d4ef4f8bc4cbecb3cbdf1cfde064cf2e87df2949
297 Commits
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c187fabf92 |
feat(shopify): Shopify order/refund feed into the transactions inbox (#1474)
* feat(shopify): Shopify order/refund feed into the transactions inbox
New extensions/general/shopify feed extension, modeled on the WooCommerce
feed: connect a Shopify store with Dev Dashboard custom-app client
credentials (client credentials grant, ~24h tokens, never stored), then a
nightly cron + manual sync imports paid orders and refunds via the GraphQL
Admin API (pinned 2026-07) into the transactions inbox on clearing account
1584. Feed-only: nothing auto-books. Zero PII fields are queried, keeping
the app outside Shopify's protected customer data program.
- shopify_connections migration (RLS, revoke-never-delete, encrypted
client id/secret) + shopify_sync capability and bank_sync-mirrored
backfill
- frozen external_id scheme shopify_{shop_domain}_order|refund_{id},
scoped on the shop domain so reconnects never re-import
- cursor sync on updated_at windows with 24h overlap, lock-date drop at
map time, ingest-failure cursor floor, deadline stop-and-resume,
revoked-credential flip
- /import card + settings panel, sv/en i18n, cron 03:15 in vercel.json +
regenerated Docker crontabs, logo, events, panel registry
- 65 unit tests + pg-real RLS test; extensions.schema.json enum also
gains the missing stripe entry (pre-existing drift)
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* fix(shopify): review findings from PR 1474
- token exchange: a 429 that survives every retry is throttling, not a
credential failure; stop remapping retryable 4xx to 401 so sustained
throttling can no longer flip the connection to revoked and delete the
stored credentials (CodeRabbit critical)
- order sync: advance a scanned-through watermark (run start, capped by
the failure floor) after a fully-listed window, so empty first runs and
quiet stores rotate to the back of the cron's oldest-first selection
instead of permanently occupying the 50-connection batch (CodeRabbit
major, starvation)
- add handler-level tests for the orders cron route (auth 401, disabled
503, unconfigured no-op, query failure, capability skip, happy path,
per-connection failure isolation, revoked marking)
- add 401 tests for /sync, /transaction-sync and /disconnect; pin the
cursor floor rule with a two-order page; stub the encryption key via
vi.stubEnv
- note in the panel description (sv/en) that orders can mix VAT rates and
must be split at booking (Swedish review advisory)
- DECISIONS.md: wrap underscore identifiers in backticks (MD037)
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
---------
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
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39f4ecdad4 |
fix(providers): surface migration step errors; INK2 SRU 7104; non-modal invoice dialog (#1465)
* feat(mileage): körjournal with milersättning booking, MCP tools and CSV export New mileage_trips table (RLS, booked-delete trigger per BFL retention), lib/mileage service reusing the payroll schablon rates, /api/mileage routes (trips CRUD, period booking to 7331, salary-run push, körjournal CSV), Körjournal dashboard page + nav, and three staged MCP tools (search-only catalog). Trips book as one verifikat per period via the engine; salary path inserts mileage_taxfree line items. mileage_trips classified in the full-archive export. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * refactor(mileage): use shared roundOre helper per tightened ratchet baseline Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(mileage): pending_operations op-type migration + Swedish review findings - New migration pair adds log_mileage_trip/book_mileage_period to the pending_operations operation_type CHECK (pg-real audit). - bookMileagePeriod refuses a period spanning several employees and names the employee in the verifikationstext when scoped (BFL motpart). - vehicle_registration required for förmånsbil trips (schema, service, MCP staging, UI surfaces the field). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(mileage): claim-first booking, CSV injection guard and driver column - bookMileagePeriod claims trips (draft to booked CAS) before creating the verifikat, so a concurrent second booking loses the race instead of double-booking; claim reverts if verifikat creation fails. - Körjournal CSV neutralizes formula-injection triggers (OWASP) and adds a Förare column naming the employee per trip. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(mileage): resolve CodeRabbit + Swedish review round: race, drift and hardening - Copying a round trip no longer re-doubles the stored distance. - pushMileageToSalaryRun claims trips before inserting line items (retry can no longer double-pay); CLAIM_LOST replaces misleading NO_TRIPS on lost races. - Booked trips are DB-immutable via a BEFORE UPDATE trigger (new migration 20260807113215): only claim/link/revert transitions and notes edits pass. - Cross-year periods rejected (schablon rates are per calendar year); payroll config year read from the date string, not TZ-dependent getFullYear(). - MCP staged bookings freeze the previewed trip set (trip_ids in params) and the commit fails on drift; validation errors return 400, not 500. - PATCH enforces the förmånsbil regnr rule on the effective row; export validates dates before they reach the Content-Disposition header; employee_id is verified company-scoped on trip creation; stale orphaned claims released. - UI: fetch flags reset in finally; ICU plural for draft summary; distance stored at the column's 1-decimal precision. - Tests: [id] route suite, pushMileageToSalaryRun suite, claim-race, drift, cross-year and update-trigger pg cases. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(mileage): revert-to-draft must clear salary_run_id at the trigger level New migration 20260807114924 replaces the booked-immutability function: a booked -> draft revert now rejects rows keeping salary_run_id, closing the DB-level double-pay path CodeRabbit flagged. pg test pins both directions; the CLAIM_LOST unit test now asserts the revert. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(mileage): company-scope employee_id on PATCH (Superagent P2) Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * test(mileage): valid v4 uuid in cross-company employee PATCH test Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(providers): surface migration step errors instead of silent empty syncs A Visma company without the API module activated (403 ErrorCode 4002, "No access to module: api_standard") failed every provider call during migration, yet the wizard reported success with zero rows and mapped the 403 to "reconnect", which loops forever since OAuth succeeds against Visma's shared identity server. A real user burned time re-syncing and reconnecting, then filed the config issue as a bug. - New PROVIDER_API_MODULE_INACTIVE code; classifyProviderError reads the error body and recognizes the module error before the 403 to AUTH_EXPIRED mapping. Registry entry carries the remediation in Swedish and English (activate the API under Appar och tillagg, paid add-on on smaller plans, clear standardforetag, SIE fallback). - Orchestrator: connection-level failures (auth expired, license missing, module inactive) rethrow and abort the doomed run so /migrate answers with the typed code; other step failures stay non-fatal but land on results.stepErrors instead of only in server logs. - /preview fails fast on the two subscription codes so the user reads the remediation at connect time, before any sync. - Wizard: preview treats the new code like the Fortnox license case (CTA + SIE fallback); the result step renders error cards per cause and says "Migrering delvis genomford" instead of "Allt ar uppdaterat"; the completion toast is honest on partial failure. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(ink2): SRU field 1.1 is 7104, not 7113 (Skatteverket rejects 7113) The INK2 huvudblankett code for 1.1 Overskott av naringsverksamhet is 7104 per Skatteverket's official 2025P4 faltkoder (INK2_SKV2002-33-01-24-04). We emitted 7113, which does not exist on INK2, so filoverforing rejected every profitable company's BLANKETTER.SRU with 'UPPGIFT 7113 ar inte ett giltigt postnamn' (reported by a user for FY 2024-10-07..2025-12-31). Underskott (7114) was already correct. The wrong code originated in the swedish-sru-filing skill reference; fixed there too and regenerated the atom seed. All other emitted INK2/INK2R/INK2S codes verified against the official 2025P4 lists. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(invoices): keep the AI chat usable over the new-invoice dialog The new-invoice dialog was a modal Radix dialog: modal mode sets body pointer-events: none, aria-hidden on body siblings, and a focus trap, so the agent sheet (z-60, painted above the dialog) was visible but dead: clicks swallowed, input unfocusable, and all three dismiss paths preventDefaulted, leaving no way out except the header X. Now non-modal: page modality is restored by hand instead. A new DialogVeil primitive supplies the backdrop (Radix renders no overlay in non-modal mode) at z-40, under dialog content (z-50) and the agent sheet (z-60), and inert on #dash-shell blocks pointer, keyboard, and AT access to the page behind while the sheet (a body-level sibling) stays live. The lazy-load fallback dialog on /invoices gets the same treatment so a hung or 404'd chunk cannot dead-lock the route. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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70845edf69 |
feat(transactions): structured transaction_method instead of channel-in-the-name (#1459)
* feat(transactions): structured transaction_method instead of channel-in-the-name
Swedish bank feeds embed the payment channel in the description string
("Vercel Jul Överföring via internet", "ANTHROPIC* ... Kortköp/uttag"):
the PSD2 remittance array is joined into one string and the ISO 20022
type codes were dropped at insert. This promotes the channel to data:
- transactions.transaction_method (text + CHECK closed vocabulary: card,
transfer, bankgiro, plusgiro, swish, autogiro, e_invoice, international,
deposit, withdrawal, salary, fee, interest, adjustment) plus verbatim
bank_transaction_code / proprietary_bank_transaction_code evidence
columns (data_quality_master Appendix B "Layer-A capture").
- classifyTransactionMethod() in lib/transactions/transaction-method.ts:
explicit source method (Stripe txn.type) > trailing Swedish channel
phrase > ISO 20022 family/subfamily > proprietary-code keywords > MCC.
It also splits the clean display title off the description.
- Ingest stores the clean title as description and the full bank string
as original_description; dedup is untouched (external_id is date+öre,
the content bridge reads original_description and is prefix-based, and
a trailing strip leaves a prefix). Enable Banking passes the codes
through; the Stripe feed sets methods from its balance-txn types.
- Backfill migration classifies existing rows from the description text
(+ MCC and Stripe prefixes) and strips unedited titles; user-edited
titles are never rewritten.
- mapping-engine also matches original_description so user rules written
against the full bank text keep firing.
- UI: the inbox row shows the clean name; clicking it now folds out
"Betalsätt: Kortköp" etc. (sv/en), making every classified row
expandable.
A card purchase implies a physical receipt, a Bankgiro/e-invoice payment
implies a supplier invoice: downstream automations can now branch on the
rail instead of regexing display strings.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* fix(transactions): anchor counterparty-template identity on original_description
Audit follow-up to the phrase-strip change: counterparty template lookup
AND learning derived their key from merchant_name || description. With
the working title now stripped ("SPOTIFY AB Kortköp" -> "SPOTIFY AB"),
templates learned from the full bank string would only re-match via the
occurrence-gated single-token tier, and single-token counterparties with
fewer than 3 bookings would silently stop matching.
Both sides now read merchant_name || original_description || description:
the immutable bank original is identical across eras (and across user
renames), so every stored key and alias keeps matching exactly. Same
anchoring rationale as buildMerchantHistory in category-suggestions.
Existing tests that relied on the fixture's default original_description
now state it explicitly; two new regression tests pin the era stability
(lookup via alias on the full string, learning key derivation).
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* fix(transactions): review follow-ups on method classification
- methodFromCodes: two-pass subfamily-then-family scan so a SALA/XBCT
refinement on the proprietary code beats a bare family match on the
ISO code, matching the documented precedence; pinned by a test.
- mapping-engine: regression tests for merchant/description patterns
that only match original_description, including the invalid-regex
substring fallback and the no-match default.
- Stripe: regression test for the SDK-unmodeled 'tax' balance-txn type
mapping to 'fee'.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* fix(transactions): scope method classification to feed rows + adjective guard
Multi-bank risk hardening before the backfill ships:
- Feed-row scope: classification and title stripping now require a real
import feed (import_source present, not manual/mcp), both at the
ingest boundary (USER_CREATED_IMPORT_SOURCES, now exported) and in
every backfill statement. User-authored titles like "Egen insättning"
on manual/MCP rows are never classified and never rewritten.
- Adjective guard (TS + SQL): a strip that would leave the title ending
in a possessive/scope adjective (egen/eget/privat/intern/extern ...)
is skipped, so "Egen insättning" stays whole even on bank-feed rows;
the method column still classifies (deposit).
- Unknown bank phrasings remain untouched by construction: an unmatched
phrase means no method and no rewrite, so the worst case for any bank
whose vocabulary we have not seen is the status quo.
Pinned by new unit + pg-real cases (user-created exclusion for
NULL/manual/mcp, adjective guard, feed defaults in the pg fixture).
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* chore(migrations): re-timestamp transaction_method migrations after rebase
Main gained migrations dated 20260729-20260730 (already applied to prod)
while this branch carried 20260728 versions, which would have applied
out-of-order on merge. The files have never reached prod, so renaming to
current timestamps is safe and removes any dependence on the integration's
out-of-order handling. All code/doc references updated; the pg test reads
the backfill by its new filename.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* chore(migrations): bump transaction_method versions past prod's max
Main's newest applied migration is 20260730090000 (future-leaning
timestamp), so the previous 202607300731xx rename still sorted before
prod's tail and risked a silent skip on merge-time apply. Versions are
now 20260730100000/20260730100100, strictly after everything applied to
prod. References updated; full migration stream replays clean.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* fix(transactions): final review round: keyboard guard + bank_connection_id feed marker
- TransactionInboxCard: row-level Enter/Space handling now ignores events
bubbling from nested controls, so keyboard activation of Bokför / the
overflow menu is no longer cancelled by the (now much more common)
expandable row.
- Feed predicate parity with isImportedTransaction(): a live
bank_connection_id marks a feed row even when import_source is unset
(the oldest PSD2 rows predate that column), in both the ingest
classifier and every backfill statement: those legacy rows now get
classified instead of being skipped as user-created.
- pg fixture typing uses the TransactionMethod union.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* chore(migrations): re-timestamp transaction_method migrations past prod's 20260807 tail
Prod max applied is 20260807170000 (verified by name via list_migrations);
the 20260730-stamped pair would sort before it. References in code,
tests, and DECISIONS.md updated to the new versions.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* fix(migrations): enforce, not assume, original_description preservation in the title strip
The strip UPDATE now fills a NULL original_description from the
pre-strip description in the same statement. Prod has zero such rows
(0/25,566 feed-scope rows, verified read-only), and 20260605120000's
backfill plus ingest make the NULL case unreachable on any DB that
replayed history, but the migration should not depend on that history
to avoid losing the only copy of a bank string.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* docs: record the compliance-review triage of the backfill's booked-row title strip
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
---------
Co-authored-by: Jakob Wennberg <jakob.wennberg@gmail.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
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c912fc5633 |
fix(sandbox): delete api_keys and retag log in teardown (final backlog blockers) (#1454)
The last 9 backlog users decompose into exactly two classes: api_keys.sod_acknowledged_by (NO ACTION to auth.users) blocks every keyed sandbox, and the WORM dimension_retag_log blocks any sandbox where a voucher line was retagged. cleanup_sandbox_user now deletes the user's api_keys explicitly (they must die with the sandbox anyway) and the company's retag log under the standard bypass; dimension_retag_log_immutable's DELETE branch honors gnubok.sandbox_cleanup with the same per-row sandbox re-verification as every other guard, UPDATE stays blocked. Fixture seeds both row types. Validated end-to-end on staging. Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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526f0315d0 |
fix(sandbox): loop small cleanup batches (8s cap is real), clear last FK blockers (#1452)
* fix(sandbox): loop small cleanup batches (8s cap is real), clear last FK blockers Draining the prod backlog exposed two final issues: - The function-level statement_timeout shipped in 20260807150000 does NOT lift authenticator's 8s cap: the timer arms when the top-level statement starts (verified empirically on prod: SET LOCAL 2s canceled the RPC despite its 290s proconfig; matches the 2026-08-04 SIE-import finding). The route now loops batches of 10 (~220ms/user with the account_id index, so ~2.2s per batch), each rpc() call being its own statement with its own 8s window. The loop stops when a batch makes no progress or the 240s time budget nears; capacity is 250 users/night. - processing_history.company_id and invoice_deliveries.company_id are plain NO ACTION FKs, so sandboxes whose visitor produced AI telemetry or sent a demo invoice could never be deleted (7 of ~510 backlog users). A data-driven sweep of every NO ACTION FK into companies confirms these two plus the already-handled audit_log are the only such tables with sandbox rows. cleanup_sandbox_user (migration 20260807160000) deletes them explicitly; the pg fixture now seeds a processing_history row. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(test): use valid processing_history aggregate_type/event_type in sandbox fixture aggregate_type is CHECK-constrained and event_type is an FK to the seeded processing_event_types lookup; the guessed values failed all five fixture-dependent pg tests in CI. Validated against staging: Document/DocumentIngested inserts and tears down cleanly. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(sandbox): bypass invoice-delivery delete guard in teardown, cover both blocker tables in pg fixture CodeRabbit's fixture ask exposed a real gap: enforce_invoice_delivery_immutability silently swallows DELETEs (RETURN NULL plus a SECURITY_EVENT audit row) for terminal rows, so the explicit invoice_deliveries delete was a no-op and the companies FK still blocked teardown for sandboxes that sent a demo invoice. The trigger's DELETE branch now honors the gnubok.sandbox_cleanup flag with the same per-row sandbox re-verification as every other guard; base definition 20260803224000, all other branches untouched. The pg fixture seeds an invoice plus a marked_sent manual delivery, and a new test pins the zero-settings refusal path the Swedish review asked about. Validated on staging end-to-end. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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bd7a423b86 |
fix(sandbox): fit the nightly cleanup inside PostgREST's 8s session cap (#1451)
* fix(sandbox): fit the nightly cleanup inside PostgREST's 8s session cap Follow-up to #1449. Profiling the repaired teardown on prod puts one sandbox user at ~3s (the auth.users delete fans out over ~250 FK triggers; FK indexes were tried inside an aborted transaction and do not help), while every PostgREST session inherits authenticator's statement_timeout = 8s. The nightly RPC call therefore times out and ROLLS BACK wholesale: a second silent-failure mode for the same cron. - cleanup_expired_sandbox_users gets a function-local statement_timeout of 290s (same sanctioned pattern as undo_sie_import, 20260702154500) via migration 20260807150000. - The cron route bounds each night to 60 users (~180s), exports maxDuration = 300, and the backlog drains over a few nights. - Tests: route asserts the bounded rpc call and the maxDuration budget; the pg suite pins proconfig containing statement_timeout=290s. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(db): index journal_entry_lines.account_id (chart-account cascade seq-scans 730k rows) Caught live during the backlog purge: DELETE FROM auth.users cascades chart_of_accounts deletion, whose ON DELETE SET NULL fires an unindexed UPDATE over journal_entry_lines per account (~37 per sandbox company). This is the bulk of the ~3s per-user teardown cost. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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7411a0171b |
feat(mileage): körjournal with milersättning booking, MCP tools and CSV export (#1448)
* feat(mileage): körjournal with milersättning booking, MCP tools and CSV export New mileage_trips table (RLS, booked-delete trigger per BFL retention), lib/mileage service reusing the payroll schablon rates, /api/mileage routes (trips CRUD, period booking to 7331, salary-run push, körjournal CSV), Körjournal dashboard page + nav, and three staged MCP tools (search-only catalog). Trips book as one verifikat per period via the engine; salary path inserts mileage_taxfree line items. mileage_trips classified in the full-archive export. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * refactor(mileage): use shared roundOre helper per tightened ratchet baseline Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(mileage): pending_operations op-type migration + Swedish review findings - New migration pair adds log_mileage_trip/book_mileage_period to the pending_operations operation_type CHECK (pg-real audit). - bookMileagePeriod refuses a period spanning several employees and names the employee in the verifikationstext when scoped (BFL motpart). - vehicle_registration required for förmånsbil trips (schema, service, MCP staging, UI surfaces the field). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(mileage): claim-first booking, CSV injection guard and driver column - bookMileagePeriod claims trips (draft to booked CAS) before creating the verifikat, so a concurrent second booking loses the race instead of double-booking; claim reverts if verifikat creation fails. - Körjournal CSV neutralizes formula-injection triggers (OWASP) and adds a Förare column naming the employee per trip. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(mileage): resolve CodeRabbit + Swedish review round: race, drift and hardening - Copying a round trip no longer re-doubles the stored distance. - pushMileageToSalaryRun claims trips before inserting line items (retry can no longer double-pay); CLAIM_LOST replaces misleading NO_TRIPS on lost races. - Booked trips are DB-immutable via a BEFORE UPDATE trigger (new migration 20260807113215): only claim/link/revert transitions and notes edits pass. - Cross-year periods rejected (schablon rates are per calendar year); payroll config year read from the date string, not TZ-dependent getFullYear(). - MCP staged bookings freeze the previewed trip set (trip_ids in params) and the commit fails on drift; validation errors return 400, not 500. - PATCH enforces the förmånsbil regnr rule on the effective row; export validates dates before they reach the Content-Disposition header; employee_id is verified company-scoped on trip creation; stale orphaned claims released. - UI: fetch flags reset in finally; ICU plural for draft summary; distance stored at the column's 1-decimal precision. - Tests: [id] route suite, pushMileageToSalaryRun suite, claim-race, drift, cross-year and update-trigger pg cases. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(mileage): revert-to-draft must clear salary_run_id at the trigger level New migration 20260807114924 replaces the booked-immutability function: a booked -> draft revert now rejects rows keeping salary_run_id, closing the DB-level double-pay path CodeRabbit flagged. pg test pins both directions; the CLAIM_LOST unit test now asserts the revert. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(mileage): company-scope employee_id on PATCH (Superagent P2) Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * test(mileage): valid v4 uuid in cross-company employee PATCH test Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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f7f3a31f8e |
fix(sandbox): repair the silently-failing nightly sandbox cleanup and lock down its RPCs (#1449)
* fix(sandbox): repair the silently-failing nightly sandbox cleanup and lock down its RPCs
The daily cleanup cron has deleted nothing for months: cleanup_sandbox_user
died on the journal-line immutability trigger for every user (the seed posts
vouchers since spring), and cleanup_expired_sandbox_users swallowed each
failure as a WARNING while reporting success. 658 expired sandbox users plus
21 orphaned anonymous users had accumulated in prod auth.users.
- cleanup_sandbox_user sets the sanctioned gnubok.allow_delete flag plus a
new transaction-local gnubok.sandbox_cleanup flag, only after verifying
is_sandbox; write_audit_log, audit_log_immutable (DELETE only, per-row
sandbox re-check), enforce_dimension_registry_guards (DELETE only) and
enforce_pending_operations_no_delete (DELETE only) respect it
- clears salary_runs voucher-link FKs and purges the sandbox company's
audit rows before the auth.users cascade
- cleanup_expired_sandbox_users returns {cleaned, failed, orphans_removed},
additionally sweeps expired anonymous users that never got a
company_settings row, and takes an optional p_limit for bounded batches;
the cron route logs failures at error level and accepts both return shapes
- both RPCs lose their default PUBLIC EXECUTE grant (anon and authenticated
could call them via PostgREST) and are now service_role-only
- validated by replaying the full delete chain against prod inside aborted
transactions (21 users sampled across all seed eras, zero failures) and a
committed staging run; pg-real suite + cron route unit tests added
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* fix(sandbox): per-row sandbox re-verification in teardown guards, is_anonymous column guard
Resolution pass for PR #1449 review findings and the pg-real CI failure:
- Swedish accounting review: enforce_dimension_registry_guards and
enforce_pending_operations_no_delete now re-verify per row that
OLD.company_id belongs to a sandbox company (same pattern as
audit_log_immutable) instead of trusting the gnubok.sandbox_cleanup flag
alone. Because that re-check needs company_settings to still exist,
cleanup_sandbox_user deletes pending_operations and dimensions explicitly
before the auth.users cascade.
- pg-real CI: auth.users.is_anonymous does not exist in the CI
supabase/postgres image (or on older self-hosted stacks); the orphan sweep
in cleanup_expired_sandbox_users is now guarded on the column's existence,
and the pg test skips the orphan assertions on such stacks.
Re-validated on staging end-to-end: {cleaned: 5, failed: 0,
orphans_removed: 1}, fresh users and non-sandbox rows untouched.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* fix(sandbox): make company_settings.is_sandbox write-once, prove orphan sweep fails loudly
Round-2 review findings (Swedish accounting review on PR #1449):
- Every teardown bypass trusts company_settings.is_sandbox, and RLS lets an
owner update their own settings row via PostgREST, so a real company that
flipped the flag would become eligible for full deletion by the nightly
cron. New trigger makes the flag write-once (no application path updates
it; a future sandbox-to-real conversion would ship its own migration).
