VAT supplier-country reclaim default:
- Migration 134 adds inbound_documents.supplier_country.
- categorizeInbound auto-derives tax_treatment via resolveTaxTreatment:
explicit treatment wins; else country in the reclaim list → domestic,
outside it → foreign_vat_non_reclaimable, unknown → domestic. Consumes the
previously-stored-but-unused accounting_vat_reclaim_countries.
- Triage modal gains a Supplier country dropdown (saved via updateInbound).
+5 unit tests for resolveTaxTreatment.
Configurable default output VAT code for new invoices:
- New accounting_default_output_vat_code setting (PUT wired; getSettings/type).
- Settings → Accounting dropdown to pick it.
- Invoice + quote editors seed their VAT picker (rate + code) from it on a
blank new document — skipping edits/conversions, never clobbering a touched
value. New docs no longer silently start at 0%.
i18n en + de.
Invoice VAT config (codes + label) and the hourly rate now live under
Settings → Accounting, so an install with Invoices must have Accounting
available.
- applyDependencyRules (backend adminFeatureFlags.js + frontend
FeatureFlagsContext.tsx): bills on → accounting on, before the
accounting→children rule so the sub-features keep their own state.
- Migration 133 corrects existing installs: set the STORED accounting=true
where bills is on. requireFeatureFlag('accounting') reads the raw row, so
without this an upgraded install (invoices on, accounting off) would show
the tab but 403 its endpoints. Idempotent; only flips on; no down.
- Features tab: the Accounting card shows locked-on (disabled + hint) while
Invoices is enabled.
Also includes the i18n keys (en/de) for the VAT/financial settings move.
- Add a per-disposition info line under the Disposition dropdown so re-bill
vs pass-through vs company expense is clear in-context (en + de).
- Markup is a re-bill concept only: the control now renders solely for
rebill, and a pass-through always bills at cost. Enforced server-side too
(categorizeInbound applies markup only when disposition === 'rebill').
- Clarify "Book to" with a hint — it attributes the supplier cost to an
event in the tax report / ledger export, separate from who you re-bill to.
Address three incoming-invoice issues:
1. Re-categorization: a categorized invoice can now be changed again (e.g.
passthrough → company expense). New "Re-categorize" button pre-fills the
triage modal from the existing disposition/customer/markup/note.
categorizeInbound is re-runnable — it unwinds any prior re-bill line
(removes the invoice line + recomputes totals) before applying the new
disposition, and refuses (INVOICE_LOCKED) when the re-bill is on an
already-issued invoice.
2. Note field: new `note` column (migration 132 — 126 is already on beta)
captured in triage and shown in the read-only view.
3. Re-bill like hours: rebill/passthrough now persist customer_account_id.
Per-event customers accumulate as PENDING items, surfaced in a new
"Pending re-bills" card and bundled into one invoice via "Bill these"
(mirrors unbilled-hours billing). Monthly/manual customers keep
auto-consolidating onto their running draft. Passthrough (durchlaufend)
can now also attach to a customer with optional markup.
Adds backend unit tests for buildInboundLineItem + isInvoiceMutable and
en/de translations (other locales fall back to English defaults).
Follow-up to #623. The Lightroom TXT export now shows the filename list
in a modal with a "Copy to clipboard" button instead of triggering a
.txt file download — saves the "open file → select all → copy" dance
admins were doing anyway. CSV export takes the same path (paste straight
into Sheets / Excel).
The modal keeps a "Download as file" button so admins who want the file
(sharing with colleagues, archiving, post-processing tooling) aren't
worse off than before — fully additive.
XMP (ZIP archive) and JSON exports keep their direct download path. A
textarea preview is the wrong UI for a binary archive, and JSON is
structured tool input where the file form is the natural mode.
Implementation:
- ExportPreviewModal — readonly textarea, copy + download buttons,
monospace font for filename lists, click-to-select-all on the textarea
for browsers that block clipboard writes (older Safari, hardened
sandboxes — the catch falls through to a "select and copy manually"
toast instead of silent failure).
- photosService.exportPhotosAsText — same backend endpoint as
exportPhotos but resolves the blob.text() and returns
{ content, filename } instead of triggering a download. Preserves
the existing exportPhotos for the XMP / JSON paths.
- PhotoExportMenu — PREVIEW_FORMATS = ['txt', 'csv']; non-preview
formats keep the direct-download flow unchanged.
- EN + DE i18n entries.
No backend changes. No new endpoints. No breaking changes for callers
of photosService.exportPhotos.
Daniel asked for a way to re-use a good gallery configuration without
re-entering every setting. Two of his three suggested workflows are
covered by this PR; the third (per-event-type behaviour defaults) is
partially shipped already via event_types.theme_preset + theme_config
and is left as a follow-up if the duplicate workflow doesn't cover it.
