Two user reports (Anders, 2026-08-25 + 2026-08-29): 1. The seeded standardmallar "Inkop EU-varor/-tjanster, omvand moms 25%" booked the cost on 4010/6540, which no momsdeklaration ruta reads, so the fiktiv moms filled ruta 30/48 while ruta 20/21 (inkopsvarde) stayed 0; Skatteverket rejects that (FK004, ML 13 kap). The packs now book directly on the basis accounts 4515/4535 (ACCOUNT_RUTA -> ruta 20/21); the transaction-picker path already skips its own basis emission for basis debit accounts, so no double counting. Regression test pins every reverse-charge pack to a 44xx/45xx business debit. Prod rows update via the existing pack sync cron (upsert on pack_slug). 2. A kontantmetod payment verifikat stayed "Underlag saknas" although the invoice PDF was attached and eligible on every static condition: the inline anchorSupplierInvoiceDocument silently did nothing (prod case 2026-08-28, verified in audit_log: no document_attachments update between the payment booking and the user's manual re-upload). The helper now verifies the guarded update actually matched a row instead of claiming success on zero rows, logs its silent bail branches, and a new daily cron (/api/documents/reanchor/cron) re-runs the anchor for any floating retained document with a posted verifikat, replacing the pattern of one-off repair migrations (20260727180000, 20260824150000). The sweep names the FK in its embed and is idempotent; locked/closed periods are skipped as before. Claude-Session: https://claude.ai/code/session_01Jj6Rg1ViyFRej55gbxLVgj Co-authored-by: Claude Fable 5 <noreply@anthropic.com>
Konteringspaket
Reusable bookkeeping patterns, as data. One YAML file per pattern.
These are the templates a user picks in the app when booking something common: representation, EU-handel, periodiseringsfond, löneutbetalning. They used to be rows frozen inside a database migration. They are files now, so correcting one is a one-line edit and a green CI run instead of a new migration.
Anatomy
meta:
slug: representation-avdragsgill-25-moms # filename must match, this is the public key
order: 13 # display order, unique across the catalogue
name: 'Representation (avdragsgill, 25% moms)'
category: representation # eu_trade | tax_account | private_transfer |
# salary | representation | year_end | vat |
# financial | other
entity_type: all # all | enskild_firma | aktiebolag
description: >-
Extern representation med avdragsgill moms. Max 300 kr/person exkl. moms.
lines:
- account: '6072' # BAS account, ALWAYS quoted (it is a string)
label: 'Representation avdragsgill'
side: debit
type: business
ratio: 0.8
- account: '2641'
label: 'Ingående moms'
side: debit
type: vat
vat_rate: 0.25
- account: '1930'
label: 'Företagskonto'
side: credit
type: settlement
ratio: 1.0
The three line types
The user types one total amount. The type decides how each line's amount is
derived from it (applyTemplate() in lib/bookkeeping/template-library.ts):
| Type | Amount | Carries |
|---|---|---|
vat |
total * vat_rate / (1 + vat_rate); on fiktiv-moms accounts (reverse charge/import, e.g. 2614/2645) total * vat_rate on top of the base |
vat_rate, never ratio |
business |
total * ratio |
ratio, never vat_rate |
settlement |
total * ratio |
ratio, never vat_rate |
settlement is the money leg (the bank account, the reskontra). business is
the cost or revenue. Putting a ratio on a vat line silently computes the
wrong amount, so the schema rejects it rather than trusting you to remember.
Rules the CI gate enforces
Run npm run validate:packs before pushing. It checks:
- The schema, including the
vat_rate/ratiosplit above. - Filename equals
meta.slug. meta.slugandmeta.orderare unique across the catalogue.- Every account exists in the BAS 2026 chart. A pack may only reference standard accounts, because a non-standard one cannot be seeded into a company's chart and the template will fail to apply.
- The pack balances at five probe amounts, applied through the real
applyTemplate(). Debits must equal credits or the verifikat cannot post. - Both a debit and a credit line are present.
Account numbers are strings
account: '1930', never account: 1930. YAML would read the unquoted form as
a number, and a BAS account is an identifier, not a quantity. The schema
rejects it, but quote it anyway so the file reads correctly.
Swedish stays Swedish
name, description and legal_note are user-facing Swedish and are not
translated, in either locale. They are statutory content, per
.claude/rules/i18n.md.
Known-broken templates
Four packs ported out of the original migration have pre-existing problems
(an unbalanced salary template, and accounts that no longer exist in BAS 2026).
They are listed in KNOWN_BROKEN in scripts/validate-packs.ts with the reason
for each. They are quarantined, not accepted: the list may only shrink, and
fixing one means deleting its entry. Each needs a Swedish accounting decision
rather than a code change, which is why they were not fixed during the port.
Adding a pack
- Copy the closest existing file, rename it to your slug.
- Set
meta.orderto one past the current highest. - Run
npm run validate:packs. - New user-facing strings go in the YAML, not in
messages/*.json: a pack carries its own Swedish.