[id]/employees/[employeeId] for the detail page Tests: 15 new unit tests covering segment merge, återinsjuknande within 5 days, högriskskydd cap, FK transition flag, läkarintyg flag, VAB/parental semesterlönegrundande ceilings. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(skatteverket): harden API client + add NEXT_PUBLIC_SKATTEVERKET_ENABLED feature flag Three hardening fixes from the prior audit, plus a runtime extension toggle for phased rollout. api-client.ts: - Map 429 to a new SkatteverketAuthError code RATE_LIMITED with a Swedish user message. The 4 req/sec local rate limiter normally prevents this, but the per-consumer gateway quota can still hit. - Extend the error union with TOKEN_CORRUPTED for the token-store fix below. token-store.ts: - Surface decryption failures instead of silently returning null. A rotated key or tampered ciphertext used to look like "not connected"; callers now get TOKEN_CORRUPTED with a clear "anslut igen med BankID" message and a structured log line for ops. Extension dispatcher (app/api/extensions/ext/[...path]/route.ts): - Per-extension feature flag table. When NEXT_PUBLIC_SKATTEVERKET_ENABLED is not exactly "true", the dispatcher returns 503 with code EXTENSION_DISABLED, letting ops disable a single integration mid- rollout without redeploying or removing it from extensions.config.json. UI panels (SkatteverketPanel, AGIPanel) detect the 503 and render an empty state. Tests: 7 api-client cases (401/403/403-Behörighet/429/5xx/200/auth-error codes) + 2 token-store cases (no-row → null, corrupted → TOKEN_CORRUPTED). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(salary): emit AGI Frånvarouppgift per SKV 4785, add AGIPanel for one-click submission AGI XML upgrade: - Emit <gem:Franvarouppgift> top-level blocks for VAB and parental leave events sourced from salary_absence_days, per SKV 4785 + technical doc. Element order matches the spec example file. TILLFALLIG_FORALDRAPENNING for VAB / FORALDRAPENNING for parental, with FranvaroTimmarTFP (FK825) or FranvaroTimmarFP (FK827) for hours. Stable 1-based specifikationsnummer per (employee, period), date-sorted. Skipped entirely for periods before 202501. - Sick days are NOT emitted (they go to Försäkringskassan). - FK499 TotalSjuklonekostnad now derived from sick_day2_14.quantity × dailyRate × 0.80 instead of Math.abs(amount). The line-item amount is the net deduction (lostPay − sjuklon), not the cost, so the prior formula understated by a factor of four. AGI submission UI: - New AGIPanel mirroring SkatteverketPanel's validate → draft → lock → BankID-sign → poll-submitted flow. Detects 503 EXTENSION_DISABLED and renders a clear empty state. Replaces the bare "Skicka till Skatteverket" button on /salary/runs/[id], keeping the AGI XML download as a sibling for archival / manual upload fallback. - Salary run rows now link to the per-employee detail page added in the previous commit. Tests: 14 new agi-xml cases covering element order, type↔hour-field mapping, specifikationsnummer ordering, fractional-hour formatting, range clamping (0.01-24.00), period guard at 202501 boundary, placement after Blankett blocks, multi-employee date ordering, required-fields invariant, omission when no events. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(skatteverket): skattekonto integration — read-only saldo + transactions, daily sync, per-row bokför Adds read-only Skattekonto v2.1 access via the existing BankID OAuth flow (extends the OAuth scope with `skattekonto`). Daily background sync pulls saldo + transactions, dedupes on (company_id, dedup_key), and surfaces the data in a /skattekonto dashboard plus a settings panel for connection management. Backend: - skattekonto-client.ts: GET /skattekonton/{omfragad}/saldo and /transaktioner. Felkod 1–5 mapped to Swedish messages via dedicated SkatteverketSkattekontoError. - skattekonto-sync.ts: parallel saldo + transaktioner fetch, UPSERT on (company_id, dedup_key) so kommande rows graduate to tidigare in place. Dedup key uses transaktionsidentitet when available, else sha256 of (date|amount|text). Caches saldo snapshot in extension_data. Emits skattekonto.synced / balance.changed (sign flip) / transaction.upcoming (first appearance) / connection.expired. - skattekonto-booking.ts: keyword→counter-account rules with AB/EF differentiation (2510 vs 2012 for preliminärskatt; 2731/2710/2650 for arbetsgivaravgifter/avdragen skatt/moms; 8423/8313 for kostnads-/intäktsränta). Creates a draft journal entry against BAS 1630, leaves it for the user to review and commit. Throws NO_COUNTER_ACCOUNT instead of guessing when no rule matches. - Daily cron at 0 4 * * * (Swedish 06:00). Double-gated by CRON_SECRET and NEXT_PUBLIC_SKATTEVERKET_ENABLED. Per-company cooldown of 1 hour, time budget 50s, distinct `expired` status for token-exhaustion separate from generic errors. Database: - skattekonto_transactions: company-scoped with RLS, unique (company_id, dedup_key), indexed on (company_id, date DESC) and (company_id, status). journal_entry_id FK with ON DELETE SET NULL so a row can be re-bokförd after entry deletion. Frontend: - /skattekonto/page.tsx: dashboard with saldo card, transactions list (booked + upcoming), per-row "Bokför" action. - /settings/skatteverket: connection panel showing scope/expiry. - Extension toggle in SettingsSidebar (gated by ENABLED_EXTENSION_IDS). Tests: 9 booking-rule cases (counter-account guessing, AB/EF divergence, no-match throw) + 7 mapper cases (dedup key stability, sign convention, kommande→tidigare graduation). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix: address PR review findings Build: - Fix Next.js build failure: Zod refuses .partial() on a refined schema. Replace AbsenceRangeQuerySchema.partial().extend(...) in the absence DELETE handler with a fresh z.object that defines its own optional fields. Greptile findings (PR #388): - skattekonto_transactions UPDATE policy was missing WITH CHECK; without it a user could mutate company_id to one they don't belong to. Edit the original migration for fresh applies + add a follow-up migration that drops/recreates the policy with both clauses (already applied to prod via Supabase MCP). - FK499 TotalSjuklonekostnad now reads sjuklonRate from run.calculation_params (snapshot taken at calc time) instead of a hardcoded 0.80, so an operator override (e.g. CBA-specific rate) is honored. Falls back to 0.80 for older runs without the snapshot. - Rename NEXT_PUBLIC_SKATTEVERKET_ENABLED → SKATTEVERKET_ENABLED so the flag is server-side only. NEXT_PUBLIC_* vars are inlined into the client bundle at build time, which would create split-brain (server 503 vs client still rendering enabled flow) on a flag flip without redeploy. UI panels detect 503 by response code, not by reading the env directly, so no client-visible change is needed. - Add pg-real RLS smoke tests for both new tables (salary_absence_days and skattekonto_transactions): tenant SELECT isolation, UPDATE WITH CHECK enforcement, unique-constraint enforcement, cross-tenant dedup key allowed. Swedish compliance review: - Document the högriskskydd cap interpretation in derive-absence-line-items.ts. We count *sjuklöneperioder* in the rolling 12-month window, matching the law's plain reading ("från och med den 11:e sjukperioden ... görs inget karensavdrag"). An alternative reading counts only periods that actually had karens deducted; that requires persisting per-period karens-deduction state, which gnubok doesn't yet do. The period-count reading can over- suppress, never under-suppress, so it's the safer default. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(test): inline skattekonto fixtures so core-only CI runs without dev_docs dev_docs/ is gitignored, so the skattekonto-mappers test failed in CI when it tried to readFileSync from dev_docs/skattekonto(2.1.0)/examples/. Inline the saldoResponse + transaktionerResponse fixtures verbatim from the spec; the test still verifies our mappers + dedup-key logic against the same shape. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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bb855d2ddc |
Add/ai native supp (#385)
* feat(branding): implement dynamic branding in service worker and reports * feat(auth): enhance API key scopes and add bookkeeping write scope - Updated transaction write scope description to include additional tools. - Enhanced reports read scope description to reflect new functionality. - Introduced bookkeeping write scope with relevant description. - Updated SCOPE_GROUPS to include bookkeeping domain. - Modified TOOL_SCOPE_MAP to include new bookkeeping operations. - Updated validateApiKey function to return api_key_id and api_key_name for better actor attribution. feat(tests): add unit tests for MCP resource registry - Created tests for data resources to ensure all required fields are present. - Added tests for resource query parsing and retrieval. feat(resources): implement MCP resources for company and accounting data - Added capabilities resource to expose API key capabilities based on granted scopes. - Implemented chart of accounts resource to retrieve active BAS chart. - Created company current resource to fetch active company details. - Developed active fiscal period resource to check posting eligibility. - Implemented recent activity resource to fetch latest journal entries, invoices, and transactions. - Added VAT treatments resource to provide available VAT rates per customer type. feat(pending-operations): introduce risk tiers for operations - Added risk level classification for pending operations to determine auto-commit eligibility. - Implemented functions to classify operation risk levels and identify high-risk operations. feat(migrations): add actor model and risk tier to pending operations - Updated pending_operations table to include actor type and risk level columns. - Enhanced audit_log to mirror actor information for compliance. - Modified validate_and_increment_api_key function to return actor details. - Expanded operation types in pending_operations to include new high-risk operations. * feat: add auto-commit functionality for low-risk pending operations - Implemented shouldAutoCommit function to determine eligibility for auto-commit based on operation type, actor type, and company settings. - Created commitPendingOperation function to handle execution of pending operations with consistent status updates. - Added tests for shouldAutoCommit to cover various scenarios including high-risk operations, user actors, company opt-in status, and monetary thresholds. - Introduced new columns in company_settings for agent_auto_commit_enabled and agent_auto_commit_max_amount to allow companies to opt-in for auto-commit functionality. - Added SQL migration to update the database schema for new auto-commit settings. * feat(idempotency): implement idempotency key handling for safe retries and cleanup * feat: expand API key scopes and pending operations for bookkeeping - Added 'suppliers:write' scope to API key scopes for supplier invoice management. - Updated SCOPE_GROUPS to include the new 'suppliers:write' scope. - Introduced new pending operation types for bookkeeping: close_period, lock_period, run_year_end, set_opening_balances, run_currency_revaluation, explain_voucher_gap, uncategorize_transaction, approve_supplier_invoice, credit_supplier_invoice, and convert_invoice. - Implemented corresponding commit functions for the new operations in the pending operations module. - Enhanced PendingOperation type to include actor model and risk level attributes. - Added tests for new functionality, ensuring proper behavior and constraints in the database. * feat: implement unlockPeriod functionality and related tests * feat: add agent auto-commit settings and related functionality * feat: add attention resource with comprehensive summary of outstanding tasks * feat: enhance pending operations with 'committing' status and immutability checks, improve idempotency handling, and add original voucher reference for credit notes |
