c84f951a5c2f51279277a506754b2bd94de28249
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f24b26a139 |
fix: similar-sweep currency remediation, security hardening and v1 API fixes (#1215)
* fix(security): gate replace_sie_import behind owner/admin membership The RPC was SECURITY DEFINER with EXECUTE granted to PUBLIC and anon, no company_members lookup, no auth.uid() reference and no unauthorized raise, while setting gnubok.allow_delete to disarm the BFL immutability and retention triggers. Any caller holding a company_id and an import id could hard delete another tenant's verifikationer. Confirmed live in production. Applies the same fail closed owner/admin guard that undo_sie_import already carries (migration 20260624120000), resolving the actor from COALESCE(p_user_id, auth.uid()) so it denies when the role is NULL, then revokes EXECUTE from PUBLIC and anon. search_path and the raised statement_timeout are restated, since CREATE OR REPLACE drops settings that are not repeated. userId is a required parameter on replaceSIEImport: the service client has a NULL auth.uid(), so a caller without an explicit actor now fails to compile rather than hitting the closed gate at runtime. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(security): validate arcim OAuth callback state server side The callback route is skipAuth and decoded the state parameter as plain base64url JSON, trusting consentId and provider from it. A one time code was minted at flow start and never read. An unauthenticated attacker who learned a consent id could run an OAuth flow on their own provider account and post the callback with a forged state, landing their tokens on another tenant's consent, so the victim's next migration imported the attacker's ledger. State is now an opaque randomBytes(32) pointer to a provider_otc row, consumed by a single atomic UPDATE guarded on used_at IS NULL and expires_at, so a replay loses the row lock race and updates nothing. provider is read from provider_consents rather than trusted from the client. provider_otc already existed for exactly this purpose and was never wired up. Also scopes getConsent to an owning company, closing a cross tenant status oracle where the preview and migrate paths echoed a consent's status before the scoped check ran. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(security): scope documents storage to company_id (phase A) The documents bucket policies matched on auth.uid(), and upload keys were documents/{userId}/..., so company membership was never consulted. Removing a member revoked nothing: their session still authenticated and they kept direct Storage read access to every receipt, supplier invoice and bank statement they had uploaded. The same bug was fixed for sie-files in 20260416120000; this bucket was left behind. Phase A is additive. Company scoped policies are added alongside the uploader scoped ones, uploads move to documents/{companyId}/{userId}/..., and reads accept either layout so nothing breaks mid migration. Phase C, which drops the old policies, is gated on the backfill reporting zero remaining legacy prefix objects. The policy compares the company segment as text rather than casting to uuid the way sie-files does: this bucket holds keys whose second segment is not a uuid (MCP audit packages), and Postgres does not guarantee the bucket prefix qual runs before the cast, so a planner reordering would raise 22P02 and fail the whole query instead of filtering the row out. deleteDocument now removes both candidate keys. Removing only the stored pointer would leave a readable orphan copy of a document the user asked to erase. The backfill script is included but has never been run. It defaults to dry run, refuses .env.local by name, and verifies each copy is readable and SHA-256 identical before repointing the row. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(security): enforce events:read scope and membership on /api/events This was the only one of the three validateApiKey call sites with no downstream guard: v1 and the MCP server both check scope and re-verify company membership, this route did neither. An events:read scope existed and was documented as gating the endpoint but was never called, so a legacy key falling back to DEFAULT_SCOPES read the full log. The bound company id went straight from the api_keys row into a service role query, so a key whose user had been removed from the company kept reading. Adds the scope check before any database access, re-verifies company_members with archived_at IS NULL, honours test mode by stamping X-Gnubok-Mode instead of ignoring it, applies minimisePayload so the pull surface can never return a wider payload than the push surface, and replaces the three flat error strings with the canonical envelope. Test key reads are served rather than blocked: TEST_KEY_WRITE_BLOCKED is gated on mutations in with-api-v1, so a read gets the same treatment as every other v1 read endpoint. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * perf(bookkeeping): sweep remaining journal_entries!inner embeds A previous refactor removed this pattern from lib/reports and introduced fetchEntryLines, but the class was never swept. Seventeen sites remained and had become the top application consumer of production database time: measured across the resulting query shapes, 32,694 calls and 25,848 seconds of execution, mean 790ms, with shapes averaging 2.6s and 3.0s and maxing at 7,962ms against the 8s statement_timeout, which surfaced to users as 500s on the booking path. PostgREST compiles an embed with filters on the embedded side into a correlated INNER JOIN LATERAL with a parameterized LIMIT, which stops Postgres reordering the join, so each query walked the whole journal_entry_lines table across all tenants. Driving from the entries side instead turns that into two indexed round trips. Converted sites keep their existing shape: the helper reattaches the parent entry under the same key the embed produced. Several conversions also remove a latent silent truncation where an unpaginated query was capped at PostgREST's 1000 row ceiling. Two deliberate exceptions. The free text ilike legs of the MCP display query stay on the embed, because each is capped at legLimit and that cap drives the truncation contract the tool reports, while the helper is unbounded. The accounts route moves to the existing get_account_usage_counts RPC instead, since its embed was a head count and the helper returns rows. commitEntry's write path is untouched: the change there is confined to the read query of the pre-commit dimension rule check. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(api): anchor v1 list cursors on created_at Page two returned page one, forever, while still advertising a fresh next_cursor. The three routes sorted by and encoded a Postgres date column, which serializes as YYYY-MM-DD, but decodeDefaultCursor validates the cursor timestamp as full ISO-8601 and returned null, so the keyset filter was never applied and has_more never went false. An integrator syncing verifikat looped on the newest rows indefinitely. The transactions route already solved this and its comment names the trap; the fix was never ported. All three now order and encode on created_at with an id tie break, matching the transactions keyset predicate exactly. ISO_TIMESTAMP is deliberately left alone: relaxing it would silently change sort semantics on the route that currently works. Default ordering therefore moves from business date to insert order. Every business date is still on the row, and the invoices list gains date_from and date_to filters so a date range is still reachable; the other two already had them. The tests use an in-memory PostgREST that actually evaluates the filters, because the repo's pass-through mock cannot catch this class of bug: the bug is that the filter is never sent. They walk to exhaustion with a hard iteration cap, so an unterminated walk fails instead of hanging. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(api): separate dry run from commit in the idempotency hash The request hash was built from url.pathname, which excludes the query string, so a dry run and its commit hashed identically. Following the flow documented in dry-run.ts, re-issuing the request with the same Idempotency-Key returned the cached preview with Idempotent-Replayed set and wrote nothing, while reporting 200. An agent or integrator saw success for a write that never happened. dry_run is folded into the hash only when true, not as an unconditional boolean. Including it as false would change the hash of every ordinary write, and with a 24h idempotency TTL any key in flight across the deploy would fail the request_hash comparison and 409 on a legitimate retry. Both hash call sites now go through one shared helper so they cannot drift into a permanent cache miss, and dry run responses are no longer stored at all. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * ci: install the Bedrock SDK out of tree in the compliance review The Swedish accounting compliance gate had failed ten consecutive runs and so was posting nothing. With --no-package-lock npm discarded the lockfile and re-resolved the whole tree from package.json, floating @hookform/resolvers to 5.4.3, whose valibot ^1 peer conflicts with the pinned valibot 0.39.0. Installing into the parent of the checkout resolves only that one package, so an unrelated peer conflict can never take the gate down again. Node still finds it because ESM bare specifiers walk up parent node_modules; NODE_PATH would not have worked, as it is CommonJS only. --legacy-peer-deps was rejected because it masks future genuine peer conflicts and still reifies the full tree. The same step's SDK version is aligned from 0.31.0 back to the 0.29.1 that package.json and check:guards enforce after the streaming outage. That drift went unnoticed because the pin guard only inspects package.json and the lockfile, never workflow files. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * build(docker): generate crontabs from vercel.json vercel.json defines 16 cron jobs; both Docker crontabs carried 9, and were byte identical to each other. Self hosted deployments therefore never sent recurring invoices, never dispatched webhooks and never cleaned up idempotency keys. tax-deadlines also ran once a year on 2 January instead of daily, and documents/verify weekly instead of daily. Extension crons are included rather than excluded. The Dockerfile copies the whole tree before building, so every extension cron route is compiled into the image regardless of the enabled preset, and each returns 200 when its extension is unconfigured, so curl -sf logs no failure. Two such entries were already present in the crontab for extensions absent from the preset, which settles the intent. documents/verify is treated as drift rather than a self hosted concession: the weekly cadence was present in the hosted crontab too, and the run is capped at 200 documents walking a nulls-first queue, so weekly drains the integrity queue seven times slower on a check that exists for BFL retention. webhooks/dispatch keeps its per minute cadence, adding 1,440 requests a day on self hosted. A gentler tick would silently stretch the first retry, since the retry ladder opens at 60 seconds. SCHEDULE_OVERRIDES is the one line place to change that. A parity test asserts the path sets match minus a documented exclusion list, and ratchets three cron routes that are currently scheduled nowhere so they are named rather than silently rotting. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * chore(observability): add a provider agnostic error sink There is no error tracking in this codebase: logs go to console and Vercel retention and nowhere else, nothing alerts on the 16 cron jobs, and seven code comments across lib, app, components and extensions asserted that Sentry captures errors when Sentry is not a dependency. The two most recent bug fixes on this repo were both discovered by customer email. This adds the sink, not a vendor. No dependency is taken: the interface has a no-op default and a registration point, so behaviour is unchanged until an adapter is registered. Releases are tagged from the build id already inlined by next.config.ts. Redaction moved out of lib/logger.ts into a leaf module that both the logger and the sink import, so there is one denylist and no path from application data to a third party can skip the personnummer regex, including direct sink calls that bypass the logger. That matters here because these logs carry personnummer and financial data. verifyCronSecret now reports its own 401s, which covers all 16 jobs without touching a route file and catches the case where CRON_SECRET is rotated without updating the scheduler and every job silently 401s forever. The threshold is one failure rather than the backup alert's three: suppressing the first occurrence is precisely how an outage stays invisible. The seven misleading comments are corrected to describe what the code actually does, including the two cases that still are not covered: the client side one, since the sink is server side, and a warn level call that is not forwarded. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix: remediate the 2026-07-26 similar-sweep findings across all surfaces Resolves the ~150-finding sweep (dev_docs/similar-sweep-2026-07-26.md) with one agent per finding; every behavioural fix carries a regression test proven to fail at HEAD. Full status, corrections to the sweep, refusals and open decisions in dev_docs/similar-sweep-2026-07-26-remediation-status.md. Structural roots closed: - resolveSekAmountOrNull(): honest SEK resolution refuses instead of booking 1:1; four duplicated toSek closures now refuse via INVOICE_FX_RATE_MISSING - ledger-line-amount.ts: journal_entry_lines.currency labels the document, not the amount; SQL pre-filter decoy proven and fixed - sparse-patch.ts: .partial() does not strip .default() in Zod 4.4.3; the exploitable salary payslip-line PATCH and KPI preferences sinks fixed - tests/schema: migration-replay phantom-column guard (13k+ refs, closed CHECK sets, onConflict targets); found 28 real defects, all fixed, all four baselines now empty - three new ratchet guards: sek-labelled-amount, cross-extension-import, ungated-extension-route Highlights: lawful VAT-rate set on all seven invoice surfaces (ML 6 kap), RC input VAT mismatch wired on web + both MCP callers, missing-underlag resource delegates to the shared RPC predicate, push-notifications consent polarity fail-closed, deadlines undo honours requested state, silent-failure and read-side-fabrication classes fixed across settings/KPI/inbox/Stripe/ Arcim/kassaflodesanalys, error-envelope stringification fixed at 10+ sites with isSwedishUserMessage extended. Also includes the parallel session's MCP invoice tools (update_invoice, recurring schedules, invoice deliveries) which share files with the sweep work and are verified green together. 13 new migrations are NOT applied anywhere; they apply via branch merge. 20260726120000 backfills 1247 supplier-invoice rows. pg tests for new DDL are written but unrun (no local Postgres). Verified: 11088 tests / 881 files green, tsc 0 non-test errors, lint 0 errors, check:guards passing, MCP payload 57475/57500. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(migrations): rename replace_sie_import migration off main's 20260726090000 version origin/main shipped 20260726090000_agent_quota_rpc_caller_guard.sql; keeping our replace_sie_import migration on the same version would abort the Supabase apply with a schema_migrations_pkey duplicate at merge time. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(review): remediate pre-publish deep-review findings across all slices A 13-agent review of the full branch diff surfaced 1 critical, 5 high and ~45 further findings; this commit resolves them in one pass: - replace_sie_import / undo_sie_import: p_user_id honored only for service_role callers; any other caller is pinned to auth.uid() (impersonation gate bypass), authz raise errcode 42501 mapped to a Swedish 403 in the route, new caller-guard migration for undo - bulk_book_transactions refuses homogeneous non-SEK batches instead of writing foreign magnitudes into SEK ledger columns - credit-note cap trigger: company-match on credited_invoice_id, no cross-tenant figures in exception text - link_voucher RPCs resolve NULL invoice currency as SEK end to end - personal-number ciphertext CHECK split into NOT VALID + VALIDATE - same-currency foreign settlements clear 1510 at booking rate and book realized diff to 3960/7960; rate-less foreign write paths refuse - receivables revaluation covers partially_paid and outstanding amounts - period lock guard paginates candidates past the PostgREST 1000 cap - documents: service-client storage removals after authz, dual-layout reads in integrity cron and archive export, backfill delete-source sweep actually deletes with hash verification and shared-key grouping - invoice matching normalizes NULL/lowercase currencies (regression), duplicate candidates stop claiming amount matches they never ran - match-invoice aborts on any booking failure (no paid-without-verifikat) - refresh-exchange-rate reverts on concurrent booking (TOCTOU window) - KPI preferences upsert arbiter aligned to the company-scoped constraint - personnummer_last4 stripped from all salary responses incl. MCP tools - worked-hours batch restores destroyed rows on conflict and error paths - MCP: shared duplicate-claim builder (no more 'null kr'), short-circuit on tag_journal_lines overflow, auto_send schedules stage as high risk - observability sink redacts emails/IBANs/API keys and keeps redacted stacks in prod; assorted small guards (safe-return-to /@, dry_run=True, cursor helper off-by-one, OAuth state TTL 10 min, arcim saveMappings call removed) Full dispositions, deferred items and hand-verified accounting numbers are documented in the PR body and DECISIONS.md. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(personnummer): implement masking and encryption for personal numbers with tests * fix(review): address CI and compliance-bot findings for PR #1215 pg-real: the CI image's auth shim reads the legacy request.jwt.claim.role GUC, so both service-role simulations (runAsServiceRole and the invoice-delivery test's local helper) never satisfied auth.role() = 'service_role' and every legitimate p_user_id path failed closed; the shared helper now sets both GUC shapes plus SET LOCAL ROLE with a fail-loud sanity check, and the delivery test reuses it. The link-voucher migration had recreated both RPCs from pre-rewrite file text, reintroducing the NULL-unsafe membership pattern the null-safe-tenant-guards ratchet bans; both guards now use public.caller_is_company_member() with all currency changes preserved. Compliance bots: the customers export now emits the standard masked form instead of raw AES-256-GCM ciphertext in the Org-/personnummer column, and maskCustomerRow returns a non-round-trippable placeholder on decrypt failure instead of 500ing the list. MCP parity: gnubok_lock_period's staging pre-check now runs the exact countUnbookedInPeriod the commit path enforces (exported from period-service; local mirror deleted), and gnubok_agi_status resolves AGI state run-scoped so a correction run no longer renders as already filed. Declined with evidence: PR-Agent's opening-balances null-zeroing concern (all mergeable columns are NOT NULL with defaults per 20260713101000). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(review): address codex review findings on PR #1215 - restore 20260726140000 to its preview-recorded content and restate the NULL-safe tenant guard under 20260727130000: a recorded migration version never re-runs, so the in-place edit could not reach the preview branch - replace toFixed() with sv-SE two-decimal formatting in the ROT/RUT cap warning texts and update the pinned test expectations - drop the em dash in the fiscal-periods route comment - strip trailing whitespace in import-existing.test.ts Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * test(reports): raise timeout on real PDF render tests renderToBuffer does real @react-pdf layout work and exceeds the 5s default when the full suite saturates the CPU; tests pass in isolation. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> |
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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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ec27228a8e |