- New pg test pins the reviewer's remaining concern: an anonymous user who
somehow has bookkeeping but no company_settings row is NOT silently
deleted by the orphan sweep; the unbypasseed immutability triggers make
the deletion fail loudly into the summary's failed count.
Validated on staging: flip blocked in both directions, unrelated
company_settings updates unaffected.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* fix(sandbox): guard is_sandbox provenance at INSERT, make orphan sweep exclusions explicit
Round-3 review hardening, approved by Emil:
- is_sandbox = true can now only be created by an anonymous-user JWT (the
sandbox seed's actor), service_role, or a direct database session. A
regular authenticated user could previously insert their settings row
pre-flagged and have the nightly cron destroy their real books, which
BFL 7 kap. forbids even self-inflicted. Claims are read from the
request.jwt.* GUCs directly so the check behaves identically on hosted,
self-hosted, and the CI auth shim.
- The orphan sweep now explicitly excludes anonymous users attached to any
companies or company_members row, instead of relying on downstream
immutability triggers throwing (emergent safety) to protect half-seeded
users.
- pg tests updated accordingly: blocked/allowed provenance paths, and the
half-seeded user is proven unreachable rather than merely failing loudly.
Validated on staging: authed insert blocked, anonymous-claim insert
allowed, half-seeded user untouched, sweep summary failed=0.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* fix(sandbox): all-rows sandbox check, cleared bypass flags, tighter insert guard
CodeRabbit review pass on PR #1449 (its first non-rate-limited run):
- cleanup_sandbox_user now requires EVERY company_settings row of the user
to be sandbox-flagged, not an arbitrary single row: a hypothetical
mixed-company user would otherwise have their real company's rows reached
by the user-scoped deletes.
- Both bypass flags are cleared before the RPC returns, so later work in
the same transaction (the expired loop's next iterations, the orphan
sweep) never runs with them still armed.
- The is_sandbox insert guard now treats ANY PostgREST claims context
(claims json without a role claim included) as guarded, instead of
falling open when the role claim is absent.
- The flag-leak pg test now runs inside an explicit transaction (the old
version could not observe transaction-local GUCs at all), and a new test
covers the mixed sandbox/real user refusal.
Declined: replacing the em dashes inside the two replicated Swedish
exception messages; they are byte-identical copies of the strings already
deployed by migration 20260702084500 and changing them would alter live
user-facing errors out of scope.
Validated on staging: mixed user refused, flags cleared post-teardown,
role-less claims blocked.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
---------
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
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6458180bf5 |
fix(db): reconcile orphaned mail-hunt migrations applied to prod (#1447)
* fix(db): reconcile orphaned mail-hunt migrations applied to prod Prod carries 20260807090000_mail_connections and 20260807090100_inbox_mail_hunt_source (applied 2026-08-07 morning) with no files in supabase/migrations/, so the Supabase integration fails every push to main with "Remote migration versions not found in local migrations directory". This commits the byte-identical SQL recovered from prod's supabase_migrations.schema_migrations statements under the exact applied versions. No new DDL runs on prod: the versions already exist there, this only reconciles the repo. Also classifies mail_connections in full-archive-export.ts (excluded: live OAuth refresh tokens, not portable), which the archive-completeness test requires for any new company_id table. Whoever owns the mail-hunt feature branch: these files now exist on main; reuse them as-is instead of re-creating the versions. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(db): annotate reconciled mail_connections migration as pg-test skip The file is a byte-recovered reconciliation of DDL already applied to prod; it never executes again, so pg-real coverage belongs to the mail-hunt feature branch that owns the schema. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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707d597b2e |
feat(woocommerce): store order/refund feed extension (#1442)
* feat(woocommerce): store order/refund feed extension Connect a WooCommerce store via the wc-auth key handshake (manual key fallback) with per-store consumer key/secret AES-256-GCM encrypted at rest, and import paid orders and refunds into the transactions inbox as a bank-style feed on the 1680 cash account. Feed-only: nothing auto-books, gateway fees/payouts are out of scope (core wc/v3 does not expose them). Sync is cursor-paginated on modified_after (offset pages only inside same-second date_modified ties), terminates on an empty page, holds the cursor below failed refund fetches / ingest errors / deadline-skipped work, checks the time budget between refund fetches, and drops rows dated on or before bookkeeping_locked_through on every run. Nightly cron gated on the extension registry + new paid capability woocommerce_sync (backfilled to existing bank_sync grant holders). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(migrations): move woocommerce migrations past main's 20260806090000 origin/main gained 20260806090000_recurring_schedule_interval_months while this branch was in flight; identical version timestamps abort the Supabase apply, so the two new migrations move to 20260806170000/20260806170100. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(woocommerce): resolve CodeRabbit review findings - callback 503s early when WOOCOMMERCE_CREDENTIALS_ENCRYPTION_KEY is unset: encryptCredential would otherwise throw after the probe and strand the pending row without error_message - disconnect and upstream-revoke clear the encrypted consumer key/secret: nothing reads them after revoke and keeping decryptable dead credentials is unnecessary retention - manual sync gets a 240s time budget and the panel reports a truncated run as 'partial, sync again' instead of a normal completion - listOrderRefunds terminates on an empty batch (hosts may cap per_page), dedupes by id against hosts that ignore page, and caps total pages - unparseable money strings count as errors and log instead of being silently identical to a zero total - pg test uses per-run unique store URLs so committed rows cannot hit the store_url partial unique index across pg-real runs Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(woocommerce): resolve CodeRabbit cycle-2 findings - listOrderRefunds throws when the page cap is exhausted with data still flowing, instead of returning a silently partial list the sync cursor would advance past; the error routes into the existing held-cursor refund-retry path - partial sync results keep the row-error count, and the partial toast string surfaces it (ICU plural, hidden at zero) in both locales Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * chore: retrigger CI after dropped push event Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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cd344b6dbb |
fix(db): enforce balance check on directly inserted posted journal entries (v2) (#1439)
* fix(db): enforce balance check on directly inserted posted journal entries check_balance_on_post only fires on the draft-to-posted UPDATE transition, so any code path that INSERTs a row with status 'posted' directly skipped balance validation entirely. The invariant sum(debit) = sum(credit) on every posted entry was DB-enforced only for the engine's commit lifecycle. Add check_balance_on_posted_insert, a deferred constraint trigger on AFTER INSERT WHEN (NEW.status = 'posted') reusing the existing check_journal_entry_balance() function, which already handles the journal_entries INSERT context via NEW.id/NEW.status. Deferred semantics let an atomic transaction insert header and lines together; zero-line and unbalanced posted inserts are rejected at constraint evaluation. All existing checks stay intact; this only adds coverage. The one first-party posted-INSERT path outside an RPC, the sandbox seed, now books through the bookkeeping engine (createJournalEntry) instead of raw inserts. SIE import already inserts header and lines in a single transaction via its structured RPC and passes unchanged. pg tests cover the new path (zero-line rejected, unbalanced rejected at SET CONSTRAINTS IMMEDIATE, balanced same-transaction insert accepted) and existing posted-entry fixtures move to a transactional insertPostedJournalEntry helper so they stay valid setup. Fixes #327 Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(tests): insert list-filters pg fixtures in one transaction The list-filters suite (landed via a sibling merge) inserted posted headers with getPool().query, where each query autocommits: the deferred check_balance_on_posted_insert constraint fired at the header's own commit with zero lines and correctly rejected the fixture. Header and balanced lines now share one BEGIN/COMMIT so the constraint evaluates the complete entry, mirroring the insertPostedJournalEntry helper. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(seed): insert journal headers as drafts, post after lines land check_balance_on_posted_insert (renamed to apply-time version 20260806130000) rejects a posted header whose transaction has no lines. PostgREST autocommits each request, so every seed path that inserted posted headers first would die with "has zero total": the sandbox seed (ledger history, invoice vouchers, salary vouchers), seed-demo-account and seed-export-data. All now insert draft headers, insert lines, then flip to posted so check_balance_on_post validates the finished verifikat. The sandbox seed keeps its documented no-events design. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(db): preserve a preset committed_at on draft-to-posted transition set_committed_at() stamped now() unconditionally, so the seed flows that post backdated drafts lost their historical booking timestamps and every demo verifikat read as booked today (CodeRabbit finding on PR 1439). Stamp only when committed_at is NULL: the engine path (drafts carry no committed_at) behaves exactly as before and a posted entry still always has a committed_at; an explicitly supplied value now survives posting. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(db): preserve preset committed_at only for trusted roles The IS NULL guard alone (20260806150000, never shipped; replaced by 20260806160000) let any RLS-permitted member backdate committed_at through PostgREST by presetting it on a draft and posting, which the Swedish accounting review flagged: committed_at is what the BFL 5 kap timeliness checks and behandlingshistorik treat as the genuine transition time. Preset values now survive posting only for service_role/postgres/supabase_admin; authenticated and anon writers always get the now() stamp. Consequence: the sandbox seed (runs as the requesting user) gets committed_at = posting time, accepted and documented in the route; the demo scripts run as service_role and keep their backdated history. pg tests cover all four paths, with the upper timestamp bound CodeRabbit asked for. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(db): restore superseded migration so the preview tracker stays consistent The preview branch had already applied 20260806150000 when the previous commit deleted the file, orphaning the preview's migration tracker ("Remote migration versions not found in local migrations directory"). Restored with a header explaining it is superseded in the same deploy by 20260806160000, so the unguarded semantics are never live on their own. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(db): decide committed_at trust by JWT claims, not current_user The Swedish review found the current_user guard bypassable: commit_journal_entry is SECURITY DEFINER and granted to authenticated, so inside it current_user is the function owner and a member could preset a backdated committed_at on a direct-inserted draft and launder it through the RPC. The guard now reads the JWT claims role (same primitive as the RPC's own tenant guard): preset values survive only for service_role or claim-less backend connections; authenticated and anon callers are always stamped now(), on both the direct UPDATE and the RPC path (new pg test). Both migration files now carry the identical final body so no unguarded intermediate exists as a standalone applyable unit. Behandlingshistorik logging of trusted overrides is follow-up #1444. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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a0ca692fed |
feat(invoices): quarterly, half-yearly and yearly recurring invoice schedules (#1438)
* fix(mcp): offer the link tool in the uncategorized-transactions VAT blocker The gnubok_vat_close_check blocker hint only named categorize/auto-match, both of which create new bookkeeping. For a transaction whose affarshandelse is already booked on an existing verifikat, following the hint would double-book, so agents dead-ended the case into "contact support" (2026-08-06 support mail from Orto Engineering). The hint now also names gnubok_link_transaction_to_journal_entry, is extracted as an exported constant pinned by a test, and the tool joins the categorize_month recommended loadout. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(invoices): quarterly, half-yearly and yearly recurring schedules User request: recurring invoice schedules only supported monthly cadence. Adds interval_months (SMALLINT 1-12, default 1) to recurring_invoice_schedules; the UI offers manadsvis/kvartalsvis/ halvarsvis/arsvis presets while API and MCP accept any 1-12. The cron advances next_run_date by whole intervals from the due date, and the new rollNextRunDateForward() helper rolls missed or edited interval schedules on their own month grid so a quarterly Jan/Apr/Jul/Oct schedule missed in an outage rolls Jan 15 to Apr 15, never Feb 15. Monthly (interval 1) keeps its existing today-anchored recompute semantics unchanged. Changing the interval alone never touches next_run_date: the new cadence applies from the next run, so an edit can never pull a send earlier. Existing rows default to 1 and behave byte-identically. The MCP slice of this feature (interval_months on the three recurring-schedule tools in server.ts) was committed in d2600907f alongside the VAT-blocker hint fix by a parallel session sharing this worktree. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(invoices): address PR #1438 review findings CodeRabbit round 1, all three findings: - MCP descriptions now state the full accepted interval range (any integer 1-12) instead of enumerating only the 1/3/6/12 presets, and qualify that changing ONLY interval_months leaves next_run_date untouched. - assertValidCadence rejects fractional day_of_month. - rollNextRunDateForward rejects calendar-invalid anchors that pass the shape regex (2026-13-05, 2026-02-31), with regression tests. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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8f38baca05 |
fix(assets): block Ej K2 accounts for K2 companies and fix immaterial defaults (#1422)
* fix(assets): block Ej K2 accounts for K2 companies and fix immaterial defaults K2 companies (BFNAR 2016:10 punkt 10.4) may not capitalize internally developed intangibles, but the asset register defaulted the immaterial category onto 1010/1019 (Utvecklingsutgifter) for everyone and had no framework gate beyond K3_REQUIRED_FOR_COMPONENTS. - New K2_EXCLUDED_ACCOUNT gate (422) in POST /api/assets and PATCH /api/assets/[id]: when accounting_framework is not k3, reject any asset whose resolved asset or accumulated account is flagged k2_excluded in the BAS reference. Resolution mirrors the service defaults so category defaults cannot sneak onto 1010/1019; patches that leave category and accounts untouched skip the gate so legacy assets stay editable. - Shared guard helper in lib/bokslut/assets/k2-account-guard.ts; code registered in structured-errors.ts with Swedish and English messages. - CreateAssetDialog: non K3 companies now book immaterial assets on the purchased pair 1090/1099 with a quiet hint that egenupparbetad utveckling requires K3; K3 companies picking immaterial see a note about fond for utvecklingsutgifter (2089) per ARL 4 kap. 2 par. - Route tests: K2 rejected on 1010 defaults and explicit overrides, K2 accepted on purchased accounts, K3 accepted on 1010, PATCH equivalents and a gate skip regression test. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(assets): cite punkt 10.4 only when the intangible group triggered the K2 gate The K2 gate fires on ANY account the BAS chart flags k2_excluded, but the rejection hardcoded an egenupparbetade immateriella / BFNAR 2016:10 punkt 10.4 citation. The flag also covers accounts excluded from K2 for unrelated reasons (1370/2240/8940 uppskjuten skatt, 1518, 2089, 2092, 2096, 2448, 3940, 7940, 8290 to 8480), so those users got a factually wrong legal citation in a compliance product. PATCH can reach them today: UpdateAssetSchema has no BAS range refinement, so an explicit bas_asset_account override outside the category range hits the gate before updateAsset() raises its range error. - k2ExcludedAccountMessages() now picks the wording from what actually triggered the gate. The boundary is derived from the chart itself (k2_excluded + account_class 1 + kontogrupp 10), which is exactly the egenupparbetade set 1010, 1011, 1012, 1018, 1019, 1081; no magic list, so a flag change in bas-data moves the boundary with it. Other Ej K2 accounts get a generic message: the chart marks it Ej K2 and it requires K3, with no invented paragraph reference. - Both messages are bilingual (message_sv / message_en, registry shape) and the routes now return message_en alongside message. - The static K2_EXCLUDED_ACCOUNT registry entry drops the intangible citation too: it is the code level fallback for every k2_excluded account. - Tests: route level distinction pinned in id.test.ts (1010/1081 cite 10.4, 1370 must not), plus a guard unit test asserting the derived group and that no non group 10 Ej K2 account ever cites 10.4. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(assets): let K2 companies register acquired intangibles, server side The K2 gate blocked a lawful case. K2 forbids only EGENUPPARBETADE immateriella tillgangar; acquired ones may be recognized (k2-vs-k3.md:24, "Only acquired intangibles may be recognized"). But asset-service still resolved category 'immaterial' to 1010/1019 for everyone, and only CreateAssetDialog compensated with an explicit 1090/1099 override. EditAssetDialog sends just the changed fields and has no account inputs, so a K2 aktiebolag recategorizing a bought licence to "Immateriell tillgang" hit the defaults, got a 422, and was told to switch the company to K3, which would pull in komponentavskrivning and uppskjuten skatt and rewrite the whole arsredovisning. The asset stayed on 1220/1229 and kept being presented as a tangible asset. - defaultAccountsForCategory(category, framework) is the single resolution point: immaterial resolves to the acquired pair 1090/1099 unless the framework is k3, every other category is unchanged. Both createAsset() and updateAsset()'s category realign go through resolveDefaultAccounts(), which reads companies.accounting_framework only for the intangible category and throws rather than guessing when that read fails. Explicit overrides and the realign-skip semantics are untouched. - Both routes resolve gate accounts through the same function, so the check mirrors what the service will persist. A K2 company on the defaults now passes; a deliberate override onto 1010/1011/1012/1018/1019/1081 still 422s. - CreateAssetDialog drops its now redundant client override so the two surfaces cannot drift; the hint text stays. - The 422 no longer asserts the company's framework (the companies read behind it discards its error, so a transient failure would assert it against a K3 company) and no longer proposes a regelverk change. It states that the account is reserved for egenupparbetade utvecklingsutgifter, which require K3, and points at 1090 for an acquired intangible. Punkt 10.4 stays scoped to the kontogrupp 10 group, derived from the chart as before. sv and en. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com> Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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31fba5e8f9 |
fix(accruals): carry origin dimensions onto dissolution entries (#1419)
* fix(accruals): carry origin dimensions onto dissolution entries
A project-tagged deferred invoice line lost its dimensions bag on every
monthly dissolution: the schedule never stored the bag, so dissolution
lines booked untagged and the per-project P&L drifted from the origin.
Persist the merged bag (invoice default_dimensions with the item bag on
top, same merge the origin generators use) on accrual_schedules and
attach it to BOTH dissolution lines: both origin generators tag the
interim 17xx/29xx line too, so per-dimension views of the interim
account keep netting to zero. Pre-existing schedules stay at '{}' and
keep today's untagged behavior; backfill is a separate follow-up.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
* fix(accruals): let dissolutions post when the tagged dimension value is archived
Carrying the origin's dimensions bag onto dissolution lines pulled every
monthly periodisering into validateEntryDimensions. With dimensions_enabled,
a project archived after the origin invoice was booked made the validator
reject the dissolution: the accrual service caught the rejection, wrote
last_error and left the installment pending forever. The remaining months of
prepaid cost would never reach 5xxx/6xxx, the interim 17xx/29xx account would
stay overstated, and the trial balance still balances, so no year-end check
fires and the arsredovisning is filed with understated cost.
Add a second, narrow exempt set (DIMENSION_VALIDATION_EXEMPT_SOURCE_TYPES =
{'accrual'}) with an isDimensionValidationExemptSource() helper, and skip the
soft registry validation for it in createDraftEntry. A dissolution is the
mechanical continuation of an already-approved, already-posted decision: the
same category as a storno, which the engine already bypasses.
The tag is kept, never stripped: an archived value still exists in the
registry and the cost genuinely belongs to that project. The rules set
(required/default/fixed) stays untouched, and the other two
validateEntryDimensions call sites keep validating: updateDraftEntry is a
user edit of an editable draft, and replaceOpeningBalanceEntry rejects any
source_type other than opening_balance.
Co-Authored-By: Claude Fable 5 <noreply@anthropic.com>
---------
Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
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88760ae6f6 |
fix(whatsapp-inbox): harden against adversarial review findings (#1342)
* fix(whatsapp-inbox): erase the WhatsApp channel on account deletion whatsapp_phone_links relied on the auth.users ON DELETE CASCADE, but Accounted never deletes auth.users: account deletion is anonymize_user_account plus a ~100-year ban that keeps the auth row as a tombstone, so the cascade never fires and nothing revokes the link. After erasure the link stayed active with a decryptable phone_enc, lookupActiveLink kept resolving the number, and every further inbound message was persisted with body_text and the verbatim raw_payload while the bot kept replying: GDPR Art 17 plus continued collection with no lawful basis. The RPC is re-created verbatim from 20260724150000 with one added block that revokes and crypto-shreds the link, resets its conversation, nulls body_text/raw_payload on that link's messages and deletes outstanding link codes, plus a guarded repair pass for tombstones anonymized before this migration. Covered by a pg-real test that fails against the previous definition. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(whatsapp-inbox): pepper the link-code hash and bound code minting hashLinkCode stored a bare sha256 over CODE_ALPHABET^6 = 30^6 values behind a fixed 'AC-' prefix. The module cited the invite-token pattern, but invite tokens are 256-bit random; this space enumerates offline in about a second, so hashing at rest protected nothing. The sibling phone-crypto.ts already states the team's own threat model for a LARGER space ("a plain sha256 would be brute-forceable ... hence the pepper"), so link codes now hash through the same env-mandated pepper. /link/start was also an authenticated unbounded INSERT that left every earlier code valid. Minting now burns the caller's unused codes (the code the panel shows is the only one that works) and is capped per TTL window, with the route answering 429 instead of throwing. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(whatsapp-inbox): harden the conversation layer against the review findings Pre-merge hardening of the unshipped chat layer. Every change below has a test that fails without it. Lifecycle and races: - conversation writes go through updateConversation(), an optimistic compare-and-set on updated_at (the trigger makes it a revision counter). The ack winner, the answer worker, the pin refresh and the sweep hold different claims, so blind whole-jsonb writes resurrected answered questions, wiped pending_question and dropped queue entries. - terminal markStatus writes are guarded on processing_status='processing' so a losing worker cannot overwrite the winner's 'done' and null its inbox_item_id. - the message -> inbox item path is idempotent: a pre-check plus a 23505 fallback adopt the item a concurrent worker created, instead of throwing after the WORM document is already committed. - PROCESSING_STUCK_MS 90s -> 5 min. The enforced step budget of one media row already exceeds 90s, so the sweep was re-claiming live workers. - sweep 2b re-arms only when the conversation itself has been quiet, not just the rows: pending_ack=false plus unacked rows is also the state of a live finalize, which produced a duplicate combined ack. - pin expiry re-checks against fresh state instead of writing back a stale whole context, which reverted company choices applied mid-pass. - askNextQueuedQuestion claims the pop before sending, so two answer workers cannot ask the same question twice. Company question: - the state is rolled back when the M6 send fails, so the next receipt re-asks instead of parking receipts behind a question nobody received. - applyCompanyChoice claims the open question (company_options) rather than the state: a double tap confirms once, a transient membership-query error is no longer read as "not a member", and a LATE answer still lands. - at the 48h TTL the parked receipts are kept, not discarded: options and staged rows survive so a late digit or tap still files them, and only rows past Meta's ~30-day media window get the terminal marker. - an out-of-range digit or a typed company name now gets the options repeated instead of silence or the "I cannot answer questions" reply. Inline dispositions: - stop/start/byt/company answers run their side effect BEFORE the terminal wamid row, with a SELECT pre-check for dedupe. Writing the row 'done' first made them at-most-once: a crash in between lost the action forever. Copy and answers: - acks state the extracted currency instead of labelling every total 'kr'. - M17 stops promising "about 10 minutes" when the daily quota tripped. - M18 is sent once per message tracked by the outbound row, so a file whose first attempt died still reaches the sender, including from the max-attempts path. - M11 no longer claims the number is disconnected: 'stopp' pauses, and muted senders now persist no chat content at all. - 'byt' is recognized in every state but awaiting_company (m6-confirm teaches the word, and it was being stored as answer data instead). - text sent while a re-send question is open is kept as a note on THAT receipt with the question left open, instead of binding to another receipt's question. - a quoted reply wins over the pending question and is appended when the quoted question is already answered, so corrections stop landing on the wrong receipt. - context answers keep raw_answer + answered_at like representation does. - finalizeBurst checks the send result: on failure it rolls the question back and leaves the rows unacked for the sweep. PII: - the sender's plaintext number is stripped from raw_payload before it is persisted; replies decrypt the link's phone_enc instead. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * docs(whatsapp-inbox): record the erasure path and the hardening decisions RoPA gains the account-deletion row (immediate, not via the cron: the auth.users cascade never fires because the row is tombstoned) plus the two new security measures, and its "never in the clear" phone claim is now true of the stored payload. DECISIONS.md records the non-obvious calls: revoke-not-delete on erasure, commit-then-roll-back for the company question, keeping expired company choices answerable, the compare-and-set conversation write, effect-before-terminal-row for inline dispositions, honest M11 copy, and the raw_payload redaction. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(whatsapp-inbox): stop the answer re-claim from following a confirm with M16 A worker that died after applying an answer and sending its confirmation leaves the row 'processing'. The sweep re-runs it, resolveAnswerTarget finds the question already answered, and the user got "I did not understand" immediately after the confirmation they had just received. The fallback is now first-attempt only. The catch comment claiming the sweep retries these rows is corrected too: 'error' is terminal for the sweep, and nothing on the answer path throws anyway (interpretChatAnswer degrades, sends never throw, supabase-js returns errors), so the catch is a programming-error net. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(whatsapp-inbox): drop the amount floor on the representation question The Swedish compliance review on #1340 caught a real error in the trigger rules: the representation question only fired above 150 kr, but the duty to document deltagare and syfte is what makes the expense deductible at all (BFL 5 kap 6-7 §) and it is not conditioned on any amount. The 300 kr per person figure I had in mind is the VAT-deduction base cap, a different rule. A 120 kr business lunch would have been booked with no participant trail, which is exactly the deduction Skatteverket denies later. Noise stays bounded by the triggers that were already there: the question fires only for receipt-shaped documents from restaurant, cafe or hotel merchants, at most once per receipt, twice per burst and six times per sender per day, and a single "nej" dismisses it. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Jakob Wennberg <jakob.wennberg@gmail.com> Co-authored-by: Claude Fable 5 <noreply@anthropic.com> Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com> |
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629069e281 |
feat(whatsapp-inbox): conversation layer with clarifying questions (#1340)
PR4 of the WhatsApp intake track: turns the per-message PR3 pipeline into a
conversation. Media replies are burst-debounced into ONE combined ack (M4
single / M5 numbered list) sent by the single winner of the atomic
pending_ack claim; losers stay silent. Multi-company senders get the company
question (reply buttons <=3, list 4-10, numbered text >10) with an 8h
sliding pin ('byt' clears it); their receipts park as staged message rows
until the answer and then run through the normal intake path.
