ebf69d29333002fffd169aceddbdef5f355e779a
454 Commits
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9c8e540338 |
fix(invoices): repair send dialog fiscal-period query + editable issu… (#1066)
* fix(invoices): repair send dialog fiscal-period query + editable issuance lines The send/mark-sent dialog queried fiscal_periods with start_date/end_date instead of period_start/period_end; the query always 400ed, and since PR #1023 made that fatal the dialog closed instantly, blocking mark-as-sent and email send for everyone. Also lets accrual companies edit the proposed journal lines before booking (both send and mark-sent), mirroring the mark-paid editor: untouched proposals still book via the server generator; edited lines book verbatim with balance validated at three layers. Credit notes and periodiserade invoices keep the read-only preview. The dialog now also respects defer_invoice_booking (#967). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(invoices): harden custom issuance-line validation per review findings Extract the custom-line parse + balance check into a shared validator so the send and mark-sent routes cannot drift. Reject rows carrying both debit and credit, and 29xx interim accounts (custom lines skip accrual schedule creation, so a 29xx balance would never be dissolved). Validate the payload only after the invoice ownership fetch, and emit structured log events when user-edited lines are booked or deliberately ignored, so manual overrides are visible in audit review. Account existence needs no route-level check: the engine already resolves every account against the company chart and throws AccountsNotInChartError. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(invoices): address CodeRabbit findings on issuance line editing Reject malformed JSON bodies with 400 instead of silently booking generated lines; restrict line editing to SEK invoices (custom lines cannot carry FX metadata); round each line before the client balance check to match the server; stop claiming a voucher was created in the mark-sent toast for deferred-booking companies; add programmatic labels to the editor inputs and remove-row buttons. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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46b8e2bfea |
Fix/fable design (#1063)
* fix(bokslut): make dispositions storno-safe and derive fond math from opening balances A reversed year_end voucher kept its storno in the income statement while the original was excluded (source_type asymmetry), inflating resultat fore dispositioner by exactly the reversed amount, and the posted-only fond balance produced a phantom negative 212X that leaked a bogus aterforing proposal. Support case: a user double-booked periodiseringsfond, reversed both correctly, and the dispositions page still showed wrong numbers. - trial-balance excludeYearEndClosing now also excludes entries chained to reversed year_end entries via reverses_id/correction_of_id (grammar verified against staging PostgREST) - listExistingPeriodiseringsfonder counts posted+reversed so storno pairs cancel, and returns opening balances per fond - schablonintakt per IL 30 kap 6a: opening balance base, rate = SLR per closing year (1.96% FY2025, 2.55% FY2026), replacing the wrong SLR+1pp 0.0355 constant - avsattning 25% cap is year-total: already-provisioned current-cohort growth consumes headroom in both preview and commit, so re-running the flow can no longer double-book the fond - SLP posts before avsattning (deductible, shrinks the cap base) and is posted-aware: no double proposal or double count on resumed runs - sumPostedYearEndDispositions counts correction replacements of reversed year_end entries and exposes the SLP portion Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * refactor(bokslut): use roundOre for new fond/disposition rounding Satisfies the naive-ore-round ratchet that tightened on main; identical arithmetic, pinned by the existing exact-value tests. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(bokslut): address PR #1063 review findings - computeProposal receives the already-validated period row: a transient DB failure can no longer silently skip a requested disposition (and two redundant per-item period fetches are gone) - getSchablonintaktRate fails closed for unmapped years instead of falling back to the latest known rate: statutory rates are never guessed; POST rate override remains the escape hatch - listExistingPeriodiseringsfonder is opening-balance-entry aware: a fond carried via the OB entry booked by year-end closing was counted twice (once from history, once from the OB entry); balances now derive from OB + current-period activity when an OB entry exists - periodStart is validated as a real calendar date, not just a shape - reversed year_end correction targets resolve company-wide in sumPostedYearEndDispositions, matching the trial balance exclusion Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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425674ff35 |
chore(deadlines): legacy-type cleanup + ICS feed user-deadline fix (#1060)
* feat(deadlines): gate F-skatt reminders on debited preliminary tax, add durable dismissal The f_skatt deadline was gated on the F-skatt approval flag (DB default true), giving nearly every company 12 monthly payment reminders for a tax Skatteverket may not have debited at all (64% of all system deadline rows, one lifetime completion). Approval carries no recurring obligation; the monthly duty is payment of debiterad preliminarskatt and exists only while the debited amount is > 0 (SFL 62 kap. 4-5 par., 55 kap. 2 par.). - Gate the f_skatt deadline on preliminary_tax_monthly > 0 (field already collected at onboarding, previously unread) and retitle it as a payment. - Storforetag keep the 12th in August (January-only 17th, 62 kap. 3 par.). - Declare the prod-only preliminary_tax_monthly column in a migration so installs built purely from migrations stop failing tax-settings saves. - Add deadlines.dismissed_at: DELETE on a system deadline now soft-dismisses it durably (hard deletes were resurrected by the nightly backfill within 24h); generator, backfill, and every read surface respect it. - Prune upcoming f_skatt rows for companies with no debited amount. Closes part of #1028. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(deadlines): gate AGI on employer registration, stop completing AGI deadline at XML generation The arbetsgivardeklaration deadline was gated on pays_salaries, which is wrong in both directions: a registered employer must file AGI every month including nil months (SFL 26 kap. 3 par.), and companies actively running payroll with the flag off got no AGI reminders at all (each missed monthly filing risks a forseningsavgift). - New company_settings.employer_registered (nullable, no default) gates AGI and the storforetag skatteinbetalning row; pays_salaries remains a fallback for rows saved before the flag existed and keeps its UI meaning. - Migration backfills employer_registered=true from pays_salaries=true and from actual payroll activity (salary_runs). - New employer_seasonal flag: sasongsregistrerade file only for payment months plus a December nil declaration, so only the December-period row is generated. - Settings UI: registration + seasonal checkboxes (sv/en strings). - AGI XML generation no longer auto-completes the deadline as submitted: SFL 26 kap. deems the obligation satisfied only when the declaration has come in to Skatteverket. The Skatteverket extension's kvittens reconcile remains the confirming path; manual filers tick the deadline themselves. Part of #1028. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(deadlines): statutory arsstamma replaces bokslut, moms_yearly auto-complete, EU-sales suggestion - Replace the non-statutory 'bokslut' deadline (3 months after FY end, no legal basis, off-by-one month math for broken FYs) with the statutory arsstamma deadline: within 6 months of FY end per ABL 7 kap. 10 par., the corporate act that gates the arsredovisning filing chain. Migration deletes pending bokslut rows; the backfill cron generates arsstamma rows. - Complete moms_yearly on Skatteverket submission/kvittens: the yearly branch previously returned null with a stale comment claiming annual VAT has no deadline type, leaving yearly filers with an eternally open row. The fiscal-year tax_period label is derived from company settings. - Add /api/settings/eu-trade-signal + a tax-settings callout: companies with booked EU sales (3108/3308/3107, last 15 months) but EU-trade/PS flags off are prompted to confirm the periodisk sammanstallning obligation (SFL 35 kap., 1 250 kr late fee per report). Suggestion only, never auto-enables. Part of #1028. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * chore(deadlines): clean up legacy deadline types, fix ICS feed hiding user deadlines - Migration deletes pending rows of the retired bare 'moms' and 'inkomstdeklaration' types (completed rows kept as history) and the sandbox seed route now inserts the current moms_quarterly / inkomstdeklaration_ef types so legacy rows stop reappearing. - The calendar feed's include_tax_deadlines flag now hides only system-generated deadlines: user-created deadlines always appear. The old nesting skipped the entire deadlines fetch and dropped the user's own rows from the feed when the flag was off. Part of #1028. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(deadlines): include dismissed_at in DeadlineForm payload The Deadline type gained the required dismissed_at field; the form's submit payload literal must carry it for the Omit<Deadline, ...> shape. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * chore: retrigger Supabase preview check The initial preview-branch creation failed transiently; the subsequent migration run applied all four stack migrations (verified via list_migrations on the preview project), leaving a stale failed check. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(deadlines): make system-deadline dismissal atomic Constrain the dismiss update to source='system' and verify a row was actually updated: a concurrent regeneration can delete the row between lookup and update, and the route must not report a phantom success. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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05b954ac1d |
feat(deadlines): årsstämma replaces bokslut + moms_yearly auto-complete + EU-sales suggestion (#1059)
* feat(deadlines): gate F-skatt reminders on debited preliminary tax, add durable dismissal The f_skatt deadline was gated on the F-skatt approval flag (DB default true), giving nearly every company 12 monthly payment reminders for a tax Skatteverket may not have debited at all (64% of all system deadline rows, one lifetime completion). Approval carries no recurring obligation; the monthly duty is payment of debiterad preliminarskatt and exists only while the debited amount is > 0 (SFL 62 kap. 4-5 par., 55 kap. 2 par.). - Gate the f_skatt deadline on preliminary_tax_monthly > 0 (field already collected at onboarding, previously unread) and retitle it as a payment. - Storforetag keep the 12th in August (January-only 17th, 62 kap. 3 par.). - Declare the prod-only preliminary_tax_monthly column in a migration so installs built purely from migrations stop failing tax-settings saves. - Add deadlines.dismissed_at: DELETE on a system deadline now soft-dismisses it durably (hard deletes were resurrected by the nightly backfill within 24h); generator, backfill, and every read surface respect it. - Prune upcoming f_skatt rows for companies with no debited amount. Closes part of #1028. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(deadlines): gate AGI on employer registration, stop completing AGI deadline at XML generation The arbetsgivardeklaration deadline was gated on pays_salaries, which is wrong in both directions: a registered employer must file AGI every month including nil months (SFL 26 kap. 3 par.), and companies actively running payroll with the flag off got no AGI reminders at all (each missed monthly filing risks a forseningsavgift). - New company_settings.employer_registered (nullable, no default) gates AGI and the storforetag skatteinbetalning row; pays_salaries remains a fallback for rows saved before the flag existed and keeps its UI meaning. - Migration backfills employer_registered=true from pays_salaries=true and from actual payroll activity (salary_runs). - New employer_seasonal flag: sasongsregistrerade file only for payment months plus a December nil declaration, so only the December-period row is generated. - Settings UI: registration + seasonal checkboxes (sv/en strings). - AGI XML generation no longer auto-completes the deadline as submitted: SFL 26 kap. deems the obligation satisfied only when the declaration has come in to Skatteverket. The Skatteverket extension's kvittens reconcile remains the confirming path; manual filers tick the deadline themselves. Part of #1028. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(deadlines): statutory arsstamma replaces bokslut, moms_yearly auto-complete, EU-sales suggestion - Replace the non-statutory 'bokslut' deadline (3 months after FY end, no legal basis, off-by-one month math for broken FYs) with the statutory arsstamma deadline: within 6 months of FY end per ABL 7 kap. 10 par., the corporate act that gates the arsredovisning filing chain. Migration deletes pending bokslut rows; the backfill cron generates arsstamma rows. - Complete moms_yearly on Skatteverket submission/kvittens: the yearly branch previously returned null with a stale comment claiming annual VAT has no deadline type, leaving yearly filers with an eternally open row. The fiscal-year tax_period label is derived from company settings. - Add /api/settings/eu-trade-signal + a tax-settings callout: companies with booked EU sales (3108/3308/3107, last 15 months) but EU-trade/PS flags off are prompted to confirm the periodisk sammanstallning obligation (SFL 35 kap., 1 250 kr late fee per report). Suggestion only, never auto-enables. Part of #1028. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(deadlines): include dismissed_at in DeadlineForm payload The Deadline type gained the required dismissed_at field; the form's submit payload literal must carry it for the Omit<Deadline, ...> shape. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(deadlines): make system-deadline dismissal atomic Constrain the dismiss update to source='system' and verify a row was actually updated: a concurrent regeneration can delete the row between lookup and update, and the route must not report a phantom success. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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da4d5a39ae |
feat(deadlines): gate AGI on employer registration + stop completing AGI at XML generation (#1062)