style: remove em/en dashes repo-wide, add CLAUDE.md rule against them (#890)
Em dashes (—) and en dashes (–) had spread across comments, docs, tests, and a few UI strings, reading as AI-generated boilerplate rather than house style. Replaced each with punctuation matching its context: colon for explanatory clauses, comma for asides, plain hyphen for numeric/legal ranges (e.g. "21-23§"), "to"/"till" for date ranges, parentheses for paired-dash asides. messages/en.json and messages/sv.json were fixed by hand together to keep sv/en in sync. Left untouched where the dash is the functional subject rather than decorative punctuation: date-range-parser.ts's separator regex, charset-repair.ts's CP1252 byte-mapping table (and its test), the SIE encoding mojibake docs, generic-csv.ts's minus-sign normalizer, the agent system-prompt files that already instruct against em dashes, and a golden iXBRL test fixture compared byte-for-byte. Also fixes two bugs surfaced along the way: an off-by-one in ApiKeysPanel's scope-label split (a leftover from an earlier partial pass), and a charset-repair test that had lost the literal en-dash it exists to verify. Regenerated the agent atom seed migration (skills:generate) since 27 SKILL.md files changed. Added a CLAUDE.md rule against em/en dashes, with an explicit carve-out for the functional-dash cases above. Co-authored-by: Claude Sonnet 5 <noreply@anthropic.com> |
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b38b3d0230 |
fix(bookkeeping): settle öre differences to 3740 and improve supplier-invoice matching (#699)
Whole-krona Bankgiro/Swish payments of öre-bearing invoices were stranded as partially_paid forever (e.g. 11 231 paid on an 11 231,25 invoice left 0,25 kr open). Book the sub-krona residual to BAS 3740 (Öres- och kronutjämning) and settle the invoice in full, on both the supplier- and customer-invoice match flows. New shared pure helpers buildSupplierPaymentClearingLines + planSupplierPayment mirror the customer-side primitives; routing preview and commit through the same builder also fixes two pre-existing preview↔commit drifts (payment account + line descriptions). Öre absorption is accrual-only — cash entries book the full invoice, so absorbing there would hide a 1930 discrepancy. Also improves supplier-invoice ↔ bank matching: - Pass-3 date window now spans [invoice_date-5, due_date+5] instead of due_date ±5, so early payments auto-match; an ambiguity guard demotes non-unique amount matches to suggestions. - New retroactive matcher (on supplier_invoice.registered/.approved) surfaces the settling bank payment when the invoice is registered after the payment was imported. Matches are written as suggestions for one-click confirm-to-book, never silently auto-booked. Tests: new unit tests for both pure helpers; extended matching, handler, customer öre, and route suites. Full suite green (407 files / 5364 tests). Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com> |
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2c59c3633f |
feat(invoices): cross-currency settlement + payment-status card (#615)
* feat(invoices): cross-currency settlement + payment-status card Two changes both surfaced by user feedback after PR #614: # 1. Invoice detail page: Betalningsstatus card The customer-invoice detail page now shows paid_amount + remaining_amount + the individual payment events whenever an invoice is partially_paid or paid (was previously only a single "Paid" line on fully-paid invoices, and nothing at all on partially_paid). Mirrors the supplier-invoice page's payment section. Each payment row links to its verifikat. # 2. Cross-currency match-invoice settlement Replaces the PR #614 round-9 block (MATCH_INVOICE_CURRENCY_MISMATCH) with proper FX-aware settlement. Flow: 1. Preview route detects tx.currency !== invoice.currency, fetches the Riksbanken spot rate for invoice.currency on tx.date (ML 8 kap 21–23§), and returns fx_conversion = { rate, rate_date, paid_in_invoice_currency }. When the lookup fails it returns fx_conversion.error = 'rate_unavailable'. 2. InvoiceMatchDialog renders a new Valutaomräkning card showing the rate + invoice-currency-equivalent + projected post-payment state + a one- line kursvinst/kursförlust note. When the lookup failed it swaps in a manual-rate input the user fills from their bank statement; the Confirm button blocks until a positive rate is supplied. 3. POST route does the same lookup (or accepts manual_exchange_rate from the request body), then: - paidInInvoiceCurrency = bankSek / rate (4dp precision) - invoice.paid_amount/remaining_amount accumulate in invoice currency - invoice_payments row records amount + currency = invoice.currency, exchange_rate = the rate actually used (not invoice.exchange_rate) - buildInvoicePaymentClearingLines gets paidInInvoiceCurrency so it credits 1510 by that × invoice.exchange_rate (booking rate) and posts the FX-diff line on 3960 (gain) or 7960 (loss) 4. buildInvoicePaymentClearingLines gains an optional fourth param. When supplied: proportional FX-aware AR-leg + balanced FX-diff. When omitted: pre-existing fallback (full-clear gets FX, partials defer). The change fixes the invoice.paid_amount accumulator bug that PR #614 round-9 worked around by blocking the case entirely. Now SEK→USD settlements actually work, with the verifikat balanced to the öre and the GL+sub-ledger in sync per BFL 5 kap 4–5§. Tests: - 3 new helper tests (paidInInvoiceCurrency happy path + edge cases) - 3 new route tests (Riksbanken happy path, lookup failure, manual rate) - All 4321 tests pass Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(invoices): align cross-currency match preview with commit + review cleanups Addresses PR #615 review feedback. Preview/commit divergence (Greptile P1): preview/route.ts computed paidAmount / isFullyPaid / useCashEntry from the raw SEK transaction.amount before the FX conversion ran. A 1 000 SEK payment against a 140 USD invoice made max(0, 140 − 1000) = 0 → is_fully_paid=true, so a cash-method unbooked invoice previewed a cash entry (Dr 1930 / Cr 30xx) while the POST handler — which converts first — commits the clearing entry (Dr 1930 / Cr 1510). The user approved one verifikat and a different one was booked. Move the FX lookup above the paid/remaining math so paidAmount derives from the invoice-currency conversion, mirroring the POST handler. Rate-unavailable stays non-fully-paid so the cash shape is never previewed on a guess. Add a preview-route regression test (cross-currency → clearing + not fully paid; same-currency cash path still previews the cash entry). Cleanups: - Bound manual_exchange_rate with .max(100000) as a sanity ceiling against pasted/garbage input corrupting the FX-diff posting (swarm V2.3). - Remove the invisible disabled placeholder retry button and its unused fx_manual_rate_retry i18n keys (Greptile P2). - Remove the now-unreachable MATCH_INVOICE_CURRENCY_MISMATCH error code (Greptile P2 dead code; confirmed zero references). Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(invoices): record FX rate provenance + cover kursförlust path Follow-up to the PR #615 review (compliance swarm V16 / SOC 2 CC6.1 / GDPR Art.5(1)(f); Swedish accounting review). A manually-supplied cross-currency rate is a user-controlled money-path override of the ML 8 kap 21–23§ obligation and was indistinguishable from an automatic Riksbanken lookup in the audit trail. Tag the resolved rate with source: 'manual' | 'riksbanken' and: - write a "Manuell valutakurs <rate> <ccy>/SEK (betalningsdatum …)" note onto the existing invoice_payments.notes column when manual (BFL 5 kap 6–7§ — the verifikation must reflect the actual affärshändelse); - record rate_source + exchange_rate in payment_match_log.new_state. No schema change — both are existing columns/JSON. Tests: - cover the kursförlust (7960 Dr) branch of the cross-currency paidInInvoiceCurrency path — previously only the 3960 gain was asserted; - assert rate_source provenance ('manual' and 'riksbanken') reaches the match-log new_state on both FX paths. Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |
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feat(mcp): expose multi-tx RPCs (match_batch_allocate + bulk_book_transactions) (#614)
* feat(bulk-book): manual booking mode + document inheritance Two pieces of user feedback from PR #606: 1. "How come it is only mallar? Is it not possible to have manuell bokfoering?" - BulkBookDialog was template-only. Added a Tabs primitive with Mall / Manuell tabs. Manual tab pre-fills lines from the selected txs (one line per tx on 1930 + counterparty placeholder on 3001/5800 by direction), then the user edits Konto / Debet / Kredit / Beskrivning. Live balance + bank-leg checks drive the confirm button - same invariants the RPC enforces server-side. 2. "Documents attached does not follow into the bookkeeping. And if there are two different documents attached, none of them follow." The bulk_book_transactions RPC now propagates each tx's document onto the target verifikat (new in Branch B, existing in Branch A) as verifikationsunderlag. Per BFL 5 kap 6§ + BFNAR 2013:2 kap 4 a verifikat may have multiple underlag; every receipt that justified a tx is now retention-protected on the combined entry. The dialog shows a small count chip ("N bilagor foeljer med") so the user sees what will inherit. Also dropped p_user_id from the RPC signature (round-3 hardening pattern applied consistently across all multi-tx RPCs after PR #607). Caller resolves from auth.uid() inside the function. Schema: BulkBookSchema is now a 3-way XOR (existing_journal_entry_id | template_id+mode | manual_lines), with manual_lines validated as accountNumber + nonNegativeAmount per line. pg-real tests: - doc inheritance into a new combined verifikat (mixed: 2 of 3 txs have docs - docs_linked should be 2, not 3) - doc inheritance into an existing posted verifikat (link branch) - manual lines path (no template expansion artifacts in the resulting JE - just the 2 user lines) - unbalanced manual lines still rejected by BULK_BOOK_UNBALANCED Migration applied to remote. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(bulk-book): PR #610 review - pg-real signature, account allowlist, account-number validity Three review findings on PR #610: 1. pg-real failure: 2 link-existing tests still used 5-arg SELECT bulk_book_transactions($1::uuid[], $2, $3, $4, $5) after the userId removal. My earlier replace_all caught only the patterns that had ::jsonb on $3; the link-existing tests pass null for new_entry and used a bare $3 so they slipped through. (Greptile P1) 2. Manual lines bypassed chart_of_accounts validation. A typo or adversarial caller could post to a BAS account that doesn't exist in this company's chart, corrupting the hauptbok and breaking SIE export. Both compliance-swarm (OWASP V2.3) and swedish-compliance flagged this. Added a single-roundtrip allowlist check in the route: query chart_of_accounts for distinct account_numbers in manual_lines and reject with BULK_BOOK_INVALID_ACCOUNT if any are missing or inactive. 3. UI canConfirm guard missed invalid account numbers. Account input allows 1-3 digits and JS string comparison '193' >= '1900' is false, so a 3-digit entry escapes bankLineNet, the bank match could pass via other lines, and the server returned 400 only after submit. Added previewLines.every(l => /^\d{4}$/.test(l.account_number)) to canConfirm so the Confirm button stays disabled inline. (Greptile P2) Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(bulk-book): PR #610 round 2 - RPC chart-of-accounts, doc tenant isolation, GRANTs Seven compliance findings from the round-1 bot reviews: Migration (20260602121000_bulk_book_round2_fixes.sql): - RPC chart-of-accounts allowlist (defense-in-depth): every line in p_new_entry.lines is now verified to be an active BAS account for p_company_id. Closes the gap where the template branch and direct DB callers (psql, future MCP) bypassed the route's manual-branch check. Returns BULK_BOOK_INVALID_ACCOUNT with the offending list. (OWASP V8.2.1 + SOC 2 CC6.3) - Document inheritance CTE: added "AND d.company_id = p_company_id" to the UPDATE join so the tenant isolation is enforced on both sides (tx + doc), not just the tx side. Four bots converged on this finding (V1.2.5, A.8.2, CC6.6, swedish-compliance). - Bank-leg range check: "length(account_number) = 4 AND account_number BETWEEN '1900' AND '1999'" replaces the bare lexicographic comparison. Lexicographic-on-4-digit is safe today; the length guard is defense-in-depth against schema drift. (swedish-compliance) - Explicit role grants: REVOKE ALL FROM PUBLIC + GRANT EXECUTE TO authenticated on both bulk_book_transactions and match_batch_allocate. (SOC 2 CC6.1) UI (BulkBookDialog): - Manual-mode prefill no longer suggests a hardcoded 3001/5800 counterpart. Reason (swedish-compliance): a user accepting the prefill could submit a verifikat with no VAT line (26xx), under-reporting utgaaende moms. The bank side stays pre-filled (unambiguous); the counterpart row scaffolds blank for the user to choose. Schema (BulkBookSchema): - manual_lines.debit_amount + credit_amount bounded at 99,999,999 SEK per line. Catches typos before the RPC. (compliance-swarm V4.5) i18n: - docs_inherit_hint terminology: "bilaga" -> "verifikationsunderlag" and an explicit "sparas i 7 ar enligt BFL 7 kap" reminder. swedish-compliance flagged that "bilaga" risks users treating the files as deletable attachments rather than retention-bound raekenskapsinformation. Migration applied to remote. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(test): seed chart_of_accounts in bulk-book pg-real seedTenant The round-2 RPC fix added a chart_of_accounts allowlist check inside bulk_book_transactions, but the test fixtures don't seed COA — so every existing test that submits lines (1930, 3001, 2611, etc.) now returns BULK_BOOK_INVALID_ACCOUNT instead of the expected error code. Seed the 8 accounts the suite actually uses directly in seedTenant (cheaper than calling seed_chart_of_accounts which inserts the full BAS 2026 chart). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(mcp): expose match_batch_allocate + bulk_book_transactions as MCP tools Surfaces the multi-tx flows shipped in PRs #603/#606/#608/#610 so Claude Desktop/Code can drive them via chat. - migration 20260603120000: expand pending_operations.operation_type CHECK to include match_batch_allocate, bulk_book_transactions, plus undo_sie_import (which was missing from prior expansions despite being wired in risk-tiers.ts and the commit dispatcher). - types/index.ts: extend PendingOperationType. - lib/pending-operations/risk-tiers.ts: match_batch_allocate = medium (same tier as single-tx match), bulk_book_transactions = high (creates a verifikat with arbitrary lines, same surface as create_voucher). - lib/pending-operations/commit.ts: thin commit handlers that call the SQL RPCs and translate the structured error envelope. The RPCs themselves do all the locking, balance checks, JE creation, voucher number, payment/junction rows, and doc inheritance. - extensions/general/mcp-server/server.ts: two new tool definitions. Both stage via stagePendingOperation with period_status hint and pre-validate inputs (direction, sum-equals-tx-abs, same-date, not-already-booked) so the agent gets a clear error inline before the RPC runs. - payload-size.bench: bump from 30K to 31K tokens (with rationale). Two new tools earn the bump; descriptions already trimmed to fit the <=280-char description limit. Migration applied to remote and version aligned with local filename. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(mcp): PR #614 review - allocation guard, IDOR pre-check, currency + JE-date Round-1 review fixes on PR #614: - Greptile P1: per-allocation invoice_id / supplier_invoice_id guard. The inputSchema marks both as optional (they're mutually exclusive by kind), so JSON Schema can't express "X required iff Y=A". Added explicit check in the execute handler: customer_invoice rows must carry invoice_id; supplier_invoice rows must carry supplier_invoice_id. - OWASP V8.2.1: IDOR pre-check on match_batch_allocate. Verify every invoice / supplier_invoice referenced in the allocations belongs to this company BEFORE staging. The RPC re-checks (BATCH_INVOICE_NOT_FOUND), but failing fast at the MCP layer gives the agent a clear error. - OWASP V8.2.1: same pre-check on bulk_book_transactions for existing_journal_entry_id. Fetches the JE at stage time, verifies status=posted and company_id, throws if not found. - swedish-compliance: currency homogeneity check on bulk_book. Mixed SEK + EUR in one samlingsverifikat violates BFL 5 kap 6§ st 3 motpart clarity. Cross-currency batches go through match_batch_allocate instead (which handles FX diff on 7960/3960). - swedish-compliance: period-lock check on the link-existing branch now uses MAX(tx_date, JE.entry_date), not just tx_date. Otherwise a tx in an open period could attach to a verifikat in a locked period and the guard would miss it. - A.8.11 + CC7.2: sanitised RPC error logging. log.error now emits only { code, message } instead of the full error object — error.details can echo invoice IDs, amounts, and counterparty identifiers. Not actioned (PR-comment, no code change): - V2.3 double-validation in commit handler — RPC enforces balance, accounts, bank-leg via the chart_of_accounts allowlist (PR #610 round 2). Commit handler is a thin pass-through by design. - A.8.2 step-up approval for high-tier ops — architectural change affecting all high-tier ops, not PR-scoped. - V2.4 rate limiting on bulk endpoints — platform-level concern. - 0.005 epsilon / account-class allowlist — pre-existing patterns. - undo_sie_import storno requirement — separate RPC, this PR only backfilled the missing CHECK constraint. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(mcp): PR #614 round 2 - trust-boundary comments + balance pre-check + audit log Round-2 review fixes (compliance-swarm went 14 -> 9 after round 1; remaining HIGHs are all "do the same tenant check at multiple layers"). The bot itself offers the alternative: "or document and reference the specific RPC line that enforces this." Following that. - commit.ts: trust-boundary comment blocks on both commitMatchBatchAllocate and commitBulkBookTransactions, citing the exact RPC + migration where tenant isolation + chart_of_accounts allowlist are enforced authoritatively. The commit handler stays a thin pass-through by design; re-querying would triple the same check without adding security. (V8.2.1, A.8.2) - commit.ts: structured success-path log.info() on both handlers with companyId, operationType, journal_entry_id, and tx count. No raw amounts or IDs that could echo PII. (V16) - server.ts: balance pre-check on bulk_book create-new path. RPC enforces BULK_BOOK_UNBALANCED authoritatively, but failing fast at staging gives the agent a clear error before pending_operations is even touched. (V2.3 / swedish-compliance) Not actioned this round: - V2.2 oneOf/if-then-else in JSON Schema for mutual exclusivity — JSON Schema vocabulary support is shaky across MCP clients; runtime check in execute() is the canonical pattern across the existing toolset. - CC6.1 generic error string to caller — RPC error codes are user-actionable (BULK_BOOK_UNBALANCED, BATCH_INVOICE_NOT_FOUND); a generic string would degrade UX. - CC7.2 audit RPC RAISE messages for PII — separate audit; not PR-scoped. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(mcp): PR #614 round 3 — last 5 LOWs + salary_run/agi constraint backfill Compliance-swarm went 14 → 9 → 5 (all LOW). Cleaning the last 5 + the swedish-compliance findings. - migration 20260603121000: backfill create_salary_run + generate_agi into pending_operations.operation_type CHECK. Both have risk-tier entries and commit executors but were never added (same bug class as undo_sie_import). Production has no rows of either type today. (swedish-compliance) - server.ts: Number.isFinite guard in bulk_book balance pre-check. Number(x) || 0 silently treats NaN as 0 — a malformed amount could pass the balance check by accident. (compliance-swarm A.8.28) - server.ts: count-equality + missing-set assertion in match_batch_allocate tenant pre-check. Belt-and-suspenders so a null/undefined row in the Supabase JSON response can't pass silently. Same pattern on both invoice and supplier_invoice branches. (CC6.1) - server.ts: fix BFL paragraph citation in currency-homogeneity comment. Was "BFL 5 kap 6§ st 3", should be "BFL 5 kap 2§" (SEK denomination) read with 5 kap 6§ (valutakurs). (swedish-compliance) - server.ts: clarify 0.005 tolerance comment — it's for floating-point equalisation only, not a rounding allowance. RPC enforces exact balance to the öre. (swedish-compliance) - commit.ts: expand audit-log txId comment — included intentionally for trail-to-source join, scoped to companyId already logged. (compliance-swarm A.8.15/CC7.2) Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(mcp): PR #614 round 4 — Swedish plural typo + balance comment parity + agent-routing hint Round-3 review caught: - swedish-compliance: \`kundfakturaor\` typo (real räkenskapsinformation defect under BFL 5 kap 7§). Swedish plural for \`kundfaktura\` is \`kundfakturor\` (drop the final \`a\`, add \`or\`), same for \`leverantörsfaktura\` → \`leverantörsfakturor\`. Fixed via slice(-1) + 'or'. - swarm A.8.28: match_batch_allocate balance tolerance check was missing the equivalent "RPC enforces exact balance" comment that bulk_book has. Added. - swedish-compliance: currency-mismatch error message now routes the agent to gnubok_match_batch_allocate for cross-currency allocations instead of letting it retry with hand-built FX lines. Not actioned (out of pattern / out of scope): - Integer arithmetic for balance checks (codebase pattern is float + epsilon; would diverge from match_batch_allocate, supplier-payment, invoice-payment, etc.) - DSD docs / runbook for txId-in-log and stripped-error.details trade-offs (out of PR scope; tracked separately) - Link-existing target verifikat description match (architectural; every link-existing op would need this) Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * feat(mcp): expose link_transaction_to_journal_entry as MCP tool The REST endpoint /api/transactions/[id]/link-journal-entry already lets the duplicate-payment UI attach a bank tx to an already-posted verifikat without creating new bookkeeping. Agents had no equivalent — closing that parity gap so users on Claude can match bank txs against vouchers they booked manually. The core link logic moves to lib/transactions/link-journal-entry.ts so both the REST route and the new commit handler share one implementation (preserves all structured-error codes, optimistic-lock invoice update, and compensating rollback). New 'link_transaction_journal_entry' op type wired through the risk tiers (medium), TOOL_SCOPE_MAP (transactions:write), and dispatcher. Bumps the tools/list payload-size ceiling 31K → 31.5K — same family bump PRs #603/#606 made when adding match_batch_allocate / bulk_book_transactions. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(mcp): PR #614 round 5 — bot findings on link_transaction_journal_entry Addresses the swedish-compliance + compliance-swarm findings on commit 5b884c3a: 1. **CHECK constraint backfill** — new migration adding 'link_transaction_journal_entry' to pending_operations.operation_type. Same bug class as the salary_run/agi backfill in 20260603121000; without it, every staged op would be rejected silently in production (BFL 5 kap 6–7§ audit-trail gap). 2. **Payment-date exchange rate** — invoice_payments.exchange_rate now uses transaction.exchange_rate (rate on payment date) instead of invoice.exchange_rate (rate on invoice date), per BFL 5 kap 2§ + ML 8 kap 21–23§. The full 3960/7960 posting still belongs to createInvoicePaymentJournalEntry by contract — this path only links to an EXISTING verifikat. 3. **voucherLabel format centralized** — exported formatVoucherLabel helper returns the canonical `A-12` format (with hyphen, matches gnubok_link_invoice_to_voucher and SIE #VER cross-references). Both the MCP staging preview and the committed service result import it, so the user can't approve one label and have a different one land in the audit trail. 4. **Rollback warn log restored** — txLog.warn-equivalent (IDs only, no PII) when the compensating rollback itself fails, surfacing partial-state gaps for reconciliation per GDPR Art.5(1)(f) / SOC 2 CC7.2. Lost in the refactor that extracted the shared service; now present in both rollback call sites. 5. **Commit-layer log.info** — structured success log mirroring commitMatchBatchAllocate / commitBulkBookTransactions (companyId, tx/JE IDs, settledInvoice boolean). No raw amounts or counterparty names. 6. **Data minimization on invoice fetch** — explicit column list replaces select('*, customer:customers(name)') in the shared service; the MCP staging pre-check now fetches only invoice_number + remaining_amount (drops total + paid_amount). voucher_description omitted from preview_data per Art.25. Test impact: existing route + dispatcher tests updated to expect `A-12` instead of `A12`. All 4308 tests pass. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(invoices): correct FX bookkeeping + UI for match-invoice flow User report: matching a 230 SEK bank tx against a 140 USD invoice produced 1930 Dr 2 142,50 / 1510 Cr 2 142,50 — fictitious numbers that didn't match either the bank receipt or the booked AR. Root cause: the preview route called resolveSekAmount(tx.amount, null, INV.currency, INV.rate), treating the SEK tx number as if it were in the invoice's currency and multiplying by the invoice's stored rate. Both the preview and the commit then used the bogus number on both legs and silently dropped the FX gain/loss. A second issue surfaced in the same dialog: for a 1 250 SEK invoice with a prior 230 SEK partial, the comparison row showed "Differens: 250 kr" (off the original total) instead of "20 kr" (off the actual 1 020 kr remaining). This patch: 1. **New shared helper** lib/bookkeeping/invoice-payment-lines.ts - buildInvoicePaymentClearingLines(tx, invoice, description) → bank-leg, AR-leg, fx-diff, and a balanced line array. Bank-leg is always the actual SEK that hit the bank (resolveSekAmount with the TX's currency context, honouring tx.amount_sek when set). AR-leg is the SEK value of the customer-debt reduction at the invoice's stored rate. Diff posts to 3960 (gain) or 7960 (loss) so the verifikat balances per BFL 5 kap 4–5§. Mirrors the match_batch_allocate RPC's contract: when the tx is cross-currency, the single match fully clears the invoice's remaining amount. 2. **Preview route** uses the helper for the clearing branch — replaces the buggy resolveSekAmount call. Now byte-identical to what commit builds. 3. **Match-invoice POST** uses the helper + createJournalEntry directly for the clearing path, bypassing createInvoicePaymentJournalEntry on this single flow. mark-paid and other callers of that function still work as before (full payment + caller-supplied exchangeRateDifference). 4. **InvoiceMatchDialog** compares the bank tx against invoice.remaining_amount (not invoice.total) for both customer and supplier branches; cross-currency dialogs now show the different- currencies warning instead of a meaningless numeric diff. The dialog's invoice card also displays remaining_amount. 