Commit Graph

58 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
Jakob Wennberg 4f0a7b1db0 feat(entitlements): per-company capability paywall — gate, trial seeding, UI upsells, Stripe checkout (#815)
* feat(entitlements): capability-grant gate substrate (paywall + modularity)

Two-axis capability primitive behind the SaaS paywall and the per-tenant
modularity/marketplace vision:
- migration: capability_grants (entitlement axis, polymorphic company/firm
  scope), company_capability_config (enablement axis), metered_events
  (append-only), company_has_capability() RPC reusing the 20260619130100
  tenant guard; SELECT-only RLS (writes service-role only, no self-grant).
- lib/entitlements: hasCapability/requireCapability gate (mirrors guardSandbox,
  fail-closed, NEXT_PUBLIC_SELF_HOSTED bypass), capability key namespace,
  metering helper.
- unit (11) + pg-real tests (RPC/RLS/tenant-guard incl. no-self-grant).

Gate not yet wired into call sites (follow-up commit). Paid keys:
ai, bank_sync, skatteverket, email_send.

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

* feat(entitlements): enforce capability gate at paid external-service chokepoints

Wire the gate into the paid surfaces (keys: ai, email_send, bank_sync, skatteverket):
- AI routes (agent invoke/composer/onboarding stream): requireCapability(ai)
- Invoice send (web + v1): requireCapability(email_send)
- document-extraction event handler: skip Bedrock extract if ai not entitled
- enable-banking + skatteverket crons: per-company hasCapability skip in loop
- colocated send-route test mocks updated (requireCapability -> null)

Free per founder decision: TIC org lookup, VIES VAT validation, FX auto-fetch,
cloud backup, BankID login, all internal bookkeeping.

DEPLOY ORDER: fail-closed by design — do NOT deploy before trial/comp grant
seeding lands, or companies without grants lose these features. Seeding +
Stripe checkout/webhook are the next steps.

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

* feat(entitlements): seed trial + comp capability grants

Makes the fail-closed gate safely deployable — nobody is locked out at cutover:
- AFTER INSERT trigger on companies grants every NEW company a 30-day trial on
  the PAID keys (ai, bank_sync, skatteverket, email_send), on ALL creation paths
  (RPC/MCP/direct) — so a new signup can use onboarding AI immediately.
- one-time backfill for EXISTING companies: created <=2026-06-07 -> trial ends
  2026-07-07; created later -> created_at + 30 days.
- permanent comp grants for Arcim/Mattsson (matched by name, no hardcoded UUIDs).
- pg tests: clearGrants() for controlled resolver tests + trigger coverage.

Trigger fn is SECURITY DEFINER so it writes grants regardless of caller RLS
(table has no INSERT policy for authenticated — no self-grant).

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

* feat(entitlements): client capability visibility + billing page

Non-payers get a clean upsell instead of broken/empty features:
- CompanyContext gains capabilities[] + useCapability(key); resolved once
  server-side in the dashboard layout via getCompanyCapabilities (batched, 2
  queries), all three provider branches wired.
- /settings/billing upgrade page — the destination upsells point to (Stripe
  Payment Link via NEXT_PUBLIC_STRIPE_PAYMENT_LINK; degrades to 'coming soon'
  until automated checkout lands).
- ChatEmptyState: non-payer sees an Uppgradera CTA (mirrors the sandbox state).
- SendInvoiceDialog: email send disabled + upsell note when email_send missing
  (extends the existing sandbox-disable pattern).

Fast-follow: chat input/FAB + document-inbox empty state + bank/skatteverket/
AI-suggest buttons + a shared capability_blocked->toast backstop.

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

* feat(entitlements): gate remaining paid UI surfaces with upsell (fast-follow)

disable-with-upsell across the rest of the paid surfaces (keys: bank_sync, skatteverket, ai):
- BankSyncNowButton: sync/reconnect disabled + note when !bank_sync (CSV/SIE stays free)
- AGIPanel: AGI submit-to-Skatteverket disabled + note when !skatteverket
- SkatteverketConnectPanel: BankID connect/reconnect disabled + upsell
- ApprovalCard: AI re-propose (correction) gated; manual approve/reject stay free
- InvoiceInboxWorkspace: upsell when extraction empty AND !ai (deterministic parse + manual entry unaffected)
- AgentTrigger FAB: routes to /settings/billing when !ai (no dead chat)
- settings nav: 'Abonnemang'/'Subscription' link to /settings/billing (sv/en)

TaxPaymentPanel + TransactionInboxCard intentionally untouched — only local/
deterministic actions there, nothing paid+external to gate.

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

* feat(entitlements): automated Stripe subscription checkout + webhook

Self-serve revenue wired to the same capability-grant primitive:
- migration: company_subscriptions (company<->Stripe link/status) + stripe_webhook_events (idempotency)
- lib/stripe: getStripe singleton, plan->price mapping, subscription-sync (statusGrantsAccess / subscriptionToState / applySubscriptionState / handleStripeEvent). Active sub -> upsert source='stripe' grants for PAID keys (expiry = period_end + 3d grace); canceled/unpaid -> remove ONLY stripe grants (freeze-and-retain).
- routes: POST /api/billing/checkout (hosted subscription Checkout, company_id metadata), POST /api/billing/portal (Customer Portal), POST /api/stripe/webhook (raw-body signature verify, event-id dedup; handles checkout.session.completed + customer.subscription.*)
- billing page: real plan-toggle Checkout CTA / manage-subscription portal, gated on isStripeConfigured()
- adds stripe@22; unit tests for sync logic

Provisioning is webhook-driven (never trusts the success redirect). Needs env: STRIPE_SECRET_KEY, STRIPE_WEBHOOK_SECRET, STRIPE_PRICE_MONTHLY, STRIPE_PRICE_YEARLY.

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

* fix(entitlements): validate UUIDs in capability filter + log webhook errors

Addresses PR review (Superagent Security / PR Agent):
- has-capability.ts: validate companyId/teamId as UUIDs before interpolating into the PostgREST .or() filter (fail-closed) — removes the latent injection vector flagged in the entitlement gate. Unit tests updated to use UUIDs.
- stripe/webhook: log processing failures with event id + type before the generic 500, so a failing webhook is visible to operators.

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

* fix(salary): always-free AGI XML download for manual filing; only direct API submit is paid

Per founder decision on the swedish-compliance-review finding: AGI is a mandatory statutory filing, so producing/downloading the AGI XML must never be paywalled. Adds a free 'Ladda ner AGI-fil' button (generates + downloads the XML for manual upload to Skatteverket's e-service) on all tiers; the gated 'Skicka in underlag' stays the paid convenience (direct API submission — which also requires the paid BankID connection). Upsell reworded to point to the manual path.

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

* fix(entitlements): harden comp-grant match after prod verification

Verified Arcim/Mattsson in prod (pwxtzglxptnnvjrpixpg): the name match was case-sensitive (missed the active 'Arcim technology AB' lowercase variant) and would have granted 3 archived dupes. Now match by org_number (5595386219 / 5595719864) OR case-insensitive name, active companies only — hits exactly the 3 active comp companies, excludes archived dupes and the unrelated 'Amnäs Mattsson, Emil' enskild firma.

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-29 15:56:19 +02:00
Jakob Wennberg 55ba66908b feat(salary): let an enskild firma employ staff while blocking owner/board payroll (#797)
An enskild firma that hires staff should get the payroll module, but its owner
or board can never be on payroll (owner compensation is egna uttag / BAS 2013,
not lön).

- Migration 20260628120000 adds the enforce_ef_no_owner_employee trigger
  (BEFORE INSERT OR UPDATE OF employment_type) as the all-paths backstop.
- lib/salary/employment-rules.ts is the app-layer mirror (forbidden set kept
  byte-identical to the trigger); getCompanyEntityType() resolves the same
  company_settings -> companies precedence.
- The two UI salary routes and the v1 POST guard before insert/update for a
  clean 400 with guidance.
- Payroll nav + Lön settings now show for any employer (aktiebolag OR
  company_settings.pays_salaries), wired through the dashboard layout.

Fixes #782.