Clarifying questions are evaluated per receipt after extraction, max one per
receipt, priority unreadable > representation > partial, keyed on the
Phase-0 classification (legibility/documentKind/merchantCategory) with
heuristic fallbacks (compressed-chat-photo signal, extended meal regex).
Budgets: <=2 content questions per burst, <=6 per sender per Stockholm day;
over budget acks only and flags the item moved_to_app. Questions expire
after 48h (sweep, silent hand-off) and are asked exactly once.
Free-text answers route through the ONE new LLM call
(lib/interpret-answer.ts): Sonnet via Bedrock, max_tokens 600, no thinking,
forced tool call validated by Zod with hard caps, gated by
checkAgentRateLimit, reply framed as untrusted data. Any failure degrades to
storing the raw text as a note; exact 'nej' short-circuits without the LLM.
Answers land in invoice_inbox_items.channel_context
(representation/user_note/quality) with ChannelQuestionAsked/Answered
processing-history events. Late answers match by quoted wamid or the most
recent open question within 7 days.
New per-minute sweep cron (registry-gated physical route, 503
EXTENSION_DISABLED when off) re-claims stuck rows (max 3 attempts), rescues
crashed burst acks, expires questions and pins. One new migration
(20260802210000) adds whatsapp_messages.acked_at, the relational burst-
membership marker, with pg-real coverage for the single-winner claim.
Verified: full vitest suite (12270), pg-real against a migrated
supabase/postgres 15 (977), lint 0 errors, tsc at the 405 baseline,
check:guards green, crontabs regenerated. Mutation-checked the debounce
claim and the daily budget gate.
Co-authored-by: Jakob Wennberg <jakob.wennberg@gmail.com>
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
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bd3592cb99 |
feat(db): WhatsApp channel schema (phone links, messages, inbox source) (#1337)
Foundation for WhatsApp receipt intake (plan 2026-08-01), no runtime callers yet: - whatsapp_phone_links + whatsapp_link_codes: verified phone -> user binding via single-use 10-min codes (invite-token pattern). Peppered HMAC lookup hash + AES-GCM encrypted number; one ACTIVE link per phone and per user (partial unique, revocation preserves history). User-scoped RLS (a binding belongs to a person, not a company). - whatsapp_conversations + whatsapp_messages: deterministic state machine state and the message log, which doubles as the durable job record for persist-first webhook processing. Partial unique index on inbound wamid = the at-least-once dedupe key. Service-role only. - whatsapp_sender_rate_counters + check_and_increment_whatsapp_sender_quota: the pre-binding limiter keyed by phone hash; EXECUTE granted to service_role only. - invoice_inbox_items: source CHECK widened to 'whatsapp', plus whatsapp_message_id (one item per delivering message) and channel_context jsonb, kept separate from extracted_data so verified human answers never share a container with untrusted OCR output. document_attachments.upload_source CHECK gains 'whatsapp'. - whatsapp_conversations triaged into ARCHIVE_EXCLUDED_TABLES (full-archive coverage contract). pg-real on a fresh DB: 975/975 incl. the new whatsapp-channel suite (RLS visibility, unique/rebinding semantics, wamid dedupe, CHECK widenings, quota RPC caps + grant lockdown). Co-authored-by: Jakob Wennberg <jakob.wennberg@gmail.com> Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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9f5a43310b |
fix(salary): recompute entitled_days on existing ledger rows and record pre-cutover taken days (#1403)
The vacation ledger sync carried entitled_days verbatim on existing open rows while re-deriving accrued and taken, so a stale entitled value (for example the flat 25 stored before Semesterlagen 7 § pro-rating existed) survived every sync. The recompute loop now re-derives entitled the same way the lazy-seed path does, with the opening-balance cutover still outranking recomputation for the year containing cutover_date. Opening balances could also not record paid vacation days already taken in the cutover year under the previous payroll system. New additive column employee_opening_balances.vacation_days_taken_this_year (NUMERIC NOT NULL DEFAULT 0, CHECK 0..40) threaded through the shared service, the Zod schema, the MCP staging tool (schema + mergeable fields), the staged-operation executor, the v1 REST routes, and the employee editor form. Ledger semantics for the cutover year, on both seed and recompute paths: entitled = remaining + taken_this_year, taken = booked-run taken + taken_this_year, so remaining keeps meaning remaining and the seeded value survives every subsequent sync. Fixes #1347 Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com> Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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2296c0cd59 |
fix(auth): provision invitees server-side when signups are disabled (#1404)
* fix(auth): provision invitees server-side when signups are disabled Self-hosted installations with GoTrue disable_signup broke the invite flow silently: invitees without an account were routed to /register, where supabase.auth.signUp fails with "Signups not allowed for this instance", surfaced only as a generic toast. New server-only env flag AUTH_SIGNUPS_DISABLED (documented in .env.example) mirrors the GoTrue setting. When true, POST /api/company/members/invite checks check_email_exists and, for invitees without an account, provisions one via auth.admin.inviteUserByEmail with a redirect back to /invite/<token>, before the Resend email and before the invitation row is written so a provisioning failure leaves nothing half-created and the admin can retry. The response now carries user_provisioned alongside email_sent, and a provisioning failure returns 502 with a Swedish message mapped through getErrorMessage instead of a silently-successful invite. /auth/callback now routes type=invite verifications to /reset-password (the existing set-password surface) instead of dropping the passwordless user on the dashboard, and preserves the invite token from next=/invite/<token> as the pre-auth invite cookie so the existing reset-password invite handoff accepts the membership right after the password is saved. getErrorMessage learns two GoTrue patterns: "Signups not allowed" (account creation closed on this installation, contact your inviter or administrator) so the /register dead end is explained even for flows that bypass provisioning, and "Error sending ... email" (GoTrue SMTP not configured) so the 502 above is actionable. Hosted is untouched: the flag is unset there and every new code path is gated on it. Fixes #1335 Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(auth): restore check_email_exists RPC and harden self-host invite config Adversarial review of #1404 found that the check_email_exists function the invite flow depends on does not exist anywhere: it shipped in PR #229 and was lost in the #244 migration consolidation before ever reaching prod (verified missing on the hosted production database directly). Today app/api/team/accept destructures only { data } from the RPC call, so alreadyHasAccount is silently null on every deployment and the invite page routes even existing-account invitees toward /register. - New migration 20260804140000 restores the function exactly as originally shipped: SECURITY DEFINER over auth.users, EXECUTE revoked from PUBLIC, anon and authenticated, granted to service_role only (prevents email enumeration). Fixes hosted prod behavior too once applied. - New tests/pg/check-email-exists.pg.test.ts locks in existence, case-insensitive matching, false-for-unknown, and the role grants. - .env.docker.example gains the AUTH_SIGNUPS_DISABLED block self-hosters actually use; both env templates now note that the GoTrue redirect URI allow-list must include /invite/* or the invite email redirect silently falls back to SITE_URL. - Invite route test for the existsError branch: RPC failure logs a warning and provisioning proceeds anyway (GoTrue is authoritative). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(auth): mask invitee email in provisioning-failure log (#1335) Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com> Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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5ca64bde30 |
feat(bokslut): IL 18 kap pooled tax depreciation with method election (#1393)
* feat(bokslut): IL 18 kap pooled tax depreciation with method election Rakenskapsenlig (huvudregel 30 / kompletteringsregel 20) and restvarde 25 as a company-level annual pool separate from per-asset book depreciation. Method election persisted with immutable snapshots and book-conformity confirmation for rakenskapsenlig. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * chore(db): move tax depreciation migrations to coordinated versions Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(bokslut): keep tax depreciation view loadable when a saved election goes stale A predecessor's changed closing value can push a saved elected deduction above the new statutory maximum; the view now falls back to the statutory recomputation so the snapshot is flagged stale instead of crashing. Ratchet naive-ore-round baseline down by 3. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(bokslut): resolve tax-depreciation period selects statically The no-phantom-columns guard counts every select it cannot resolve toward a hard ceiling, and the PERIOD_COLUMNS join pushed the repo 4 over (364 > 360). Inline the literal column list at the four call sites so the guard verifies these columns instead of skipping them. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(bokslut): address review findings on tax depreciation election - DepreciationPanel: gate the saving flag on a dedicated save sequence so a successful save (which refreshes the view and bumps the request version) no longer leaves the card permanently busy - computeTaxDepreciation: refuse kompletteringsregel_20 with a positive basis and no acquisition cohorts instead of degenerating to a full write-off the cohort evidence does not support (IL 18 kap. 17 §) - migration 227000: judge the asset-method guards on NEW.disposed_at so reversing a disposal cannot reactivate a grandfathered non-linear row - migration 227200: require snapshot column completeness in the CHECK; SQL NULL semantics let partially populated snapshots pass the pure arithmetic comparisons - depreciation route: use the string issue code 'custom' like the rest of the codebase instead of the Zod 3 compat enum Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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00ae3540db |
feat(customers): carry contact person and invoice copy recipients through migration (#1392)
* feat(customers): carry contact person and invoice copy recipients through migration Extends the arcim-migration entity mapper, Fortnox provider mapper, canonical DTOs, customer APIs (web + v1) and invoice send flows so contact person and customer-level invoice CC/BCC addresses survive provider migrations. NULL means unconfigured and empty means an explicit clear, so re-syncs enrich legacy gaps without resurrecting deliberately removed values. Fortnox fixed assets are split into a dedicated follow-up issue. Fixes #1345 Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * chore(db): bump customer metadata migration past pack-slug version Main already contains 20260803230000; keep new versions strictly newest so Supabase branching applies them in order. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(customers): complete Customer type consumers and make enrichment payload resolvable The preview-pdf mock customer and the makeCustomer fixture now carry the three new metadata fields, fixing the type-check failure in Build (zero extensions) and Vercel. The enrichment update in the migration orchestrator now spells its payload as an object literal typed CustomerMetadataEnrichment (absent keys drop at serialization), so the phantom-column guard resolves the columns instead of counting another unresolvable dynamic payload past its ceiling. The cc/bcc guards also verify element types instead of casting. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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cb3ef45f14 |
feat(assets): atomic asset disposal workflow (avyttring, utrangering, verksamhetsoverlatelse) (#1391)
* feat(assets): atomic asset disposal workflow (avyttring, utrangering, verksamhetsoverlatelse) Disposal books depreciation to the disposal date, clears cost and accumulated depreciation, books gain (3973) or loss (7973), applies output VAT on third-party sales, honors the ML 5 kap. 38 § verksamhetsoverlatelse exemption, and recalculates ML 15 kap. jamkning server-side from tax years and original input VAT. The voucher, the disposal-date depreciation schedule and the immutable register state commit in one dedicated commit_asset_disposal RPC transaction that delegates voucher numbering to commit_journal_entry. Fixes #325 Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(assets): harden disposal per review and pg-real findings - commit_asset_disposal now uses the NULL-safe caller_is_company_member() guard (tenant-guard ratchet) and passes the allowed 'user_accept' commit_method instead of the unlisted 'asset_disposal' value - disposal metadata invariants validated in the RPC (non-negative proceeds/VAT, VAT requires a treatment, VAT <= gross, scrap carries no proceeds) since the RPC is independently callable - new FK and CHECK constraints added NOT VALID + VALIDATE CONSTRAINT so the migration never blocks writes on the hot journal_entries table - disposeAsset paginates fiscal periods and depreciation schedules with fetchAllRows; jamkning_remaining_years keeps a valid 0 (?? not ||) - engine imports shared AssetDisposalType/AssetJamkningDirection/ VatTreatment unions; post-commit reload retries once and logs before surfacing, so a transient read cannot masquerade as a failed disposal - dispose page parses Swedish-formatted amounts (125 000,50) and blocks submission on unparseable proceeds - assets pg tests write disposal attributes in the disposal transition itself and gain a regression test that the register is frozen after Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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ff864ad3db |
feat(packs): sync system templates from packs/ instead of the frozen migration (#1390)
Phase 2b. The packs become the source of truth; the table stays the query surface, so the existing read path (one RLS query returning system + company + team templates) and every template id are untouched. pack_slug is the stable upsert key (migration 20260803230000, backfilled onto all 26 seeded rows). Matching on name instead would have meant that correcting a Swedish label looks like a new template, and because booking_template_usage.template_id is ON DELETE CASCADE, retiring the old row would silently wipe every company's "recently used" history for it. For the same reason a removed pack DEACTIVATES its row rather than deleting it: the read path already filters is_active, so it leaves the picker while usage history survives. The sync fails closed. A pack that will not parse or validate aborts the whole run with zero writes, because a database left in a state no commit of the repo describes is worse than a stale one. An empty catalogue is treated as a broken deploy (packs/ not bundled) rather than an instruction to retire every system template. Runs as a daily cron rather than at boot: boot-time work would have every serverless instance racing to write the same rows, and would re-apply a bad catalogue continuously instead of once a day where it is visible. Idempotent, so a database already matching the packs performs zero writes. Three database guards, each covered by tests/pg/booking-template-pack-slug.pg.test.ts: a partial unique index (one pack, one template), a format CHECK mirroring PACK_SLUG_RE so the database refuses what the loader would, and a CHECK keeping pack_slug off company templates, where it would shadow the pack it collides with. Verified the upgrade path locally the way the pg-upgrade job will run it: base schema, seeded fixture company with posted verifikat, an existing company template, then this migration alone. 26 slugs backfilled, company template intact, upgrade assertions pass. This is that job's first real migration. Payloads are spelled out rather than spread so the phantom-column guard can check them, and docker/crontab.* are regenerated for the new vercel.json entry. Co-authored-by: Jakob Wennberg <311770904+jakobwennberg-oss@users.noreply.github.com> Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> |
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8443062b1f |
fix(vat): enforce fraction unit for supplier invoice vat_rate writes (#1385)
Closes the remaining #310 write paths: credit-note item copies (web, v1, pending-operations) and arcim-migration supplier imports now normalize vat_rate to the decimal-fraction unit before storage, and a NOT VALID CHECK constraint guards every new supplier_invoice_items row. Customer invoice items deliberately stay percent; legacy supplier rows are left untouched so posted-entry reversals reuse the exact original values. Fixes #310 Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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cd7d7f52b9 |
feat(invoices): per-recipient email delivery outcomes (#1384)
* feat(invoices): per-recipient email delivery outcomes Resend delivery webhooks identify affected addresses in data.to, so one message with CC recipients can carry independent To/CC outcomes instead of masking the failing address into the aggregate reason text. - new apply_invoice_delivery_provider_event RPC merges each reported recipient onto its immutable To/CC position with the same rank and timestamp ordering as the aggregate status (retry and out-of-order safe) - recipient map is PII-free: keyed to:N / cc:N, BCC and unmatched recipients are never represented, and the map is cleared on PII redaction - delivery summaries, API route and MCP tool expose the sanitized map; the route re-sanitizes as defense in depth - UI shows a per-recipient status list under the aggregate outcome The prod ops check in issue #1350 (webhook registered in Resend and RESEND_DELIVERY_WEBHOOK_SECRET set in Vercel) cannot be verified from the repo and remains a follow-up. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * test(invoices): commit provider event before cross-context read The BCC-leak test applied the event inside the rollback-scoped service role helper and then asserted through a separate member context, so the applied status was rolled back before the read. Use the committing runAsServiceRole helper for the apply, matching how the summary read is performed in its own context. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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9e54a8e400 |
fix: preserve invoice payment dates (#1332)
Signed-off-by: Emil <emilmattsson14@gmail.com> |
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18cdba3574 |
fix: make out-of-order SIE opening balances atomic (#1334)
* fix: preserve SIE IB on out-of-order imports * fix: make SIE opening balance replacement atomic * test: seed accounts for atomic IB pg coverage * test: complete atomic IB pg fixtures * fix(import): avoid IB resync across fiscal-year gaps * test(import): mirror PostgREST date values in pg adapter * fix(import): address opening balance review feedback |
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4933fae7a9 |
fix(bookkeeping): correct seeded BAS account names that contradicted engine bookings (#1321)
- seed_chart_of_accounts named 7210 'Semesterlöner' while payroll books gross salaries there (BAS: 'Löner till tjänstemän'; vacation pay is 7285), so every seeded AB showed salary costs under a vacation-pay label in Nyckeltal and every other report - 3002 was named 'Försäljning varor 25%' although 3002 is the 12% revenue account everywhere else (invoice booking, category mapping, default_vat_rate seeding) - 7010 and 3001 get their BAS 2026 names; 2631 loses a double space - backfill renames existing rows only on exact seeded-literal match plus is_system_account, so accounts users renamed survive untouched - account-descriptions.ts had the 7010/7210 names swapped; client-account-names.ts labeled 2510 (Skatteskulder) as 'Personalskatt' Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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27ae59040e |
fix(transactions): retire stale invoice match pointers when an invoice settles (#1313)
* fix(transactions): retire stale invoice match pointers when an invoice settles potential_invoice_id / potential_supplier_invoice_id are write-once import suggestions: nothing revisited them once written. With recurring same-amount invoices, an earlier suggestion pointed transaction A at invoice X, X was then paid off by transaction B, and A kept pointing at a fully paid invoice. The match dialog computed its amount diff against that invoice's 0 kr remaining_amount and reported a bogus partial payment, and the dead pointer also blocked a fresh suggestion: both re-suggestion scans require the column to be NULL. Add one shared helper, clearSettledInvoiceSuggestions(), that nulls a settled invoice's own suggestion column on every other transaction of the same company, scoped by company_id and by that invoice id only, never widening to the confirmed invoice_id / supplier_invoice_id links. It is best effort by construction: every caller has already booked a payment verifikat, so a failed cleanup logs and returns instead of failing the settle. Wired into every path where an invoice reaches paid through a payment: the dashboard and v1 match-invoice / match-supplier-invoice routes, the dashboard and v1 mark-paid routes, settleInvoicePayment, the batch allocation route (per fully settled allocation), linkInvoiceToVoucher and linkSupplierInvoiceToVoucher, linkTransactionToJournalEntry, and the MCP staged-operation executors for mark_invoice_paid and match_transaction_invoice. Partial payments are deliberately left alone: a partially paid invoice is still matchable. The v1 supplier match route also clears its own row's hint, which it was missing next to its dashboard twin. Read-time revalidation stays as the backstop for the paths not wired up here. countSuggestedMatches now delegates to listSuggestedMatches, which already revalidates candidates, so the worklist badge can no longer claim a number the list refuses to render. A data-only backfill migration retires the pointers already stranded in the database. It touches no journal entry, verifikat or period-locked data, is idempotent, and its status lists mirror lib/invoices/matchable-statuses.ts. Fixes #1259 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(transactions): wire the MCP batch allocation into the settled-pointer cleanup Review follow-up on the #1259 fix. commitMatchBatchAllocate calls the same match_batch_allocate RPC as the dashboard route, and gnubok_match_batch_allocate is a live staged MCP tool, so an agent settling a samlingsbetalning reproduced the issue exactly: the RPC nulls potential_invoice_id / potential_supplier_invoice_id only on the source transaction, leaving every other transaction of the company pointing at an invoice the batch just closed. The per-allocation loop moves into clearSettledBatchAllocationSuggestions() so the HTTP route and the MCP executor run the same code and cannot drift again, with a commit-path test pinning that only the fully settled allocation is retired. The enlarged badge scan is made safe. countSuggestedMatches now feeds up to 200 ids into listSuggestedMatches, past the 150 per .in() that countInboxDocuments already chunks for, so the candidate lookups are chunked at IN_CLAUSE_CHUNK too and their ids deduped. Both lookups now check .error: previously a 414, a 500 or an RLS change produced empty maps, an empty list and a zero badge with nothing logged. Every failure branch here logs companyId, matching the logAndZero convention. Also: restore the anchorSupplierInvoiceDocument doc comment above its own call in the dashboard supplier-invoice mark-paid route (the #1259 block had been inserted between them), and assert the transaction update payload in the v1 match-supplier-invoice test, which now covers the potential_supplier_invoice_id null that the route was missing next to its dashboard twin. Fixes #1259 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> |
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1a5d205bd6 |
fix(webhooks): derive the stuck-in_flight window from the cycle bound and charge the stall an attempt (#1311)
* fix(webhooks): derive the stuck-in_flight window from the cycle bound and charge the stall an attempt recoverStuckInFlight re-armed any in_flight row older than 2x REQUEST_TIMEOUT_MS (20 s), but a cron cycle claims 50 rows and attempts them serially, stamping updated_at once at claim time. From row 3 onward every row was past the threshold before its own attempt started, so each cycle recovered and re-claimed the rows the previous cycle was still working through: duplicate POSTs of the same X-Gnubok-Delivery, and a terminal status decided by a race whose loser was swallowed by enforce_webhook_delivery_immutability as a log.warn. Both halves of #1257 are fixed: 1. The window is derived, not guessed. The attempt loop is now bounded by an explicit CYCLE_BUDGET_MS (120 s) instead of relying on the platform to kill it, and the sweep window is that bound plus one receiver timeout plus slack (160 s), floored at the cron's own batch size so the 5-row emit kick cannot re-arm rows the 50-row cron still owns. Each row is also re-stamped immediately before its own attempt, so a row's in_flight age measures the attempt rather than the claim. The same write doubles as an ownership check: a zero-row result means another cycle took the row, and the POST is dropped instead of duplicated. 2. The sweep charges an attempt, so MAX_ATTEMPTS is a real cap again. The predicate moves into a SECURITY DEFINER RPC because PostgREST can express neither `attempts = attempts + 1` nor the conditional flip at the cap, and a read-then-write loop would reopen a TOCTOU against the immutability trigger. A row recovered past the cap lands on exactly the terminal state the normal retry path produces: status 'dead', attempts = MAX_ATTEMPTS, error prefixed 'attempts_exhausted'. The trigger is neither weakened nor bypassed: the outer UPDATE keeps status = 'in_flight' in its own WHERE, so a row that raced to a terminal status fails re-evaluation under READ COMMITTED and is skipped rather than aborting the statement. Rows the cycle claimed but will not reach are handed back as re-claimable instead of being stranded in in_flight, without charging an attempt they never made. Adds the partial index the sweep needs (idx_webhook_deliveries_due is partial on pending/failed and structurally excludes in_flight). No retention or pruning cron: webhook_deliveries still has no cleanup path, which is a separate decision and stays a follow-up. Fixes #1257 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(webhooks): back the cycle budget with maxDuration and give the stall the normal retry backoff Review follow-up on the #1257 fix. Two of the findings were blocking and compound each other: the fix made stranding likely and destructive at the same time. 1. The 160 s sweep window was derived from CYCLE_BUDGET_MS, but nothing granted a dispatch cycle 120 s: the cron route declared no maxDuration. If the platform killed the invocation before the budget check fired, releaseUnattempted never ran and the claimed-but- unattempted rows stayed in in_flight carrying their claim-time updated_at, which is exactly the invariant the window depends on. The route now declares maxDuration = 300, the way the stripe transactions and documents verify crons pair a budget with one, and a route test asserts both the literal and its relation to CYCLE_BUDGET_MS. The kick path can never be given a maxDuration (after() runs inside an arbitrary route), so dispatch-kick.ts now states why it does not need one: KICK_BATCH_SIZE x REQUEST_TIMEOUT_MS is 50 s, so the dispatcher's budget check never fires there. 2. The sweep charged an attempt but re-armed at p_now, i.e. no backoff, while the normal failure path waits RETRY_BACKOFF_SECONDS. A row that kept getting stranded (deploy, instance recycle, any cycle that outlives its invocation) was re-claimable on the next per-minute tick and could burn all 8 attempts in roughly 20 minutes, landing in the terminal, immutable 'dead' state without its receiver ever being contacted. Pre-fix that loop was infinite but harmless, so this was a net-new way to lose a delivery. recover_stuck_webhook_deliveries now takes p_backoff int[] (RETRY_BACKOFF_SECONDS, still single-sourced in TS) and sets next_attempt_at with the same clamped index lookup markFailedForRetry uses, so a stall costs an attempt AND the same wait a 500 costs. A non-positive or empty schedule is rejected rather than silently degrading to p_now. The migration has not been applied to any deployed environment, so it is amended in place rather than superseded; it drops the old 3-argument signature so no ambiguous overload can survive in a dev or CI database. Also from the review: - stuckInFlightAfterMs(batchSize) was dead code whose Math.min clamp made every input return 120_000, so the documented DEFAULT_BATCH_SIZE floor never fired and the test that pinned it (stuckInFlightAfterMs(5) === stuckInFlightAfterMs(50)) was a tautology. It is now the plain constant STUCK_IN_FLIGHT_AFTER_MS with a comment that credits the budget, and the test drives the window through dispatchDueDeliveries at batch sizes 5, 50 and 500, which fails if the window ever becomes batch-derived again. - The sweep's outcome reaches the operator: recovered / recoveredDead are on DispatchSummary and in the cron's structured log, so a tick that takes deliveries terminal is visible without grepping helper-level warn lines. - releaseUnattempted no longer writes 'failed' onto a never-attempted row. claim_due_webhook_deliveries does not return the pre-claim status, but it does return attempts, and every path that writes 'failed' also writes attempts >= 1, so attempts = 0 identifies a row that was 'pending' and it is restored as such. webhook_deliveries is customer-visible behandlingshistorik; a delivery that was claimed and handed back without a single POST must not read as a failure there. The two deferred hygiene items (no retention path for webhook_deliveries, and the sweep still being an unbounded tenant-global UPDATE) are reported as a comment on #1257 and noted in the migration. Fixes #1257 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> |