Backend — POST /admin/events/:id/duplicate. Validates a new event_name
(required) + event_date (optional) + customer_name/email (optional);
copies branding (color_theme, css_template_id, header/hero/divider/anchor),
behaviour toggles (allow_downloads, watermark_*, allow_user_uploads,
require_password, etc.), photo_cap, welcome_message, default_photo_sort,
admin_email, and feedback settings + per-event photo categories. Mints a
fresh slug + share_token + random-placeholder password_hash (admin sets
the real one via the publish dialog shipped in #627). Recomputes
expires_at = new_event_date + (source.expires_at - source.event_date) so
the duplicate keeps the same active window; defaults to 30 days if either
source field was null. is_draft is always true.
Deliberately NOT carried over: photos, hero_photo_id, client_access
secrets, og_image_share opt-in, customer_phone, sent_at flags, archive
state, customer-account assignments.
Frontend — new DuplicateEventDialog (matches the PublishGalleryDialog
pattern), wired into the Actions card on EventDetailsPage. Visible in
both draft and live mode since admins typically duplicate from a
published gallery. On success the page navigates to the new draft so the
admin can finish customising + publish.
I18n: EN + DE entries for the dialog + button label. Backend logs an
event_duplicated activity with the source event id/name so the trail is
auditable.
Frontend service: eventsService.duplicateEvent(eventId, data).
Previously, publishing a password-protected DRAFT gallery sent the
gallery_created email with the literal sentinel "(set at creation)",
which the email processor localised to "The password you set when
creating the gallery" / "Das bei der Erstellung der Galerie gesetzte
Passwort". Root cause: at draft creation only the bcrypt hash is stored
(no plaintext column, by design); the publish endpoint had nowhere to
pull the actual password from. Create-and-publish-in-one-step worked
because the plaintext is still in memory at email-queue time.
Fix: the Publish action now opens a small PublishGalleryDialog that
prompts the admin to (re-)type the gallery password. The publish
endpoint accepts an optional `password` body, re-hashes + writes
`password_hash` so the stored hash matches what was just emailed (admins
who mistype at creation get a self-healing publish flow), and puts the
plaintext into the gallery_password email field. When the publish call
is made without a password (API-only consumers), behaviour falls back
to the legacy sentinel — no breaking change.
The window.confirm() publish flow is gone; the dialog handles the no-
password case too (plain confirm + Publish button).
I18n: EN + DE entries for the dialog. Other locales fall through to
the EN defaults via the t() default-value pattern.
No schema changes. No plaintext at rest.
The scope <select> inherited `w-full` from the shared selectClassName, so it
stretched the whole row on its own line (the ledger-format select overrides it
with w-auto; this one didn't). Give it `w-auto min-w-[140px]` and wrap it in an
inline "Scope" label so the Report row reads compactly as
"Scope [Complete ▾] [Export CSV] [Export PDF]", consistent with the journal row.
Adds a Complete / Income only / Cost only selector to the readable PDF + CSV
export (the on-screen report stays complete). Income-only emits just the
outgoing rows + the income summary line (+ the per-rate breakdown in the PDF);
cost-only emits the incoming-invoice + expense rows + the cost line and drops
the income-by-rate breakdown. Useful in Liechtenstein where, under the income
threshold, a flat 20% Gewinnungskosten deduction is sometimes better than actual
costs — handing the Treuhänder just the income (or just the cost) basis is
cleaner.
Backend: renderTaxReportPdf/Csv take a `scope` param (all|income|cost) that
filters report.ledger by row.type + the summary lines; the /pdf + /csv routes
accept & validate `?scope=`; filenames get an income_/cost_ tag. Frontend:
scope <select> beside the export buttons, threaded through buildQueryString.
i18n en/de. The 20% calculation itself is intentionally NOT in-app (applied by
the Treuhänder) per the scoping decision.
1. requireFeatureFlag now caches each flag for 10s (the accounting area is 10+
gated endpoints); PUT /admin/feature-flags invalidates the cache so toggles
still take effect immediately.
2. Customer routes (/quotes, /invoices, /contracts + their PDFs) now gate via
getEffectiveFeaturesForCustomer — the global MASTER flag AND the per-customer
override — instead of the per-customer column alone, via a shared
customerFeatureAllowed() helper. Admin disabling a feature globally is now
honoured for customers too.
4. Tax-report VAT-payable: when accounting_vat_registered is UNSET, stop guessing
from grandTotalVat>0 (a zero-output-VAT quarter silently flipped to "not
registered" and hid the reclaim). Treat null as "not configured":
vatPayableMinor=null + vatRegistrationConfigured=false; the UI renders "—" and
a "configure VAT registration" warning. Tests updated.
5. Shared upsertAppSetting() in utils/appSettings — the two adminSettings upsert
loops use it, so the app_settings created_at class can't be re-introduced.