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5e1b0f791d |
feat(branding): implement dynamic branding in service worker and reports (#383)
* feat(branding): implement dynamic branding in service worker and reports * refactor(service-worker): remove push notification handling code * feat(service-worker): implement dynamic branding in service worker and related scripts |
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c86dbdc60d |
feat(branding): add hiddenNavHrefs to hide sidebar items via env var (#382)
Extends the branding service with a hiddenNavHrefs: string[] field so forks can hide sidebar entries (e.g. /salary, /customers) without patching DashboardNav.tsx. Configurable via NEXT_PUBLIC_BRANDING_HIDDEN_NAV as a comma-separated list. Default is [] — vanilla gnubok unchanged. Routes remain reachable; this is a nav-visibility switch only. Settings sidebar is intentionally out of scope. Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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064fb7f7a9 |
Add/white label (#381)
* feat(branding): add BrandingService with default-preserving env layer Introduce lib/branding/service.ts mirroring lib/email/service.ts. Defaults match current gnubok values exactly, so production behaviour is unchanged unless an env var (NEXT_PUBLIC_BRANDING_*, BRANDING_*) or extension override (via registerBrandingService) is set. Resolution order: defaults < env vars < extension override. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(branding): route root layout, manifest, and PWA assets through branding service - app/layout.tsx now reads title, description, themeColor, and apple-touch-icon from getBranding() instead of hardcoded values. - public/manifest.json replaced by dynamic app/manifest.ts so PWA name, short_name, description, theme_color, background_color, and icon paths are resolved at request time. The manifest now serves at /manifest.webmanifest (Next.js convention for the metadata file route). The previous /manifest.json URL is no longer populated; nothing in core references it after this commit. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(branding): route email service and templates through branding service - resend-service.ts: From line uses getBranding().appName instead of hardcoded "Gnubok" in both the with-fromName and bare cases. - invite-templates.ts: subject, HTML header, body, plain text, and the team-invite variants all read from branding (sentence case in prose, uppercased for the styled <p> header). - consent-notification-templates.ts: signature fallback (companyName || branding) for both HTML and plain text variants. Defaults preserve the exact current strings ("Gnubok", "GNUBOK", "gnubok" in their respective contexts) so no email content changes for production. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(branding): route OAuth consent page through branding service The MCP OAuth consent page rendered for Claude Desktop / Claude.ai connector flows now reads the app name from getBranding() for both the HTML <title> and the body copy. Default still produces "gnubok" in lowercase prose, matching current behaviour. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(branding): route auth, dashboard, and onboarding text through branding service Replace user-visible "gnubok" / "Gnubok" references with calls to getBranding(). Touches: - Auth pages (login, register, mfa/enroll): logo src/alt, MFA TOTP friendlyName. - Onboarding (companies/new, invite, sandbox, WelcomeOnboarding, Step2CompanyDetails, NewUserChecklist, BankIdCompanyPicker, ArcimMigrationWorkspace): logo, headings, error/help text. - Dashboard fallback (companyName="gnubok") and settings (backup copy, ApiKeysPanel MCP connector name + login note, CompanyDangerZone, retention-notice). - API routes (support contact subject prefix, enable-banking consent email companyName fallback, AI inbox receipt-request appUrl, pain001 messageId prefix). - MCP server "open the gnubok web app" review message. - Salary/reports filings (AGI Programnamn, KU10 Programnamn, payslip footer, full-archive system metadata, SRU #PROGRAM line). Internal identifiers (cookie names gnubok-company-id / gnubok-invite-token, API key prefix gnubok_sk_, invite token prefix gnubok_inv_, MCP tool names, npm package gnubok-mcp, GNUBOK_API_KEY env name) are deliberately left unchanged — they're stable contracts that whitelabels must not break. Defaults match current behaviour exactly. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(branding): support legal page field-level swaps for entity and contact Privacy and DPA pages now interpolate appName, legalEntity, and privacyEmail from the branding service instead of hardcoding "Gnubok", "Arcim", and "privacy@gnubok.se". Page metadata uses generateMetadata() so titles also reflect the brand. lib/support.ts now falls back to getBranding().supportEmail when SUPPORT_RECIPIENT_EMAIL is unset, so a single BRANDING_SUPPORT_EMAIL env var configures both the support form recipient and the displayed support address. Whitelabels with a different legal jurisdiction or entirely different DPA text should override the page route from an extension. Phase 1 intentionally only supports field-level swaps. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * docs(branding): add WHITELABEL.md and example branding extension WHITELABEL.md: fork checklist, env var reference, the "do not change" list (cookies, API key prefixes, invite token prefixes, MCP tool names, gnubok-mcp npm package, GNUBOK_API_KEY env name), out-of-scope items, the upstream sync workflow YAML to copy into a fork, conflict avoidance guidance, and a verification checklist. extensions/general/_example-branding/: copy-paste starter extension with index.ts (commented placeholder values for registerBrandingService), manifest.json, and README.md. Disabled by default (not added to extensions.config.json); whitelabels cp the folder, edit, and enable. sectors.test.ts: bumped expected extension count 12 -> 13 to account for the new starter extension on disk. The generated registry is unchanged because the example is disabled. The sync workflow YAML is documented inline in WHITELABEL.md rather than checked in as a workflow file. It's only meaningful in a fork -- gnubok itself has nothing to sync from. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(branding): address PR review — lazy support email + escape brand in HTML/XML Three issues from code review: P1 — lib/support.ts: SUPPORT_RECIPIENT_EMAIL was a module-level const, evaluated at import time before extensions register branding overrides via ensureInitialized(). Convert to getSupportRecipientEmail() lazy accessor; update the only caller in app/api/support/contact/route.ts. Extension-supplied supportEmail values now route correctly. P2 — app/api/mcp-oauth/authorize/route.ts: appName was interpolated into the consent page HTML without escapeHtml(), inconsistent with the existing escaping of companyName. Wrap appName.toLowerCase() in escapeHtml() at use sites in <title> and the body paragraph. P2 — lib/salary/agi/xml-generator.ts and lib/salary/ku/ku10-generator.ts: appName placed inside <gem:Programnamn> / <Programnamn> XML elements without escapeXml(), the helper already used for other admin-controlled fields in the same files. Wrap accordingly to prevent malformed XML if a brand name contains XML reserved characters. All admin-controlled inputs only — no user-exploitable path. Defense in depth, not a known incident. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(branding): security follow-up — lazy metadata, SRU/email header sanitization Self-audit after the PR review surfaced four more concerns. Fixes them with the same defense-in-depth posture as the prior review fixes. 1. app/layout.tsx — same eager-evaluation class as P1 support.ts. The module-level `const branding = getBranding()` froze branding before extensions registered, so extension-based overrides for title, description, themeColor, and apple-touch-icon silently never applied. - Convert to generateMetadata() / generateViewport() (lazy, run per request, see extension-registered overrides). - Inline getBranding() inside RootLayout for the apple-touch-icon href so it picks up overrides too. - Add ensureInitialized() at module level so extensions are loaded before the first metadata call. Mirrors the API route pattern. 2. app/manifest.ts — same class. The dynamic manifest function reads getBranding() per request, but if the manifest is requested before any other module has triggered ensureInitialized(), extensions are still unloaded. Add ensureInitialized() at module level. 3. lib/reports/ink2/sru-generator.ts — appName interpolated into the SRU `#PROGRAM` directive without sanitization. SRU's reserved char is `#` (directive marker) and CRLF injects new directives. Wrap in the existing sanitizeString() helper to match the pattern used for other admin-controlled fields in this file (#NAMN, #ADRESS, etc.). 4. extensions/general/email/lib/resend-service.ts — appName and the user-controlled fromName both flow into the From header. Resend's API does its own validation, but defense in depth: strip CRLF and angle brackets via a small sanitizeHeaderPart() helper before building the header string. fromName was a pre-existing surface; appName is new with this whitelabel work. All four are admin-controlled inputs (env vars or extension code), not user-exploitable. No known incidents — defense in depth, and correctness for extension-based whitelabels. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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2d36dedf34 |
fix(journal-entry): add error logging for delete operation in journal… (#379)
* fix(journal-entry): add error logging for delete operation in journal entries * fix(journal-entry): enhance error logging and add tests for delete_last_voucher functionality * fix(journal-entry): restore enforce_journal_entry_immutability function to handle DELETE and un-reversal updates * fix(tests): refactor delete_last_voucher tests to use insertPostedEntryWithLines for consistency |
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cd64c0e3fb |
feat(skatteverket): production-ready momsdeklaration submission (#380)
* feat(skatteverket): production-ready momsdeklaration submission
Brings the Skatteverket extension up to a state where it can ship moms
declaration submission to Vercel production. Verified end-to-end against
SKV's Komplett testtjänst — all 8 momsdeklaration operations tested
(kontrollera, spara/hämta/radera utkast, lås/lås upp, hämta inlämnade,
hämta beslutade) plus signing-link return.