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-26 15:30:03 +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 a4da2d62df feat: add ignore menu item to transaction inbox card (#758)
Imported bank transactions can now be hidden from the inbox via a new
"Ignorera transaktion" item in the ⋯ overflow menu. The backend
(POST/DELETE /api/transactions/[id]/ignore) and the is_ignored DB column
already existed; this wires up the missing UI affordance.

- TransactionInboxCard: add onIgnore prop + EyeOff menu item (imported
  rows only — manually created rows use delete instead)
- page.tsx: pass onIgnore={handleIgnoreTransaction} to the card; add
  handleBatchIgnore for the batch action bar's new "Ignorera" button
- sv.json / en.json: add ignore_btn translation key to tx_inbox_card

Signed-off-by: Jonas Flodén <jonas@floden.nu>
Co-authored-by: Claude Sonnet 4.6 <noreply@anthropic.com>
2026-06-25 12:40:05 +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
Jakob Wennberg 2d6ddeafc5 feat(import/export): article import + register export (xlsx/csv) (#750)
* feat(import/export): article import + register export (xlsx/csv)

Add CSV/Excel import for the article register (artiklar), mirroring the
existing customer/supplier import pipeline, plus Excel + CSV export for
articles, customers and suppliers.

Import (lib/import/articles + app/api/import/articles):
- Column auto-detection tuned to Fortnox/Visma/Bokio export headers,
  Swedish-decimal price parsing, VAT snapped to {0,6,12,25}, type/unit
  normalization.
- Dedup by article number then name; 23505 soft-skip; auto-number
  backfill; revenue-account override kept only when active, otherwise
  dropped with a warning (never mutates the chart of accounts).
- New "Artiklar" flow in the /import hub.

Export (app/api/export/* + lib/export/register-export):
- Read-only xlsx (default) / csv (?format=csv, UTF-8 BOM) downloads.
- Headers chosen so files round-trip back through the importer.
- "Exportera" menu added to the articles, customers and suppliers pages.

Refs #746. Direct Fortnox/Visma API article fetch tracked in #749.

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

* fix(import/export): address PR review — lint ratchet + export hardening

- xlsx-export: keep `SheetSpec<any>` on the eslint-disabled line (fixes the
  core-only lint ratchet regression: no-explicit-any 16 -> 15) and define
  UTF8_BOM as an explicit `` escape instead of a raw BOM character.
- export routes (articles/customers/suppliers): move the data queries inside
  the try/catch, add `Cache-Control: no-store`, and emit a `register exported`
  audit log line (entity, format, rowCount).
- articles parse route: validate `column_overrides` against a Zod schema before
  trusting it to drive the parser.

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

* fix(import): drop öre-round pattern on article column-detector confidence

The confidence score is a 0-1 heuristic, not money, and is only compared
against the 0.8 skip-mapping threshold. Removing the Math.round(x*100)/100
form clears the core-only antipattern ratchet (naive-ore-round 660 -> 659).

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

* feat(import): flag adjusted VAT rows in the article import edit step

Surface VAT snapping/defaulting per row, not just as a file-level warning:
the parser sets `vat_rate_adjusted`, the edit step highlights those rows'
VAT selector and shows a count banner, and confirming a rate clears the flag.
Addresses the Swedish-compliance review note that silent snapping could
otherwise store a wrong VAT rate at scale.

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-17 14:38:44 +02:00
Jakob Wennberg 45b31ad50f feat(bookkeeping): page-size selector + First/Last pagination on verifikationslista (#738) (#743)
* feat(bookkeeping): page-size selector + First/Last pagination on verifikationslista

Closes #738.

The voucher list (verifikationslista) had a hardcoded page size of 20 and only
Previous/Next buttons. Adds:

- Page-size selector: 20 / 50 / 100 / Alla. Persisted per company in
  localStorage (same convention as the sort order and FiscalYearSelector) and
  hydrated in an effect so the first fetch already uses the saved size.
  "Alla" loads everything in the current scope and hides the pager.
- Pagination footer: First / Previous / Next / Last icon buttons, a page
  indicator, and a "Visar 1–20 av N" result-range label.
- Server: clamp limit to [1, 100000] and offset to >=0 so "Alla" sends a
  bounded large limit (defense in depth, ASVS V1.2.5).

Sorting asc/desc on date and voucher already existed in the filter dialog;
amount-column sorting is intentionally out of scope (journal_entries has no
stored total — the voucher amount is summed client-side from debit lines — so
ordering by it needs a schema change).

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

* refactor(bookkeeping): keep page-size selector reachable + clarify offset clamp

Addresses PR review feedback:

- Pagination footer now shows whenever a non-default page size (50/100/Alla)
  is active, not only when count > 20. A user who picks a larger size and then
  filters the list below 20 rows can still switch the size back. Default-20
  users are unchanged — no selector under 21 rows. Empty results stay hidden.
- offset clamp reads `rawOffset >= 0` instead of `> 0` (behaviour identical;
  clearer intent).

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-16 15:31:46 +02:00
Mattsson 8322830f46 Add/issue in absurdum (#739)
* feat(assets): allow editing fixed asset fields before depreciation

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

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

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

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

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

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

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

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

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

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

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

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

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

* feat(invoices): allow editing draft invoices

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

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

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

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

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

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

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

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

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

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

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

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

* feat(invoices): per-invoice öresavrundning override

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

* feat(settings): fiscal years manager

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

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

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

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

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

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-16 10:42:37 +02:00
Jakob Wennberg 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 43925bc2d3 fix(import): SIE bulk-delete on service client + provider/reporting/b… (#724)
* fix(import): SIE bulk-delete on service client + provider/reporting/banking fixes

Rebuilt branch onto main as a single commit.

- import: run SIE bulk-delete RPCs on the service client to escape the 8s
  statement_timeout; undo_sie_import now takes an explicit actor (p_user_id)
  so its owner/admin gate works when auth.uid() is NULL on the service
  client (migration 20260624120000) + pg-real regression test
- providers: distinguish missing Fortnox license from expired connection;
  provider_consent_tokens PK regression test
- reports: include unmapped BAS expense groups in the income statement
- enable-banking: reconnect closed/expired bank sessions in place
- bookkeeping: surface linked invoices as underlag on the verifikat view
- scripts: track BL cleanup/diagnostic tooling; data files (*.csv) are
  git-ignored and consentId is now a required arg with no silent default

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

* fix(import): add Cache-Control header to journal entry references response

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-14 23:40:26 +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
Oscar Holm f548b04aed fix: update Claude.ai MCP connector instructions to current UI (#709)
Updates the en/sv claude_ai_instructions strings from 'Settings → Integrations → Add Integration' to 'Settings → Connectors → Add custom connector' to match Claude's current UI. i18n-only; no code/migration changes.
2026-06-12 10:10:06 +02:00
Jakob Wennberg 0521c385d2 feat(transactions): underlag status badges + attach dialog; auto-expire stale pending ops (#712)
* feat(transactions): per-row underlag status + attach-document dialog

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

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

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

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

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

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

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

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

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

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

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

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

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-06-11 11:13:51 +02:00
Jakob Wennberg e978136210 fix(supplier-invoices): payment-match integrity — no more paid-without-voucher half-states (#711)
* fix(transactions): abort supplier-invoice match when payment voucher fails

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

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

---------

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-06-11 10:44:15 +02:00
Jakob Wennberg 4253afc343 fix(company): validate user_preferences write when switching company (#708)
Fixes #701. setActiveCompany upserted active_company_id without checking
the result, then set the gnubok-company-id cookie unconditionally. A failed
write — including an RLS-filtered UPDATE, which affects zero rows without
raising an error — looked like a successful switch: switchCompany returned
{}, the UI hard-reloaded, and middleware (which reads user_preferences, not
the cookie) resolved the old company.

- setActiveCompany now verifies the upsert with .select().single() and
  throws a typed CompanyContextError ('not_member' | 'persist_failed');
  the cookie is only set after the write is confirmed, so it can no longer
  diverge from the database.
- switchCompany logs the failure and returns distinct error codes instead
  of reporting every failure as a permissions problem.
- CompanySwitcher now shows a destructive toast on failure (it previously
  failed with no feedback); BankIdCompanyPicker translates the codes.
  Messages added to sv/en under company_switcher and select_company.
- The remaining fire-and-forget user_preferences writers (middleware
  fallback write-back, team invite accept, auth callback invite accept)
  now check and log errors; non-fatal by design since each has a working
  fallback path.
- New tests cover every failure mode, including cookie-not-set on a failed
  write and the silent zero-row write caught by the read-back.

Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
2026-06-11 09:54:04 +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 21cfcbe180 feat(bookkeeping): edit & customize booking templates in GUI (#704)
* feat(bookkeeping): edit & customize booking templates in GUI

Make bokföringsmallar editable from /settings/templates and surface the
ratio (Andel) field, addressing two user requests.

- Refactor CreateTemplateForm into a shared TemplateForm (create / edit /
  duplicate) reusing the existing POST and PUT routes.
- Add an Edit (pencil) action on company/team templates, and an Anpassa
  (customize) action on read-only "Standard" templates that forks a
  company-scoped copy — letting a company override the standard 1930
  settlement account with e.g. 1920 without mutating the shared template.
- Show the ratio field progressively (only when a template splits across
  more than one cost line), with an InfoTooltip, a non-blocking
  "shares must sum to 1.0" warning, and a live "1 000 kr" split preview.
- Add settings_booking_templates i18n keys in both sv and en.

Frontend-only: no API, schema, type, or migration changes.

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

* fix(bookkeeping): show ratio input on cost lines only

Addresses PR review: the Andel input also appeared on settlement lines
when a template had multiple cost lines, but settlement ratios don't feed
the "shares sum to 1.0" check or balance validation. Restrict the editable
ratio to cost/revenue lines; the settlement leg (full counter-amount) is
shown in the live preview instead. No behavior change to applyTemplate.

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-10 13:20:26 +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
Mattsson 64991eb3c9 Add/transaction deletion (#695)
* feat(salary): add remove-employee button to draft salary runs

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

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

* fix(settings): prevent horizontal overflow on mobile

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

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

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

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

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

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

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

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

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-08 15:25:27 +02:00
Jakob Wennberg 679b154ad2 feat(skatteverket): MCP wrappers for momsdeklaration + AGI filing (P0-5) (#692)
* feat(skatteverket): MCP wrappers for momsdeklaration + AGI filing (P0-5)

Expose the complete Skatteverket extension as five MCP tools so VAT
(momsdeklaration) and employer (AGI/arbetsgivardeklaration) filing can be
driven from Claude. Commit = "send for BankID signing" (returns a signing
link), never "file" — the user's signature in the browser is the irreversible
act, kept outside the tooling.

Tools (extensions/general/mcp-server/server.ts):
- gnubok_vat_declaration_validate  (compliance:read) — live POST /kontrollera
- gnubok_vat_declaration_submit    (skatteverket:write) — stages submit_vat_declaration
- gnubok_vat_declaration_status    (compliance:read) — GET /inlamnat + /beslutat
- gnubok_agi_submit                (skatteverket:write) — stages submit_agi
- gnubok_agi_status                (compliance:read) — local state + live kvittenser

Architecture:
- Core (lib/pending-operations/commit.ts) cannot import @/extensions (CI guard),
  so the two submit ops dispatch into the extension via the new
  Extension.services channel (first use): registry-resolved
  commitSubmitVatDeclaration / commitSubmitAgi run the SKV chain and return a
  shared SkvSubmitResult (lib/pending-operations/skatteverket-commit.ts).
- Recoverable failures (extension disabled, no connection, rate-limited, still
  processing) release the op back to 'pending' via SkatteverketRecoverableError
  — same contract as AccountsNotInChartError — so the user reconnects and
  re-approves the SAME op. SKV business rejections reject the op.
- No-drift: parseDeclarationRequest / loadAGIXml extracted to
  lib/declaration-prep.ts (buildMomsuppgift / buildAgiUnderlag / resolveRedovisare)
  so route, preview, and commit file identical figures. writeSkatteverketAudit
  hoisted to lib/audit.ts; read tools + executors write BFL audit rows too.
- New scope skatteverket:write (opt-in, in STAGING_SCOPES so SoD ack fires),
  4 structured error codes, sv/en strings, ApiKeysPanel row.
- Migration 20260620120000 adds submit_vat_declaration / submit_agi to the
  pending_operations.operation_type CHECK (must apply to prod post-merge).

Tests: 42 new across executors, MCP tools, declaration-prep, error-map, and the
VAT commit chain. Full suite green (5287), build clean, lint-ratchet at baseline.

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

* ci: add PR-Agent AI review (SHA-pinned, dedicated Bedrock key)

Greptile went silent after #682 (app/account-side, not repo config). Add the
open-source PR-Agent GitHub Action as a replacement, hardened for supply chain:

- Pinned to the v0.36.0 commit SHA (ffe1f89), not the movable tag — the repo
  was recently transferred to a new, unverified org (The-PR-Agent), though it's
  the genuine original pr-agent (repo id 662766482, 11.5k stars).
- Runs on a DEDICATED, minimal IAM key (bedrock:InvokeModel only) via
  PR_AGENT_AWS_* secrets — never the app's general AWS credentials.
- Only /review runs automatically; /describe and /improve are disabled so PR
  descriptions are never overwritten.

Requires three new secrets before it functions: PR_AGENT_AWS_ACCESS_KEY_ID,
PR_AGENT_AWS_SECRET_ACCESS_KEY, PR_AGENT_AWS_REGION (EU region).

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

* ci(pr-agent): handle push events + restrict push to /review

PR-Agent skips synchronize (push) events by default, so the bot ran green but
posted nothing. Enable handle_push_trigger and scope push_commands to /review.

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

* ci(pr-agent): fix pr_actions (event list, not commands) + add synchronize

pr_actions is the list of PR event actions to handle, not slash-commands.
Setting it to ["/review"] removed every real event from the allowlist, so the
bot skipped everything. Restore the default events + synchronize; command
selection stays on the auto_review/describe/improve booleans (review-only).

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

* ci(pr-agent): raise max_model_tokens to 64k for fuller diff coverage

Default ~32k input window truncated large PRs. Sonnet 4.6 has 200k context.

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

* ci(pr-agent): use Claude Opus 4.8 (Sonnet 4.6 fallback)

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

* fix(skatteverket): scope AGI status flips by salary_run_id

Bot review (swedish-compliance) caught that commitSubmitAgi flipped
agi_declarations status by (company_id, period) only. A correction run sharing
the period would have its still-valid declaration co-flipped to rejected/
pending_signature. Scope both updates by salary_run_id (in scope from params) —
more precise than the period-only route handler, which has no run id.

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

* test(pg): fix gen_random_bytes assertion for modern pgcrypto

OpenSSL-backed pgcrypto (CI Postgres image) rejects gen_random_bytes(0) with
'Length not in range' rather than returning empty bytea, so the pre-existing
'returns empty bytea' assertion fails on every pg-real run (repo-wide, not
specific to this PR). Assert the real contract — exactly n bytes for a positive
n — instead of the version-dependent 0-byte edge case.

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 12:43:15 +02:00
Jakob Wennberg 0bc81d4c88 feat(auth): SoD acknowledge on stage+approve keys + agent:write scope for memory tools (P0-3) (#681)
* feat(auth): SoD acknowledge on stage+approve keys + agent:write scope for memory tools

Segregation of duties on API keys is now warn + explicit acknowledgement
(not block): minting a key with any staging write scope AND
pending_operations:approve returns 409 API_KEY_SOD_CONFLICT unless the
caller re-POSTs with acknowledge_sod: true. The acknowledgement is recorded
(sod_acknowledged_at / sod_acknowledged_by) for an auditable risk acceptance
(ISO 27001:2022 A.5.3 / BFNAR 2013:2). The create UI surfaces an inline
warning and an explicit confirm dialog before submitting the ack — the
default "all scopes ticked" create routes through that path.

Also introduces the agent:write scope and maps the previously-UNMAPPED memory
tools gnubok_remember_fact / gnubok_forget_fact to it. Because unmapped tools
were callable by any key, the migration grandfathers agent:write onto every
existing non-revoked key with an explicit scope list so nothing regresses;
new keys must opt in. agent:write is deliberately excluded from the default
grants and is NOT a staging scope (no SoD conflict with approve).

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

* fix(db): enforce both-or-neither on the SoD acknowledgement pair

Review finding (Greptile P2): sod_acknowledged_at/sod_acknowledged_by were
independently nullable, so a partial write could silently pass and undermine
the auditable risk acceptance (ISO 27001 A.5.3 / SOC 2 CC6.1). Adds a
paired-NULL CHECK constraint + pg-real coverage for both partial-write
directions.