* feat(deadlines): gate F-skatt reminders on debited preliminary tax, add durable dismissal The f_skatt deadline was gated on the F-skatt approval flag (DB default true), giving nearly every company 12 monthly payment reminders for a tax Skatteverket may not have debited at all (64% of all system deadline rows, one lifetime completion). Approval carries no recurring obligation; the monthly duty is payment of debiterad preliminarskatt and exists only while the debited amount is > 0 (SFL 62 kap. 4-5 par., 55 kap. 2 par.). - Gate the f_skatt deadline on preliminary_tax_monthly > 0 (field already collected at onboarding, previously unread) and retitle it as a payment. - Storforetag keep the 12th in August (January-only 17th, 62 kap. 3 par.). - Declare the prod-only preliminary_tax_monthly column in a migration so installs built purely from migrations stop failing tax-settings saves. - Add deadlines.dismissed_at: DELETE on a system deadline now soft-dismisses it durably (hard deletes were resurrected by the nightly backfill within 24h); generator, backfill, and every read surface respect it. - Prune upcoming f_skatt rows for companies with no debited amount. Closes part of #1028. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(deadlines): gate AGI on employer registration, stop completing AGI deadline at XML generation The arbetsgivardeklaration deadline was gated on pays_salaries, which is wrong in both directions: a registered employer must file AGI every month including nil months (SFL 26 kap. 3 par.), and companies actively running payroll with the flag off got no AGI reminders at all (each missed monthly filing risks a forseningsavgift). - New company_settings.employer_registered (nullable, no default) gates AGI and the storforetag skatteinbetalning row; pays_salaries remains a fallback for rows saved before the flag existed and keeps its UI meaning. - Migration backfills employer_registered=true from pays_salaries=true and from actual payroll activity (salary_runs). - New employer_seasonal flag: sasongsregistrerade file only for payment months plus a December nil declaration, so only the December-period row is generated. - Settings UI: registration + seasonal checkboxes (sv/en strings). - AGI XML generation no longer auto-completes the deadline as submitted: SFL 26 kap. deems the obligation satisfied only when the declaration has come in to Skatteverket. The Skatteverket extension's kvittens reconcile remains the confirming path; manual filers tick the deadline themselves. Part of #1028. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(deadlines): include dismissed_at in DeadlineForm payload The Deadline type gained the required dismissed_at field; the form's submit payload literal must carry it for the Omit<Deadline, ...> shape. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(deadlines): make system-deadline dismissal atomic Constrain the dismiss update to source='system' and verify a row was actually updated: a concurrent regeneration can delete the row between lookup and update, and the route must not report a phantom success. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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3c0bf3f584 |
feat(deadlines): gate F-skatt reminders on debited preliminary tax + durable dismissal (#1057)
* feat(deadlines): gate F-skatt reminders on debited preliminary tax, add durable dismissal The f_skatt deadline was gated on the F-skatt approval flag (DB default true), giving nearly every company 12 monthly payment reminders for a tax Skatteverket may not have debited at all (64% of all system deadline rows, one lifetime completion). Approval carries no recurring obligation; the monthly duty is payment of debiterad preliminarskatt and exists only while the debited amount is > 0 (SFL 62 kap. 4-5 par., 55 kap. 2 par.). - Gate the f_skatt deadline on preliminary_tax_monthly > 0 (field already collected at onboarding, previously unread) and retitle it as a payment. - Storforetag keep the 12th in August (January-only 17th, 62 kap. 3 par.). - Declare the prod-only preliminary_tax_monthly column in a migration so installs built purely from migrations stop failing tax-settings saves. - Add deadlines.dismissed_at: DELETE on a system deadline now soft-dismisses it durably (hard deletes were resurrected by the nightly backfill within 24h); generator, backfill, and every read surface respect it. - Prune upcoming f_skatt rows for companies with no debited amount. Closes part of #1028. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(deadlines): include dismissed_at in DeadlineForm payload The Deadline type gained the required dismissed_at field; the form's submit payload literal must carry it for the Omit<Deadline, ...> shape. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(deadlines): make system-deadline dismissal atomic Constrain the dismiss update to source='system' and verify a row was actually updated: a concurrent regeneration can delete the row between lookup and update, and the route must not report a phantom success. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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97907a5a5c |
fix: article ordering, free-text rows, invoice back-nav, onboarding resilience (#1053) (#1056)
* fix: article number ordering, free-text rows, invoice back-nav, onboarding resilience (#1053) Four fixes from Discord feedback in issue #1053: - Articles now order by article number with numeric-aware comparison ('2' before '10', unnumbered last, name tiebreak) in the invoice editor's article picker and as the register's default sort, via a shared lib/articles/sort.ts. Name order put article "1" last. - Invoice rows with no amounts (quantity 0, unit price 0) render as pure text rows on the PDF, the invoice detail page, and the review step via shared isTextLikeLine(), instead of printing "0 / 0,00 SEK / 0,00 SEK". Display-only; booking untouched. - The invoice editor navigates with router.replace after saving, so the detail page's back arrow returns to the list instead of reopening a fresh editor from history. - A transient query failure no longer reads as "no companies" / "onboarding not done": getActiveCompanyId throws CompanyContextError('resolution_failed') instead of returning null, the Edge middleware fails open on a degraded resolution (no onboarding redirect, no cookie clearing, no locale overwrite), and the dashboard page only redirects to /onboarding on a positively read incomplete/missing settings row. This is the likely cause of the completed onboarding wizard reappearing. Fixes #1053 Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * docs: CLAUDE.md tenancy line matches actual resolution order (prefs-first, cookie not read) The middleware stopped reading the gnubok-company-id cookie when user_preferences became authoritative (RLS parity); the stale doc line still described cookie-first order and misled review tooling. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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0e9cca2750 |
Add/customer mcp (#1055)
* feat(mcp): kontoplan account tools + verifikat notes exposure Two gaps reported by an MCP-driven user: no account management in the API, and verifikat notes invisible to agents (they exist in the product but MCP could neither read nor write them). - add staged gnubok_create_account / gnubok_update_account (BAS 2026 prefill for catalog numbers; rename/VAT-default/SRU/activate via update; both LOW risk reference data) - add staged gnubok_set_voucher_note (notes-only annotation, legal on posted entries per the 20260608120000 trigger carve-out) and return entry_notes from gnubok_query_journal - new pending_operations types create_account / update_account / set_voucher_note (CHECK migration + validate companion, applied to staging) - tools/list payload ceiling 54K -> 56K (documented; wire contract, descriptions trimmed first) Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(skatteverket): unstick BankID connect flow and stale connection views - respond to the OAuth callback immediately and run the post-connect refresh after the response (next/server after()): users no longer stare at Skatteverket's consumed consent page for up to 40s - open the consent flow in a full tab instead of a 600x750 popup that hid the approve button below the fold - disable connect buttons while the OAuth tab is open (parallel flows overwrote oauth_state + the PKCE verifier) and recover via a closed-tab watcher plus a delayed status refetch - persist MISSING_SCOPE token health from the post-connect sync and show an actionable "approve all permissions" notice - refetch connection state on tab visibility (settings connect panel, enable-banking panel, /skattekonto) so a connect completed in another tab or after a mobile app-switch shows up without a manual reload; fix /skattekonto never clearing its not-connected state Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(article-form): add article number field with validation to ArticleForm * feat(account): enforce account type consistency with BAS class and add validation --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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fd1c266cb0 |
chore: salvage unmerged work from the 2026-07-16 worktree audit (#1043)
* chore: salvage unmerged work from the 2026-07-16 worktree audit Four items survived the 43-file dirty-tree audit as genuinely unmerged: - CLAUDE.md: Definition of Done rule 9, the last mile is verified in-session, not assumed (project-level counterpart of the switch-on check; cloud agents only see the repo file). - DECISIONS.md: eight decision lines from 2026-07-09 to 2026-07-15, condensed and scrubbed of production identifiers for the public repo. - .claude/skills/loop-ignite: skill that audits the agentic loops and ignites dead ones; must live on main for cloud routines to load it. - lib/bokslut/ixbrl testbank manual E2E: encodes the working testbank endpoints and the Luhn-valid test pnr (the documented one fails); skipped unless BOLAGSVERKET_TESTBANK_E2E=1, so zero CI cost. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * chore: address review findings on the salvage batch - testbank e2e: kontrollera returns HTTP 200 even for invalid documents (outcome is in utfall), so assert zero typ='error' entries; also assert grunduppgifter returns a company name, not just the echoed orgnr. - loop-ignite: make ignition explicitly idempotent (enable/repair an existing trigger before creating, never duplicate). Skipped the fourth finding (require an observed firing as switch-on proof): a just-created cron cannot have fired yet; the audit table already reports last observed run per loop. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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5b8e3fa130 |
fix(vat): enforce decimal vat_rate on supplier invoice items and normalize MCP percent extraction (#1049)
Supplier invoice items store vat_rate as a decimal fraction (0.25) while customer invoices use integer percent (25). The shared Zod schema accepted 0-100, so a percent-shaped vat_rate silently booked 2500 % VAT via line_total * vat_rate, and the MCP inbox-conversion path staged the AI extraction's percent-integer vatRate straight into the decimal column with per-line vat_amount 0. Part of #310. - CreateSupplierInvoiceItemSchema.vat_rate is now a literal union of the statutory decimal set (0, 0.06, 0.12, 0.25) with a unit-hint error, covering the cookie route, the invoice-inbox convert route, and /api/v1 (whose runtime ALLOWED_SV_VAT_RATES guard stays as defense in depth). - New shared normalizeVatRateToDecimal() in lib/vat: percent-shaped values (25, 12, 6) divide by 100, results snap to the legal Swedish set, and anything else (foreign 19/20, non-finite) maps to 0. - gnubok_create_supplier_invoice_from_inbox normalizes vatRate at the extraction boundary and derives per-line vat_amount when the extraction carries none, so the staged header vat_amount is honest. - The pending-operation executor normalizes staged vat_rate on insert, so rows staged before this fix cannot book percent-scaled VAT. Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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03fd1b60b7 |
fix(bokslut): derive preview netResult from the 2099/2010 closing amount (#1045)
The Arets resultat summary card on the bokslut preview step read its figure from generateIncomeStatement, which excludes entries tagged source_type='year_end'. Bokslut-flow entries (annual depreciation, bokslutsdispositioner) carry that tag, so the card showed the pre-depreciation result while the bokslutsverifikation table below it (built from the unfiltered trial balance) included depreciation in the 2099 balancing line. previewYearEndClosing now derives netResult from the closing-lines totals before the balancing line is appended: it equals, by construction, the signed amount transferred to 2099 (AB) or 2010 (EF); positive = credit = vinst, negative = debit = forlust. The posted verifikat is unchanged: executeYearEndClosing only consumes preview.closingLines, never netResult. Fixes #766 Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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88f53350de |
fix(errors): translate typed engine errors instead of leaking raw messages as journal_entry_error (#1048)
Typed bookkeeping Error instances passed to getErrorMessage() matched the bare-envelope branch (any object with string code + message) and returned their raw English message verbatim, so the categorize and match-invoice routes surfaced strings like DB check-constraint violations directly in the user's toast (issue #337). - get-error-message.ts: when the bare-envelope shape is an Error instance, normalize it into the structured envelope ({ error: { code, message, account_numbers, details } }) so the existing per-code Swedish branches own the translation; plain forwarded envelopes keep the passthrough. - get-error-message.ts: structured-path final fallback now prefers the registry's message_sv for known codes whose message is not Swedish, so typed codes without a dynamic branch (e.g. CANNOT_REVERSE_STORNO) cannot surface English either. - categorize + match-invoice routes: always map the caught error through getErrorMessage (the raw error is already logged); untyped errors fall to the Swedish context fallback instead of leaking err.message. - Tests: new instance-translation suite in lib/errors, typed-error case in the categorize route suite, and deliberate updates of the two tests that pinned raw 'Period locked' passthrough. Fixes #337 Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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d182cf5d93 |
refactor(bokslut): convert periodiseringsfond balance query off the journal_entries!inner embed (#977) (#1047)
listExistingPeriodiseringsfonder still selected from journal_entry_lines with a journal_entries!inner embed and put company_id/status/entry_date on the embedded side: the shape PostgREST compiles to a correlated lateral that scans all tenants' lines, and it silently truncated at the 1000-row cap because it was unpaginated. Convert it to the shared two-step fetchEntryLines helper (lib/bookkeeping/entry-lines.ts), mirroring bolagsskatt-calculator.ts, and keep the existing wrapped error contract. Adds unit coverage for listExistingPeriodiseringsfonder: helper call shape, entry/line filter callbacks, per-account balance aggregation, 2129 cohort collision rule, 6-year must-return flag, near-zero drop, sorting, and error wrapping. Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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a5e37d3510 |
Fix/build (#1041)
* fix(bookkeeping): harden correction account changes * feat(tax): enhance tax deadline generation with new settings and filing methods - Added new company settings: tax_turnover_over_40m, vat_has_eu_trade, vat_filing_method, periodisk_sammanstallning_enabled, and periodisk_sammanstallning_filing_method. - Updated deadline generation logic to accommodate new settings affecting VAT and employer declaration deadlines. - Implemented tests for new functionality, ensuring that completed obligations are preserved and not replaced by new pending rows. - Introduced a cron job to backfill missing tax deadlines for companies with settings but no upcoming deadlines. - Updated API routes for generating tax deadlines and handling cron jobs. - Modified database schema to include new columns for tax filing profiles and constraints for filing methods. * fix(invoices): record credit note reconciliation guard * fix(tax): correct automatic deadline settings * fix(tax): key AGI deadline to VAT taxable base and add storforetag payment deadline The 26th filing day for the skattedeklaration (AGI and VAT together) hinges on one statutory measure, a VAT taxable base above SEK 40 million (SFL 26 kap.), not a separate employer turnover. Drop employer_turnover_over_40m and derive the AGI schedule from vat_registered plus vat_taxable_base_over_40m, so a non-VAT-reporting employer is never shown the 26th when its binding date is the 12th. Also: - add a skatteinbetalning deadline row (12th, 17 January) for storforetag, whose deducted tax and employer contributions are due before the 26th filing date - normalize legally incoherent over-40m flag combinations to the earlier small-company schedule in a follow-up migration - replace hardcoded 27 December dates with the banking-day adjustment - extend the 40m help text to cover the SKV-decided early filing election and the payment-still-on-the-12th rule - document the regeneration race repaired by the daily backfill cron Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(migrations): add AGI and VAT filing logic with employer column removal * feat(settings): implement VAT registration logic and update related flags; enhance deadline handling --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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1443235cec |
