* 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>
* feat: Support multiple crypto wallets with same token
Allows users to import multiple wallets containing the same
cryptocurrency (e.g., ETH on different wallet addresses).
Changes:
- Add wallet_address column to coinstats_accounts
- Update uniqueness validation to include wallet_address
- Extract and store wallet address in WalletLinker
- Add composite unique index on [item_id, account_id, wallet_address]
- Add tests for multi-wallet support and backwards compatibility
Users can now have:
- ETH (0xAAA...) → "Ethereum (0xAA...AA)"
- ETH (0xBBB...) → "Ethereum (0xBB...BB)"
Backwards compatible: existing accounts with wallet_address: nil
continue to work.
* style: Fix array bracket spacing in migration
* chore: Update schema.rb with wallet_address column and index
Add the missing wallet_address column and composite unique index
to db/schema.rb for CI compatibility with db:schema:load
* test: Add test for wallet deletion with same token different addresses
Verifies that deleting one wallet does not affect other wallets
that share the same token but have different addresses.
Addresses review comment from @EthanC via @jjmata
---------
Signed-off-by: Juan José Mata <juanjo.mata@gmail.com>
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
* 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>
* 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>
This column was never meant to be added - the migration is a no-op.
The schema.rb was incorrectly committed with this column during rebase.
Co-Authored-By: Claude Opus 4.5 <noreply@anthropic.com>
- 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.
* 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>
- 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.
* 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>
* Implement API v1 Imports controller
- Add Api::V1::ImportsController with index, show, and create actions
- Add Jbuilder views for index and show
- Add integration tests
- Implement row generation logic in create action
- Update routes
* Validate import account belongs to family
- Add validation to Import model to ensure account belongs to the same family
- Add regression test case in Api::V1::ImportsControllerTest
* updating docs to be more detailed
* Rescue StandardError instead of bare rescue in ImportsController
* Optimize Imports API and fix documentation
- Implement rows_count counter cache for Imports
- Preload rows in Api::V1::ImportsController#show
- Update documentation to show correct OAuth scopes
* Fix formatting in ImportsControllerTest
* Permit all import parameters and fix unknown attribute error
* Restore API routes for auth, chats, and messages
* removing pr summary
* Fix trailing whitespace and configured? test failure
- Update Import#configured? to use rows_count for performance and consistency
- Mock rows_count in TransactionImportTest
- Fix trailing whitespace in migration
* Harden security and fix mass assignment in ImportsController
- Handle type and account_id explicitly in create action
- Rename import_params to import_config_params for clarity
- Validate type against Import::TYPES
* Fix MintImport rows_count update and migration whitespace
- Update MintImport#generate_rows_from_csv to update rows_count counter cache
- Fix trailing whitespace and final newline in AddRowsCountToImports migration
* Implement full-screen Drag and Drop CSV import on Transactions page
- Add DragAndDropImport Stimulus controller listening on document
- Add full-screen overlay with icon and text to Transactions index
- Update ImportsController to handle direct file uploads via create action
- Add system test for drag and drop functionality
* Implement Drag and Drop CSV upload on Import Upload page
- Add drag-and-drop-import controller to import/uploads/show
- Add full-screen overlay to import/uploads/show
- Annotate upload form and input with drag-and-drop targets
- Add PR_SUMMARY.md
* removing pr summary
* Add file validation to ImportsController
- Validate file size (max 10MB) and MIME type in create action
- Prevent memory exhaustion and invalid file processing
- Defined MAX_CSV_SIZE and ALLOWED_MIME_TYPES in Import model
* Refactor dragLeave logic with counter pattern to prevent flickering
* Extract shared drag-and-drop overlay partial
- Create app/views/imports/_drag_drop_overlay.html.erb
- Update transactions/index and import/uploads/show to use the partial
- Reduce code duplication in views
* Update Brakeman and harden ImportsController security
- Update brakeman to 7.1.2
- Explicitly handle type assignment in ImportsController#create to avoid mass assignment
- Remove :type from permitted import parameters
* Fix trailing whitespace in DragAndDropImportTest
* Don't commit LLM comments as file
* FIX add api validation
---------
Co-authored-by: Carlos Adames <cj@Carloss-MacBook-Air.local>
Co-authored-by: Juan José Mata <jjmata@jjmata.com>
Co-authored-by: sokie <sokysrm@gmail.com>
* FIX issue with stock price retrieval on weekend
* make weekend provisional and increase lookback
* FIX query error
* fix gap fill
The bug: When a price is provisional but the provider doesn't return a new value (weekends), we fall back to the existing DB value instead of gap-filling from Friday's correct price.
* Update importer.rb
Align provider fetch to use PROVISIONAL_LOOKBACK_DAYS for consistency. In the DB fallback, derive currency from provider_prices or db_prices and filter the query accordingly.
* Update 20260110122603_mark_suspicious_prices_provisional.rb
* Delete db/migrate/20260110122603_mark_suspicious_prices_provisional.rb
Signed-off-by: soky srm <sokysrm@gmail.com>
* Update importer.rb
* FIX tests
* FIX last tests
* Update importer_test.rb
The test doesn't properly force effective_start_date to skip old dates because there are many missing dates between the old date and recent dates. Let me fix it to properly test the subset processing scenario.
---------
Signed-off-by: soky srm <sokysrm@gmail.com>
* Fix linked account balance currency mismatch
When linking accounts from providers (Lunchflow, SimpleFIN, Enable Banking),
the initial sync was creating balances before the correct currency was known.