6. PDF rasterise per-file bound: getRenderedPagePath refuses pages beyond
MAX_RENDERABLE_PAGES (200); page_count is capped to match at ingest, so a
hostile high-page PDF can't drive an unbounded pager.
7. (no code) original_filename is only rendered via auto-escaped JSX; the two
dangerouslySetInnerHTML sites are admin-authored content — paranoia pass clean.
Concerns 3 (foreign-VAT reclaim-country) and 8 (imap_pass plaintext) are PR-reply
/ doc items, addressed in the PR response, not code.
Reworks the previous force-mode UX per the intended model:
- Branding page IS the global preset — keep presets, colors, fonts and style
fully visible. The only change under a force lock: hide the redundant
per-theme Color Mode picker (light/dark is the Force control), with a hint.
- Force only locks light/dark again: reverted applyForceColorMode to swap the
surface palette only — it no longer resets typography/style, so the branding
fonts/style always apply.
- Per-event GALLERY theme editors now receive the global force value and, when
a lock is active, hide the colour pickers AND the light/dark picker (a gallery
can't override the site-wide lock). Presets/fonts/layout stay. Force off →
everything returns.
Wiring: CreateEventPage + EventDetailsPage pass
forceColorMode={publicSettings?.branding_force_color_mode} (value only, no Force
control). Branding keeps both the value and the onForceColorModeChange handler,
which is how the component tells the two contexts apart. i18n en/de.
Follow-up to the force-mode change: hide ALL gallery theme customization while
a force light/dark lock is on, not only colors + typography. Theme presets,
gallery layout, header style, controls style, the colour pickers (incl. accent),
Typography & Style, CSS templates, the PDF-typography slot and event custom CSS
are all hidden — only the Force color mode control (with an explanatory note)
and the Reset/Apply actions remain. Accent brand colours still apply to the
gallery; their picker is just hidden while the lock is on. Turning the lock off
restores the full customizer. Note text + i18n (en/de) updated.
When a force light/dark lock is active it now means "use the clean standard
look": applyForceColorMode also resets typography & style (fonts, size, corner
radius, shadow, background pattern) to defaults — on top of the surface/text
palette it already swapped — so those settings genuinely don't apply while the
lock is on. Accent brand colours and the structural cards (header/controls/
gallery layout/hero divider) are preserved. Override-only: the saved theme keeps
the admin's custom values, so turning the lock off restores them.
In the theme customizer, when a force mode is active, hide the now-dead controls
to avoid confusion — the per-theme Color Mode picker, the Surfaces + Text colour
pickers, and the whole Typography & Style card — and show an explanatory note.
The Force picker itself and the Accent pickers stay visible. i18n en/de.
This pairs with the admin dark-mode fix: admin surfaces follow the `.dark` class
which AdminDarkModeContext drives from the force lock, so force is respected
end-to-end.
The "VAT code by revenue rate" rows were hardcoded to the Swiss/LI rates
(8.1/2.6/3.8/0), so a code at any other rate (e.g. DE 19%/7%) had no row
to map. Derive the rows from the distinct rates of the OUTPUT VAT codes
instead — retype a code to a local rate and its row appears automatically;
remove the last code at a rate and the row drops. The CH/LI seeds are
unchanged and still produce the same four rows.
Frontend rateKey() mirrors backend ledgerService.rateKey so the saved map
keys keep matching the export-time lookup. Each rate's dropdown is scoped
to output codes at that rate. Empty state when no output codes exist.
Adds the 'VAT registration & reclaim' section to Settings → Accounting: a
'VAT-registered' toggle (charge output + reclaim input VAT) and a multi-select
of countries whose input VAT is reclaimable (default domestic CH/LI). Wires
accounting.service + the backend keys added earlier (accounting_vat_registered,
accounting_vat_reclaim_countries). i18n en/de. The report VAT-payable math that
consumes these is the next slice.
The Banana export assumed a double-entry file; a user importing into an Income
& Expense (Einnahmen-Ausgaben) file got "AccountDebit/AccountCredit/Amount/
VatCode column not found", since those columns only exist in double-entry.
Add a second Banana format alongside the double-entry one:
- ledgerService: new `banana_ie` format → Banana I&E columns Date, Doc,
Description, Income, Expenses, ContraAccount (the income/expense account),
VatCode (banana.ch doc 9946). Revenue → gross in Income + revenue account;
cost → gross in Expenses + expense account. Same tab-separated .txt shape.
- Frontend: ExportFormat + dropdown gain `banana_ie`; .txt extension covers
both Banana variants. Labels relabelled: "Banana — double-entry" and
"Banana — income & expense" (de equivalents). Hint de-"double-entry"-fied.
- Test added for the I&E format.
Pairs with the prior UTF-8 BOM fix (the "·" mojibake). Tests + build green.
- Restructure the export area into two labelled groups: 'Report' (PDF/CSV,
for you) and 'Accounting journal' (for your accountant), each with a
one-line caption — instead of two unlabelled button rows.