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

* docs(auth)+feat(auth): compliance-review round — self-attestation documented, ack logged, SoD boundary assumption captured

- Migration header now states explicitly that the SoD acknowledgement is a
  SELF-attestation by deliberate design (enskild firma has no second person;
  the claude.ai approval flow needs stage+approve on one credential) — the
  control objective is informed consent + audit record, not dual control.
- The acknowledge_sod=true path now emits a structured log.warn
  (api_key.sod_acknowledged with key id/prefix, conflicting scope, scopes,
  acknowledger, company) so the acceptance lands in the logging pipeline in
  addition to the sod_acknowledged_* columns (ASVS V16.1.1).
- STAGING_SCOPES carries the documented system control (BFNAR 2013:2
  systemdokumentation) for why agent:write is not a staging scope: memory
  tools write advisory agent context and cannot stage räkenskapsinformation.

Dismissed as by-design/verified: hard-block and second-approver remediations
(user decision: warn + acknowledge); scope-update gap (the [id] route only
supports DELETE — scopes are immutable post-creation); session-auth concern
(withRouteContext is cookie+MFA only; API-key auth exists only on /api/v1
and MCP).

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

* chore: re-trigger CI (Supabase Preview 502 infra hiccup)

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-06 11:13:35 +02:00
Mattsson 0ca9c25aba Add/user feedback (#679)
* feat(bookkeeping): make blocked fiscal-year creation actionable

When creating a new räkenskapsår is blocked because a prior period is
still open, the "Skapa räkenskapsår" dialog no longer dead-ends on an
English toast. The API now returns the canonical bilingual error envelope
with the blocking periods (id/name/dates) under details, and the dialog
renders a Swedish panel that locks them inline (reversible locked_at) via
the existing /lock endpoint and retries creation.

The guard rule is unchanged and remains BFL-compliant: BFL 6 kap allows
löpande bokföring of the new year in parallel with the prior year's
bokslut, so a lock (not a full close) is sufficient and reversible.

- Add PERIOD_CREATE_BLOCKED_BY_OPEN_PERIODS structured error code
- Return envelope + details.blockingPeriods from the 409 (was English string)
- CreatePeriodDialog: inline "lås och skapa" panel + lock-and-retry
- Update route tests for the new envelope shape

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

* fix(ui): prevent mouse wheel from mutating number inputs

A focused <input type="number"> would change its value on scroll,
silently turning e.g. a 20000 salary into 19998. Blur number inputs
on wheel so the page scrolls instead of editing the value. Applied
at the Input primitive so all number fields are protected.

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

* feat(salary): auto-derive skattetabell and kolumn for employees

Replace the opaque manual "Skattetabell (29-42)" and "Kolumn (1-6)" inputs
on the employee form with a self-deriving flow: the user picks their
folkbokföringskommun from a searchable dropdown and the tax table fills
itself in, while the column derives from the personnummer we already collect.

- Add a searchable municipality picker (MunicipalityCombobox) backed by a
  new cached GET /api/salary/tax-tables/kommuner endpoint.
- Wrap the whole "Skatt" card in a self-contained EmployeeTaxCard used by
  both the create and edit pages, with InfoTooltips and named column options.
- deriveTaxColumn(): auto-select column 1 for under-66 employees; leave the
  ambiguous 66+ case (pension vs working senior) to a clearly-named manual
  choice.
- Fix fetchKommunTaxRates() to page through all ~1300 församling rows instead
  of a single 500-row page (which silently dropped ~200 kommuner, incl.
  Göteborg) and normalize the uppercase names to title case.

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

* fix(import): correct CSV amount-column guess and surface skipped rows

Manual CSV column-mapping auto-guess walked each data row right-to-left
and picked the first numeric cell as the amount, so on the common
...;Belopp;Saldo layout it grabbed the trailing running-balance column.
Extract the guess into a pure, tested suggestColumnMapping(): match
header labels first (belopp/amount -> amount, saldo/balance -> balance),
auto-fill the balance field, and fall back to value heuristics that skip
the balance column and prefer a column carrying negative values.

Also surface stats.skipped_rows + parse warnings in BankFileConfirmStep -
the manual-mapping path skips the preview step that was the only place
they showed, so skipped rows were silently dropped from view.

Add a unit test reproducing the Saldo-as-amount regression.

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

* feat: add "Save as draft" functionality for invoices

- Implemented a new feature to allow users to save invoices as unnumbered drafts without generating an invoice number until finalized.
- Added a `save_as_draft` flag to the CreateInvoiceInput schema to handle draft saving logic.
- Updated the invoice creation API to skip number allocation when saving as a draft.
- Introduced a new endpoint for finalizing drafts, which allocates an invoice number and emits an `invoice.created` event.
- Enhanced the UI to include a "Save as draft" button, with loading states and tooltips.
- Updated tests to cover the new draft saving and finalization logic, including race conditions for concurrent modifications.
- Added relevant error handling for draft finalization and deletion scenarios.

* feat(employee): add employment start and end date fields to employee forms

* feat: enhance invoice and salary run handling with improved validation and event logging

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-05 17:26:40 +02:00
Jakob Wennberg 076bb169f8 feat(dashboard): unified "Att göra" worklist section on Hem (#674)
* feat(dashboard): unified "Att göra" worklist section on Hem

The pilot's core complaint: pending work was scattered across
Transaktioner, Underlag and Ny verifikation with no single starting
point. Hem now carries one flat Att göra ledger — three bands by
session intent (Bokför / Granska & komplettera / Bevaka), every count
read from lib/worklist (the same source as the sidebar badges, so the
numbers can never disagree), and an "Allt klart!" empty state.

Suggested transaction↔invoice matches render inline with one-click
Bekräfta posting to the existing match endpoints; rows fade out
optimistically and counts re-sync from /api/worklist/counts.

Replaces the "Att hantera" alert-card grid — whose warning/destructive
chrome borders violated the design system — with neutral hairline rows;
urgency is now carried by Badge variants only. The "Att göra" KPI tile
switches to the worklist total, and the home page drops eight inline
pending-work queries (incl. the legacy receipts queue, superseded by
the inbox category) in favour of getWorklistCounts().

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

* fix(dashboard): address PR #674 review — count/visibility consistency

greptile found two real contradictions in the Att göra section:
- Expiring bank connections rendered a Bevaka row without counting
  toward the header total — a user with only an expiring consent read
  "0 kvar" next to a visible action row. The section header and the
  KPI tile now both show worklist.total + expiring connections.
- deadline_action counted toward the total but had no row, so
  deadline-only users saw "Allt klart!" under a non-zero tile. Bevaka
  gains a "Moms- och skattedeadlines" row linking to /deadlines.

Invariant after this commit: every count that feeds a displayed total
has a visible row, and the tile and section header always agree.

Also per compliance review: a failed counts refetch after a confirmed
match now logs via console.error (Sentry-observable) instead of being
silently swallowed.

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-05 10:44:16 +02:00
Jakob Wennberg cac692e293 fix(ux): book documents directly from inbox + attach existing underlag when booking transactions (#670)
* fix(inbox): re-add Bokför manuellt on unmatched documents

Pilot feedback: a document in Dokumentinkorg could not be booked
without first matching it to a bank transaction, which is impossible
for cash expenses and other entries with no bank movement. The
backend (/items/:id/book-direct) and BookDirectlyDialog already
support standalone booking — re-expose the button in the unmatched
state. The dialog still offers optional transaction selection inside.

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

* feat(transactions): pick existing inbox document when booking manually

Pilot feedback: "Bokför manuellt" from a transaction only allowed
uploading new files — an already-uploaded underlag from the inbox
could not be attached. Add a select mode to InboxDocumentPicker
(onSelect prop; journalEntryId now optional) and mount it in
TransactionBookingDialog: picked documents are linked after the
journal entry is created via /api/documents/{id}/link with
inbox_item_id, which also stamps the inbox item as consumed so it
drops out of every pending surface. Non-ok link responses now count
toward the failure toast (previously only network errors did).