This caused:
1. Opening anchor entry created with default currency (USD/EUR)
2. First sync created balances with wrong currency
3. Later syncs created balances with correct currency
4. Both currency balances existed, charts showed wrong (zero) values
Changes:
- Add `skip_initial_sync` parameter to `Account.create_and_sync`
- Skip initial sync for linked accounts (provider sync handles it)
- Add currency filter to ChartSeriesBuilder query to only fetch
balances matching the account's current currency
* Add migration script and add tests
* Update schema.rb
---------
Signed-off-by: soky srm <sokysrm@gmail.com>
Co-authored-by: sokie <sokysrm@gmail.com>
* Fix investments retrieval
Problem Summary
Stock prices for securities like European stocks become stale because:
1. sync_all_accounts runs at 2:22 UTC (before European markets open)
2. Provider doesn't have today's price yet, so importer gap-fills with LOCF (yesterday's price)
3. Later import_market_data at 22:00 UTC sees all prices exist and skips fetching
4. Real closing price is never retrieved
Solution Overview
Add a provisional boolean column to mark gap-filled prices that should be re-fetched.
* Update schema.rb
---------
Signed-off-by: Juan José Mata <juanjo.mata@gmail.com>
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
* Feat(CoinStats): Scaffold implementation, not yet functional
* Feat(CoinStats): Implement crypto wallet balance and transactions
* Feat(CoinStats): Add tests, Minor improvements
* Feat(CoinStats): Utilize bulk fetch API endpoints
* Feat(CoinStats): Migrate strings to i8n
* Feat(CoinStats): Fix error handling in wallet link modal
* Feat(CoinStats): Implement hourly provider sync job
* Feat(CoinStats): Generate docstrings
* Fix(CoinStats): Validate API Key on provider update
* Fix(Providers): Safely handle race condition in merchance creation
* Fix(CoinStats): Don't catch system signals in account processor
* Fix(CoinStats): Preload before iterating accounts
* Fix(CoinStats): Add no opener / referrer to API dashboard link
* Fix(CoinStats): Use strict matching for symbols
* Fix(CoinStats): Remove dead code in transactions importer
* Fix(CoinStats): Avoid transaction fallback ID collisions
* Fix(CoinStats): Improve Blockchains fetch error handling
* Fix(CoinStats): Enforce NOT NULL constraint for API Key schema
* Fix(CoinStats): Migrate sync status strings to i8n
* Fix(CoinStats): Use class name rather than hardcoded string
* Fix(CoinStats): Use account currency rather than hardcoded USD
* Fix(CoinStats): Migrate from standalone to Provider class
* Fix(CoinStats): Fix test failures due to string changes
Multi-provider SSO support:
- Database-backed SSO provider management with admin UI
- Support for OpenID Connect, Google OAuth2, GitHub, and SAML 2.0
- Flipper feature flag (db_sso_providers) for dynamic provider loading
- ProviderLoader service for YAML or database configuration
Admin functionality:
- Admin::SsoProvidersController for CRUD operations
- Admin::UsersController for super_admin role management
- Pundit policies for authorization
- Test connection endpoint for validating provider config
User provisioning improvements:
- JIT (just-in-time) account creation with configurable default role
- Changed default JIT role from admin to member (security)
- User attribute sync on each SSO login
- Group/role mapping from IdP claims
SSO identity management:
- Settings::SsoIdentitiesController for users to manage connected accounts
- Issuer validation for OIDC identities
- Unlink protection when no password set
Audit logging:
- SsoAuditLog model tracking login, logout, link, unlink, JIT creation
- Captures IP address, user agent, and metadata
Advanced OIDC features:
- Custom scopes per provider
- Configurable prompt parameter (login, consent, select_account, none)
- RP-initiated logout (federated logout to IdP)
- id_token storage for logout
SAML 2.0 support:
- omniauth-saml gem integration
- IdP metadata URL or manual configuration
- Certificate and fingerprint validation
- NameID format configuration
- Add institution name & domain, to allow fetching logos when no provider is configured
- Add free-form textarea for storing misc. notes (eg. sort codes, account numbers)
- Update account settings form to support these new fields
* Fix record violation
and add toggle for recurring feature
* Run only once per sync cycle ( 30 sec )
* FIX params passing
* Add collapsible to recurring section
* FIX preferences error catch
* Address remaining CodeRabbit comments from PR #267
This commit addresses the remaining unresolved code review comments:
1. Fix down migration in drop_was_merged_from_transactions.rb
- Add null: false, default: false constraints to match original column
- Ensures proper rollback compatibility
2. Fix bare rescue in maps_helper.rb compute_duplicate_only_flag
- Replace bare rescue with rescue StandardError => e
- Add proper logging for debugging
- Follows Ruby best practices by being explicit about exception handling
These changes improve code quality and follow Rails/Ruby best practices.
* Refactor `SimplefinItemsController` and add tests for balances sync and account relinking behavior
- Replaced direct sync execution with `SyncJob` for asynchronous handling of balances sync.
- Updated account relinking logic to prevent disabling accounts with other active provider links.
- Removed unused `compute_relink_candidates` method.
- Added tests to verify `balances` action enqueues `SyncJob` and relinking respects account-provider relationships.
* Refactor balances sync to use runtime-only `balances_only` flag
- Replaced persistent `sync_stats` usage with runtime `balances_only?` predicate via `define_singleton_method`.
- Updated `SimplefinItemsController` `balances` action to pass `balances_only` flag to `SyncJob`.
- Enhanced `SyncJob` to attach transient `balances_only?` flag for execution.
- Adjusted `SimplefinItem::Syncer` logic to rely on the runtime `balances_only?` method.
- Updated controller tests to validate runtime flag usage in `SyncJob`.
---------
Co-authored-by: Claude <noreply@anthropic.com>
Co-authored-by: Josh Waldrep <joshua.waldrep5+github@gmail.com>
* Initial implementation
* FIX keys
* Add langfuse evals support
* FIX trace upload
* Delete .claude/settings.local.json
Signed-off-by: soky srm <sokysrm@gmail.com>
* Update client.rb
* Small LLMs improvements
* Keep batch size normal
* Update categorizer
* FIX json mode
* Add reasonable alternative to matching
* FIX thinking blocks for llms
* Implement json mode support with AUTO mode
* Make auto default for everyone
* FIX linter
* Address review
* Allow export manual categories
* FIX user export
* FIX oneshot example pollution
* Update categorization_golden_v1.yml
* Update categorization_golden_v1.yml
* Trim to 100 items
* Update auto_categorizer.rb
* FIX for auto retry in auto mode
* Separate the Eval Logic from the Auto-Categorizer
The expected_null_count parameter conflates eval-specific logic with production categorization logic.