- i18n: the English label was the German 'Treuhänder export' → now 'Accountant
export' (de stays 'Treuhänder-Export'); hint reworded.
- Feature flags: the journal export is an accounting-layer feature (needs the
Chart-of-accounts mapping), so gate it on the 'accounting' master — the
group only renders when accounting is on, and the backend /export route no
longer requires the 'taxReport' sub-flag (the router already requires accounting).
Build + node --check + JSON parse green.
The standalone 'Treuhänder export' tab duplicated the Tax page's period/
currency filters over the same data. Fold the collective-journal export into
the Tax page as a third export action (target-tool format picker: generic /
Banana / bexio), beside Export CSV/PDF, with a link to its Chart-of-accounts
config. Removes the Accounting sub-nav 'export' tab (old /export route now
redirects to the Tax page); keeps Chart of accounts as its own setup tab.
Deletes the now-orphaned LedgerExportPage.
Build + JSON parse green.
The summary card's top block (Total net/VAT/gross) is the outgoing-invoice
totals but had no section header, unlike the 'Income / costs' block below.
Add an 'Outgoing invoices' (de: 'Ausgangsrechnungen') header to match.
Replaces the separate revenue + costs tables with a single ledger across the
screen, CSV and PDF. Every row is typed (outgoing invoice / incoming invoice /
expense) and signed — outgoing positive, incoming + expenses negative — so
sorting by value runs income → costs and the column nets toward the Result.
- getTaxReport now returns a `ledger` array (signed, typed, date-sorted);
legacy rows/costs/summary kept for back-compat.
- Frontend: one sortable table (click Type/Date/Party/Net/VAT/Gross), coloured
type badges, cancelled rows greyed with lineage badges; Income/Costs/Result
summary box unchanged.
- CSV + PDF reworked to the same unified, signed layout; PDF totals show
Income / Costs (negative) / Result.
- i18n: en/de (frontend) + pdf-i18n (en/de real; fr/nl/pt/ru English-fallback,
flagged for native review).
Build + node --check + JSON parse green.
Resolves the 7 feature-flag / i18n conflicts (accounting flags vs upstream's
Project Overview 'projects' flag, both registered in the same files) as
additive unions — accounting + incomingInvoices + expenses AND projects all
coexist. Migrations slot cleanly: projects 117-121, accounting 122-129, no
collisions. Frontend build + backend node --check pass.
A project must stay tied to one customer. The quote/contract/hours attach
paths already rejected a foreign customer (equality on project.customer_account_id);
the two remaining holes are closed here:
- assignEvent: an event may only join a project that shares its customer. The
event's customer(s) come from event_customer_assignments; a customer-assigned
project rejects an event for a different customer (PROJECT_CUSTOMER_MISMATCH),
and an empty project ADOPTS a single-customer event's customer. This is why
a foreign-customer event could previously be attached.
- updateProject: re-labelling a project to a customer that conflicts with the
events/quotes/contracts it already holds is rejected (clearing to null is
still allowed), so the customer can't be swapped out from under existing
content.
Frontend: the cockpit attach-event action surfaces the translated mismatch
message; projects.error.customerMismatch reworded to read for both documents
and events (de + en).
Resolves the two blockers and the actionable concerns/nits from review.
Blockers (cross-customer leak):
- linkDealToProject: collect the deal's customer + events BEFORE any write,
then reject a cross-customer link with PROJECT_CUSTOMER_MISMATCH (422) before
re-pointing events/quotes/contracts or adopting a customer. The editors set
project_id via quoteService/contractService → linkDealToProject (not
assignDocument), so the guard lives at that chokepoint. Null-project adoption
("first deal wins") preserved as intended.
- assignDocument: boundary guard mirroring customerHoursService, defense-in-depth
ahead of the cascade.
- Frontend: translated PROJECT_CUSTOMER_MISMATCH (projects.error.customerMismatch,
de+en) wired into HoursSection + quote/contract editor onError (concern 5).
Concerns:
- 1: processEmailQueue gains an onlyId option; cockpit "send now" scopes the
flush to the single row so it can't force-retry other dead-lettered emails.
- 2: resendEmail re-stringifies email_data when PG returns a parsed object,
matching the canonical enqueue — no jsonb double-encode.
- 3: cockpit email feed scoped to the project's own document numbers (event_id
for gallery mails; email_data doc-number match for CRM mails) instead of the
recipient string — a shared inbox no longer leaks another customer's mail.
- 4: migration 117 backfill wrapped in a transaction (adds atomicity on SQLite,
where the runner does not wrap; PG already wraps the whole migration).
- 6: resend/cancel/retry/sendNow now logActivity uniformly (project_email_*),
adminId threaded from the route.
- 8: validator optional({ values: 'null' }) → optional({ nullable: true }).
- 9: pre-121 list valuation falls back to customer-scoped quotes so the list
isn't all-zero during the upgrade window.
