* feat(settings): split imports and exports
* feat(security): sanitize pagination params to prevent abuse
* fix(settings): fix syntax in settings nav
* feat(settings): internationalize family_exports and imports UI strings
* fix(settings): fix coderabbit review
* fix(settings): fix coderabbit review
* fix(settings): fix coderabbit review
* Change default per_page value from 20 to 10
Signed-off-by: Juan José Mata <jjmata@jjmata.com>
* Add `/family_export` to navigation
* Consistency with old defaults
* Align `safe_per_page` even if not DRY
---------
Signed-off-by: Julien Orain <julien.orain@gmail.com>
Signed-off-by: Juan José Mata <jjmata@jjmata.com>
Signed-off-by: Juan José Mata <juanjo.mata@gmail.com>
Co-authored-by: JulienOrain <your-github-email@example.com>
Co-authored-by: Juan José Mata <jjmata@jjmata.com>
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
* Enhance security handling logic:
- Prioritize user's country in sorting securities and country codes.
- Add comprehensive mapping for MIC codes to user-friendly exchange names.
- Revamp combobox to consistently pull from a provider when available.
- Improve handling of custom ticker and exchange input fields.
* Localize securities combobox display and exchange labels.
---------
Co-authored-by: luckyPipewrench <luckypipewrench@proton.me>
* Add tax treatment metrics to reports, forms, and models
- Implement `build_gains_by_tax_treatment` for grouping gains by tax treatment
- Update investment performance view with tax treatment breakdown
- Add tax treatment field to crypto and investments forms
- Introduce `realized_gain_loss` calculation in the Trade model
- Group investment subtypes by region for improved dropdown organization
* Optimize investment performance report by reducing N+1 queries
- Eager-load associations in `build_gains_by_tax_treatment` to minimize database queries
- Preload holdings for realized gain/loss calculations in trades
- Refactor views to standardize "no data" placeholder using translations
- Adjust styling in tax treatment breakdown for improved layout
* Enhance investment performance translations and optimize holdings lookup logic
- Update `holdings_count` and `sells_count` translations to handle pluralization
- Refactor views to use pluralized translation keys with count interpolation
- Optimize preloaded holdings lookup in `Trade` to ensure deterministic selection using `select` and `max_by`
* Refine preloaded holdings logic in `Trade` model
- Treat empty preloaded holdings as authoritative to prevent unnecessary DB queries
- Add explicit fallback behavior for database query when holdings are not preloaded
---------
Co-authored-by: luckyPipewrench <luckypipewrench@proton.me>
* Add Dutch (nl) translations for UI and models
Added comprehensive Dutch translation files for models, views, mailers, and Doorkeeper, covering accounts, categories, admin, and more. Updated languages_helper.rb to include 'nl' as a supported language. Improved capitalization and consistency in existing Dutch date and number formats.
* ai sugestions
* nitpick fix
* Fix Dutch translations and improve consistency
Corrected minor issues and improved consistency in Dutch locale files, including fixing typos, updating terminology (e.g., 'Self-Hosting' to 'Zelfhosting', 'Provider selectie' to 'Providerselectie'), and ensuring proper formatting. No functional changes were made; this commit only affects translation files.
* Update Dutch translations for product name and pluralization
Replaced hardcoded product names with %{product_name} in password reset and API key views for improved reusability. Updated wallet setup message in CoinStats item model to support correct Dutch pluralization.
* Update nl.yml
* Add tax treatment support for accounts, investments, and cryptos
* Replace hardcoded region labels with I18n translations
* Add I18n support for subtype labels with fallback to hardcoded values
* fixed schema
---------
Co-authored-by: luckyPipewrench <luckypipewrench@proton.me>
* Update activity menu to conditionally display options for linked and investment accounts
* Update transaction test to reflect "New activity" menu change
---------
Co-authored-by: luckyPipewrench <luckypipewrench@proton.me>
- Updated resolution logic to support combobox-based ticker selection and validation.
- Added market price display with validation against entered prices to detect significant mismatches.