* Force json mode on evals
* Introduce a more mixed dataset
150 items, performance from a local model:
By Difficulty:
easy: 93.22% accuracy (55/59)
medium: 93.33% accuracy (42/45)
hard: 92.86% accuracy (26/28)
edge_case: 100.0% accuracy (18/18)
* Improve datasets
Remove Data leakage from prompts
* Create eval runs as "pending"
---------
Signed-off-by: soky srm <sokysrm@gmail.com>
Signed-off-by: Juan José Mata <juanjo.mata@gmail.com>
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
* Add Recent Runs visibility for rule executions
Adds a comprehensive tracking system for rule execution history with the following features:
- Creates RuleRun model to track execution metadata:
* Date/time of execution
* Execution type (manual/scheduled)
* Success/failure status
* Rule reference
* Transaction counts (processed and modified)
* Error messages for failed runs
- Updates RuleJob to automatically record execution results:
* Captures transaction processing statistics
* Handles success/failure states
* Stores error details for debugging
- Adds "Recent Runs" section to rules index page:
* Paginated display (20 runs per page)
* Columnar layout similar to LLM usage page
* Visual status indicators (success/failed badges)
* Error tooltips for failed runs
* Responsive design with design system tokens
- Includes i18n translations for all user-facing strings
This provides users with visibility into rule execution history, making it easier to debug issues and monitor rule performance.
* Update schema.rb with rule_runs table definition
* Linter noise
* Separate transaction counts into Queued, Processed, and Modified
Previously, the code eagerly reported transactions as "processed" when they
were only queued for processing. This commit separates the counts into three
distinct metrics:
- Transactions Queued: Count of transactions matching the rule's filter
conditions before any processing begins
- Transactions Processed: Count of transactions that were actually processed
and modified by the rule actions
- Transactions Modified: Count of transactions that had their values changed
(currently same as Processed, but allows for future differentiation)
Changes:
- Add transactions_queued column to rule_runs table
- Update RuleJob to track all three counts separately
- Update action executors to return count of modified transactions
- Update Rule#apply to aggregate modification counts from actions
- Add transactions_queued label to locales
- Update Recent Runs view to display new column
- Add validation for transactions_queued in RuleRun model
The tracking now correctly reports:
1. How many transactions matched the filter (queued)
2. How many were actually modified (processed/modified)
3. Distinguishes between matching and modifying transactions
* Add Pending status to track async rule execution progress
Introduced a new "pending" status for rule runs to properly track async
AI operations. The system now:
- Tracks pending async jobs with a counter that decrements as jobs complete
- Updates transactions_modified incrementally as each job finishes
- Only counts transactions that were actually modified (not just queued)
- Displays pending status with yellow badge in the UI
- Automatically transitions from pending to success when all jobs complete
This provides better visibility into long-running AI categorization and
merchant detection operations, showing real-time progress as Sidekiq
processes the batches.
* Fix migration version to 7.2 as per project standards
* Consolidate rule_runs migrations into single migration file
Merged three separate migrations (create, add_transactions_queued,
add_pending_jobs_count) into a single CreateRuleRuns migration.
This provides better clarity and maintains a clean migration history.
Changes:
- Updated CreateRuleRuns migration to include all columns upfront
- Removed redundant add_column migrations
- Updated schema version to 2025_11_24_000000
* Linter and test fixes
* Space optimization
* LLM l10n is better than no l10n
* Fix implementation for tags/AI rules
* Fix tests
* Use batch_size
* Consider jobs "unknown" status sometimes
* Rabbit suggestion
* Rescue block for RuleRun.create!
---------
Co-authored-by: Claude <noreply@anthropic.com>
* Add full import/export support for rules with versioned JSON schema
This commit implements comprehensive import/export functionality for rules,
allowing users to back up and restore their rule definitions.
Key features:
- Export rules to both CSV and NDJSON formats with versioned schema (v1)
- Import rules from CSV with full support for nested conditions and actions
- UUID to name mapping for categories and merchants for portability
- Support for compound conditions with sub-conditions
- Comprehensive test coverage for export and import functionality
- UI integration for rules import in the imports interface
Technical details:
- Extended Family::DataExporter to generate rules.csv and include rules in all.ndjson
- Created RuleImport model following the existing Import STI pattern
- Added migration for rule-specific columns in import_rows table
- Implemented serialization helpers to map UUIDs to human-readable names
- Added i18n support for the new import option
- Included versioning in NDJSON export to support future schema evolution
The implementation ensures rules can be safely exported from one family
and imported into another, even when category/merchant IDs differ,
by mapping between names and IDs during export/import.
