Commit Graph

110 Commits

Author SHA1 Message Date
Mattsson 60e33c4b51 Fix/cus fee 28 (#820)
* feat(invoices): add Plusgiro input to bank details settings

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

Adds validatePlusgiroNumber/formatPlusgiroNumber helpers + tests.

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

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

Two user-reported bugs:

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

Replace naive Math.round(x*100)/100 with roundOre() from @/lib/money in the
booking-time duplicate guard (detection lib, commit executor, MCP categorize
tool), satisfying the no-new-antipatterns ratchet guard.

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

* fix(sie-export): paginate journal entries and lines to prevent truncation

* fix(bookkeeping): keep the Verifikat/Utkast toggle reachable on an empty list

The journal entry list early-returned a pristine empty card whenever the visible list was empty and no filter was active, returning before the Verifikat/Utkast toggle rendered. This stranded users with only drafts (no posted entries) and users who emptied the drafts list, who then had to use the main menu to get back to posted entries.

Narrow the early return to a genuinely empty ledger (committed view, no drafts, no filters); make the in-list empty placeholder context-aware (no drafts / no filter matches / no posted entries yet); resolve the draft count before clearing loading on an empty committed list to avoid a toggle flicker.

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

* fix(enable-banking): persist psu_type and reuse it on reconnect

Reconnecting a bank connection re-derived psu_type from the company entity_type every time (aktiebolag -> 'business'), silently overriding the type the user actually authorized with. A connection that only signs as 'personal' — common for AB owners who use a personal Mobile BankID, notably at Handelsbanken — flipped back to 'business' on every consent renewal and failed at the bank's signing step.

- Add nullable bank_connections.psu_type column (idempotent migration)
- Persist psu_type on connect; on reconnect reuse the stored value (explicit client override still wins)
- Let users switch account type (Företag/Privat) from the reconnect button
- Tests for persistence, reuse, and override

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

* fix(import): set maxDuration=300 on bank-file execute to prevent timeout

A full-year bank file (300+ rows) runs a sequential per-row ingest that takes ~85s of server time. The execute route set no maxDuration, so it inherited the platform default and was killed mid-run — the import "spins then aborts" for the user. Match the SIE import route and give it a 5-minute budget.

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

* fix(transactions): add assistant entry point on transaction rows

The agent ("Lena") could only be reached from Dokumentinkorgen, and only once an underlag was matched to a transaction. Transaktioner is the most common starting point for booking, so users could not start a booking with the assistant from there at all.

Add a per-row "Fråga [namn]" button on unbooked transaction rows that opens the existing transaction.categorization intent with the row's transaction_id. The intent already reads any linked underlag, so it works whether or not a receipt is attached. No new logic — only the missing entry point.

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

* feat(invoices): enable Swish payment QR on invoices

Flip SHOW_SWISH_ON_INVOICE on so the Swish row and payment QR render on the invoice PDF, and make the "Visa Swish" settings toggle live (it was hardcoded disabled). The preview-pdf route now builds the QR too, so it shows in forhandsvisning. Position the QR in the top-right of the payment box. No Swish API integration -- the QR is generated offline and prefills the customer Swish app; reconciliation stays via bank matching.

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

* fix(bookkeeping): scope verifikat list to current year, add storno action, clarify correction preview

Three UI fixes from user feedback; no engine logic changed.

- List defaults to the current räkenskapsår instead of all years. Voucher
  numbers run per fiscal year (one A42/year), so showing every year at once
  made them look like duplicates. New resolveCurrentPeriodId helper.
- Add 'Återför (storno)' action on the entry detail page and list row, wiring
  the existing reverseEntry — a pure reversal (BFL 5 kap 5§) with no
  replacement, distinct from 'Rätta'.
- Correction 'Effekt per konto' preview now labels a removed account 'tas bort'
  (vs a bare dash) and warns when the proposal is unbalanced; dialog explains
  the rows are the full new verifikat.

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

* feat(bank_connections): add psu_type column to persist chosen authorization type

* feat(errors): add CannotReverseStornoError for handling reversal of storno or correction entries

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-29 16:34:51 +02:00
Mattsson 9ed0b9515a Fix/invoice booking vat fixes (#778)
* feat(invoices): add Plusgiro input to bank details settings

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

Adds validatePlusgiroNumber/formatPlusgiroNumber helpers + tests.

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

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

Two user-reported bugs:

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

Replace naive Math.round(x*100)/100 with roundOre() from @/lib/money in the
booking-time duplicate guard (detection lib, commit executor, MCP categorize
tool), satisfying the no-new-antipatterns ratchet guard.

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-25 15:54:35 +02:00
Jonas Flodén 5279dfb494 fix(bookkeeping): gnubok_categorize_transaction now handles incoming expense refunds correctly (#761)
Incoming expense refunds (positive amount on an expense category) previously
booked with inverted debit/credit — crediting the bank and debiting the expense
account — which both imbalanced the book and reported negative bank flow.

getCategoryAccountMapping now detects amount > 0 on expense categories and
returns the reversed mapping: debit 1930, credit expense account, with 2641
as vatCreditAccount so ingående moms is correctly reversed on the VAT line.
The VAT line description is "Återföring ingående moms X%" rather than the
income-side "Utgående moms" label.

Signed-off-by: Jonas Flodén <jonas@floden.nu>
Co-authored-by: Claude Sonnet 4.6 <noreply@anthropic.com>
2026-06-25 12:40:01 +02:00
Jonas Flodén bbc8063f53 fix(bookkeeping): reverseEntry defaults to original entry_date, not today (#762)
* fix(bookkeeping): reverseEntry defaults to original entry_date, not today

When reverseEntry() is called without an explicit reversalDate, it was
defaulting to getSwedishLocalDate() (today). This caused the storno to land
in the current period rather than the original entry's period — any reversal
of a past verifikation through uncategorize, re-categorize, the dashboard
reverse button, salary correction, or fix-cash-mismatch would produce a
makulering dated today instead of the original booking date.

The entry is already fetched before the date is resolved, so defaulting to
original.entry_date is safe. Callers that intentionally want a different date
(credit notes, mark-paid with payment date, user-provided reverse date) still
pass an explicit reversalDate and are unaffected.

Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com>
Signed-off-by: Jonas Flodén <jonas@floden.nu>

* feat(api): v1 endpoints to stamp invoice inbox items as consumed

Adds inbox_item_id support to POST /api/v1/companies/{companyId}/documents/{id}/link
(best-effort stamp on the originating invoice_inbox_items row) and a new dedicated
POST /api/v1/companies/{companyId}/inbox-items/{id}/stamp endpoint for stamping
independently of the document link — both use documents:write scope and require
Idempotency-Key.

Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com>

Signed-off-by: Jonas Flodén <jonas@floden.nu>

* Revert "feat(api): v1 endpoints to stamp invoice inbox items as consumed"

This reverts commit f1bf3a86385ec556a49830c9e0966236a10d3164.

Signed-off-by: Jonas Flodén <jonas@floden.nu>

---------

Signed-off-by: Jonas Flodén <jonas@floden.nu>
Co-authored-by: Claude Sonnet 4.6 <noreply@anthropic.com>
2026-06-25 12:39:56 +02:00
Mattsson 241959513b Fix/mcp and req (#753)
* feat(api): test-mode API keys force dry-run on the v1 REST API

A key created with mode='test' (prefix gnubok_sk_test_) binds to the real
company, but the v1 wrapper forces dry_run on every write so nothing is
persisted or sent. Mutations on endpoints that can't be simulated
(dryRunSupported=false or unregistered) are refused with 403
TEST_KEY_WRITE_BLOCKED — fail-closed. Reads pass through unchanged and every
test-key response carries X-Gnubok-Mode: test. Live keys are unaffected
(mode defaults to 'live').

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

* feat(invoices): company default "Vår referens" + per-line sales-account override

Add company_settings.default_our_reference (settings form, schema, type); the
invoice editor pre-fills our_reference from it on new invoices only, never
overwriting an edited draft. Separately, add an optional per-line
försäljningskonto (class-3) override in the editor — left blank, the engine
still derives the revenue account from the VAT rate, and reverse-charge/export
lines ignore the override.

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

* feat(invoices): render a Swish payment QR on invoice PDFs

Build the Swish "Type C" QR payload offline (no Swish API call) and embed it as
a PNG in the invoice PDF payment box when Swish display is enabled, the invoice
is in SEK, and the amount is positive. Also surface the invoice number in the
payment box. Wired through every PDF render path: send, mark-sent and pdf
routes (both legacy and v1), the recurring-schedule sender, and the staged-send
commit.

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

* feat(bookkeeping): draft exclusion + correction-chain collapse on verifikationslista

Extend list_fiscal_period_entries_with_related with two opt-in params:
p_exclude_draft (keep drafts off the committed list — they get their own
surface) and p_collapse_corrections (render a correction group as the single
live correction, hiding the mechanical storno and the reversed original).
Both default false; nothing is deleted, every voucher keeps its number, and a
"show all" toggle exposes the full chain.

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

* fix(reports): link multi-year SIE periods so resultatrapport shows the prior year

SIE import now sets fiscal_periods.previous_period_id in both directions when
creating a period, so multi-year files chain correctly regardless of #RAR order.
A backfill migration repairs periods imported before this (idempotent; only
touches NULL links on first-of-month periods). generateResultatrapport falls
back to the date-adjacent prior period when the chain is still null, so the
comparison column works for legacy data too.

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

* fix(articles): hide the VAT field for non-momsregistrerade companies

The article form reads company_settings.vat_registered and, when false, hides
the moms field and forces vat_rate to 0 on submit — mirroring the invoice
editor so a non-VAT-registered company never sets a rate it can't charge.

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

* feat(import): allow file-based imports in the sandbox

Bank-file, CSV/Excel and SIE imports run entirely on uploaded data with no
external service, so they're now reachable in the sandbox. Only the API-backed
options that need live third-party credentials (PSD2 bank connection, provider
migration) stay disabled. Updates the sandbox notice copy to match.

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

* feat(bookkeeping): add edit draft functionality for journal entries

* feat(database): add default "Vår referens" column to company_settings for invoicing

* fix(tests): set SHOW_SWISH_ON_INVOICE to false in PDF template mocks

* @
fix(payments): use roundOre for Swish amount formatting

Replace naive Math.round(x*100)/100 with roundOre from @/lib/money to
satisfy the antipattern guard.

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-18 11:49:33 +02:00
Mattsson 2a8bf9b42e Bug/year end numbers (#744)
* fix(bookkeeping): allow creating a fiscal year that fills an interior gap

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-16 18:22:09 +02:00
Jakob Wennberg d95a0b6105 fix(bookkeeping): comprehensive chart_of_accounts charset repair (#736)
* fix(bookkeeping): comprehensive chart_of_accounts charset repair

The 20260625120000 backfill (PR #734) only covered the 26 short-name seed
accounts. Investigation found the corruption was far broader — ~4,500 rows
across 858 companies — in four signatures, and verified the root cause is
already closed (prod's seed_chart_of_accounts() carries correct diacritics;
the corruption was prod-migration-drift, the seed fix reached prod ~2026-06-12,
no companies corrupted since).

Adds a tested, reusable repair core + a guarded script:

- lib/bookkeeping/charset-repair.ts — pure, unit-tested resolvers:
  * stripped diacritics ("Utgaende moms forsaljning...") → restore from a
    de-accent-equal clean sibling. DIRECTIONAL guard (only acts on a fully
    de-accented input) so a correct name is never stripped down; unique-match
    only, so user-renamed accounts are never clobbered.
  * double-encoded UTF-8-as-CP1252 ("Företagskonto") → lossless CP1252-aware
    byte reversal (recovers custom names too).
  * CP437-as-CP1252 ("F”rmedlad", "™vriga", "V„rdef”r„ndring") → lossless
    CP437 letter reversal.
  * lost-byte U+FFFD ("p� bilar") → fill via single-char-wildcard match to a
    unique clean sibling (the byte is gone, so only a confident sibling wins).
  isClean() rejects mojibake AND mid-word CP1252 artifacts, but treats a
  space-padded en-dash ("Kundfordringar – delad faktura") as legitimate.

- scripts/repair-chart-of-accounts-charset.ts — dry-run by default, --execute to
  apply; idempotent; refuses any non-prod project. Sources canonical names from
  the table's own clean sibling rows + BAS_REFERENCE.

Applied to production (UPDATE-only, account_name is display-only): 4,499 rows
across 858 companies repaired, 0 double-encoded remaining, 0 errors. 247 rows
left untouched and reported — custom account names with lost bytes and no
canonical (unrecoverable from the data; need the source SIE file or manual fix).

21 unit tests cover every transform with real prod fixtures, plus the two
dry-run bugs caught before any write (correct→stripped direction; matching a
CP437-mojibake sibling).

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

* fix(scripts): avoid supabase-js generic mismatch in charset repair fetch

next build's tsc rejected fetchAll(supabase: ReturnType<typeof createClient>)
— the default-generic SupabaseClient type doesn't unify with the inferred
createClient() return. Make fetchAll a closure over the inferred client.

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

* fix(scripts): add TOCTOU guard to charset repair updates

Per PR review: only write when the row still holds the exact corrupted value
read (.eq account_name), so a concurrent rename is skipped, not clobbered, and
the script is strictly idempotent. Track skipped count.

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

* refactor(charset-repair): build combining-marks regex from ASCII string

Per PR review: the deaccent regex literal embedded raw U+0300–U+036F combining
marks (invisible, encoding-fragile). Build it via RegExp('[\\u0300-\\u036f]')
so the source is plain ASCII. Behavior-identical; 21 tests still green.

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-15 23:01:45 +02:00
Jakob Wennberg e5f1d7a916 fix(reports): count reversed entries in bank/supplier/AR reconciliation (#734)
A reversed (storno-corrected) journal entry must be summed together with
its storno + correction, exactly as the trial balance and balance sheet
already do (.in('status', ['posted','reversed'])). The reconciliation
paths used posted-only and manufactured phantom differences.

- bank-reconciliation getReconciliationStatus: gl_1930_balance now counts
  posted+reversed (so it equals the balansräkning for the account). Dropped
  the correction_adjustment subtraction and the reversed-linked-tx drop — a
  corrected/amount-corrected bank receipt now reconciles. The prior model
  broke once correctEntry began re-pointing the bank transaction to the live
  correction (the two changes were mutually inconsistent and produced a
  difference equal to the corrected amount).
- supplier-reconciliation (2440) and ar-reconciliation (1510/1513): same
  posted -> posted+reversed fix. Removes the false "Ej avstämd" gap a fully
  paid, fully corrected company shows — the books net to 0 over posted+reversed
  while a posted-only query double-counted the payment legs.

Also in this change:
- MCP gnubok_get_reconciliation_status: add account_number param (was hardcoded
  to 1930; the lib already supported per-account reconciliation).
- counterparty-templates normalizeCounterpartyName: strip trailing month /
  personal-initials tokens so "ngrok JW" / "Ngrok Mars" learn as one merchant.
- pending-operation reject 409 (route + MCP tool): clarify a resolved op was
  approved explicitly (no auto-commit path exists) instead of a bare
  "already committed".
- create_voucher: normalize description with String().trim() for consistency
  with line_description.
- migration 20260625120000: backfill stripped diacritics on ~830 companies'
  seeded chart-of-accounts names (Foretagskonto -> Företagskonto, etc.); the
  seed function was fixed for new companies in 20260516130000 but never
  backfilled. UPDATE-only and idempotent. Already applied to production.

Tests: 899 passing across the touched suites; lint + typecheck clean.

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-15 20:46:41 +02:00
Jakob Wennberg 88f49c0ccc fix(bookkeeping): harden correction flow and align VAT/cashflow reports (#726)
Bundles a set of bookkeeping-correctness fixes developed together.

Correction / storno flow
- correctEntry resolves (and seeds standard BAS) accounts for the
  corrected lines BEFORE writing the storno. The old order created and
  posted the storno first, then hit AccountsNotInChartError on the
  corrected lines and had to cancel it again — leaving a voided 0 kr
  storno in the chain and permanently burning a voucher number (an
  unexplained BFNAR 2013:2 gap). It now fails fast with nothing written.
- correctEntry re-points the bank transaction and underlag from the
  reversed original to the live corrected entry, so the transaction keeps
  reading as booked (and stays correctable) and the underlag travels with
  it. recordateEntry delegates both relinks to correctEntry.
- reverseEntry (engine) clears transactions.journal_entry_id for rows
  booked by the reversed entry, so a plain storno returns the bank row to
  "Att bokföra" with a re-booking affordance. The agent paths did this
  manually; the dashboard reverse route did not.
- findUnresolvableAccounts replaces findMissingActiveAccounts in the
  categorize routes: a standard BAS account merely absent from the chart
  is seeded on demand by the engine, so pre-validation must not 400 on it
  — only unknown numbers or deactivated accounts block.
- CorrectionChain dims cancelled (0 kr) entries and labels them so they
  no longer render like a live storno.

Report accuracy
- calculateVatLiability() (lib/reports/kpi.ts) is shared by the KPI route,
  the KPI xlsx export and the MCP period-summary tool, and uses the same
  26xx accounts as the momsdeklaration (ruta 49). Reverse-charge and
  import pairs (e.g. 2614 credit + 2645 debit) net to zero instead of
  inflating the receivable (#715). VAT_OUTPUT_ACCOUNTS / VAT_INPUT_ACCOUNTS
  are derived from ACCOUNT_RUTA so the widget can never drift from the
  declaration.
- Kassaflödesanalys records erhållna aktieägartillskott (2093) as a
  financing inflow and counts överkursfond (2086/2097) toward nyemission.
  2093 was previously unmapped, so any contribution broke the 19xx
  reconciliation by exactly the contributed amount (#716). Wired through
  the report type, both PDF templates, the K3 PDF, the dashboard client
  and the årsredovisning summary type.

Agent guidance
- shared-rules: describe the real Accounted correction flow (Rätta rader /
  Rätta datum / Radera verifikat, on-demand BAS backfill) so the assistant
  stops inventing flows that don't exist.
- verifikation-draft: clearer locked-period guidance.

Tests cover all of the above (storno fail-fast + seeding + relink,
reverseEntry unlink, findUnresolvableAccounts, VAT netting and the
cashflow reconciliation cases).

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-15 10:17:44 +02:00
Mattsson db8983ba9e Add/bokslut (#718)
* feat(arcim-migration): Briox provider with SIE-over-API import

- Briox auth via account ID + application token (no app-level
  credentials); both tokens rotate on refresh and are persisted
- New sie-fetcher pulls the general ledger as SIE through the
  provider API for Fortnox, Briox and Bjorn Lunden
- Wizard stops on a failed SIE import and surfaces the real errors
  instead of proceeding to the misleading migrate-guard message
- PROVIDER_SIE_ONLY_FORTNOX renamed to PROVIDER_SIE_NOT_SUPPORTED;
  new PROVIDER_TOKEN_INVALID for rejected provider credentials

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

* feat(bookkeeping): per-line accruals (periodisering) on invoices and supplier invoices

Defer revenue/costs per invoice line to 29xx/17xx interim accounts with
automatic monthly dissolution (nightly cron + catch-up at registration),
schedule cancellation on credit, year-end auto-detect exclusion for
already-scheduled invoices, invoice-inbox service-period extraction for
prefill, and an MCP tool to list schedules.

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

* feat(bokslut): iXBRL arsredovisning generation and Bolagsverket digital filing

Generate the annual report as iXBRL from a generated taxonomy registry
(K2 element lists, taxonomy:generate/check scripts + CI guard), expose it
via the fiscal-period API, and add the bolagsverket extension for digital
submission to eget utrymme with webhook-driven status tracking
(submissions table + pg tests, lifecycle events, year-end wizard UI).

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

* test(mcp): raise origin-guard test timeout to 20s

The dynamic import pulls in the full server module; the parse alone
flirts with the 5s default under full-suite parallel load.

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

* Add new scripts and documentation for K2 AB taxonomy generation and validation

- Introduced `generate-taxonomy-registry.ts` to automate the generation of the iXBRL taxonomy concept registry from official element lists and tuple models.
- Added `validate-ixbrl.mjs` for validating generated iXBRL reports against the official taxonomy package using Arelle.
- Included new documentation files:
  - `k2-ab-arsredovisning-elementlista-2024-09-12_rev20250312_sv.xlsx`
  - `tuple-innehallsmodell-arsredovisning-k2-2024-09-12.xlsx`
  - `taxonomi-paket-2024-09-12_rev20250312.zip`

* Add tests for bookkeeping accruals dissolution and supplier invoices

- Implement tests for the POST /api/bookkeeping/accruals/[id]/dissolve route, covering success and error scenarios.
- Add tests for the DELETE /api/supplier-invoices/[id] route, including authentication checks and validation of invoice deletion conditions.
- Introduce tests for the Arcim migration provider client, ensuring token handling and error classification.
- Create tests for the Bolagsverket extension, validating submission role enforcement and environment settings.
- Add Zod schemas for Bolagsverket response payloads to ensure proper validation.
- Implement tests for MCP server's list accrual schedules, confirming registration and scope mapping.
- Add consistency tests for IXBRL document generation, ensuring duplicate facts and XML escaping are handled correctly.
- Introduce typed domain errors for accrual schedules to improve error handling in the service.
- Add tests for resolving consent with Briox token refresh concurrency, ensuring proper token management and error handling.

* fix(tests): update payload size guard comments to reflect recent changes in tool descriptions and ceiling adjustments

* fix(gitattributes): mark generated JSON files in bokslut taxonomy as linguist-generated

* feat(migrations): add backfill for invoices.journal_entry_id and fallback for next_voucher_number user_id

* feat(bokslut): enhance compliance and financial processing features with new submission details and security measures

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-06-12 16:35:30 +02:00
Jakob Wennberg 8e8b63a200 fix(bookkeeping): honor underlag VAT via vat_amount override in categorize flow (#717)
* fix(bookkeeping): honor underlag VAT via vat_amount override in categorize flow

The categorize flow always derived VAT as rate × gross/(1+rate) from the
transaction amount, with no way to use the underlag's actual moms. On e.g.
a restaurant receipt with dricks (no VAT on the tip), the agent could see
the document's correct VAT but the staged booking recomputed the wrong
rate-based amount on every attempt.

- buildMappingResultFromCategory: optional vatAmountOverride replaces the
  rate-derived VAT line ("Ingående/Utgående moms (enligt underlag)"; 0 =
  no VAT line). Rejects negatives, amounts above the 25%-extraction bound,
  and combination with reverse_charge / VAT-less treatments / private.
- gnubok_categorize_transaction: new vat_amount input, threaded into the
  staged preview and persisted in the operation params.
- commitCategorizeTransaction: reads params.vat_amount so the approved
  posting matches the staged preview exactly.
- PATCH /api/pending-operations/[id]: accepts vat_amount (null clears);
  preserves a staged override across category edits while the treatment
  still carries rate-based VAT, drops it when it no longer does.