8 new unit tests cover same-currency full/partial, cross-currency gain/loss, exact match (no FX line), sub-öre tolerance, and USD-on-USD with pre- populated amount_sek. All 4316 tests pass. Scope note: this expands PR #614 beyond the original "expose multi-tx RPCs as MCP tools" since the same FX bug class affected the new MCP tool too (round 5 already addressed the invoice_payments.exchange_rate side). Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(mcp): PR #614 round 7 — CI build + 4 HIGH bot findings Core Build was failing on e29a0ba2/5e9d4c3d due to a TypeScript type-cast error in linkTransactionToJournalEntry. Plus the swedish-compliance review flagged four substantive bugs in my recent commits. 1. **TS build error** — `invoice = invoiceRow as typeof invoice` inferred `never` because the LHS type included `null`. Switched to a named `FetchedInvoice` alias and `as unknown as FetchedInvoice`. 2. **TOOL_SCOPE_MAP missing two write-capable tools** (🟠 HIGH OWASP V8.2.1). `gnubok_match_batch_allocate` and `gnubok_bulk_book_transactions` (added in PRs #603/#606) were never registered, meaning any API key could invoke them regardless of scope. Backfilled both with `transactions:write`. 3. **`paymentExchangeRate` fallback wrong-date rate** (swedish-compliance). `transaction.exchange_rate ?? invoice.exchange_rate ?? null` falls back to the INVOICE date's rate when the tx rate is null. Per ML 8 kap 21–23§ the payment row must record the PAYMENT-date rate. Removed the fallback — `null` is correct when the tx is SEK; downstream lookups can populate it lazily from Riksbanken if needed. 4. **Currency-mismatch corrupts paid_amount** (swedish-compliance). The link path was accumulating `tx.amount` into `invoice.paid_amount` without checking that the currencies matched. A 230 SEK tx applied to a USD invoice would record "230 USD paid" silently. Added explicit LINK_TX_INVOICE_CURRENCY_MISMATCH guard (400) — cross-currency settlement must go through the match-invoice flow which routes through buildInvoicePaymentClearingLines. 5. **Cross-currency PARTIAL overstates FX gain/loss** (swedish-compliance, BFL 5 kap 4–5§). `buildInvoicePaymentClearingLines` was crediting the FULL invoice remaining to 1510 on every cross-currency match — zeroing the GL balance while the invoice row stayed at status=partially_paid, and booking a fake huge FX diff to 3960/7960. Fix: only book FX-diff when `bankSek >= arSekFullRemaining`. Partials default to 1930 = 1510 = bankSek, deferring the FX adjustment to the final settlement (or to a manual mark-paid with explicit exchange_rate_difference). Documented the helper as customer-invoice- only (supplier-side has different DR/CR polarity and goes through match_batch_allocate RPC). Test impact: 1 helper test updated to match the defer-on-ambiguous-loss behavior, 1 new test covers the partial-defers-FX path explicitly. All 4317 tests pass. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(mcp): PR #614 round 8 — close out remaining bot findings CI green on round 7 (4 of 4 checks), HIGH count 2 → 1. Round-8 closes the remaining HIGH and the smaller doc/guard items. 1. **PI1.3 risk acknowledgment restored** (SOC 2 HIGH). The shared rollbackTxLink helper already had warn-level logging on rollback failure, but the explicit PI1.3 reference comment from the original route was lost in the refactor. Added inline so the reconciliation- gap risk is visible to future maintainers. 2. **MCP currency-mismatch pre-stage check.** gnubok_link_transaction_to_ journal_entry now fetches invoice.currency and rejects cross-currency matches before staging, saving the user an approval round-trip when the commit handler's LINK_TX_INVOICE_CURRENCY_MISMATCH guard would fire anyway. 3. **fxDiffSek JSDoc clarified.** The sign convention (positive = loss, negative = gain) is correct for verifikat balancing but counter- intuitive at a P&L glance. Documented explicitly + pointed callers needing a "gain" number at `bankSek - arSek`. 4. **Reject both invoice_id + supplier_invoice_id** on the same match_batch_allocate row (V4.5). Extra IDs previously leaked into preview_data silently. 5. **Reject zero-amount tx** in bulk_book_transactions direction guard (A.8.28). A txs[0].amount === 0 would have mis-classified the batch as 'expense'. Mirrors the existing guard in match_batch_allocate. 6. **Reject debit=0 && credit=0 lines** in bulk_book new_entry (BFL 5 kap 6§ — every verifikat line must represent a real bokföringspost with a non-zero amount). 7. **Data-minimization comments** added on the match-invoice preview route (amount_sek + exchange_rate fetch is for the FX-fix bank-leg math) and on the bulk_book_transactions preview_data block (aggregate counts only — no per-tx PII). Mirrors the pattern already documented on gnubok_link_transaction_to_journal_entry. Skipped: - 1510 vs 1515 (osäkra kundfordringar) — future improvement, needs reading the original invoice JE's account, not a single-tool fix. - transaction_description PII masking in preview_data — needs product call on the truncation strategy and would degrade approval-UX. - "invoice.match_confirmed event removed" finding — false positive; the event is emitted at lib/transactions/link-journal-entry.ts:270-280. All 4317 tests pass; payload-size guard still under ceiling. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> * fix(invoices): PR #614 round 9 — block cross-currency in single match-invoice path Closes the swedish-compliance finding from round-8 review: a SEK bank tx matched against a USD invoice through /api/transactions/[id]/match-invoice would silently corrupt invoice.paid_amount (accumulator treats SEK as USD) and flip a 140 USD invoice to status='paid' after a tiny partial. The round-6/7 FX fix corrected the JOURNAL ENTRY lines but the invoice STATE update still ran the same broken accumulator. Proper cross-currency settlement on this path requires converting tx.amount to invoice.currency at the bank-date rate AND storing invoice_payments rows with the right (amount, currency) pair. That's a larger design call that belongs in its own PR. This change blocks cross-currency on the single-allocation path: - New MATCH_INVOICE_CURRENCY_MISMATCH structured error (400, bilingual) - Same-currency check inserted right after MATCH_INVOICE_NOT_OPEN - Mirrors the LINK_TX_INVOICE_CURRENCY_MISMATCH guard added to the link path in round-7 - Routes the user to the multi-allocation flow (gnubok_match_batch_allocate) which DOES handle 3960/7960 FX-diff postings end-to-end Same-currency (SEK→SEK or USD→USD) remains fully supported including partials; the buildInvoicePaymentClearingLines helper handles those correctly. For SEK tx → USD invoice the user now gets a clean 400 error pointing at the right flow, instead of silently corrupted ledger state. 1 new route test covers the guard. All 4318 tests pass. Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com> |