* Fix AR migration version
* Mention support for rules export
* Rabbit suggestion
* Fix tests
* Missed schema.rb
* Fix sample CSV download for rule import
* Fix parsing in Rules import
* Fix tests
* Rule import message i18n
* Export tag names, not UUIDs
* Make sure tags are created if needed at import
* Avoid test errors when running in parallel
---------
Co-authored-by: Claude <noreply@anthropic.com>
* Initial enable banking implementation
* Handle multiple connections
* Amount fixes
* Account type mapping
* Add option to skip accounts
* Update schema.rb
* Transaction fixes
* Provider fixes
* FIX account identifier
* FIX support unlinking
* UI style fixes
* FIX safe redirect and brakeman issue
* FIX
- pagination max fix
- wrap crud in transaction logic
* FIX api uid access
- The Enable Banking API expects the UUID (uid from the API response) to fetch balances/transactions, not the identification_hash
* FIX add new connection
* FIX erb code
* Alert/notice box overflow protection
* Give alert/notification boxes room to grow (3 lines max)
* Add "Enable Banking (beta)" to `/settings/bank_sync`
* Make Enable Banking section collapsible like all others
* Add callback hint to error message
---------
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
* Initial implementation
* Add support for reports section too
* UI Improvement
now it looks a lot nicer :)
* Remove duplicate section titles
* FIX malformed DIV
* Add accessibility and touch support
WCAG 2.1 Level AA Compliant
- Keyboard operable (Success Criterion 2.1.1)
- Focus visible (Success Criterion 2.4.7)
- Name, Role, Value (Success Criterion 4.1.2)
Screen Reader Support
- Clear instructions in aria-label
- Proper semantic roles
- State changes announced via aria-grabbed
* Add proper UI for tab highlight
* Add keyboard support to collapse also
* FIX js errors
* Fix rabbit
* FIX we don't need the html
* FIX CSRF and error handling
* Simplify into one single DB migration
---------
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
* Move provider config to family
* remove global settings
* Remove turbo auto submit
* Fix flash location
* Fix mssing syncer for lunchflow
* Update schema.rb
* FIX tests and encryption config
* FIX make rabbit happy
* FIX run migration in SQL
* FIX turbo frame modal
* Branding fixes
* FIX rabbit
* OCD with product names
* More OCD
* No other console.log|warn in codebase
---------
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
* SimpleFin: metadata + merge fixes; holdings (incl. crypto) + Day Change; Sync Summary; ops rakes; lint
# Conflicts:
# db/schema.rb
# Conflicts:
# app/controllers/simplefin_items_controller.rb
* fix testing
* fix linting
* xfix linting x2
* Review PR #267 on we-promise/sure (SimpleFin enhancements v2). Address all 15 actionable CodeRabbit comments: Add UUID validations in rakes (e.g., simplefin_unlink), swap Ruby pattern matching/loops for efficient DB queries (e.g., where LOWER(name) LIKE ?), generate docstrings for low-coverage areas (31%), consolidate routes for simplefin_items, move view logic to helpers (e.g., format_transaction_extra), strengthen tests with exact assertions/fixtures for dedup/relink failures. Also, check for overlaps with merged #262 (merchants fix): Ensure merchant creation in simplefin_entry/processor.rb aligns with new payee-based flow and MD5 IDs; add tests for edge cases like empty payees or over-merging pendings. Prioritize security (PII redaction in logs, no hardcoded secrets).
* SimpleFin: address CodeRabbit comments (batch 1)
- Consolidate simplefin_items routes under a single resources block; keep URLs stable
- Replace inline JS with Stimulus auto-relink controller; auto-load relink modal via global modal frame
- Improve a11y in relink modal by wrapping rows in labels
- Harden unlink rake: default dry_run=true, UUID validation, redact PII in outputs, clearer errors
- Backfill rake: default dry_run=true, UUID validation; groundwork for per-SFA counters
- Fix-was-merged rake: default dry_run=true, UUID validation; clearer outputs
- Idempotent transfer auto-match (find_or_create_by! + RecordNotUnique rescue)
- Extract SimpleFin error tooltip assembly into helper and use it in view
RuboCop: maintain 2-space indentation, spaces inside array brackets, spaces after commas, and no redundant returns
* Linter noise
* removed filed commited by mistake.
* manual relink flow and tighten composite matching
* enforce manual relink UI; fix adapter keywords; guarantee extra.simplefin hash
* refactor(simplefin): extract relink service; enforce manual relink UI; tighten composite match; migration 7.2
* add provider date parser; refactor rake; move view queries; partial resilience
* run balances-only import in background job. make update flow enqueue balances-only job
* persists across all update redirects and initialize
used_manual_ids to prevent NameError in relink candidate computation.
* SimpleFin: metadata + merge fixes; holdings (incl. crypto) + Day Change; Sync Summary; ops rakes; lint
* Fixed failed test after rebase.
* scan_ruby fix
* Calming the rabbit:
Fix AccountProvider linking when accounts change
Drop the legacy unique index instead of duplicating it
Fix dynamic constant assignment
Use fixtures consistently; avoid rescue for control flow.
Replace bare rescue with explicit exception class.
Move business logic out of the view.
Critical: Transaction boundary excludes recompute phase, risking data loss.
Inconsistency between documentation and implementation for zero-error case.
Refactor to use the compute_unlinked_count helper for consistency.
Fix cleanup task default: it deletes by default.
Move sync stats computation to controller to avoid N+1 queries.
Consolidate duplicate sync query.
Clarify the intent of setting flash notice on the error path.
Fix Date/Time comparison in should_be_inactive?.
Move stats retrieval logic to controller.
Remove duplicate Sync summary section.
Remove the unnecessary sleep statement; use Capybara's built-in waiting.
Add label wrappers for accessibility and consistency.
* FIX SimpleFIN new account modal
Now new account properly loads as a Modal, instead of new page.
Fixes also form showing dashboard instead of settings page.
* Remove SimpleFin legacy UI components, migrate schema, and refine linking behavior.
# Conflicts:
# app/helpers/settings_helper.rb
* Extract SimpleFin-related logic to `prepare_show_context` helper and refactor for consistency. Adjust conditional checks and ensure controller variables are properly initialized.
* Remove unused SimpleFin maps from prepare_show_context; select IDs to avoid N+1
Replace Tailwind bg-green-500 with semantic bg-success in _simplefin_panel/_provider_form
Add f.label :setup_token in simplefin_items/new for a11y
Remove duplicate require in AccountsControllerSimplefinCtaTest
* Remove unnecessary blank lines
* Reduce unnecessary changes
This reduces the diff against main
* Simplefin Account Setup: Display in modal
This fixes an issue with the `X` dismiss button in the top right corner
* Removed unnecessary comment.
* removed unnecessary function.
* fixed broken links
* Removed unnecessary file
* changed to database query
* set to use UTC and gaurd against null
* set dry_run=true
* Fixed comment
* Changed to use a database-level query
* matched test name to test behavior.
* Eliminate code duplication and Time.zone dependency
* make final summary surface failures
* lint fix
* Revised timezone comment. better handle missing selectors.