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

* review: guard order + agent guidance on vat_amount (PR #717 bots)

- Check treatment compatibility before the 25%-extraction bound so an
  oversized override on reverse_charge reports the actual mistake (the
  treatment), not the amount. Document why the typeof re-check stays:
  commit-time params come from jsonb, so TS types don't hold at runtime.
- vat_amount property description now warns that foreign VAT is never
  deductible as ingående moms and that a 0-moms document should use
  vat_treatment="exempt" rather than vat_amount=0.

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

* fix(mcp): tools/list payload budget + reject vat_amount 0

core-only failed: the verbose vat_amount descriptions pushed the projected
tools/list payload to 36,051 tokens (ceiling 36,000; main is at 35,862).
Per the guard's own guidance, trim descriptions instead of bumping:
now 35,943.

Folds in the Swedish review's round-2 point while trimming: vat_amount 0
is now rejected with a pointer to vat_treatment "exempt". A 0-moms
document is an exempt supply — "exempt" produces the identical expense
booking and the correct income account (3004), so 0 had no use case and
only created a silent momsdeklaration misclassification path. Schema
declares exclusiveMinimum: 0.

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

* fix(bookkeeping): use roundOre for vat_amount math (antipattern ratchet)

Second core-only failure: the naive-ore-round ratchet caught the new
Math.round(x*100)/100 lines (662 > baseline 661). Switch the override
path to roundOre from lib/money — including the pre-existing computed-VAT
line this PR touched — and ratchet the baseline down (659, raw-route-auth
168 locked in from main-side fixes).

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-06-12 11:42:21 +02:00
Jakob Wennberg e978136210 fix(supplier-invoices): payment-match integrity — no more paid-without-voucher half-states (#711)
* fix(transactions): abort supplier-invoice match when payment voucher fails

The match route caught a payment-JE creation failure and proceeded anyway:
invoice marked paid with payment_journal_entry_id NULL, a payments row with
no voucher, and the bank line linked but unbooked. That half-state is
unrecoverable from the UI — mark-paid rejects 'paid' invoices and the match
route rejects already-linked transactions (the "user can re-book" comment
was wrong). The v1 route was already strict; this aligns the cookie route.

A failed voucher now fails the whole match before any state mutation, with
bookkeeping errors mapped to their structured codes and a new
MATCH_SI_JE_FAILED fallback.

Incident: Arcim 2026-06-11 — invoice 20250928 marked paid with no payment
voucher because account 3740 was missing from the chart.

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

* fix(transactions): bank-sync supplier-invoice match is a suggestion, not a hard link

A high-confidence (>=0.85, unambiguous) supplier-invoice hit at sync time
set transactions.supplier_invoice_id directly — without booking a payment
or touching the invoice. The half-link then BLOCKED the match route
(MATCH_SI_TX_ALREADY_LINKED), stranding the bank line with no path to a
payment voucher and the invoice stuck on 'registered'.

Sync now always writes potential_supplier_invoice_id; the hard link is
reserved for completed matches where the payment voucher is booked.
High-confidence hits still drain the matching pool and skip the mapping
engine.

Incident: Arcim 2026-06-11 — RosholmDell 18299 (29 890 kr) auto-linked at
sync, unmatchable afterwards.

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

* feat(bookkeeping): seed standard BAS accounts on demand in the engine

A minimal company chart routinely lacks accounts that legitimate engine
flows reach — 3740 (öres- och kronutjämning) the first time a Bankgiro
payment lands a sub-krona off the invoice, 6580 on a first legal invoice.
createDraftEntry threw AccountsNotInChartError and turned a standard
account into a dead end.

The engine now backfills missing accounts from BAS_REFERENCE (full
metadata incl. SRU code) before failing. Conservative by design: unknown
numbers still throw, and deactivated accounts are never resurrected —
deactivation is a deliberate user choice. Concurrent seeding (23505) counts
as success.

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

* fix(supplier-invoices): require explicit expense account, drop the 5010 seed

Every new line item (and every AI-prefilled line) was silently seeded with
account 5010 Lokalhyra. AI extraction deliberately never suggests accounts,
so any invoice saved without touching the field was misbooked as premises
rent — legally wrong verifikat that need rättelse to fix.

Lines now start with an empty account: the supplier's
default_expense_account fills empty rows when set, and submit blocks with a
clear toast until every row has an account.

Incident: Arcim 2026-06-11 — a legal-services invoice (should be 6580) and
a SaaS subscription (should be 5420) both posted to 5010.

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

* refactor(bookkeeping): clarify voucher description suffix to (ankomstnr N)

"(ankomst 2)" read as "arrived twice" / a duplicate marker; it is the
company-internal sequential arrival counter for supplier invoices.
"(ankomstnr 2)" says what the number is. Existing posted vouchers keep
their old description (immutable).

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

* fix(transactions): cancel orphaned payment voucher when match loses the CAS race

When the payment JE posts but the invoice CAS update matches 0 rows (a
concurrent request settled it first), both match routes returned
MATCH_SI_NOT_OPEN and left the voucher orphaned in the ledger. mark-paid
has always compensated for exactly this case; the compensation is now a
shared helper (cancelOrphanedPaymentEntry: cancel + voucher-gap
explanation per BFNAR 2013:2) used by all three routes.

Flagged by the compliance swarm and the Swedish compliance review on
PR #711 — the one finding both converged on.

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

* fix(bookkeeping): next_voucher_number user_id fallback for service-role contexts

Mirrors 20260421170500 (commit_journal_entry got this fix; its twin did
not). Under a service-role client auth.uid() is NULL and the
voucher_sequences upsert fails its user_id NOT NULL check before
ON CONFLICT can arbitrate — even when the sequence row exists. Every
non-interactive caller of the storno/correction path
(getNextVoucherNumber → correctEntry) was broken.

Fallback: companies.created_by (same source seed_chart_of_accounts uses).
Interactive flows still record auth.uid(); DO UPDATE never touches
user_id on existing rows. Also restores SET search_path = public, lost
when 20260330 recreated the function after the 20260304 hardening.

pg-real: new test exercises the RPC on the superuser connection
(auth.uid() IS NULL) and asserts sequential numbers + owner attribution.

Found live: the Arcim repair script booked payment vouchers fine
(commit_journal_entry) but failed on corrections (next_voucher_number).

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

* fix(bookkeeping): harden cancelOrphanedPaymentEntry — never throw, breadcrumb before mutating

Two hardenings from the PR #711 review round:
- Whole body wrapped in try/catch: the caller is returning the correct
  CAS-conflict response, so an unexpected client rejection must not
  replace it with a 500 (best-effort is now a hard guarantee).
- The gap-recovery data (series, number, period, explanation) is logged
  BEFORE the cancel: the cancel and gap insert are separate statements,
  and a crash between them would otherwise leave a cancelled voucher
  with no BFNAR 2013:2 gap explanation and no way to reconstruct it.

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-06-11 10:44:15 +02:00
Mattsson f9ea9c0082 Add/pdf and templates (#705)
* fix(invoices): apply configured voucher series to payments + preview next voucher

The booking engine resolves the series from
default_voucher_series_per_source_type, but the global "Standardserie"
dropdown wrote a separate field the engine ignored, and cash-method invoice
payments (invoice_cash_payment) weren't exposed in settings — so configured
series were silently dropped to "A".

- Expose cash/private payment source types in the per-source-type form
- Write the global default through to the map on save, keeping overrides
- Resolve voucher-sequences/next by source_type (+date) to match the engine
- Show the upcoming voucher (V2) in the payment dialog title
- Share resolveInvoicePaymentSourceType so preview and booking can't drift

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

* fix(salary): keep AGI panel in sync with Skatteverket signing state

The AGI panel mixed run-scoped generation state (agi_generated_at,
agi_declarations) with period-scoped submission state (extension_data
agi_submission_{period}), so the two could drift and present
contradictory UI. Reconcile them:

- Auto-detect a Mina Sidor BankID signature: while awaiting_signing,
  poll /agi/kvittenser on mount and on tab refocus so the panel flips
  to "signed" (hiding the signing actions) without a manual
  "Hamta kvittens" click.
- Warn instead of offering to sign when the locked granskningsunderlag
  predates the run's latest AGI generation (draftIsStale) — avoids
  filing superseded figures.
- Self-heal a stale "AGI-XML saknas" error once the run's AGI is
  (re)generated out-of-band (MCP/API/other tab).
- Refetch the salary run on tab focus so agi_generated_at reflects
  out-of-band generation without a hard reload.
- /agi/lasUpp now clears the cached agi_submission_{period} record, so
  unlocking drops the panel back to the pre-submission state instead of
  stranding it on a released "redo att signeras" draft.

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

* feat: Implement VAT registration handling and invoice item line types

- Added VAT registration check in commitCreateInvoice to set VAT rate to 0% for non-VAT registered companies.
- Updated invoice creation logic to reflect 'exempt' VAT treatment and adjusted related fields accordingly.
- Introduced support for free-text and blank spacer rows in invoice items by adding a new line_type field.
- Enhanced invoice and credit note handling to accommodate new line types.
- Added new localized messages for text rows in English and Swedish.
- Created tests for salary run approval logic, ensuring bank details are validated correctly.
- Implemented effective net payout calculation for salary runs, considering tax overrides.
- Added SQL migrations to support new invoice item line types and accounting method awareness for linking invoices to vouchers.

* feat(articles): artikelregister with revenue account + VAT rate per article

Article register (non-inventory) with per-article VAT rate and optional
BAS class-3 revenue-account override. Includes API routes, UI pages,
MCP tools, pending-operation staging, and the activate-or-create
account flow (ACCOUNTS_NOT_IN_CHART -> ActivateAccountsDialog,
unknown numbers -> AddAccountDialog) reusing the journal entry UX.

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

* feat(bookkeeping): no-doc-required batch + bulk-missing endpoints

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

* feat(payments): supplier payment lines + cash-method invoice matching

Shared payment-line proposal for supplier invoices, improved
match-invoice/match-supplier-invoice flows (kontantmetoden-aware),
and voucher-link support without requiring a 151x clearing entry.

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

* feat(bookkeeping): new journal entry dialog, SIE import tweaks, misc

New journal entry dialog component, journal list/page updates,
invoice editor updates, SIE import adjustments, transaction ingest
and api-key tweaks, pr-agent workflow update.

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

* feat(invoices): implement tax reduction features and localization updates

* feat(tests): add VAT registration gate to pending operations commit tests

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-10 13:52:24 +02:00
Jakob Wennberg c0b006fcc1 feat(invoicing): artikelregister (product/article catalog) with per-article revenue account (#703)
* feat(invoicing): artikelregister (product/article catalog) with per-article revenue account

Add a lean, non-inventory article catalog (artikelregister) so users can define
reusable invoice-line presets (name, unit, price excl VAT, VAT rate) with an
optional per-article BAS class-3 revenue-account override.

- DB: articles table (RLS via user_company_ids(), audit + updated_at triggers,
  unique-per-company article_number), generate_article_number RPC (atomic +
  idempotent), company_settings counter, nullable invoice_items.revenue_account
  + article_id, pending_operations CHECK expansion.
- Engine: generatePerRateLines groups revenue by (vat_rate, account) —
  byte-identical with no override, balance-safe when split (last account absorbs
  the rounding remainder), reverse_charge/export still force 3308/3305.
- API: /api/articles CRUD (soft-deactivate); override validated against
  chart_of_accounts (active class-3) and frozen onto invoice lines at create.
- Propagation: override carried through send/mark-sent/credit/convert/cash and
  the staged commit paths (recurring deferred — documented inline).
- MCP: gnubok_list/create/update_article (staged, scoped, risk-tiered).
- UI: articles register (list/detail/form) + nav + bilingual i18n + invoice-line
  article picker & "Spara som artikel" quick-create.
- Tests: engine regression, route, and pg-real (RPC/RLS/triggers).

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

* fix(mcp): strip ILIKE _ wildcard from gnubok_list_articles search

Underscore is a single-character ILIKE wildcard; stripping it (alongside the
existing %,()\* set) keeps a stray char in the article search from matching
every row. Read-only + RLS-scoped, so no security impact — addresses PR #703
reviewer + compliance-swarm CC6.3 notes.

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-09 21:05:37 +02:00
Jakob Wennberg 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>
2026-06-09 19:09:39 +02:00
Jakob Wennberg 4dfd790de5 feat(bookkeeping): Ny verifikat modal, ledger-style list, SIE no-underlag exemptions (#698)
* feat(bookkeeping): Ny verifikat modal, ledger-style list, SIE no-underlag exemptions

Verifikat UX
- "Ny verifikat" opens in a modal (NewJournalEntryDialog) instead of an inline tab;
  the review step renders inline in the dialog rather than stacking a second dialog.
- JournalEntryForm: konteringsrader are the focus, with a compact pre-filled metadata
  bar (datum/serie/text/valuta/period) on top; verifikationstext auto-fills from the
  first row's account.
- JournalEntryList: belopp shown on collapsed rows; expanded view is an aligned
  Konto/Benämning/Debet/Kredit table.

SIE imports no longer flood "Att hantera: saknade underlag"
- Import gains an opt-in (off by default) toggle to mark imported verifikat as "Inget
  underlag krävs"; a "Rekommenderas vid migrering" badge nudges it for historical years.
- Multi-select batch-mark in the list for selective cleanup.
- Filter-scoped bulk mark (POST /api/bookkeeping/no-doc-required/bulk-missing): marks
  every missing-doc verifikat matching the active filters across all pages, with a
  dry_run count to confirm scope — the scalable remedy for a post-import flood.
- Shared helper markEntriesNoDocRequired + per-entry batch route.

Tests: no-doc helper, batch route, bulk-missing route.

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

* fix(bookkeeping): address PR #698 review findings

- JournalEntryForm: restore the explicit "no underlag" acknowledgement in the
  modal's inline review. When no document is attached, the confirm button reads
  "Bokför utan underlag" (BFL 5 kap 6-7 §§), equivalent to the blocking dialog the
  non-bare flow shows — the bare path no longer posts behind only a passive banner.
- batch no-doc route: guard the ownership query with source_type IN
  NEEDS_DOC_SOURCE_TYPES so a crafted request can't exempt non-document-requiring
  entries (defense in depth on top of company + posted scoping).
- bulk-missing route: resolve doc/exemption status by querying only the candidate
  ids (chunked) instead of loading the company's full document_attachments and
  journal_entry_no_doc_required tables into memory — data minimisation + bounded
  memory for large migrations (the most-repeated reviewer finding).

Triaged as non-issues (left as-is): partial-import exemption (gated on
result.success == zero errors), reason write-back (sidecar row is FK-linked and
carries the reason), and "bulk-exempting manual entries" (consistent with the
existing per-entry NoDocRequiredToggle). No DB migration — reuses the existing
journal_entry_no_doc_required table.

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

* fix(bookkeeping): centralize bulk-missing date/series validation in Zod

Move the ISO-date and verifikationsserie format checks into the Zod schema so
malformed input is rejected with a clean 400 instead of being silently nulled
(or, for a shaped-but-invalid date, throwing a 500 via fetchAllRows). The date
refinement rejects values like 9999-99-99 / 2026-02-30 that a bare
/^\d{4}-\d{2}-\d{2}$/ regex lets through. Addresses the PR #698 reviewer nit on
split schema-vs-runtime validation. +2 route tests.

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-08 20:41:30 +02:00
Jakob Wennberg 8d2ff61599 feat(bookkeeping): agent attribution into the immutable ledger layer (P0-1) (#678)
* feat(bookkeeping): agent attribution into the immutable ledger layer

Close the three attribution gaps left after 20260618120001 (which made
commit_method record 'api_key' for MCP-relayed approvals):

- journal_entries gains nullable committed_actor_type/committed_actor_label,
  stamped by commit_journal_entry in the same draft->posted UPDATE that
  writes commit_method. The RPC gains p_actor_type/p_actor_label
  (DEFAULT NULL; prior signature dropped first to avoid PostgREST overload
  ambiguity, same technique as 20260421140000).
- write_audit_log now populates audit_log.actor_type/actor_label from
  transaction-local gnubok.actor_* GUCs set by the RPC (the established
  gnubok.allow_delete pattern). Unset GUCs COALESCE to 'user' — byte-
  identical to the column's previous effective DEFAULT for every
  pre-existing write path.
- commitPendingOperation accepts opts.actor and runs the entire executor
  inside an AsyncLocalStorage runWithActor() scope read by commitEntry(),
  so EVERY journal commit an operation makes is attributed — closing the
  documented "commitMethod only reaches create_voucher" gap. MCP approve
  passes the api_key actor + key label; web single/bulk approve pass the
  user + email.

Known limitation (documented): reverseEntry posts reversal vouchers via
direct PostgREST writes, not the commit RPC — reversals keep NULL
attribution until that path is RPC-ified (follow-up).

pg-real coverage: lib/bookkeeping/__tests__/commit-actor.pg.test.ts
(RPC param stamping, audit GUC read, transaction-locality, CHECK
rejection, immutability of the new columns, single-signature guard).

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

* fix(bookkeeping): split actor-context so client bundles never see node:async_hooks

CI core-only build failed: engine.ts is reachable from client component
bundles (invoices/[id] page), and the static node:async_hooks import in
actor-context.ts cannot be chunked for the browser. Split the module:

- actor-context.ts (isomorphic): CommitActor type + a storage registry +
  getActor(). In a client bundle the registry stays empty and getActor()
  returns undefined — identical to the server-side no-scope default.
- actor-context-node.ts (server-only): owns the AsyncLocalStorage, binds it
  into the registry on import, exports runWithActor(). Imported only by the
  approval paths (commit.ts), which are never client-reachable.

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-06 10:05:48 +02:00
Jakob Wennberg f538401988 Invoice correctness bundle: voucher-link race, agent send guards, payment-reversal restore (audit C2/C17, F-2026080) (#666)
* fix(invoices): atomic link_invoice_to_voucher RPC — close the customer voucher-link race (audit C2)

linkInvoiceToVoucher() did UPDATE-then-INSERT with a manual rollback restoring a STALE pre-link snapshot: under concurrent linking on the same invoice, A's failed insert could overwrite B's successful link while B's payment row remained — corrupting paid_amount/AR. Mirrors the supplier-side link_supplier_invoice_to_voucher fix (PR #602).

- New SECURITY DEFINER RPC locks the invoice FOR UPDATE, re-validates (status, posted voucher, 151x AR credit, currency, overshoot, already-linked) and applies UPDATE + INSERT in one PG transaction. Inherits the supplier RPC's remaining-amount fix (trust stored remaining_amount even at 0 — the TS '> 0' guard let rounding drift slip past FULLY_PAID). Hardened per audit A5: REVOKE from PUBLIC/anon, GRANT to authenticated + service_role.
- linkInvoiceToVoucher() now delegates to the RPC — same signature, same LINK_VOUCHER_* codes, so all callers (route, pending-op executor, MCP) are unchanged. Keeps the invoice.paid event (now emitted with the post-link row, mirroring the supplier wrapper) and the best-effort bank auto-reconcile.
- pg-real tests: full/partial link, overshoot leaves the invoice untouched, ALREADY_LINKED, and the race regression (two concurrent full links -> exactly one wins, paid_amount never exceeds total, exactly one payment row). Verified locally against supabase/postgres:15.8.1.060 with all 334 migrations replayed: 10/10 pass. Two unrelated pg tests fail locally with AND without this change (pre-existing env sensitivity; green in CI).
- Unit tests re-mocked to the RPC-wrapper contract.

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

* fix(invoices): agent send path — block cancelled invoices + preflight PDF render (audit C17)

commitSendInvoice (the agent/MCP path) was missing two guards the send route has:

- No cancelled guard: a cancelled invoice passed the already-sent check, got re-rendered and EMAILED (a 'MAKULERAD' PDF delivered as if live), and the unguarded status flip silently re-activated it to 'sent'. Now rejected with the registry's INVOICE_SEND_CANCELLED message (400), mirroring the route.
- No preflight render: the executor assigned the F-series number BEFORE rendering, so a render failure left a numbered-but-never-issued invoice (an F-series gap if the draft is abandoned). Now mirrors the route: on fresh allocation, render with an 'F-PREVIEW' placeholder first and reject with INVOICE_SEND_PDF_RENDER_FAILED before any number is consumed; retries with an existing number skip the preflight.

Items/credit-note lookup moved above the preflight (it needs them); the real render and everything downstream are unchanged.

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

* fix(bookkeeping): payment reversal restores invoice state and releases bank line (F-2026080)

Reversing a payment voucher left the customer invoice deadlocked: status
stayed 'paid' while remaining_amount stayed stale (= total), and the bank
transaction kept pointing at the reversed JE so the line could neither be
re-matched nor deleted.

- Customer branch now recomputes remaining_amount from total (the supplier
  branch already did) and clamps paid_amount at 0.
- Both branches delete the payment row(s) tied to the reversed voucher so a
  re-match doesn't double-count or trip the unique indexes.
- New releaseLinkedTransactions() detaches bank transactions from the
  reversed JE (by journal_entry_id and by captured payment transaction ids),
  clearing the link/categorization columns so the line returns to the inbox.

Covers every standalone storno path (reverse route, MCP reverse tool,
delete-last-voucher); the match-invoice route already handled its own case.

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

* fix(transactions): match-invoice preview double-subtracted VAT on per-item path (F-2026080)

InvoiceItem.line_total is the NET line amount (it sums to invoice.subtotal,
each line's vat_amount = line_total * rate), but the preview's per-item rate
aggregation computed sub = line_total - vat_amount, double-subtracting VAT
and producing an unbalanced previewed verifikat (revenue credit too low
against the 1930 debit). The commit path (generatePerRateLines) was already
correct; only the preview disagreed.

Regression test mirrors the F-2026080 invoice: multi-item 25% SEK cash entry
must balance, with 3001 = subtotal and 2611 = vat_amount.

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

* fix(bookkeeping): address PR #666 review — supplier cash reversal, RPC tenant guard, CI fixes

Review feedback fixes:

- Supplier cash-payment reversal (Greptile): the supplier branch required a
  payment row before restoring status/amounts, so reversing a
  supplier_invoice_cash_payment (which books no payment row) left the invoice
  deadlocked at paid/remaining=0 — the same bug the customer branch fixed.
  Mirror the customer fallback (revert full paid_amount when no row exists).

- Payment-row lookups now filter by invoice id + company_id: a batch voucher
  (match_batch_allocate) carries one payment row per invoice under the same
  journal_entry_id, so the unfiltered .single() errored out and silently
  yielded null.

- Tenant guard on the voucher-link write RPCs (compliance V8.2.1, audit A5):
  link_invoice_to_voucher and link_supplier_invoice_to_voucher are SECURITY
  DEFINER + authenticated-executable, so any signed-in user could mutate
  another tenant's invoices via PostgREST. New migration applies the PR #625
  claims-based membership guard to both, caps p_notes at the Zod layer's
  2000 chars, and gives the supplier RPC the explicit REVOKE/GRANT it never
  had (was default PUBLIC execute). Covered by a new pg-real test.

- releaseLinkedTransactions now logs Supabase errors (compliance V16.1) —
  a failed release leaves a bank line stuck on a reversed JE and must be
  observable.