feat(invoices): registrera utan att bokföra + explicit Bokför-steg (#1040)
* feat(invoices): registrera utan att bokföra + explicit Bokför-steg Companies where one person registers supplier invoices / sends customer invoices while ekonomi does the actual bookkeeping had no way to split the two: under faktureringsmetoden every registration/send booked the journal entry inline. - New company setting defer_invoice_booking (default off, accrual only): registering a supplier invoice or sending/marking-sent a customer invoice creates NO journal entry. - New explicit booking routes POST /api/supplier-invoices/[id]/book and POST /api/invoices/[id]/book: create the registration/revenue entry afterwards, CAS-guarded against concurrent booking (a lost race cancels the just-posted voucher with a gap explanation), including periodisering schedules. - Detail pages show "Ej bokförd ännu" + a Bokför button for unbooked accrual invoices; the settings toggle lives under Bokföringsmetod. - mark-paid needs no changes: both payment flows already route on the journal-entry link, so an invoice still unbooked when paid gets the full cash-style entry. - The mark-sent fail-closed rollback now keys on the same gate so deferred sends are not rolled back as booking failures. Fixes #967 Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(invoices): harden deferred booking after review CodeRabbit round on #1040: - CAS link guards also require a still-bookable status (and uncredited, customer side) so a concurrent mark-paid/credit cannot end up with a double-posting registration/revenue entry. - Settings reads fail closed instead of defaulting to accrual rules. - Detail pages surface the ACCRUAL_SCHEDULE_FAILED warning instead of showing plain success, and the customer page no longer stringifies structured errors into "[object Object]". - The settings form normalizes defer_invoice_booking to false under kontantmetoden so a stale flag cannot re-activate on method switch. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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14f7478abb |
feat(reports): reskontra per valfritt datum + PDF-export (#1039)
Kundreskontra and leverantörsreskontra were effectively always "as of today": the UI never passed a date, the xlsx export ignored the chosen fiscal year, and no PDF existed. - Both ledger generators reconstruct the ledger as it stood on a backdated as-of date: invoices dated on or before it (including ones fully paid since) with outstanding recomputed from the payment-row history; paid_at dates row-less full payments; undateable legacy amounts degrade to the live values. Today/future dates keep the live computation byte-identical. - New shared reskontra PDF template (aging per counterparty + invoice detail for kundreskontra) with PDF routes for both ledgers. - Both report views get a "Per datum" date control; the export menu offers PDF + Excel and passes the chosen date through. Note: the PDF template deliberately avoids react-pdf's `break` prop: it deadlocks layout when the section spills across pages (reproduced at 40+ rows, documented in the template). Fixes #1020 Fixes #1021 Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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a95872928e |
fix(supplier-invoices): warn on class 1/6 accounts for reverse charge lines (#1034)
* fix(supplier-invoices): warn on class 1/6 accounts for reverse charge lines (#863) Item 2 of #863: when omvand skattskyldighet is on, lines booked on an account starting with 1 (assets) or 6 draw a non-blocking warning banner in the Kontering card naming the rows; reverse charge purchases normally sit on 4xxx/5xxx cost accounts. Advisory only, since class 6 has legitimate reverse charge uses (e.g. 6540 IT-tjanster for EU cloud services), so submission is never blocked. Item 1 (block VAT rates outside the legal set 25/12/6/0) already shipped in PR #902; this change extracts that check plus the new one into a pure tested helper, lib/vat/supplier-invoice-line-checks.ts, which is now also the single source for the legal rate list used by the VAT rate preset dropdown. Item 3 (confirming the reason for a 0 % rate) is deferred: it is a UX design question, not a validation gap. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * docs(vat): note food-rate transition dates above LEGAL_VAT_RATES Compliance-bot finding on PR #1034: the allow-list comment now records that livsmedel moved 12 % to 6 % on 1 April 2026 (Prop. 2025/26:55, ML 2023:200) and that the reduction is legislated to revert after 31 December 2027, when 6 % stays legal for books/transport but stops being the food rate. The static list cannot express per-category temporal validity; revisit at the reversion. Comment-only change. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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6bd85f94b6 |
fix(bookkeeping): editable verifikationstext on andringsverifikation (#1035)
The correction header was always built server-side as "Rattelse: <original description>". When the original entry was labelled after the wrong account, the correction kept echoing that stale label even after the user switched to the correct account (follow-up to the line-description fix in #1029). - CorrectJournalEntrySchema gains an optional trimmed description - correctEntry() accepts options.description; blank or absent falls back to the canonical "Rattelse: <original>" auto text - both correct routes (dashboard + v1, which share the schema) thread the description through - CorrectionEntryDialog surfaces an editable verifikationstext field, pre-filled with the auto text; an untouched or cleared prefill is NOT sent, so the server-side fallback stays the source of truth (same only-overwrite-auto-filled principle as #1029) Forward-only: already-posted corrections are immutable per BFL. Fixes #1031 Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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1dc85736d8 |
feat(import): add Wise (TransferWise) CSV import format (#1018)
* feat(import): add Wise (TransferWise) CSV import format Wise exports a single multi-currency transaction history (one row per balance movement). Add it as a bank-file format plugin so it flows through the existing upload -> preview -> confirm -> execute wizard. - lib/import/bank-file/formats/wise.ts: quote-aware parse (dates contain a space), Direction IN/OUT drives the sign, booked on the moved side (target for IN, source for OUT). Native currency preserved; SEK conversion is left to the downstream FX/booking pipeline (Riksbanken). - Non-zero Wise fees become their own negative "Wise avgift" row (source and target), so the fee books separately and the balance ties out. - Only COMPLETED rows import. external_id keys on the stable Wise ID (TRANSFER-/PLAN_ORDER-, -fee suffix for fee rows) via a new 'wise' branch in generateExternalId, so re-imports dedup exactly. - Register the format (types, parser list), add it to the manual-format picker and the v1 /imports/bank format enum. Tests cover detection, IN/OUT signing + currency, fee splitting, stable external_id, and COMPLETED-only filtering. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> Signed-off-by: Alexander Reinthal <email@reinthal.me> * fix(import): harden Wise parser against malformed rows (CodeRabbit #1018) - Strict amount parsing: reject "12abc"/"1,234" instead of parseFloat coercing them to 12/1 and silently corrupting the imported amount. - Require Status to be exactly COMPLETED: a blank/missing status no longer slips through the completed-only filter. - Fail hard on an unsupported Direction: a blank or non-IN/OUT value (e.g. NEUTRAL for a balance conversion) throws instead of being guessed as income; the parse route surfaces it as BANK_FILE_PARSE_FAILED. Proper conversion support is tracked in #1019. - Never invent currencies: a missing movement currency skips the row with a warning (no SEK default), and a fee with no currency of its own is dropped with a warning rather than inheriting the movement currency. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> Signed-off-by: Alexander Reinthal <email@reinthal.me> --------- Signed-off-by: Alexander Reinthal <email@reinthal.me> Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> Co-authored-by: Jakob Wennberg <jakob.wennberg@gmail.com> |
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f8033cb32d |
fix(transactions): bind manually-fed transactions to a cash account (#1016) (#1017)
* fix(transactions): bind manually-fed transactions to a cash account (#1016) create_transactions inserted rows with cash_account_id = null, so ledger accounts fed via MCP/CSV without a PSD2 feed (e.g. 1935 Wise SEK) had no kassakonto: get_reconciliation_status 404'd with "Okänt kassakonto" and the "Matcha mot befintlig verifikation" dialog fell back to 1930. No schema change: cash_accounts.bank_connection_id is already nullable and source='manual' already exists (every company is seeded a manual 1930). This is the creation-side leg of the #985-#987 root cause: the resolution chain was fixed, but manually-fed accounts never got the cash_account_id link. - Add ensureManualCashAccount (lib/cash-accounts/service.ts): find-or-create a manual (source='manual', bank_connection_id=null) cash_accounts row for a ledger slot, tolerating the (company_id, ledger_account) UNIQUE race. - Add an optional ledger_account hint (^19xx) to gnubok_create_transactions; commitCreateTransaction resolves/creates the manual account and sets cash_account_id on the inserted row. Reconciliation and voucher matching then resolve the real account unchanged. Forward-looking; historical cash_account_id=null remediation stays in #1001. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> Signed-off-by: Alexander Reinthal <email@reinthal.me> * fix(cash-accounts): guard ensureManualCashAccount against currency mismatch (CodeRabbit #1017) The existing-row lookup matched only on (company_id, ledger_account) and returned the row id ignoring currency, so a SEK transaction hinting at a ledger already claimed for USD would bind to the wrong-currency cash account. Since that pair is UNIQUE (one currency per ledger), a mismatch is a real conflict: throw instead of silently mis-binding. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> Signed-off-by: Alexander Reinthal <email@reinthal.me> --------- Signed-off-by: Alexander Reinthal <email@reinthal.me> Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> Co-authored-by: Jakob Wennberg <jakob.wennberg@gmail.com> |
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edef48471c |
feat: add currency for articles (#834)
Co-authored-by: Jakob Wennberg <jakob.wennberg@gmail.com> |
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2a1ec5ec2f |
fix: Make SIE imports atomic (#860)
* fix: Make SIE imports atomic * fix(import): carry dimensions + harden the atomic SIE RPC Rebased onto current main. The RPC now: - carries the per-line dimensions jsonb through the payload + INSERT so imported SIE object-list codes are not dropped (dimensions PR5 #866); - uses the NULL-safe caller_is_company_member guard (drops the banned NOT IN (SELECT user_company_ids()) pattern ratcheted since #881); - verifies the fiscal period belongs to the company; - enforces per-voucher balance (sum debit = sum credit > 0) since SECURITY DEFINER + the direct draft->posted UPDATE bypass the trigger path; - ships REVOKE ALL FROM PUBLIC, anon / GRANT EXECUTE TO authenticated, service_role (house style). Migration renamed to a current timestamp. Added pg-real coverage for the dimensions round-trip, unbalanced rejection, and foreign-fiscal-period guard. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Jakob Wennberg <jakob.wennberg@gmail.com> Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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5ac560ce41 |
fix: generate tax deadlines for the installed base + correct 2893 label carryover (#1029)
* fix(bookkeeping): refresh correction line description on account change When editing an ändringsverifikation, CorrectionEntryDialog pre-filled each line's description from the original entry but never re-derived it when the user changed the account, so a description carried over from the old account (e.g. 2393 "Lån från närstående personer, långfristig del") stayed stale on the newly chosen account (e.g. 2893, the kortfristig account). The regular JournalEntryForm already auto-fills on account change; this mirrors it. The refresh is guarded: it only overwrites the description when it is empty or still equals the previously selected account's name, so a memo the user typed themselves is preserved. Logic is extracted into a pure, unit-tested helper. Note: the wrong text on an already-posted correction cannot be repaired (line descriptions of posted verifikat are immutable per BFL / migration 017); this prevents recurrence on future corrections. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(deadlines): generate tax deadlines for the installed base Automatic tax deadlines only regenerated when a tax-relevant settings field changed value (didTaxFieldsChange). Companies fill those fields once at onboarding, so a later save changed nothing and generated nothing; the annual cron was the only unconditional trigger. As a result only ~5 of ~776 real companies had any system deadlines, and the /deadlines empty state told users to "check the tax settings" that were already complete. - Settings save now also regenerates when the company has zero system deadlines yet (safe first-time backfill; cannot reset is_completed/status). Decision extracted into shouldRegenerateTaxDeadlines() with tests. - The empty-state banner gets a "Generera nu" action wired to the existing /api/tax-deadlines/generate route (previously it had no caller). New sv/en strings. - generateNewYearDeadlines (annual cron) paginates company_settings via fetchAllRows: a plain .select() silently caps at 1000 rows, leaving companies beyond the cap without next-year deadlines. - scripts/backfill-tax-deadlines.ts: one-off that reruns the real generator for non-sandbox companies with zero system deadlines. Known gap (follow-up): moms_period='yearly' has no deadline config, so annual VAT filers get no momsdeklaration deadline yet. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(deadlines): address review feedback + fix settings-route test - settings/route.ts: fail safe when the system-deadline count query errors. A null count on error was treated as 0, which would trigger a delete+regenerate and reset is_completed/status on a transient failure; now a count error keeps the self-heal off (CodeRabbit, Major). - Update app/api/settings/__tests__/route.test.ts (added on main via the withRouteContext refactor) for the extra deadline-count query and the new shouldRegenerateTaxDeadlines export; add self-heal / no-regen cases. - Soften the "no deadlines created" copy: zero generated rows can also mean no applicable obligations (or the moms_yearly gap), not just incomplete settings (CodeRabbit, Minor). Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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072aedeaf9 |
Fix/supp ag fb (#1023)