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17a7a62ceb |
fix(reports): stop the resultatavslut zeroing declarations, and make the mistake uninventable (#1293)
* fix(settings): explain why account deletion is blocked The delete-account button was disabled while the user still owned companies, but the reason only lived behind the "?" on the blocker row, so the greyed-out button read as broken. Surface it as one visible attn sentence directly under the button, and point aria-describedby at it whenever the button is disabled, not only on a load error. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * feat(enable-banking): share one PSD2 consent across a user's companies Connecting the same bank for a second company required a second BankID, and at SEB that new authorization silently revoked the first one. A user with four companies at one bank therefore signed four times a quarter and ended up with three dead feeds, each still rendering as "Aktiv" with a stale last_synced_at until someone pressed Synka. Prod says this is not one customer: every SEB customer holding connections in more than one company has had an earlier company stop syncing at the moment the next was authorized, most of them while the consent was still formally valid for weeks. The same measurement over other banks is far quieter, so the one-active-session-per-PSU limit is real and ASPSP-side. Enable Banking already supports the shape we want. POST /auth carries no account restriction, so a session covers every account the user ticked at the bank, and GET /accounts/{uid}/transactions takes no session id, so a second company can sync its own accounts from an existing session. bank_connections has no unique constraint on session_id, so this needs no migration. Adds lib/session-sharing.ts plus GET /reusable-sessions and POST /attach. When a live session in another of the user's companies still exposes accounts no company syncs, the settings panel offers to reuse it: the new row shares session_id and consent_expires, carries only the unclaimed accounts, and lands in pending_selection so the existing IBAN-aware account picker does the ledger mapping. Only the consent is shared; accounts, cash_accounts and transactions stay strictly per-company. Sharing a session changes three lifecycle paths, all handled here: - Disconnect and reconnect now refcount before revoking. A blind revoke would take down a sibling company's feed, which is the exact failure this removes. The count runs on a service-role client because RLS hides a sibling in a company the user has since left, and it fails closed: an uncertain count is treated as shared, since a lingering consent lapses on its own in 90 days while a wrongly revoked one kills a working feed. - A renewed consent fans out to every company sharing the old session, and re-points their account uids by IBAN. Several ASPSPs reissue uids on re-authorization, so carrying the session id alone would have left siblings calling retired uids and re-broken them every quarter. This is also why the superseded session_id is no longer nulled at /connect: the callback needs it. - The nightly probe runs once per distinct session and applies the verdict to every row holding it, and expiry mails are keyed per (user, session), so one dead consent is one probe and one mail rather than four of each. Only enabled cash_accounts rows count as claiming an IBAN. The callback mirrors every account in a consent, deselected ones included, so counting any row as a claim would leave nothing offerable once the first company connects. An account handed to a company also stops being offered while that company's picker is still open, closing the window where two companies could book the same physical account. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(ink2): read the resultaträkning from the pre-closing books INK2R summed journal entries raw, so it included the resultatavslut that zeroes every P&L account into 2099 at year-end. Nettoomsättning, kostnader, periodiseringsfond and skatt all came out as 0, which cascaded into INK2S 7650/7651 and the taxable result. INK2 is always filed after bokslut, so this was every real declaration, and nothing warned: with the P&L at zero the balance sheet still tied out. INK2R now reads two views of the same period. The balance sheet comes from the closed books so 7302 keeps arets resultat via 2099; the income statement comes from the pre-closing books via excludeFinalClosingEntry, which drops only fiscal_periods.closing_entry_id so skatt and bokslutsdispositioner stay on the form (7525, 7528). The equity adjustment is now conditional on a posted closing entry having moved the result into 2099. Second, independent bug: accounts were mapped by BAS number with no regard for the sign of the balance, so konto 1630 with a credit was reported as a negative fordran instead of a skatteskuld and konto 2641 with a debit was netted off the liabilities. The three sign-reclassification rules the K2 iXBRL mapper already had are extracted to lib/reports/sign-reclassification .ts and applied to INK2R too, so both statutory reports present the same balance sheet. Only the rule table is shared: k2-mapper keeps its sumOre arithmetic because the iXBRL path is ore-exact while INK2R truncates per SFL 22:1. NE-bilaga had the same empty-resultatrakning bug and gets the same fix. Adds the closed-period coverage that was missing: the old tests only exercised the mapping table against an open period, the one state in which the engine happened to work. Co-Authored-By: Claude Opus 5 <noreply@anthropic.com> * fix(reports): make the year-end closing decision explicit at every call site generateTrialBalance took two optional booleans, so a caller that never thought about the resultatavslut silently got 'include'. That is the wrong default for anything summing class 3-8: the closing verifikat posts the mirror image of every P&L account into 2099 inside the same period, so the report reads ZERO across the board while the balance sheet still ties out and nothing warns. The booleans are replaced by a required closingEntry: 'include' | 'exclude-final' | 'exclude-all-year-end' with no default, so the build fails until each call site decides. All 40 were audited individually; every one keeps its current behaviour except the two that were provably broken: - Resultatrapport read zero on every line for a closed year, in JSON, PDF and XLSX, and its prior-year comparison column read zero for anyone whose previous year was closed. - Resultat per projekt (dimension-pnl) had the same defect and must stay in lockstep with Resultatrapport to keep reconciling. Both now pass 'exclude-all-year-end', which keeps them agreeing with the formal Resultaträkning rather than pre-empting Stage 2 of #1051 (DECISIONS.md:632). Deliberately unchanged and recorded in DECISIONS.md: the KPI expense composition, which is blank for a closed year but cannot be fixed without a migration and a displayed-figure change, and getBookedBolagsskatt, whose contract is an open period and whose call chain already caused a too-high-tax customer bug once. Co-Authored-By: Claude Opus 5 <noreply@anthropic.com> * fix(vat): keep the resultatavslut out of the momsdeklaration The closing verifikat posts the mirror image of every P&L account into 2099 inside the same fiscal period. Revenue accounts drive rutor 05, 39 and 40, so any VAT period containing the fiscal-year end reported NEGATED turnover once the year was closed. get_vat_declaration_totals already excluded vat_settlement and opening_balance entries, but not this one. Reproduced read-only against production: for December of a closed year the December declaration reported ruta 39 = -794 734 kr. After the fix that period reports 0 and the January period carrying the real sale is unchanged at 794 734 kr. Keyed on fiscal_periods.closing_entry_id, not source_type = 'year_end': avskrivningar, periodiseringsfond and skatt share that source_type and must keep whatever VAT effect they carry. A reversed closing entry is retained together with its storno so the pair still nets to zero, the same predicate trial-balance.ts uses for closingEntry: 'exclude-final'. Migration applied to the staging branch only; prod gets it via merge. The pg test is written but has NOT been executed locally (no DATABASE_URL configured and no local Postgres), so CI is its first real run. Co-Authored-By: Claude Opus 5 <noreply@anthropic.com> * fix(kpi): keep the resultatavslut off the monthly chart The monthly income/expense chart summed every posted entry in the fiscal period. The closing verifikat posts the mirror image of every P&L account, so once a year was closed the fiscal-year-end month charted the whole year's revenue as negative income. Measured read-only on production: 28 companies across 34 month-rows. The worst case charted December income as -10 347 459,81 kr where the real figure is +12,88 kr. Other examples: -1 868 731 -> +128 730, -1 850 501 -> +431 709. Both paths are fixed together so they keep agreeing: the RPC's monthly section now joins the tb_ex_ye_entries CTE it already computes for tb_ex_year_end, and monthly-breakdown.ts (the dimension-filtered fallback and the MCP path) gains the matching source_type filter plus the storno/correction chain of REVERSED year-end entries, so an undone bokslut does not leave half a pair behind. Migration 20260723180000 had recorded the omission as deliberate, on the grounds that it mirrored the JS scan. It did, but the JS scan was wrong. Migration applied to the staging branch (function body identical; three comment lines differ from the committed file). Prod gets the file via merge. Co-Authored-By: Claude Opus 5 <noreply@anthropic.com> * test(reports): pin every statement generator against a closed fiscal year The per-generator suites all exercised an OPEN fiscal period, which is the one state in which a generator that forgets the resultatavslut happens to work. Declarations are filed AFTER bokslut, so the untested state was the only state that occurs in production. That is why the same defect could ship three times. Two new suites over one shared fixture (closed-year-fixture.ts, a synthetic closed AB with a resultatavslut, a credit 1630 and a debit 2641): closed-year-statements.test.ts enumerates the generators and asserts each reports the year's revenue rather than zero, plus its own bottom line. The table IS the checklist: a new report either appears in it or nothing stops it shipping with this bug. Verified by regressing income-statement back to closingEntry 'include', which fails 2 of its assertions. cross-surface-agreement.test.ts asserts the surfaces agree with each other, which is what every customer complaint actually was. INK2R and the K2 årsredovisning must produce the same årets resultat, the same fritt eget kapital, the same sign reclassifications and the same balance total. The operational family (Resultaträkning, Resultatrapport) must agree internally, and the gap BETWEEN the families is asserted explicitly as bokslutsdispositioner + skatt, so when Stage 2 of #1051 lands the test names the expectation to change instead of failing vaguely. Co-Authored-By: Claude Opus 5 <noreply@anthropic.com> * chore(guards): ratchet against new reports that scan the ledger directly A statement generator that aggregates journal_entry_lines itself has to remember, on its own, that the resultatavslut posts the mirror image of every P&L account into 2099 inside the same fiscal period. Three forgot, and each read ZERO revenue for a closed year while the balance sheet still tied out, so nothing warned. generateTrialBalance now requires an explicit closingEntry mode, which makes that decision a compile error. This guard is what keeps NEW reports on that path: any generator under lib/reports or lib/bokslut that reads journal_entry_lines and is not in the baseline set fails CI. Verified by adding a throwaway report, which the guard rejects by name. Voucher and line listings (general-ledger, journal-register, SIE export, reconciliation, diagnostics) are sanctioned: they show the ledger as posted and have no closingEntry decision to make. Four existing lib/bokslut files are grandfathered rather than migrated. One of them is a genuine open follow-up recorded in DECISIONS.md: sarskild-loneskatt-calculator sums 7410-7419 with no year-end exclusion, so its basis reads ~0 if it runs against an already-closed period. Left alone deliberately: it is a tax figure whose call chain has caused a customer bug before and deserves its own verified change. Also ratchets naive-ore-round down 646 -> 641. Co-Authored-By: Claude Opus 5 <noreply@anthropic.com> * test(reports): pin where sign reclassification applies, in both directions No behaviour change. The sweep asked whether the 1630/2641 sign reclassification should be extended to the remaining balance-sheet surfaces; the answer is that there are none left. Both STATUTORY presentations already have it: the K2 iXBRL årsredovisning since 2026-07-23 and INK2R since 2026-07-29. The other two balance-sheet surfaces must NOT have it: /rapporter Balansräkning and Balansrapport are organised by account number under BAS-prefix headings, and balansrapport documents an invariant that depends on every row staying debit-positive where it was booked. Moving konto 1630 into a liability section would break the add-the-rows-to-verify-the-balance property and hide the account from anyone looking it up by number. Asserting both halves is the point. The first half stops the reclassification silently disappearing from one statutory surface again, which is how a customer ended up comparing two of our own reports against each other. The second half stops a future sweep "fixing" the operational reports into disagreeing with their own documented contract. Co-Authored-By: Claude Opus 5 <noreply@anthropic.com> * feat(reports): detect statement disagreement instead of waiting for a customer Every year-end problem reported so far was a DISAGREEMENT between two of our own screens, not a single wrong screen. The årsredovisning said one figure, INK2 said another, and the customer did the reconciliation for us. Nothing in the product noticed, because each screen tied out on its own. Two additions: INK2R self-checks. On a closed year it compares the årets resultat it is about to declare against the booked konto 2099, and warns in Swedish when they disagree. This is the alarm that was missing: when INK2R reported 0 kr against a booked 469 542 kr, the balance sheet still balanced, so no warning fired. Mirrors the equivalent check k2-mapper has had since 2026-07-23, so both statutory reports now catch the same fault. reconcileStatements + GET /api/reports/statement-reconciliation return årets resultat from every surface side by side, grouped into families. ledger + statutory must agree and a mismatch is named; operational legitimately differs by bokslutsdispositioner + skatt until Stage 2 of #1051 lands, so that gap is explained rather than flagged. The visual panel is deliberately not built here: it needs a /frontend-design pass against the locked concept conventions plus sv/en strings, and the warning above already puts the alarm where the user looks. Co-Authored-By: Claude Opus 5 <noreply@anthropic.com> * fix(reports): address review findings from PR #1293 pg-real (7 failures, one signature): the new fixture called insertFiscalPeriod({ isClosed: true }) and then inserted journal entries into it, so enforce_period_lock (migration 017, legally required) refused the write. Not worked around: the RPC's predicate keys on fiscal_periods.closing_entry_id and never reads is_closed, so the fixture now links the closing entry and leaves the period open, which exercises the path that actually matters. CodeRabbit, closed-year-fixture: EX_YEAR_END_ROWS dropped only the P&L legs of the year_end entries (8811, 8910) and left their balance-sheet legs (2125, 2512) at pre-closing values, so the 'exclude-all-year-end' view sat 160 000 kr out of balance and misrepresented what generateTrialBalance returns. Latent, because today's consumers read class 3-8 only, but a shared fixture that does not balance is a trap for the next consumer. Both legs now go, and a new test asserts all three views sum to zero. CodeRabbit, INK2 totals: renamed totals.resultAfterFinancial to aretsResultat. It holds the result after bokslutsdispositioner AND skatt, which is årets resultat, not resultat efter finansiella poster, and build-data.ts uses the old name correctly for the different subtotal. The UI already labelled the value "Årets resultat", so the name was simply wrong. CodeRabbit, statement-reconciliation: the statutory branch called a generator and caught any throw as "wrong entity type", mapping genuine failures to a null figure that the comparison then skipped, so a real bug in a declaration generator made the function report isReconciled: true. That is the opposite of its purpose. It now dispatches on entity_type and surfaces a generation failure as a named disagreement. CodeRabbit, enable-banking (Emil's call to include): fetchClaimedIbans returned an empty Set on a cash_accounts read failure, which is indistinguishable from "nothing is claimed" and made every IBAN in the session offerable, including accounts another company already books to. Its own comment said it failed closed and its log said "offering nothing"; it failed open. Returns null now, and findReusableSessions offers nothing when the claimed set is unavailable. The test that pinned the fail-open asserted toHaveLength(1) under the name "offers nothing"; it now asserts []. Also removed an em dash per CLAUDE.md. The remaining enable-banking finding (consent-expiry cooldown stamped only on the selected connection, so it leaks one duplicate mail per sibling company) is deliberately left to Emil: it changes email-sending behaviour in his feature rather than fixing a stated contract. Co-Authored-By: Claude Opus 5 <noreply@anthropic.com> * fix(reports): resolve second-round review findings on PR #1293 pg-real, two NEW signatures (the closed-period one from cycle 1 is gone): kpi-report-aggregates-rpc.pg.test.ts asserted the exact contract migration 20260730090000 deliberately changes. Its comment read "year_end entries are NOT excluded from monthly" and expected December expenses 1250. That fixture's December holds only year-end-chain entries, so with the fix the month drops out of the chart entirely, which is the correct operational view: a month whose only activity is bokslut has no operating result. Assertion and file docstring updated to the new contract rather than the test being removed. vat-totals-closing-entry.pg.test.ts passed the wrong account arrays. p_net_ accounts is VAT_SETTLEMENT_NET_ACCOUNTS (2650/1650, the momsredovisning settlement pair), not the output-VAT accounts. Putting 2611 there made the extra year_end entry match the settlement-SHAPE detector, so an ordinary sale-with-VAT was classified a momsredovisning and dropped, and the test read 0 instead of 10 000. The RPC was right; the fixture was not. CodeRabbit, statement-reconciliation: resolveEntityType checked neither query's error, so a genuine DB failure (RLS, permissions, connectivity) returned null indistinguishably from "no entity type set", fell into the unsupported-form branch and reported isReconciled: true. That is the same silent-false-reconciled bug the cycle-1 refactor closed, one level down. The companies error now throws; a missing company_settings ROW stays tolerated, because .single() errors on zero rows and many companies have none. Mirrors the pattern the INK2 and NE engines already use. Still open by Emil's explicit choice: the consent-expiry cooldown is stamped only on the connection it was handed, so it leaks one duplicate mail per sibling company on the shared session. That changes email-sending behaviour in his feature rather than fixing a stated contract, so it stays his. Co-Authored-By: Claude Opus 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> |
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ef25a87d75 |
feat(mcp): Tasks extension (io.modelcontextprotocol/tasks) (#1283)
* feat(mcp): speak spec revision 2026-07-28 (stateless core) Adopt the 2026-07-28 MCP spec revision on the connector endpoint while keeping every handshake-era client (2025-06-18 and earlier) byte-identical: - Accept per-request _meta protocol negotiation (io.modelcontextprotocol/protocolVersion); unsupported versions return UnsupportedProtocolVersionError (-32022) with the supported list. - Implement server/discover (spec MUST): supported revisions, capabilities including the extensions field, identity, instructions, freshness hints. - Decorate results for stateless clients: required resultType, serverInfo in _meta, and CacheableResult ttlMs/cacheScope on tools/list, prompts/list, resources/list, resources/read. - Validate the standard Mcp-Method/Mcp-Name request headers when present (HeaderMismatchError -32020); absence stays accepted. - Declare the ratified MCP Apps extension (io.modelcontextprotocol/ui) in capabilities; the widgets already use the ratified mime type and _meta.ui.resourceUri shape, so no widget changes are needed. - OAuth: include the RFC 9207 iss parameter on every authorization response (success and error) and advertise authorization_response_iss_parameter_supported in RFC 8414 metadata. Resource-not-found already used -32602 and tools/list ordering was already deterministic; both are covered by the new test file. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(mcp): Tasks extension (io.modelcontextprotocol/tasks) Durable handles for long-running MCP tool calls, per the official Tasks extension. A client that declares the extension in its per-request capabilities gets a CreateTaskResult (resultType: "task") immediately; the work completes after the response via after() and lands in the new mcp_tasks table for tasks/get polling. Clients that did not declare the extension are never handed a task (spec MUST). - New mcp_tasks table (migration 20260729094000): company-scoped SELECT RLS, service-role-only writes (mirrors pending_operations), 1-hour expiry, status lifecycle CHECK. pg-real coverage included; triaged as excluded in the full-archive backup contract (transient state). - tasks/get (creator-scoped), tasks/cancel (cooperative, working-only flip), tasks/update (ack no-op: no input_required flows yet). - Tool opt-in via shouldRunAsTask predicate; first producer is gnubok_audit_package, the one genuinely long-running blocking call (multi-minute ZIP generation). estimate_only stays synchronous. - Tool failures complete the task with the standard isError envelope, exactly what the synchronous call would have returned; the failed status stays reserved for infrastructure errors. - server/discover and initialize now advertise the tasks extension. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(mcp): creator-only task RLS, enforced expiry sweep, RoPA entry Compliance-swarm follow-ups on the mcp_tasks migration (editing the migration is safe: it has not shipped beyond the ephemeral PR preview): - SELECT RLS tightened from company-wide to auth.uid() = user_id so the DB grant matches the creator-scoped tasks/get contract; task results carry raw tool output (Art. 5(1)(c)). pg test now proves a same-company colleague cannot read the row. - The 1-hour retention is now enforced, not aspirational: createMcpTask opportunistically deletes expired rows on every creation (idx_mcp_tasks_expires), best-effort (Art. 5(1)(e)). - RoPA entry mcp.async_task_handles added to .compliance/ropa.yaml (Art. 30). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(mcp): literal terminal-update payload for the phantom-column guard The conditional spreads in resolveMcpTask made the payload unresolvable for the no-phantom-columns guard (362 > 360 ceiling). A literal payload writing null for absent terminal fields is equivalent here: the terminal transition sets the complete terminal state. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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222e581476 |
feat(categorize): dimension bags end-to-end + runtime template learning (#1273)
* feat(categorize): dimension bags end-to-end + runtime template learning The categorize path could not tag: categorize-core accepted a dimensions bag but no route or UI ever passed one, and runtime template learning dropped the bag entirely (only SIE import produced dimension-carrying patterns). - CategorizeTransactionSchema gains dimensions; the dashboard route, v1 single and v1 batch-categorize apply it to the mapping result's business lines (explicit bag wins over a learned counterparty bag). - categorization_templates.default_dimensions (migration 20260728091000) records the bag of the latest tagged booking; latest-explicit-wins, an untagged booking never erases it. Applied on the legacy single-line template path and the mirrored-refund path; multi-line SIE patterns keep their authoritative per-entry bags. - QuickReviewDialog gets a LineDimensionFields picker (dimensions_enabled gate, same as BulkBookDialog), prefilled from the counterparty suggestion's learned bag; hidden for multi-line patterns whose per-line bags would ignore an edit. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * Renumber migration above 20260728120000 (out-of-order vs prod after #1271) Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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951b33363b |
feat(recurring): carry dimension bags on recurring invoice schedules (#1272)
Schedules and their template items now store {sie_dim_no: code} bags
(default_dimensions / dimensions), and the cron generator copies them
onto every spawned invoice + item, so recurring invoices book with the
same projekt/kostnadsstalle tags a manual invoice would. Wired through
the web CRUD routes, the staged-operation executors, and the MCP
create/update/list schedule tools (resolve-don't-select, resolutions
echoed in the preview).