CI fixes:

- naive-ore-round ratchet (core-only): payment-sync.ts converted to
  roundOre() from @/lib/money (-4 occurrences vs baseline).
- match-batch-allocate.pg.test.ts flake (pg-real): Date.now()+random arrival
  numbers collided in CI; now time-component + monotonic counter.

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

* fix(bookkeeping): address PR #666 review round 2 — payment attribution, batch-scoped deletes, send guard

- RPC payment attribution (GDPR Art.32): user-session callers can no longer
  attribute invoice_payments / supplier_invoice_payments rows to an arbitrary
  user via p_user_id — the JWT sub is authoritative when role is
  anon/authenticated. service_role / direct callers keep p_user_id verbatim
  (their scoping happens in TS). pg-real test asserts the spoofed id is
  ignored.

- Payment-row deletes scoped to the source invoice (SOC 2 CC6.3): a batch
  voucher carries sibling payment rows for other invoices whose status this
  sync doesn't restore; deleting them desynced paid_amount from the rows.

- releaseLinkedTransactions success audit log: transactions has no
  write_audit_log trigger, so clearing the link/categorization columns now
  logs the affected transaction ids for incident reconstruction.

- commitSendInvoice guard extended with partially_paid/credited (ASVS V2.3):
  both imply the invoice was already issued; the status flip would have
  regressed them to 'sent'.

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-04 15:32:39 +02:00
Mattsson 3e42fc6f32 Feat/voucher docs (#664)
* feat: implement inbox document picker and linking functionality

* feat: implement self-billing invoice functionality

- Added support for registering self-billed invoices received from customers.
- Updated the invoice schema to include fields for self-billing metadata such as `is_self_billed`, `external_invoice_number`, `self_billing_agreement_ref`, and `received_date`.
- Created API route for handling self-billed invoice submissions, including validation and error handling.
- Implemented database migrations to add necessary columns and constraints for self-billing invoices.
- Developed tests to ensure correct behavior of self-billing invoice creation and validation rules.
- Updated Swedish localization files to include new terms related to self-billing.

* feat: enforce SIE import requirement for non-Fortnox providers in migration process

* feat: streamline invoice processing and enhance error logging across APIs
2026-06-04 13:14:57 +02:00
Mattsson f6ee0c2a82 Bug/customer invoice bug (#628)
* fix(supplier-invoices): self-assess reverse-charge VAT + link payments to vouchers

Reverse-charge supplier invoices now carry a per-item reverse_charge_rate (0.06/0.12/0.25). Under omvänd skattskyldighet the supplier charges 0% VAT, so the line vat_rate stays 0 and the buyer self-assesses fiktiv moms at the statutory rate. Centralizes rate resolution (resolveReverseChargeRate) and the ruta 20-24 basis-account guard (isReverseChargeBasisAccount) in vat-entries so the booking engine and review-dialog preview can no longer drift.

Adds the link_supplier_invoice_voucher pending operation: mark a leverantorsfaktura paid by linking an existing posted verifikat that debits 2440, with no new journal entry. Exposes find-candidates/link MCP tools and the bulk-reconcile helper, scoped under suppliers:read/write.

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

* fix(vat): report yearly VAT over the rakenskapsar, not the calendar year

Annual VAT (helarsmoms) is filed per beskattningsar/rakenskapsar (SFL 26 kap), which can be extended or shortened up to 18 months. The previous Jan-Dec calendar span silently dropped part of an extended first year. calculateVatDeclaration now accepts a fiscalPeriodId and resolves the period's actual bounds for yearly; monthly/quarterly stay calendar. The reports UI passes the selected fiscal period, defaults the periodicity from the company's moms_period setting, and carries the period into the ruta drill-down. full-archive export threads the period id through too.

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

* fix(migration): resolve supplier invoice status from payment amounts

The provider's lifecycle status and its payment status are computed independently upstream and can contradict each other (e.g. a Fortnox invoice marked booked but fully paid). Both the arcim entity-mapper and the Fortnox mapper now let payment state win: fully paid -> paid, partial -> partially_paid, otherwise the mapped lifecycle status, with credit notes forced terminal. Balance is compared numerically (never strict === 0) so float drift or a residual ore resolves cleanly, and an absent Balance is treated as unpaid.

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

* fix(enable-banking): only ingest booked transactions to stop re-import drift

Pending entries are skipped during sync: a pending row is unstable across syncs (a later 'synka nu' returns it still pending or finally booked, often with a different effective date). Because both the dedup external_id and the content-dedup key are date-derived, that drift minted a new id and re-imported a transaction that already existed - observed in production as the same amount+description landing twice with different dates. Gating the import set on a stable booking_date removes the drift at the source and leaves booked rows' ids byte-identical.

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

* chore(gitignore): ignore local SIE test fixtures

tests/fixtures/sie/ may contain real or scrubbed company data and must never be committed.

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

* fix(invoice): handle errors during registration journal entry creation and ensure invoice rollback
feat(tests): add test for reverse charge rate handling on supplier invoice line items
feat(fortnox): ensure paid status reflects zero balance for fully paid invoices
chore(migrations): add reverse_charge_rate to supplier_invoice_items and backfill link_supplier_invoice_voucher

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-02 13:25:48 +02:00
Jakob Wennberg b5c3c3ec04 fix(reconciliation): surface bank tx + match to existing verifikat, delete UX, DPA links (#623)
* fix(reconciliation): surface bank transactions via robust cash_account_id scoping

The per-account reconciliation scoping silently returned zero transactions for
companies whose rows were NULL or mis-assigned mid-backfill (e.g. Arcim: 138
transactions, 101 unbooked, yet Bankavstämning showed "0 kr" while the 1930 GL
movement and a large difference still displayed). Two causes, both fixed:

- scopeTransactionsToAccount used a fragile nested or(...,and(is.null,...))
  PostgREST filter. Replace it with a flat, reliable
  `currency = X AND (cash_account_id = id OR cash_account_id IS NULL)` and share
  the one implementation with /api/transactions so the status card and the lists
  can never drift.
- The original best-effort backfill only touched NULL rows and an earlier
  revision mis-assigned cash_account_id (the since-fixed min(uuid) bug), which
  migrations cannot self-correct. Add an idempotent repair migration that
  re-seeds the default 1930 account and re-derives cash_account_id (correcting
  non-NULL mis-assignments) for booked rows and single-account companies.

Also localise manualLink's user-facing errors to Swedish. Adds unit coverage for
the new filter shape and pg-real coverage for the repair (incl. the Arcim
single-account reproduction).

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

* feat(transactions): match a bank transaction to an existing verifikat

Adds a "Matcha mot befintlig verifikation" action to the Transactions inbox so a
bank line that is already booked elsewhere (a salary run, a Fortnox/manual
voucher, an invoice paid from the invoice page) can be linked to that existing
verifikat with no new bokföring — the capability previously lived only in
Reports → Bankavstämning.

- Extract the searchable MatchVerifikationPicker into a shared client component.
- New MatchVoucherDialog: resolves the tx's cash account, fetches candidates
  ranked server-side by reconciliation confidence, links via
  /api/reconciliation/bank/link (so the link is undoable in Bankavstämning).
- unmatched-entries route gains an optional transaction_id that ranks candidates
  (ranking stays server-side; the recon lib is not client-safe).
- Inbox row's overflow (⋯) menu gains the new action.

Also fixes the Bankavstämning view: editing the date no longer auto-reloads
(applies on Filtrera / account change only) and Datum till defaults to today.

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

* fix(transactions): actionable Swedish errors when a bank tx cannot be deleted

The delete route returned a hardcoded English 409 that getErrorMessage mapped to
the misleading generic "En konflikt uppstod. Ladda om sidan...". Return
structured bilingual envelopes instead:

- TRANSACTION_DELETE_BOOKED (409) for a booked/linked row — steers the user to
  unlink in Bankavstämning or storna the voucher.
- TRANSACTION_DELETE_HAS_AUDIT_TRAIL (409) for the real, common case where an
  unbooked row carries payment_match_log rows: the cascade hits the
  audit-immutability trigger (P0001), previously surfaced as a bare 500. Steers
  the user to match-to-voucher or ignore instead.

Updates the DELETE test suite and adds the P0001 case.

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

* feat(settings): surface DPA and privacy policy links

The /dpa page (personuppgiftsbiträdesavtal, GDPR Art. 28) was complete but
linked from nowhere. Add a "Sekretess och avtal" card on Inställningar → Konto
linking to /privacy and /dpa, and a reciprocal link to the DPA from the privacy
policy's sub-processor section. (The DPA already links back to /privacy.)

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

* fix(review): address PR #623 feedback

- unmatched-entries: when transaction_id is supplied but resolves to no row in
  the caller's company, return an empty candidate list instead of silently
  falling back to the full unranked list (Compliance Swarm V8.2.1, high).
- MatchVoucherDialog: preserve a manually-picked voucher when the candidate
  list reloads (e.g. "Visa alla datum") instead of discarding it (Greptile P2).
- DELETE /api/transactions/[id]: return the 404 as the structured
  { error: { code, message, message_en } } envelope like the handler's other
  errors, for a uniform contract (Greptile P2). Test updated.

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

* feat(bookkeeping): allow editing notes on a committed journal entry

Saving a note on a posted verifikation failed with "Committed entries are
immutable": enforce_journal_entry_immutability() had no posted→posted path, so a
notes-only UPDATE fell through to the final RAISE. `notes` is internal annotation
metadata (not verifikation content under BFL 5 kap. / BFNAR 2013:2), so add a
narrow carve-out that permits a notes-only change on a committed entry — verified
with a whole-row to_jsonb() diff so any other field change still raises, and only
when status is unchanged. Period-lock enforcement is unaffected.

CREATE OR REPLACE in a new migration (same pattern as
20260428160000_fix_journal_entry_immutability_delete_bypass); the migration-017
protections are extended, never weakened. Covered by a pg-real test asserting a
notes edit succeeds while amount/description/account edits still fail.

(Already applied to production; committing the file + test for repo consistency.)

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

* fix(sandbox): make pre-staged pending operations executor-complete

The seeded pending_operations existed only as display previews — approving them
failed because commit executors in lib/pending-operations/commit.ts validate
required fields on "Godkänn". Seed a backing invoice_inbox_items row and fill the
supplier-invoice and categorize params with every field the executors require
(inbox_item_id, full items array; real uncategorized transaction_id + category),
so the sandbox approval queue is actually approvable end to end.

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-01 21:08:06 +02:00
Jakob Wennberg 953980c875 Per-account bank reconciliation + overdue/inbox/privacy fixes (#619)
* feat(reconciliation): scope bank reconciliation per cash account via transactions.cash_account_id

A company with two same-currency cash accounts (e.g. checking 1930 + a
savings account) saw every SEK transaction on every account, and the
status card summed across both — reconciliation filtered transactions by
CURRENCY while filtering GL lines by ACCOUNT (issue #604).

Bind each bank transaction to the cash_accounts row it settled on:

- New nullable transactions.cash_account_id FK (ON DELETE SET NULL —
  a bank transaction is räkenskapsinformation, BFL 7 kap, and must
  survive cash-account deletion) + a best-effort 4-pass backfill.
- All reconciliation/transaction queries scope to the selected account
  with a NULL->currency fallback, so legacy/un-backfilled rows never
  disappear mid-backfill.
- ingestTransactions stamps cash_account_id from the batch's
  settlementAccount; categorize + manualLink resolve and use it.
- Bank leg now books to the transaction's actual settlement account via
  applySettlementAccount (no-op for 1930), so interest/fees on a
  savings/EUR account reconcile instead of mis-booking to 1930.
- manualLink cross-checks the transaction's account and requires a
  voucher line on the selected account (no silent cross-account links).
- BankReconciliationView: quick-book menu for any settlement account,
  in-flight request abort on account/date switch, 500-row truncation
  notice, per-account state reset.
- pg-real coverage for the FK, all backfill passes, account-scoped
  query isolation, and cross-company isolation.

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

* fix(supplier-invoices): stop marking paid invoices and credit notes as overdue

update_overdue_supplier_invoices() (the daily pg_cron job) flipped every
past-due 'registered'/'approved' row to 'overdue' without looking at the
outstanding balance. Credit notes — created 'registered', remaining 0,
due today — got flipped the next day, surfacing as "Förfallen" with
"kvar att betala 0 kr"; so did any fully-paid invoice left in
'registered'/'approved'.

Guard the cron on remaining_amount > 0.005 (the "fully paid" threshold
used by the payment/match paths) and is_credit_note = false, and backfill
the rows already mis-flagged (credit notes -> 'registered', paid ->
'paid' with paid_at stamped only when missing). pg-real coverage for the
guarded function and the one-off backfill.

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

* fix(invoice-inbox): refresh dokumentinkorg on realtime row changes

The InvoiceInboxWorkspace only refetched on mount and on explicit
in-component actions. When an inbox item was resolved out of band — the
in-app agent sheet committing a staged create_supplier_invoice_from_inbox
/ book-direct op, the /pending page approving one, or another tab booking
it — none of those paths called fetchItems(), so the booked underlag
stayed in "Att göra" until a manual reload (issue #600).

Add invoice_inbox_items to the supabase_realtime publication (mirrors the
/pending fix in 20260520120100) and subscribe in the workspace, refetching
the whole list on any change so derived status/counts/ordering stay
authoritative. RLS scopes the channel to the user's company. fetchItems
now preserves optimistic upload placeholders so a refetch firing
mid-upload can't drop an in-flight row.

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

* docs(privacy): disclose EU AI inference via Amazon Bedrock (eu-north-1)

Update the privacy policy and DPA to state that AI inference, when AI
features are enabled, runs inside the EU via Amazon Bedrock (eu-north-1,
Stockholm) using Anthropic's Claude models — no transfer to a third
country, prompts not retained after the call or used for model training.
Add AWS as a subprocessor row and refresh the "last updated" dates.

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

* fix(migrations): rename invoice_inbox_realtime to avoid version collision

main's #617 shipped 20260605120000_transactions_original_description.sql —
the same version this branch used for the inbox-realtime publication. The
Supabase migration tracker keys on the numeric version, not the filename, so
the preview branch failed with a duplicate-key error on
supabase_migrations.schema_migrations (version 20260605120000 already
exists). Rename to the unique version 20260605120500; the body
(ALTER PUBLICATION) is order-independent.

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

* fix(reconciliation): align run guard with status; harden filter interpolation

Addresses PR review (greptile + compliance swarm):

- The v1 and core bank/run routes rejected an unknown account uniformly,
  including the default '1930', while the status routes were lenient for
  '1930'. A company reconciling its primary SEK account without a
  cash_accounts row got 200 from status but 400 from run. Make run match
  status: '1930' falls back to currency-only scoping (cashAccountId
  undefined); non-default unknown accounts are still rejected. Adds a test.
- /api/transactions accepts a user-supplied `currency` query param that was
  interpolated raw into a PostgREST .or() filter. Reject anything that isn't
  a 3-letter ISO code — RLS already scopes to the company, but an
  unsanitized value could otherwise malform/widen the filter. Assert
  currency/cashAccountId shape in scopeTransactionsToAccount as well.
- categorize: log (instead of silently swallowing) a cash_accounts
  settlement-account lookup error, so a fall-back-to-1930 mis-booking is
  observable in the audit log.

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

* fix(migrations): correct backfill UPDATE..FROM join; idempotent realtime publication

Two SQL errors that only surface on real Postgres (CI pg-real + Supabase
preview) — the unit suite mocks Supabase, so neither was caught locally.

- Backfill pass (a): `UPDATE transactions t ... FROM journal_entry_lines jel
  JOIN cash_accounts ca ON ca.company_id = t.company_id` referenced the UPDATE
  target `t` inside the FROM join's ON clause, which Postgres rejects ("invalid
  reference to FROM-clause entry for table t"). Move the company match to WHERE;
  the JOIN now relates jel<->ca only. Semantics unchanged.
- invoice_inbox_realtime: `ALTER PUBLICATION ... ADD TABLE` is not idempotent
  (SQLSTATE 42710 if the table is already a member). The earlier
  version-collision push partially applied it on the Supabase preview branch, so
  the re-apply errored. Guard with a pg_publication_tables existence check.

Both statements validated against a real Postgres: the single-line tx binds, the
two-bank-line transfer stays NULL, and the publication add runs twice cleanly.

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

* fix(migrations): backfill pass (c) uses array_agg, not min(uuid)

Postgres has no min() aggregate for uuid, so pass (c)'s min(id) raised
"function min(uuid) does not exist" on apply (CI pg-real + Supabase). The
HAVING count(*) = 1 already guarantees one row per group, so (array_agg(id))[1]
returns that single id.

Validated the full backfill (all four passes) and the overdue migration against
a real Postgres: every pass binds / falls through as intended, and the overdue
guard + backfill produce the right statuses.

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

* docs(compliance): add RoPA entry for Amazon Bedrock AI inference (GDPR Art.30)

The privacy policy now discloses AI inference (transaction categorization +
document/receipt OCR) via Amazon Bedrock as a processing activity, but
.compliance/ropa.yaml had no matching Art.30 record. Add it: opt-in consent
basis, EU-region (eu-north-1) inference with no third-country transfer, prompts
not retained or used for model training. Mirrors the privacy-page disclosure
shipped in this PR.

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-01 18:26:13 +02:00
Mattsson c6c86cded4 Mcp/template data feedback (#617)
* fix(booking-templates): scope template list to the active company

GET /api/settings/booking-templates relied solely on the btl_select RLS
policy, which is membership-wide (user_company_ids) and returns templates
from every company the user belongs to. A user who owns multiple companies
saw all their templates merged regardless of which company was active.

Narrow the list in the API layer (mirroring counterparty-templates) to
system + the active company + the active company's team. RLS stays the
security backstop; this fixes the cross-company merge within a single
user's own view (it was never a cross-tenant data leak).

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

* fix(import): show proper message for duplicate bank file upload

The bank file import page mis-parsed the structured error envelope
({ error: { code, message, details } }), so a BANK_FILE_DUPLICATE
(409) fell through to the generic "Kunde inte läsa filen" fallback.
The upload step also hardcoded that same string as the error heading,
so duplicates were doubly misreported as parse failures.

- Parse the structured envelope by error.code; surface error.message
  for all codes instead of rendering the error object.
- Add a dedicated BANK_FILE_DUPLICATE message using the importedAt /
  importedCount details the route already returns.
- Add an optional errorTitle prop to BankFileUploadStep (defaults to
  the previous text) and pass "Filen är redan importerad" for dupes.

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

* feat(tests): add comprehensive tests for recordateEntry, inbox-linking, and external-id handling

- Implemented unit tests for recordateEntry in the bookkeeping module to validate various scenarios including date changes, non-posted entries, and fiscal period restrictions.
- Created tests for inbox-linking status in pending operations to ensure correct handling of invoice inbox items and supplier invoices, addressing historical bugs related to status updates.
- Added tests for external-id utilities to ensure consistent handling of monetary amounts and deduplication keys across different transaction sources.
- Introduced new functions in external-id.ts for stable external ID generation and normalization of imported descriptions, enhancing transaction deduplication reliability.

feat(migrations): add new database migrations for transaction handling

- Created migration to exclude storno and correction vouchers from unmatched GL lines, ensuring accurate reconciliation.
- Added a migration to preserve original bank transaction descriptions in a new immutable column, allowing for user edits while maintaining audit trails and deduplication integrity.

* feat(migrations): add function to exclude storno/correction vouchers from unmatched GL lines

* feat(transactions): enhance transaction handling with improved description normalization and preloaded original entries

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-01 14:45:49 +02:00
Jakob Wennberg 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>
2026-06-01 10:45:51 +02:00
Jakob Wennberg 13be0c569a 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>
2026-05-30 13:36:46 +02:00
Mattsson ea1bf01f1e Fix/m sprint fixes (#613)
* fix(dashboard): exclude ignored and already-triaged transactions from stale count

The "Gamla transaktioner" widget counted transactions that had been ignored
or already marked as is_business=true but not yet booked, so users saw a
nag for a row they had already dealt with — and the /transactions inbox
correctly hid it. Align the count with the inbox criterion (is_business
IS NULL, is_ignored = false) so the widget clears when the row leaves
the inbox.

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

* fix(transactions): read entity_type from settings response wrapper

The transactions page read entityRes.entity_type directly, but
/api/settings returns { data: { entity_type, ... } }. The expression
was always undefined, so setEntityType never fired and entityType
stayed at its initial 'enskild_firma'. The template picker's
entity_type filter then dropped every aktiebolag-tagged user template
for AB customers — only entity_type='all' templates made it through.

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

* stale templates
bank sync
journal entry from transaction

* fixed pr comments

* fixed pr comment

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-30 01:28:41 +02:00
Jakob Wennberg 7eb8715417 feat(transactions): split-payment allocator — 1 tx → N invoices (#603)
* fix(category-mapping): use leaf BAS accounts instead of group codes

3900, 5800, 6200 are BAS gruppkonton (header codes) and shouldn't carry
postings. Switched the default mappings to the matching leaf accounts:

  - income_other:     3900 -> 3999 (Övriga rörelseintäkter)
  - expense_travel:   5800 -> 5890 (Övriga resekostnader)
  - expense_telecom:  6200 -> 6230 (Datakommunikation)

The fallback for income_other inside getCategoryAccountMapping was also
hardcoded to '3900'; updated to '3999' for consistency.

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

* feat(transactions): split-payment allocator — 1 tx → N invoices

Closes one of the two flows that motivated PR #602's foundation:
allocating a single bank transaction across multiple customer OR
multiple supplier invoices, with one combined verifikat
(samlingsverifikation per BFL 5 kap 6§ st 3).

## Backend (Phase 3a)

- **PL/pgSQL RPC** match_batch_allocate (~400 lines): locks the tx +
  each target invoice with SELECT … FOR UPDATE in id order, validates
  status/currency/remaining/direction before any write, builds the
  combined verifikat via commit_journal_entry (atomically assigns
  voucher_number + flips draft→posted), inserts N rows in
  invoice_payments or supplier_invoice_payments pointing at the same
  JE, advances paid_amount/remaining_amount/status per invoice. Returns
  { ok, journal_entry_id, voucher_number, allocations: [...] } on
  success or { ok: false, code, details } on guard failure. Mixed
  customer+supplier kinds are rejected (v1 scope).

- **Endpoint** POST /api/transactions/[id]/match-batch — thin wrapper
  around the RPC. Validates body via MatchBatchSchema (zod
  discriminatedUnion + superRefine to catch mixed-kinds at the schema
  layer). On RPC success, emits one invoice.match_confirmed or
  supplier_invoice.match_confirmed event per allocation so existing
  subscribers (reminders, automations, processing-history) keep
  working. Maps the structured RPC error envelope to
  errorResponseFromCode.

- **16 new BATCH_* error codes** (sv+en): BATCH_TX_NOT_FOUND,
  BATCH_TX_ALREADY_BOOKED, BATCH_OVERSHOOT, BATCH_AMOUNT_EXCEEDS_TX,
  BATCH_MIXED_KINDS_UNSUPPORTED, BATCH_DIRECTION_MISMATCH,
  BATCH_CURRENCY_MISMATCH, BATCH_PERIOD_LOCKED, BATCH_RPC_FAILED, etc.