Nits:
- milestone selection uses Array.at(-1); removed redundant in-loop require in
emailProcessor; clarifying comments for the list/detail perms split and the
count-vs-value (0 vs em-dash) convention.
#1 Triage 'Save & mark paid' now marks the invoice paid directly (categorize +
markInboundPaid with the entered reference) instead of opening the pay dialog
and leaving it unpaid. Removed the PayModal chain.
#2 Cost side missed captured incoming invoices: the query required
currency='CHF', but email/upload invoices often have a null currency →
silently excluded. Now include null-currency rows (treated as the report
currency). Also replaced COALESCE(invoice_date, created_at) with a split
date filter (invoice_date BETWEEN, else created_at range) to avoid the
mixed date/timestamp comparison risk on Postgres. Same fix in the ledger
export (buildPostings).
en/de: categorizedPaidToast.
#1 DocumentPreview renders the page pager for every PDF (disabled at the ends),
not only multi-page ones — so the control is visible on single-page invoices.
#2 Clicking a categorized (unpaid) invoice opens the Mark-paid dialog; new →
categorize, paid/declined/duplicate → view.
#3 A paid row no longer shows two 'Paid' chips — the front badge is the status,
and the right action becomes a quiet 'Mark unpaid' (revert).
#1 Row status reads 'Paid' (green) once supplierPaid — no longer the stale
'categorized' badge.
#2 Clicking a new (unsorted) invoice opens the Categorize modal; sorted ones
still open the read-only view.
#3 Triage gains a Payment reference field (persisted via updateInbound →
payment_reference).
#5 Triage has two actions: 'Save' (categorize only) and 'Save & mark paid'
(categorize, then chain into the mark-paid dialog with the reference
prefilled).
#4 (mark-paid PDF nav) was already present via DocumentPreview — no change.
en/de strings added.
- Root cause of the 502s: ImapFlow had no connect timeout, so a wrong host/port
(e.g. IMAP on an SMTP port) hung the request until the proxy returned 502 with
no message. Added connectionTimeout/greetingTimeout/socketTimeout + a hard
connectWithTimeout() race on every IMAP client (detect/test/roundtrip/poll).
- Error routes now return 422 with the underlying reason (was 502, which
collided with the proxy's own 502 and hid the message).
- New 'Check now' button + POST /incoming-config/poll runs the poller on demand
(respects the incomingMail flag) and reports disabled/unconfigured/busy or N
ingested — so 'nothing in Received' is diagnosable without waiting 60s.
- en/de strings
- emailIntakeService.roundTripTest(): sends a uniquely-tagged email through the
saved SMTP config to the IMAP mailbox (imap_user), then polls IMAP up to 30s
for that subject token; deletes the test message on arrival so it never hits
the accounting inbox. Returns {ok, seconds, recipient} or a typed reason.
- route POST /admin/email/incoming-config/roundtrip (email.send)
- IMAP card: 'Round-trip test' button beside 'Test connection' + Save; toast
reports recipient + delivery time. Distinct reasons mapped (smtp/imap
unconfigured, send_failed, not_received→504).
- en/de strings
- emailIntakeService.testConnection(): logs in, opens the configured folder,
reports message/unread counts (non-destructive). Accepts current form creds
so it works before saving; masked password falls back to stored.
- route POST /admin/email/incoming-config/test
- IMAP card: 'Test connection' button beside Save; toast shows folder + counts
- capitalize 'IMAP Host' label to match 'SMTP Host'
Note: incoming uses IMAP (receiving) vs outgoing SMTP (sending) — genuinely
different servers/credentials, hence the distinct field set (Folder; no From).
Reverts the auto-fill; drops the (993)/(143) from the Security option labels so
incoming behaves exactly like the outgoing SMTP card (plain SSL/TLS vs
STARTTLS, port set manually).
The IMAP card was restyled to match SMTP but didn't carry the required-field
markers. Aligned the required set (protocol differences kept):
- red asterisks on Host *, Port *, Username * (SMTP marks Host/Port/From-Email;
IMAP has no From-Email but always needs a login)
- client-side guard mirroring handleSaveSmtp (block save without host/port/user)
- backend POST /incoming-config now requires imap_user (the poller's
getImapConfig returns null without it)
- en/de requiredFields string
- IncomingMailConfigCard rebuilt to mirror the outgoing SMTP card: Card
padding=md, icon inputs (Server/User/Lock), password eye toggle, stacked
full-width fields, full-width primary Save button
- Folder is now a dropdown auto-populated by a 'Detect' button instead of a
free-text path: backend emailIntakeService.listFolders() lists IMAP
mailboxes (POST /admin/email/incoming-config/folders, accepts current form
creds, masked password falls back to stored); UI auto-selects the inbox
(special-use) folder
- en/de strings added
#1 Incoming invoices are re-viewable: extracted a reusable rasterised
DocumentPreview (last page = QR-bill), added a click-to-view ViewModal on
every row, and embedded the preview in the mark-paid dialog.