- Improved messaging and UI for custom ticker input and market price warnings.
Co-authored-by: luckyPipewrench <luckypipewrench@proton.me>
* Add `investment_activity_label` to trades and enhance activity label handling
- Introduced `investment_activity_label` column to the `trades` table with a migration.
- Backfilled existing `trades` with activity labels based on quantity (`Buy`, `Sell`, or `Other`).
- Replaced `category_id` in trades with `investment_activity_label` for better alignment with transaction labels.
- Updated views and controllers to display and manage activity labels for trades.
- Added localized badge components for displaying and editing labels dynamically.
- Enhanced `PlaidAccount::Investments::TransactionsProcessor` to assign and process activity labels automatically.
- Added investment flows section to reports for tracking contributions and withdrawals.
- Refactored related tests and models for consistency and to ensure proper validation and filtering.
* Improve handling of `investment_activity_label`, trade type, and security selection in trades and transactions
- Refined label assignment logic in `trades_controller` to default to `Buy`/`Sell` based on transaction nature.
- Simplified security selection in `transactions_controller` by resolving via unique IDs or custom tickers.
- Streamlined UI for trade and transaction forms by updating dropdown options and label text.
- Enabled quick-edit badges to open `convert_to_trade` modal when applicable, enhancing flexibility.
- Adjusted tests and views to align with updated workflows and ensure consistent behavior.
* Improve handling of `investment_activity_label`, trade type, and security selection in trades and transactions
- Refined label assignment logic in `trades_controller` to default to `Buy`/`Sell` based on transaction nature.
- Simplified security selection in `transactions_controller` by resolving via unique IDs or custom tickers.
- Streamlined UI for trade and transaction forms by updating dropdown options and label text.
- Enabled quick-edit badges to open `convert_to_trade` modal when applicable, enhancing flexibility.
- Adjusted tests and views to align with updated workflows and ensure consistent behavior.
* Improve handling of `investment_activity_label`, trade type, and security selection in trades and transactions
- Refined label assignment logic in `trades_controller` to default to `Buy`/`Sell` based on transaction nature.
- Simplified security selection in `transactions_controller` by resolving via unique IDs or custom tickers.
- Streamlined UI for trade and transaction forms by updating dropdown options and label text.
- Enabled quick-edit badges to open `convert_to_trade` modal when applicable, enhancing flexibility.
- Adjusted tests and views to align with updated workflows and ensure consistent behavior.
* Add safeguard for `dropdownTarget` existence in quick edit controller
- Prevent errors by ensuring `dropdownTarget` is present before toggling its visibility.
* Fix undefined method 'category' for Trade on mobile view
Trade model uses investment_activity_label, not category. The upstream
merge introduced a call to trade.category which doesn't exist. Use the
activity label badge on mobile instead.
Co-Authored-By: Claude Opus 4.5 <noreply@anthropic.com>
* Fix activity label logic for zero/blank quantity and sell inference
- Return `nil` for blank or zero quantity in `investment_activity_label_for`.
- Correct `is_sell` logic to use the amount’s sign properly in `transactions_controller`.
* Fix i18n key paths in transactions controller for convert_to_trade
- Update flash message translations to use full i18n paths.
- Use `BigDecimal` for quantity and price calculations to improve precision.
---------
Co-authored-by: Josh Waldrep <joshua.waldrep5+github@gmail.com>
Co-authored-by: luckyPipewrench <luckypipewrench@proton.me>
Co-authored-by: Claude Opus 4.5 <noreply@anthropic.com>
* Add UI and functionality for new user registration via OIDC integration
* Add tests and localization for new user registration via OIDC
---------
Co-authored-by: luckyPipewrench <luckypipewrench@proton.me>
* Implement entry protection flags for sync overwrites
- Added `user_modified` and `import_locked` flags to `entries` table to prevent provider sync from overwriting user-edited and imported data.
- Introduced backfill migration to mark existing entries based on conditions.
- Enhanced sync and processing logic to respect protection flags, track skipped entries, and log detailed stats.