* fix: prevent credit notes from entering payment flow * fix: persist and display customer personal numbers * feat: configure automatic invoice reminder days * fix: issue credit notes through send flow * chore: add repository agent guidance * feat(mcp): route tools across user companies * fix(articles): delete unused register entries * feat(invoices): improve issued invoice actions * feat(supplier-invoices): retain uploaded source documents * docs: record implementation decisions * feat: enhance customer personal number handling and validation - Updated CustomerForm to allow personal numbers in the format of "********-1234" for individual customers. - Added validation to ensure personal numbers are only accepted for individual customers in CreateCustomerSchema. - Implemented masking and encryption for personal numbers to enhance data protection. - Introduced new utility functions for masking and encrypting personal numbers. - Added database migration to enforce unique constraints on credit note relationships and prevent duplicate entries. - Enhanced error handling and logging for credit note issuance and invoice processing. - Updated tests to cover new credit note creation guards and personal number handling. * test: enhance list companies test with supabase query mocks |
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a558c75678 |
fix(bookkeeping): clear the period IB link when stornoing an opening balance (#1022)
* fix(bookkeeping): clear the period IB link when stornoing an opening balance Reversing a period's opening-balance verifikat left fiscal_periods.opening_balance_entry_id pointing at the reversed entry, and nothing reads that pointer's status. The storno was a no-op where it mattered: - getOpeningBalances() reads the linked entry's lines with no status filter, so the Balansrapport kept showing the cancelled IB. - Year-end blocks while the pointer is non-null and tells the user to "reverse it before re-running year-end": advice the storno could never satisfy. delete_last_voucher and the opening-balance/correct route both refuse an already-reversed entry, so there was no in-app way out. reverseEntry now drops the link, mirroring the bank-transaction unlink directly above it. getOpeningBalances falls through to the duplicate-safe compute_prior_opening_balances RPC, and year-end can re-book the IB. This also closes the documented residual edge in opening-balance/correct (storno succeeded, relink failed) and makes runYearEnd's rollback comment true. Two statements, not one: enforce_opening_balance_immutability rejects a pointer change while opening_balances_set is still true. Covered by a pg-real test, since a mocked client happily accepts the single-statement version that the real trigger rejects. Found via support: a user could not close 2025 because bogus 2026 opening balances from a SIE import would not go away. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * docs: record the storno/IB-link decision in DECISIONS.md Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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b6332e9ff4 |
Fix/skv connection flow (#1015)
* feat(salary): one-click AGI submission with filing state machine and success feedback The AGI panel required users to know that "Ladda ner AGI-fil" was the generate step, then click submit, signing link, and kvittens manually. A nollkorning filing stalled on "AGI-XML saknas" pointing at a UI path that does not exist. - New primary button "Lamna in till Skatteverket" chains the existing endpoints client-side: generate XML if missing, POST underlag, poll kontrollresultat, create signing link, open Mina Sidor in a tab opened synchronously at click (popup-blocker safe). Inline stepper shows each step; the four old buttons become collapsed advanced/recovery actions, auto-expanded in stale-draft and rejected states. XML download stays visible and free for manual filing. - deriveAgiFilingState() + useAgiSubmission() lift the per-period submission record to the run page: the progress rail and salary hero now render the real state machine (generated, underlag inskickat, vantar pa BankID-signatur, inlamnad med kvittensnummer) instead of telling users to "lamna in" an already-submitted declaration. - Success card with kvittensnummer and signature metadata once signed, plus a toast when a poll flips the state while the page is open. - AGI kvittens cron every 15 min instead of every 2 h so filings signed on another device get stamped and emailed promptly. - Advanced submit also auto-generates, and the stale "Lon -> AGI -> Generera" error text now points at the real buttons. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(enable-banking): instant OAuth callback feedback and dead-attempt cleanup The bank redirect landed on a blank page for the several seconds the callback spent exchanging the PSD2 session and mirroring accounts, and every failed connect attempt left a status='error' row that rendered forever as an "Atgard kravs" card next to a successful retry, showing duplicate connections to the same bank. - Stream a branded "Slutfor bankanslutningen" progress page from the callback: the shell flushes before the session exchange starts and a script/meta redirect follows when the work completes, with a 30s slow-work escape hatch. Fast outcomes (denial, bad params, unknown state) keep their plain redirects. - Delete never-activated connection rows (no session_id, no accounts_data) on denial or exchange failure, and sweep leftovers for the same bank on the next connect. Established connections keep their "Atgard krävs" card via the accounts_data guard; FKs are ON DELETE SET NULL so deletion has no dependents. - Show "Banken ar ansluten: hamtar dina konton" while the settings panel loads after the callback instead of an anonymous spinner. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(invoices): reject re-send of issued invoices and gate bookkeeping on the sent flip A direct POST to /api/invoices/[id]/send against an already-issued invoice re-emailed the customer and posted a second revenue verifikat (createInvoiceJournalEntry has no dedup), overwriting journal_entry_id and orphaning the first entry. Only the UI hid the button; the v1 route and the MCP commit executor already rejected non-drafts. - Non-draft invoices now return 409 INVOICE_ALREADY_SENT. - The draft to sent status flip is an optimistic lock (status guard plus row-count check); journal entry, accrual schedules, PDF archival and the invoice.sent event only run for the request that won the flip. - On a flip failure the journal entry is deferred: the row stays draft and a retry re-runs the pipeline, ending with exactly one verifikat. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(invoices): payment links, failure visibility and sandbox guard for recurring auto-send - sendInvoiceFromSchedule now auto-creates an online payment link via applyPaymentLinkToInvoice before rendering and passes the payment link QR to the PDF: parity with the dashboard and v1 send routes, which recurring invoices silently lacked. - The recurring cron persists last_run_warning both when a claimed run throws (hourly retries stay visible on the schedule) and when a stale schedule is rolled forward, so a deterministic failure can no longer skip a month silently. - Auto-send is blocked for sandbox companies at the email chokepoint (freeze-and-retain: the invoice is still generated as a draft), covering both the cron and the run-now route with one guard. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(salary): close the Fortnox payroll API gaps (phases 1-4) Payroll now runs end-to-end through the open API, including onboarding a client from another payroll system, with every write staged for approval. - v1: per-employee payslips (list/detail/PDF), payslip line writes, run roster attach/remove, absence ranges (per-day storage), jamkning fields, cutover opening balances (single + atomic bulk PUT), vacation balance + vacation-year-close. PUT added to the wrapper's idempotency/ test-key set (test keys could otherwise write through PUT). - MCP: 10 new tools (get_employee/get_payslip/list_absence/ get_vacation_balance reads + staged update_payslip_line, register_absence, create_employee, update_employee, set_employee_opening_balances, close_vacation_year), executors, risk tiers, op-type CHECK expansions. create_employee encrypts personnummer at staging: pending_operations never holds plaintext. - Scope-map audit retrofit: 11 formerly unmapped tools now scoped; BREAKING for keys that relied on the 4 default-allow writes. - Cutover: employee_opening_balances (derived lock trigger, self-unlocks on run correction), engine YTD/karens/liability integration, Ingaende saldon section in the employee editor. - Arbetsschema-lite: employees.hours_per_week/workdays_per_week drive the hourly/daily divisors; legacy 173/21 preserved exactly at defaults so existing pay math is byte-identical. - Vacation ledger + semesterberedning/arsavslut: recomputed per-year day balances (synced on book/correct, non-fatal), year-close with the min-20 floor, 5-year sparade-dagar expiry to forced payout, and a 2920/2940 drift adjustment via the bookkeeping engine; Semester dashboard card with preview-then-confirm dialog. - Fix: Zod 4 defaults leak through .partial(), which made every sparse employee PATCH fail validation and reset defaulted columns. Migrations 20260713100000/101000/110000/121000/122000 (applied to staging with version rows; prod via merge). vacation_ledger renamed from 20260713120000 to avoid colliding with vat_declaration_totals_rpc. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * perf: cut dashboard page-load latency (region, round trips, caching, VAT RPC) The dominant cost was infrastructure: Vercel functions ran in iad1 (Washington D.C.) while Supabase (DB + auth) lives in eu-north-1 (Stockholm), so every request paid 4-5 transatlantic round trips of auth + company resolution before doing any real work (measured 530-1900ms for single-query GETs in prod logs). Pin functions to arn1 and cut the redundant work on top: - vercel.json: functions to arn1, same city as the database - getActiveCompanyId: preference + first-membership queries run in parallel; the fallback result doubles as validation in the common single-company case (one round trip instead of two sequential) - withRouteContext: Server-Timing header and authMs/companyMs/handlerMs in the op-completed log, so latency is attributable per phase - dashboard layout: nav badge counts off the critical path; DashboardNav loads them client-side via the new use-worklist-badges SWR hook with debounced realtime revalidation - swr (new dependency, approved): global provider; useCompanySettings shares one cache entry across consumers and renders from cache on back-navigation instead of re-showing skeletons - /pending: realtime refetch debounced; bulk operations previously fired 4 requests per row-change event - VAT declaration: new get_vat_declaration_totals RPC returns per-account totals, settlement-shape detection (#984) and source_type counts in ONE round trip instead of paging every entry+line through PostgREST. Account lists stay TS-side parameters so ACCOUNT_RUTA remains the single source of truth. Shape-exclusion coverage moved to tests/pg/vat-declaration-totals-rpc.pg.test.ts; DDL already applied to staging. - bundle: CommandPalette lazy-mounts on first Ctrl/Cmd+K, AgentChat dynamic-imports the markdown parser, @vercel/speed-insights (new dependency, approved) added for real-user timings The /salary fetch-waterfall fix from the same effort already landed inside 2084a756. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(invoices): settle öre-rounded payments from the mark-paid flow An invoice with öresavrundning shows a rounded "Att betala" on the PDF; the customer pays that amount (up to 50 öre off the stored öre total) and the invoice-page mark-paid flow rejected it with MATCH_AMOUNT_EXCEEDS_REMAINING: a dead end, while the bank-transaction match flow already absorbed the residual to 3740. - PaymentBookingDialog now proposes the rounded bank leg plus the 3740 residual line (credit when rounded up, debit when rounded down), resolved via getDisplayTotal from the per-invoice override and company_settings.ore_rounding. - settleInvoicePayment and the v1 mark-paid route absorb the sub-krona residual, gated by planInvoicePaymentForLines: absorption applies ONLY when the caller lines carry the exact residual on 3740; otherwise the strict plan applies (sub-krona partials stay partial, no-3740 overshoots keep the 400), so the GL can never diverge from the AR sub-ledger. - planInvoicePayment absorb-band boundary tightened to >= 1 kr: an exactly-1-kr overshoot used to slip past both the guard and the absorb branch and silently over-record paid_amount (pre-existing on the bank-match path). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(security): resolve all 7 PR compliance findings - ASVS V3.3: per-request CSP nonce on the enable-banking finalize page (mirrors the mcp-oauth consent page); inline scripts are nonce-bound - ASVS V16: decouple callback finalize work from the response stream (eager promise + next/server after()) so a client disconnect cannot drop session persistence or the consent_granted audit emit - ISO 27001 A.8.15: failed audit-event emits log through the structured logger with a stable message for log-based alerting - ASVS V2.3: recurring-invoice cron and run-now routes resolve isSandboxCompany themselves and pass an explicit suppressAutoSend flag (defence in depth around the email chokepoint, freeze-and-retain kept) - ISO 27001 A.8.11: stagePendingOperation rejects plaintext personnummer-bearing keys in params/preview_data (key-based guard; EF org numbers make value-matching unsafe) - ASVS V4.5: employee PATCH body is truly sparse; cleared number fields are omitted instead of resetting DB values to hardcoded fallbacks - ASVS V8.2.1: route-level tests pin the v1 cross-company deny (404 by convention, not 403) on the payslip PDF endpoint Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat: implement vacation-year basis change validation and error handling - Added tests to block vacation-year basis changes when open balances exist. - Implemented error handling for open-balances guard query failures in the settings route. - Enhanced absence route to reject reversed date ranges with a validation error. - Updated absence handling to use atomic upserts instead of delete+insert for better performance and reliability. - Refactored salary calculation logic to correctly handle age-based avgifter rates according to Skatteverket's rules. - Improved error messaging for vacation year closure adjustments. - Adjusted employee opening balances handling to preserve audit information during upserts. * feat(settings): add validation to block vacation-year basis change with open balances feat(absence): reject reversed date ranges in absence queries fix(absence): update absence handling to use atomic upserts instead of delete+insert fix(employee): improve validation for jamkning dates in employee updates fix(opening-balances): ensure created_by field is preserved during upserts test(absence): enhance tests for absence range and date validations test(calculation): add tests for age-based avgifter rates and edge cases test(semesterberedning): validate vacation year closure adjustments and error handling test(employee-opening-balances): update tests to reflect changes in salary_run_employees schema * fix(migrations): implement NOT VALID constraints for pending_operations and add validation migration --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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f04dc4c4e0 |
fix(transactions): allow re-linking a bank tx stranded on a reversed verifikat (#988) (#1009)