## UI (Phase 5a)

- **MatchAllocationDialog** (components/transactions/) — direction-
  aware (positive tx → customer invoices, negative → supplier). Search
  + selectable list of open invoices. Per-row amount input with default
  = min(invoice.remaining, tx_remaining_budget). Live tally with
  green-check balanced state, red overshoot warning, gray leftover
  note. Confirm button disabled on overshoot. POSTs to /match-batch
  and on 200 triggers the same exit animation as single-tx match.

- **Inbox row** gains a second outline icon button (Split icon) next
  to the existing 1:1 match button, gated by the same
  showInvoiceMatchButton predicate. Tooltip explains the direction-
  aware split. Opens MatchAllocationDialog.

- **i18n** strings under tx_match_allocation namespace in sv.json
  and en.json (32 keys each).

## Tests

- tests/pg/match-batch-allocate.pg.test.ts — 5 pg-real tests covering
  combined verifikat shape, overshoot guard, already-booked tx,
  direction mismatch, mixed-kinds rejection.
- app/api/transactions/[id]/match-batch/__tests__/route.test.ts — 5
  unit tests covering schema validation, mixed-kinds, happy path,
  structured-error mapping, raw-error → BATCH_RPC_FAILED.

63 unit tests pass across the touched paths. The RPC migration was
already applied to remote in an earlier Phase 3a session (idempotent
CREATE OR REPLACE FUNCTION; the next replay is a no-op).

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

* fix(match-batch): PR #603 review round 1 + CI fixes

Closes both CI failures and the three real review findings.

## CI fixes

- **pg-real failure**: the RPC declared
  `v_journal_entry_id uuid := uuid_generate_v4()` which fails in the CI
  Postgres image (uuid-ossp extension is off). Switched to
  `gen_random_uuid()` — the codebase standard already used by
  supplier_invoices, invoice_inbox, etc.
- **core-only failure**: my earlier BAS leaf-account commit
  (3900→3999, 5800→5890, 6200→6230) didn't update the matching
  `lib/bookkeeping/__tests__/category-mapping.test.ts` expectations,
  and `getDefaultAccountForCategory`'s fallback for `income_*` was
  still hardcoded to '3900'. Updated both.

## Review findings (greptile)

- **P1 deadlock-stable locking** (`match_batch_allocate.sql:11`): the
  validation `FOR UPDATE` loop ran in caller-supplied array order. Two
  concurrent calls with overlapping invoice sets in opposite orders
  could deadlock and one would abort with `BATCH_RPC_FAILED`. Now
  all three loops (validate, build lines, advance invoices) iterate
  via `SELECT … FROM jsonb_array_elements(…) ORDER BY
  COALESCE(invoice_id, supplier_invoice_id)`, giving a stable global
  lock order regardless of how the caller ordered the JSON array.

- **P1 duplicate-allocation detection** (`match_batch_allocate.sql:163`):
  the same invoice_id listed twice would pass the per-row overshoot
  guard (both iterations read the original `remaining_amount`) and
  the write loop would insert two `invoice_payments` rows for the
  same invoice. Added a `v_seen_ids text[]` check in the validation
  loop and a new `BATCH_DUPLICATE_ALLOCATION` error code (sv + en).
  The dialog already prevents this UI-side via `if (prev[candidate.id]
  return prev` — the RPC guard is the defense-in-depth layer.

- **P2 zod `.positive()`** (`schemas.ts:544`): allocation amount was
  `nonNegativeAmount` (allowing 0), passing schema validation only to
  be rejected by the RPC with `BATCH_INVALID_AMOUNT`. Now
  `z.number().positive(…)` so 0-amount entries fail at the schema
  layer with a per-field path, cleaner 400.

- **P2 strict `> 0` direction check** (`MatchAllocationDialog.tsx:82`):
  used `amount >= 0` to pick customer-side, but a zero-amount tx would
  load customer candidates only to hit `BATCH_TX_ZERO_AMOUNT` at
  submit time after the user has filled in allocations. Switched to
  `> 0` so 0-amount tx never reaches the dialog at all (it's rejected
  by the RPC immediately).

The fourth Greptile comment (the schema P2 about amount validation)
overlaps with the third; addressed in the same edit.

## Verification

- 112 unit tests pass across touched paths
- ESLint clean
- New pg-real test `tests/pg/match-batch-allocate.pg.test.ts` covers
  the dedupe scenario (same supplier invoice listed twice with summing
  amounts that individually pass per-row overshoot)
- RPC patch applied to remote via Supabase MCP

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

* fix(match-batch): PR #603 review round 2 — compliance hardening

Addresses the actionable findings from compliance-swarm and
Swedish-accounting-compliance reviews. Six small RPC changes + two
TS-side guards, all bundled in one follow-up migration.

## Security

- **(GDPR Art.5(1)(f) / ISO A.8.2) Caller verification**: SECURITY
  DEFINER bypasses RLS, and the prior RPC accepted any
  (p_user_id, p_company_id) pair from the route. Now the function
  rejects with new `BATCH_UNAUTHORIZED` (sv+en, HTTP 403) if
  `auth.uid()` is not a member of `p_company_id`. Pattern lifted from
  `harden_invoice_number_rpcs` (#20260510140000).
- **(OWASP V4.2) Allocation cap**: `MatchBatchSchema.allocations` now
  carries `.max(100)` to prevent DoS via unbounded FOR UPDATE locks.

## Swedish accounting correctness

- **source_type per direction**: was hardcoded to `'invoice_paid'` for
  both customer + supplier batches, mis-routing behandlingshistorik
  filters. Customer batches keep `'invoice_paid'`, supplier batches now
  write `'supplier_invoice_paid'`.
- **Fiscal-period determinism**: `LIMIT 1` on the period lookup was
  non-deterministic on overlap (e.g. corrected broken year). Added
  `ORDER BY period_start DESC` so the most recent matching period
  wins.
- **Tolerance harmonisation**: cross-allocation sum used `+0.01`
  tolerance while per-row used `+0.005`. Both now `+0.005` so a
  multi-row batch can't drift ~0.01 SEK while each row passes
  individually.
- **`transactions.category` no longer overwritten**: was forced to
  `'income_services'` (→ BAS 3001 at 25% VAT) for any customer batch,
  misrepresenting reduced-rate / export / EU-service invoices. The
  category is only meaningful 1:1 with a single invoice; batches now
  leave it as-is, mirroring the supplier-side `ELSE category` branch.

## Tests

- `tests/pg/match-batch-allocate.pg.test.ts` now wraps every RPC call
  in `withUserContext(userId)` so `auth.uid()` resolves to the seeded
  owner. Without this the new membership check would have failed all
  existing tests.
- New pg-real test: `rejects with BATCH_UNAUTHORIZED when caller is
  not a member of the company` — outsider user gets explicit refusal.
- New happy-path assertion: `source_type = 'supplier_invoice_paid'`
  on the combined verifikat for supplier batches.

15 unit tests pass on the touched paths. RPC patch applied to remote
via Supabase MCP. Out-of-scope mcp-server changes still parked locally.

Skipped findings (documented in PR comment thread):
  - V8.2.1 ownership pre-check at route layer (RPC enforces it)
  - V4.5 / Art.5(1)(b) narrower API response and event payload —
    typed contracts require the full shapes
  - V2.4 rate-limiting — system-level, applies to all match endpoints
  - A.8.28 client-side RLS reliance — documented architectural choice
  - Direction pre-check at API layer (RPC catches with cleaner code)
  - V16 + Art.32 + Art.5(1)(b) low-severity logging nits

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

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-29 13:45:41 +02:00
Jakob Wennberg a586cc8a58 feat(transactions): show all library templates in picker; fix PSD2 seed-row collision (#596)
* feat(transactions): show all library templates in picker; fix PSD2 seed-row collision

- Booking template picker: surface every active library template, not
  only the convertible 2-account shapes. Multi-leg/complex templates
  route to the manual journal editor pre-filled via applyTemplate
  instead of being hidden. Drop direction filtering for user
  templates (inferred direction is unreliable); the curated static
  catalog still respects it. Add an "Aktivera och bokfor" recovery
  toast for TX_CATEGORIZE_INVALID_ACCOUNT mirroring the existing
  ACCOUNTS_NOT_IN_CHART flow. CreateTemplateForm reflows to one card
  per line so trash buttons stop colliding on narrow screens.

- cash_accounts.upsertFromPsd2: the seed_default_cash_account
  migration plants a manual (bank_connection_id IS NULL) row on the
  same ledger_account, so the first PSD2 sync's upsert on
  (company_id, bank_connection_id, external_uid) cannot match it
  (NULL != NULL) and falls through to INSERT, tripping the
  (company_id, ledger_account) UNIQUE constraint. Look up and
  promote the seed row in place first.

- Tests: pin the TX_CATEGORIZE_INVALID_ACCOUNT error shape the
  recovery toast parses; cover applyTemplate on shapes the
  converter rejects (split-expense and all-'business'-typed).

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

* fix(transactions): PR review — currency metadata, MRU ordering, observable promote, BAS validation

- TransactionBookingDialog.buildInitialLinesFromTemplate: attach
  buildCurrencyMetadata to settlement lines for foreign-currency
  transactions so the journal entry retains the original currency,
  amount, and exchange_rate. Without this, non-SEK transactions
  routed through a non-convertible template were recorded in SEK
  only with no foreign-currency annotation. (Greptile #2)

- TemplatePicker.handleSelectLibraryRaw: only bump the MRU after
  confirming the click will actually do something (i.e. converted
  OR a callback is wired). Future consumers that omit
  onPickLibraryTemplate would otherwise corrupt MRU ordering for
  templates the user never successfully applied. (Greptile #1)

- cash_accounts.upsertFromPsd2 promote-seed: add .select('id') so
  a zero-row UPDATE is observable. If the seed row vanishes
  between the SELECT and UPDATE (concurrent ops), fall through to
  the normal upsert instead of silently returning success without
  persisting anything. (Greptile #3, compliance A.8.9)

- transactions/page.tsx TX_CATEGORIZE_INVALID_ACCOUNT toast:
  validate accountNumber against /^\d{4}$/ before embedding in any
  fetch URL/body. Defense-in-depth against a malformed server
  error envelope. (compliance V8.2.1)

- categorize route test: switch the not-in-chart fixture from
  '4535' (Inköp av varor från annat EU-land — reverse-charge) to
  '5420' (Programvaror) so the example doesn't imply a domestic
  override against an EU-reverse-charge account would be valid
  without its paired moms legs. (Swedish compliance review #3)

Other review items deliberately not addressed in this PR:
- Validate-on-save that every VAT-rated template has a 'vat'
  line — overrides existing CreateTemplateForm UX, separate PR.
- vat_rate enum guard in applyTemplate — defensive; the editor
  dropdown only surfaces legal rates and is the only write path
  in production today.
- Imbalance UI warning — already handled: JournalEntryForm
  computes isBalanced and gates submission; DB trigger
  check_journal_entry_balance enforces BFL 5 kap server-side.

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

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-28 22:57:59 +02:00
Jakob Wennberg ccdfed5fea feat: voucher linking, recovery ops, and salary overrides (#591)
* feat: voucher linking, recovery ops, and salary overrides

Adds reversible/correction-style write paths that customers and agents have
been asking for, plus per-run salary employee overrides.

Invoice → voucher linking
- POST /api/invoices/[id]/link-to-voucher and
  GET /api/invoices/[id]/voucher-candidates
- lib/invoices/voucher-matching.ts with full + pg test coverage
- LinkVoucherPicker UI in PaymentBookingDialog
- pending_operations.operation_type expanded with link_invoice_voucher
  (medium risk) and a (journal_entry_id, invoice_id) unique guard
- MCP: gnubok_find_voucher_candidates_for_invoice and
  gnubok_link_invoice_to_voucher tools

SIE undo
- POST /api/import/sie/[id]/undo + undo_sie_import RPC
- sie_imports.status gains 'undone'
- ImportResultStep surfaces the action; structured error SIE_UNDO_FAILED

Edit-recreate journal entries
- POST /api/bookkeeping/journal-entries/[id]/edit-recreate
- Bookkeeping detail page wires it into the existing edit flow

Delete-last-voucher clears IB link
- Trigger + pg test ensure deleting the last voucher of a period nulls the
  opening_balance_journal_entry_id link so a re-import lands cleanly

Salary employee overrides
- salary_run_employees gains per-run override fields + migration
- lib/salary/effective-values.ts centralises resolved values; all payslip,
  payment, AGI, KU, and booking routes read through it
- SalaryOverridePanel on the employee detail page

Account classifier
- lib/bookkeeping/account-classifier.ts + tests; AddAccountDialog uses it
- backfill-import-accounts script updated

Misc
- toast: minor styling tweak
- AGI generate-declaration: respect effective values
- structured-errors: new LINK_INVOICE_VOUCHER namespace

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

* feat: add link_invoice_voucher operation type to pending_operations

* feat: refactor salary run calculations and update error handling for SIE imports

* fix: PR review feedback on voucher linking and SIE recovery

pg-real (blocking):
- tests/pg/delete-last-voucher-ib: drop posted_at = now() from the seed
  UPDATE — journal_entries has no posted_at column.
- lib/invoices/__tests__/voucher-matching.pg: seed the posted voucher
  before closing the fiscal period so enforce_period_lock doesn't block
  the INSERT during setup.

voucher-matching error codes and rollback:
- Add LINK_VOUCHER_DB_ERROR (HTTP 500) and return it on real invoice
  UPDATE / payment INSERT failures. Previously these returned
  LINK_VOUCHER_VOUCHER_NOT_FOUND (404) which the pending-op dispatcher
  auto-rejects on transient DB errors.
- Log rollback failures explicitly so an invoice left in a half-linked
  state (advanced status, no payment row) surfaces for manual
  reconciliation instead of disappearing silently.

resyncNextPeriodOpeningBalance ordering:
- Create the new IB first, relink the period FK, then storno the old IB.
  Previously the storno ran first; if createJournalEntry failed the next
  period was left with a reversed IB and nothing to replace it, and
  executeSIEImport swallows the error as a non-fatal warning.

replace_period_opening_balance_link:
- Tighten role check to owner/admin (was owner/admin/member). Matches
  delete_last_voucher and undo_sie_import.

Data minimisation:
- /api/invoices/[id]/voucher-candidates and the matching MCP tools now
  project only the invoice and customer fields the matcher reads, instead
  of returning the full customer row.

Schema bounds:
- SalaryEmployeeOverrideSchema caps each numeric override at 10 MSEK to
  catch typos before they reach the ledger or AGI.

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

* fix(tests): supply user_id when seeding voucher_sequences

voucher_sequences.user_id is NOT NULL (per the multi-tenant refactor in
20260330130000). The previous test seed only set company_id /
fiscal_period_id / voucher_series, which made the seed fail with a
constraint violation on the latest pg-real run. Pass the same userId
used elsewhere in the seed helper.

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

* fix(tests): scope delete-last-voucher RPC assertions inside the tx

withUserContext always ROLLBACKs, so any DELETE the RPC performs is
discarded when the callback returns. The previous test then queried
journal_entries via a fresh getPool() connection that only saw the
pre-RPC committed seed state — hence "expected '1' to be '0'".

Move every post-RPC assertion (entry count, period FK clear,
opening_balances_set flip, audit log entry, sie_imports clear) inside
the same withUserContext callback so they observe the uncommitted state
before ROLLBACK fires.

Also fix the sie_imports INSERT: the column is `filename`, not
`file_name`, and `sie_type` is NOT NULL.

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

* fix(tests): assert against the IB-marker audit row directly

DELETE on journal_entries fires two audit_log writes: the generic
write_audit_log() trigger row ("Deleted journal_entries record") and the
delete_last_voucher RPC's explicit "(was period IB)" entry. Both land
at the same statement_timestamp(), so ORDER BY created_at DESC LIMIT 1
returned the trigger row non-deterministically in CI.

Switch to a presence check with a LIKE filter on the IB marker so the
test verifies what it actually cares about — that the RPC's IB-aware
audit row exists.

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

* fix(db): set company_id on delete_last_voucher audit_log rows

20260528120000_delete_last_voucher_clears_ib_link.sql inserts directly
into audit_log without setting company_id. audit_log's SELECT policy
filters company_id IN user_company_ids(), so those rows landed with
company_id=NULL and were invisible to every reader — only the generic
write_audit_log() trigger row remained visible. That broke BFL audit-
trail intent: the "(was period IB)" provenance row was never readable.

Republish delete_last_voucher with p_company_id populated on both
audit_log INSERTs (draft path and posted path). Behavior is otherwise
unchanged; the pg-real test for the IB-clear flow now sees the
RPC-written marker row as expected.

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

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
Co-authored-by: Emil <emilmattsson14@gmail.com>
2026-05-28 21:09:43 +02:00
Mattsson a9aff5a120 Bug/template and sandbox (#589)
* Enhance booking template functionality and add sandbox extraction checks

* Implement Recapt integration for feedback submission and user identification

* Add Recapt identification component and bank sync status chip; update crontab entries

* Update .gitignore to ignore the entire scripts directory

* Refactor Recapt integration: add loader component, update privacy policy, and enhance bank sync status messages

* Fix .gitignore to correctly ignore the scripts directory
2026-05-28 15:43:48 +02:00
Jakob Wennberg f53725b20a Agent v1 bundle: TIC v2 onboarding, in-app assistant gating, sidebar nav, MCP fixes (#584)
* fix(sie-import): accept tab as field separator (Bollbok exports)

The SIE 4 spec allows either space or tab between fields, but
splitSIELine() only treated space (0x20) as a separator. Bollbok
exports tab-separated lines for every record except #RAR, which
silently swallowed all #IB / #UB / #KONTO / #KTYP / #VER / #TRANS
records — imports appeared empty even though the file was well-formed.

Also adds a parser-side diagnostic that emits a warning when raw #IB
or #VER lines are present in the input but parsing produced none. The
previous silent failure is how this bug stayed hidden; the warning
gives the import preview something visible to surface next time.

Verified against two real reproducer files (Sean / Erik Hellqvist):
  erik h 2025.SE (UTF-8): 166 accounts, 66 IB, 4 UB, 11 RES, 95 vouchers, 198 TRANS.
  erik h 2026.SE (CP437): 166 accounts, 66 IB, 4 UB, 0 vouchers.
Both now parse with zero warnings/errors.

Tests:
  + 8 Bollbok-shape tab-separated fixtures (2025 + 2026 quoting variants).
  + 4 silent-failure diagnostic-warning tests.
  All 74 sie-parser tests pass; 155/155 in lib/import; 64/64 downstream callers.

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

* fix(sie-import): address PR #513 review — strip #KTYP quotes, suppress redundant aggregate warning

Two non-blocking P2 findings from Greptile review on PR #513:

1. #KTYP handler stored fields[2] directly, so Bollbok 2026 exports
   (#KTYP\t1510\t"T") stored '"T"' with literal quotes instead of 'T'.
   Latent defect — accountType is unused downstream today, but my tab-
   separator fix made the quoted-value path reachable. Now routes through
   parseStringField so both Bollbok 2025 (unquoted T) and 2026 (quoted "T")
   land as 'T'.

2. The aggregate "kontrollera fältavskiljare och teckenkodning" warning
   fired alongside per-record 'error'-severity issues for malformed #IB /
   #VER records, producing a misleading hint when the parser had already
   pinpointed the structural problem. Now suppressed when an error-severity
   issue with the same tag already exists.

Test coverage:
  + accountType asserted to be 'T' (not '"T"') in both 2025 + 2026 shapes.
  + VER aggregate-warning test now uses #VER lines without { } blocks
    (silent loss, no per-record error) — the canonical case the diagnostic
    is designed for.
  + New suppression test: bare #VER produces per-record errors AND the
    aggregate warning is absent.

75/75 sie-parser tests pass; 156/156 in lib/import.

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

* wip: agent chat + composer + memory + document extraction

In-progress work on this branch beyond the SIE-import fixes:
- Specialized accountant agent (composer + intents + chat loop)
- Persistent agent_conversations/messages, agent_profiles, agent_memory
- /chat surface + /onboarding/agent + /settings/agent-memory
- document-extraction extension with status hooks
- MCP server staging refactor + new skills (atoms, bank reconciliation,
  customer onboarding, kreditfaktura)
- pending_operations rejection feedback (category + reason) + realtime
- TIC company profile cached snapshot on companies
- 17 migrations (all additive — see prior conversation analysis)

Parked while branch waits for review/merge. Migrations are already
applied to prod.

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

* refactor(tic): migrate company-data client from api-core v1 to Lens v2

Swaps the seven TIC company-data endpoints we call from the api-core
paths (`/datasets/companies/{companyId}/...`, `/search/companies`) to
the Lens equivalents (`/companies/{id}/...`, `/search-public/companies`).
Hard cutover; proxy pattern preserved.

Schema shifts handled inside the extension so consumers (TicWorkspace,
Step2CompanyDetails) don't need changes:

- `/companies/{id}/bank-accounts` now returns Bankgirot only — map to
  the existing `{ type, accountNumber, bic }` shape, drop terminated.
- `/companies/{id}/industries` returns a discriminated array — filter
  to `companyIndustryCodeType === 'sni2007'` to preserve v1 behavior.
- `/companies/{id}/phone-numbers` renamed the field to
  `phoneNumberFormatted` (fall back to `e164PhoneNumber`).
- `/companies/{id}/documents` replaces `/financial-report-summaries`;
  filter `type === 'annualReport'` and read nested
  `financialReportMetadata` to rebuild the legacy summary shape.
- `isCeased` is now a top-level boolean; `activityStatus` is an enum.
  Translate enum -> 'ceased' for the workspace's existing check.

BankID identity flow (id.tic.io) is untouched — separate TIC product.

Note: deploy gated on the TIC proxy being flipped to lens-api.tic.io
with an `x-api-key` Lens key.

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

* feat(tic): expose v2 onboarding & workspace data

Adds six new Lens (v2) fetchers on top of the migration that already
landed in this branch, surfacing the data through /lookup and /profile.

New fetchers in lib/tic-client.ts:
- getFiscalYears          /companies/{id}/fiscal-years
- getAccountingPeriods    /companies/{id}/accounting-periods
- getPayrolls             /companies/{id}/payrolls
- getSignatory            /companies/{id}/signatory
- getRepresentatives      /companies/{id}/representatives
- getCompanyStatus        /companies/{id}/status

/lookup gains a fiscalYear field (current fiscal-year configuration)
so onboarding Step 2 can skip manual MM-DD entry. CompanyLookupResult
extended with optional fiscalYear; consumers without it keep working.

/profile gains five new sections on TICCompanyProfile:
- fiscalYear + fiscalYearHistory   current + deduped period list
- signatory                        firmateckning descriptions
- board + representatives          board-composition summary + active
                                   officers (positionEnd in future)
- payrolls                         payroll2 array newest-first, with
                                   deviation vs annual-report
- statuses                         current+historical status entries
                                   with red/yellow/green/neutral color

TicWorkspace renders the new data as four cards (Status, Fiscal year +
Signatory, Board + Representatives, Payroll history) plus a Badge
mapping for the traffic-light status color.