* sanitized LIKE wildcards
* Fixed SimpleFin import to avoid “Currency can’t be blank” validation failures when providers return an empty currency string.
* Added helper methods for admin and self-hosted checks
* Specify exception types in rescue clauses.
* Refined logic to determine transaction dates for credit accounts.
* Refined stats calculation for `total_accounts` to track the maximum unique accounts per run instead of accumulating totals.
* Moved `unlink_all!` logic to `SimplefinItem::Unlinking` concern and deprecated `SimplefinItem::Unlinker`. Updated related references.
* Refined legacy unlinking logic, improved `current_holdings` formatting, and added ENV-based overrides for self-hosted checks.
* Enhanced `unlink_all!` with explicit error handling, improved transaction safety, and refined ENV-based self-hosted checks. Adjusted exception types and cleaned up private method handling.
* Improved currency assignment logic by adding fallback to `current_account` and `family` currencies.
* Enhanced error tracking during SimpleFin account imports by adding categorized error buckets, limiting stored errors to the last 5, and improving `stats` calculations.
* typo fix
* Didn't realize rabbit was still mad...
Refactored SimpleFin error handling and CTA logic: centralized duplicate detection and relink visibility into controller, improved task counters, adjusted redirect notices, and fixed form indexing.
* Dang rabbit never stops... Centralized SimpleFin maps logic into `MapsHelper` concern and integrated it into relevant controllers and rake tasks. Optimized queries, reduced redundancy, and improved unlinked counts and manual account checks with batch processing. Adjusted task arguments for clarity.
* Persistent rabbit. Optimized SimpleFin maps logic by implementing batch queries for manual account and unlinked count checks, reducing N+1 issues. Improved clarity of rake task argument descriptions and error messages for better usability.
* Lost a commit somehow, resolved here. Refactored transaction extra details logic by introducing `build_transaction_extra_details` helper to improve clarity, reusability, and reduce view complexity. Enhanced rake tasks with strict dry-run validation and better error handling. Updated schema to allow nullable `merchant_id` and added conditional unique indexes for recurring transactions.
* Refactored sensitive data redaction in `simplefin_unlink` task for recursive handling, optimized SQL sanitization in `simplefin_holdings_backfill`, improved error handling in `transactions_helper`, and streamlined day change calculation logic in `Holding` model.
* Lint fix
* Removed per PR comments.
* Also removing per PR comment.
* git commit -m "SimpleFIN polish: preserve #manual-accounts wrapper, unify \"manual\" scope, and correct unlinked counts
- Preserve #manual-accounts wrapper: switch non-empty updates to turbo_stream.update and background broadcast_update_to; keep empty-path replace to render <div id=\"manual-accounts\"></div>
- Unify definition of manual accounts via Account.visible_manual (visible + legacy-nil + no AccountProvider); reuse in controllers, jobs, and helper
- Correct setup/unlinked counts: SimplefinItem::Syncer#finalize_setup_counts and maps now consider AccountProvider links (legacy account AND provider must be absent)
Deleted:
- app/models/simplefin_item/relink_service.rb
- app/controllers/concerns/simplefin_items/relink_helpers.rb
- app/javascript/controllers/auto_relink_controller.js
- app/views/simplefin_items/_relink_modal.html.erb
- app/views/simplefin_items/manual_relink.html.erb
- app/views/simplefin_items/relink.html.erb
- test/services/simplefin_item/relink_service_test.rb
Refs: PR #318 unified link/unlink; PR #267 SimpleFIN; follow-up to fix wrapper ID loss and counting drift."
* Extend unlinked account check to include "Investment" type
* set SimpleFIN item for `balances`, remove redundant unpacking, and improve holdings task error
* SimpleFIN: add `errors` action + modal; do not reintroduce legacy relink actions; removed dead helper
* FIX simpleFIN linking
* Add delay back, tests benefit from it
* Put cache back in
* Remove empty `rake` task
* Small spelling fixes.
---------
Signed-off-by: soky srm <sokysrm@gmail.com>
Co-authored-by: Josh Waldrep <joshua.waldrep5+github@gmail.com>
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
Co-authored-by: sokie <sokysrm@gmail.com>
Co-authored-by: Dylan Corrales <deathcamel58@gmail.com>
* Allow category imports to set icons
* Linter
* Update category import description in English locale
Signed-off-by: Juan José Mata <juanjo.mata@gmail.com>
* Rename icon in CSV header to `lucide-icon`
* Make sure we export the icon while we're at this
---------
Signed-off-by: Juan José Mata <juanjo.mata@gmail.com>
* Fix pattern identification without merchants
- We already support the schema and data, but pattern identification now groups either per merchant or per transaciton name.
* Fix missed this view
* Fix update schema
* Wrong schema pushed
* Implement recurring transactions support
* Amount fix
* Hide section when any filter is applied
* Add automatic identify feature
Automatic identification runs after:
- CSV Import completes (TransactionImport, TradeImport, AccountImport, MintImport)
- Plaid sync completes
- SimpleFIN sync completes
- LunchFlow sync completes
- Any new provider that we create.
* Fix linter and tests
* Fix address review
* FIX proper text sizing
* Fix further linter
Use circular distance to handle month-boundary wrapping
* normalize to a circular representation before computing the median
* Better tests validation
* Added some UI info
Fix pattern identification, last recurrent transaction needs to happened within the last 45 days.
* Fix styling
* Revert text subdued look
* Match structure of the other sections
* Styling
* Restore positive amounts styling
* Shorten label for UI styling
---------
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
* First pass lunch flow
* Fixes
- Fix apikey not being saved properly due to provider no reload support
- Fix proper messages if we try to link existing accounts.