Bundles three coherent changes:
1. Skatteverket extension (the main work)
- extensions.config.json: enable `skatteverket`, drop `invoice-inbox`
and `ai-agent` (those were enabled in config but lacked AWS env vars
in prod, so they loaded but failed at runtime)
- lib/reports/vat-declaration.ts: extend ACCOUNT_RUTA to populate
Ruta 06 (uttag 3401–3403), Ruta 20–24 (reverse-charge bases from
4xxx cost accounts), Ruta 50 (import 4545–4547), and Ruta 42
(3404/3994/3980); delete the supplier-type heuristic that made
Ruta 20 and Ruta 23 always 0
- extensions/general/skatteverket/lib/token-store.ts: work around
three real prod schema-drift issues — wrong column on read/delete
(was `company_id`, schema only has `user_id`), missing
UNIQUE(user_id) constraint that makes UPSERT fail (switched to
DELETE+INSERT), missing RLS policies (switched to service-role
client). Refresh path now reuses existing row's company_id when
none is passed.
- extensions/general/skatteverket/index.ts: 9 sites switched from
ctx.companyId to ctx.userId for the token-store key; pass
companyId from the OAuth callback
- extensions/general/skatteverket/types.ts + components/reports/
SkatteverketPanel.tsx: align field names with v1.0.24 RAML
(signeringsLank/kontrollResultat/resultat/kod/status/beskrivning).
Without this, the signing link never displayed.
- SkatteverketPanel: add Lås upp + Radera utkast + Hämta utkast +
Hämta beslut buttons so the full lifecycle is reachable from the UI
- lib/reports/__tests__/vat-declaration.test.ts: rewritten to match
the refactored calculator; new fixtures for cost-account-based
reverse charge (Ruta 20/21/22/23/24), Ruta 50 import, Ruta 06
uttag, Ruta 42 expansion; SKV §4.1.1.4 cross-field contract checks
- supabase/migrations/20260428120000_skatteverket_tokens_user_id_unique.sql:
idempotently adds the missing UNIQUE(user_id) constraint
- scripts/*: dev-only helpers used during the prod-of-test
verification (create test company, seed VAT data, inspect token
state, etc.)
2. Journal-entries cancelled-status filter
- app/api/bookkeeping/journal-entries/route.ts: when no status filter
is supplied, exclude `cancelled` entries by default
- supabase/migrations/20260428153500_journal_entries_with_related_exclude_statuses.sql
3. Swedish e-invoicing skill (reference docs only — no runtime code)
- .claude/skills/swedish-e-invoicing/
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix(skatteverket): address PR review findings
- panel: handleFetchDraft read `result.data?.last` (typo) — switched to
`result.data?.locked` to match the field defined in
SkatteverketUtkastResponse and the v1.0.24 RAML. The "(låst)" suffix on
the success message would silently never appear before this fix.
- api-client: getValidToken had no concurrency guard, so two parallel
SKV requests from the same user could both call /token with the same
refresh_token. SKV rotates the refresh_token on first use, so the
second call would 401 with REFRESH_EXHAUSTED-adjacent failures. With
the new 6-button UI on SkatteverketPanel, rapid clicks made this a
realistic trigger. Added an in-process Promise map keyed on userId
that coalesces concurrent refresh attempts; cross-process races are
mitigated by re-reading tokens inside the critical section before
calling refreshAccessToken (if another process refreshed already, we
use the newer token instead of burning the old refresh_token).
- migration 20260428120000: dedup query used `created_at < max(...)`,
which failed to remove duplicates inserted in the same second. The
subsequent ALTER TABLE … ADD CONSTRAINT would then abort. Switched
to ctid (Postgres physical row identifier) to break timestamp ties.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
* fix(skatteverket): throw on token-store SELECT error before destructive DELETE
The company_id pre-read in storeTokens used destructuring that discarded
the error field. If the service-role SELECT failed for any reason (network
blip, overloaded DB, transient permissions issue), `existing` became null,
`resolvedCompanyId` stayed undefined, and execution fell through to the
DELETE. The old row got deleted successfully, then the INSERT omitted
company_id and failed with the NOT NULL constraint violation — leaving
the user with no token row at all and forcing a fresh BankID handshake.