Tests: 52 -> 60 passing. Added unit tests for the new fetchers' v2
paths, fiscal-year auto-fill in /lookup, and full v2 profile coverage.

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

* feat(onboarding,agent): lean on TIC v2 to skip Steps 1 & 3 and sharpen Opus

Three small wins that unlock more of the v2 cutover. No new endpoints — the
data was already in the snapshot, just not flowing where it should.

Step 1 (entity_type) — deep-link path only:
- /lookup now returns `legalEntityType` and `registrationDate` (added to
  CompanyLookupResult).
- /onboarding/page.tsx does a server-side /lookup prefetch when
  ?org_number= is present (BankID picker path), maps "AB"/"EF" to the
  EntityType enum, and seeds Step 1's radio. Falls through silently for
  unsupported codes (HB, KB, …) and on TIC errors.
- WelcomeOnboarding hydrates ticLookup state from the server prefetch so
  Step 2's debounced client fetch and Step 3's first-year inference both
  have data on first render — no flash.

Step 3 (is_first_fiscal_year) — every path:
- deriveFirstYearDefaults() parses ticLookup.registrationDate and returns
  { isFirstFiscalYear, firstYearStart } when registered <12 months ago.
  Step 3's initialData picks it up; the user only confirms the end date.
- Settings value wins when present so existing users with a saved choice
  don't get overridden.

Composer prompt:
- redactTic allowlist was the bottleneck — it stripped beneficialOwners,
  signatory, board, representatives, payrolls, statuses, fiscalYear
  before Opus ever saw the JSON. Existing filterRedundantQuestions
  ownership logic was effectively dead because the data path was severed.
  Expanded allowlist to include those v2 sections; kept bankAccounts/
  email/phone/fiscalYearHistory/financialReports out (token cost > signal).
- SYSTEM_PROMPT now documents each v2 section and the rules Opus should
  apply: payroll signal switches from "registration.payroll" to "actual
  payrolls[] filings" (kills the false-positive swedish-payroll selection
  for newly registered employers); beneficialOwners[] becomes the
  authoritative ownership source (single owner → FMB modifier; multiple →
  multi-owner); statuses[] isCeased/red triggers an uncertainty_note.

Tests: 4112 unchanged. Build: green. No schema or migration changes.

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

* fix(agent): onboarding polish + composer signal fixes from first-run feedback

UX:
- AgentOnboarding: drop the 10s "Hoppa över — fortsätt med standardval"
  escape hatch. The fallback path runs automatically on timeout; the
  manual skip just teased users into a degraded build.
- ReviewCard step 2 title: "Stämma av detaljerna" → "Stäm av detaljerna"
  (imperative form matches the rest of the steps).
- Drop em-dashes from user-visible Swedish strings in AgentOnboarding +
  ReviewCard (fallback labels, subtitles, placeholder, error message,
  final CTA). Em-dashes survive in code comments only.
- "Fråga min revisor" → "Fråga min assistent" everywhere it surfaced:
  AgentTrigger, AgentSparkleButton, ReviewCard preview, ReviewCard
  fallback comment, general.help intent buttonLabel + prompt text.
- AgentTrigger / AgentSparkleButton / EmptyState.AgentHelpLink /
  TransactionInboxCard ask-button all gated on identity.isVerified.
  Pre-onboarding users no longer see the floating FAB or per-page
  Sparkle buttons. AgentSheetProvider.identity gained an isVerified
  field; (dashboard)/layout.tsx selects agent_profiles.verified_at and
  passes it through.

TIC verksamhetsbeskrivning:
- tic/index.ts /profile: /companies/{id}/purposes returns every
  historical verksamhetsföremål filing. Picking [0] was returning the
  oldest "äga och förvalta" holding-company boilerplate for companies
  whose later filings narrowed the purpose ("tillhandahålla
  företagskrediter och finansiella teknologilösningar"). Sort the
  array by lastUpdatedAtUtc desc and take the most recent non-empty
  purpose.

Composer banking signal:
- loadBankingSummary now reads journal_entry_id alongside
  description/amount/date and returns per-counterparty `direction`
  ('in' | 'out' | 'mixed') and `has_unbooked` (any row not yet booked).
  Aggregate `unbooked_count` accompanies the rollup.
- buildUserPrompt emits each counterparty as
  `Name: 12 345 kr (ut, OBOKFÖRD)` so Opus can tell income from cost
  on sight and tell which counterparties are still open questions.
- SYSTEM_PROMPT now explicitly forbids verification questions about
  counterparties whose direction is unambiguous AND status is 'bokförd'.
  Should kill the regressions from the first agent build:
  * "Konsult, J 98 565 kr — intäkt eller kostnad?" when the amount is
    clearly negative.
  * "ALMI AB 493 000 kr — lån eller bidrag?" when the transaction is
    already categorized.

Tests: 4112 unchanged. Build: green.

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

* fix(agent,ui): representation needs deltagare+syfte, drop duplicate doc icon

Representation booking:
- transaction-categorization prompt now requires the agent to capture
  participants (name + company) AND purpose before staging a
  representation categorization. SKV's representationsregler + ML 8 kap
  require the verifikation to document who attended and what the
  meeting was about; without that the avdrag is denied and the post
  should be booked as non-deductible / personalkostnad.
- The agent confirms back in plain text (audit trail in the chat),
  writes the deltagare + syfte to gnubok_remember_fact (long-term),
  THEN stages. Saknas deltagare/syfte: explicitly tell the user the
  avdrag won't go through and offer the non-deductible alternative.
- Known gap (followup, not this commit): the staged op's journal entry
  description doesn't yet carry the deltagare text. Until we add a
  `notes` field to gnubok_categorize_transaction, the audit trail
  lives in chat + agent_memory only.

TransactionInboxCard duplicate attachment indicator:
- Drop the FileCheck2 "open document" button from the trailing slot.
  TransactionAttachmentIndicator (Paperclip) next to the description
  already opens the underlag on click. Two icons doing the same thing
  was noise. Cleaned up the unused state (isOpeningDoc, hasAttachment,
  handleOpenAttachment) and dropped now-unused imports (FileCheck2,
  useToast).

Tests: 4112. Build: green.

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

* feat(agent,nav): notes on verifikation + redesigned sidebar

Audit-trail notes for representation:
- gnubok_categorize_transaction gains an optional `notes` string.
  Threaded through stagePendingOperation → commitCategorizeTransaction →
  createTransactionJournalEntry, which now appends notes to the entry's
  description (capped at 500 chars). The verifikation an external auditor
  reads now carries deltagare + syfte directly — not just chat history /
  agent_memory.
- transaction-categorization prompt updated: representation flow now
  REQUIRES the agent to pass deltagare+syfte via the notes parameter.
  Without it the booking is non-deductible / personalkostnad per SKV.

DashboardNav redesign:
- Top section: flat, no header — Hem (/chat), Underlag (was
  Dokumentinkorg), Transaktioner, Granskning. Always visible; the inline
  badge on /pending shows the count when there are pending ops.
- Mid section: four collapsible dropdowns (Försäljning, Inköp,
  Redovisning, Personal). Each auto-expands when the active route lives
  inside it. KPI moved from main to Redovisning. Extension nav items
  (TIC workspace, etc.) fold into Redovisning.
- Bottom-left: new account popover (DropdownMenu, opens upward) holding
  CompanySwitcher, Inställningar, Hjälp, Support, Logga ut. Replaces
  the old top company-switcher card + the bottom Support/Logout block.
- Mobile drawer mirrors the new structure: top items as flat list,
  same four dropdown groups, separate "Tillägg" section when
  extensions exist, "Mitt konto" section at the bottom.
- i18n: invoice_inbox label renamed "Dokumentinkorg" → "Underlag"
  ("Documents" in en). New keys: mitt_konto, group_extensions.

Tests: 4112. Build: green.

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

* fix(nav): unhide Leverantörer under Inköp

The /suppliers entry existed in navItems but was marked hidden — leftover
from when the supplier list lived elsewhere in the IA. Removing the
hidden flag puts Leverantörer in the Inköp dropdown alongside
Leverantörsfakturor.

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

* fix(nav): CompanySwitcher back to top-left, user account moves bottom-left

The previous pass collapsed both concepts into the bottom popover. They
mean different things: the company is the org context everything below
operates against (top-of-sidebar, scannable); the user is the
account-holder (bottom-of-sidebar, where settings/logout live).

- (dashboard)/layout.tsx: fetch profiles.full_name alongside the
  existing identity queries; pass userName + userEmail into
  DashboardNav.
- DashboardNav: restore CompanySwitcher at the top of the sidebar
  (pre-redesign placement). Bottom-left popover trigger now shows the
  signed-in user's name + single-letter initial (accountInitial helper
  falls back to email's first char, then "?"). Popover header carries
  full name + email; items unchanged (Inställningar, Hjälp, Support,
  Logga ut). CompanySwitcher removed from inside the popover — nested
  dropdowns were awkward and the top placement is where it belongs.

Tests: 4112. Build: green.

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

* fix(pending): trim the agent context strip

The row-level AgentContextStrip on /pending was rendering the model
name (eu.anthropic.claude-sonnet-4-6) and the full atoms array
(horizontal/swedish-vat, vertical/konsult-it, …) inline, which made
each row 60–80 chars of mostly-the-same metadata. Reviewers never
scan that text; they scan amounts and decide approve/reject.

Now the strip shows only the conversation deep-link
(Konversation #<short id>) — the one piece that's actually useful for
diving into context. Model + atoms remain available in agent_metadata
for debugging surfaces; they're just not in the list view.

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

* fix(agent): shared ground rules + paragraph breaks after tool calls

Two regressions surfaced in real usage. Both are systemic.

Shared agent ground rules:
- /chat surface (general.help) was happily inventing four-digit BAS
  account numbers ("Debet 6212 - Molntjänster…", "Kredit 2614 - Ingående
  moms…") and proposing booking decisions on invoices it had never
  seen, with no follow-up questions about currency/scope/etc.
- transaction-categorization had those rules baked into its prompt;
  general-help / bokslut-step / invoice-draft / supplier-invoice-review
  / verifikation-draft / vat-review never inherited them.
- Extracted lib/agent/intents/shared-rules.ts with five cross-cutting
  rules: underlag first (check inbox + ask user to upload to
  Dokumentinkorgen when missing), ask follow-ups when ambiguous, never
  write four-digit BAS account numbers in chat (category names only),
  cite atoms / load skills (don't guess), check counterparty history
  before proposing.
- Injected renderAgentGroundRules() into all six intents above.
  transaction-categorization left alone — it has more detailed inline
  rules tied to its specific underlag-flow.

Paragraph break after tool calls:
- text_delta from the model often resumes after a tool call without a
  leading newline ("kategoriseras." → gnubok_query_journal runs → "Inget
  historik hittades…" appended directly). Markdown rendered the
  concatenation as one paragraph.
- AgentChat text_delta handler now inserts \n\n when (a) the buffer
  ends with text content, (b) the incoming delta starts with text
  content, (c) at least one tool call has run, and (d) the buffer
  doesn't already end with a blank line.

Tests: 4112. Build: green.

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

* fix(nav): default-open dropdown groups; closing is per-user

Dropdowns started collapsed which meant first-time users had to open
each group to discover what's inside. Inverted the state: default open,
user can collapse, active route still forces a group open.

- manualExpanded → manualCollapsed (semantics flip)
- toggleGroup unchanged externally; flips the bit
- isGroupExpanded returns !manualCollapsed[g] || hasActiveChild

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

* feat(agent): rate-safe v1→v2 TIC upgrade, counterparty defaults, profile settings

Three pre-ship quality wins.

Rate-limit-safe TIC v2 upgrade:
- The /profile endpoint fans out to ~13 Lens calls; the account has a
  ~3000/mo ceiling. Force-refreshing every pre-v2 (v1) snapshot across
  the customer base would blow the budget.
- ensureTicSnapshot gains an `upgradeV1` flag. A cached snapshot still
  inside the 7-day window is re-fetched only when (a) the caller passes
  upgradeV1 AND (b) the snapshot is v1-shaped (missing the v2-only
  `statuses` key). Gated to the two agent-onboarding call sites — a
  deliberate, once-per-company action and the only consumer of the v2
  sections. Workspace + signup keep the natural 7-day staleness, so the
  v1→v2 migration is lazy and bounded to companies actually building an
  agent.

Known-counterparty defaults (shared-rules):
- Agent now proposes a sensible default for well-known counterparties
  instead of asking the same question monthly: Almi → lån, Tillväxtverket/
  Vinnova/EU-stöd → bidrag, Skatteverket → skatt/avgift or återbäring,
  Bolagsverket → avgift, Försäkringskassan → ersättning, EF private
  withdrawal → eget uttag. Stated as an assumption the user can correct,
  not a hard rule — underlag/history still wins.

Företagsprofil settings page:
- New /settings/agent-profile (Företagsprofil / "Company profile"):
  view + edit the agent's company profile after onboarding — assistant
  name + avatar, the profile summary the agent reasons from, and a
  read-only chip view of loaded specialities (atoms). Backed by the
  existing GET/PATCH /api/agent/profile.
- New GET /api/agent/atom-titles?ids= resolves atom slugs → human titles
  for the chips (registry is globally-readable reference data).
- Added to SettingsSidebar; i18n keys agent_profile (sv "Företagsprofil"
  / en "Company profile").

Note: /chat already redirects unverified users to / (chat layout guard),
and / renders WelcomeGate → /onboarding/agent. No redirect work needed.
AgentSetupBanner.tsx is orphaned dead code (WelcomeGate superseded it).

Tests: 4112. Build: green. Both new routes compile.

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

* feat(nav,agent): Hem=Översikt + separate Assistent button; memory dedup

Nav restructure:
- "Hem" now points to / (Översikt dashboard) again, not /chat. The agent
  chat gets its own top-level nav entry "Assistent" (Sparkles icon) → /chat.
  Mobile bottom nav mirrors this (Hem / Assistent / Transaktioner).
- / restored to render DashboardContent (the Översikt) for built-agent
  users instead of redirecting to /chat. Users who haven't built their
  assistant yet still get WelcomeGate (the build-agent checklist); once
  verified, / shows the dashboard. Chat is reachable anytime via its nav
  entry. Restored main's dashboard data-fetch; added an agent_profiles
  verified_at probe to drive the WelcomeGate branch.
- i18n: nav.assistant ("Assistent" / "Assistant").

agent_memory dedup (gnubok_remember_fact):
- The agent re-remembers the same fact constantly (e.g. "Vercel = omvänd
  skattskyldighet" on every Vercel categorization), which would bloat
  agent_memory with paraphrases over months.
- Before insert, compare the incoming fact against the 300 most-recent
  active memories by word-set Jaccard similarity (lowercased, punctuation-
  stripped, stopwords dropped). A near-duplicate (≥0.82) is treated as
  already-known: bump its relevance toward the new score + refresh
  updated_at instead of writing a new row. Embedding-free, zero added
  latency beyond one bounded SELECT.

Tests: 4112. Build: green.

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

* fix(agent,nav): företagsprofil=Bolagsuppgifter, avatar nav icon, dedupe greeting

Företagsprofil settings page (the right content this time):
- Replaced the agent atoms/summary panel with CompanyProfileView — a
  read-only "Bolagsuppgifter" view of the cached TIC company snapshot
  (name, org-nr, form, address, F-skatt/Moms/Arbetsgivare, SNI, bank,
  verksamhet, employees, latest financials, status traffic-lights,
  fiscal year, firmateckning, företrädare). Server component reads the
  companies.tic_snapshot column directly — no extension import, stays
  inside the core-build boundary.
- Route renamed /settings/agent-profile → /settings/company-profile.
  Removed the old AgentProfilePanel + the now-unused /api/agent/atom-titles
  endpoint.

"Assistent" nav icon = the agent's chosen avatar:
- DashboardNav reads agent identity from AgentSheetProvider and renders
  the onboarding-chosen avatar for the /chat ("Assistent") entry across
  desktop sidebar, mobile drawer, and mobile bottom nav. Falls back to
  the Sparkles glyph pre-onboarding (no avatar yet).

Nav cleanup:
- Dropped the beta badge from Underlag.
- Filtered the TIC workspace (/e/general/tic, "Företagsprofil") out of
  the nav — the same Bolagsuppgifter now lives under Inställningar →
  Företagsprofil, so it shouldn't appear in two places.

Doubled intake greeting fix:
- /chat/intake fires an invoke with no conversation_id, then swaps the
  URL to /chat/[id] the instant the `conversation` event lands — which
  can beat the greeting being persisted. /chat/[id] then hydrated with 0
  messages and, because the auto-fire guard keyed on (id && messages>0),
  fired a SECOND invoke on the same conversation → two greetings.
  Guard now keys on conversation-id presence alone: a set id means
  resume, never bootstrap. Closes the race.

Tests: 4112. Build: green.

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

* fix(agent): paragraph-break-after-tool split words mid-stream

The earlier "insert \n\n when text resumes after a tool call" heuristic
re-evaluated on EVERY text_delta (any delta not starting/ending with
whitespace, once a tool had run). Streaming deltas arrive in sub-word
chunks, so it injected breaks between fragments of the same word:
"minnes\n\nno\n\nterna", "kund\n\nrep\n\nresentation".

Replace the per-delta heuristic with a consume-once ref:
- tool_use sets breakBeforeNextTextRef = true
- the next text_delta consumes it: prepends \n\n exactly once (only when
  the buffer has content, doesn't already end in whitespace, and the
  delta doesn't start with whitespace), then clears the flag

So the break fires once per tool→text resume, never mid-word.

Build: green.

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

* fix(agent): much shorter replies, representation headcount + VAT cap, dot separator

Brevity (system-prompt Svarsformat — affects every reply):
- Hard "korthet är regel nummer ett": aim for 2-4 sentences, lead with
  the answer/action, no warm-up ("Här är vad som gäller…"), don't derive
  VAT in prose, don't restate what the approval card shows, one question
  at a time. The agent was writing textbook-length essays.

Representation rule now in shared-rules (so verifikation-draft, vat-review,
etc. all get it — previously only transaction-categorization had it, which
is why the verifikation flow guessed 25% VAT and skipped the cap):
- Require ANTAL deltagare (headcount), not just one name — the moms
  deduction is per person (underlag cap 300 kr/person ex moms).
- Use the receipt's ACTUAL VAT rate (usually 12% on food), never assume
  25%.
- Meal representation isn't income-tax deductible (post-2017); whole cost
  booked as non-deductible representation.

Verifikation description separator:
- createTransactionJournalEntry appended notes with an em-dash
  ("Utlägg Eatnam — Deltagare:…"), violating house style. Switched to a
  middle dot " · ". journal_entries has no separate notes column — the
  description IS the BFL verifikationstext / audit field, so deltagare +
  syfte correctly live there.

Tests: 4112. Build: green.

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

* fix(settings): tidy Bolagsuppgifter — no status colours, clean firmateckning

From first-look feedback on the Företagsprofil page:

- Status: dropped the coloured traffic-light badges (red/yellow/green).
  Per the design system semantic colour is data-only, never chrome, so
  status now renders as plain label + date. Also filtered to dated
  entries only — Bolagsverket emits flags like "Har aldrig varit verksam"
  with no date that read as noise next to the real status. Ceased status
  gets muted destructive text (the one chrome colour the system keeps).

- Firmateckning: the source text carries ">" list markers and crams
  several rules onto one line, and repeats "Firman tecknas av styrelsen"
  across rows. cleanSignatory() strips the markers, normalises whitespace,
  splits run-on "Firman tecknas …" clauses onto separate lines, and the
  render dedupes — so each rule reads as its own sentence.

Build: green.

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

* fix(mcp): inbox items expose all terminal links + processed flag

The Eatnam receipt was booked against its bank transaction (so the inbox
row had matched_transaction_id + created_journal_entry_id set), yet the
agent reported it as loose/unmatched and a duplicate risk. Root cause:
gnubok_list_inbox_items only selected and returned matched_supplier_id +
created_supplier_invoice_id — the supplier-invoice path. The
transaction-match and direct-journal-entry paths were invisible, so any
receipt cleared via /transactions looked unprocessed.

- list_inbox_items now selects + returns matched_transaction_id and
  created_journal_entry_id alongside the supplier fields, plus a derived
  `processed` boolean (true when ANY of the three terminal links is set).
- New unprocessed_only=true input filters to items with no terminal link
  — the "what still needs handling" view that prevents the agent from
  flagging already-booked docs as duplicates. (Fetches a wider window
  then filters client-side so limit applies post-filter.)
- Description updated to document the processed semantics, within the
  280-char tool-description budget.

The DB linkage itself already worked: /transactions attach-document sets
matched_transaction_id, and commitCategorizeTransaction stamps
created_journal_entry_id. This was purely a read/surface gap.

Tests: 4112 (+ MCP description guard). Build: green.

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

* fix(mcp): repair stage-but-never-commit tools + consolidate tool surface

- post_annual_depreciation AND reverse_entry were never in the pending_operations operation_type CHECK, so both staged then died with check_violation at INSERT. Add the CHECK migration, a commitPostAnnualDepreciation executor (reusing commitAnnualPostings), risk tier, and the PendingOperationType union member.
- Salary tools de-risked: calculate_salary_run calls runSalaryCalculation() directly (no self-fetch/forged cookie); create_salary_run uses a transactional create-run helper with compensating delete; generate_agi actually generates + persists the declaration.
- import_sie parses + validates at stage time with a content-rich preview (company, fiscal year, voucher/account counts, balance) instead of a blind byte count.
- batch-match-invoices passed user.id where companyId was expected (silently matched zero).
- VAT report+widget merged behind render_ui; gnubok_search_tools ranks by relevance; gnubok_feedback readOnlyHint corrected; tools/list instruction text fixed; income decision-tree + GL/query_journal cross-refs added.

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

* feat(agent): load skill atom bodies from the DB so they survive the build

Skill bodies were read from disk at runtime (.claude/skills/**/SKILL.md); on Vercel the dynamic readFile path isn't traced into the lambda and on Docker .claude/ is excluded, so atoms loaded EMPTY in production — a despecialized agent. Inline the bodies into agent_atom_registry instead:
- Migration adds body + mcp_exposed columns; a build-time generator (scripts/generate-skill-bodies.ts) emits a deterministic dollar-quoted seed migration with a content-hash manifest + --check CI guard.
- Read sites (mcp-server atoms.ts, chat system-prompt.ts, composer prewarm) read body from the DB, with a dev-only disk fallback. mcp_exposed curates which atoms the MCP exposes (swarm-* never become atoms).
- The seed script + generator share scripts/lib/atom-discovery.ts; estimated_tokens now reflects SKILL.md only.