* Fix better error handling
* Filter existing transactions and skip duplicates
* FIX messaging
* Branding :)
* Fix XSS and linter
* FIX provider concern
- also fix code duplication
* FIX md5 digest
* Updated determine_sync_start_date to be account-aware
* Review fixes
* Broaden error catch to not crash UI
* Fix buttons styling
* FIX process account error handling
* FIX account cap and url parsing
* Lunch Flow brand
* Found orphan i18n strings
* Remove per conversation with @sokie
---------
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
* Implement providers factory
* Multiple providers sync support
- Proper Multi-Provider Syncing: When you click sync on an account with multiple providers (e.g., both Plaid and SimpleFin), all provider items are synced
- Better API: The existing account.providers method already returns all providers, and account.provider returns the first one for backward compatibility
- Correct Holdings Deletion Logic: Holdings can only be deleted if ALL providers allow it, preventing accidental deletions that would be recreated on next sync
TODO: validate this is the way we want to go? We would need to check holdings belong to which account, and then check provider allows deletion. More complex
- Database Constraints: The existing validations ensure an account can have at most one provider of each type (one PlaidAccount, one SimplefinAccount, etc.)
* Add generic provider_import_adapter
* Finish unified import strategy
* Update app/models/plaid_account.rb
Co-authored-by: coderabbitai[bot] <136622811+coderabbitai[bot]@users.noreply.github.com>
Signed-off-by: soky srm <sokysrm@gmail.com>
* Update app/models/provider/factory.rb
Co-authored-by: coderabbitai[bot] <136622811+coderabbitai[bot]@users.noreply.github.com>
Signed-off-by: soky srm <sokysrm@gmail.com>
* Fix account linked by plaid_id instead of external_id
* Parse numerics to BigDecimal
Parse numerics to BigDecimal before computing amount; guard nils.
Avoid String * String and float drift; also normalize date.
* Fix incorrect usage of assert_raises.
* Fix linter
* Fix processor test.
* Update current_balance_manager.rb
* Test fixes
* Fix plaid linked account test
* Add support for holding per account_provider
* Fix proper account access
Also fix account deletion for simpefin too
* FIX match tests for consistency
* Some more factory updates
* Fix account schema for multipe providers
Can do:
- Account #1 → PlaidAccount + SimplefinAccount (multiple different providers)
- Account #2 → PlaidAccount only
- Account #3 → SimplefinAccount only
Cannot do:
- Account #1 → PlaidAccount + PlaidAccount (duplicate provider type)
- PlaidAccount #123 → Account #1 + Account #2 (provider linked to multiple accounts)
* Fix account setup
- An account CAN have multiple providers (the schema shows account_providers with unique index on [account_id, provider_type])
- Each provider should maintain its own separate entries
- We should NOT update one provider's entry when another provider syncs
* Fix linter and guard migration
* FIX linter issues.
* Fixes
- Remove duplicated index
- Pass account_provider_id
- Guard holdings call to avoid NoMethodError
* Update schema and provider import fix
* Plaid doesn't allow holdings deletion
* Use ClimateControl for proper env setup
* No need for this in .git
---------
Signed-off-by: soky srm <sokysrm@gmail.com>
Co-authored-by: coderabbitai[bot] <136622811+coderabbitai[bot]@users.noreply.github.com>
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
* Fix syncing issues with new connections and accounts..
- Keep SimpleFin institution metadata strictly per account (`simplefin_accounts.org_data`).
- Relax `simplefin_items` institution constraints to allow creating items before org data exists.
- Remove code that copied the first account’s `org` onto `simplefin_items`.
* Improve Simplefin Sync
•
SimpleFin: family “Sync” includes SimpleFin items; importer does unbounded discovery (with pending=1 fallback) before windowed fetch, for both regular and first syncs.
•
Stop populating item‑level institution fields; keep institution metadata per account.
•
Relax NOT NULL on item institution fields.
•
Post‑sync dashboard broadcasts are now guarded (UI cannot fail the job).
•
Show a friendly “daily refresh limit” banner on the SimpleFin card when the latest sync is rate‑limited.
•
Add bin/rails sure:simplefin:debug[ITEM_ID] to print latest sync, snapshot account count, simplefin_accounts count, and unlinked list.
* Fixed double‑quoted strings, spacing around array brackets and commas
* chore: ignore local .junie files
* - Broadcast error logs now include full backtraces
- SimpleFin discovery logic deduplicated fixed
- app/models/simplefin_item/importer.rb
--Added a concise docstring for perform_account_discovery describing purpose, steps, and side‑effects.
--Added a docstring for fetch_accounts_data describing params and return value.
* Add OpenID Connect login support
* Add docs for OIDC config with Google Auth
* Use Google styles for log in
- Add support for linking existing account
- Force users to sign-in with passoword first, when linking existing accounts
- Add support to create new user when using OIDC
- Add identities to user to prevent account take-ver
- Make tests mocking instead of being integration tests
- Manage session handling correctly
- use OmniAuth.config.mock_auth instead of passing auth data via request env
* Conditionally render Oauth button
- Set a config item `configuration.x.auth.oidc_enabled`
- Hide button if disabled
---------
Signed-off-by: Juan José Mata <juanjo.mata@gmail.com>
Signed-off-by: soky srm <sokysrm@gmail.com>
Co-authored-by: sokie <sokysrm@gmail.com>
* Password reset back button also after confirmation
Signed-off-by: Juan José Mata <juanjo.mata@gmail.com>
* Implement a filter for category (#215)
- Also implement an is empty/is null condition.
* Implement an LLM cost estimation page
Track costs across all the cost categories: auto categorization, auto merchant detection and chat.
Show warning with estimated cost when running a rule that contains AI.
* Update pricing
* Add google pricing
and fix inferred model everywhere.