Migration 20260728090000 adds the two jsonb columns (same shape+CHECK
as invoices/invoice_items, PR7 producer parity).
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
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65c6d4c178 |
Fix/07 27 (#1271)
* fix(enable-banking): keep bank account mappings across reconnects and surface dead sessions A PSD2 reconnect silently moved the user's ledger mapping. Account identity came from the provider's account uid, which does not survive a re-authorization at every ASPSP, and a fresh connect to an already-connected bank mints a new bank_connections row regardless. Both paths looked like "an account we have never seen", so the allocator handed out the next free 19xx slot and a 1930/1940/1941 mapping came back as 1942-1946 on every consent renewal, roughly quarterly per connection. Match on the IBAN instead. resolvePsd2LedgerAccount() finds the existing cash_accounts row by normalized IBAN before allocating, and upsertFromPsd2 promotes that row in place rather than inserting a second one, so it keeps its id and its linked transactions and is re-pointed at the connection that just authorized. The previous holder's connection status is deliberately ignored: one IBAN is one physical account, and the old row often still reads 'active' because the bank killed the session without telling us. The allocator also stopped treating a 19xx number as free just because no cash_accounts row holds it. A chart imported from SIE carries the company's real bank accounts by name with no PSD2 row behind them, which is how a SEK company account got proposed as an unrelated brokerage account. Overflow now skips chart-occupied numbers, falling back only when nothing unnamed is left. Dead connections kept rendering as "Aktiv": status only ever changed when a transaction fetch failed, so a session killed bank-side stayed healthy-looking with a stale last_synced_at while the user read old balances as current. Add probeSessionHealth() and run it in the daily cron over every connection that run did not prove alive, including the ones the loop skips silently (capability gate, all accounts deselected) and the ones parked in pending_selection that the cron never looked at. It acts only on a definite dead answer; anything ambiguous leaves the row alone, since a wrong flip costs a full BankID re-authorization. The all-accounts-deselected branch is reclassified 'synced' to 'skipped' for the same reason: it never contacts the bank, so it must not count as proof of life. The settings row warns when an active connection has not synced in three days or has never synced. Which company a connection belongs to was invisible. Everything was already scoped to ctx.companyId, so there was no cross-tenant leak, but a bank authorized while the wrong company was active looked identical to the right one. Name the company on the connect surface and in the account picker, and say where the connection went when the callback lands under a different active company. Warn (bypassably) before authorizing a bank where the same user already holds live connections in other companies: several ASPSPs allow one active AIS session per login, so the new authorization can kill the others. The history start date already defaulted to the fiscal-year start; the card above it recommended a mid-year date and contradicted the selected option. It now states the fact and offers the shortcut without presenting it as advice. Not addressed: sharing one PSD2 session across companies. company_id is the tenancy anchor on bank_connections and cash_accounts hangs off (company_id, bank_connection_id), so that needs the session to become its own entity. See DECISIONS.md. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(supplier-invoices): show the posted line description in the voucher preview The "Verifikation som bokförs" preview built its expense debit lines with description set to the raw account number, so the BESKRIVNING column showed "5615" or "6990" where the posted verifikat actually says "Leverantörsfaktura 123, ACME AB". A hardcoded 11-entry ACCOUNT_LABELS map masked this for 2440/2641/26xx, which is why the column read as a mix of friendly labels and bare account numbers, neither of which was the posted text. The preview now renders exactly the line_description the engine writes: the shared invoice-level text on expense lines and 2440, "Ingående moms {rate}% {desc}" on 2641, and the reverse-charge pair taken straight from generateReverseChargeLines instead of being re-derived locally. buildSupplierDescription moves into its own dependency-free module so the client-side preview can call it without pulling the journal engine (and its Supabase server client) into the browser bundle. The account name stays reachable on the AccountNumber hover card. Picked option A from the issue, keeping the fixed invoice-level description rather than propagating each item's own text: the customer-invoice side already writes invoice-level descriptions, so per-item text would create an inconsistency between the two invoice sides rather than remove one, and it would need an aggregation-collision policy in the journal engine. Rationale recorded in DECISIONS.md. Refs #1258 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(bookkeeping): restore the copy icon on verifikat rows The row-language rewrite in #1123 reused the copy icon's slot for the new expand toggle, removing the zero-click copy affordance from the bookkeeping list without mentioning it. The leftover orphaned copy_voucher_tooltip key in both message files is what identifies it as collateral rather than a product decision. Restore a copy icon in the row's right-edge action cell, reusing that key for aria-label and title. stopPropagation keeps the click off the row's expand toggle. The icon is hover-revealed on md+ and always visible below it: #1123 collapsed the desktop table and the mobile card into one responsive table, so hover-only would leave touch users with nothing. Copy is no longer gated on posted. The copy_from handler and the GET journal-entries route never looked at status, so copying a draft already worked end-to-end and only the detail-page button hid it; the two list surfaces were already ungated. Both list affordances now respect canWrite, which previously dropped read-only users into a dialog they could not submit. The repo does not render components in tests, which is why #1123 removed this silently. Pin the source shape instead, the same way the copy-invoice query is pinned. Closes #1266 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(transactions): revalidate stale invoice match pointers before offering a match potential_invoice_id / potential_supplier_invoice_id are written once, at bank import, and never revisited. When one of several identical recurring invoices was settled by a different transaction, every other transaction kept pointing at the now fully paid invoice. The match dialog then measured the bank amount against a 0 kr remaining balance and reported a "Beloppen skiljer sig ... fakturan blir delbetald" partial payment, and the worklist offered the same dead suggestion as a one-click confirm row. Worse, the manual escape hatch was hidden exactly when it was needed: TransactionInboxCard only shows "Matcha mot leverantörsfaktura" when no suggestion exists, so a stale pointer left the user with no way at all to reach the correct invoice. Fixed by revalidating at read time rather than by clearing sibling pointers on settle. Invoices are settled through many paths (both match routes, mark-paid, MCP, bank reconciliation, SIE import), so write-time cleanup leaks the moment one is missed, while the candidate lookup covers every route into the list. The shared accept-lists in lib/invoices/matchable-statuses.ts mirror the CAS guards the match routes already enforce. - listSuggestedMatches and the transactions page candidate fetch filter on status + remaining_amount, so a settled candidate yields no suggestion and the manual picker reappears on its own. - InvoiceMatchDialog blocks a settled target with a distinct message and a disabled confirm. Not advisory: both routes reject it outright with MATCH_INVOICE_ALREADY_PAID / MATCH_SI_ALREADY_PAID, so no override could succeed. - The supplier detail card now shows remaining_amount like the customer branch, instead of total. On a partially paid invoice it used to print "1 250 kr" directly beside "Differens: 1 250 kr". - match-supplier-invoice clears potential_supplier_invoice_id on the transaction it just matched, mirroring the customer route. No bookkeeping was ever at risk: both routes already refused a settled target before creating a voucher. The damage was confined to a misleading dialog and a dead end. createQueuedMockSupabase gains passive call recording (calls / findCall / findCalls) because the proxy swallowed filter and update arguments, which made the new assertions inexpressible. Refs #1259, #1260 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * feat(webhooks): dispatch on emit instead of waiting for the next cron tick (#1256) * feat(webhooks): dispatch on emit instead of waiting for the next cron tick The webhook dispatcher ran only on a per-minute cron, so the floor on delivery latency was up to 60 seconds plus the request. An external consumer that wanted to react as a transaction landed had only one alternative: polling /api/events, which the 100 rpm per-key limit makes expensive and which still cannot beat the tick interval. Schedules one dispatch cycle as soon as deliveries are enqueued. The cron is unchanged and remains the retry and sweep path; this only moves the first attempt forward. Wired into the event-bus fanout plus the two routes that enqueue a delivery directly: the :test verb, whose entire purpose is telling someone whether their receiver works, and the manual delivery retry. Three properties are load-bearing and covered by tests. The kick is never awaited, because eventBus.emit is awaited at ~99 call sites including journal_entry.committed and each delivery can burn a 10 s receiver timeout. It coalesces per function instance, so a bulk booking that emits once per row does not schedule one claim round trip per row. It claims 5 rows rather than the cron's 50, because it runs on the tail of a user-facing request. Double delivery is not a risk: claim_due_webhook_deliveries already claims FOR UPDATE SKIP LOCKED and flips rows to in_flight in the same statement, so a kick racing the cron sees disjoint rows. Does not close #1201, which asks for a realtime stream for API consumers. This is the cheap half. Refs #1201 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * docs(webhooks): stop claiming the kick makes double delivery impossible Adversarial review of the previous commit caught an overstatement in its own comments. SKIP LOCKED keeps a kick and the cron from claiming the same row at the same moment, but claim_due_webhook_deliveries autocommits before any POST is issued, so from then on ownership is only status='in_flight' and a later cycle's recoverStuckInFlight sweep can re-arm a row still queued behind an earlier cycle's serial loop. Delivery is at-least-once, which is what the public docs already tell receivers ("the same delivery id may arrive more than once ... idempotency is on you"). The comments contradicted that. No behaviour change. The kick does not create this window: the cron claims 50 rows serially against the same 20 s stuck threshold, which is wider than what a batch of 5 can open. Refs #1201 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(bokslut): add bokslut-flow depreciation (78xx) back to the bolagsskatt base (#1253) * fix(bokslut): add bokslut-flow depreciation (78xx) back to the bolagsskatt base sumPostedYearEndDispositions reconstructs resultat fore skatt for the tax calculation, because generateIncomeStatement excludes every source_type='year_end' entry. It summed class 88 and 7533 but not 78xx, so planenlig avskrivning posted by the bokslut flow (lib/bokslut/assets/depreciation-engine.ts) was dropped from the income statement and never added back. The bolagsskatt base and the periodiseringsfond 25 % cap were therefore computed on an overstated result: tax too high by roughly 20.6 % of the depreciation. Also exclude the period's final bokslutsverifikation from the fetch. It carries source_type='year_end' as well and reverses every P&L account, 78xx/88xx/7533 included (verified against production closing entries), so once the year is closed it would cancel the add-back this function exists to produce. That hazard already applied to 88xx and 7533; the fix closes it for all three rather than widening it. Scope is deliberately the tax base only. Making the standalone resultatrakning show bokslut entries is a separate, larger change: the same exclusion is duplicated in the kpi_report_aggregates RPC, it moves displayed profit for every company that ran the bokslut flow, and it means removing the add-back at four call sites. Refs #1051 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(bokslut): scope the closing-entry lookup to the company and fail loudly Review (CodeRabbit + the compliance swarm, ASVS V8.2.1) flagged the new fiscal_periods read in sumPostedYearEndDispositions on two counts, both fair. It filtered only on the period id while every sibling query in the same function carries the tenant scope. Primary key or not, service-role paths have no RLS to fall back on and the repo's rule is to filter company_id explicitly, so it now does. It also discarded the query error. That mattered more than it looks: a failed read fell through to closingEntryId = null, which silently re-admits the closing verifikat's 78xx/88xx reversals and understates the tax base, i.e. exactly the failure this lookup was added to prevent. It now throws, and the surrounding catch turns it into the existing 'Failed to read posted dispositions' error. A wrong bolagsskatt is worse than a loud failure. Two regression tests: the lookup carries both eq filters, and a lookup failure propagates instead of degrading to a wrong number. Refs #1051 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(storage): drop the client-side DELETE policy on the documents bucket (#1254) * fix(storage): drop the client-side DELETE policy on the documents bucket 20240101000024 documents this bucket as WORM: "No UPDATE or DELETE policies". That described the repo, not production. Production carries a users_delete_own_documents policy that exists in no migration file: FOR DELETE TO authenticated USING (bucket_id = 'documents' AND (storage.foldername(name))[2] = auth.uid()::text) Under it, the uploading user can delete the storage bytes of any document they uploaded under the legacy documents/{userId}/... layout, using nothing but their normal browser token. That includes documents linked to a posted verifikat, which are rakenskapsinformation under the BFL 7 kap 2 § seven-year retention duty. deleteDocument()'s linked-check and the block_document_deletion() trigger both guard the document_attachments ROW, not the object: the row survives, still pointing at a file that is gone. Reproduced against a local replay of the full migration stream: with the policy present the uploader's own DELETE removes the object; with it dropped the same statement matches zero rows. Company-scoped keys were never exposed (their second path segment is the company id, not auth.uid()), so this only ever reached the legacy layout, which is where most documents still live. Safe because every in-app remove() on this bucket already runs on the service role, covered by service_role_all_documents. Deliberately narrow: users_read_own_documents and users_upload_own_documents stay. The Phase B backfill from 20260726092000 has not run, so dropping the legacy SELECT policy now would make existing documents unreadable. That is Phase C. The pg-real test asserts no DELETE and no UPDATE policy over the bucket under ANY name: the hole arrived under a name this repo never used, so pinning a name would not have caught it. Refs #1208 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * test(storage): make the WORM ratchet see FOR ALL and WITH CHECK policies Review caught two blind spots in the ratchet, both fair. It matched only polcmd 'd' and 'w', but polcmd '*' (FOR ALL) grants DELETE and UPDATE just as effectively, and FOR ALL is the shape the one legitimate policy on this table already uses, so a hostile one would look unremarkable in the catalogue. It also read only polqual, so an UPDATE policy carrying its bucket restriction in WITH CHECK was invisible. Both assertions now run through one helper that covers d/w/*, concatenates USING and WITH CHECK, and filters by grantee so service_role_all_documents (how the application does its authorized deletes) is excluded while every client-reachable role is not. A policy granted to PUBLIC has an empty polroles, which is the most permissive case there is, so it is treated as client-reachable rather than as "no roles". Matching on the substring rather than the exact `bucket_id = 'documents'` shape pg_get_expr emits today: a policy written as bucket_id::text or with the comparison reversed would slip past a stricter match, and for a WORM ratchet a false alarm is cheap while a silent hole is not. Adds a probe case that creates a FOR ALL policy and asserts the helper sees it, so the main assertion cannot pass vacuously. That case earned its keep immediately: it caught that node-postgres hands back a raw string for a name[] column, so the role filter needed rolname::text to work at all. Verified against a local replay of the full migration stream: red with the original prod FOR DELETE policy present, red with a FOR ALL probe, green without either. Full pg-real suite 933 passed. Refs #1208 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * test(storage): catch a destructive policy that names no bucket at all Adversarial review of the previous commit found the ratchet still failed open, and reproduced it: a policy with no bucket_id predicate covers EVERY bucket, documents included, so gating on the bucket name discarded exactly the widest hole. The concrete shape is Supabase's own stock "Enable delete for users based on user_id" template, USING (auth.uid() = owner), which is the single most likely form of a future dashboard edit. A destructive policy is now in scope unless it provably cannot reach this bucket, i.e. only a bucket_id predicate naming some other bucket exempts it. The behavioural assertions had the matching blind spot: fixtures were seeded without an owner, so an owner-based policy matched NULL and the DELETE reported 0 rows for the wrong reason. Objects now carry an owner the way storage-api stamps them in production, so those tests fail loudly instead of passing by accident. Two probes pin both directions: a bucketless policy must be reported (and is shown to really permit the delete), and a policy scoped to another bucket must not be, so the ratchet cannot start crying wolf on receipts or sie-files and get switched off. Verified against a local replay of the full migration stream: red with the stock bucketless template installed, green without it. Full pg-real suite 935 passed. Refs #1208 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(kontoplan): make a deactivated account reachable again (#1262) is_active=false read as "does not exist" on every read path but as "exists" on the (company_id, account_number) unique constraint, so a deactivated account vanished from the kontoplan with no way back and re-creating it answered "Kontonummer X finns redan i din kontoplan." The write side was already correct: POST /accounts/activate has a toReactivate branch and PUT /accounts/[number] accepts is_active:true. Both were simply unreachable, so this opens routes to them rather than relaxing the read filters, which are load-bearing for AccountsNotInChartError. - Kontoplan gets a "Visa inaktiva" filter; inactive rows carry an "Inaktiv" chip and the existing per-row switch reactivates them in one click. - Deactivating an account that has posted lines now warns first, using the usage count already loaded for the Verifikat column. - POST /accounts distinguishes the two collisions and returns the new ACCOUNT_EXISTS_INACTIVE code; AddAccountDialog offers "Aktivera kontot istallet" rather than a dead-end 409. The stored account is left exactly as it was; values typed into the failed create form are not applied. - bas-lookup consults the company's own chart before the static BAS reference, so a deactivated custom account reads as known and "Aktivera och bokfor" is no longer disabled for it. New in_chart / is_active fields let callers tell "will be added" from "will be revived". - BAS-katalog stops showing "Aktiverat" for an account the company holds but has deactivated; it falls through to a relabelled Aktivera button, and the per-class counts follow. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(supplier-invoices): flag foreign 0 % lines with reverse charge switched off (#1255) * fix(supplier-invoices): flag foreign 0 % lines with reverse charge switched off A foreign supplier charging no Swedish VAT is normally omvand skattskyldighet. With the reverse-charge switch off, createSupplierInvoiceRegistrationEntry emits neither the 26x4 output leg nor the 44xx/45xx basis lines, so ruta 20-24, 30-32 and 48 all stay empty and the momsdeklaration takes a shape Skatteverket rejects. For a fully deductible purchase the net moms att betala is unchanged, which is exactly why this goes unnoticed. The form already auto-ticks reverse charge for eu_business but not for non_eu_business, so that path slips through silently. Adds a pure helper plus a non-blocking banner cloned from the existing rc_account_warning block. Deliberately silent for swedish_business, where 0 % is a genuine exemption that belongs in no ruta at all, and phrased as a question rather than an assertion: a non-EU goods purchase cleared at customs is legitimately 0 % without reverse charge, and pushing that user into ticking the switch would manufacture a new wrong verifikat. Does not add the exempt/import/other picker the issue proposes: supplier_invoices.vat_treatment is metadata that no booking or ruta mapping reads, and the codebase cannot book import VAT at all, so an import option would imply ruta 50/60 were handled when they are not. Refs #1042 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(supplier-invoices): name the local-VAT case in the foreign 0 % hint Review flagged that the most common foreign document a Swedish small company sees is an invoice carrying the supplier's OWN local VAT, booked at 0 % Swedish VAT with reverse charge correctly off. The banner fires there, and the previous copy only offered "momsfri av annat skal, till exempel en varuimport" as the way out, which does not describe that invoice at all: it is not VAT-free, it carries foreign VAT. Names both legitimate cases explicitly and says 0 % is correct in them, so the hint cannot read as an instruction to tick reverse charge on a purchase where that would produce a wrong verifikat. Title also narrowed to "utan svensk moms" for the same reason. Refs #1042 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> * feat(sandbox): call the sandbox assistant Assistenten, not Anna (#1244) A named persona earns its name once someone has been through onboarding and chosen it: it is their assistant and they named it. Nobody in the sandbox chose anything, so a first name reads as a character the product invented and implies a relationship the visitor never opted into. Both halves move together, which is the point. profile_summary is the agent's own self-description inside the system prompt, so leaving it as "Du är Anna" would have the header say one thing while the assistant introduces itself as another in its first sentence. Nothing else in the stack checks that pairing, so a test now does. Scope: this changes the seed, so new sandbox companies get the new name. The 483 sandbox profiles already seeded keep 'Anna' (the seeder returns early once a profile exists, and its caller only runs while verified_at is null). Backfilling those is a production write on demo data and is being raised separately rather than smuggled into a code change. Co-authored-by: Claude Opus 5 <noreply@anthropic.com> * feat(reports): show the last posted voucher per series in report headers Adds a "Senaste bokforda verifikat: A 214, B 37" line to the balans- and resultatrapport, so a printed or exported report answers which vouchers are actually in it rather than only which dates it spans (#1267). Reads MAX(voucher_number) over posted entries, never voucher_sequences.last_number. The sequence counter is an allocation high-water mark that drifts from the books in both directions: next_voucher_number burns a number when the follow-up insert fails, delete_last_voucher decrements by one instead of resetting to the new MAX, and pre-RPC SIE imports left it behind. Since the point of the line is avstamning, an allocated number would send a reconciler chasing a gap that does not exist, so the label says plainly that the number is the posted one. Scoped to the report own date range, so a Q1 report printed in November says something true about Q1. The balansrapport keeps the fiscal-year start as its lower bound because it accumulates. Skipped on a dimension-filtered resultatrapport: that report already discloses it is partial, and an unfiltered voucher range beside a filtered result invites the wrong conclusion. Populated in both engines, so the JSON, PDF and XLSX routes all inherit it without signature changes. Best-effort: a header nicety never breaks a report. The pure formatter lives in its own module so the client view does not pull the Supabase query path into the browser bundle. No new i18n keys; both report views and the PDF template are hard-coded Swedish per the "stays Swedish" report surfaces in .claude/rules/i18n.md. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(customers): stop rendering personnummer ciphertext, make unreadable rows editable, add a reveal path (#1263) customers.personal_number holds AES-256-GCM ciphertext (20260726110000). Three defects compounded into one broken surface for private customers. The list queried Supabase from the browser with select('*') and rendered the raw value, 76-82 chars of hex, into the nowrap identifier cell. It now reads GET /api/customers, which already masks every row, so the ciphertext never leaves the server. Searching by personnummer works again: the client filter had been matching against ciphertext and could never hit. A row whose value cannot be decrypted renders as the placeholder '********-????'. None of the three mask checks recognised it, each having its own '-1234'-only copy, so such a customer could not be edited in ANY field: name and address edits 400'd on a personnummer the user had no way to correct. All three now share one pattern from the new crypto-free lib/customers/mask-personal-number.ts, which the client form can import. Typing a fresh personnummer overwrites the unreadable value, which is the only repair possible: the rejected writes failed whole INSERTs, so there is nothing to backfill. The value was write-only by construction. GET /api/customers/{id}/personal-number is the deliberate drill-in, mirroring the employee convention, gated on the write role because .compliance/ropa.yaml listed no_full_value_read_endpoint as a safeguard for this column; that entry is rewritten rather than left stale, and reveals log actor and customer id but never the value. Also: arcim-migration wrote the identity number as plaintext, which aborts any import containing a Privatperson with 23514 since the constraint flip; and the customer embeds on /api/invoices shipped ciphertext to the browser on every invoice read. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * feat: enhance ruta 05 handling for dynamic revenue accounts - Introduced `fetchDynamicRuta05Accounts` to fetch company-specific revenue accounts marked with a VAT rate, addressing issue #1261. - Updated VAT declaration logic to include these dynamic accounts in ruta 05 calculations, ensuring accurate reporting for user-added accounts. - Modified `ACCOUNT_RUTA` to include account 3000 for completeness in ruta 05. - Enhanced tests to validate the inclusion of user-added revenue accounts in ruta 05 and ensure correct VAT calculations. - Seeded default VAT rates for BAS revenue accounts to ensure proper classification in the VAT declaration. * fix: enhance data handling and masking in customer and invoice APIs * fix(vat): resolve the 3000 gruppkonto's rate for the ruta 05 base split 3000 "Forsaljning inom Sverige" is mapped to ruta05 by ACCOUNT_RUTA, so a balance on it is filed in the right box already. What was missing is the rate split: unlike 3001/3002/3003 the account number carries no sats, and fetchDynamicRuta05Accounts skipped it because it is in ACCOUNT_TO_BOX. A company posting to the gruppkonto therefore got a ruta 05 total that breakdown.invoices.base25/12/6 did not add up to. Surface those rates separately as staticRateByAccount: rate-only on purpose, because the static map already sums the account and adding it to the dynamic account list would double the filed figure. A test pins that single-count property. Also add 3000 to the MCP server's RUTA_05_ACCOUNTS, which is the display list behind report.rutor.ruta05: without it a 3000 balance appeared in the filed projection but not in the report the agent reads back. The comment claiming SALES_OUTPUT_VAT_SHORTFALL reads base25/12/6 was wrong and is corrected. That check derives its expected base from the output-VAT rutor (ruta10/0.25 + ruta11/0.12 + ruta12/0.06); nothing reads the per-rate bases, which are reporting metadata. So the incomplete split never affected a filed return or a warning, only the breakdown. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> Co-authored-by: Jakob Wennberg <149234542+jakobwennberg@users.noreply.github.com> |
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ece6eca922 |
fix(storage): drop the client-side DELETE policy on the documents bucket (#1254)
* fix(storage): drop the client-side DELETE policy on the documents bucket
20240101000024 documents this bucket as WORM: "No UPDATE or DELETE policies".