Now we capture the SELECT error and throw before the DELETE runs.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
---------
Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
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0363aff1d4 | fix(pdf): correct negative amount formatting in operational report PDF (#378) | ||
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2f49106f49 |
fix(balansrapport): adjust balance report to reflect correct sign con… (#375)
* fix(balansrapport): adjust balance report to reflect correct sign conventions and update PDF template * fix(balansrapport): enforce strict negative balance convention for equity rows in balance report tests |
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566b9696f8 |
Feat/verification attachments (#371)
* feat(attachments): enhance document preview functionality for images and PDFs * feat(reconciliation): enhance transaction matching logic and clarify reconciliation process |
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1a6b407a60 |
Supp/verifikationer inconsitency (#369)
* feat(bookkeeping): implement reset bookkeeping functionality with safeguards * feat(migrations): restore relaxed trigger for retroactive first fiscal year |
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74de71f7be |
feat(reports): PDF download for Resultatrapport and Balansrapport (#366)
* feat(reports): PDF download for Resultatrapport and Balansrapport User feedback after merging #363: "Ladda ner PDF saknas för de nya resultat- och balansrapporterna." The previous PR deferred PDFs to a follow-up; this is the follow-up. New operational PDF template (`operational-report-pdf-template.tsx`) with two exports — ResultatrapportPDF and BalansrapportPDF. Mirrors the visual style of the formal FinancialStatementPDF but **omits the yellow "Arbetsutkast – ej undertecknat" disclaimer**, which only belongs on draft årsredovisning per ÅRL 2:7 §. These are löpande reports, never an årsredovisning at any stage. Resultatrapport PDF: account / name / current period / prior period (prior column hidden when no previous fiscal period exists), grouped by BAS account class with subtotals and a "Beräknat resultat" summary line. Balansrapport PDF: account / name / IB / UB / förändring per class 1 and class 2, with the same Balanscheck card the on-screen view shows (Summa tillgångar, Summa eget kapital + reserver + skulder, Beräknat resultat ej bokslutsjusterat, Balanserar / Balanserar ej verdict). Wired up "Ladda ner PDF" buttons on both ResultatrapportView and BalansrapportView. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(reports): prevent PDF row truncation; align Balansrapport filename Two crucial fixes from the PR review: - Drop wrap={false} from the outer group <View> in both PDFs. With wrap=false on a group exceeding one A4 page, @react-pdf/renderer silently clips overflow rows. Large class 1 (80+ active accounts on a real company) was at risk of dropping rows from the rendered file with no warning. Outer group now wraps; wrap={false} retained on individual rows and the subtotal so neither breaks mid-line. - Balansrapport filename anchor changed from period.end to period.start to match the convention used by resultatrapport, balance-sheet, and income-statement PDF routes. The Swedish compliance bot preferred period.end (snapshot semantics), Greptile preferred period.start (cross-route consistency); the latter wins because predictable sorting/renaming matters for archived räkenskapsinformation. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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fd1db89603 |
Fix/invoice numbers (#365)
* feat: make invoice_number nullable and assign on send - Updated the invoices table to allow invoice_number to be nullable. - Modified the logic to assign invoice numbers only when the invoice status transitions to 'sent'. - Refactored related code to handle nullable invoice numbers, including UI components and API routes. - Added tests to ensure correct behavior when handling invoices with null invoice numbers. - Introduced a utility function to display invoice numbers, defaulting to '(Utkast)' for drafts. * fix: update fiscal period handling to return names of open periods in error messages * fix: enhance period creation logic to account for company-wide bookkeeping lock-through * fix: remove unnecessary customer_type field from customer insertion query * fix: scope invoice number count query to specific companies to avoid test interference * feat: Implement atomic invoice number generation and ensure compliance with invoice numbering rules - Introduced `ensureInvoiceNumber` function to assign invoice numbers atomically, handling concurrency and ensuring compliance with document types. - Updated invoice-related components to utilize the new `invoiceNumberDisplay` utility for consistent invoice number formatting. - Added checks to ensure that invoices in non-draft statuses have valid invoice numbers, preventing violations of legal requirements. - Created tests for the new invoice number generation logic, ensuring correct behavior under various scenarios, including concurrent requests. - Added a draft banner to PDF templates for invoices without assigned numbers, clarifying their status to users. - Updated database migrations to support the new atomic invoice number generation logic and enforce constraints on invoice statuses. |
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ec5fd78e3e |
Fix/fy and timeout (#364)
* fix: ensure corrected entries retain original entry date for storno and correction types * feat: add script to repair entry_date misalignment for storno and correction entries * fix: update correction entry message for clarity and remove outdated script |
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4822649c26 |
feat(reports): split operational Resultatrapport/Balansrapport from formal Räkning views (#363)