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

* fix(documents): address PR #670 review — stale preview dialog, JE tenancy check

Review findings:
- InboxDocumentPicker left the preview dialog floating open when a pick
  was confirmed from inside it (previewItem was never cleared before
  onClose; the component stays mounted, so the on-open reset never ran).
  Clear it in both select and link mode. (greptile)
- linkToJournalEntry verified the document's company but trusted the
  client-supplied journal_entry_id (FK only requires existence). Add an
  explicit company-scoped journal entry lookup; misses map to the
  existing DOC_LINK_ENTRY_NOT_FOUND envelope. RLS prevented any data
  leak either way — this makes the rejection explicit. New regression
  test covers the cross-tenant case. (compliance-swarm A.8.28)

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-05 09:37:26 +02:00
Mattsson 4a54467599 Bug/transaction date corruption (#668)
* fix(transaction): enforce valid date range for transactions and add database constraint

* fix(transaction): implement server-side validation for transaction dates and enhance error handling
2026-06-04 16:16:27 +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
Jakob Wennberg 05651e6402 feat(bookkeeping): journal-entry form UX — persistent tabs, focus-advance, opt-in balance fill, period guards (#650)
Captures working-tree changes to the journal-entry form:
- Persist form state across tab switches: forceMount the three bookkeeping tabs (page.tsx) + hide inactive forceMounted panels in the Tabs primitive (tabs.tsx; no-op for non-forceMount tabs).
- AccountCombobox: new onCommit callback fires on a definitive account selection (dropdown pick or full 4-digit entry); the form uses it to auto-advance focus to the debit field (mobile + desktop layouts via refs + visibility check).
- Replace the surprising auto-fill-balancing-amount on account select with opt-in double-click on a debit/credit field (handleFillBalance) — the prior behaviour misfired when splitting across lines.
- Keep exactly one trailing blank row (StrictMode-safe idempotent effect).
- Review-step safety warnings: different-month-than-last-voucher and closed/locked-period notices (paired sv/en strings) — guards against posting to the wrong month/period.

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-03 18:02:34 +02:00
Jakob Wennberg 0b86901a2b Enforce MFA on critical mutation routes + post-audit foundation (A1) (#646)
* feat(lib): add canonical money + format + fetch primitives (audit Tier 0)

Foundation for post-audit cleanup: shared primitives so subsequent refactors import one helper instead of reinventing (the duplication the audit found).

- lib/money.ts: canonical roundOre/ORE_TOLERANCE (+ equalOre/isZeroOre/sumOre); lib/bokslut/rounding.ts re-exports for back-compat
- lib/utils.ts: formatAmount, formatWholeKr, formatDateTime
- lib/hooks/use-fetch.ts: generic client fetch hook (abort, bilingual errors, refetch)
- components/common/DataState.tsx: loading/error/empty wrapper over Skeleton/EmptyState
- messages: common.retry / common.load_error (sv+en)
- tests: 16 tests incl. the 1.005 half-ore case and locale-robust format assertions

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

* ci(guards): ratchet against new MFA-bypassing routes and naive ore-rounding

Adds scripts/checks/no-new-antipatterns.mjs + committed baseline. Fails CI only when a PR ADDS a route hand-rolling supabase.auth.getUser() (which skips MFA AAL2 enforcement) or a new Math.round(x*100)/100. Baseline: 178 raw-auth routes, 668 naive rounds — ratchets down as the A1 (route-auth) and D1 (rounding) migrations land. Wired into core-build.yml; green at baseline.

Note: scripts/ is gitignored (.gitignore:70 '/scripts') yet tracks 39 files via force-add; these two were force-added to match that existing pattern.

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

* feat(api,errors): enforce MFA on journal-entry mutation routes via withRouteContext (A1)

Migrates the 4 journal-entry mutation routes (commit, correct, reverse, recordate) off hand-rolled supabase.auth.getUser() onto withRouteContext, which enforces MFA AAL2 (requireAuth) + non-viewer role (requireWrite) and routes thrown errors through the canonical errorResponse envelope. Fixes audit finding A1 for the most compliance-critical mutations and folds in C8 for these routes (drops bookkeepingErrorResponse; they now emit message_en).

Also fixes a latent bug: errorResponse()/extractBookkeepingDetails only handled 11 of 15 typed bookkeeping errors, so MeaninglessCorrection / NoOpenPeriodForDate / TargetPeriodClosed / TargetPeriodLocked silently degraded to a generic 500 (affecting existing v1 callers too). Adds the 4 missing registry codes + extract cases -> correct 400/409.

Behavior change: untyped engine throws now return the canonical 500 envelope instead of 400+raw-string; typed errors keep their status (verified against the registry). Tests updated to the realistic typed-error contract + a 403 write-gate test on commit. Updates .claude/rules/api-routes.md to prescribe withRouteContext. Ratchets the antipattern guard 178 -> 174. Full unit suite green (5023); tsc: no new errors.

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

* feat(api): enforce MFA on salary run authorization routes via withRouteContext (A1)

Migrates the salary-run lifecycle write routes (approve, paid, revert) — the highest-PII A1 surface — off hand-rolled supabase.auth.getUser() onto withRouteContext (enforces MFA AAL2 + non-viewer role). Explicit { error } returns are preserved unchanged (passed through the wrapper); only auth changes, so no error-shape regression. Salary unit suite green (8). Ratchets the antipattern guard 174 -> 171.

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

* review: address PR #646 bot findings

- guard: match withRouteContext/requireAuth at the CALL site (withRouteContext[<(]), not a bare import — closes the false-negative greptile flagged. It surfaced app/api/sandbox/seed (hand-rolled getUser; the loose regex had matched a code comment). Switched that route to requireAuth() — the documented stopgap for routes that can't use withRouteContext (it runs before a company exists; anonymous users, so MFA is a no-op but the auth path is now consistent). Guard stays at 171.
- money.test: add the negative half-ore case roundOre(-1.005) === -1 to lock the rounding direction against regressions.
- use-fetch: document keep-previous-data + deferred-loading (effect-tick) semantics.
- structured-errors: drop the BFL 5 kap. 5 § citation from MEANINGLESS_CORRECTION per the swedish-compliance bot (5 § governs correction procedure, not the no-op precondition).

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

* review: enrich wrapper error logging + document sandbox GDPR controls (PR #646)

- with-route-context: log unhandled errors and route errorResponse through the resolved { userId, companyId } logger, not just { requestId, operation } — closes the OWASP V16 audit-trail finding for all 82+ routes using the wrapper. Documented in the JSDoc.
- sandbox/seed: document the GDPR Art.32 compensating controls for the anonymous write path (anonymous-only, /24 rate limit, synthetic demo data, own-company RLS scope). No functional change — the flagged behaviour is pre-existing by design; this records the reasoning inline.

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-03 15:34:58 +02:00
Jakob Wennberg c74b19df1b Accounted rebrand + swarm-skill cleanup + bank-reconciliation fixes (#643)
* feat(reconciliation): close the bank-feed loop on voucher links and re-tag mis-typed opening balances

Two related fixes to bank reconciliation correctness:

1. Auto-reconcile on voucher link. Linking an invoice or supplier invoice to
   an existing voucher previously advanced only the invoice — the bank
   transaction that paid it kept sitting in the Transactions inbox with a null
   journal_entry_id. linkInvoiceToVoucher / linkSupplierInvoiceToVoucher now
   call autoReconcileTransactionForLinkedVoucher (lib/reconciliation), which
   links the bank transaction to the same verifikat when exactly one unbooked
   line matches it. Best-effort and post-commit: a failure here never fails the
   link. The result surfaces reconciledTransactionId; the inbox row leaves the
   list and the UI shows link_success_tx_reconciled.

2. Re-tag mis-typed opening balances. getReconciliationStatus and the GL-line
   matching RPCs identify a cash account's ingående balans solely by
   journal_entries.source_type='opening_balance'. Companies migrated from other
   systems often booked the bank IB as an ordinary voucher (source_type
   'import' or 'manual'), so it was never excluded and surfaced as a phantom
   reconciliation difference equal to the opening balance. Adds:
   - migration mark_entry_as_opening_balance: a GUC-gated carve-out in the
     immutability trigger plus a SECURITY DEFINER RPC that validates the entry
     (balance-sheet lines only, dated on a fiscal-period boundary), flips the
     source_type, and writes an audit row — no blanket data sweep.
   - POST /api/reconciliation/bank/mark-opening-balance + MarkOpeningBalanceSchema.
   - BankReconciliationView action to trigger it from the IB diff.