#2/#3 Expenses ledger:
- invoiced badge (links to the client invoice) + paid toggle (manual,
independent of invoiced)
- edit until invoiced (ExpenseFormModal now does create + edit; locked
rows show a Lock chip instead of edit/add-to-invoice)
- 'Add to invoice' action (re-bill via customer picker + markup) and a
'Mark paid' dialog
- service: Expense gains invoiced/billedInvoiceId/paid/paidAt fields +
invoiceExpense() and markExpensePaid()
en/de translations added.
Einnahmen-Ausgaben view for the Milchbüchlein/simple-accounting case:
- taxReportService.getTaxReport now returns a cost side (loadCosts:
incoming invoices + internal expenses, company- or event-booked,
schema-guarded) plus a summary (income / costs / result, VAT payable)
- declined/duplicate costs excluded; re-billed costs kept (matching
re-bill revenue is counted, so the net is correct)
- CSV + PDF exports gain a Costs section and an income/costs/result
summary; pdf-i18n keys added for all 6 locales (fr/nl/pt/ru machine —
flag for native review)
- frontend tax page renders the summary card, a costs table (company
vs event), and a 'verify with Treuhänder' disclaimer
- tax-report tests cover the cost aggregation + zeroed summary when the
accounting tables are absent; adminCrmAuth test enables the accounting
master flag the route now requires
fr/nl/pt/ru strings are machine-generated and need native review.
Frontend for the incoming-mail feature.
- Settings -> Email: an "Incoming mail (IMAP)" block under the outgoing SMTP
settings (same field shape: host/port/security/user/pass/folder), shown only
when the incomingMail flag is on (IncomingMailConfigCard, self-contained
load/save).
- A "Received emails" tab next to "Sent emails" (ReceivedEmailsPanel) listing
the received_emails log with from/subject/received/status + attachment count
and a link to the incoming-invoices inbox.
- `incomingMail` flag in the frontend (type + context default, standalone) +
a Communication-section Features card.
- email.service: getIncomingConfig / updateIncomingConfig / listReceived.
- i18n: settings.features.incomingMail, email.incoming, email.received (EN+DE).
Verified: tsc --noEmit clean (0 errors); en/de JSON valid; npm run build green.
New Settings -> Accounting tab (gated by the accounting flag) to edit the km
rate, per-diem rate and the "require proof for expense" toggle (reads GET /
writes PUT /admin/settings/accounting). Rates are CHF, stored as integer minor
units; carries the "verify with your Treuhaender" disclaimer. Wired into
SettingsPage (TabType, keys, flag-gated nav item, render) + the features barrel.
i18n: settings.accounting.* (EN + DE, DE native).
Verified: tsc --noEmit clean (0 errors); en/de JSON valid; npm run build green.
Matches the backend split. Incoming invoices and Expenses are now distinct
surfaces with no shared rows.
Incoming invoices (AccountingInboxPage): triage sets the disposition + booking
(event or company) ON the document; "Mark paid" / "Paid" toggle records
supplier payment HERE with the outstanding total shown; re-bill via the
customer picker + markup. PDF preview still rasterised (last page = QR-bill).
Expenses (ExpensesLedgerPage): internal own-costs only. Add form has a Type
dropdown (amount / mileage(km) / per-diem); km/per-diem switch the input to a
quantity + rate (default from accounting settings, per-entry override) with a
live computed amount; optional proof upload (required when the setting says so);
localized category; booked to an event or the company. Proof viewable per row.
Service: reworked to the new endpoints/shapes; categoryLabel() localizes seed
categories (custom stay free-text). i18n: accounting.booking / incoming /
expense / expenseKind / category (EN + DE, DE native).
Verified: tsc --noEmit clean (0 errors); en/de JSON valid; npm run build green.
Foundation for separating external supplier invoices from internal expenses,
per design review. This stage is additive + buildable; the service/route/UI
data rework follows in stage 2.
- Migration 126: incoming invoices own their payable on inbound_documents
(supplier_paid/at/method/ref + disposition + tax_treatment + booking event_id
+ category_id + re-bill markup/linkage); expenses gain kind (amount/mileage/
per_diem) + quantity + snapshotted rate_minor. Additive, hasColumn-guarded.
- Migration 127: seed `expenses` feature flag (default off) + accounting
app_settings (accounting_km_rate_minor=70, accounting_per_diem_rate_minor=0,
accounting_require_proof=false).
- Backend: `expenses` added to feature-flag known/defaults/dependency (forced
off when the accounting master is off); new PUT /admin/settings/accounting
(read via the generic GET /:type).
- Frontend: `expenses` flag (type + context + dependency); Features tab gets an
Expenses sub-card; the Expenses sub-nav + route now gate on `expenses` (not
incomingInvoices); AccountingIndex prefers inbox -> expenses -> tax.