* feat(reports): add Resultatrapport and Balansrapport (operational reports) Per user feedback (Anders Gengård): Swedish accounting practice (BFL 6 kap, ÅRL Bilaga 1-3) distinguishes operational reports (Resultatrapport / Balansrapport, used during the year for reconciliation, account-level detail with numbers) from formal statements (Resultaträkning / Balansräkning, part of årsbokslut/årsredovisning, ÅRL uppställningsform, no account numbers). Until now gnubok only had a hybrid version under "Bokslut" that did neither well. This adds the operational pair as their own reports under a new "Löpande rapporter" section on the Reports page. Resultaträkning and Balansräkning under "Bokslut" are kept untouched (their yellow ÅRL 2:7 § draft disclaimer stays — it's appropriate there). Saldobalans moves into the new operational section. Both new generators reuse generateTrialBalance — Balansrapport filters to classes 1-2 with IB/UB/förändring; Resultatrapport filters to classes 3-8, calls trial balance for the previous period (via fiscal_periods.previous_period_id) and joins per account so the user sees current vs prior side-by-side. Account 8999 is excluded the same way generateIncomeStatement excludes it. 13 new unit tests cover grouping, prior-period join, account-class exclusions, zero-row filtering, and the missing-period fallback. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(reports): show Balanscheck on Balansrapport Addresses the most material PR review finding (raised by both the Swedish compliance bot and Greptile): BalansrapportReport returned total_assets_ub and total_equity_liabilities_ub but the UI never displayed them, so the user could not verify that books balance. generateBalansrapport now also returns: - beraknat_resultat = total_assets - total_eq_liab (Fortnox/Visma convention: residual on the balance side; equals current-year P&L during a running year, drops to 0 once year-end closing posts 8999 → 2099) - is_balanced from the underlying trial balance — that's the meaningful integrity check (a missing IB row or continuity break shows up as an imbalanced TB) UI gets a Balanscheck card showing the three totals plus a Balanserar / Balanserar ej verdict. Other PR review items (Föregående header polish, inline subtotal diff rounding, class-8 filter scope, 2099 caveat, terminology disclaimer) are non-blocking and deferred. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(reports): correct BAS class labels and add bokslut caveat Addresses three findings from the Swedish compliance bot's review of the prior commit: - Class 6 label dropped the informal '(forts.)' marker — '6 Övriga externa kostnader' is the BAS-correct heading. - Balansrapport class 2 label expanded to 'Eget kapital, obeskattade reserver, avsättningar och skulder' to match ÅRL Bilaga 1. The old label hid 21xx (periodiseringsfond, överavskrivningar) and 22xx (avsättningar) which matter for AB users. - Beräknat resultat row in the Balanscheck card now reads 'Beräknat resultat (ej bokslutsjusterat)' so the residual is not misread as a confirmed profit figure pre-closing. Skipped the bot's 8910/8999 finding: 8910 is 'Skatt på årets resultat' (regular tax expense), not a closing account; 8999 is the only BAS closing account, so the existing exclusion is correct. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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a0485ca1c1 |
fix: BankID signup takeover + supplier invoice dedup + event_log RLS visibility (#358)
* fix(tic): reject BankID signup when email is already registered (CWE-287) Signup previously linked BankID to any pre-existing profile matching the submitted email. Because BankID proves identity but not email ownership, an attacker who knew a victim's email could bind their own BankID to the victim's account and then log in via BankID (which skips TOTP MFA). Now signup returns 409 account_exists; the register page shows a Swedish error toast and redirects to /login so the user can authenticate with their password first and link BankID from settings (via the authenticated /bankid/link route that already exists). Covered by new bankid-complete.test.ts with an explicit regression test asserting no side-effects occur on the account_exists path. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(bookkeeping): prevent duplicate registration entries for supplier invoices The invoice-inbox convert flow creates the registration journal entry inline and then emits supplier_invoice.confirmed. The core handler was also creating one, producing a second voucher on 2440/2641/expense and overwriting registration_journal_entry_id on the row. Two guards in the core handler: - Payload guard: skip if supplierInvoice.registration_journal_entry_id is already set (fast path for callers that include it in the payload). - DB re-fetch guard: re-read the row and skip if it has been linked since the payload was built (handles stale-payload callers). The inbox extension now stamps registration_journal_entry_id onto the in-memory invoice before emitting so the fast path trips. Also fixes a latent bug where the handler filtered company_settings by userId instead of companyId, which would have selected the wrong row (or none) on multi-company accounts. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(events): write company_id on event_log rows and refuse unscoped events event_log has a company-scoped SELECT RLS policy, so rows written with NULL company_id are invisible to every user — effectively silently dropped from the automation feed. The handler now reads companyId from the payload (all persisted event types mandate it in TS) and includes it in both single and batch inserts. If a caller ever bypasses the type system and emits without companyId, the handler logs an error and skips persistence rather than writing a poisoned row. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix: address PR review nits (event-log meta strip, redirect timer) - event-log-handler: rename stripUserId → stripMetaFields and also drop companyId from the stored data JSONB so it isn't duplicated alongside its dedicated column. - register page: drop the 1500ms setTimeout before router.push('/login') on the account_exists branch — the timer had no cleanup and fired a stale-closure push if the component unmounted first. The toast survives the route change via the root layout's Toaster. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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1af977950b |
Ai/full autonomous flow (#359)