The gnubok_create_voucher executor now accepts a typed is_opening_balance flag
and derives source_type='opening_balance' only after validating class 1/2 lines
on the period start, so new IBs land correctly typed.

Covered by lib/reconciliation auto-reconcile tests, voucher-executors tests,
and a mark-entry-as-opening-balance pg-real test.

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

* chore: rebrand gnubok → Accounted and prune swarm agent skills

Product rebrand and skills housekeeping. No runtime behaviour change.

Rebrand: replace user-visible "gnubok" with "Accounted" across docs, READMEs,
in-code comments, doc-site content, MCP skill/resource prose, and the
gnubok-mcp package description. The MCP resource URI scheme is moved gnubok://
→ Accounted:// consistently across resource registrations, the event-type
comment, and the resource/skill tests. Deliberately preserved as stable
identifiers (NOT rebranded): the gnubok-company-id cookie, gnubok_sk_ / gnubok_inv_
token prefixes, the gnubok-mcp npm bridge name, and the AGI <gem:Programnamn>
value (kept 'gnubok' per its source comment — it is the software identifier sent
to Skatteverket and must not churn across visual rebrands).

Skills: remove the 27 swarm-* agent SKILL.md atoms (no longer used; already
absent from the agent_atom_registry in prod), refresh the remaining skill docs,
add the .claude/rules/ path-scoped rule set, and regenerate the
seed_agent_atom_bodies migration + .skill-body-manifest.json via
`npm run skills:generate` so the DB-backed skill bodies match the trimmed set.

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

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-03 10:52:01 +02:00
Jakob Wennberg ff01640f60 feat(reports,settings): report library + focused report routes, settings modal (#629)
* feat(reports,settings): report library + focused report routes, settings modal

Reports
- Replace the monolithic /reports tab-switcher with a calm, grouped report
  library landing (ReportLibrary + RecentReportsShelf) driven by a new
  lib/reports/catalog.ts.
- Each report opens a focused /reports/[slug] route (FocusedReport) with a
  shared fiscal-year selector, optional date-range, and URL-based account
  drill-down into the general ledger.
- Extract every report view into components/reports/views, add a reusable
  ReportExportMenu, and remove the old ReportsNav.

Settings
- Add an intercepting @settingsModal parallel route so in-app navigation to
  /settings opens as a modal over the current page; hard loads still resolve
  to the full page.
- Share one SettingsShell (rail + content) between page and modal, extract each
  section into components/settings/sections/*Content, add a settings hotkey and
  command-palette entry, and remove the old SettingsSidebar.

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

* fix(reports,settings): remove dead salary-journal entry, fix border token

Addresses PR review feedback (#629):

- Remove the unreachable `salary-journal` report from the catalog. It had
  needsEmployees + no route + no FocusedView handler and `hasEmployees` was
  never plumbed through, so it never appeared in the library and a direct
  /reports/salary-journal URL rendered a blank frame. The report was never on
  the old page and has no view component; the API + generator stay in place for
  a proper follow-up. Drops its two now-unused i18n keys.

- Replace opacity-suffixed `border-border/8` section dividers with full-opacity
  `border-border` across the extracted settings section components, per the
  design system (no opacity-suffixed border tokens on surfaces).

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

* ci: re-trigger checks (pg-real hit a Docker Hub registry timeout)

---------

Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
2026-06-02 14:50:50 +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
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 28f7cefc86 feat(bulk-book): manual booking mode + document inheritance (#610)
* 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>

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-30 10:23:14 +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 fc7a46c3f2 fix(match-batch): cross-currency allocations + widened tolerance (#607)
* fix(match-batch): cross-currency allocations + widened tolerance

Reported by jakob testing PR #603's MatchAllocationDialog with a SEK
bank tx + a mix of SEK and USD invoices:

1. Tally rendered "1 USD + 1 SEK = 2 kr" — summing different currencies
   as if they were the same.
2. The 0.005 SEK tolerance blocked confirm on any FX rounding delta.

## What changed

**UI (MatchAllocationDialog.tsx)**
- Per-row amount input is explicitly in TRANSACTION currency (SEK for a
  Swedish bank import). Cross-currency rows show an "≈ X.XX (invoice
  currency)" hint under the input so the user can verify the FX result.
- Default amount for a cross-currency allocation is
  `invoice.remaining × invoice.exchange_rate` (booked SEK), so the user
  doesn't have to mental-math the FX.
- Overshoot tolerance widened from 0.005 SEK to `max(1 SEK, 0.5% × tx)`
  so bank-side FX rounding doesn't block confirm. A 2 400 kr tx now
  accepts ~12 kr of tolerance, a 100 kkr transfer accepts 500 kr.

**RPC (match_batch_allocate cross_currency migration)**
- BATCH_CURRENCY_MISMATCH dropped per-allocation. Mixed currencies now
  accepted with the convention that the cross-currency row pays the
  FULL invoice remaining (matches the single-tx match-supplier-invoice
  behavior). Partial cross-currency is out of scope for v1.
- AR/AP line is booked at `invoice.remaining × invoice.exchange_rate`
  (the SEK that was originally on 1510/2440). FX residual is posted
  to 7960 (Valutakursförluster) or 3960 (Valutakursvinster) per BAS.
- Sign conventions per direction documented inline:
    Customer: bank > booked → Cr 3960 (gain); bank < booked → Dr 7960
    Supplier: bank < booked → Cr 3960 (gain); bank > booked → Dr 7960
- New BATCH_FX_RATE_MISSING when the cross-currency invoice has no
  exchange_rate on file (would otherwise silently book at 0).
- New BATCH_FX_DEVIATION_TOO_LARGE when the user-entered amount
  deviates more than 10% from booked SEK — catches typos like "140"
  (USD invoice currency) when they meant "1390" (SEK equivalent)
  without rejecting genuine rate-day FX movement.

RPC patched on remote via Supabase MCP. Same-currency path is
byte-identical to the previous behavior.

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

* fix(match-batch): PR review — strict sum, bank line = tx_abs, FX validation

Round-1 review fixes on the cross-currency batch allocation flow:

UI (MatchAllocationDialog):
- Tighten tolerance to 0.005 SEK so the "balanced ✓" indicator matches
  what the server will accept. The previous widened tolerance (max 1 SEK
  or 0.5% × tx) created a reconciliation gap where the JE's bank line
  could legitimately disagree with the actual bank receipt.
- Require balanced before confirm — undershoot is now a blocking state
  with an explicit warning, not a silent "leave unallocated".
- Cross-currency default no longer caps at remainingTxBudget. Capping a
  USD invoice's default to the leftover SEK budget could silently
  trigger BATCH_FX_DEVIATION_TOO_LARGE on submit. The user re-balances
  the other rows to fit.
- Add explicit FX-rate validation (bound check 0 < rate < 100000).
- When a cross-currency invoice has no usable exchange_rate on file,
  leave the amount blank and surface a warning instead of guessing.

RPC (match_batch_allocate):
- New code BATCH_AMOUNT_BELOW_TX. Strict sum check on both sides means
  the server can't be coaxed by a direct API caller into the same
  broken state the UI now blocks.
- Bank line credit/debit = v_tx_abs (the actual bank movement) instead
  of sum-of-allocations. Same value within rounding under the strict
  sum check, but it makes intent legible and lets per-row FX diff lines
  absorb rounding.
- Defense-in-depth company_id filter on all re-queries / UPDATEs in
  the line-build + payment-row passes.
- Drop the v_booked_sek-aliasing-for-invoice.total foot-gun. Use a
  dedicated v_inv_total var.
- Truncate invoice_number to 32 chars in line_description.

Tests:
- pg-real: cross-currency happy path (USD invoice paid by SEK tx with
  FX loss to 7960, bank line = tx_abs).
- pg-real: BATCH_AMOUNT_BELOW_TX rejection on undershoot.