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

* feat(agent): safe the in-app assistant — gating, FAB de-confliction, rate limit, friendly errors

- Hide all agent entry points until verified_at: the Assistent nav tab (sidebar + mobile) and the agent-memory settings tab now match the floating FAB's gate.
- FAB de-confliction: /kpi -> kpi.explain and /bookkeeping/year-end -> bokslut.step so the floating button opens the SAME assistant as the page button (no two-agents-on-one-page).
- Generous per-user rate limit (30/min, 1000/day) on /api/agent/invoke, /onboarding/stream, /composer via a new agent_rate_counters table + check_and_increment_agent_quota RPC; fails open. Bounds runaway Bedrock spend without touching normal users.
- Friendly errors: Bedrock 429/timeout/5xx normalized to Swedish (friendlyModelError) in run-turn + the invoke route; the chat client surfaces the server's friendly message instead of a raw HTTP status.
- /chat/new validates ?intent= against the registry so bad deep-links fall back to general.help instead of rendering a broken-looking error.

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

* fix(agent): keep /chat read-only — redirect categorization + swap the "categorize" suggestion for a VAT-report question

general.help (the /chat assistant) is read-only, but it still gave per-transaction bokföringsförslag in prose and asked "godkänner du dessa?" — an analysis the user can't act on (no write tool, no per-tx underlag). Strengthen the prompt to redirect categorization/bokföring to the per-transaction flow (open the transaction -> "Fråga om denna transaktion", where the agent sees the underlag and stages a real ApprovalCard); a short overview is still allowed. Add a guard test locking in no-write-tools + the redirect language. Swap the /chat empty-state "Hjälp mig kategorisera" chip (which lured users into exactly this dead-end) for a VAT-report question the read-only assistant can actually answer.

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

* refactor(pending): declutter the review queue rows + header

Fold the conversation deep-link onto the actor label (drop the separate
"Konversation #xxxx" strip and its icon), hide the quick-pick when there's
only one operation type (it duplicated "Markera alla"), and drop the "(0)"
from the disabled bulk-approve button.

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

* feat(vat): enhance VAT handling by integrating document validation and improving error messaging

* feat(settings): add assistant knowledge surface + consolidate settings tabs

Expose the agent's skill atoms (agent_atom_registry) in a read-only surface
beside the existing memory view, and tighten the settings tab bar from 14 to
10 tabs.

- New GET /api/agent/skills + AgentSkillsPanel: lists active, mcp_exposed
  atoms grouped by tier (Kärnkompetens / bransch / bolagssituation), flags
  which are active for the company from agent_profiles, and lazy-loads each
  SKILL.md body on expand.
- New /settings/assistant tab with a Minne/Kompetens toggle (?view=skills);
  /settings/agent-memory and /settings/agent-skills redirect into it.
- Merge Företagsprofil (TIC snapshot) into the Företag tab via
  CompanyProfileSection; /settings/company-profile redirects.
- Merge Skatteverket-anslutningen into the Skatt tab — OAuth returnTo and the
  callback toast now target /settings/tax; /settings/skatteverket redirects.
- Drop the Säkerhetsbackup tab (already under Importera/Exportera).

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

* fix(inbox): keep booked underlag out of the unmatched queue + widen match window

- categorize: after booking an inbox underlag onto a verifikat, backfill the
  inbox row's matched_transaction_id + created_journal_entry_id so it stops
  showing as unmatched (mirrors the /attach-document paperclip path).
- TransactionMatchPicker: bias the candidate window forward (60d before →
  180d after the invoice date) so late payments aren't dropped before scoring,
  and widen the ranking date tolerance to 120d so the true match floats to the
  top instead of collapsing to "Svag match". Fix "okatigoriserade" typo.

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

* wip: bundle in-progress branch work + agent onboarding chat optimizations

Captures the uncommitted work-in-progress on this branch so it lives on the
remote. Heterogeneous changeset — bundled as one commit since the work was
already entangled across files.

Headline change in this commit (from this session):
- Remove the double interview in agent onboarding. Phase B's verification-
  question form stepper is gone — the Phase C chat (onboarding.intake) now
  owns the entire interview and reads the composer's verification_questions
  server-side as its question bank.
- ReviewCard collapses from 3 steps to 2 (meet → review-and-confirm) with
  value-first ordering: profile + "vad jag kan hjälpa dig med" + facts +
  optional seed note. CTA reads "Möt {namn}" to signal the chat follows.
- ChatIntakeStarter handoff subcopy updated to match reality (assistant
  greets first; user can leave anytime).
- Stamp agent_profiles.intake_completed_at server-side in
  app/api/agent/invoke/route.ts on the first user-typed reply in any
  onboarding.intake conversation (idempotent IS NULL guard, best-effort).
  Closes the previously dead-write column and unlocks the opportunistic-
  follow-up hook the migration anticipated.

Plus in-progress branch work being carried forward (not introduced here):
agent runtime + intent prompts, composer + atom-discovery scripts, MCP
server skills surface, onboarding flow components, dashboard/inbox tweaks,
two new agent_atom_registry migrations, additional agent-chat tests.

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

* refactor(agent): drop inline "Fråga assistenten" affordances — rely on the FAB

The bottom-right "Fråga {namn}" FAB (AgentTrigger) is already route-aware
and picks the right intent per page, so duplicating it as inline page-
header buttons and empty-state links is noise. Removed:

- EmptyState `agentHelp` link ("Eller fråga {namn} hur du kommer igång")
  + the AgentHelpLink component + agent_default_name/agent_ask_link i18n
  keys + the agentHelp props on EmptyInvoices/EmptyCustomers/EmptyTransactions.
- AgentSparkleButton on /bookkeeping (verifikation.draft) and /kpi
  (kpi.explain) page headers.

The FAB stays — when verified, it appears on those routes and routes to
the right intent automatically.

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

* fix(agent): gate the last two ungated "Fråga assistenten" affordances

Both surfaces previously called useAgentSheet directly without checking
identity.isVerified, so they appeared pre-onboarding (everywhere else the
FAB / sparkle buttons / /chat / Assistent nav are all gated on verified_at).

- Settings page header: remove the "Fråga {namn}" pill entirely. The FAB
  covers /settings routes route-aware (settings.help) — no need for a
  duplicate inline trigger.
- Invoice inbox transaction picker: hide the "Fråga assistenten" button
  when the agent isn't built. Done at the parent (InvoiceInboxWorkspace)
  by passing onAskAssistant only when identity.isVerified is true; the
  child renders the button only when the callback is present.

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

* feat(tic,onboarding,agent): single-call TIC lookup + director-aware narrative voice

- TIC: collapse the company lookup from 6 endpoint calls to 1
  (search-public already exposes sniCodes, bank accounts, emails, phones,
  and registration flags). Derive fiscal-year MM-DD from
  mostRecentFinancialSummary; newly-registered companies fall through to
  the client's first-year defaults.
- Onboarding: BankID picker no longer auto-provisions companies. Every
  pick routes through the wizard with orgnr (and entity_type via the
  CompanyRoles match) prefilled; F-skatt/VAT/address get confirmed in
  steps 2-4 instead of being auto-fetched. createCompanyFromOnboarding
  reuses CompanyLookupResult and adds a defensive top-level catch so
  server-action errors surface to the UI instead of being redacted.
- Agent composer: loadUserDirectorship() checks BankID CompanyRoles for
  a director-like position (ceo/boardMember/chairman/externalSignatory,
  active) before the narrative uses second-person ownership voice
  ("Du driver…"); unknown users get neutral third-person voice so we
  never put ownership words in the user's mouth.

Tests cover loadUserDirectorship, narrative voice, tic-fetch path,
onboarding page, and updated TIC client + lookup/profile suites.

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

* fix(tic): extend agent-onboarding TIC budget to 10s + backfill stranded org_numbers

The 5s TIC fetch timeout aborted client-side before the upstream Lens
fan-out (~13 calls) could complete, but the in-flight upstream calls
still counted against quota — actions.ts already documents ~530 wasted
calls from this in May. Same bug still applied to the agent-onboarding
stream path. Adds an optional `timeoutMs` to `ensureTicSnapshot` so
deliberate wait-screen callers (agent onboarding stream) can run with
10s while background/dev callers stay on the conservative 5s default.

Page-level server fetch (page.tsx) intentionally stays at 5s to avoid
blocking TTFB without a visible progress affordance.

Backfill migration mirrors `company_settings.org_number` to
`companies.org_number` for the 105 cases where it's safe (after dedup
+ conflict filtering). 56 of those are on active companies — unblocks
duplicate guards, SIE/SRU exports, and TIC fallback chain. Zero TIC
API calls — pure data move. Idempotent.

Also sweeps a pre-existing SSRF guard on the stream route's origin
derivation that was sitting unstaged in the working tree — it lives in
the same diff hunks as the TIC budget change and couldn't be split cleanly.

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

* wip: bundle in-progress branch work

Sweep up uncommitted agent/MCP/RLS work-in-progress so the branch is fully
backed up to origin. Not reviewed in detail — committed as-is to preserve
working state alongside the TIC fixes in the previous commit.

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

* fix(agent): tag the "Bygg din bokföringsassistent" CTA as Beta

Adds a Beta badge next to the assistant-setup heading on the dashboard
banner, dashboard inline card, and onboarding checklist row. Also drops
the stale "Gratis i 30 dagar" subline from the dashboard card.

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

* fix(build,migrations): PendingOperationType salary ops + resolve migration version collisions

PR #584 went red on three things:

1. core-only build / Vercel: `lib/pending-operations/commit.ts:2666` switched on
   'create_salary_run' and 'generate_agi' but `PendingOperationType` was missing
   both literals. Add them to the union.

2. Supabase preview: migration version 20260526120000 collided with main's
   newly-merged 20260526120000_fix_replace_sie_import_hard_delete.sql.
   Bump the branch's pair to 20260526120050 / 20260526120051 — still ahead of
   20260526120100_restvardeavskrivning so ordering is preserved.

3. 20260527170000 was used twice on this branch
   (_agent_rls_with_check + _journal_entry_no_doc_required). Bump the second
   to 20260527170100 so the pair stays orderable and Supabase doesn't choke
   on the duplicate schema_migrations PK.

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

* fix(ci): reword comment so core-only guard stops flagging it

The "Check no core imports from extensions" step greps for the literal
\`from '@/extensions/\` across lib/, app/api/, components/. A comment in
lib/agent/composer/tic-fetch.ts quoted the exact pattern verbatim to
explain *why* the file does a self-fetch instead of importing the TIC
extension directly — which the grep matched even though no actual
import exists.

Rewrite the line to keep the same meaning without the literal pattern.

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

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
Co-authored-by: Emil <emilmattsson14@gmail.com>
2026-05-28 11:27:01 +02:00
Mattsson a9b43ebeb7 Bug/vat selection warning (#583)
* refactor: update VAT handling logic for non-registered sellers and improve related comments

* chore: gate automated email flows behind 503 responses

Disables user-facing access to invoice payment reminders and salary
payslip email sending. Underlying lib code (reminder-processor,
PDF templates, notification_settings) is preserved for easy re-enable.

- Invoice reminders cron route returns 503; settings UI section removed.
- Payslip send route returns 503; original implementation kept as
  _sendPayslipsImpl for future re-enable.
- Push notifications were already extension-disabled, no change needed.

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

* chore: remove Recapt feedback widget

Strips the third-party Recapt SDK and its floating feedback bubble from
the app. The in-app contact form keeps working via the existing email
channel (/api/support/contact). Drops the Recapt entries from the CSP
and the subprocessor list in the privacy policy.

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

* feat: reject meaningless rättelser in correctEntry

Guard against zero-economic-effect corrections in the storno engine:
- Reject when proposed lines net to zero on every account (e.g. 1930
  debit 100 / 1930 credit 100), which would erase the original posting
  without representing any affärshändelse (BFL 5 kap. 5 §).
- Reject when proposed lines are an exact multiset match of the original
  entry — a rättelse must actually change something.

New MeaninglessCorrectionError wired through bookkeepingErrorResponse
(HTTP 400) and the Swedish error translator.

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

* feat: add date-range picker to resultat- and balansrapport

Adds optional from/to date filtering to the four operational financial
reports (resultatrapport, balansrapport, income-statement, balance-sheet)
so users can view a month, quarter, or custom range inside a fiscal year
without leaving the report. Defaults to YTD; "Hela året" preserves the
prior full-period behaviour (URL-identical, cache-stable).

- trial-balance engine accepts optional fromDate/toDate, rolling prior
  in-period activity into IB and clamping period activity to the window
- 12 API routes accept and validate from_date/to_date query params
- ReportDateRange chip picker persists preset per company, only renders
  on the four relevant tabs
- FiscalYearSelector now emits the period object so the range picker
  has bounds without an extra fetch
- PDF/XLSX filenames reflect the chosen range
- Resultatrapport drops the prior-year column when narrowed (full-year
  vs partial-year would mislead)
- 11 new tests (engine + parser); all existing report tests pass

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

* feat: add support for marking journal entries as "no document required"

- Introduced a new sidecar table `journal_entry_no_doc_required` to track entries that do not require separate documentation (e.g., bank fees, interest).
- Implemented API routes for creating and deleting exemptions, including validation and authorization checks.
- Added a toggle component in the UI to allow users to mark entries as exempt, with an optional reason.
- Updated relevant tests to cover the new functionality, including RLS checks and cascading deletes.
- Enhanced existing schemas and types to accommodate the new `vat_amount` field for supplier invoice items.

* fix: address PR review findings on no-doc-required + VAT changes

- pg-real cascade test wraps DELETE in gnubok.allow_delete='true' txn so the
  immutability trigger bypass fires (mirrors delete_last_voucher RPC).
- Clamp supplier-invoice item vat_amount to <= line_total * vat_rate via Zod
  refinement (with 1-öre rounding tolerance) so the manual override can't
  inflate the 2641 debit beyond the statutory ceiling.
- groupVatByRate falls back to line_total * rate when stored vat_amount is 0
  with a positive rate, so legacy/import paths leaving the column at its
  NOT NULL DEFAULT 0 don't silently understate ruta 48.
- ReportDateRange todayIso() and preset endpoints use local date components
  instead of toISOString() (UTC) — fixes the midnight-to-02:00 off-by-one
  that truncated a day from YTD / this-month / this-quarter for Swedish
  users.
- NoDocRequiredToggle restores the previous reason on failed POST/DELETE so
  the rolled-back toggle state stays consistent with the rendered reason.
- Document the company-scoped (not user-scoped) DELETE authorization policy
  on the no-document-required route.

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

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-28 01:56:09 +02:00
Mattsson 32d9978f1b Fix/chrome pdf preview csp (#572)
* feat: add option to exclude year-end closing entries in SIE export and related reports

* delete docs

* fix: allow Chrome's PDF viewer in verifikat document preview

The /api/documents/:id/inline route shipped with
`object-src 'none'` in its CSP, which blocked Chrome's built-in PDF
viewer (it renders inline PDFs via an internal <embed>). Users on
Chrome saw "Det här innehållet har blockerats" when expanding a PDF
attachment in the bookkeeping view; Firefox (PDF.js) and Edge (own
viewer) were unaffected, and JPGs worked because <img> isn't subject
to object-src.

Drops the CSP for this route to the minimum needed for embeddability:
`frame-ancestors 'self'`. X-Content-Type-Options: nosniff plus the
fixed Content-Type from the handler already block MIME confusion;
X-Frame-Options: SAMEORIGIN + frame-ancestors still block clickjacking.

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

* feat(auth): add webmail deep link to email confirmation screens

Mirrors Stripe's signup UX: after asking the user to verify their email,
detect their webmail provider from the domain and show a button that
opens the inbox in a new tab. Gmail gets a from:<sender> search
pre-populated; Outlook/Yahoo/iCloud/Proton open the inbox directly.
Unknown / custom domains fall back to the existing copy.

Sender address is configurable via NEXT_PUBLIC_BRANDING_AUTH_EMAIL_FROM
(default noreply@gnubok.se) so white-label installs can match their
Supabase Auth SMTP config.

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

* fix(auth): unblock first-time password set for BankID users with MFA

Supabase rejects updateUser({password}) and mfa.unenroll with "AAL2 session
is required" whenever a TOTP factor is enrolled. BankID magic-link logins
produce AAL1, and middleware skips MFA enforcement for bankid_linked users,
so they had no path to AAL2 — leaving them unable to set a backup password
or disable MFA without going through the email-recovery escape hatch.

- /api/account/password: branch on app_metadata.has_password. First-time set
  writes via service.auth.admin.updateUserById (no existing credential to
  protect, AAL2 guard does not apply). Change-password keeps the user-session
  updateUser so AAL2 still fires for credential rotation.
- /mfa/verify: accept a safeReturnTo query param and route there after
  successful verify, so step-up flows can land back where they came from.
- SecuritySettings: detect the AAL2 error from both change-password and
  mfa.unenroll and redirect through /mfa/verify?returnTo=/settings/account
  instead of toasting a dead-end error.

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

* Add tests and rounding utility for öre precision in bokslut calculations

- Implemented `roundOre` function for rounding SEK amounts to two decimal places, ensuring consistent monetary calculations.
- Introduced `ORE_TOLERANCE` constant for comparing rounded amounts, facilitating invariant checks in financial entries.
- Created comprehensive tests for `roundOre`, covering typical cases, edge cases, and idempotency.
- Added year-end invariants tests to verify database-level guarantees for closing entries, ensuring they balance to the öre and reject discrepancies.
- Developed end-to-end tests for the dispositions chain, validating the correctness of calculations across various scenarios.

* fix: update PDF rendering to remove Swish QR code generation and set default to disable Swish visibility

* fix: enhance security by rejecting data URIs in safeReturnTo function tests

* fix: improve rounding logic in roundOre function and add customer_type migration

* fix: add customer_type column to customers and enforce CHECK constraint

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-26 22:29:41 +02:00
Mattsson e4488a900b feat: add user locale preference to user_preferences table (#555)
* feat: add user locale preference to user_preferences table

- Introduced a new column 'locale' in the user_preferences table to store per-user UI language preferences.
- Added a CHECK constraint to ensure only supported locales ('sv', 'en') are allowed.
- Triggered a schema reload notification for the changes.

chore: declare CSS module support in TypeScript

- Added a declaration for CSS modules in globals.d.ts to enable TypeScript support for importing CSS files.

* feat: add Swish as an invoice payment method in company settings
2026-05-21 21:33:22 +02:00
Mattsson 239261a0be Bug/mcp bas lag (#543)
* fix(mcp): update workflow descriptions for transaction categorization and approval processes

* feat: implement account validation for transaction categorization to handle inactive accounts

* fix(tests): stub findMissingAccountsMock to ensure no missing accounts during batch-categorize tests

* fix(errors): ensure deterministic sorting of account numbers in AccountsNotInChartError
2026-05-20 12:11:27 +02:00
Mattsson 8a6ce7093e feat: implement skattekonto drift detection and alerting (#525)
* feat: implement skattekonto drift detection and alerting

- Add skattekonto drift computation logic to compare Skatteverket's saldo with GL 1630 sum.
- Implement alerting mechanism for significant drift changes, with throttling to prevent alert spamming.
- Introduce database functions to sum GL 1630 entries and list unbooked skattekonto rows.

feat: create own account transfer detection

- Develop logic to detect transfers between a company's own cash accounts based on counterparty IBAN.
- Implement tests to validate detection logic under various scenarios, including matching and non-matching IBANs.

feat: establish cash accounts as a first-class entity

- Create cash_accounts table to manage routable cash accounts, replacing ad-hoc JSONB structures.
- Implement functions for listing, upserting, and managing cash accounts, including primary account designation.

feat: enhance GL line reconciliation functionality

- Modify get_unlinked_1930_lines RPC to accept any account number for reconciliation, improving flexibility for different currencies.
- Update related functions to ensure compatibility with the new cash_accounts structure.

feat: capture counterparty IBAN in transactions

- Add counterparty_iban column to transactions table to facilitate intra-account transfer detection.
- Create index for efficient lookups based on counterparty IBAN.

* feat: Enhance cash account handling and reconciliation processes

- Updated reconciliation routes to enforce cash account validation for all account numbers, including '1930'.
- Improved error handling for unknown cash accounts in reconciliation status and unmatched entries routes.
- Changed CashAccountSelector to use sessionStorage instead of localStorage for better data privacy.
- Fixed mapping for employer payroll taxes to route to the correct account (2730 instead of 2731).
- Added safety checks for company IDs in the guessCounterAccount function to prevent injection vulnerabilities.
- Introduced atomic RPC for setting primary cash accounts to avoid intermediate states during updates.
- Seeded default cash accounts for new companies to ensure reconciliation routes are accessible from day one.
- Updated email notifications for drift detection to avoid exposing sensitive financial data.
- Enhanced bank reconciliation logic to handle multi-currency transactions correctly.
- Renamed and updated tests to reflect changes in the underlying RPCs and ensure accurate coverage.
- Migrated existing cash account rules to correct mappings in compliance with Swedish accounting standards.
2026-05-19 16:10:18 +02:00
Jakob Wennberg c06395f633 feat(mcp): agent-native API sprint — quick wins (items 8/10/38/39/50) (#505)
* feat(mcp): agent-native API sprint — quick wins (items 8/10/38/39/50)

Five Tier-S items from dev_docs/api_ai_architecture/PLAN.md, picked for highest
impact-per-day on a solo budget. ~7.5 engineer-days of work.

Item 38 — gnubok_reverse_journal_entry MCP tool. Wraps the existing
reverseEntry() engine function (lib/bookkeeping/engine.ts) as a staged
high-risk operation. Description distinguishes pure makulering (use this) from
rättelse (use gnubok_correct_entry) per BFL 5 kap 5§ guidance — leaving a real
affärshändelse unbooked is itself a BFL violation, so agents must understand
which storno pattern to apply. New operation_type 'reverse_entry' wired through
PendingOperationType, risk-tiers (high), commit.ts executor, and TOOL_SCOPE_MAP
(bookkeeping:write). Six executor cases + three staging-gate cases cover the
new tool.

Item 39 — period_status threading. New helper resolvePeriodStatusForDate() in
lib/core/bookkeeping/period-service.ts returns { period_id, status, lock_date }
using the same two-layer logic as the v1 REST check (company-wide
bookkeeping_locked_through + fiscal_period flags). Threaded through
stagePendingOperation via a new dateForPeriodCheck option so agents and widgets
can detect locked/closed periods without round-trips. Applied to seven
bookkeeping-touching tools: categorize_transaction, create_transactions,
create_voucher, approve_supplier_invoice, mark_invoice_as_paid, correct_entry,
reverse_journal_entry. Resolution failure is non-fatal — DB triggers stay
authoritative.

Item 50 — gnubok://company/current expansion. Replaces the metadata-only
resource with per-company working memory: active fiscal period status, lock
dates, counts (customers, suppliers, open AR/AP, uncategorized transactions),
voucher series state across open periods, recency signals (last categorization,
last invoice sent, last bank sync), and the next five approaching deadlines.
All queries parallelized via Promise.all; payload stays well under 8 KB.
Mirrors the context.md pattern from Shipper+Claude's agent-native architecture
guidance and prevents the context-starvation anti-pattern.