* Refactor bookkeeping error handling and introduce new error classes - Introduced new error classes for better error categorization: - JournalEntryNotBalancedError - FiscalPeriodNotFoundError - EntryDateOutsideFiscalPeriodError - JournalEntryNotFoundError - CannotReverseNonPostedError - CannotCorrectNonPostedError - EntryAlreadyReversedError - CurrencyRevaluationAlreadyExistsError - InvalidMappingResultError - BookkeepingDatabaseError - Updated existing functions in engine.ts and transaction-entries.ts to throw specific errors instead of generic ones. - Enhanced error response handling in get-error-message.ts to provide localized messages for new error types. - Added unit tests for new error classes and error handling functions to ensure correctness and coverage. * feat(ai): implement AI proposal application and persistence - Add apply.ts to handle the application of AI proposals, including match and booking steps. - Introduce persist.ts for inserting and managing AI requests and proposals, ensuring unique constraints. - Create re-validate.ts for validating proposals before acceptance, checking for stale conditions. - Define database migrations for ai_requests and ai_proposals tables, including constraints and indexes. - Enhance journal_entries with AI provenance tracking, linking entries to AI proposals. - Update categorization_templates to distinguish AI-corrected templates. - Add company settings for toggling AI flow and managing backfill processes. - Extend processing_history to include AI-related events for better tracking. * feat: add uncategorized transactions API and UI for transaction selection - Implemented a new API endpoint for fetching uncategorized transactions with pagination and filtering options. - Created ChangeTransactionDialog component for selecting alternative transactions based on AI proposals. - Developed ReceiptDetailDialog to display detailed information about receipts, including upload functionality. - Added TransactionDetailDialog for viewing transaction details with links to the transaction list. - Introduced receipt quality assessment logic to evaluate extracted receipt data. - Implemented feature flagging for the AI bookkeeping agent to control availability in different environments. * feat: add manual receipt extraction dialog and integrate AWS Textract for expense analysis - Added ManualExtractDialog component for user input when AI fails to extract receipt data. - Implemented ReceiptsList component to manage and display uploaded receipts, including upload and rescan functionalities. - Introduced Textract integration for analyzing expenses, extracting fields like total, vendor, and date. - Updated package.json to include @aws-sdk/client-textract dependency. * fix(ai): handle livsmedel VAT transition (12% → 6%) in booking prompt and re-validate guard Add date-aware guidance to BOOKING_SYSTEM_PROMPT for the temporary livsmedel VAT cut (Prop. 2025/26:55, 2026-04-01 to 2027-12-31), with restaurang/servering carve-out at 12%. Add a re-validate safety net that rejects clearly-stale rate labels for grocery-chain merchants relative to the entry date. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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ab63da8324 |
test: add real-Postgres smoke gate (pg-real) (#357)
* test: add real-Postgres smoke gate (pg-real) Mocked Supabase tests cannot exercise triggers, RPCs, or RLS policies — a migration that drops enforce_period_lock, mangles user_company_ids(), or weakens an RLS policy ships green today. Closes that gap with a small Vitest project `pg-real` running 5 smoke tests against a real supabase/postgres:15 container in CI. Covers: closed-period INSERT rejection, commit_journal_entry voucher atomicity under concurrency, posted-entry immutability, RLS tenant isolation on journal_entries, and audit_log UPDATE/DELETE rejection. Also lands the bankid anonymization migration that was sitting untracked from a prior task. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * test(pg-real): fix storage schema bootstrap + de-scope + PR review fixes - Drop bankid anonymization migration from this PR. That change is separate scope (and has open compliance questions flagged by the Swedish review bot on #357); it will land in its own PR. - Add tests/pg/bootstrap.sql to align storage.buckets/objects/foldername with what migrations expect before the replay loop. The supabase/postgres image ships only a partial storage schema; the rest comes from the storage-api service at runtime, which CI does not run. First pg-real run failed at migration 24 on "column public of relation buckets does not exist". - Add concurrency group to the workflow so stacked PR commits cancel in-progress runs instead of queueing. - Gate the pg-real vitest project on DATABASE_URL so a bare `vitest run` with no DB configured runs only the unit project. npm run test:pg is the opt-in entry point. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * test(pg-real): widen JWT claim setup so auth.uid() resolves under RLS The rls.pg test came back with 0 rows instead of 1 — user_company_ids() returned empty because auth.uid() didn't resolve to the seeded user. Two fixes: - Set both request.jwt.claims (whole object) and request.jwt.claim.sub (individual claim). Different Supabase auth.uid() versions read one or the other. - Assert auth.uid() = expected userId immediately after the context switch, so the next failure points at the right layer instead of an unrelated empty-result assertion. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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0222e084bb |
Refactor bookkeeping error handling and introduce new error classes (#356)
- Introduced new error classes for better error categorization: - JournalEntryNotBalancedError - FiscalPeriodNotFoundError - EntryDateOutsideFiscalPeriodError - JournalEntryNotFoundError - CannotReverseNonPostedError - CannotCorrectNonPostedError - EntryAlreadyReversedError - CurrencyRevaluationAlreadyExistsError - InvalidMappingResultError - BookkeepingDatabaseError - Updated existing functions in engine.ts and transaction-entries.ts to throw specific errors instead of generic ones. - Enhanced error response handling in get-error-message.ts to provide localized messages for new error types. - Added unit tests for new error classes and error handling functions to ensure correctness and coverage. |