* fix(transactions): allow re-linking a bank tx stranded on a reversed verifikat (#988) A transaction whose journal_entry_id points at a reversed/cancelled entry reads as "utan koppling" in the UI (the transactions page enriches only status='posted' links), yet the re-booking guards treated ANY non-null pointer as "already linked". So a storno'd/corrected transaction could never be linked to another verifikat or re-categorized: the exact symptom in issue #988. Add a shared hasLiveJournalEntryLink() predicate used by every re-booking guard (linkTransactionToJournalEntry, manualLink, categorize-core, and the MCP link stage-check): a pointer at a non-posted entry is treated as re-linkable, and the two optimistic-locked writes now lock on the exact previous pointer (null OR the stale id) instead of always .is(null), so the overwrite goes through race-safely. hasLiveJournalEntryLink fails closed on a read error so a transient blip can't detach a genuinely live link. The source was fixed in #726 (reverseEntry/correctEntry now detach/re-point the tx); this makes the guards self-heal for the pre-#726 backlog and any future best-effort miss. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(transactions): detect 0-row CAS before invoice effects; fix categorize commit test Addresses PR review (CodeRabbit Critical + CI): - link-journal-entry.ts: the tx UPDATE now .select('id') and treats a 0-row result as LINK_TX_TX_ALREADY_LINKED, failing BEFORE any invoice settlement / invoice_payments insert. Without this, a concurrent re-link that lost the CAS would still mark the invoice paid against a transaction we didn't link (same optimistic-lock contract manualLink already enforces). - pending-operations commit route test: the categorize_transaction "already categorized" case now enqueues the hasLiveJournalEntryLink status read (posted = live) so it still returns 409. This was the core-only CI failure: the new liveness read in categorize-core consumed a queued response. - Updated the link happy-path / invoice-race test enqueues to return a row for the now-selecting tx UPDATE. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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4b51af3d80 |
feat(agent): 'Vad din agent vet' page rendering the ledger context (P2) (#935)
* feat(agent): 'Vad din agent vet' page rendering the ledger context (P2) The human-facing surface for the openwiki ledger-context: a read-only page that renders the exact payload the AI agent reads (Accounted://ledger/context + the briefing digest) as a legible profile of how this company books. - Route app/(dashboard)/agent-knowledge (server component) calls the shared buildLedgerContext(supabase, companyId) directly: one payload, two renderers, no new API or data path. - Sections mirror the payload 1:1: coverage/freshness strip, counterparty patterns (monochrome confidence bars + seen/agree evidence), supplier patterns, explicit rules shown as authoritative instructions distinct from observed patterns, account usage, VAT profile, conventions. - Nav entry in the Analys group (icon Brain), ungated so it doubles as an upsell; flip requiredCapability to paywall. - Design per .claude/rules/design.md (PageHeader, Card, Table, Badge, AccountNumber BAS tooltips); sv + en strings (agentKnowledge namespace). VAT/BAS labels stay Swedish in both locales per i18n rules. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(agent): deep entity-resolved analysis + radial graph for the knowledge page Reworks the 'Vad din agent vet' page from tables into a radial-hub graph driven by a new full-history deep analysis, per founder feedback. - fix(rpc): median_booking_lag_days now measures real posting promptness via committed_at, not entry_date (which the bank flow sets to the transaction date, giving a ~0 tautology: 151/152 on prod). migration 20260708120000. - feat(rpc): get_ledger_deep_context (migration 20260708130000): full-history, deterministic, read-side. Merges counterparties by normalize_counterparty_key (e.g. Claude = 14 bookings across 12 name variants, weekly, 9 710 kr, always 5420), mines booked verifikat for SEK spend (coalesce amount_sek), detects recurrence cadence, dominant account + share, plus supplier entities. Storno excluded, corrections kept; 19xx/26xx excluded from the dominant contra. - LedgerGraph: radial SVG (company center, accounts inner ring, payees outer ring), hover/focus reveals variants + spend + cadence + account. Keyboard focusable nodes with per-node accessible names + a screen-reader data table. - Page fetches the deep context alongside the light context; coverage strip gains tracked-payee / recurring / tracked-spend stats. sv + en strings. - 14 pg tests (light + deep) green; both RPCs applied to prod + version-matched. Reviewed by an adversarial multi-lens pass (accounting/SQL, frontend/a11y, prod-fact verification); all four verified findings fixed (SEK currency, storno-lag guard, keyboard a11y, spacing tokens). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(agent): gentle mount fade-in for the radial map (reduced-motion safe) Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(agent): render the page for a rules-only company (empty-state edge case) isEmpty ignored explicit_rules, so a company with configured mapping rules but no posted transactions hit the 'hasn't learned anything' empty state and lost its rules section. Rules are independent of bookings. (CodeRabbit) Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(agent): show Kompetens (skills) + Fakta (memory) on the knowledge page The 'Vad din agent vet' page now shows the full picture of what the agent knows: alongside the booking map, a compact read-only view of its Kompetens (the Swedish accounting/tax knowledge atoms it ships with, grouped by tier as chips with active/dormant state) and the Fakta it remembers (top learned facts with kind + source), each linking to /settings/assistant for full management. Server-rendered via a new buildAgentCompetence() that mirrors GET /api/agent/skills + /api/agent/memory. Also renders in the no-bookings case so a new company still sees its agent's competence. sv + en strings. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * refactor(agent): restructure knowledge page - hero graph + tabbed detail Declutters the page per feedback: the booking map is the always-visible hero, and the supporting detail (Kompetens · Minne · Regler & profil) moves into tabs so only one view shows at a time instead of a long card stack. Split AgentCompetenceSections into standalone CompetenceCard + FactsCard for the tabs; removed the top stat row on request. sv + en. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(agent): Reconciliation Aurora rewrite of the ledger knowledge graph Full rewrite of LedgerGraph: node area = sqrt(spend), colour = cadence, shape = supplier/counterparty, confidence = depth-of-field; on-mount descriptor-collapse animation with xN badge; cadence pulse veins; deterministic seeded layout; framer-motion only (no new deps); keyboard navigation, reduced-motion and sr-only support. Build-verified; 3-lens adversarial review findings fixed. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(agent): sample-size-honest confidence in the ledger knowledge graph dominant_account_share was raw cnt/total, so a counterparty with a single booking rendered as '100% säkerhet': fake certainty by construction (the data_quality_master Item-C / P3 finding). New migration replaces get_ledger_deep_context with a Laplace-smoothed share (cnt+1)/(total+2) (1/1 -> 0.67, 3/3 -> 0.80) and exposes the raw evidence as dominant_account_count / dominant_account_total. The detail card now shows 'Bokförd hit i k av n fall' under the confidence bar; the existing focus buckets, stroke widths and percent labels inherit the honest value unchanged. pg-real test updated to guard the n=1 case. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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64ea0fef02 |
fix(transactions): resolve customer-invoice payment account from cash_account_id (#987)
* refactor(transactions): add shared settlement-account resolution helper Cherry-picked from fork/worktree-starry-waddling-wirth (PR #985) commit 34d5d35 — pulling in just the new lib/bookkeeping/settlement-account.ts helper and its test, without the match-supplier-invoice route changes from that PR (those depend on 8bfc31d, not yet on main, and are out of scope here). Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(transactions): resolve customer-invoice payment account from cash_account_id Customer-invoice payment matching never resolved the bank leg from the matched transaction's own cash_account_id: it was unconditionally hardcoded to 1930 in buildInvoicePaymentClearingLines, createInvoicePaymentJournalEntry, and createInvoiceCashEntry, with no override parameter at all. Any bank receipt landing in a non-primary cash/bank account (a secondary SEK account, or a foreign-currency account like 1940 for EUR) was silently misbooked to 1930 -- the same class of bug PR #985 fixed on the supplier-invoice side, except unconditional there (no stale-setting trigger needed). Adds an optional paymentAccount parameter (default '1930', preserving behavior for every caller that doesn't pass one) to the three lib functions, and threads resolveSettlementAccount(cash_account_id) through every real bank-transaction-matching call site: the dashboard match-invoice route (POST + preview), its v1/MCP-facing counterpart, and the agent/MCP match_transaction_invoice commit path. Deliberately left on default 1930: mark-paid (dashboard + v1, no bank transaction in scope), fix-cash-mismatch (narrow historical repair tool for a different bug), and the agent mark_invoice_paid commit path. Brings in lib/bookkeeping/settlement-account.ts (cherry-picked from fork/worktree-starry-waddling-wirth commit 34d5d35) so this PR is mergeable independently of #985's merge order. Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * test(invoice-entries): cover ROT/RUT 1513 line stays fixed under a non-default paymentAccount Compliance-bot finding on PR #987: createInvoiceCashEntry's paymentAccount override was only tested against a plain standard_25 invoice, never combined with a ROT/RUT deduction_type item. The 1513 receivable line was already correctly untouched by paymentAccount (it's never the bank leg), this just closes the test-coverage gap. Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(bookkeeping): abort instead of silently defaulting to 1930 when settlement-account lookup errors Same shared-helper fix as PR #985/#986: resolveSettlementAccount now throws BookkeepingDatabaseError on a genuine cash_accounts query error instead of warning and falling back to 1930. An explicit cash_account_id almost certainly resolves to a non-1930 account, so a transient failure masking it risked the same class of misbooking this whole PR series exists to fix, just via infra flakiness instead of a stale setting. No route/commit.ts changes needed: match-invoice (POST + preview) run under withRouteContext's existing catch-all, and commitPendingOperation already has identical generic bookkeeping-error handling for every other engine failure. Added regression tests for all three call sites (dashboard POST, preview, and the agent/MCP commit path) confirming the abort rather than assuming the shared infrastructure handles it silently. Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(v1): guard resolved settlement account against chart of accounts Closes the two remaining gaps from jakobwennberg's triage on #987 (after rebasing onto main and picking up the already-pushed resolveSettlementAccount abort-on-error fix): - Added the v1 match-invoice route-level test coverage that was missing (cash-account threading, BOOKKEEPING_DATABASE_ERROR abort, ACCOUNTS_NOT_IN_CHART), mirroring the dashboard route's existing settlement-account-resolution tests. - Added the same findUnresolvableAccounts pre-validation guard against chart_of_accounts that 32c07c4 added to #986's match-supplier-invoice route, gated on !customLines since that is the only branch here that consumes the resolved paymentAccount. Signed-off-by: Jonas Flodén Signed-off-by: Jonas Flodén <jonas@floden.nu> * test(bookkeeping): align settlement-account error assertion with #985 Use .rejects.toBeInstanceOf(BookkeepingDatabaseError) instead of toMatchObject({ constructor: ... }), matching #985's edef79d follow-up (the assertion was correct either way, but this is the more idiomatic check and now makes the shared helper's test file byte-identical across #985/#986/#987, removing the add/add merge conflict between them noted in the merge-order validation. Signed-off-by: Jonas Flodén Signed-off-by: Jonas Flodén <jonas@floden.nu> * test(invoice-payment-lines): add missing 3740 coverage for non-1930 paymentAccount CodeRabbit nitpick on #987: the test named "...does not affect the FX-diff or öresavrundning lines" only exercised the 3960 FX-diff branch, never the pure-SEK 3740 öresavrundning branch it also claimed to cover. Split into two tests: the existing one renamed to describe only its FX-diff coverage, plus a new pure-SEK sub-krona-short case with a resolved non-1930 paymentAccount asserting the 3740 line books correctly and the bank leg lands on the resolved account, not 1930. Signed-off-by: Jonas Flodén Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(ci): quote compliance-pr.yml name to fix invalid YAML The unquoted colon in `name: compliance: review (advisory)` (introduced by #890's em-dash removal, which swapped an em dash for a colon in-place) makes YAML read it as a nested mapping key, so GitHub can't parse the workflow at all - every run fails with 0 jobs scheduled. Signed-off-by: Jonas Flodén Signed-off-by: Jonas Flodén <jonas@floden.nu> * Revert "fix(ci): quote compliance-pr.yml name to fix invalid YAML" This reverts commit e7c890245d1834cd8f3c9b13a2bc3247fea7eacb. Signed-off-by: Jonas Flodén <jonas@floden.nu> --------- Signed-off-by: Jonas Flodén <jonas@floden.nu> Co-authored-by: Jakob Wennberg <jakob.wennberg@gmail.com> |
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528c53ffe7 |
fix(transactions): stop defaulting supplier-invoice payment account to a stale private-funds setting (#985)