That described the repo, not production. Production carries a
users_delete_own_documents policy that exists in no migration file:
FOR DELETE TO authenticated
USING (bucket_id = 'documents'
AND (storage.foldername(name))[2] = auth.uid()::text)
Under it, the uploading user can delete the storage bytes of any document
they uploaded under the legacy documents/{userId}/... layout, using nothing
but their normal browser token. That includes documents linked to a posted
verifikat, which are rakenskapsinformation under the BFL 7 kap 2 § seven-year
retention duty. deleteDocument()'s linked-check and the
block_document_deletion() trigger both guard the document_attachments ROW,
not the object: the row survives, still pointing at a file that is gone.
Reproduced against a local replay of the full migration stream: with the
policy present the uploader's own DELETE removes the object; with it dropped
the same statement matches zero rows. Company-scoped keys were never exposed
(their second path segment is the company id, not auth.uid()), so this only
ever reached the legacy layout, which is where most documents still live.
Safe because every in-app remove() on this bucket already runs on the service
role, covered by service_role_all_documents.
Deliberately narrow: users_read_own_documents and users_upload_own_documents
stay. The Phase B backfill from 20260726092000 has not run, so dropping the
legacy SELECT policy now would make existing documents unreadable. That is
Phase C.
The pg-real test asserts no DELETE and no UPDATE policy over the bucket under
ANY name: the hole arrived under a name this repo never used, so pinning a
name would not have caught it.
Refs #1208
Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com>
* test(storage): make the WORM ratchet see FOR ALL and WITH CHECK policies
Review caught two blind spots in the ratchet, both fair. It matched only
polcmd 'd' and 'w', but polcmd '*' (FOR ALL) grants DELETE and UPDATE just as
effectively, and FOR ALL is the shape the one legitimate policy on this table
already uses, so a hostile one would look unremarkable in the catalogue. It
also read only polqual, so an UPDATE policy carrying its bucket restriction in
WITH CHECK was invisible.
Both assertions now run through one helper that covers d/w/*, concatenates
USING and WITH CHECK, and filters by grantee so service_role_all_documents
(how the application does its authorized deletes) is excluded while every
client-reachable role is not. A policy granted to PUBLIC has an empty
polroles, which is the most permissive case there is, so it is treated as
client-reachable rather than as "no roles".
Matching on the substring rather than the exact `bucket_id = 'documents'`
shape pg_get_expr emits today: a policy written as bucket_id::text or with the
comparison reversed would slip past a stricter match, and for a WORM ratchet a
false alarm is cheap while a silent hole is not.
Adds a probe case that creates a FOR ALL policy and asserts the helper sees
it, so the main assertion cannot pass vacuously. That case earned its keep
immediately: it caught that node-postgres hands back a raw string for a name[]
column, so the role filter needed rolname::text to work at all.
Verified against a local replay of the full migration stream: red with the
original prod FOR DELETE policy present, red with a FOR ALL probe, green
without either. Full pg-real suite 933 passed.
Refs #1208
Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com>
* test(storage): catch a destructive policy that names no bucket at all
Adversarial review of the previous commit found the ratchet still failed
open, and reproduced it: a policy with no bucket_id predicate covers EVERY
bucket, documents included, so gating on the bucket name discarded exactly
the widest hole. The concrete shape is Supabase's own stock "Enable delete for
users based on user_id" template, USING (auth.uid() = owner), which is the
single most likely form of a future dashboard edit.
A destructive policy is now in scope unless it provably cannot reach this
bucket, i.e. only a bucket_id predicate naming some other bucket exempts it.
The behavioural assertions had the matching blind spot: fixtures were seeded
without an owner, so an owner-based policy matched NULL and the DELETE
reported 0 rows for the wrong reason. Objects now carry an owner the way
storage-api stamps them in production, so those tests fail loudly instead of
passing by accident.
Two probes pin both directions: a bucketless policy must be reported (and is
shown to really permit the delete), and a policy scoped to another bucket must
not be, so the ratchet cannot start crying wolf on receipts or sie-files and
get switched off.
Verified against a local replay of the full migration stream: red with the
stock bucketless template installed, green without it. Full pg-real suite 935
passed.
Refs #1208
Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com>
---------
Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com>
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69c537fd1f |
fix(documents): anchor floating supplier-invoice underlag instead of nagging (#1248)
A verifikat booked from a supplier invoice showed the invoice PDF when opened while the list kept warning "Underlag saknas" on the same row. Both surfaces behaved as written: every missing-underlag surface only accepts a referenced supplier-invoice document when it is ANCHORED to a journal entry (only anchored docs sit behind block_document_deletion), while the verifikat view's reference resolver displayed the document regardless. The document was floating because delete_last_voucher clears journal_entry_id on everything attached to the voucher it tears down (the FK is ON DELETE RESTRICT, so it must). Deleting a rättelse the invoice PDF had been relinked onto therefore orphaned it while the payment verifikat stayed posted, and nothing ever anchored it again: the warning was unresolvable by design. Same class one surface over: v1 mark-paid never linked the document at all, dashboard mark-paid only did so for the cash entry, and both match-supplier-invoice routes propagated the transaction's document but not the invoice's own. Four of the five affected prod rows come from those paths, not from a deleted voucher. - lib/core/documents/supplier-invoice-underlag.ts: anchor a floating document to the invoice's own posted verifikat (registration, then payment, then partial payments; open unlocked periods only). Never moves an anchored doc, never throws. - Called after delete_last_voucher and from all four payment paths. - getJournalEntryUnderlagReferences withholds an unanchored document so the verifikat view and the warning can no longer contradict each other. - Migration 20260727180000 backfills the rows already in this state. Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> |
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ff205951b1 |
fix(auth): store BankID personnummer ciphertext as raw bytea, not JSON-serialized Buffer (#1233)
Both writers of bankid_identities.personal_number_enc passed a raw Buffer
to supabase-js, which PostgREST serializes as JSON: every row stored the
literal text {"type":"Buffer","data":[...]} instead of iv|tag|ciphertext
bytes, so decryptPersonalNumber could never have read them (issue #1232).
- encryptPersonalNumberForStorage(): hex-encode for PostgREST bytea input
- decryptStoredPersonalNumber(): tolerant decode (raw bytea read-back,
legacy JSON-Buffer text, Buffer, serialized object)
- migration 20260727170000 rewrites existing rows to raw bytes; prefix
guard keeps it idempotent and skips already-raw rows. Conversion SQL
verified read-only against prod: converted bytes decrypt with the live
key (GCM tag valid, 12-digit result).
Closes #1232
Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
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df29817826 |
fix(supplier-invoices): make the 'overdue' label two-way and stop it locking an invoice (#1227)
* fix(supplier-invoices): make the 'overdue' label two-way and stop it locking an invoice The daily cron flips unbooked payables past their due date to 'overdue' but nothing ever flipped them back, so aging alone pushed an invoice out of every workflow that gated on 'registered': it could not be edited (not even to extend the due date that made it overdue) and it could not be attested. Deletion was already unblocked in #1204; this closes the rest of #1206. - update_overdue_supplier_invoices() gains the inverse branch: a payable whose due date is no longer in the past returns to its resting status. Because the flip collapses 'registered' and 'approved', the un-flip needs a separate attest marker: new supplier_invoices.approved_at, backfilled from updated_at for rows currently sitting in 'approved'. - PUT /api/supplier-invoices/[id] accepts every unsettled status and recomputes the label from the due date it writes, in both directions, instead of leaving it up to a day stale. The update body carries metadata only (numbers, dates, reference, notes), never amounts or accounts, so a posted registration verifikat cannot be desynced by money. - Approve (web route, v1 API, MCP staging tool, staged commit executor) keys off approved_at instead of status === 'registered', so an aged invoice can still be attested. A still-late invoice keeps the 'overdue' label after attest: approving is not a reason to hide that the money is late. - One shared predicate in lib/supplier-invoices/lifecycle.ts for all five call sites, mirroring the SQL; new SI_EDIT_INVALID_STATUS replaces the raw Swedish string the edit gate used to return. Tests: 12 pg-real cases on the cron (5 new, covering both directions and the credit-note/fully-paid boundaries), plus route tests asserting the exact written payload for PUT and approve, and unit tests pinning the shared predicate against the SQL. npm test (11385), lint, check:guards clean. Closes #1206 Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * docs(migration): mark backfilled approved_at values as derived, not audit facts Compliance review on #1227 flagged that approved_at = updated_at could later be mistaken for an observed attestation moment (BFNAR 2013:2 kap 8 behandlingshistorik). The column comment and the migration now state plainly that pre-migration values are derived and that audit_log, written by the audit_supplier_invoices trigger, remains the record of what happened. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(supplier-invoices): guard the derived status writes with compare-and-swap Review findings on #1227. The status these paths write is derived from facts read a moment earlier, so an unconditional write could overwrite a concurrent cron flip, edit or approval with a label computed from what those changed. - PUT pins status, due_date and approved_at when (and only when) it derives a new status; zero matched rows is now a retryable 409 SI_EDIT_CONFLICT instead of a silently stale label. Metadata-only updates keep writing unconditionally: they never touch status, so they cannot clobber it. - The web approve route and the staged-commit executor gain the same pre-approval guard the v1 route already had (status in registered/overdue, approved_at IS NULL) plus a !data race check, so two concurrent approvals can no longer both stamp approved_at and both emit supplier_invoice.approved. - The v1 guard additionally pins due_date, since nextStatus is derived from it. - The list page no longer invents status/approved_at when the approve response is incomplete: it re-reads instead. An operator about to pay must not be shown a fabricated lifecycle state. - route.overdue.test.ts clears the module-level event bus like its sibling. Tests: new conflict cases for both paths (409 on PUT, refusal without an event emission on approve). npm test 11387 passed, lint 0 errors, check:guards clean, 12 pg-real cases green. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> |
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f3eacb436d |
Fix/articles (#1216)
* fix(security): gate replace_sie_import behind owner/admin membership The RPC was SECURITY DEFINER with EXECUTE granted to PUBLIC and anon, no company_members lookup, no auth.uid() reference and no unauthorized raise, while setting gnubok.allow_delete to disarm the BFL immutability and retention triggers. Any caller holding a company_id and an import id could hard delete another tenant's verifikationer. Confirmed live in production. Applies the same fail closed owner/admin guard that undo_sie_import already carries (migration 20260624120000), resolving the actor from COALESCE(p_user_id, auth.uid()) so it denies when the role is NULL, then revokes EXECUTE from PUBLIC and anon. search_path and the raised statement_timeout are restated, since CREATE OR REPLACE drops settings that are not repeated. userId is a required parameter on replaceSIEImport: the service client has a NULL auth.uid(), so a caller without an explicit actor now fails to compile rather than hitting the closed gate at runtime. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(security): validate arcim OAuth callback state server side The callback route is skipAuth and decoded the state parameter as plain base64url JSON, trusting consentId and provider from it. A one time code was minted at flow start and never read. An unauthenticated attacker who learned a consent id could run an OAuth flow on their own provider account and post the callback with a forged state, landing their tokens on another tenant's consent, so the victim's next migration imported the attacker's ledger. State is now an opaque randomBytes(32) pointer to a provider_otc row, consumed by a single atomic UPDATE guarded on used_at IS NULL and expires_at, so a replay loses the row lock race and updates nothing. provider is read from provider_consents rather than trusted from the client. provider_otc already existed for exactly this purpose and was never wired up. Also scopes getConsent to an owning company, closing a cross tenant status oracle where the preview and migrate paths echoed a consent's status before the scoped check ran. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(security): scope documents storage to company_id (phase A) The documents bucket policies matched on auth.uid(), and upload keys were documents/{userId}/..., so company membership was never consulted. Removing a member revoked nothing: their session still authenticated and they kept direct Storage read access to every receipt, supplier invoice and bank statement they had uploaded. The same bug was fixed for sie-files in 20260416120000; this bucket was left behind. Phase A is additive. Company scoped policies are added alongside the uploader scoped ones, uploads move to documents/{companyId}/{userId}/..., and reads accept either layout so nothing breaks mid migration. Phase C, which drops the old policies, is gated on the backfill reporting zero remaining legacy prefix objects. The policy compares the company segment as text rather than casting to uuid the way sie-files does: this bucket holds keys whose second segment is not a uuid (MCP audit packages), and Postgres does not guarantee the bucket prefix qual runs before the cast, so a planner reordering would raise 22P02 and fail the whole query instead of filtering the row out. deleteDocument now removes both candidate keys. Removing only the stored pointer would leave a readable orphan copy of a document the user asked to erase. The backfill script is included but has never been run. It defaults to dry run, refuses .env.local by name, and verifies each copy is readable and SHA-256 identical before repointing the row. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(security): enforce events:read scope and membership on /api/events This was the only one of the three validateApiKey call sites with no downstream guard: v1 and the MCP server both check scope and re-verify company membership, this route did neither. An events:read scope existed and was documented as gating the endpoint but was never called, so a legacy key falling back to DEFAULT_SCOPES read the full log. The bound company id went straight from the api_keys row into a service role query, so a key whose user had been removed from the company kept reading. Adds the scope check before any database access, re-verifies company_members with archived_at IS NULL, honours test mode by stamping X-Gnubok-Mode instead of ignoring it, applies minimisePayload so the pull surface can never return a wider payload than the push surface, and replaces the three flat error strings with the canonical envelope. Test key reads are served rather than blocked: TEST_KEY_WRITE_BLOCKED is gated on mutations in with-api-v1, so a read gets the same treatment as every other v1 read endpoint. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * perf(bookkeeping): sweep remaining journal_entries!inner embeds A previous refactor removed this pattern from lib/reports and introduced fetchEntryLines, but the class was never swept. Seventeen sites remained and had become the top application consumer of production database time: measured across the resulting query shapes, 32,694 calls and 25,848 seconds of execution, mean 790ms, with shapes averaging 2.6s and 3.0s and maxing at 7,962ms against the 8s statement_timeout, which surfaced to users as 500s on the booking path. PostgREST compiles an embed with filters on the embedded side into a correlated INNER JOIN LATERAL with a parameterized LIMIT, which stops Postgres reordering the join, so each query walked the whole journal_entry_lines table across all tenants. Driving from the entries side instead turns that into two indexed round trips. Converted sites keep their existing shape: the helper reattaches the parent entry under the same key the embed produced. Several conversions also remove a latent silent truncation where an unpaginated query was capped at PostgREST's 1000 row ceiling. Two deliberate exceptions. The free text ilike legs of the MCP display query stay on the embed, because each is capped at legLimit and that cap drives the truncation contract the tool reports, while the helper is unbounded. The accounts route moves to the existing get_account_usage_counts RPC instead, since its embed was a head count and the helper returns rows. commitEntry's write path is untouched: the change there is confined to the read query of the pre-commit dimension rule check. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(api): anchor v1 list cursors on created_at Page two returned page one, forever, while still advertising a fresh next_cursor. The three routes sorted by and encoded a Postgres date column, which serializes as YYYY-MM-DD, but decodeDefaultCursor validates the cursor timestamp as full ISO-8601 and returned null, so the keyset filter was never applied and has_more never went false. An integrator syncing verifikat looped on the newest rows indefinitely. The transactions route already solved this and its comment names the trap; the fix was never ported. All three now order and encode on created_at with an id tie break, matching the transactions keyset predicate exactly. ISO_TIMESTAMP is deliberately left alone: relaxing it would silently change sort semantics on the route that currently works. Default ordering therefore moves from business date to insert order. Every business date is still on the row, and the invoices list gains date_from and date_to filters so a date range is still reachable; the other two already had them. The tests use an in-memory PostgREST that actually evaluates the filters, because the repo's pass-through mock cannot catch this class of bug: the bug is that the filter is never sent. They walk to exhaustion with a hard iteration cap, so an unterminated walk fails instead of hanging. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(api): separate dry run from commit in the idempotency hash The request hash was built from url.pathname, which excludes the query string, so a dry run and its commit hashed identically. Following the flow documented in dry-run.ts, re-issuing the request with the same Idempotency-Key returned the cached preview with Idempotent-Replayed set and wrote nothing, while reporting 200. An agent or integrator saw success for a write that never happened. dry_run is folded into the hash only when true, not as an unconditional boolean. Including it as false would change the hash of every ordinary write, and with a 24h idempotency TTL any key in flight across the deploy would fail the request_hash comparison and 409 on a legitimate retry. Both hash call sites now go through one shared helper so they cannot drift into a permanent cache miss, and dry run responses are no longer stored at all. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * ci: install the Bedrock SDK out of tree in the compliance review The Swedish accounting compliance gate had failed ten consecutive runs and so was posting nothing. With --no-package-lock npm discarded the lockfile and re-resolved the whole tree from package.json, floating @hookform/resolvers to 5.4.3, whose valibot ^1 peer conflicts with the pinned valibot 0.39.0. Installing into the parent of the checkout resolves only that one package, so an unrelated peer conflict can never take the gate down again. Node still finds it because ESM bare specifiers walk up parent node_modules; NODE_PATH would not have worked, as it is CommonJS only. --legacy-peer-deps was rejected because it masks future genuine peer conflicts and still reifies the full tree. The same step's SDK version is aligned from 0.31.0 back to the 0.29.1 that package.json and check:guards enforce after the streaming outage. That drift went unnoticed because the pin guard only inspects package.json and the lockfile, never workflow files. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * build(docker): generate crontabs from vercel.json vercel.json defines 16 cron jobs; both Docker crontabs carried 9, and were byte identical to each other. Self hosted deployments therefore never sent recurring invoices, never dispatched webhooks and never cleaned up idempotency keys. tax-deadlines also ran once a year on 2 January instead of daily, and documents/verify weekly instead of daily. Extension crons are included rather than excluded. The Dockerfile copies the whole tree before building, so every extension cron route is compiled into the image regardless of the enabled preset, and each returns 200 when its extension is unconfigured, so curl -sf logs no failure. Two such entries were already present in the crontab for extensions absent from the preset, which settles the intent. documents/verify is treated as drift rather than a self hosted concession: the weekly cadence was present in the hosted crontab too, and the run is capped at 200 documents walking a nulls-first queue, so weekly drains the integrity queue seven times slower on a check that exists for BFL retention. webhooks/dispatch keeps its per minute cadence, adding 1,440 requests a day on self hosted. A gentler tick would silently stretch the first retry, since the retry ladder opens at 60 seconds. SCHEDULE_OVERRIDES is the one line place to change that. A parity test asserts the path sets match minus a documented exclusion list, and ratchets three cron routes that are currently scheduled nowhere so they are named rather than silently rotting. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * chore(observability): add a provider agnostic error sink There is no error tracking in this codebase: logs go to console and Vercel retention and nowhere else, nothing alerts on the 16 cron jobs, and seven code comments across lib, app, components and extensions asserted that Sentry captures errors when Sentry is not a dependency. The two most recent bug fixes on this repo were both discovered by customer email. This adds the sink, not a vendor. No dependency is taken: the interface has a no-op default and a registration point, so behaviour is unchanged until an adapter is registered. Releases are tagged from the build id already inlined by next.config.ts. Redaction moved out of lib/logger.ts into a leaf module that both the logger and the sink import, so there is one denylist and no path from application data to a third party can skip the personnummer regex, including direct sink calls that bypass the logger. That matters here because these logs carry personnummer and financial data. verifyCronSecret now reports its own 401s, which covers all 16 jobs without touching a route file and catches the case where CRON_SECRET is rotated without updating the scheduler and every job silently 401s forever. The threshold is one failure rather than the backup alert's three: suppressing the first occurrence is precisely how an outage stays invisible. The seven misleading comments are corrected to describe what the code actually does, including the two cases that still are not covered: the client side one, since the sink is server side, and a warn level call that is not forwarded. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix: remediate the 2026-07-26 similar-sweep findings across all surfaces Resolves the ~150-finding sweep (dev_docs/similar-sweep-2026-07-26.md) with one agent per finding; every behavioural fix carries a regression test proven to fail at HEAD. Full status, corrections to the sweep, refusals and open decisions in dev_docs/similar-sweep-2026-07-26-remediation-status.md. Structural roots closed: - resolveSekAmountOrNull(): honest SEK resolution refuses instead of booking 1:1; four duplicated toSek closures now refuse via INVOICE_FX_RATE_MISSING - ledger-line-amount.ts: journal_entry_lines.currency labels the document, not the amount; SQL pre-filter decoy proven and fixed - sparse-patch.ts: .partial() does not strip .default() in Zod 4.4.3; the exploitable salary payslip-line PATCH and KPI preferences sinks fixed - tests/schema: migration-replay phantom-column guard (13k+ refs, closed CHECK sets, onConflict targets); found 28 real defects, all fixed, all four baselines now empty - three new ratchet guards: sek-labelled-amount, cross-extension-import, ungated-extension-route Highlights: lawful VAT-rate set on all seven invoice surfaces (ML 6 kap), RC input VAT mismatch wired on web + both MCP callers, missing-underlag resource delegates to the shared RPC predicate, push-notifications consent polarity fail-closed, deadlines undo honours requested state, silent-failure and read-side-fabrication classes fixed across settings/KPI/inbox/Stripe/ Arcim/kassaflodesanalys, error-envelope stringification fixed at 10+ sites with isSwedishUserMessage extended. Also includes the parallel session's MCP invoice tools (update_invoice, recurring schedules, invoice deliveries) which share files with the sweep work and are verified green together. 13 new migrations are NOT applied anywhere; they apply via branch merge. 20260726120000 backfills 1247 supplier-invoice rows. pg tests for new DDL are written but unrun (no local Postgres). Verified: 11088 tests / 881 files green, tsc 0 non-test errors, lint 0 errors, check:guards passing, MCP payload 57475/57500. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(migrations): rename replace_sie_import migration off main's 20260726090000 version origin/main shipped 20260726090000_agent_quota_rpc_caller_guard.sql; keeping our replace_sie_import migration on the same version would abort the Supabase apply with a schema_migrations_pkey duplicate at merge time. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(review): remediate pre-publish deep-review findings across all slices A 13-agent review of the full branch diff surfaced 1 critical, 5 high and ~45 further findings; this commit resolves them in one pass: - replace_sie_import / undo_sie_import: p_user_id honored only for service_role callers; any other caller is pinned to auth.uid() (impersonation gate bypass), authz raise errcode 42501 mapped to a Swedish 403 in the route, new caller-guard migration for undo - bulk_book_transactions refuses homogeneous non-SEK batches instead of writing foreign magnitudes into SEK ledger columns - credit-note cap trigger: company-match on credited_invoice_id, no cross-tenant figures in exception text - link_voucher RPCs resolve NULL invoice currency as SEK end to end - personal-number ciphertext CHECK split into NOT VALID + VALIDATE - same-currency foreign settlements clear 1510 at booking rate and book realized diff to 3960/7960; rate-less foreign write paths refuse - receivables revaluation covers partially_paid and outstanding amounts - period lock guard paginates candidates past the PostgREST 1000 cap - documents: service-client storage removals after authz, dual-layout reads in integrity cron and archive export, backfill delete-source sweep actually deletes with hash verification and shared-key grouping - invoice matching normalizes NULL/lowercase currencies (regression), duplicate candidates stop claiming amount matches they never ran - match-invoice aborts on any booking failure (no paid-without-verifikat) - refresh-exchange-rate reverts on concurrent booking (TOCTOU window) - KPI preferences upsert arbiter aligned to the company-scoped constraint - personnummer_last4 stripped from all salary responses incl. MCP tools - worked-hours batch restores destroyed rows on conflict and error paths - MCP: shared duplicate-claim builder (no more 'null kr'), short-circuit on tag_journal_lines overflow, auto_send schedules stage as high risk - observability sink redacts emails/IBANs/API keys and keeps redacted stacks in prod; assorted small guards (safe-return-to /@, dry_run=True, cursor helper off-by-one, OAuth state TTL 10 min, arcim saveMappings call removed) Full dispositions, deferred items and hand-verified accounting numbers are documented in the PR body and DECISIONS.md. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(personnummer): implement masking and encryption for personal numbers with tests * fix(review): address CI and compliance-bot findings for PR #1215 pg-real: the CI image's auth shim reads the legacy request.jwt.claim.role GUC, so both service-role simulations (runAsServiceRole and the invoice-delivery test's local helper) never satisfied auth.role() = 'service_role' and every legitimate p_user_id path failed closed; the shared helper now sets both GUC shapes plus SET LOCAL ROLE with a fail-loud sanity check, and the delivery test reuses it. The link-voucher migration had recreated both RPCs from pre-rewrite file text, reintroducing the NULL-unsafe membership pattern the null-safe-tenant-guards ratchet bans; both guards now use public.caller_is_company_member() with all currency changes preserved. Compliance bots: the customers export now emits the standard masked form instead of raw AES-256-GCM ciphertext in the Org-/personnummer column, and maskCustomerRow returns a non-round-trippable placeholder on decrypt failure instead of 500ing the list. MCP parity: gnubok_lock_period's staging pre-check now runs the exact countUnbookedInPeriod the commit path enforces (exported from period-service; local mirror deleted), and gnubok_agi_status resolves AGI state run-scoped so a correction run no longer renders as already filed. Declined with evidence: PR-Agent's opening-balances null-zeroing concern (all mergeable columns are NOT NULL with defaults per 20260713101000). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(review): address codex review findings on PR #1215 - restore 20260726140000 to its preview-recorded content and restate the NULL-safe tenant guard under 20260727130000: a recorded migration version never re-runs, so the in-place edit could not reach the preview branch - replace toFixed() with sv-SE two-decimal formatting in the ROT/RUT cap warning texts and update the pinned test expectations - drop the em dash in the fiscal-periods route comment - strip trailing whitespace in import-existing.test.ts Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * test(reports): raise timeout on real PDF render tests renderToBuffer does real @react-pdf layout work and exceeds the 5s default when the full suite saturates the CPU; tests pass in isolation. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(review): remediate the 2026-07-27 compliance and security review findings - ROT/RUT deduction base is arbetskostnaden INKLUSIVE moms (HUSFL 2009:194 6-9 par.): computeDeduction takes the line vat_rate, all five call sites pass it, and tests pin Skatteverkets worked example (18 000 kr excl = 22 500 incl, ROT 6 750). - Momsdeklaration: new SALES_OUTPUT_VAT_SHORTFALL warning catches output VAT short of the reported sales base (one-directional, never filing-blocking). - SIE import: #RAR records validated for every year index (dates, ordering, 18-month BFL cap as warn-and-keep). - build-invoice-write: SEK invoices populate the *_sek twin columns (rate 1) so both creation paths produce the same row shape. - CI: daily Trivy SCA scan of the npm lockfile (replaces removed Dependabot); compliance review fails loudly on empty review.md. - arcim migration FX logging routed through the redacting structured logger. - docs/security/: authorization policy for the SIE bulk-delete RPC pair and the observability redaction contract. - Rewrote the swedish-payroll ob-overtime reference (was a byte-identical copy of sick-pay.md); skills:generate emitted the atom-body seed migration. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> |