- Updated UI to display skipped/protected entries and reasons in sync summaries.
* Localize error details summary text and adjust `sync_account_later` method placement
* Restored schema.rb
---------
Co-authored-by: luckyPipewrench <luckypipewrench@proton.me>
- Updated `PLAID_TYPE_TO_LABEL` in `TransactionsProcessor` to consolidate labels ("Cancel" and "Cash" now mapped to "Other").
- Adjusted `label_from_plaid_type` to return "Other" as the default fallback.
- Enhanced tests to include additional valid activity labels and ensure label consistency.
- Minor fixes to locale keys for transaction views.
- Removed `exclude_from_cashflow` attribute across models, controllers, and views.
- Updated queries to rely solely on the `excluded` flag for filtering transactions and entries.
- Simplified migration by consolidating `exclude_from_cashflow` functionality into the existing `excluded` toggle.
- Refactored related tests to remove outdated logic and ensured compatibility with the updated implementation.
- Introduced `InvestmentActivityDetector` to mark internal investment activity as excluded from cashflow and assign appropriate labels.
- Added `exclude_from_cashflow` flag to `entries` and `investment_activity_label` to `transactions` with migrations.
- Implemented rake tasks to backfill and clear investment activity labels.
- Updated `PlaidAccount::Investments::TransactionsProcessor` to map Plaid transaction types to labels.
- Included comprehensive test coverage for new functionality.
* Print initial impl
* Try to keep the bigger section together
* /* Tufte-inspired Print Report Styles */
* styling
* I8n
* Move print styling out.
* FIX unrelated test ordering
on line 53 - import.rows.first doesn't guarantee ordering. Without an explicit ORDER BY, the database may return rows in any order.
* Update print-report.css
* Update print.html.erb
* pass data to view
* Update index.html.erb
* Fix ERB helpers
* Update reports_helper.rb
* Add cost basis tracking and management to holdings
- Added migration to introduce `cost_basis_source` and `cost_basis_locked` fields to `holdings`.
- Implemented backfill for existing holdings to set `cost_basis_source` based on heuristics.
- Introduced `Holding::CostBasisReconciler` to manage cost basis resolution logic.
- Added user interface components for editing and locking cost basis in holdings.
- Updated `materializer` to integrate reconciliation logic and respect locked holdings.
- Extended tests for cost basis-related workflows to ensure accuracy and reliability.
* Fix cost basis calculation in holdings controller
- Ensure `cost_basis` is converted to decimal for accurate arithmetic.
- Fix conditional check to properly validate positive `cost_basis`.
* Improve cost basis validation and error handling in holdings controller
- Allow zero as a valid cost basis for gifted/inherited shares.
- Add error handling with user feedback for invalid cost basis values.
---------
Co-authored-by: Josh Waldrep <joshua.waldrep5+github@gmail.com>
- Refactored `persist_holdings` to separate and conditionally upsert holdings with and without cost_basis.
- Updated `avg_cost` logic to treat 0 cost_basis as unknown and return nil when cost_basis cannot be determined.
- Modified trend and investment calculation to exclude holdings with unknown cost_basis.
- Adjusted `average_cost` formatting to handle nil values in API responses and views.
- Added comprehensive tests to ensure cost_basis preservation and fallback behavior.
- Localized `unknown` label for display when cost_basis is unavailable.
Co-authored-by: Josh Waldrep <joshua.waldrep5+github@gmail.com>
* feat(zh-TW): add Traditional Chinese localization support
Integrates comprehensive zh-TW locale files across UI, models, emails, and helpers.
Updates language mapping for Chinese (Traditional) and adds translations for various modules.
Establishes full Traditional Chinese support in the app.
* feat(locales): add zh-TW translations
Add comprehensive Traditional Chinese (zh-TW) translations for UI, defaults,
Doorkeeper, mailers, models, and views to provide full Taiwanese localization
and improve wording consistency.
Replace and update several existing zh-TW entries for clarity and consistency.