* fix(transactions): stop defaulting supplier-invoice payment account to a stale private-funds setting match-supplier-invoice (POST + preview) defaulted the credited cash account from company_settings.last_supplier_payment_account, a sticky setting written by the manual mark-paid "betald med privata medel" flow. Once that setting held 2893 (skuld till aktieägare) from an unrelated private payment, every later match against a real bank transaction reused it instead of the transaction's actual bank account, silently booking genuine bank payments as shareholder-loan repayments. Resolve the credit account from the matched transaction's own cash_account_id -> cash_accounts.ledger_account instead (falling back to 1930 when unlinked), mirroring the existing settlement-account lookup in transactions/[id]/categorize/route.ts. last_supplier_payment_account is no longer read by either route. Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * refactor(transactions): extract shared settlement-account resolution helper Dedupe the identical cash_account_id -> ledger_account lookup across match-supplier-invoice (POST + preview) and categorize into resolveSettlementAccount, per CodeRabbit's nitpick on PR #985. Pure extraction, no behavior change. Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * test(transactions): cover settlement-account lookup-error and preview parity gaps Adds the two test cases CodeRabbit flagged as missing on PR #985: - POST match-supplier-invoice: cash_accounts lookup errors, falls back to 1930 and warns (previously unexercised). - preview match-supplier-invoice: linked cash account other than 1930 (parity with the equivalent POST-route test). Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(transactions): thread resolved settlement account into FX/cash-method supplier-payment branches Closes the remaining items from the Swedish-accounting-compliance bot review on PR #985: - match-supplier-invoice/route.ts computed paymentAccount via resolveSettlementAccount but only passed it into the pure-SEK clearing branch; the FX branch (createSupplierInvoicePaymentEntry) and cash-method branch (createSupplierInvoiceCashEntry) still defaulted to 1930 internally even though both already accepted the parameter. - resolveSettlementAccount now also warns (and falls back to 1930) when cash_account_id resolves to a row with no ledger_account, not just on a hard query error. - Documents company_settings.last_supplier_payment_account's scope via a column comment: it must never be read to resolve a matched transaction's settlement account. Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * fix(bookkeeping): abort instead of silently defaulting to 1930 when settlement-account lookup errors Compliance-bot finding on PR #987 (applies equally to #985/#986, shared helper): resolveSettlementAccount treated "no cash_account_id" and "lookup threw a real DB error" the same way -- warn and fall back to 1930. An explicit cash_account_id almost certainly resolves to a non-1930 account, so a transient failure masking it risked the exact class of misbooking this whole PR series exists to fix, just triggered by infra flakiness instead of a stale setting. Now throws BookkeepingDatabaseError on a genuine query error; every caller already runs under withRouteContext/withApiV1 (or the pending- operations dispatcher), whose existing catch-all already converts any isBookkeepingError() throw into the correct structured 500 -- no caller changes needed. The "row found but ledger_account empty" case stays warn+fallback (data-integrity gap, not a query failure). Co-Authored-By: Claude Sonnet 5 <noreply@anthropic.com> Signed-off-by: Jonas Flodén <jonas@floden.nu> * test(bookkeeping): use rejects.toBeInstanceOf for settlement-account error assertion Addresses CodeRabbit nitpick from the 2026-07-12 review round: matching BookkeepingDatabaseError via a `constructor` key in toMatchObject is non-idiomatic; toBeInstanceOf is the standard vitest assertion for this. Signed-off-by: Jonas Flodén <jonas@floden.nu> * docs: scope FX/cash-method paymentAccount gap note to /api/v1 and MCP routes CodeRabbit flagged the #1000 reference on PR #985 as ambiguous — the main match-supplier-invoice route's FX/cash-method branches already thread paymentAccount (per the prior entry), so the still-open gap only applies to the /api/v1 and MCP-facing route. Signed-off-by: Jonas Flodén <jonas@floden.nu> --------- Signed-off-by: Jonas Flodén <jonas@floden.nu> Co-authored-by: Jakob Wennberg <jakob.wennberg@gmail.com> |
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98d0c7f2d0 |
Add/stripe skv (#1004)
* fix(salary): align pain.001 salary file with the Swedish domestic bank dialect Verified against the Swedish Common Interpretation of ISO 20022 (Bankforeningen, Common Payment Types in Sweden, Appendix 1 Example 4: Salaries) and Nordea Corporate Access pain.001 examples v2.6 (2026-06-22), and XSD-validated against the official pain.001.001.03 schema: - drop SvcLvl SEPA (SEPA credit transfers are EUR-only; omitting SvcLvl gets the domestic NURG default) - drop RmtInf (not allowed for SALA salary payments; the beneficiary statement text comes from the Dataclearing LON code) - address employees domestically: clearing as CdtrAgt ClrSysMmbId SESBA, account WITHOUT clearing as CdtrAcct Othr with SchmeNm BBAN - share the clearing/account split (Swedbank 5-digit shift, Nordea personkonto prefix dedup) between the LB and pain.001 generators via splitDomesticBankAccount, fixing pain.001 duplicating the personkonto clearing - clamp MsgId/PmtInfId/InstrId/EndToEndId to Max35Text with the per-tx counter surviving truncation; carry the org number on Dbtr - return 400 from the pain001 route on an invalid clearing instead of emitting a broken file Also includes two unrelated decision-log lines from the parallel revisor-review session (DECISIONS.md is a shared append-only log). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(nav): surface the year-end chain in the sidebar Add Periodiseringar, Arsredovisning (aktiebolag only) and Inkomstdeklaration (INK2 for AB, NE-bilaga for EF) to the Skatt & bokslut group, in workflow order. Entity gating via a new entityOnly flag on NavItem; isActive carve-outs extended so exactly one row lights up for the new routes. Driven by an external revisor review that concluded these features did not exist because none of them were reachable from the nav. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(stripe): Stripe Connect integration behind config gate Connect OAuth per company (only the acct_ id is stored), automatic single-use Payment Links on invoice send, deterministic payment settlement against 1686 (BAS moved acquirer receivables 1580 -> 1686), payout booking with reverse-charge fees (6570 + 4535/4598 + 2645/2614), and a 15-minute sync cron. Non-deterministic events land as needs_review, never guessed at. Fully dark without STRIPE_CONNECT_CLIENT_ID: connect returns 503, the send hook and cron no-op, and the settings page shows 'Kommer snart' (hosted) until the Connect platform is verified. Self-hosted keeps the honest not-configured message. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(deadlines): add shared completeTaxDeadline and fix dead AGI deadline auto-complete generate-declaration.ts has updated non-existent columns (type/period/ status) since inception, so the arbetsgivardeklaration deadline was never auto-completed. Replace with a shared helper targeting the real schema (tax_deadline_type/tax_period/is_completed), also used by the kvittens crons and moms handlers in the follow-up commit. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(rot-rut): import Skatteverket beslutsfil and record decisions on payout requests Parse the beslutsfil JSON from Skatteverkets rot/rut e-tjanst and record godkant belopp on the matching begaran: matched by stored skv_referensnummer first, then exact name among active undecided requests; arenden by fakturanummer then personnummer, exactly-one or the beslut errors (all-or-nothing). Never auto-settles: recording the beslut and booking the payout are separate acts. Exposed as an API route and the gnubok_import_rot_rut_beslut MCP tool. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(skatteverket): system auth for background reads, one-click VAT submit, kvittens notifications Hybrid auth program: system CCG (org certificate) for background reads while personal BankID stays for interactive submissions, since SKV per-flow refresh tokens live 65 min and crons structurally cannot run on them. All system-auth code sits behind SKATTEVERKET_SYSTEM_AUTH_MODE (default off) with a stub transport until the Expisoft cert and CCG avtal land; auth resolution is centralized in resolve-auth.ts. Also in this change: - One-click VAT submit chaining kontrollera -> utkast -> las server-side with a stage discriminator; step-by-step buttons demoted to the overflow menu. - Kvittens crons (AGI + new VAT schedule) with email-only notifications, deduped in notification_log under the new skv_kvittens type. - Ombud grant probe + verification UI in the connect panel, and a dashboard promo card for unconnected companies. - skatteverket_company_connections table with pg-real coverage. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(salary): auto-settle AGI tax payment from skattekonto and surface SKV reconnect on the tax card The "Skatt att betala" card only cleared via the manual mark-paid button on the run detail page; the promised automatic flip from the Skattekonto sync was never implemented, so paid periods stayed red. - settleAgiTaxPayments: during every skattekonto sync, a booked "Arbetsgivardeklaration YYYYMM" debit row settles the matching agi_declarations.tax_paid_at, but only when the amount equals the declared total to the ore and the account is not in deficit (deterministic; drift or deficit falls back to manual). - Salary overview card: reconnect hint when the SKV token needs re-consent (link to /settings/tax, silent when the extension is off), plus an inline "Markera som betald" button reusing the existing endpoint and salary_payments strings. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * Add cloud backup scheduling and alerting features - Implement unit tests for scheduling logic in `schedule.test.ts`, covering various scenarios for determining if a backup schedule is due. - Create a new module `backup-alert.ts` to handle failure alerts for cloud backup auto-sync, including email notifications for reauthentication and repeated failures. - Introduce `schedule.ts` to manage scheduling logic, including handling local time zones and converting between local and UTC hours. - Add CSV report generation functions in `archive-csv.ts` for trial balance, income statement, balance sheet, and general ledger, ensuring compatibility with Swedish Excel formats. - Create a README generator for the archive structure in `archive-readme.ts`, providing clear documentation for users accessing backup files. - Implement tests for CSV report generation in `archive-csv.test.ts`, ensuring correct formatting and content. - Establish a full-archive coverage contract test in `full-archive-coverage.pg.test.ts` to ensure all company-scoped tables are properly classified for backup. * fix(stripe): correct invoice clearing reference and improve type safety in sync logic * fix(invoices): narrow accountingMethod before resolveInvoicePaymentSourceType settleInvoicePayment takes accountingMethod as a raw settings string, but resolveInvoicePaymentSourceType requires the 'accrual' | 'cash' union. Normalize at the call site (anything but 'cash' books as accrual), matching the existing useCashEntry semantics. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix: address CodeRabbit review findings and nitpicks on PR #1004 Review findings: - backup settings redirect: always force view=export over incoming params - AGI/VAT kvittens crons: isolate best-effort post-submit calls, check the signed-state persist error, guard recovery calls in catch blocks so one company cannot abort the rest; surface grant_revoked in the run summary - kvittens notifications: atomic claim-first dedup with a partial unique index; map non-uuid reference keys to deterministic uuids - grant probe: record the actual 2xx status; mTLS transport: handle response-stream errors - stripe: amount-aware idempotency keys for payment links; emit stripe.disconnected on upstream revocations - ROT/RUT beslut import: mutate in-memory request state after apply, move item + header writes into an atomic apply_rot_rut_beslut RPC, add rot_rut_payout to JournalEntrySourceTypeSchema - migrations: use NOT VALID + VALIDATE CONSTRAINT for CHECK constraints on journal_entries, notification_log and rot_rut_payout_requests - cloud backup: hour_utc-only schedule updates clear stale hour_local Nitpicks: - stripe sync: enforce the cron time budget inside per-connection event processing with idempotent cursor progress; maybeSingle for settings; honest partial-customer DTO shared with the settlement boundary - shared applyPaymentLinkToInvoice helper for both invoice send routes, v1 docblock documents step 6b and PAYMENT_LINK_FAILED - settings panel: drop redundant decodeURIComponent - cloud backup: document worst-case archive memory headroom Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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ee3c33c7a4 |
docs(api): correct /docs/api against the v1 implementation (#999)
Audited every endpoint, param, header, request/response field, error code, and webhook event in the public API docs against the v1 implementation and fixed the drift; addressed two rounds of CodeRabbit review. - Error envelope, idempotency, dry-run, and reversal-field corrections. - Registered the missing articles/dimensions/inbox-items reference resources. - Cookbook fixes: removed nonexistent endpoints, corrected params/fields, fixed the test-key vs live-key quickstart flow and the year-end lock/close sequence. - Webhooks/changelog: retry window ~87h (incl. route metadata), shipped-vs- coming-soon, counts, API-key format, previous_attributes. - export-docs-to-website.mts absolutises app-served links for the website. The gnubok-website side is on branch docs/api-correctness (already deployed). 🤖 Generated with [Claude Code](https://claude.com/claude-code) |
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7d7f604e00 |
Add/stripe invoice link (#998)
* feat(supplier-invoices): show registered invoices under "Att betala" with inline approve Registered supplier invoices are already booked as debt (2440) but were hidden from the "Att betala" tab until approved, which confused users. The tab now shows registered invoices too, marked "Ej godkand" with a compact inline approve button. Approval remains the gate for payment, not visibility; status model and approve API untouched. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(reports): add date range filter to huvudbok (kontoanalys) Mounts the existing ReportDateRange control on /reports/huvudbok so the ledger can be narrowed to any date range within the fiscal year, matching Fortnox kontoanalys. Lines before the range roll into each account's opening balance so running balances stay correct at the range start; lines after the range are dropped. Applies to the XLSX export too. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(invoices): add optional payment link on invoices (paste-link MVP) The user pastes a payment link created in their PSP dashboard (e.g. a Stripe Payment Link) onto an invoice. The recipient gets a "Betala online" button in the invoice email and a QR code + clickable link in the PDF payment box. No PSP integration server-side: this is the demand probe; a future Stripe Connect integration would auto-fill the same column. - invoices.payment_link_url (migration 20260709090000), https-only + 2048-char cap enforced in CreateInvoiceSchema; empty string normalises to undefined and build-invoice-write always writes a concrete value so clearing the field on a draft edit NULLs the column - editor field (real invoices only) with one-link-per-invoice hint; strings in sv+en (messages landed via e0e11066) - email button (customer.language, hidden for credit notes/proforma/ delivery notes, URL escaped for the href attribute) + URL in the plain-text part - PDF QR + link row following the Swish QR pattern; wired into send, download and preview routes - derived documents (credit note, proforma convert, recurring) do NOT copy the link: it encodes one amount for one specific invoice - MCP gnubok_create_invoice accepts payment_link_url (validated at staging and re-checked in the commit executor); v1 API exposes the column; tools/list token ceiling bumped 45K -> 45.5K (ledger entry in payload-size.bench.test.ts, headroom was <10 tokens) Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(invoices): show oresavrundning on editor/form totals, supplier list and invoice email The rounding logic (getDisplayTotal) was correct but only applied on the PDF, invoice list/detail and review dialog. The invoice editor summary, the supplier invoice form totals and the supplier invoice list showed the raw ore total right next to the toggle, and the invoice email said "Att betala" with the unrounded invoice.total while the attached PDF showed the rounded amount (and the email also ignored the ROT/RUT deduction). Extract the PDF's Att betala block into getAmountToPay (lib/invoices/rounding.ts) and point PDF + email at it so they cannot drift; behavior-identical refactor for the PDF. Booked amounts stay ore-exact; display-only as designed. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * test(reports): adapt huvudbok date-range tests to the two-step entry-lines fetch The date-range tests (0969168f) mocked the old single-query shape with the parent entry embedded on each line; main's refactor (fetchEntryLines) queries journal_entries first and reattaches. Queue entry rows like the other tests so the merge of the two features is actually exercised. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(invoices): fetch full invoice projection in v1 send so ROT/RUT deduction and payment link reach the PDF and email The v1 send route's hand-rolled column list omitted deduction_total, deduction_personnummer_last4, payment_link_url and the item-level ROT/RUT fields, so invoices sent via the public API overstated 'Att betala' and dropped the deduction box. Reuse the shared INVOICE_FULL_COLUMNS/INVOICE_ITEM_FULL_COLUMNS so the send row can never drift from the GET shape again. Also harden the supplier-invoice inline approve: a thrown fetch left the button stuck spinning; failures now refetch the true server state. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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650c7be5e1 |