Item 8 — schema strictness. additionalProperties: false on every one of the 67
inputSchemas in extensions/general/mcp-server/server.ts. New
strict-schemas.test.ts guards against regression on newly authored tools.
CLAUDE.md documents the tool-authoring contract (strict input schemas,
description ≤280 chars, STAGED_OPERATION_SCHEMA + next as the
completion-signal pattern — do NOT introduce a parallel S/H/C/O envelope).
Payload-size ceiling raised from 20K → 25K tokens with a comment pointing at
item 15 (Tool Search + defer_loading) as the long-term answer rather than
relaxing the watchdog further.

Item 10 — prompt cache groundwork. The only Anthropic SDK call site in the
codebase is the invoice-inbox extension's Bedrock-backed extractor; tagged the
~3.5 KB SYSTEM_PROMPT with cache_control: { type: 'ephemeral' } and added
usage logging (cache_read_input_tokens / cache_creation_input_tokens) so the
hit ratio is measurable. The plan's 1h TTL is direct-Anthropic-only;
documented the constraint and the MCP-side determinism contract (tool
definitions must be byte-stable across requests) in the new mcp-server
README.md.

Carry-over: includes a small untracked migration
(20260516060000_journal_entries_source_type_inbox_item) and its pg test guard
that fix a production CHECK-constraint gap for source_type='inbox_item' —
unrelated to the sprint but bundled per request.

Tests: 3615/3615 pass across 252 files. TypeScript build clean.

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

* fix(mcp): address PR #505 review — cross-tenant leaks, company-wide lock, PII

Five reviewer findings on PR #505 addressed:

1. Cross-tenant leak — voucher_sequences (OWASP V8.2.1, SOC 2 CC6.3).
   Resource query filtered by user_id only; switched to company_id since the
   table has both (added in the 2026-03 multi-tenant refactor migration).

2. Cross-tenant leak — deadlines (OWASP V8.2.1, GDPR Art.5(1)(f), ISO A.8.3).
   Same fix; the deadlines table also gained a company_id column in the
   multi-tenant refactor and the RLS policies enforce it. With the company_id
   filter active, the userId parameter is no longer needed in the resource —
   removed from the destructure.

3. Compliance gap — commitReverseEntry and commitCorrectEntry only checked
   fiscal_periods.is_closed, not company_settings.bookkeeping_locked_through.
   Agents could stage a reversal with period_status: locked warning (caught
   by resolvePeriodStatusForDate at staging time), have the user approve,
   and the commit would slip through. Both executors now run
   resolvePeriodStatusForDate at commit time so the gate matches the
   staging-time signal. Pre-existing gap on commitCorrectEntry also fixed.

4. Schema mismatch — period_status was spread into both `preview` and the
   top-level response, but STAGED_OPERATION_SCHEMA only declares it at the
   top level. Removed the preview-nested copy to match the schema and avoid
   ambiguous reads.

5. Tool description — swedish-compliance bot flagged that "pure makulering
   (storno)" conflates two distinct Swedish accounting terms: storno
   preserves the original; makulering voids it entirely. Code does storno;
   description now says so plainly and cites BFL 5 kap.

6. Input hardening — added ^\d{4}-\d{2}-\d{2}$ pattern to reversal_date in
   inputSchema plus a runtime regex check in execute(), so a malformed date
   never reaches the pending_operations payload.

7. GDPR — ai_extraction_usage and the two pre-existing fileName log
   emissions in extract-invoice-fields.ts replaced raw fileName with a
   12-char SHA-256 prefix. Raw invoice file names (e.g.
   "faktura_Sven_Andersson.pdf") can constitute personal data; hashing
   preserves operator correlation without exposing PII to log destinations
   that may lack documented retention controls.

Notes on findings NOT addressed:
- Double-reversal guard (Greptile/swedish-compliance): false positive.
  reverseEntry() flips the original's status to 'reversed' (engine.ts:538)
  and the staging tool already rejects anything not 'posted'. Engine also
  has a CAS guard at lines 541-551.
- Staging vs commit TOCTOU re-validation: pre-flight + DB triggers remain
  authoritative; the window is narrow enough that adding executor-side
  re-checks isn't load-bearing this sprint.
- Runtime Zod validation of args inside execute(): codebase doesn't do
  this for any MCP tool today; cross-cutting refactor deferred.

New test: voucher-executors.test.ts adds a case for the company-wide lock
branch on reverse_entry (verifies the new resolvePeriodStatusForDate gate
fires when bookkeeping_locked_through covers entry_date).

Tests: 3616/3616 pass. TypeScript build clean.

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

* fix(mcp): address second-round PR #505 review — locked_at, reason cap, log

Re-review by compliance-swarm and swedish-accounting-compliance bots after the
first fixes raised three more legitimate findings:

1. Per-period `locked_at` not directly checked from the fetched row
   (swedish-accounting-compliance). Both commitCorrectEntry and
   commitReverseEntry already call resolvePeriodStatusForDate which covers
   locked_at, but a transient DB blip in the resolve helper would silently
   skip that gate. Now reading locked_at directly from the inner-join row and
   checking it alongside is_closed before the resolve helper runs — same
   pattern, two defense-in-depth layers instead of one.

2. `reason` field had no maxLength (OWASP V4.5). Added maxLength: 500 to the
   inputSchema and a runtime length check; an adversarial agent could
   otherwise push an arbitrarily large string into pending_operations.

3. periodStatus resolution failure was silently swallowed (ISO 27001 A.8.15).
   Now logging via console.warn with operationType, companyId,
   dateForPeriodCheck, and error so a systematic outage (missing
   company_settings row, dropped query) is observable in audit logs rather
   than degraded silently.

Findings deliberately NOT addressed (pushed back to the bots):

- gnubok_reverse_journal_entry needs per-operation role check (V8.2.1) and
  narrower 'bookkeeping:reverse' scope (CC6.3) — cross-cutting refactor; no
  MCP tool in gnubok enforces per-operation roles today. Introducing it just
  for one tool would be inconsistent. Will surface as a separate item.
- Reduce line_description in reverse_entry preview (A.8.3, Art.5(1)(c)) —
  the preview is shown to the human approver who needs to see what they're
  approving under BFL 5 kap. Aggregate-only previews would harm the
  approval workflow.
- Audit company-current fields for PII (A.8.12, Art.25(1)) — vat_number,
  org_number, etc. are intentionally part of working memory; agents need
  them to make compliant booking decisions.
- Payload-size ADR reference (A.8.9) — the test comment already cites plan
  item 15 (Tool Search) as the long-term answer.
- mime_type classification label (CC7.2) — theoretical concern;
  ai_extraction_usage events are already operator-only.
- False positive: commitReverseEntry already has the closed-period check
  (V2.3); bot was hallucinating.

Tests: 3616/3616 pass. TypeScript build clean.

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

* fix(mcp,env): structured logger + description trim + env alias support

Two further follow-ups on PR #505:

1. resolvePeriodStatusForDate catch now uses the structured logger
   (createLogger from @/lib/logger) instead of console.warn. Three
   reviewers (compliance-swarm V16.1.1, ISO 27001 A.8.15, SOC 2 CC7.2)
   independently flagged that console.warn bypasses the centralized log
   aggregation pipeline used elsewhere, so systemic outages of the
   period-status resolver were invisible to the SIEM. log.warn now routes
   through the same sink as other server events.

2. Tool description for gnubok_reverse_journal_entry now routes the refund
   case explicitly to gnubok_credit_invoice. The Swedish accounting
   compliance bot flagged that the previous "cancelled credit invoice"
   example was ambiguous — a real credit invoice flow goes through
   gnubok_credit_invoice, not this tool. Description stays under 280 chars.

3. lib/init.ts: REQUIRED_EXTENSION_VARS now models each entry as a list of
   acceptable aliases instead of a single required name. The fallback in
   extensions/general/enable-banking/lib/jwt.ts already accepts the
   _PRODUCTION-suffixed variants (used by Vercel prod) as equivalent to
   the base names, but the env validator at boot didn't, so every cold
   start in prod warned about missing ENABLE_BANKING_APP_ID even though
   ENABLE_BANKING_APP_ID_PRODUCTION was set and the runtime was healthy.
   Each entry now satisfies if ANY listed alias is present; missing
   entries print all acceptable names so operators can pick either form.

Tests: 3616/3616 pass. TypeScript build clean.

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

* fix(mcp): staging tools reject locked_at periods too, not just is_closed

Swedish accounting compliance bot flagged that gnubok_reverse_journal_entry
and gnubok_correct_entry pre-flight checks only rejected closed periods —
locked-but-not-closed periods passed staging and only got rejected at
commit time. The commit-time gate was correct (both executors check
is_closed AND locked_at AND resolvePeriodStatusForDate), but the
staging-time signal was confusing: agent saw staged:true with
period_status:"locked" in the same envelope.

Now the staging pre-flight reads locked_at from the same inner-join and
rejects on either flag, matching the commit-time pattern. The error
message updated to "locked or closed" since both branches reach the same
throw. BFL 5 kap 5§ alignment is unchanged — both paths still block
mutations to locked/closed periods; only the layer at which the rejection
fires changes.

Findings pushed back (response in PR thread, not addressed here):
- companyId/mimeType in log.warn flagged as PII (overreach; tenant IDs
  are operational identifiers, not personal data, and the codebase logs
  them consistently elsewhere).
- HMAC-keyed file_name_hash instead of plain SHA-256 prefix (overreach;
  48 bits already addresses the immediate GDPR Art. 5(1)(f) concern).
- 'title' field in deadlines may contain PII (overreach; would require
  redacting every text field in every read resource).
- RLS regression test for voucher_sequences/deadlines (legitimate but
  pg-test scope; tracked for a follow-up sprint).
- Payload-size ADR record (comment already cites plan item 15).
- company-current data minimisation (already pushed back; agents need
  the fields for compliant booking decisions).
- Error message conflates "locked" and "closed" — minor UX nit not
  worth distinguishing here since the remediation step (unlock / omprövning)
  is the same for the user.
- reversal_date period attribution & voucher series integrity flagged as
  unverifiable from diff — false positives, both already handled by the
  engine (period_id from original, atomic voucher number).

Tests: 3616/3616 pass. TypeScript build clean.

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

* fix(mcp): address Swedish-accounting compliance round 4 — BFL invariant + VAT warning

Three legitimate findings from the swedish-accounting-compliance bot acted on
(out of five total; two pushed back as theoretical/false positive):

1. BFL 5 kap 5§ invariant assertion (finding 1). The engine guarantees that
   reverseEntry() posts the storno to original.fiscal_period_id (engine.ts:492
   — verified by reading the code), but the executor previously took that on
   faith. commitReverseEntry now asserts reversal.fiscal_period_id ===
   original.fiscal_period_id after the call and returns a 500 with an
   explicit "BFL invariant broken" error if the engine ever drifts. New
   executor test covers this. The reversal_date parameter is unchanged —
   it's used as the storno's entry_date (operational date), not for period
   attribution, per BFL practice (entry_date can differ from period_id's
   range for a rättelse made later).

2. resolvePeriodStatusForDate unhandled-rejection path (finding 2). Both
   commitCorrectEntry and commitReverseEntry now wrap the resolve call in
   try/catch, returning a clean Swedish 500 instead of letting the
   dispatcher surface a raw Postgres error message. Matches the
   log-and-degrade pattern already used at staging time in
   stagePendingOperation.

3. VAT-period warning in the reverse preview (finding 4 — swedish-vat).
   When the original entry contains 2610–2670 BAS accounts, the staged
   preview now includes a Swedish warnings[] field telling the approver
   that a storno is legally insufficient if the moms period has been
   filed with Skatteverket — they must use omprövning per ML 2023:200
   instead. Soft warning (not a hard block) since gnubok doesn't track
   per-VAT-period filing status today; the human decides at approval.

Pushed back:

- Finding 3 (TOCTOU between staging and commit on fiscal_period_id):
  posted entries are immutable per the enforce_journal_entry_immutability
  trigger (migration 20240101000017). fiscal_period_id can't change
  between staging and commit. Status change is already caught by the
  status !== 'posted' check.

- Finding 5 (migration 20260516060000 not wrapped in BEGIN/COMMIT):
  Supabase migration tooling runs each migration file in an implicit
  transaction. PostgreSQL DDL is transactional. The DROP/ADD pair is
  atomic in practice. The bot acknowledges this as low severity.

Tests: 3617/3617 pass (one new — BFL invariant assertion). Build clean.

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

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-16 11:42:47 +02:00
Jakob Wennberg cad83d180d fix(currency): transaction-date FX rate + mall bookings in SEK (#442) (#483)
* fix(currency): use transaction-date FX rate and post mall bookings in SEK (#442)

Three related defects in non-SEK transaction handling:

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

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

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

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

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

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

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

Address Greptile review:

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

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

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-14 15:00:12 +02:00
Mattsson 70fe8cbd80 Bug/journal entry creation (#480)
* fix(api): update commit entry status from 'manual' to 'user_accept'

* fix(logging): add logger mocks for commit and voucher atomicity tests
2026-05-14 12:38:28 +02:00
Mattsson c8461397c8 Bug/accounting ps eu (#474)
* feat(api): implement commit functionality for journal entries

* fix(extensions): make ExtensionSettings.clear() a real delete so disconnect flows work

The 2026-03-30 multi-tenant refactor dropped all RLS policies on extension_data
and recreated only SELECT/INSERT/UPDATE. Combined with `value jsonb NOT NULL`,
every extension that called `settings.set(key, null)` to clear stored state
(cloud-backup disconnect, skatteverket OAuth/AGI cleanup, arcim-migration
consent reset) silently failed — the upsert hit the NOT NULL constraint and
the error was swallowed, leaving users stuck with stale connection rows.

Adds an `extension_data_delete` RLS policy, a `clear(key)` method backed by a
real DELETE, switches the four affected handlers, and makes `set()` throw on
Supabase error so this class of silent failure can't recur.

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

* feat(journal-entries): add draft saving functionality to journal entry form

* feat: add periodisk sammanställning report generation and CSV export

- Implemented period date helpers in `period-dates.ts` for calculating start and end dates based on period type (monthly, quarterly, yearly).
- Created `periodisk-sammanstallning.ts` to generate the periodisk sammanställning report, including data fetching, validation, and warning handling.
- Developed CSV serializer in `periodisk-sammanstallning-csv.ts` for exporting the report in SKV574008 format.
- Added new columns to `company_settings` for storing periodisk sammanställning settings and tax contact information via migration.
- Introduced a new migration to add a `paid_with_private_funds` flag to `supplier_invoices` for tracking out-of-pocket expenses.
- Updated journal entries to include the new source type for privately paid supplier invoices.

* feat(migrations): add paid_with_private_funds flag to supplier_invoices and expand journal_entries.source_type CHECK

* fix(ai_requests): drop existing policies and trigger before creating new ones

* fix(migrations): ensure extension_data has a proper DELETE policy for ExtensionSettings.clear()

* fix(supplier-invoices): update error handling for invalid input in POST request

* fix: correct capitalization in project title

* fix(migrations): resolve duplicate version 20260513120000

Two migrations shared the same timestamp prefix, causing
schema_migrations_pkey collision on Supabase preview branches.
Bump extension_data_delete_policy to 20260513120001.

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

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-14 01:10:44 +02:00
Mattsson da39eb2d43 Bug/momsdek overflow (#465)
* feat(settings): add option for company name position in invoice PDF

* feat(migrations): add backfill for VAT account labels to correct bad seed data

* feat(migrations): add backfill for VAT account labels to correct bad seed data

* fix(ui): improve accessibility for company name position toggle in PDF settings

* fix(bookkeeping): align BAS 2026 reference data with official PDF

Reconciled lib/bookkeeping/bas-data/ against the BAS 2026 v1.1 official
chart (1286 accounts). All real discrepancies fixed:

- 2089 Fond för utvecklingsutgifter: k2_excluded → true
- 8417 Räntekostnader för dold räntekompensation: k2_excluded → true
- 1250, 1260 renamed to "(Fritt konto för Inventarier, verktyg och
  installationer)" — BAS 2026 freed these slots
- Periodiseringsfond 2120-2139: added year suffixes (2120 = "...2020"
  etc.) and added 8 missing accounts (2121-2127, 2129) for years
  2019, 2021-2027. Dropped phantom 2022/2024 prior-parser garbage.
- 4075-4078: EUland → EU-land
- 8411: förlagsoch → förlags- och

Verified: 1282 of 1286 PDF accounts match exactly after edits (remaining
4 are PDF-parser artifacts, not real data). Build clean.

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

* feat(migrations): backfill BAS 2026 account labels in chart_of_accounts

Companion to the TS reference fix. Updates existing companies' rows where
they still carry seed-data typos or generic names that don't match BAS 2026:

- 4075-4078: EUland → EU-land (hyphenation)
- 8411: förlagsoch → förlags- och (hyphenation)
- 2120, 2130-2137, 2139: rename "Periodiseringsfond" (generic, no year) to
  the BAS 2026 canonical name with year suffix

Defensive: every WHERE clause matches an EXACT current value. Rows that
have been manually renamed by users — including those with a wrong year
that may reference legacy fonds from an earlier BAS numbering cycle — are
left untouched. No row is deleted.

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

* feat(migrations): fix wrong-year labels on Periodiseringsfond accounts

Follow-up to 20260513140000. The first backfill only renamed accounts whose
name was the generic "Periodiseringsfond" (no year). Many customers were
seeded from an older BAS numbering cycle where 2126 = "2016", 2127 = "2017",
etc. — BAS 2026 reuses those account numbers for years 2026/2027.

This migration aligns the year tag with the BAS 2026 meaning of each
account number across 2120-2127, 2129, 2130-2137, 2139. Only rows whose
name still starts with "Periodiseringsfond" are touched — customers who
renamed the account to something custom keep their name.

Verified on staging: all 18 accounts now carry BAS 2026 canonical names.

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

* fix(data): update account names and descriptions for clarity and consistency

* fix(migrations): backfill account names for BAS 2026 freed accounts and refine Periodiseringsfond name matching

* feat: enhance VAT handling with reverse charge logic and supplier type support

* feat: implement VAT declaration validation rules and enhance moms box mapping

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-13 15:17:32 +02:00
Mattsson 9e0b89ee7e Bug/baskontoplan numbers (#463)
* feat(settings): add option for company name position in invoice PDF

* feat(migrations): add backfill for VAT account labels to correct bad seed data

* feat(migrations): add backfill for VAT account labels to correct bad seed data

* fix(ui): improve accessibility for company name position toggle in PDF settings

* fix(bookkeeping): align BAS 2026 reference data with official PDF

Reconciled lib/bookkeeping/bas-data/ against the BAS 2026 v1.1 official
chart (1286 accounts). All real discrepancies fixed:

- 2089 Fond för utvecklingsutgifter: k2_excluded → true
- 8417 Räntekostnader för dold räntekompensation: k2_excluded → true
- 1250, 1260 renamed to "(Fritt konto för Inventarier, verktyg och
  installationer)" — BAS 2026 freed these slots
- Periodiseringsfond 2120-2139: added year suffixes (2120 = "...2020"
  etc.) and added 8 missing accounts (2121-2127, 2129) for years
  2019, 2021-2027. Dropped phantom 2022/2024 prior-parser garbage.
- 4075-4078: EUland → EU-land
- 8411: förlagsoch → förlags- och

Verified: 1282 of 1286 PDF accounts match exactly after edits (remaining
4 are PDF-parser artifacts, not real data). Build clean.

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

* feat(migrations): backfill BAS 2026 account labels in chart_of_accounts

Companion to the TS reference fix. Updates existing companies' rows where
they still carry seed-data typos or generic names that don't match BAS 2026:

- 4075-4078: EUland → EU-land (hyphenation)
- 8411: förlagsoch → förlags- och (hyphenation)
- 2120, 2130-2137, 2139: rename "Periodiseringsfond" (generic, no year) to
  the BAS 2026 canonical name with year suffix

Defensive: every WHERE clause matches an EXACT current value. Rows that
have been manually renamed by users — including those with a wrong year
that may reference legacy fonds from an earlier BAS numbering cycle — are
left untouched. No row is deleted.

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

* feat(migrations): fix wrong-year labels on Periodiseringsfond accounts

Follow-up to 20260513140000. The first backfill only renamed accounts whose
name was the generic "Periodiseringsfond" (no year). Many customers were
seeded from an older BAS numbering cycle where 2126 = "2016", 2127 = "2017",
etc. — BAS 2026 reuses those account numbers for years 2026/2027.

This migration aligns the year tag with the BAS 2026 meaning of each
account number across 2120-2127, 2129, 2130-2137, 2139. Only rows whose
name still starts with "Periodiseringsfond" are touched — customers who
renamed the account to something custom keep their name.

Verified on staging: all 18 accounts now carry BAS 2026 canonical names.

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

* fix(data): update account names and descriptions for clarity and consistency

* fix(migrations): backfill account names for BAS 2026 freed accounts and refine Periodiseringsfond name matching

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-13 11:54:06 +02:00
Mattsson 980f29dae8 Bug/momsdeklaration skv (#449)
* fix(salary): show birthdate in masked personnummer, hide the 4-digit suffix

Flip the personnummer display format from XXXXXXXX-NNNN to YYYYMMDD-XXXX so
the sensitive 4-digit suffix is hidden while the (public) birthdate stays
visible. Affects the employees list/detail, salary run, payslip PDF, payslip
email, and the MCP server tools (list_employees, get_salary_run). Each call
site now decrypts the stored personnummer before masking.

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

* fix(transactions): allow deleting unbooked transactions from "Alla transaktioner"

The history list only let users delete via the inbox card; once a category or
mall was picked but the verifikation hadn't been created, the row showed
"Ej bokförd" with no way to remove it. The API already permits delete while
journal_entry_id is null, so the gap was purely a missing UI affordance.

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

* fix(vat): populate ruta 20-24 for reverse charge + dishonest "Validera OK"

Three connected issues caused Skatteverket to reject momsdeklarationer
with FK004 even after our local "Validera"-knapp returned OK.

1. supplier-invoice-entries booked fiktiv moms (2614/2624/2634 + 2645/2647)
   on reverse-charge invoices but never the underlying basbelopp on 44xx/45xx.
   Ruta 30-32 filled up at SKV while ruta 20-24 stayed at 0 — SKV's FK004
   ("silent netting prohibited", ML 13 kap kräver båda sidor).

   Fix: generateReverseChargeBasisLines in vat-entries.ts emits parallel
   45xx/44xx debit + 4598 motkonto credit per rate group. Engine calls it
   from registration, cash, and credit-note paths. Skipped when the user
   booked the expense directly on a basis account to avoid double-counting.
   4598 added to BAS reference (no migration needed; account_number is
   plain text on journal_entry_lines).

2. rutorToMomsuppgift rounded each ruta independently but computed
   summaMoms from the unrounded ruta49. SKV recomputes the sum from
   integer rutor on their side, so fractional öres caused ±1 SEK drift
   and SKV rejected with FK009.

   Fix: derive summaMoms from the already-rounded VAT-amount rutor.

3. "Validera"-knappen only confirmed SKV's internal arithmetic — a
   declaration with ruta 30-32 populated and ruta 20-24 empty validated
   fine until /utkast hit FK004. Users got a false green light.