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

* fix(match-batch): PR review round 2 - caller user_id verification + FX bound

Compliance-swarm + swedish-compliance findings on round 1:

- CC6.3 (HIGH): p_user_id was caller-supplied and written into
  journal_entries.user_id / payment-row user_id without verifying it
  equals auth.uid(). Membership covered the company; nothing covered
  the user attribution. Two-layer fix: explicit guard rejects when
  p_user_id <> auth.uid(), and all writes now resolve v_caller =
  auth.uid() directly so the guard cant be silently bypassed.
- A.8.28 (MED): server-side FX upper-bound (0 < rate < 100000) matches
  the UI. Previously RPC only checked > 0, allowing the UI guard to
  diverge.
- V1.2.5 (LOW): truncate v_tx.date when concatenated into
  line_description (defense alongside round 1s invoice_number trunc).
- Symmetry: populate supplier_invoice_payments.exchange_rate (column
  existed, INSERT omitted it). Customer side already populated. Matches
  swedish-compliances traceability note on AP rorelseskulder.

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

* fix(match-batch): PR review round 3 - drop p_user_id, CHECK constraints, payment-day rate

Genuine round-2 review findings (compliance-swarm + swedish-compliance):

- V4.5: p_user_id dropped from RPC signature entirely. Round-2 added a
  guard; this removes the attack surface at the API boundary. Caller is
  resolved via auth.uid() inside the function. Route updated.
- V2.2: CHECK constraint on invoices.exchange_rate and
  supplier_invoices.exchange_rate (0 < rate < 100000). Three layers now
  enforce the bound: schema, RPC, UI.
- swedish-compliance traceability gap: payment_exchange_rate column on
  both invoice_payments and supplier_invoice_payments. Populated as
  v_alloc_amount / v_inv_remaining for cross-currency rows so FX diffs
  are reconstructible from the payment record alone (BFL 7 kap
  behandlingshistorik). NULL for same-currency. The existing
  exchange_rate column continues to store the invoicing rate.
- CC6.1: extract isValidExchangeRate() to lib/utils.ts. UI's three
  inline bound checks now share one validator.
- Dead code: drop unused leftover_note i18n key (sv + en).

Tests:
- pg-real signature updated (4-arg -> 3-arg) across all 9 call sites.
- Added payment_exchange_rate assertion to cross-currency happy path
  (invoicing rate 10.0 stays, payment-day rate stored as 10.5).

Migration applied to remote.

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

* fix(test): missed 4th arg in BATCH_UNAUTHORIZED pg-real test

Round-3 dropped p_user_id from match_batch_allocate. The replace_all
caught the userId/companyId pattern but missed the BATCH_UNAUTHORIZED
test which uses outsiderId instead of userId. CI failed with
"bind message supplies 4 parameters, but prepared statement requires 3".

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 16:30:42 +02:00
Jakob Wennberg 4da87e5e4c feat(transactions): bulk-book + is-booked predicate (#606)
* feat(transactions): bulk-book + is-booked predicate

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

## Backend (Phase 3b)

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

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

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

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

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

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

## UI (Phase 5b)

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

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

## Phase 6: is-booked predicate

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

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

## Tests

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

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

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

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

Closes the build failure and the two real Greptile findings.

## CI

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

## Review findings

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

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

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

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

---------

Co-authored-by: Claude Opus 4.7 (1M context) <noreply@anthropic.com>
2026-05-29 14:55:24 +02:00
Jakob Wennberg 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 7bcd46d503 feat(transactions): match overshoot guards + supplier voucher linking (#602)
* feat(transactions): match overshoot guards + supplier voucher linking

Three changes that together close the "I can't link a bank transaction
to an already-booked verifikat on the supplier side" gap and fix a
latent data-corruption bug on the per-tx match endpoints.

1. fix: clamp paid_amount on match endpoints when tx > remaining

   /api/transactions/[id]/match-{invoice,supplier-invoice} previously
   used transaction.amount wholesale as the paid amount, pushing
   invoice.paid_amount past invoice.total whenever the bank tx was
   larger than what was owed. Both endpoints now reject with
   MATCH_AMOUNT_EXCEEDS_REMAINING / MATCH_SI_AMOUNT_EXCEEDS_REMAINING
   and a structured { transaction_amount, remaining_amount, excess }
   payload that points the user at the future split-payment flow.
   FX branch already clamps to invoice.remaining_amount and is
   unchanged.

2. feat: supplier-side "link existing verifikat" (mirror of #591)

   lib/invoices/supplier-voucher-matching.ts mirrors the customer
   voucher-matching module: finds posted JEs that debit 2440
   (Leverantörsskulder), validates currency + remaining-amount, and
   atomically links them as supplier_invoice_payments rows. New
   /api/supplier-invoices/[id]/{voucher-candidates,link-to-voucher}
   routes wrap it. LinkVoucherPicker gains a mode='supplier_invoice'
   prop so the same component renders both flows. The supplier-invoice
   mark-paid dialog now uses Tabs ("Ny betalning" / "Befintlig
   verifikation") to match the customer-side UX.

3. infra: transaction_voucher_links junction + denorm guard

   Foundation migration for upcoming multi-tx ↔ multi-voucher flows.
   Adds the junction table (with RLS, updated_at, indexes), a
   block_contradictory_invoice_denorm trigger on transactions that
   refuses to set invoice_id/supplier_invoice_id to a value that
   contradicts an existing payment row, and is_transaction_booked(uuid)
   as a single source of truth for "is this tx anchored?" once
   multi-allocation leaves denorm columns NULL. No application code
   uses these yet — they unlock the batch allocation and bulk-book
   flows in follow-up PRs.

Tests: 98 unit tests pass across the touched paths (match-invoice,
match-supplier-invoice, supplier-voucher-matching, link-to-voucher).

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

* fix(supplier-invoices): PR review — atomic link RPC, computeRemaining edge case, pg-real tests

Addresses the three real issues raised by Greptile on PR #602.

1. (P1) Atomic supplier voucher linking — new
   link_supplier_invoice_to_voucher PL/pgSQL RPC. The TS-side
   linkSupplierInvoiceToVoucher() previously did UPDATE-then-INSERT with
   a manual unconditional rollback. Under concurrent linking against the
   same invoice, request A's rollback could overwrite a sibling B's
   successful write while leaving B's payment row in place. Moving both
   writes into a single PG transaction (one RPC call) lets PG's own
   rollback handle the failure path correctly. TS wrapper now just
   translates the structured RPC return into the lib's Result type.

2. (P1) pg-real tests — tests/pg/transaction_voucher_links.pg.test.ts.
   CLAUDE.md mandates *.pg.test.ts for any PR adding a trigger, RPC, or
   RLS. The Phase 1A foundation migration added all three but had no
   pg-real coverage. Tests now cover:
     - trg_block_contradictory_invoice_denorm refusing contradictory
       UPDATEs on invoice_id and supplier_invoice_id
     - the same trigger PERMITTING a matching UPDATE (no false positives)
     - is_transaction_booked() returning true via journal_entry_id, via
       invoice_payments, and via transaction_voucher_links rows.

3. (P2) computeRemaining edge case — trust remaining_amount whenever
   the column is non-null (including the legitimate 0 for fully-paid
   invoices). The old "> 0" guard fell through to total - paid_amount,
   which under rounding drift could compute a tiny positive residue and
   slip a fully-paid invoice past LINK_SI_VOUCHER_INVOICE_FULLY_PAID.

The fourth Greptile comment (overdue invoices silently get no
candidates) was a misread: 'overdue' IS in the open-state list at
route.ts:35. No code change needed there.

Tests: 100 unit tests pass (16 in the directly-touched paths).

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

* fix(supplier-invoices): PR review round 2 — broaden AP range, log event failures

Addresses the actionable findings from the compliance-swarm and
Swedish-accounting-compliance bot reviews on PR #602.

1. (swedish-accounting-compliance, high) AP account hardcoded to 2440
   rejected legitimate samlingsverifikationer that debit 2441
   (Leverantörsskulder i utländsk valuta), 2443 (Skuldfakturor), etc.
   BAS 2026 reserves the full 2440–2449 range for Leverantörsskulder.
   The TS-side AP_ACCOUNT constant becomes AP_ACCOUNT_PREFIX ('244')
   used with .like() and .startsWith(). The PL/pgSQL RPC's
   account_number filter becomes LIKE '244%'. The
   LINK_SI_VOUCHER_NO_AP_DEBIT error message updates to reference the
   244x range with examples.