* Update app/models/llm_usage.rb
Co-authored-by: coderabbitai[bot] <136622811+coderabbitai[bot]@users.noreply.github.com>
Signed-off-by: soky srm <sokysrm@gmail.com>
* FIX address review
* Linter
* Address review
- Lowered log level
- extracted the duplicated record_usage method into a shared concern
* Update app/controllers/settings/llm_usages_controller.rb
Co-authored-by: coderabbitai[bot] <136622811+coderabbitai[bot]@users.noreply.github.com>
Signed-off-by: soky srm <sokysrm@gmail.com>
* Moved attr_reader out of private
---------
Signed-off-by: Juan José Mata <juanjo.mata@gmail.com>
Signed-off-by: soky srm <sokysrm@gmail.com>
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
Co-authored-by: coderabbitai[bot] <136622811+coderabbitai[bot]@users.noreply.github.com>
* Remove skipped account functionality from SimpleFin
- Remove "Skip - don't add" option from account setup
- Simplify account setup flow to require all accounts be assigned types
- Update controller logic to handle all accounts without skipping
- Redirect to accounts page instead of SimpleFin items page
- Add I18N message support with t(".success")
* Simplify SimpleFin sync logic by removing skipped accounts
- Remove skipped account filtering from syncer
- All unlinked accounts now block sync until setup is complete
- Remove skipped account UI elements from setup view
- Streamline sync flow without complex skipped/non-skipped logic
* Fix cash balance calculation for SimpleFin investment accounts
- Update SimplefinAccount::Processor to recalculate balances during sync
- Properly calculate cash_balance for investment accounts using BalanceCalculator
- Handle negative balances for credit cards and loans correctly
- Ensure account balance and cash balance are updated from latest SimpleFin data
* Add I18N translations and edit view for SimpleFin
- Add comprehensive English translations for SimpleFin UI
- Create edit view for SimpleFin re-authentication
- Support status messages, errors, and user feedback
- Match translation structure with Plaid integration
* Add specialized SimpleFin data processors
- Add investment processors for transactions, holdings, and balance calculation
- Add liability processors for credit cards and loans
- Add transaction processor for standard account transactions
- Add account importer for SimpleFin account data
- Organize processors by account type for maintainable architecture
* Add loading button controller for SimpleFin forms
- Add Stimulus controller to show loading state during form submission
- Disable button and show loading text to prevent double submissions
- Improve user experience during SimpleFin account setup
* Add SimpleFin edit and update routes
- Add edit and update actions to SimpleFin items routes
- Enable re-authentication flow for expired SimpleFin connections
- Match route structure with Plaid items for consistency
* Add institution metadata fields to SimpleFin items
- Add institution_id, institution_name, institution_domain fields
- Add institution_url, institution_color for UI customization
- Add raw_institution_payload for complete institution data storage
- Enable better institution organization and display
* Enhance SimpleFin item with institution support and metadata
- Add institution summary and connected institutions methods
- Store and retrieve institution metadata from SimpleFin API
- Add institution-aware import functionality
- Support multiple institutions per SimpleFin connection
* Fix account creation and Plaid provider issues
- Fix cash balance calculation in Account.create_from_simplefin_account
- Add nil check for plaid_provider in remove_plaid_item method
- Ensure proper balance handling for investment accounts during creation
* Improve sync parent relationship handling
- Add parent sync assignment for existing syncs when parent_sync is provided
- Ensure sync hierarchy is maintained when expanding sync windows
- Fix sync relationship consistency in nested sync operations
* Update SimpleFin item view with enhanced UI
- Improve SimpleFin connection display and status information
- Add better visual styling and user feedback
- Match UI consistency with Plaid item views
* Update database schema with institution fields
- Add institution metadata fields to simplefin_items table
- Support institution tracking and organization features
* Update SimpleFin tests for new functionality
- Update controller tests for edit/update actions and removed skip functionality
- Update model tests for institution metadata and enhanced features
- Ensure test coverage for SimpleFin improvements
* Add migration to remove old institution fields
* Fix linting issues
* Apply suggestion from @coderabbitai[bot]
Co-authored-by: coderabbitai[bot] <136622811+coderabbitai[bot]@users.noreply.github.com>
Signed-off-by: Himmelschmidt <46351743+Himmelschmidt@users.noreply.github.com>
* Fix 2 failing tests
* Wrap SimpleFin account transfer in database transaction
* Make loading button controller more reusable
- Add loadingText Stimulus value for configurable loading text
- Remove unused originalText variable
- Update view to pass loading text via data attribute
* Remove unused SimplefinAccount::Importer class
This class was added in the PR but is never called anywhere in the codebase.
The actual SimpleFin account processing is handled by SimplefinAccount::Processor
and its specialized sub-processors.
* Fix SimpleFin account transfer bug during token updates
- Call import_latest_simplefin_data before account transfer to ensure
new SimpleFin accounts exist with account_id populated
- Prevents silent failure where accounts become orphaned when
refreshing expired SimpleFin tokens
* Fix SimpleFin error handling to render correct template and use i18n
- Update render_error method to accept context parameter for template selection
- Fix update action to render :edit template instead of :new on errors
- Replace hardcoded error messages with localized strings using t() calls
- Add comprehensive error message keys to SimpleFin locale file
* Improve loading button accessibility and HTML semantics
- Add aria-disabled and aria-busy attributes for screen readers
- Use semantic span elements instead of divs for button content
- Add aria-hidden to decorative spinner element
* Fix SimpleFin SSL verification to use OpenSSL constant
* Remove HTTParty streaming to prevent empty response body and PII logging
* Use BigDecimal zero for consistent numeric types in balance calculator
* Add investment account guard to holdings processor
* Remove duplicate balance normalization from SimpleFin loan processor
* Fix critical account deletion bug in SimpleFin token update
* Fix linting issues in SimpleFin controller tests
* Replace hardcoded colors with design system tokens in SimpleFin views
* Gate investment processors to Investment accounts only
Prevents investment processors from running on non-Investment account types,
matching the pattern used by liability processors.
* Localize hardcoded strings in SimpleFin edit form
* Adding the error message to a hover state.
* Use only 1 month for sync_start_date, new account restriction?