   Fix: vat-declaration-checks.ts runs locally before the SKV call,
   blocks Validera/Spara when ERROR-level findings exist, and surfaces
   them in a separate "Lokala kontroller"-section. Success message
   reworded so SKV's OK is no longer presented as filing-ready.

Tests: 4535/4536/4531/4425 lines + 4598 motkonto on EU/non-EU/byggtjänster
RC, credit-note reversal, fractional-öres summaMoms, all four pre-flight
codes (RC_BASIS_MISSING, RC_OUTPUT_MISSING, RC_INPUT_VAT_MISMATCH,
SUMMA_MOMS_DRIFT).

Backfill for already-posted entries follows in the next commit.

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

* feat: add skattekonto matching functionality

- Enhance TransactionInboxCard to display a warning for potential 1930↔1630 transfers.
- Implement match suggestions for skattekonto transactions in the backend.
- Create SkattekontoMatchDialog component for linking skattekonto rows to existing journal entries.
- Develop SkattekontoInboxCard component to handle skattekonto transactions in the inbox.
- Introduce skattekonto-match utility functions for candidate matching and linking.
- Update types to include match suggestions and enriched transaction responses.

* refactor: reorganize skattekonto types and implement bank counterpart matching logic

* docs: update CLAUDE.md to streamline integrations and clarify architecture details

* refactor: enhance reverse charge logic to handle non-basis accounts and prevent double-counting

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-12 18:04:48 +02:00
Jakob Wennberg d0fbc2b616 refactor(ui): app-wide UI/UX consistency pass (#436)
* refactor(ui): app-wide UI/UX consistency pass

Net: +1,159 / −1,373 LOC across 77 files. No new features, no behavior
changes. Locks in a uniform design system across every dashboard surface.

What changed:

- **Foundation**: sidebar width 232→256px (md:w-64), spacing scale locked
  (Tailwind 1/2/3/4/6/8/10/12; 2.5/5 forbidden), card padding p-6 default
  (p-4 for compact metric cards), space-y-8 between page sections.

- **Tables unified**: all 33 thead blocks now share the Resultatrapport
  pattern via shadcn Table primitive (text-[11px] font-medium uppercase
  tracking-wider text-muted-foreground). Hand-rolled <table> instances
  converted where they were data tables; form/edit grids kept distinct.

- **Status badges unified**: every status indicator routes through
  shadcn <Badge variant>. Eliminated raw Tailwind colors
  (bg-amber-100, bg-emerald-500/10, bg-blue-100, bg-purple-100, etc.)
  in favor of the gnubok semantic palette (success=sage, warning=ochre,
  destructive=terracotta).

- **Empty states unified**: list pages migrated from hand-rolled
  "flex flex-col items-center py-12" divs to the EmptyState primitive.

- **Loading skeletons unified**: hand-rolled bg-muted rounded animate-pulse
  divs replaced with shadcn <Skeleton> across 15 files.

- **Touch targets**: 6 back-buttons + edit-pencil + inbox delete bumped
  from 24/32/36px to shadcn's 40px icon default. Added aria-labels on
  9 icon-only navigation buttons.

- **Date formatting**: formatDate() for accounting data (ISO yyyy-MM-dd,
  table-friendly) vs formatDateLong() for metadata (Swedish long form).
  Raw {x.invoice_date} renderings routed through formatDate() in 18 sites.

- **Toast titles**: eliminated 33 generic "Fel" titles. Each toast title
  now carries the action ("Kunde inte skapa lönekörning" etc.) with
  description carrying the error detail.

- **Page-level cleanups**:
  - Dashboard: dropped greeting hero + Snabbåtgärder/Att hantera nav
    duplicates + Visa detaljer collapsible.
  - Reports: 5-col mega-menu replaced with left-rail layout
    (new ReportsNav component).
  - Bookkeeping: fixed layout jump between Verifikationer/Ny verifikation
    tabs (moved FiscalYearSelector inside journal tab).
  - Bookkeeping: added voucher sort (A1 first / latest first) alongside
    existing date sort. Required matching API param sort_by.
  - KPI page: FiscalYearSelector instead of raw <select>; InfoTooltip
    instead of inline info-button toggle; bigger numbers.
  - Salary section: enum values translated to Swedish labels, mobile
    table collapses to Anställd+Netto on <md, KPI typography aligned
    with dashboard.
  - Invoice forms: styled RequiredMark + aria-required, tabular-nums
    on amount inputs.

- **CLAUDE.md**: new "Design System Tokens" subsection documents the
  locked spacing scale, primitives table, typography rules, date helpers,
  and forbidden patterns so future contributors don't drift.

Tests: 2,906 passing (unchanged). Lint: unchanged from main baseline.

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

* fix: address PR review feedback (Greptile + compliance bot)

- **formatDate / formatDateLong timezone fix**: switch from new Date() to
  parseISO. Bare yyyy-MM-dd strings are now parsed as local midnight rather
  than UTC midnight, eliminating the off-by-one display in west-of-UTC
  timezones flagged by Greptile.

- **DashboardContentProps cleanup**: removed unused firstName and settings
  fields from the interface, and the corresponding fetch (profiles table)
  + computation in app/(dashboard)/page.tsx. The greeting was dropped in
  the dashboard cleanup; these props were dead weight.

- **Voucher sort behavior documented**: extended the comment in the journal
  entries API route to explain why voucher sort intentionally uses strict
  fiscal_period_id filtering (BFL 5 kap 6–7 §§ — voucher numbers are
  series-scoped within a fiscal year). The row-count delta between date
  sort and voucher sort is now a documented design choice.

- **delete_last_voucher migration + draft-delete test included**: the UI
  already shipped the "Radera utkast" path in the previous commit; this
  pulls in the backing RPC migration that allows draft deletes (with the
  full safety logic — drafts skip series/period checks since they have
  voucher_number=0, posted entries go through the existing unchanged
  path). This was originally meant for a separate PR but the UI shipped
  half the feature without it.

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

* chore(migration): rename to match applied version

The function delete_last_voucher is already applied to the production DB
under version 20260509103736 (verified via pg_get_functiondef — exact
byte-for-byte match to file content). The previous file timestamp
20260509120000 would cause a fresh `supabase db push` to attempt re-applying
under a different version row. Renaming the file aligns local tracking
with what the database actually has.

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

* fix: address compliance bot findings (payroll label + VAT visibility)

- sick_karens label: drop "(första sjukdagen)" qualifier. Per sjuklönelagen
  6 §, karensavdrag is a single calculated amount (20% of one week's
  sjuklön) deducted from the first sick day's pay — not bounded to the
  first day. The qualifier could mislead users when the first sick day
  and return-to-work span a weekend. Swedish-payroll bot recommendation.

- Omvänd skattskyldighet badge: variant outline → warning. The reverse-
  charge indicator is compliance-critical (ML 16 kap) — missing it leads
  to incorrect input VAT deduction. Outline was too subtle; warning's
  ochre fill matches its semantic weight.

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

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-11 16:34:07 +02:00
Jakob Wennberg 4131db2894 chore: MCP intent-tools, BankID enrichment table, multi-tenant fixes (#402)
* chore: MCP intent-tools, BankID enrichment table, multi-tenant fixes

MCP server gains six intent-shaped tools that collapse multi-call
agent flows into one: vat_close_check, query_journal, auto_match_period,
create_supplier_invoice_from_inbox, audit_package, year_end_readiness.
Tools wired into TOOL_SCOPE_MAP and OPERATION_RISK_TIERS as appropriate
(create_supplier_invoice_from_inbox at medium tier — reversible until
approve, but stages a leverantörsskuld).

BankID enrichment now persists to a dedicated bankid_enrichment table
keyed by user_id. extension_data has been company-scoped (NOT NULL
company_id) since the multi-tenant refactor, so every BankID signup has
silently been failing the enrichment upsert. Select-company picker reads
from the new table.

delete_last_voucher (BFNAR 2013:2) needs to clear
document_attachments.journal_entry_id before deleting the entry, but the
new document immutability trigger blocks that UPDATE. Added the same
gnubok.allow_delete transaction-scoped bypass pattern used by the
journal-entry/line/retention triggers. pg-real tests cover the happy
path, the unauthorized direct UPDATE, and the swap-to-different-entry
attempt under the bypass flag.

fiscal_periods.no_overlapping_fiscal_periods exclusion was scoped to
user_id from before multi-tenant — rebound to company_id so the same
user can have overlapping fiscal years across companies they own/are
member of.

Also adds scripts/seed-demo-account.ts for end-to-end demo seeding
(two companies, full FY2025, active FY2026 with mixed state).

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

* fix(pr-402): address review feedback

Migrations
- Drop 20260506140000_document_journal_entry_immutability_delete_bypass.sql:
  redundant with 20260506140000_document_journal_entry_immutability_bypass.sql
  that landed on main while this branch was open. Both share the same
  gnubok.allow_delete pattern; main's version is what the DB actually has.
- Rename 20260506150000_bankid_enrichment_table.sql →
  20260506160000_bankid_enrichment_table.sql to clear the timestamp clash
  with 20260506150000_protect_document_journal_link.sql on main (Supabase
  branch preview was failing on schema_migrations PK collision).

Tests
- Drop the swap-under-flag test from delete-last-voucher.pg.test.ts:
  main's bypass returns NEW unconditionally when gnubok.allow_delete='true',
  so the swap is permitted. Drop the duplicate happy-path test (already
  covered by 'clears journal_entry_id on attached documents and deletes
  the voucher'). Keep the unauthorized-direct-UPDATE test.
- Add bankid-enrichment.pg.test.ts covering the SELECT RLS policy:
  user reads own row, cannot read another user's row, INSERT denied for
  authenticated.

gnubok_query_journal
- amount_min/amount_max is applied post-fetch (PostgREST can't OR
  abs(debit) and abs(credit) cleanly), but PostgREST's count is computed
  pre-filter. Reporting that as total_lines mislead agents into
  paginating a tail that was already filtered out. When the amount
  filter is applied, anchor total_lines and truncated to the filtered
  set and surface db_matched_pre_amount_filter +
  amount_filter_applied_post_fetch separately.
- Escape `_` in the free-text LIKE filter so a search for "2_441"
  doesn't match "2X441".

VAT close check
- Reverse-charge blocker no longer fires on ruta 30 (seller-side
  domestic omvänd skattskyldighet) — the seller books no VAT, the buyer
  does, so missing ruta 48 is expected. Now scoped to ruta 31/32 (EU
  acquisition) where the buyer must book both calculated output (2615)
  and matching ingående moms (2645).
- High-value receipt threshold no longer reads journal_entries.total_amount
  (column doesn't exist; check silently never fired). Sums debits across
  the entry's lines, which equals the gross for ordinary purchase entries
  — comparing a gross figure against the BFL/ML 4 000 SEK threshold per
  ML 17 kap 26–28 §.

seed-demo-account.ts
- Require an explicit email argument; refuse to run with the previously
  hardcoded fallback that would silently target a real user. Ensure
  email is non-undefined for downstream typing.
- Type the supabase fiscal_periods insert result locally so tsc no longer
  reports 'fp implicitly any' from the loose untyped client.

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

* fix(test): adjust fiscal-period-start-day pg test for per-company overlap

The pg-real failure on PR #402 was a latent bug surfaced by this branch's
fiscal_periods exclusion constraint flip from user_id to company_id
(migration 20260506140100). The test was inserting periods that overlapped
seedCompany's default 2026-01-01..2026-12-31 period; the previous
constraint slipped past it because the test's INSERT didn't set user_id
(NULL escapes the WITH = match), so two same-company overlapping periods
silently coexisted.

Now that the constraint correctly fires per company, pick years that
don't overlap with the seeded 2026 period. The trigger's behavior under
test (allow mid-month start when no earlier period exists, allow
back-dated SIE imports, reject mid-month start when an earlier period
exists) is unchanged.

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

* fix(vat-close-check): correct reverse-charge/import blocker rutor

Rutor 30/31/32 are the buyer's calculated utgående moms on reverse-
charge purchases (domestic byggtjänster/electronics → 2614 → ruta 30;
EU goods → 2624 → ruta 31; EU services → 2634 → ruta 32). The buyer
must also book matching ingående moms (2647 inhemskt / 2645 utlandet
→ ruta 48). The previous fix removed ruta 30 on the basis that it was
seller-side; that's incorrect — domestic-RC sellers book no VAT at
all (they report only beskattningsunderlag on ruta 41), so 2614 only
sees buyer-side entries. Restore ruta 30.

Also extend the check to import rutor 60/61/62 (non-EU import VAT
declared via momsdeklaration since 2015 — 2615/2625/2635). Same
mechanic: importer books output VAT on these rutor and deducts the
input side via ruta 48. SaaS-from-AWS / OpenAI / Vercel companies hit
this path; without including 60/61/62 the blocker would silently miss
their misbookings.

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

* fix(mcp): expose ruta 60/61/62 (import VAT) on the local VatReportResult

The vat-close-check fix referenced vatReport.rutor.ruta60/61/62 but the
MCP server's local VatReportResult type only carries ruta 05-49. Build
broke on tsc.

Extend the MCP server's slim VAT report to also project import VAT —
2615 → ruta 60 (25%), 2625 → ruta 61 (12%), 2635 → ruta 62 (6%) — and
fold those into ruta 49 (att betala/återfå). Mirrors the BAS-to-Ruta
mapping in lib/reports/vat-declaration.ts. Output schema and required
list updated accordingly.

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

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-06 16:41:36 +02:00
Mattsson ce3af4d17e Fix/multiple domain issue (#401)
* feat: enhance invoice management and immutability checks

- Update InvoiceDetailPage to prevent deletion of drafts with assigned invoice numbers, providing user feedback.
- Modify the invoice conversion API to ensure invoice number allocation occurs only after successful item insertion and proforma cancellation.
- Implement structured error responses for invoice deletion, ensuring only drafts without assigned numbers can be deleted.
- Add comprehensive tests for invoice deletion and conversion scenarios, including edge cases for draft invoices.
- Introduce immutability checks in the document management system to prevent unauthorized changes to linked documents.
- Create SQL migration to enforce document metadata immutability, ensuring compliance with accounting regulations.

* fix(invoice): prevent invoice number consumption on PDF render failure

* feat: add document journal entry immutability enforcement for delete_last_voucher RPC

* fix(invoice): implement rollback for orphan invoices on proforma cancel failure

* fix(document): extend immutability trigger to protect journal entry links
2026-05-06 14:08:38 +02:00
Mattsson 5725c25bf1 Logs/improved logging (#398)
* feat(mcp): add create_transactions tool with /pending approval gate

New MCP tool gnubok_create_transactions stages 1–10 transactions per call
as pending_operations of type create_transaction (risk: medium). Each item
becomes its own card on /pending; on confirm, the executor inserts the row
into transactions with import_source='mcp' so MCP-staged ingestion is
distinguishable from PSD2 sync. Designed for skill workflows that pull
external data (e.g., Airtable) and want the user to gate the writes.

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

* fix(bas): strip concatenated group headers from corrupted account names

A chart-data import bug had glued the next group's header onto the last
account in each preceding group across all eight bas-data class files
(e.g. account 2670 read "Utgående moms på försäljning inom EU, OSS 27
PERSONALENS SKATTER, AVGIFTER OCH LÖNEAVDRAG"). The corrupted names
surface in transaction dropdowns, ledgers, SIE exports and årsredovisning,
and risk VAT miscategorization on the OSS (2670) and blandad-verksamhet
(6999) accounts specifically.

- Cleans 69 account_name and 64 description fields across class-1..8 files
- Adds a regression test asserting no name contains a concatenated header
- Ships an idempotent safety-net migration that updates already-seeded
  chart_of_accounts rows, gated on the corrupted string so user
  customizations are preserved

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

* feat(errors): add structured error codes and handling for various operations

- Introduced a new structured error registry in `structured-errors.ts` to standardize error handling across the application.
- Added Swedish and English messages for various error scenarios, including validation, authorization, and bookkeeping errors.
- Implemented a client-side error toast in `use-error-toast.ts` to display user-friendly error messages with remediation hints.
- Created a wrapper for recording operation outcomes in `record-operation.ts`, enhancing audit capabilities for operations.
- Developed a provider call wrapper in `with-provider-call.ts` to handle external HTTP calls with structured logging and error mapping.
- Added a new SQL migration to extend the processing history with new event types and aggregate types for better operational telemetry.

* Refactor supplier API routes to use context-based logging and error handling

- Replaced direct Supabase client usage in GET and POST routes with context-based approach using `withRouteContext`.
- Enhanced error handling to provide structured error responses for supplier creation and listing.
- Updated logging to include request IDs for better traceability.
- Introduced new error codes for supplier-related operations.
- Refactored tax deadlines cron job to utilize context and improved error handling.
- Updated ESLint configuration to enforce logging practices across API and lib directories.
- Enhanced arcim migration extension with structured error handling and logging.
- Added classification for provider errors to improve user-facing error messages.
- Introduced request ID in extension context for better log correlation.

* fix(route-context): update DynamicParams type for improved type safety in route handlers

* feat(transactions): add 'create_transaction' operation to PendingOperationType

* fix(route): ensure companyId is non-nullable in loadAndDeriveAbsence function

* fix(route-context): ensure companyId is always non-null by short-circuiting with COMPANY_CONTEXT_MISSING

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-06 11:12:02 +02:00
Mattsson fa7d4075cf Supp/invoice bfl errors (#390)
* feat(accounting): update accounting method validation and messaging for aktiebolag and enskild firma

* Remove AI subsystem and related code

- Deleted AI proposals and requests persistence logic from `lib/ai/proposals/persist.ts`.
- Removed re-validation logic for proposals in `lib/ai/proposals/re-validate.ts`.
- Cleaned up schemas related to AI flows in `lib/api/schemas.ts`.
- Removed AI-related fields from bookkeeping engine in `lib/bookkeeping/engine.ts`.
- Eliminated AI event types from `lib/events/types.ts`.
- Updated tests to reflect the removal of AI-related functionality in `lib/extensions/__tests__/sectors.test.ts`.
- Adjusted initialization logic in `lib/init.ts` to exclude AI proposal handler registration.
- Cleaned up transaction ingestion logic in `lib/transactions/ingest.ts` to remove AI flow checks.
- Updated helper functions in `tests/helpers.ts` to remove AI-related settings.
- Removed AI-related types and interfaces from `types/index.ts`.
- Added migration script to drop AI-related tables and settings from the database.

* fix(migrations): ensure foreign key constraint is dropped before removing AI tables

* feat(invoice-inbox): implement deterministic invoice field extraction and inbox provisioning

- Added `extract-invoice-fields.ts` for extracting fields from PDF invoices using regex and pdfjs-dist, replacing the previous AI classifier.
- Introduced `inbox-provisioning.ts` to manage company inbox addresses and rotation of inboxes using Supabase RPCs.
- Created `resend-inbound.ts` for handling inbound email events and attachments via the Resend API.
- Defined the extension manifest for the invoice inbox, specifying required environment variables and descriptions.
- Migrated database schema to remove AI-related columns and tighten the status enum in `invoice_inbox_items`.

* feat(invoice-inbox): remove AI-specific columns and tighten status enum

* fix(skattekonto): remove manual entry creation reference from transaction input

* fix(schemas): remove accounting method validation for aktiebolag in UpdateSettingsSchema
2026-05-05 09:53:37 +02:00
Mattsson bb855d2ddc Add/ai native supp (#385)
* feat(branding): implement dynamic branding in service worker and reports

* feat(auth): enhance API key scopes and add bookkeeping write scope

- Updated transaction write scope description to include additional tools.
- Enhanced reports read scope description to reflect new functionality.
- Introduced bookkeeping write scope with relevant description.
- Updated SCOPE_GROUPS to include bookkeeping domain.
- Modified TOOL_SCOPE_MAP to include new bookkeeping operations.
- Updated validateApiKey function to return api_key_id and api_key_name for better actor attribution.

feat(tests): add unit tests for MCP resource registry

- Created tests for data resources to ensure all required fields are present.
- Added tests for resource query parsing and retrieval.

feat(resources): implement MCP resources for company and accounting data

- Added capabilities resource to expose API key capabilities based on granted scopes.
- Implemented chart of accounts resource to retrieve active BAS chart.
- Created company current resource to fetch active company details.
- Developed active fiscal period resource to check posting eligibility.
- Implemented recent activity resource to fetch latest journal entries, invoices, and transactions.
- Added VAT treatments resource to provide available VAT rates per customer type.

feat(pending-operations): introduce risk tiers for operations

- Added risk level classification for pending operations to determine auto-commit eligibility.
- Implemented functions to classify operation risk levels and identify high-risk operations.

feat(migrations): add actor model and risk tier to pending operations

- Updated pending_operations table to include actor type and risk level columns.
- Enhanced audit_log to mirror actor information for compliance.
- Modified validate_and_increment_api_key function to return actor details.
- Expanded operation types in pending_operations to include new high-risk operations.

* feat: add auto-commit functionality for low-risk pending operations

- Implemented shouldAutoCommit function to determine eligibility for auto-commit based on operation type, actor type, and company settings.
- Created commitPendingOperation function to handle execution of pending operations with consistent status updates.
- Added tests for shouldAutoCommit to cover various scenarios including high-risk operations, user actors, company opt-in status, and monetary thresholds.
- Introduced new columns in company_settings for agent_auto_commit_enabled and agent_auto_commit_max_amount to allow companies to opt-in for auto-commit functionality.
- Added SQL migration to update the database schema for new auto-commit settings.

* feat(idempotency): implement idempotency key handling for safe retries and cleanup

* feat: expand API key scopes and pending operations for bookkeeping

- Added 'suppliers:write' scope to API key scopes for supplier invoice management.
- Updated SCOPE_GROUPS to include the new 'suppliers:write' scope.
- Introduced new pending operation types for bookkeeping: close_period, lock_period, run_year_end, set_opening_balances, run_currency_revaluation, explain_voucher_gap, uncategorize_transaction, approve_supplier_invoice, credit_supplier_invoice, and convert_invoice.
- Implemented corresponding commit functions for the new operations in the pending operations module.
- Enhanced PendingOperation type to include actor model and risk level attributes.
- Added tests for new functionality, ensuring proper behavior and constraints in the database.

* feat: implement unlockPeriod functionality and related tests

* feat: add agent auto-commit settings and related functionality

* feat: add attention resource with comprehensive summary of outstanding tasks

* feat: enhance pending operations with 'committing' status and immutability checks, improve idempotency handling, and add original voucher reference for credit notes
2026-05-04 11:12:29 +02:00
Mattsson 2d36dedf34 fix(journal-entry): add error logging for delete operation in journal… (#379)
* fix(journal-entry): add error logging for delete operation in journal entries

* fix(journal-entry): enhance error logging and add tests for delete_last_voucher functionality

* fix(journal-entry): restore enforce_journal_entry_immutability function to handle DELETE and un-reversal updates

* fix(tests): refactor delete_last_voucher tests to use insertPostedEntryWithLines for consistency
2026-04-28 21:55:51 +02:00