- i18n: settings.features.expenses.* (EN + DE).
Verified: node -c; migration 124->126->127 harness (new columns, flag, settings
+ idempotency); en/de JSON valid; npm run build green.
Adds an "Add expense" action to the expenses ledger for costs with no inbound
document — mileage, per-diem, a cash receipt, etc.
- accounting.service: createExpense() -> POST /admin/expenses
(createManualExpense); CategorizePayload gains `description`.
- ExpensesLedgerPage: AddExpenseModal with supplier / description / amount /
currency / disposition (company expense / pass-through / re-bill — no
duplicate, there's no document to dedupe). Company-expense picks a category;
re-bill uses the customer picker + markup and chains createExpense -> rebill
into an editable scheduled invoice, same as inbox triage. "Add expense"
button in the filter row.
- i18n: accounting.ledger.{addExpense,addTitle,description,descriptionHint,
createdToast} (EN + DE); shared field labels reuse accounting.inbox.field.*.
Verified: en/de JSON valid; npm run build green.
Security hardening for inbound supplier-invoice previews. The admin UI no
longer renders raw PDFs — a malicious inbound PDF could otherwise run embedded
JS or phone home in the admin's session. Instead PDFs are rasterised to flat
PNGs server-side and only those images are shown.
- backend: new rasterizeService shells out to poppler `pdftoppm` (added to the
Docker image via apk poppler-utils — an OS package, NOT a Node PDF lib, so it
respects the pdfkit+pdf-lib "no third PDF lib" rule). pdftoppm executes no JS
and fetches no remote resources, so it doubles as the SSRF/phone-home guard.
Rendered pages cached under storage/business-docs/inbound/rendered/<id>/.
- GET /inbound/:id/page/:n streams the rasterised PNG (CSP default-src 'none'
+ nosniff). GET /inbound/:id/file now serves PDFs as a DOWNLOAD only
(Content-Disposition: attachment) — never inline; images still inline.
- frontend: triage preview switched from a raw-PDF <iframe> to rasterised page
images (getInboundPageBlob), defaulting to the LAST page (QR-bill) with
prev/next nav for multi-page PDFs; images stream as before.
- i18n: previewError / prevPage / nextPage / pageOf (EN + DE).
REQUIRES A BACKEND IMAGE REBUILD (Dockerfile adds poppler-utils) — a plain
`docker compose pull` of a stale image won't have pdftoppm; the route then
returns 503 RASTERIZER_UNAVAILABLE and the UI shows "preview unavailable".
Verified: node -c, a pdfkit->pdftoppm rasterise smoke test (renders + caches),
en/de JSON valid, npm run build green.
Adds Accounting → Expenses, the view of everything triaged out of the inbox:
- ExpensesLedgerPage: filter by status / disposition; each row shows the
disposition + status badge, CHF amount, created date, and a link to the
client invoice for re-billed items. Supplier-payment toggle ("Mark paid" ->
method + date + reference modal; "Paid" -> click to revert) wired to
/:id/supplier-payment. Payment status is decoupled from categorisation, per
the locked design; declined/duplicate rows skip the toggle.
- AccountingLayout: "Expenses" sub-nav item (gated by incomingInvoices).
- App.tsx: /admin/accounting/expenses route.
- i18n: accounting.subnav.expenses, accounting.ledger/expenseStatus/
paymentMethod (EN + DE, DE authored natively).
Verified: en/de JSON valid; npm run build green.
Instead of OCR, let the admin read the payment slip directly: the triage modal
now embeds the captured document and, for PDFs, opens at the LAST page scrolled
to the Swiss QR-bill area so IBAN/amount/reference are visible while typing.
- backend: capture PDF page count at upload via pdf-lib (new
inbound_documents.page_count, added to in-flight migration 124); new
GET /api/admin/expenses/inbound/:id/file streams the stored file inline
(safePath-guarded, nosniff). Raw-serve is acceptable here (admin views own
uploads); the hardened rasterise-in-isolated-worker path stays a follow-up.
- frontend: getInboundFileBlob fetches the file with Bearer auth as a blob;
the triage modal renders it (iframe for PDF with #page=<last>&view=FitH,300,
<img> for camera photos) in a two-column layout next to the form.
- i18n: accounting.inbox.previewLoading / qrHint (EN + DE).
Verified: node -c, require-graph, migration-124 harness (page_count), npm run
build green.
Adds the Accounting → Incoming invoices frontend on top of the existing
/api/admin/expenses backend:
- accounting.service.ts: typed client (inbound upload/list/get/update/
categorize, expense list, re-bill, supplier-payment, categories).