fix(bookkeeping): revive counterparty template learning (dead since the multi-tenant refactor) (#989)
* fix(bookkeeping): revive counterparty template learning, dead since the multi-tenant refactor (#865) The learning half of counterparty templates has written nothing since 2026-03-30 (prod: 750 SIE imports, zero new templates). Two stacked bugs: - The multi-tenant refactor re-scoped categorization_templates to company_id and the lib stopped writing user_id, but user_id kept its NOT NULL: every insert failed with a null violation that supabase-js returns rather than throws, so nothing was ever logged. Migration 20260711100000 drops the NOT NULL and the dead user_id indexes. - Four of six learning call sites (both categorize routes, categorize-core, the MCP server) passed the auth user id as companyId, so even with the column fixed the writes would fail FK/RLS and corrections could never find the template they were correcting. Hardening while in here: - insertOrUpdateTemplate now checks every write result, logs failures, and returns whether a row was written; populateTemplatesFromSieVouchers reports only templates actually persisted. - Sign-mismatched matches (an incoming refund matching an expense-learned template) previously booked backwards: debit expense / credit bank for money coming IN. They are now mirrored into the correct refund shape (VAT leg reversed for deductible input VAT), flagged requires_review, and excluded from template/rule learning so a refund can never flip a learned template. - Template amounts are computed from the SEK-resolved amount, so foreign-currency transactions no longer produce unbalanced multi-line entries (or VAT computed on foreign units). - SIE extraction no longer hardcodes 25% for 2641 (rate-agnostic in BAS): the rate is inferred from voucher amounts and snapped to 25/12/6%, and reverse-charge counterparties learn vat_treatment='reverse_charge' instead of losing the RC legs (which also no longer poison the ratio base). - New pg-real test locks the exact insert column set against the real schema, so a schema/code drift like this can't ship green again. Closes #865 Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(bookkeeping): mirror fiktiv-moms legs on RC credit notes, exclude import VAT accounts from ratio base Compliance-review follow-ups on #989: - REVERSE_CHARGE_VAT_ACCOUNTS gains the import output-VAT accounts (2615/2625/2635), which pair with 2645 in import vouchers exactly like the RC pairs and must not shrink the business ratio base. - A sign-mismatched match against a reverse_charge template (an RC supplier's credit note) now mirrors both fiktiv legs (credit 2645 / debit 2614) instead of booking gross, so Ruta 30/48 net back to zero. The income line-builder nets VAT credits against debit legs to keep the mirrored pair balance-neutral (identical result for all existing credit-only output-VAT paths). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(types): CategorizationTemplate.user_id is nullable since 20260711100000 (CodeRabbit) Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(bookkeeping): use roundOre for the VAT netting, keep the ore-round ratchet at baseline Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(bookkeeping): review-gate stale 12% templates across the livsmedel transition, pattern-aware direction guard Compliance-review round 2 on #989: - Livsmedel VAT dropped 12% -> 6% on 2026-04-01 (Prop. 2025/26:55) while restaurang/hotell stay at 12%. A reduced_12 template whose last_seen_date predates the transition can no longer be trusted unreviewed: its match is flagged requires_review until a post-transition approval refreshes it (re-approval keeps 12%, a correction relearns 6%). Actively-confirmed 12% counterparties flow without friction. - The opposite-direction correction guard now falls back to the line pattern's business sides when the legacy fields are both settlement-ish and cannot classify a multi-line template. - Documented the accepted import-RC mirroring limitation (2614 vs 2615 ruta attribution) and the netted-vatCredit precondition. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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3a2c57a167 |
feat(billing): paywall conversion pass (deferred first charge, trial touchpoint, sell-view upgrade) (#991)
* feat(billing): paywall conversion pass: deferred first charge, trial touchpoint, sell-view upgrade - checkout passes subscription_data.trial_end (trial grant expiry, 49h floor) so a mid-trial upgrade costs 0 kr today instead of double-billing days the company already has free; billing/status counts 'trialing' as paying - trial countdown pill in the sidebar (CompanyContext.trialEndsAt via getCompanyEntitlements); hidden for sandbox, dev bypass, and once any non-trial grant is active - sell view: what-happens-when timeline, free-vs-paid comparison table, risk-reversal copy + chevron CTA, post-checkout confirmation state Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(billing): review triage: fail-closed trial lookup, hourly countdown refresh, BFL retention note - checkout returns 500 (no Stripe session) when the trial-grant lookup errors, instead of silently charging immediately after the UI promised 0 kr idag - sidebar trial countdown recomputes hourly so a long-lived tab stays honest - sell-view retention copy states BFL 7-year retention explicitly (compliance-bot suggestion) Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * chore: retrigger CI (pull_request event delivery stuck) --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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9d91ee0168 |
fix(vat): keep the momsrapport intact after a manual nollställning (#990)
* fix(vat): keep the momsrapport intact after a manual nollställning (#984) The momsrapport already excludes settlement verifikat tagged with source_type 'vat_settlement' (#983), but settlements booked any other way still zeroed every ruta the moment they were posted: manual momsomföringar booked before the tagged flow existed (the report in issue #984), SIE-imported settlements, and storno reversals of a settlement, which inverted the sign instead and silently doubled the rutor after an annullera. Exclude settlement entries by SHAPE as well: an entry with at least one line on a declaration account (ACCOUNT_RUTA) and at least one on a settlement net account (2650/1650) is bookkeeping about the declaration, not VAT-bearing activity, in both the web projection (fetchVatAccountTotals) and the MCP twin (computeVatReport). Opening-balance entries are exempt: carried-in 26xx balances are unsettled VAT that belongs in the next declaration. Shape-detected POSTED settlements now also gate the "Skapa verifikat" button through existing_entries, since the proposal re-clears the full period and booking it on top of a manual settlement would corrupt the 26xx balances. Stornos never gate, so annullera still re-enables booking. Fixes #984 Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(mcp): stable id order for the paginated VAT-report line fetch (CodeRabbit) fetchAllRows pages with .range(); without a unique .order() rows can shift across page boundaries once a period exceeds 1000 lines, skipping or double-counting journal lines in the rutor. Same discipline as the web projection (fetch-all.ts). Pre-existing, but the query was already being touched for #984. Also documents the shape-rule triage from the compliance-bot review in DECISIONS.md: compound business-VAT-plus-2650 verifikat stay a known accepted residual (a direction guard would break the storno exclusion), and the opening-balance concern is false for app flows (SIE import and set_opening_balances both tag source_type 'opening_balance'). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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2774e01258 |
feat(vat): book the momsrapport as an editable settlement verifikat (#980) (#983)
* feat(vat): book the momsrapport as an editable settlement verifikat (#980) Adds a "Bokfor momsrapporten" card under the VAT declaration that builds an editable verifikat proposal from the report and books it through the ordinary journal entry form: - lib/reports/vat-settlement.ts: proposal builder. Clears each 26xx account at exact ore, books the net on 2650 (att betala) or 1650 (att aterfa) at the filed whole-krona amount (buildFiledAmounts, oretal faller bort per SFL 22 kap 1 par), balances the gap on 3740. Surfaces existing vat_settlement entries in the period so the UI can warn before a double booking. - GET /api/reports/vat-declaration/settlement-proposal: same period params as the sibling report routes. - VatBookingCard (reports view): fetches the proposal, warns when the period already has a posted settlement or draft, and opens the JournalEntryForm (bare, prefilled, source_type vat_settlement) in a dialog so every line is editable before committing. Booking uses the existing engine path: balance validation, period locks, voucher series per source type. - vat_settlement entries are excluded from the declaration projection (calculateVatDeclaration via new shared fetchVatAccountTotals, and the MCP computeVatReport for parity): a pure-projection report would otherwise read zero, and a later Skatteverket submission would file zeros, the moment the settlement is booked. No migration needed: the vat_settlement source type shipped in 20260708100000. Closes #980 Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(vat): block re-booking a settled period, fail loud on lookup errors (CodeRabbit) The proposal is not delta-aware (it re-clears the FULL period), so a second booking while a posted settlement exists would corrupt the 26xx balances: disable "Skapa verifikat" until that verifikat is annulled (storno restores the balances). And since the existing-settlement lookup now gates that button, a swallowed query error would silently re-enable it: throw instead. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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aec81cb7ad |
fix(db): lock down exchange_rates writes, drop duplicate JEL index, receipts anon read (#969)
Three Supabase-advisor findings from the 2026-07-09 production log triage: 1. exchange_rates (rls_policy_always_true): the exchange_rates_insert policy was WITH CHECK (true) for authenticated, letting any signed-in user poison the shared FX cache that feeds money math (amount_sek on ingested transactions, invoice SEK conversion). Migration 20260710100000 drops the policy and revokes INSERT from anon/authenticated; only the service role writes the cache now (the 05:00 enable-banking sync cron and the v1 API-key paths both use the service client). writeCachedRate() in lib/currency/riksbanken.ts was already fail-soft and never inspects the upsert result, so user-client paths (bank file import, refresh-exchange-rate) keep returning the fetched rate unchanged when the cache write is rejected; documented and covered by a new unit test. 2. journal_entry_lines (duplicate_index): idx_journal_entry_lines_entry and idx_journal_entry_lines_entry_id are byte-identical btree indexes on (journal_entry_id), verified via pg_indexes on prod. Migration 20260710101000 drops idx_journal_entry_lines_entry (created outside the migration history); the repo-defined _entry_id stays. 3. receipts bucket (public_bucket_allows_listing): receipts_public_read gave anon SELECT over every object in the bucket, enabling anonymous listing. The bucket is unused: no code references it, public.receipts has 0 rows in prod, 2 orphan objects from 2026-02-26. Migration 20260710102000 drops the anon policy; authenticated own-folder policies stay untouched. New tests/pg/db-advisor-lockdowns.pg.test.ts covers all three (authenticated INSERT rejected, SELECT still works, privilege revoked, duplicate index gone, anon cannot list receipts). Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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f87277393d |
fix(events): retry transient event_log persistence failures and stop racing function suspension (#966)
Production logs (2 months) show ~28 event_log inserts dying with TypeError: fetch failed. Root cause: the MCP server emits telemetry fire-and-forget and returns the JSON-RPC response immediately, so the insert races Vercel function suspension; supabase-js surfaces the dead fetch as a network error which was logged at error level. Two-part fix: - persistEvent (event-log-handler.ts) retries the insert once after 250ms when the error message contains "fetch failed" (network class only; constraint violations and other Postgres errors are never retried). On final failure, telemetry event types (mcp.*, agent.*) log at warn; business events (journal_entry.*, invoice.*, etc., which feed webhook delivery) stay at error. - The mcp-server telemetry emit sites (tool_called, tools_list_called, resource_read, next_hint_followed, skill_loaded, workflow_started, agent.feedback) now schedule the emit via after() from next/server, which keeps the function alive past the response until the emit settles. Falls back to plain fire-and-forget when no request scope exists (direct handler invocation in tests). Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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b4a21b1029 |
fix(documents): RFC 5987 Content-Disposition so NFD filenames stop crashing inline view (#964)
* fix(documents): RFC 5987 Content-Disposition so NFD filenames stop crashing inline view macOS/iOS uploads carry NFD-decomposed filenames (base letter + combining diaeresis U+0308, char code 776). undici Headers require ByteString values (every code unit <= 0xFF), so splicing the raw filename into the Content-Disposition header threw while building the response and the inline document route 500ed. 122 prod documents across 35 companies hit this; last crash 2026-07-09T16:17. Add lib/api/content-disposition.ts emitting the RFC 6266 dual form: an ASCII quoted fallback (NFC-normalize, then replace anything outside printable ASCII plus quote and backslash with _) and filename*=UTF-8''<percent-encoded> per RFC 5987 (encodeURIComponent on the NFC name, additionally escaping ! ' ( ) * which it leaves bare). Use it in the inline document route and in the two latent same-shape sites that embed raw employee names in payslip PDF headers. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(api): sanitize lone surrogates before percent-encoding Content-Disposition (CodeRabbit) Unpaired UTF-16 surrogates survive normalize('NFC') and make encodeURIComponent throw a URIError, so replace them with U+FFFD via String.prototype.toWellFormed() before encoding so the helper always returns a valid header value. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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a8801430f4 |
fix(reports): stop driving report queries from the unfiltered journal_entry_lines side (#971)
* fix(reports): drive report line queries from journal_entries, not the unfiltered lines side
Every report generator fetched journal_entry_lines with a
journal_entries!inner(...) embed and put the tenant filter on the
embedded side (.eq('journal_entries.company_id', ...)). PostgREST
compiles that to a correlated INNER JOIN LATERAL with a parameterized
LIMIT inside, which blocks join reordering: Postgres walked the ENTIRE
journal_entry_lines table (603k rows, all tenants) per report query.