2. (ISO 27001:2022 A.8.15 / OWASP V16) Empty catch on the
   supplier_invoice.paid event emission now logs with log.warn so a
   failure in the downstream reminder/audit subscriber leaves an
   auditable trail without blocking the response.

3. (GDPR Art.5(1)(c)) Documented design rationale for retaining
   select('*') on the post-link invoice re-fetch: the
   supplier_invoice.paid event payload is typed as
   `supplierInvoice: SupplierInvoice` in lib/events/types.ts, narrowing
   would break the subscriber contract. The event stays in-process
   and consumers legitimately need the full context.

Skipped findings:
  - V8.2.1 ownership concerns: route + RPC already filter by
    company_id from withRouteContext; the RPC's WHERE clause covers it.
  - DELETE policy scoping: matches the gnubok pattern across all
    company-scoped tables — any member with write access manages records.
  - transaction_id = NULL on the voucher-link path: by design — the
    flow has no bank tx (the voucher's 1930 line represents it).
  - Reverse-charge VAT (2614/2647) validation on linked vouchers:
    real concern but invasive change; tracked for follow-up.
  - Storno-chain integrity (linking the original of a storno pair):
    edge case; tracked for follow-up.

Tests: 26 unit tests pass in the directly-touched paths. RPC patch
applied to remote via Supabase MCP.

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 12:31:19 +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 20989379bb feat(sandbox,branding): prod-parity demo with AI gating + accounted rebrand (#585)
* feat(sandbox,branding): prod-parity demo with AI gating + accounted rebrand

Sandbox now ships with seeded suppliers, supplier invoices, an asset,
a verified agent_profile, and pending operations so the demo company
exercises every prod surface. Server-side `guardSandbox()` short-
circuits any AI or paid-external API call (Bedrock chat/composer,
Resend invoice send, Riksbanken FX, VIES, etc.) and the AgentSheet
swaps in a SandboxAgentPreview that explains what's gated and offers
a register CTA. DashboardContent no longer mounts the
NewUserChecklist when the agent is already built, fixing the path
that let sandbox users still trigger /onboarding/agent.

Visible branding flips from Gnubok to Accounted: new BrandWordmark
component (Hedvig Letters Serif 700), new app/icon.png + PWA icons
generated from the accounted icon, default appName updated. URLs,
header names, API key prefixes, hostnames, and event/cookie/
localStorage keys keep `gnubok` — the rebrand is visual only.

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

* fix(sandbox): hardcode supplier-invoice arrival numbers in seed

get_next_arrival_number is MAX(arrival_number) + 1 against the same
table we're about to insert into. Calling it twice before either row
lands made both calls return 1, which then violated the
(company_id, arrival_number) unique index — POST /api/sandbox/seed
500'd on first sandbox start.

The seeded company is brand new in this branch so 1 and 2 are
guaranteed unused; hardcoding side-steps the race entirely.

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

* fix(sandbox): set paid_amount=0 on unpaid supplier invoice

PostgREST normalizes the column set across rows in a bulk insert, so
the second supplier invoice (Espresso House, status=registered) was
being sent with paid_amount=null because the first row (Telia, paid)
set it. supplier_invoices.paid_amount is NOT NULL DEFAULT 0; the
default only kicks in when the column is *absent* from the payload,
not when it's explicitly null. Set it inline to side-step the
normalization.

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

* fix(sandbox): set actor_type=agent_chat on seeded pending_operations

pending_operations only allows user-scoped INSERTs via the
`pending_operations_chat_insert` policy, which requires
actor_type='agent_chat' alongside auth.uid()=user_id +
company membership. The seed was inserting with the default
actor_type='user', tripping the RLS check.

Also lift risk_level from preview_data (where it was unused) onto
the row itself, matching the column added in
20260430120000_pending_operations_actor_and_risk.

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

* fix(pr-review): address PR #585 review feedback

Fixes called out by the core-only CI check, Greptile, and the
compliance + Swedish-accounting bots:

- AGI Programnamn pinned back to 'gnubok' (CI blocker). The XML
  Skatteverket receives must keep the stable software identifier
  regardless of the visual rebrand — same rule as the v1 health
  endpoint's `service: 'gnubok'` literal.
- handleCreateAccount in SandboxAgentPreview + ChatEmptyState now
  wraps signOut() in try/catch so a transient Supabase failure
  doesn't strand the user on a dead button (greptile P2 × 2).
- /api/currency/rate hard-fails on missing companyId instead of
  conditionally skipping the sandbox guard (greptile P2 / compliance
  V8.2.1).
- topUpSandboxAdditions now delegates to ensureSandboxAgentProfile;
  the assistant persona lives in exactly one place across the seed,
  layout backfills, and top-up path (greptile P2 outside-diff /
  compliance SOC2 CC6.1).
- ensureSandboxAgentProfile drops the userId param and sets
  verified_by_user_id to NULL — synthetic seed data should not
  attribute verification to a real user (compliance V8.2.1 /
  GDPR Art. 25(2)). Errors now logged via the structured logger
  instead of being silently swallowed (V16).
- Sandbox seed swaps real-world company names (Telia, Espresso
  House) for clearly-synthetic Demo-prefixed brands using the
  5559... documentation org-number range (compliance A.8.33).
  Asset cost bumped 24 000 → 35 000 SEK so the demo clears the
  förbrukningsinventarier threshold and illustrates capitalization
  unambiguously (swedish-asset-accounting).
- Representation pending-operation preview corrected: VAT label
  fixed from 6% → 12%, and input VAT split between the avdragsgill
  (2641) and ej-avdragsgill (5811) portions to match
  swedish-vat / ML 8 kap rules (swedish-vat).

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

* fix(pr-review): seed preview consistency + AGI Programnamn constant

Two last review-bot items before merge:

- Sandbox seed: the representation pending-operation preview was
  splitting the 240 SEK café meal 60/180 between 5810 and 5811,
  which is wrong for a single attendee under the 300 SEK / person
  avdragsgill cap (ML 8 kap) — the entire amount is fully
  avdragsgill in that case. Collapse the preview to a single 5810
  + 2641 + 2440 entry so it matches the supplier_invoice_items row
  1:1 and stops teaching demo users an incorrect bookkeeping
  pattern.
- Hoist the AGI Programnamn 'gnubok' literal into a named constant
  with a comment pointing to potential future Skatteverket vendor
  registration (per the swedish-compliance bot's nit).

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

* fix(sandbox): avoid BFL duplicate-verification on pending op + fix VAT cap comment

Swedish-compliance bot caught two final nits:

- The pending operation for the Demokafé representation was using the
  same supplier_invoice_number as the already-seeded supplier_invoices
  row (88245). If the sandbox user approved the staged operation, the
  insert would have created (or attempted) a duplicate verification —
  BFL 5 kap. requires each affärshändelse be recorded exactly once.
  Swap the staged operation's invoice number to a distinct value
  (INKOMMANDE-2026-001) so approval cleanly creates a new row.
- The preview comment described the 300 SEK threshold as an
  "avdragsgill cap". The actual rule (ML 8 kap. 9 §) caps the
  deductible VAT at 25 % × 300 SEK × antal_personer = 75 SEK per
  person — the 300 SEK is the tax base, not the total. Math here is
  correct either way, but the comment now states the correct formula
  so future seed edits don't propagate the wrong understanding.

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 13:19:41 +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 8979f6eda3 Bug/year end failure (#575)
* feat: implement findNextPeriod function and integrate into year-end closing logic

* feat: add integrity check for PDF documents and enhance user feedback for corrupt files

* Refactor year-end service and period creation logic for improved UTC handling and error messaging

- Update `validateYearEndReadiness` to assert on stable warning messages without interpolating period names.
- Modify `createNextPeriod` to ensure date calculations are performed in UTC, preventing DST-related issues.
- Enhance error handling in `validateYearEndReadiness` and `executeYearEndClosing` to avoid exposing database details.
- Introduce structured error messages for year-end processes in `structured-errors.ts`.
- Add tests for document integrity checks, ensuring proper authentication and error handling.
- Implement GUC checks in document versioning to prevent unauthorized modifications and ensure company membership.
- Update migration scripts to reflect changes in document immutability enforcement.

* fix: add comment to clarify GUC behavior in document supersession logic
2026-05-27 14:19:30 +02:00