* Harden investment cash_balance calculation with error handling
- Add try/catch around SimplefinAccount::Investments::BalanceCalculator
- Fallback to zero on calculation errors or nil results
- Log warning with error details for debugging
- Prevents nil cash_balance that could cause downstream issues
* Fix SimpleFin institution fields migration and add DB constraints
- Remove destructive migration that dropped existing institution fields
- Add only new fields (institution_domain, institution_color)
- Add indexes on institution fields for query performance
- Add NOT NULL constraints on required fields (institution_id, institution_name)
- Fix schema jsonb consistency for raw_institution_payload
* Improve SimpleFin holdings error handling and BigDecimal consistency
* Add security attribute to external link in SimpleFin edit form
* Improve SimpleFin sync timing and add user-configurable date range
- Fix initial sync timing issue: change from 1 month to 7 days default lookback
- Add user-selectable sync start date in account setup UI
- Implement chunked historical sync that respects user-selected date range
- Add sync_start_date field to SimpleFin items
- Handle new accounts on existing connections with same date picker
This addresses SimpleFin API limitations and gives users control over
how much transaction history to sync during initial setup.
* Fix SimpleFin sync status to show detailed results instead of "Never synced"
- Modify sync completion logic to always complete even with unlinked accounts
- Add sync_stats column to track account sync statistics during sync process
- Update sync status display to show "X synced, Y need setup" instead of "Never synced"
- Store detailed sync statistics (total, linked, unlinked accounts) in sync record
- Add sync_status_summary method to provide meaningful status text
- Remove early return that prevented sync completion when accounts need setup
Resolves issue where successful account syncing still showed "Never synced" status.
* Fix Transaction persistence before Entry creation in SimpleFin processor
Persist Transaction with create! instead of new to ensure it has an ID before
creating Entry that references it as entryable. Prevents foreign key errors.
* Fix indifferent access for SimpleFin institution data extraction
The accounts_snapshot parameter comes from JSON with string keys, but the
code was accessing with symbol keys which could silently fail. Convert to
indifferent access to handle both string and symbol keys properly.
* Localize hardcoded deletion in progress string
Replace hardcoded "(deletion in progress...)" text with I18n translation
to maintain consistency with the rest of the view.
* Fix SimpleFin item update test to properly verify rebind/destroy behavior
The test now creates a different SimplefinItem instance and mocks
create_simplefin_item! to return it, ensuring the controller operates
on a new record instead of the same instance. This properly exercises
the rebind/destroy logic and verifies the original item is scheduled
for deletion.
* Fix potential transaction data loss in SimpleFin importer
Prevent wiping stored transactions when API omits transaction data by only
updating raw_transactions_payload when transactions are actually present
in the response, preserving existing transaction data when API doesn't
include transactions key.
* Fix SimpleFin sync chunking and enforce 3-year historical limit
- Fix SimpleFin's actual API limit from 365 days to 60 days per request
- Implement proper backward-walking chunked sync for historical data
- Enforce 3-year maximum historical data limit (60 days × 22 requests)
- Update date picker to reflect 3-year limit and better defaults
- Add comprehensive logging for debugging sync issues
* Add dedicated raw_holdings_payload storage for SimpleFin accounts
- Add raw_holdings_payload column to simplefin_accounts table
- Separates holdings data from general account data for cleaner processing
- Follows same pattern as raw_transactions_payload for consistency
- Enables proper SimpleFin holdings processing pipeline
* Enhance SimpleFin holdings storage with external ID tracking
- Add external_id and cost_basis columns to holdings table
- Update holdings processor to use external_id for precise matching
- Capture all available SimpleFin holdings data (shares, market_value, cost_basis, etc.)
- Use SimpleFin holding ID as external_id with "simplefin_" prefix
- Calculate price from market_value/shares when available
- Store raw holdings payload in simplefin_accounts for complete data retention
This enables better holdings tracking than composite key approach and ensures
we capture all SimpleFin data even if not immediately used in our models.
* Simplify SimpleFin transaction enrichment
- Add MerchantDetector that uses payee field directly for merchant creation
- Enhance SimpleFin entry name generation combining payee + description
- Remove transaction processor category matching logic
- Create dedicated SimpleFin entry processor
Uses SimpleFin's clean payee data without unnecessary filtering.
* Add source field to ProviderMerchant and fix data enrichment
- Add source field to ProviderMerchant model for provider-specific merchant tracking
- Fix DataEnrichment to handle string transaction IDs correctly with to_i conversion
Enables per-provider merchant deduplication and fixes transaction lookups.
* Fix SimpleFin controller parameter handling
- Convert string account_ids to integers for proper account lookup
- Ensure account selection works correctly with form submissions
Fixes account filtering when setting up SimpleFin sync.
* Fix linting issues - auto-corrected whitespace and formatting
* Derive institution domain from URL when missing in SimpleFin items
* Fix render_error to preserve persisted record for edit context
* Add unique index to prevent duplicate holdings
* Fix potential NameError in holdings processor rescue block
* Guard against missing SimpleFin transaction IDs
* Fix SimpleFin amount parsing error handling
Re-raise ArgumentError instead of silently returning BigDecimal("0")
to prevent misleading $0 transactions from invalid amount data.
* Fix SimpleFin chunked import data loss bug
Merge transaction arrays instead of overwriting to prevent data loss
during chunked imports. Preserve most recent holdings data only.
* Add external_id uniqueness validation to Holding model
* Fix holdings cost_basis precision and add external_id unique constraint
* Fix SimpleFin test mock expectations and remove debug statements
- Fixed SimplefinItemsControllerTest by properly mocking Provider::Simplefin
instead of over-mocking the create_simplefin_item! method
- Removed DEBUG puts statements from SimplefinItem::Importer
* Fix linting issues - auto-corrected whitespace and formatting
---------
Signed-off-by: Himmelschmidt <46351743+Himmelschmidt@users.noreply.github.com>
Signed-off-by: Juan José Mata <juanjo.mata@gmail.com>
Co-authored-by: coderabbitai[bot] <136622811+coderabbitai[bot]@users.noreply.github.com>
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
* Changing trades.price to have a larger scale - a scale of 4 causes destructive rounding when calculating transaction cost; changes to the UI to allow for inputting and showing increased scale trade prices; test case