Measured in production: 13.6 s vs 2.7 ms for the equivalent plain join,
against Supabase's 8 s statement_timeout; nightly cloud backups failed
for 5 of 11 companies on 2026-07-09 and a GL report 500'd.
Introduce lib/bookkeeping/entry-lines.ts with a shared two-step fetch:
1. fetch matching journal_entries (id + caller-selected columns)
filtered by company_id / fiscal_period_id / status / entry_date /
source_type, paginated via fetchAllRows;
2. fetch journal_entry_lines with .in('journal_entry_id', chunk) in
chunks of 100 ids (URL-length safety), paginated per chunk;
3. reattach the parent entry to each line under the embed's key shape
(line.journal_entries = {...}, aliasable) and sort lines by id
ascending to preserve the old .order('id') semantics.
Converted call sites (selected columns and filters preserved):
trial-balance (x2), general-ledger, journal-register, sie-export
(reuses its existing entry list via fetchLinesByEntryIds),
vat-declaration, dimension-pnl, opening-balances, monthly-breakdown,
periodisk-sammanstallning, rc-basis-gaps (sibling-line fetch now also
chunked), ar-reconciliation, supplier-reconciliation,
bank-reconciliation, asset-service (x2), bolagsskatt-calculator,
sarskild-loneskatt-calculator.
Tests: unit tests for the helper (chunk size, reattachment shape,
forced id/journal_entry_id columns, empty result, cross-chunk sort,
error propagation); existing report/reconciliation/bokslut test mocks
updated to the two-step query shape, preserving every assertion about
report output.
From the 2026-07-09 production log triage.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* fix(reports): stop echoing raw error messages from the general-ledger route
The catch handler returned err.message to the client in
details.reason; internal error strings (SQL fragments, table names,
timeout messages) must not reach the browser. The error is already
logged server-side with the request id, so the client envelope keeps
only the REPORT_GENERATION_FAILED code.
From the 2026-07-09 production log triage.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
---------
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
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82c66739d7 |
fix(transactions): steer duplicate guard to matching for ledger-only vouchers (#958)
When the booking-time duplicate guard flags a ledger-only voucher candidate (transaction_id null: a verifikat from an SIE import, a paid invoice, a salary payout), the dialog's primary action is now "Matcha mot verifikatet": it links the bank transaction to the existing voucher via /api/reconciliation/bank/link (the same path MatchVoucherDialog uses) instead of double-booking the same affarshandelse. "Bokfor anda" stays available but demoted to an outline button. Sibling-transaction candidates keep today's layout: matching a second bank line onto a voucher that already has one is the N:1 edge case, not the default. Wired through both call sites: the transactions page (runCategorize) reuses handleVoucherLinked's refresh, and TransactionBookingDialog (JournalEntryForm, /api/transactions/[id]/book path) reuses the booked flow so in-dialog attached documents land on the matched verifikat and the row leaves the list, with a "Bankhandelsen kopplad" toast instead of "Bokford". No lib change: the candidate payload already carries the transaction_id discriminator, covered by existing detection tests. Closes #919. Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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2e7931b36b |
feat(customers): let users set a customer number shown on the invoice (#957)
Implements #914 (kundnummer on customers, printed on the invoice PDF). - Migration: nullable text column customers.customer_number, no unique constraint in v1 so existing rows and imports keep working. - API: CreateCustomerSchema/UpdateCustomerSchema accept an optional customer_number (trimmed, max 32 chars, nullable-then-optional so the OpenAPI registry sees it as not required); create/update routes persist it and normalize empty string to null so it can be cleared. - v1 public API: customers create/detail/update round-trip the field (insert and update field lists, response projections, response schemas), and the invoices :send route fetches customer_number in its explicit customer join so the emailed PDF matches the downloaded one (the pdf route already selects customers(*)). - UI: optional Kundnummer field in CustomerForm (next-intl keys in both sv and en), wired into the edit dialog's initialData; read-only Kundnummer row on the customer detail page's business-details card. - Invoice PDF: renders "Kundnr:" / "Customer no.:" in the customer box when set; the PDF reads the live customers join, so no snapshot column is needed. - Tests: route tests cover 400 validation, trimming, clearing with null/empty, and omit-leaves-untouched on POST and PATCH; v1 tests cover the create/update round-trip (insert/update payload + response projection) and the :send customer-join projection. Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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2c5e1ce317 |
fix(enable-banking): release ledger claims on disconnect so reconnect lands on the original account (#916) (#955)
Disconnecting a bank left its cash_accounts rows pointing at the revoked connection, so the BAS slot (e.g. 1930) looked taken forever: reconnecting the same bank was shunted to 1939 and the picker save was rejected with a 400 the user never saw. Four coordinated fixes: - DELETE /disconnect now demotes the connection's cash_accounts rows to manual (bank_connection_id = null) after marking the connection revoked. Rows are never deleted: transactions.cash_account_id and ledger history reference them, and upsertFromPsd2 promotes manual holders in place on reconnect. - findFreeLedgerAccount and the PATCH /accounts collision guard no longer count claims held by revoked connections (new getRevokedConnectionIds helper). This is the self-heal path for rows orphaned before this fix: no manual data repair needed. - upsertFromPsd2 promotes a holder row owned by a revoked connection in place (same as the manual seed row), keeping the row id stable so the ledger's transaction history stays attached. A duplicate row for the same connection+uid on an overflow slot (mirrored there by the callback while the slot was wrongly blocked) is merged: deleted when it has no linked transactions, demoted to manual otherwise. Either way a primary duplicate hands the flag to the promoted row, so the __PRIMARY_SEK__ sentinel never resolves to a deleted or stale manual row. The linked-transactions probe is company-scoped (defense in depth on the service-role client). - AccountPickerDialog surfaces rejected saves inline in the picker with the picks intact instead of routing them into the sync-progress modal. It also stops signaling the parent to close before the request resolves: the parent unmounts the whole component on close, which tore down the progress modal mid-flight and made every save outcome (including the 400) invisible. Tests: allocator revoked-exclusion + promote/merge unit tests in lib/cash-accounts, PATCH self-heal case in accounts-route.test.ts, and a new disconnect-route.test.ts covering claim release and its failure mode. Fixes #916 Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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982fe77f72 |
fix(import): actionable hint when a bank CSV lands in the opening-balance importer (#953)
* fix(import): hint when a bank statement is uploaded as opening balances Uploading a bank statement CSV to the opening-balance importer produced the generic 'Inga konton med belopp hittades' error with no clue that the file belongs in the bank-transactions importer (#918, users got stuck together with #915). When the opening-balance parse yields zero account rows, the parser now runs the registered bank-file format detectors over the CSV content (the generic CSV fallback never auto-detects, so any match is a real bank format) and reports the matched format name as detected_bank_format on the parse result. The upload step then shows an actionable Swedish error naming the bank plus a button that routes to the bank-transactions importer (/import?mode=bank). Closes #918 Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(import): use the standard bank-import CTA wording (CodeRabbit) Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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b21aa84268 |
fix(import): parse the real 2026 Lunar CSV export (issue #915) (#952)
The Lunar parser was written against an assumed format. The actual 2026 export is: Date,Time,Title,Amount,Balance,Transaction ID with quoted amounts using a comma decimal and a SPACE thousands separator, UTF-8 BOM. Defect A (silent data corruption): parseLunarAmount only stripped '.' as a thousands separator, so parseFloat stopped at the space and "12 345,00" parsed as 12. Now strips all whitespace (including NBSP U+00A0 and narrow NBSP U+202F) plus periods, converts the comma decimal, and guards with Number() + Number.isFinite so garbage rows are skipped instead of partially parsed. Legacy period-thousands files still parse correctly. Defect B (auto-detection miss): detect() required the header token "text" but the real header uses "Title", so the file fell through to "Unknown format". detect() and the description column lookup now accept title (2026) with text as the legacy fallback. Regression tests cover 2026 header auto-detection with BOM, space thousands amounts and balances, Title-column descriptions, stats and date range, and legacy format backward compatibility. Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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c1ea0d9bf2 |
fix(salary): make pain.001 betalfil generatable (company IBAN + BIC) (#950)
The ISO 20022 pain.001 salary payment file could never be generated: the route required company_settings.iban/bic, but no settings screen wrote those columns, so every request returned 400. The specific reason was also swallowed by getErrorMessage (isSwedishUserMessage did not know "krävs"/"saknar"), surfacing only the generic "Förfrågan innehåller ogiltiga uppgifter" (issue #945). - Add IBAN + BIC inputs to Settings > Fakturering > Bankuppgifter. BIC auto-derives from the clearing number / bank already entered, so in practice only the IBAN is typed. Validated client- and server-side. - Route requires the company IBAN (canonical debtor form every Swedish bank accepts) and derives the BIC, with clear actionable errors. - Employees are unchanged: domestic clearing + account (BBAN), which is what Swedish payroll collects. Only the company (debtor) uses IBAN. - getErrorMessage recognizes "krävs"/"saknar" so payment-file reasons surface instead of the generic 400. Fixes #945 Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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bacc5914af |
Fix/dependabot cus feedback (#946)
* feat(bookkeeping): per-account default VAT, oresavrundning momsfri Add a per-account "Standard moms" setting to the chart of accounts and use it to auto-fill the moms on a leverantorsfaktura-rad when that konto is picked. Oresavrundning (3740) ships as "Ingen moms", so a rounding line no longer inherits the 25 % rad-default and skews the moms. - chart_of_accounts.default_vat_rate (0/0.06/0.12/0.25, CHECK-constrained) - BEFORE INSERT trigger ships 3740 momsfri on every insert path; backfills existing 3740 rows - kontoplan editor: dead free-text momskod replaced with a Standard moms select - supplier-invoice rad auto-fills the rate from the konto default Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * feat(supplier-invoices): configurable start number for the ankomstnummer series Add a company_settings.next_arrival_number start floor so a company can continue its leverantorsfaktura numbering from a previous system (e.g. Fortnox) instead of restarting the ankomstnummer at 1. get_next_arrival_number now floors the series via GREATEST(MAX(arrival_number)+1, next_arrival_number), so the floor can never move the series backwards or collide with the (company_id, arrival_number) unique index. The RPC is hardened while rewritten: SET search_path to empty, schema-qualified refs, and an auth.uid() membership check matching generate_invoice_number. Includes the settings UI field, sv/en strings, migration, and pg-real coverage. The CompanySettings type and Zod schema field for this feature landed earlier in 1bf3b641 (swept into the per-account VAT commit). Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(dependabot): reduce open pull requests limit and group updates for better management --------- Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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3a3c4adbc6 |
Bug/ai assistant config (#939)
* revert(agent): restore plain AWS_* Bedrock credential handling
Undoes the credential-name change from #937 (
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ae489cfdcb | fix(client): update AWS credential handling to prefer BEDROCK_AWS_* environment variables (#937) |