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f24b26a139 |
fix: similar-sweep currency remediation, security hardening and v1 API fixes (#1215)
* fix(security): gate replace_sie_import behind owner/admin membership The RPC was SECURITY DEFINER with EXECUTE granted to PUBLIC and anon, no company_members lookup, no auth.uid() reference and no unauthorized raise, while setting gnubok.allow_delete to disarm the BFL immutability and retention triggers. Any caller holding a company_id and an import id could hard delete another tenant's verifikationer. Confirmed live in production. Applies the same fail closed owner/admin guard that undo_sie_import already carries (migration 20260624120000), resolving the actor from COALESCE(p_user_id, auth.uid()) so it denies when the role is NULL, then revokes EXECUTE from PUBLIC and anon. search_path and the raised statement_timeout are restated, since CREATE OR REPLACE drops settings that are not repeated. userId is a required parameter on replaceSIEImport: the service client has a NULL auth.uid(), so a caller without an explicit actor now fails to compile rather than hitting the closed gate at runtime. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(security): validate arcim OAuth callback state server side The callback route is skipAuth and decoded the state parameter as plain base64url JSON, trusting consentId and provider from it. A one time code was minted at flow start and never read. An unauthenticated attacker who learned a consent id could run an OAuth flow on their own provider account and post the callback with a forged state, landing their tokens on another tenant's consent, so the victim's next migration imported the attacker's ledger. State is now an opaque randomBytes(32) pointer to a provider_otc row, consumed by a single atomic UPDATE guarded on used_at IS NULL and expires_at, so a replay loses the row lock race and updates nothing. provider is read from provider_consents rather than trusted from the client. provider_otc already existed for exactly this purpose and was never wired up. Also scopes getConsent to an owning company, closing a cross tenant status oracle where the preview and migrate paths echoed a consent's status before the scoped check ran. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(security): scope documents storage to company_id (phase A) The documents bucket policies matched on auth.uid(), and upload keys were documents/{userId}/..., so company membership was never consulted. Removing a member revoked nothing: their session still authenticated and they kept direct Storage read access to every receipt, supplier invoice and bank statement they had uploaded. The same bug was fixed for sie-files in 20260416120000; this bucket was left behind. Phase A is additive. Company scoped policies are added alongside the uploader scoped ones, uploads move to documents/{companyId}/{userId}/..., and reads accept either layout so nothing breaks mid migration. Phase C, which drops the old policies, is gated on the backfill reporting zero remaining legacy prefix objects. The policy compares the company segment as text rather than casting to uuid the way sie-files does: this bucket holds keys whose second segment is not a uuid (MCP audit packages), and Postgres does not guarantee the bucket prefix qual runs before the cast, so a planner reordering would raise 22P02 and fail the whole query instead of filtering the row out. deleteDocument now removes both candidate keys. Removing only the stored pointer would leave a readable orphan copy of a document the user asked to erase. The backfill script is included but has never been run. It defaults to dry run, refuses .env.local by name, and verifies each copy is readable and SHA-256 identical before repointing the row. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(security): enforce events:read scope and membership on /api/events This was the only one of the three validateApiKey call sites with no downstream guard: v1 and the MCP server both check scope and re-verify company membership, this route did neither. An events:read scope existed and was documented as gating the endpoint but was never called, so a legacy key falling back to DEFAULT_SCOPES read the full log. The bound company id went straight from the api_keys row into a service role query, so a key whose user had been removed from the company kept reading. Adds the scope check before any database access, re-verifies company_members with archived_at IS NULL, honours test mode by stamping X-Gnubok-Mode instead of ignoring it, applies minimisePayload so the pull surface can never return a wider payload than the push surface, and replaces the three flat error strings with the canonical envelope. Test key reads are served rather than blocked: TEST_KEY_WRITE_BLOCKED is gated on mutations in with-api-v1, so a read gets the same treatment as every other v1 read endpoint. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * perf(bookkeeping): sweep remaining journal_entries!inner embeds A previous refactor removed this pattern from lib/reports and introduced fetchEntryLines, but the class was never swept. Seventeen sites remained and had become the top application consumer of production database time: measured across the resulting query shapes, 32,694 calls and 25,848 seconds of execution, mean 790ms, with shapes averaging 2.6s and 3.0s and maxing at 7,962ms against the 8s statement_timeout, which surfaced to users as 500s on the booking path. PostgREST compiles an embed with filters on the embedded side into a correlated INNER JOIN LATERAL with a parameterized LIMIT, which stops Postgres reordering the join, so each query walked the whole journal_entry_lines table across all tenants. Driving from the entries side instead turns that into two indexed round trips. Converted sites keep their existing shape: the helper reattaches the parent entry under the same key the embed produced. Several conversions also remove a latent silent truncation where an unpaginated query was capped at PostgREST's 1000 row ceiling. Two deliberate exceptions. The free text ilike legs of the MCP display query stay on the embed, because each is capped at legLimit and that cap drives the truncation contract the tool reports, while the helper is unbounded. The accounts route moves to the existing get_account_usage_counts RPC instead, since its embed was a head count and the helper returns rows. commitEntry's write path is untouched: the change there is confined to the read query of the pre-commit dimension rule check. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(api): anchor v1 list cursors on created_at Page two returned page one, forever, while still advertising a fresh next_cursor. The three routes sorted by and encoded a Postgres date column, which serializes as YYYY-MM-DD, but decodeDefaultCursor validates the cursor timestamp as full ISO-8601 and returned null, so the keyset filter was never applied and has_more never went false. An integrator syncing verifikat looped on the newest rows indefinitely. The transactions route already solved this and its comment names the trap; the fix was never ported. All three now order and encode on created_at with an id tie break, matching the transactions keyset predicate exactly. ISO_TIMESTAMP is deliberately left alone: relaxing it would silently change sort semantics on the route that currently works. Default ordering therefore moves from business date to insert order. Every business date is still on the row, and the invoices list gains date_from and date_to filters so a date range is still reachable; the other two already had them. The tests use an in-memory PostgREST that actually evaluates the filters, because the repo's pass-through mock cannot catch this class of bug: the bug is that the filter is never sent. They walk to exhaustion with a hard iteration cap, so an unterminated walk fails instead of hanging. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix(api): separate dry run from commit in the idempotency hash The request hash was built from url.pathname, which excludes the query string, so a dry run and its commit hashed identically. Following the flow documented in dry-run.ts, re-issuing the request with the same Idempotency-Key returned the cached preview with Idempotent-Replayed set and wrote nothing, while reporting 200. An agent or integrator saw success for a write that never happened. dry_run is folded into the hash only when true, not as an unconditional boolean. Including it as false would change the hash of every ordinary write, and with a 24h idempotency TTL any key in flight across the deploy would fail the request_hash comparison and 409 on a legitimate retry. Both hash call sites now go through one shared helper so they cannot drift into a permanent cache miss, and dry run responses are no longer stored at all. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * ci: install the Bedrock SDK out of tree in the compliance review The Swedish accounting compliance gate had failed ten consecutive runs and so was posting nothing. With --no-package-lock npm discarded the lockfile and re-resolved the whole tree from package.json, floating @hookform/resolvers to 5.4.3, whose valibot ^1 peer conflicts with the pinned valibot 0.39.0. Installing into the parent of the checkout resolves only that one package, so an unrelated peer conflict can never take the gate down again. Node still finds it because ESM bare specifiers walk up parent node_modules; NODE_PATH would not have worked, as it is CommonJS only. --legacy-peer-deps was rejected because it masks future genuine peer conflicts and still reifies the full tree. The same step's SDK version is aligned from 0.31.0 back to the 0.29.1 that package.json and check:guards enforce after the streaming outage. That drift went unnoticed because the pin guard only inspects package.json and the lockfile, never workflow files. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * build(docker): generate crontabs from vercel.json vercel.json defines 16 cron jobs; both Docker crontabs carried 9, and were byte identical to each other. Self hosted deployments therefore never sent recurring invoices, never dispatched webhooks and never cleaned up idempotency keys. tax-deadlines also ran once a year on 2 January instead of daily, and documents/verify weekly instead of daily. Extension crons are included rather than excluded. The Dockerfile copies the whole tree before building, so every extension cron route is compiled into the image regardless of the enabled preset, and each returns 200 when its extension is unconfigured, so curl -sf logs no failure. Two such entries were already present in the crontab for extensions absent from the preset, which settles the intent. documents/verify is treated as drift rather than a self hosted concession: the weekly cadence was present in the hosted crontab too, and the run is capped at 200 documents walking a nulls-first queue, so weekly drains the integrity queue seven times slower on a check that exists for BFL retention. webhooks/dispatch keeps its per minute cadence, adding 1,440 requests a day on self hosted. A gentler tick would silently stretch the first retry, since the retry ladder opens at 60 seconds. SCHEDULE_OVERRIDES is the one line place to change that. A parity test asserts the path sets match minus a documented exclusion list, and ratchets three cron routes that are currently scheduled nowhere so they are named rather than silently rotting. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * chore(observability): add a provider agnostic error sink There is no error tracking in this codebase: logs go to console and Vercel retention and nowhere else, nothing alerts on the 16 cron jobs, and seven code comments across lib, app, components and extensions asserted that Sentry captures errors when Sentry is not a dependency. The two most recent bug fixes on this repo were both discovered by customer email. This adds the sink, not a vendor. No dependency is taken: the interface has a no-op default and a registration point, so behaviour is unchanged until an adapter is registered. Releases are tagged from the build id already inlined by next.config.ts. Redaction moved out of lib/logger.ts into a leaf module that both the logger and the sink import, so there is one denylist and no path from application data to a third party can skip the personnummer regex, including direct sink calls that bypass the logger. That matters here because these logs carry personnummer and financial data. verifyCronSecret now reports its own 401s, which covers all 16 jobs without touching a route file and catches the case where CRON_SECRET is rotated without updating the scheduler and every job silently 401s forever. The threshold is one failure rather than the backup alert's three: suppressing the first occurrence is precisely how an outage stays invisible. The seven misleading comments are corrected to describe what the code actually does, including the two cases that still are not covered: the client side one, since the sink is server side, and a warn level call that is not forwarded. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * fix: remediate the 2026-07-26 similar-sweep findings across all surfaces Resolves the ~150-finding sweep (dev_docs/similar-sweep-2026-07-26.md) with one agent per finding; every behavioural fix carries a regression test proven to fail at HEAD. Full status, corrections to the sweep, refusals and open decisions in dev_docs/similar-sweep-2026-07-26-remediation-status.md. Structural roots closed: - resolveSekAmountOrNull(): honest SEK resolution refuses instead of booking 1:1; four duplicated toSek closures now refuse via INVOICE_FX_RATE_MISSING - ledger-line-amount.ts: journal_entry_lines.currency labels the document, not the amount; SQL pre-filter decoy proven and fixed - sparse-patch.ts: .partial() does not strip .default() in Zod 4.4.3; the exploitable salary payslip-line PATCH and KPI preferences sinks fixed - tests/schema: migration-replay phantom-column guard (13k+ refs, closed CHECK sets, onConflict targets); found 28 real defects, all fixed, all four baselines now empty - three new ratchet guards: sek-labelled-amount, cross-extension-import, ungated-extension-route Highlights: lawful VAT-rate set on all seven invoice surfaces (ML 6 kap), RC input VAT mismatch wired on web + both MCP callers, missing-underlag resource delegates to the shared RPC predicate, push-notifications consent polarity fail-closed, deadlines undo honours requested state, silent-failure and read-side-fabrication classes fixed across settings/KPI/inbox/Stripe/ Arcim/kassaflodesanalys, error-envelope stringification fixed at 10+ sites with isSwedishUserMessage extended. Also includes the parallel session's MCP invoice tools (update_invoice, recurring schedules, invoice deliveries) which share files with the sweep work and are verified green together. 13 new migrations are NOT applied anywhere; they apply via branch merge. 20260726120000 backfills 1247 supplier-invoice rows. pg tests for new DDL are written but unrun (no local Postgres). Verified: 11088 tests / 881 files green, tsc 0 non-test errors, lint 0 errors, check:guards passing, MCP payload 57475/57500. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(migrations): rename replace_sie_import migration off main's 20260726090000 version origin/main shipped 20260726090000_agent_quota_rpc_caller_guard.sql; keeping our replace_sie_import migration on the same version would abort the Supabase apply with a schema_migrations_pkey duplicate at merge time. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(review): remediate pre-publish deep-review findings across all slices A 13-agent review of the full branch diff surfaced 1 critical, 5 high and ~45 further findings; this commit resolves them in one pass: - replace_sie_import / undo_sie_import: p_user_id honored only for service_role callers; any other caller is pinned to auth.uid() (impersonation gate bypass), authz raise errcode 42501 mapped to a Swedish 403 in the route, new caller-guard migration for undo - bulk_book_transactions refuses homogeneous non-SEK batches instead of writing foreign magnitudes into SEK ledger columns - credit-note cap trigger: company-match on credited_invoice_id, no cross-tenant figures in exception text - link_voucher RPCs resolve NULL invoice currency as SEK end to end - personal-number ciphertext CHECK split into NOT VALID + VALIDATE - same-currency foreign settlements clear 1510 at booking rate and book realized diff to 3960/7960; rate-less foreign write paths refuse - receivables revaluation covers partially_paid and outstanding amounts - period lock guard paginates candidates past the PostgREST 1000 cap - documents: service-client storage removals after authz, dual-layout reads in integrity cron and archive export, backfill delete-source sweep actually deletes with hash verification and shared-key grouping - invoice matching normalizes NULL/lowercase currencies (regression), duplicate candidates stop claiming amount matches they never ran - match-invoice aborts on any booking failure (no paid-without-verifikat) - refresh-exchange-rate reverts on concurrent booking (TOCTOU window) - KPI preferences upsert arbiter aligned to the company-scoped constraint - personnummer_last4 stripped from all salary responses incl. MCP tools - worked-hours batch restores destroyed rows on conflict and error paths - MCP: shared duplicate-claim builder (no more 'null kr'), short-circuit on tag_journal_lines overflow, auto_send schedules stage as high risk - observability sink redacts emails/IBANs/API keys and keeps redacted stacks in prod; assorted small guards (safe-return-to /@, dry_run=True, cursor helper off-by-one, OAuth state TTL 10 min, arcim saveMappings call removed) Full dispositions, deferred items and hand-verified accounting numbers are documented in the PR body and DECISIONS.md. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(personnummer): implement masking and encryption for personal numbers with tests * fix(review): address CI and compliance-bot findings for PR #1215 pg-real: the CI image's auth shim reads the legacy request.jwt.claim.role GUC, so both service-role simulations (runAsServiceRole and the invoice-delivery test's local helper) never satisfied auth.role() = 'service_role' and every legitimate p_user_id path failed closed; the shared helper now sets both GUC shapes plus SET LOCAL ROLE with a fail-loud sanity check, and the delivery test reuses it. The link-voucher migration had recreated both RPCs from pre-rewrite file text, reintroducing the NULL-unsafe membership pattern the null-safe-tenant-guards ratchet bans; both guards now use public.caller_is_company_member() with all currency changes preserved. Compliance bots: the customers export now emits the standard masked form instead of raw AES-256-GCM ciphertext in the Org-/personnummer column, and maskCustomerRow returns a non-round-trippable placeholder on decrypt failure instead of 500ing the list. MCP parity: gnubok_lock_period's staging pre-check now runs the exact countUnbookedInPeriod the commit path enforces (exported from period-service; local mirror deleted), and gnubok_agi_status resolves AGI state run-scoped so a correction run no longer renders as already filed. Declined with evidence: PR-Agent's opening-balances null-zeroing concern (all mergeable columns are NOT NULL with defaults per 20260713101000). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(review): address codex review findings on PR #1215 - restore 20260726140000 to its preview-recorded content and restate the NULL-safe tenant guard under 20260727130000: a recorded migration version never re-runs, so the in-place edit could not reach the preview branch - replace toFixed() with sv-SE two-decimal formatting in the ROT/RUT cap warning texts and update the pinned test expectations - drop the em dash in the fiscal-periods route comment - strip trailing whitespace in import-existing.test.ts Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * test(reports): raise timeout on real PDF render tests renderToBuffer does real @react-pdf layout work and exceeds the 5s default when the full suite saturates the CPU; tests pass in isolation. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> |
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ee8ddb3849 |
fix(assistant): stop cross-user conversation access, bricked threads and lost sessions (#1209)
* fix(assistant): stop cross-user conversation access, bricked threads and lost sessions Hotfix batch (PR1 of the assistant UI makeover, dev_docs/assistant_redesign_plan.md section 7). No visual change; each of these is wrong today regardless of which design lands, and three are unrecoverable per incident. /api/agent/invoke never checked who owns a resumed conversation_id. RLS on agent_conversations/agent_messages is company-scoped, not user-scoped (20260517204000), so a member could post a colleague's conversation id, have their history loaded into the prompt and read it back, while their own turns were appended to that thread. The conversations list route filters on user_id for exactly this reason. Also pins company and intent: resuming a thread from another company would mix ledgers, and resuming under a different intent would swap the tool whitelist under history the model has already seen. A turn persists the assistant message carrying tool_use blocks before the tools run, and their results only after the batch finishes. Dying in between (client disconnect terminating the function, a deploy, a slow tool) left history ending on an unanswered tool_use, which the Messages API rejects on replay: every later turn 400s, and agent_messages is append-only for the BFL trail, so nothing could repair it. History is now patched on read by synthesizing is_error tool_results, leaving the stored trail untouched. check_and_increment_agent_quota is SECURITY DEFINER in public with a caller-chosen p_user_id, so any authenticated user could drain a colleague's minute/day budget and lock them out of every agent endpoint. A plain REVOKE would break the limiter (all three callers use the user's RLS client) and, as it fails open, silently remove the spend cap: the function now refuses to act for anyone but the caller, while service-role connections keep passing an explicit id. The single reject route re-read status and then wrote unguarded, so losing the race with commit's atomic pending -> committing claim stamped `rejected` over an operation that had already posted a verifikat, invisible to the committing-state recovery sweep. Guarded on status like bulk-reject already is; a lost race is now a 409. The sheet's Escape handler listened on window with no defaultPrevented or target check while the sheet is deliberately non-modal, so pressing Esc to dismiss the reject-reason Select inside an approval card, the command palette or any dialog unmounted the sheet and discarded the conversation, the streaming turn and the un-actioned proposal. It now yields to open overlays and to focus outside the sheet. Verified: 9526 unit tests pass, lint clean on touched files, guards pass, and the new pg-real test proves the quota guard against real Postgres (attacker raises 42501, victim counters stay at 0). The four unrelated pg-real failures on this machine reproduce identically with these changes stashed. Co-Authored-By: Claude Opus 5 <noreply@anthropic.com> * fix(assistant): close anon path on the quota RPC, order the ownership check ahead of writes Review follow-ups on the hotfix batch. The caller guard used auth.uid() alone, which is NULL for the `anon` role just as it is for backend roles, so an unauthenticated caller holding the public anon key (it ships in the browser bundle) could still pick any p_user_id and drain that user's quota. The guard now keys on the request role: anon and authenticated may only ever spend their own quota, backend roles keep passing an explicit id. The default PUBLIC execute grant is revoked as a second layer, with execute granted only to authenticated and service_role. Covered by a new pg test for the anon path. The ownership check ran after the onboarding.intake stamp, so a request that was about to be rejected could still write intake_completed_at. It now sits directly after the capability gate, ahead of every side effect and ahead of the company and profile reads, which also makes a rejected request cheaper. The tool-result repair matched ids anywhere in the history, but the API needs results in the message IMMEDIATELY after the tool_use. A result persisted after an intervening turn (two turns racing on one conversation) left a shape that still 400s. The repair is now positional, and orphaned or late-duplicate tool_results are dropped, since an unmatched tool_result is rejected just as an unanswered tool_use is. The Escape guard matched the Radix popper wrapper, which stays mounted when a popper is force-mounted; it now requires data-state="open" so a closed popper cannot block Escape for the rest of the session. Both new route errors are Swedish, per the user-facing error rule. Co-Authored-By: Claude Opus 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Opus 5 <noreply@anthropic.com> |
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d54b43f80f |
Bug/resend and invoices (#1192)