Also expose the Postgres port in the example compose for easier local
development and apply minor locale/typo/whitespace fixes.
* feat(locales): add zh-TW translations
Add Traditional Chinese (zh-TW) locale files across many views and settings
to provide Taiwanese localization. Introduce updated translations for
authentication, onboarding, settings, integrations (Plaid, SimpleFin,
Lunch Flow), accounts, reports, and various resource pages.
Remove or replace legacy locale files to align with the revamped i18n
structure and copy organization. This enables full zh-TW support for the UI.
* chore(docker): remove published Postgres port
Remove the published Postgres port mapping (5432) from the example
docker-compose file to avoid exposing the database to the host and to
prevent accidental port conflicts. Keeps the example more secure and
focused on internal service networking.
* docs(i18n): 統一 SimpleFIN 在繁體中文翻譯的大小寫
將 zh-TW 翻譯中所有出現的 "SimpleFin" 更新為品牌正確的 "SimpleFIN",
包含標題、提示文字、成功/錯誤訊息及表單標籤,以維持品牌名稱一致性
並提升使用者介面的翻譯準確性。
* Add pending transaction handling and duplicate reconciliation logic
- Implemented logic to exclude pending transactions from budgets and analytics calculations.
- Introduced mechanisms for reconciling pending transactions with posted versions.
- Added duplicate detection with support for merging or dismissing matches.
- Updated transaction search filters to include a `status_filter` for pending/confirmed transactions.
- Introduced UI elements for reviewing and resolving duplicates.
- Enhanced `ProviderSyncSummary` with stats for reconciled and stale pending transactions.
* Refactor translation handling and enhance transaction and sync logic
- Moved hardcoded strings to locale files for improved translation support.
- Refined styling for duplicate transaction indicators and sync summaries.
- Improved logic for excluding stale pending transactions and updating timestamps on batch exclusion.
- Added unique IDs to status filters for better element targeting in UI.
- Optimized database queries to avoid N+1 issues in stale pending calculations.
* Add sync settings and enhance pending transaction handling
- Introduced a new "Sync Settings" section in hosting settings with UI to toggle inclusion of pending transactions.
- Updated handling of pending transactions with improved inference logic for `posted=0` and `transacted_at` in processors.
- Added priority order for pending transaction inclusion: explicit argument > environment variable > runtime configurable setting.
- Refactored settings and controllers to store updated sync preferences.
* Refactor sync settings and pending transaction reconciliation
- Extracted logic for pending transaction reconciliation, stale exclusion, and unmatched tracking into dedicated methods for better maintainability.
- Updated sync settings to infer defaults from multiple provider environment variables (`SIMPLEFIN_INCLUDE_PENDING`, `PLAID_INCLUDE_PENDING`).
- Refined UI and messaging to handle multi-provider configurations in sync settings.
# Conflicts:
# app/models/simplefin_item/importer.rb
* Debounce transaction reconciliation during imports
- Added per-run reconciliation debouncing to prevent repeated scans for the same account during chunked history imports.
- Trimmed size of reconciliation stats to retain recent details only.
- Introduced error tracking for reconciliation steps to improve UI visibility of issues.
* Apply ABS() in pending transaction queries and improve error handling
- Updated pending transaction logic to use ABS() for consistent handling of negative amounts.
- Adjusted amount bounds calculations to ensure accuracy for both positive and negative values.
- Refined exception handling in `merge_duplicate` to log failures and update user alert.
- Replaced `Date.today` with `Date.current` in tests to ensure timezone consistency.
- Minor optimization to avoid COUNT queries by loading limited records directly.
* Improve error handling in duplicate suggestion and dismissal logic
- Added exception handling for `store_duplicate_suggestion` to log failures and prevent crashes during fuzzy/low-confidence matches.
- Enhanced `dismiss_duplicate` action to handle `ActiveRecord::RecordInvalid` and display appropriate user alerts.
---------
Co-authored-by: Josh Waldrep <joshua.waldrep5+github@gmail.com>