- AccountingInboxPage: capture a supplier invoice via the device CAMERA
(<input accept="image/*" capture="environment">) or a PDF/image upload;
inbox list with status badges + parsed summary; a triage modal to confirm
fields and pick a disposition (re-bill / pass-through / company expense /
duplicate / declined). Re-bill uses the customer picker and mints an
editable scheduled invoice (chains categorize -> rebill).
- AccountingLayout: "Incoming invoices" sub-nav item + AccountingIndex that
redirects /admin/accounting to the first enabled sub-feature.
- App.tsx: /admin/accounting/inbox route (gated by incomingInvoices).
- i18n: accounting.inbox/disposition/markup + subnav.incomingInvoices +
common.saving (EN + DE, DE authored natively).
Camera capture needs no native app — the mobile web input drives the device
camera straight into the upload endpoint. OCR/QR auto-extraction is still a
backend follow-up (extractionService is a no-op), so fields are confirmed
manually in the triage modal for now.
Verified: npm run build green; en/de JSON valid.
Replaces the earlier peer-`accounting` flag (which only *conditionally*
relocated Tax) with a cleaner top-level master + sub-toggle model, per design
discussion:
- `accounting` = explicit top-level MASTER (Settings -> Features). Off hides
the whole Accounting section.
- Sub-toggles, gated under the master:
- `taxReport` ("Tax export") moves PERMANENTLY out of CRM. Removed from the
Clients sub-nav and from the derived `clients` flag. Now INDEPENDENT of
Bills (per decision). Old /admin/clients/tax-report -> redirect to
/admin/accounting/tax-report.
- `incomingInvoices` (new) gates the supplier-invoice capture / expenses /
re-bill feature; the /api/admin/expenses router now checks it.
- Dependency rules (backend + frontend): accounting off forces taxReport +
incomingInvoices off; taxReport dropped from the clients derivation; the
bills->taxReport rule removed.
- Preserve visuals: migration 122 rewritten to auto-enable `accounting` on
installs that already had Tax on (so the tab doesn't vanish), and to seed
`incomingInvoices` off. Verified with a SQLite harness (taxReport on ->
accounting on; off -> off).
- Settings -> Features: new "Accounting" section with the master card + Tax
export + Incoming invoices sub-cards (disabled until the master is on).
- i18n: navigation.accounting, accounting.*, settings.features.{accounting,
incomingInvoices,taxReport.requiresAccounting}, sections.accounting (EN + DE,
DE authored natively); Tax report relabelled "Tax export"/"Steuerexport".
Verified: node -c, migration-122 harness, en/de JSON valid, npm run build green.
Adds the `accounting` feature flag to the frontend (type, context default) and
a Settings -> Features toggle card. When enabled:
- A new top-level "Accounting" sidebar entry appears (gated by `accounting` +
accounting.view), with an AccountingLayout sub-nav mirroring ClientsLayout.
- The Tax report relocates: it is HIDDEN from the CRM (Clients) sub-nav and
shown under Accounting instead, at /admin/accounting/tax-report. When
accounting is OFF, Tax stays under CRM exactly as before.
Tax visibility still depends on `taxReport` (which depends on `bills`), so the
relocation only changes WHERE the menu item lives, not whether it exists.
Files: featureFlags.service.ts (+'accounting'), FeatureFlagsContext default,
AdminSidebar entry, new AccountingLayout, ClientsLayout filter, App.tsx route,
FeaturesTab card, en/de i18n (navigation.accounting, accounting.*,
settings.features.accounting; DE authored natively).
Verified: `npm run build` green; en/de JSON valid.
Each email in the rollup now carries a 'stored' flag (rendered_html present).
Emails without an exact stored copy show an amber '≈ re-rendered' tag next to
Preview, so it's visible at a glance — not just inside the modal. en + de.
- The customer address often doubles as the admin notification target, so
matching emails purely by recipient swept in system alerts (backup_failed,
restore_failed, …). The recipient match is now restricted to CRM document
types (quote_/contract_/invoice_/storno_); event-scoped mails still match
by event_id.
- getEmailPreview now falls back to renderQueuedEmail() — re-rendering from
the current template + the row's stored email_data — for emails sent before
rendered_html capture, flagged exact:false with an amber 're-rendered' note.
Only a missing template / no variables falls through to 'nothing stored'.
Known limitation: a customer with multiple projects sees their event_id=null
CRM mails under each (email_queue has no project_id).
- computeValuation helper: per deal_uuid, the invoice total (installments
summed, storno netted) wins over the quote; contracts carry no total so
never contribute. Summed across the project's events, split by currency.
- Value column on the Project Overview list + a value/paid block in the
cockpit header. Both gated by bills.view/quotes.view so no figure leaks.
- listProjects computes all values in two bulk queries (not per-project).
- en + de i18n; six unit assertions cover the rule's edge cases.
Search any event by name and attach it to the project (re-points
events.project_id via assignEvent). Lists the project's current events
above the search. en + de i18n. Completes event grouping UX — admins
can now regroup the auto-created per-event projects however they like.