* fix(invoices): anchor the PDF logo to the top-left of its header cell The logo box is always the full 240x80pt reserved area (any larger logo is clamped to exactly that), so objectFit: 'contain' placed the image inside it with the default 50% 50% centering. A wide banner logo fills the width and lands on the left margin, but a near-square logo scaled down to the 80pt height cap is only ~117pt wide and got pushed ~60pt in from the margin, which reads as a misaligned logo and forced companies to reshape their artwork. Anchor the image top-left so every aspect ratio starts at the margin. Covered by a test that renders the real PDF and reads the image placement matrix out of the content stream, for both a wide and a near-square logo. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * feat(invoices): show the real delivery outcome in the send history "Skickad" only meant the email provider accepted the message, so a bounced invoice looked identical to one that arrived. Resend reports the outcome asynchronously; that report now lands on the delivery row and drives the history: green is reserved for a confirmed delivery, bounce/blocked reads red, delayed and spam-marked read amber, and an accepted-but-unconfirmed send is neutral instead of falsely green. The report arrives on a signed webhook and may only touch the three new provider status columns of an already sent, unredacted row: the WORM trigger proves nothing else changed, and a lower ranked or older report can never downgrade an observed failure. The provider reason text can quote the failing address, so it is masked on read and cleared by the daily PII redaction job. Timestamps also formatted in Europe/Stockholm instead of falling back to the runtime zone, which rendered a 14:05 send as 12:05 on Vercel. Delivery reports are per message, never per recipient: Resend sends one event for the whole message, so splitting a send per recipient would be the only way to get finer granularity, at the cost of CC. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * feat(stripe): make the integration feed-only Stripe sync now only imports balance transactions into the transactions inbox, like any bank feed; nothing auto-books. The event/settlement sync (lib/sync.ts, lib/payouts.ts) stays in the repo but is no longer wired to any route or cron: the 15-min sync cron is removed from vercel.json. Payment links on invoice send are unchanged; their payments arrive as feed rows and are matched manually. - /sync runs only syncStripeBalanceTransactions; response is { success, transactions } - connecting via OAuth enables the nightly feed by default (toggle stays as opt-out) - panel: needs-review section and plumbing removed, copy rewritten to transactions-first (sv + en), toast reports fetched/imported/linked and calls out an empty result instead of silent all-zeros Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(api): return the article currency from the v1 article list The dashboard, importer, export and MCP article surfaces all learned to carry a non-SEK article price (#1166, #1183, #1184), but the v1 projection still omitted currency. An API or agent caller therefore read price_excl_vat with nothing marking it as EUR and would copy the number straight onto a SEK invoice line, at a nine-to-one error. Adds currency to the projection, the response shape and the example, plus a pitfall stating the price is not always SEK and that this endpoint does no FX conversion. Additive field only; no migration (articles.currency already exists). Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * feat(settings): replace the settings modal with a routed panel sheet Settings now renders as a sheet that fills the main panel, sliding up over the page the user came from and back down on close, with the sidebar and frame left visible and usable. Behind it sits one shared master-detail surface: underline search across every section and subsection, the grouped section rail, and the active section as a direct-editing accordion. All 11 sections are decomposed into subsections, and the legacy *SettingsContent components compose the same pieces so the stacked and accordion layouts cannot drift. The sheet is the only presentation, on every entry path. The intercepting route handles in-app navigation and closes by popping the history entry, landing back on the page underneath. @settingsModal/default.tsx handles cold loads (refresh, deep link, new tab), where interception never fires; nothing is mounted underneath there, so it closes to the dashboard. Both branch on one shared predicate, isSheetSection, together with the settings layout, which must render nothing for those sections or the surface would stack twice behind the sheet and run every section's fetches twice. Closing is deliberate rather than incidental: the X, Esc, or navigating away. The dialog is non-modal so the sidebar's account popover and company switcher keep working with settings up, and an outside click no longer dismisses it. Sections land fully collapsed, and the scroll position of the page behind survives opening and closing the sheet. Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * feat: enhance article management and settings UI - Add PATCH test for toggling article active state without other fields. - Remove unused MessageCircle icon from DashboardContent. - Refactor AccountingFrameworkForm to use SettingsFieldRow for better help text display. - Update CompanyInfoForm, DimensionsToggle, and various settings forms to replace description with help text. - Remove redundant headings and intros in several settings components to streamline UI. - Improve help text for various settings in English and Swedish translations. - Update structured error messages for better clarity on article deletion. * refactor(ArticleDetailPage): remove unused imports and duplicate state variable * fix(settings): own deep-linked settings routes by route list, not nav visibility Review fixes from the settings panel sheet work: * isSheetSection reads the full settings route list so a hidden-but-deep-linked section (assistant before BankID, banking in sandbox, api without MCP) is claimed by the sheet instead of rendering the legacy shell around an empty panel * keep 503 on the Resend delivery webhook when the signing secret is unset, with a test pinning the behaviour * stripe callback route test coverage Co-Authored-By: Claude Opus 5 (1M context) <noreply@anthropic.com> * refactor: update salary, tax, and templates settings components - Refactored SalarySettingsContent to use a form wrapper and improved payment settings UI. - Enhanced TaxSettingsContent with new signals for EU sales, KU obligations, and ROT/RUT deductions. - Updated TemplatesSettingsContent to remove legacy comments and improve readability. - Simplified navigation items by removing unnecessary constants and directly using hrefs. - Cleaned up translation files by removing deprecated keys and adding new descriptions for clarity. --------- Co-authored-by: Claude Opus 5 (1M context) <noreply@anthropic.com> |
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63fd5311ed |
Bug/tic unlink (#1153)
* fix(tic): allow BankID link/unlink without a company context /bankid/link and /bankid/unlink are user-level actions, but the extension dispatcher resolved an active company for them, so a zero-company user (fresh BankID signup, pre-onboarding) got a 500 'No company context' when managing the connection from /settings/account. Mark both routes skipCompanyContext and resolve the caller in-handler via requireAuth(), which preserves the dispatcher's MFA/AAL2 enforcement. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(tic): return 409 account_exists instead of 500 on BankID signup with taken email The signup guard pre-checked profiles.email, but the authoritative store is auth.users: anonymized account tombstones (and any profile drift) hold the email in auth.users while profiles.email is NULL. The guard missed, createUser failed with email_exists (422), and the route surfaced a dead-end 500 'Kunde inte skapa kontot. Forsok igen.' where retrying can never succeed. Drop the profiles pre-check and let createUser's own uniqueness check be the guard: map email_exists to the existing 409 account_exists response (Swedish message), which the register page already handles with a toast and a redirect to login. Also removes the TOCTOU window between the old pre-check and createUser. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(account): actually scrub auth.users metadata on account deletion The delete route passed user_metadata: {} / app_metadata: {} to auth.admin.updateUserById assuming replace semantics, but GoTrue MERGES metadata maps, so the wipe was a silent no-op: the ~100-year tombstone kept the user's full name in raw_user_meta_data (verified on production 2026-07-24). Move the scrub into anonymize_user_account (migration 20260724150000): raw_user_meta_data is cleared entirely, raw_app_meta_data drops the app-specific keys (bankid_linked, has_password) while GoTrue's provider/providers stay, and auth.users.email is still retained as the documented legitimate-interest tombstone. The migration also repairs existing tombstones (guarded by profiles.anonymized_at). The route keeps only the ban, which the DB function cannot set. Migration content already applied to staging; pg-real test extended. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * docs: log BankID signup guard decision Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(account): address PR review findings on anonymize scrub - anonymize_user_account now rejects repeat invocations against an already-anonymized tombstone (SQLSTATE P0002) instead of re-churning the scrubbed row - note that the tombstone repair UPDATE runs atomically inside the migration transaction - tic signup failure log hashes the email (sha256 prefix, matching the pnrHashPrefix pattern) instead of logging the raw address - pg-real test for the double-invocation guard Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(anonymization): ensure raw_app_meta_data is not null before scrubbing keys --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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53e343ee92 |
Bug/invalid imports (#1146)
* feat: add Accounted MCP namespace * fix(bookkeeping): stop flagging verifikat whose underlag lives on a referenced supplier invoice The missing-underlag surfaces only accepted a document directly linked to the entry, so payment verifikat for supplier invoices (doc on the registration entry per design) and entries whose doc was pinned to the bank transaction before matching were falsely flagged; opening the entry showed the referenced doc and cleared the warning client-side, and it came back on reload. - verifikat_without_documents + transactions_without_documents now treat an entry as covered when a supplier invoice referencing it (registration or payment FK, or a supplier_invoice_payments row) carries a document anchored to a journal entry (BFL 5 kap 7 paragraf hänvisning till underlag; anchoring required because the WORM deletion guards key on document_attachments.journal_entry_id) - match-supplier-invoice routes (dashboard + v1) propagate the transaction's pinned document onto the payment verifikat, mirroring the categorize route; migration backfills rows already written (open unlocked periods, company-guarded, never steals a linked doc) - /api/documents/counts, the transactions-page badges, the bulk "Inget underlag krävs" count and the push-notification scheduler share the same reference-aware predicate, so every surface agrees with the RPC - counts route validates journal_entry_ids as UUIDs (they are interpolated into a PostgREST or-filter) Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(transactions): align table columns flush with page edges Collapse the checkbox gutter column to zero width and hang the hover-revealed checkbox/expand chevron in the page margins, drop the outer padding so DATUM sits flush left and STATUS flush right, and tuck the overflow-menu dots under the middle of the STATUS header. Applied to both the inbox and history tables so they stay identical. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(arsredovisning): tie anlaggningstillgangar note to booked depreciation The ARL 5:8 roll-forward note recomputed depreciation from its own day-based linear formula (365.25/12 month length, non-inclusive day count, linear only), drifting ~20 kr per year per asset from the ledger-driven resultat- and balansrakning and misstating non-linear methods entirely. Note figures now come from posted depreciation_schedules rows (the same source disposeAsset reverses), falling back to the engine's computeAnnualDepreciation when nothing is posted; pre-onboarding opening balances iterate prior years through the engine. Adds a note-vs-trial-balance tie-out warning (accounts 1000-1299, over 1 kr) surfaced before download. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * refactor(stripe): move connect and sync surface from settings to import page Stripe's transaction feed is a continuous import source in the same category as the PSD2 bank connection, so its connect/sync surface now lives on the import page as a source card (mode=stripe), gated "kommer snart" on hosted like before; self-hosted keeps the full panel. - Import page: Stripe card after Koppla bank, renders the existing StripeSettingsPanel via the settings-panel registry - OAuth callback and panel cleanup return to /import?mode=stripe - Settings > Betalningar retired: nav item removed, route redirects, PaymentsSettingsContent deleted, legacy ?tab=payments mapped - New import.stripe_* strings in sv+en; dead settings_nav.payments removed Crons and sync logic unchanged; payment-link settings stay in the invoicing section. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(underlag): paginate missing-underlag cron and harden doc-surface queries Resolve PR review findings on bug/invalid-imports: - notification-scheduler: fetchAllRows on all 5 global reads; past 1000 rows the capped reads produced false "saknade underlag" notifications - bulk-missing: LOOKUP_CHUNK 300->150 so the twice-embedded .or() id list stays under the PostgREST URL limit - bulk-missing + transactions page: UUID-guard the .or()-interpolated id lists, matching documents/counts - match-supplier-invoice (dashboard + v1): log documentId/journalEntryId on the non-fatal doc-link warning - well-known/oauth-protected-resource: document the tool_namespace allow-list - messages/en: reword stripe_description - DECISIONS.md: record the asset ibAck tie-out and Tailwind !important calls Co-Authored-By: Claude Opus 4.8 (1M context) <noreply@anthropic.com> * fix(tic): convert registrationDate from Unix seconds to millisecond epoch in lookup and profile tests --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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d840257c0c |
Add/stripe connect transactions (#1139)
* fix(mcp-oauth): allow ChatGPT connector callbacks and resume OAuth after login Add chatgpt.com/connector/oauth/* (per-instance) and the legacy chatgpt.com/connector_platform_oauth_redirect to the built-in OAuth redirect allowlist so ChatGPT MCP connectors can register and authorize. Fix the login page dropping the ?next= destination: an OAuth-initiated visit that required login previously ended on the dashboard and the connection flow silently died. Login now resumes to the sanitized next path (hard navigation, since the consent page is route-handler HTML), carries it through the MFA step-up as returnTo, and /mfa/verify hard-navigates for /api/ destinations. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(transactions): dedup incoming feed rows against booked hand-entered twins Users who bookkeep via MCP/chat first and connect their bank afterwards got the same movement twice: the synced row's external_id lives in a different namespace, the free-form manual title never text-bridges the bank's raw string, and the cross-channel mirror deliberately excluded manual/mcp rows. Extend the mirror with a booked-hand-entered track: an incoming feed row is skipped when a BOOKED manual/mcp row shares its (date, ore) bucket count- symmetrically. Gates beyond the feed-vs-feed mirror: stored row must be booked (staged rows never consume an import), currencies must not contradict (bucket key is date+ore only), the cash-account guard applies to the count exactly as to consumption, and symmetry uses the Layer-1-unmatched incoming count so an already-stored row cannot inflate it. Consumption stamps the batch cash_account_id onto an account-unbound hand row, so one hand row can never consume feed rows on other accounts in later syncs. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(bookkeeping): inline verifikat rattelse (strike lines + text/date edit) Second sanctioned correction track under BFL 5 kap 5/9 pp, Fortnox-style: strike lines inside a posted verifikat with replacements in the same voucher, and correct description/entry_date without an andringsverifikat. Envelope: posted entries, open unlocked periods, company lock date, same-period date moves, structural/FX/doc-linked lines excluded, and a reconciliation guard preserving per-account net on bank/reskontra sides of externally linked entries. Every rattelse writes an immutable who/when row (journal_entry_rattelse_log, WORM, archived as rakenskapsinformation) and struck originals render struck-through in the verifikat; list rows and the detail header carry a Rattad marker. CLAUDE.md hard rule 1 and the swedish-accounting-compliance skill are amended to state the two-track rule. Staging carries the DDL; prod gets it on merge. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat: live saldo in booking form, prior-year window comparison, hideable assistant FAB - Manual journal entry: saldo column now shows before -> after computed from the typed debit/credit amounts (direction feedback while booking) - Resultatrapport: a narrowed date range now compares against the same window shifted one year back (#862), merged across fiscal periods for brutet rakenskapsar; P&L rows report window activity instead of rolled-forward YTD closing - Assistant FAB: per-user hide toggle (user_preferences.hide_assistant_fab, settings > assistant), sidebar entry unaffected; collapsed sessions keep their reopen handle Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(stripe): sync balance transactions as a bank feed on 1686 Import the connected Stripe balance into the transactions inbox, opt-in per connection (transaction_sync_enabled on stripe_connections): - Balance transactions map to feed rows with the two-row gross+fee split and frozen external_id formats (stripe_{acct}_{txn} / _fee), dated on created, bound to a provisioned "Stripe-saldo" cash account on 1686 so booking settles against the clearing account by construction. - Double-booking protection: settled payment-link charges import pre-linked to their settlement entry; payout rows import pre-linked to the payout entry; processPayoutPaidEvent claims the payout's fee rows at booking time (linkPayoutFeedRows, idempotent from both directions). - Cursor last_balance_txn_synced_at with 24h overlap; first run backfills 90 days floored at the day after the company lock date. - Nightly cron /api/extensions/stripe/transactions/cron (03:30), transaction-sync toggle route, "Synka nu" covers both feeds, settings panel toggle with last-synced/backfill note, sv+en strings. - Migration 20260723200000 (applied to staging). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(transactions): offer match-to-voucher on unbooked history rows Unbooked transactions with is_business already set (e.g. left behind when a voucher was removed without a full uncategorize) land in the history list instead of the inbox, where the match-against-existing-voucher action did not exist, leaving them with no path back to voucher matching. Add the same menu item to the history list for unbooked rows. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * feat(transactions): enhance ownership checks and error handling in journal entry routes --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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d59e4708cf |
feat(nav): concept sidebar with folds, collapse rail, and user menu (UI migration PR 2) (#1133)
* feat(nav): concept sidebar with folds, collapse rail, and user menu (UI migration PR 2) The concept's navigation, exactly, with all current functionality kept: - Groups restructured per concept: top (Hem, Assistenten), ARBETA (Bokforing, Underlag, Transaktioner, Granskning, Kundfakturor, Leverantorsfakturor, Loner), ANALYS, DATA (Register fold + Importera/exportera), SKATT & BOKSLUT (Moms, Skattekonto, Viktiga datum, Bokslut fold). Entity/capability/dimension gating unchanged. - Register and Bokslut are animated folds (grid-rows 0fr/1fr), children text-indented behind a hairline; closed by default, forced open by an active child route; state persists per user. - Sidebar collapses to a 64px icon rail (toggle top of rail); width is one inline --nav-w CSS variable on #dash-shell that aside and <main> both read, so the panel follows in lockstep. Server-rendered from ui_state so first paint is right. - Sticky bottom user block (avatar, name, active company) opening an upward user menu: identity, company-switcher flyout (search + building glyphs + roles + check, real switch mechanism via shared lib/company/switch-client), Installningar, Medlemmar och roller, Abonnemang, Hjalp, support, terracotta logout. Trial touchpoint kept. - CompanySwitcher removed from desktop top (lives in the user menu now); mobile bottom nav + sheet unchanged. - New migration 20260723120000: user_preferences.ui_state jsonb bag (founder-approved) + POST /api/user/ui-state (requireAuth, strict zod, merge semantics) with route tests. - i18n: fold/collapse/menu keys added sv+en; deadlines -> "Viktiga datum", year_end -> "Arsbokslut" per concept. Discord-community row deferred: no invite URL exists in the repo. Badges stay the current two (Transaktioner, Granskning); an Underlag count is a follow-up with lib/worklist. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(nav): brand-mark sidebar header + auto-hiding scrollbars Concept alignment feedback: the sidebar gets a header row (brand mark left, collapse toggle right) hanging from the same top line as the panel, instead of a lone right-aligned toggle. Scrollbars go overlay-style app-wide: transparent at rest, revealed only while their container scrolls (ScrollbarReveal stamps .is-scrolling via one capture-phase document listener), fading out after 700ms idle. The gutter stays reserved so revealing never shifts layout. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(nav): company flyout opens downward + Discord community row The flyout was bottom-anchored to its row and grew upward over the menu; founder feedback: top-align with the row and grow downward. Adds the Discord community row to the user menu (external invite link). Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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288915c152 |
Fix/fdb fr usrs (#1125)
* fix(invoices): return attachment filename in delivery history summaries The 20260723003000 hardening dropped attachment_filename from list_invoice_delivery_summaries, so the delivery history UI always fell back to the generic "faktura.pdf" label. Recreate the RPC with the filename included: it is derived from company name, customer name, invoice number, and date, all already visible to every company member, so the minimization boundary is unchanged. Addresses stay masked and message content, BCC, and checksums stay server-side. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(reconciliation): surface own-account transfer legs in match-to-voucher by default The second (incoming) leg of a transfer between two of the company's own bank accounts was hidden in the 'Matcha mot befintlig verifikation' dialog because the voucher counted as 'already matched' once its outgoing leg was linked, even though the incoming account's line had no settling transaction. Users read the empty default list as 'the app won't let me link this'. get_account_gl_lines_for_matching now counts links per settlement account: a transaction provably on another cash account no longer marks the voucher as matched for the requested account, so the unsettled transfer leg surfaces by default (and auto-selects on an exact match). Same-account N:1 stays behind the 'Visa aven matchade verifikationer' opt-in, and transactions without a resolvable cash account conservatively keep counting everywhere. get_unlinked_gl_lines is deliberately untouched (feeds auto-reconcile). Companion guard: mark_entry_as_opening_balance now refuses entries with linked bank transactions, since half-settled transfer vouchers became reachable in the reconciliation view's unmatched table where 'Mark som IB' renders; re-tagging one would strand its transaction against a movement- excluded entry. getReconciliationStatus counts unmatched GL lines with the account-scoped RPC so the status card agrees with the table. Fixes #1026 Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * perf(api): cut prod p95 latency via local JWT auth, single-RT company resolution, and report aggregate RPCs Baseline 2026-07-23 (487 prod samples): p50 160ms, p95 480ms, 13% of requests over 300ms. Target: p95 under 300ms. - requireAuth: verify JWTs locally via getClaims (ES256/JWKS) instead of a second network getUser per request; getUser fallback keeps HS256 self-hosted and existing test mocks working; middleware still revocation-checks every /api request - resolve_active_company RPC (20260723161000): one round trip replaces 2-3 queries in getActiveCompanyId and middleware; PGRST202/42501 fall back to the legacy query path - arsredovisning build-data: ~33 sequential round trips down to ~7, output byte-identical (snapshot-proven) - currency rate route: stop bypassing the exchange_rates cache (missing supabase arg caused an external Riksbanken call on every request) - document.get: parallelize row fetch, signed URL and audit event - list_company_accounts RPC (20260723170000): accounts list in one round trip instead of paging past PostgREST's 1000-row cap - vat-declaration route: drop a dead sequential company_settings query - get_kpi_report_aggregates RPC (20260723180000): KPI report's three full-period line scans collapsed into one aggregate call; dimension- filtered path unchanged - lint: fix 9 baseline errors, downgrade 4 react-hooks compiler rules to warn, zero the eslint baseline ratchet All four gates green: lint 0 errors, 9163 tests, check:guards, build. Migrations applied idempotently to staging only; prod receives them via Supabase branching on merge. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(review): resolve PR review findings across auth, VAT declaration, and IB retag - requireAuth getClaims fast path: pin iss (project URL) and aud ('authenticated'), log every fallback to getUser (ASVS V9.1 finding) - remove the ignored accountingMethod parameter from calculateVatDeclaration and the dead company_settings.accounting_method reads in xlsx/pdf/eskd routes; v1 API keeps accepting the query param but documents it as a no-op - close the mark_entry_as_opening_balance TOCTOU race with a transactions trigger (20260723190000, FOR KEY SHARE on journal_entries) + pg tests; applied to staging and smoke-verified both directions - re-add the 42501 tenant guard to branch-local migration 20260723160000 (function body had silently reverted to the pre-20260619130100 definition) - document the buildK3Noter tbFullRows full-TB contract (uppskjuten skatt opening balance per BFNAR 2012:1 ch.29) - add KPI VAT-liability test covering reduced-rate output accounts 2621/2631 Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(db): use NULL-safe caller_is_company_member in opening-balance retag guard The re-added tenant guard carried the pre-20260703180000 raw NOT IN (SELECT user_company_ids()) pattern, which the null-safe-tenant-guards ratchet blocks. Staging re-synced. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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b0044bfe98 |
fix(arsredovisning): make the aktiekapital note completable via compa… (#1118)
* fix(arsredovisning): make the aktiekapital note completable via company settings The annual report warned every AB that the aktiekapital note was missing and pointed at Installningar -> Foretag, but the referenced columns (aktiekapital, antal_aktier, kvotvarde) never existed and no settings UI was ever built, so the warning was a dead end and no AB could produce a complete note before Bolagsverket filing. - migration 20260723103000: company_settings.aktiekapital (numeric) and antal_aktier (integer) with positive CHECKs; kvotvarde is intentionally not stored since ABL 1 kap 6 defines it as aktiekapital / antal aktier - build-data.ts (K2 and K3 note paths): select only the two stored columns and derive kvotvarde with roundOre - UpdateSettingsSchema: aktiekapital (positive), antal_aktier (positive integer), both nullable to allow clearing - new ShareCapitalForm section on Installningar -> Foretag, rendered for aktiebolag only, with live derived kvotvarde display; wired through the existing CompanySettingsContent save path (empty string clears to null) - sv/en strings; settings route tests (round-trip, clear, 400 on invalid); builder tests for derived kvotvarde and the empty-settings warning Staging (metjnjrhvujscngnpzdv) already has the columns applied and the note verified end-to-end against a rehearsal company. Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> * fix(arsredovisning): address PR review findings on the share-capital note - enforce aktiekapital/antal_aktier as an all-or-nothing pair (DB CHECK, K2/K3 note guard now requires both, partial pair warns instead) - numeric(15,2) column, .int() Zod constraint, maxFractionDigits 0 render - guard numberOrNull against NaN; align kvotvarde preview with schema - strengthen clearing test, add fractional and partial-pair tests Co-Authored-By: Claude Fable 5 <noreply@anthropic.com> --------- Co-authored-by: Claude Fable 5 <noreply@anthropic.com> |
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466e55a015 |
Fix/invoice delivery and payment accounts (#1116)
* fix: reconcile annual reports with final closing entries * test: cover annual report depreciation and VAT balances * Merge remote-tracking branch 'origin/main' into fix/usr-fdbck-ch * fix: show exact invoice delivery details * fix: use currency account in invoice emails * fix: address invoice delivery review feedback * fix: harden invoice delivery and payment accounts * test: assert RLS-denied zero-row updates * fix: close remaining invoice compliance gaps * fix: harden invoice archive authorization * fix: close invoice delivery review findings * fix: verify delivery finalization results * fix: cap combined invoice email recipients * fix: close final invoice compliance findings * fix: prevent stale payment account saves * test: prove invoice delivery isolation * fix: close invoice privacy review findings * test: normalize delivery retention dates |