* Performance and bug fixes in provider price fetches
Three distinct bugs caused the price provider API to be called unnecessarily
on every investment account sync.
1. Sold securities triggered a provider call on every sync forever
import_security_prices passed end_date: Date.current for every security
ever traded. Security::Price::Importer short-circuits via all_prices_exist?
only when persisted_count == expected_count, where:
expected_count = (clamped_start_date..Date.current).count
This range increases daily, so a security closed two years ago would have
all historical prices in the DB unnecessarily. This also causes any closed
securities to fetch prices daily, forever.
Fix: separate currently-held securities (end_date: Date.current) from
historical-only securities (end_date: last holding date for that security).
Once a closed position's price range is complete through its last holding
date, all_prices_exist? becomes permanently stable and no further provider
calls occur for that security.
"Currently held" is defined as appearing in account.current_holdings, which
returns the most recent holding per security with qty != 0. On the first
sync after a sell, the pre-sale holding is still the most recent, so the
security correctly receives end_date: Date.current for one final sync before
the new qty=0 holding is materialised.
2. Offline securities were not filtered
account.trades.map(&:security) returned all securities regardless of the
offline flag. This results in fetching of securities even if the provider
cannot serve them, or if the user don't want them served for some reason
(eg when there are symbol collisions that causes the wrong prices to be
returned) The global MarketDataImporter correctly uses Security.online;
the account-scoped importer did not.
Fix: Security.online.where(id: all_security_ids) matches the established
contract. Offline IDs still pass through the pluck step but resolve to nil
in the securities hash and are skipped by the existing `next unless security`
guard.
3. N+1 queries for security loading and per-security start dates
- account.trades.map(&:security): triggered one SQL query per trade to load
the security association (N+1).
- first_required_price_date(security): issued 2 DB queries per security -
one MIN(entries.date) and one EXISTS - so S securities = 2S queries.
Fix: replace with batch queries totalling 4 regardless of security count:
- account.current_holdings.pluck(:security_id) - current security IDs
- account.trades.pluck(:security_id).uniq - traded security IDs
- Security.online.where(id: ...) - load all security records at once
- batch_first_required_price_dates: one GROUP BY security_id MIN(entries.date)
over trades, one pluck for provider-holding security IDs, one GROUP BY
security_id MAX(date) over holdings for historical end dates
* fix(market-data-importer): fetch prices through today for reopened positions
Account::Syncer runs import_market_data before materialize_balances, so
current_holdings reflects the last materialized snapshot rather than the
current trade state. If a security was previously sold (stale holdings show
qty=0) and then repurchased in the same sync cycle, it landed in
historical_ids and had its end_date capped at the old last_holding_date.
This caused all_prices_exist? to short-circuit, skipping the price fetch
through today, and leaving the forthcoming holding materialization without
a price for the repurchase period.
Fix: compare the latest trade date against the last holding date for each
historical security. If the trade is newer, the position was reopened before
holdings were rematerialized; treat end_date as Date.current for that sync.
The cap still applies on subsequent syncs once materialize_balances has
updated the holdings table.
Adds a regression test covering the repurchase scenario.
* hoist account.start_date out of per-security loop
Account#start_date issues SELECT MIN(date) FROM entries on every call.
Inside batch_first_required_price_dates it was called up to twice per
security (holding_date assignment + fallback), producing up to 2N extra
queries for an account with N provider-held securities.
Cache the result in account_start_date before the loop.
* assert offline securities are skipped
Adds a regression test verifying that Account::MarketDataImporter never
calls fetch_security_prices for a security with offline: true, covering
the Security.online filter on line 54 of the importer.
* 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>
* fix: Preserve transaction tags during rule application
When rules set tags, they now ADD to existing tags instead of replacing
them. This fixes issue #518 where tags were being removed during bank sync.
The root cause was that SetTransactionTags called enrich_attribute with
just the single tag from the rule, which replaced all existing tags.
Now it merges the new tag with existing tags using .uniq to prevent
duplicates.
This preserves:
- User-applied tags that shouldn't be overwritten by rules
- Tags from other rules when multiple rules match the same transaction
- Tags set during previous syncs
* fix: Add nil guard for tag in SetTransactionTags
Return early with 0 if the tag is not found, preventing NoMethodError
when find_by_id returns nil. This matches the pattern used in
SetTransactionMerchant.
---------
Co-authored-by: Claude <noreply@anthropic.com>
* 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>
* 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>
- Introduced `Account::ProviderImportAdapterUnownedAdoptionTest` to verify adoption of unowned holdings on collision.
- Updated `ProviderImportAdapter` to claim unowned holdings by updating attributes, attaching external_id, and setting account_provider_id.
- Ensured idempotency in subsequent imports for the same unowned holding.
- Introduced `Account::ProviderImportAdapterCrossProviderTest` to validate no cross-provider claiming of holdings.
- Updated `ProviderImportAdapter` to scope fallback matching by `account_provider_id`.
- Added early conflict guard and rescue for unique index violations during imports.
- Simplified rake task usage feedback.
* 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>
- Add support to link existing account with lunch-flow
The account will be promoted to a lunch flow connection now
( TBD if we want to allow un-linking? )
- Add support for proper de-dup at provider import level. This will handle de-dups for Lunch Flow, Plaid and SimpleFIN
- Fix plaid account removal on invalid credentials
* 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>
* feat: Add Twelve Data provider for exchange rates and securities
* test: fix hosting controller test, linting
* fix: add countries gem to handle country codes in Twelve Data provider
* fix: allow security search combobox to have no logo
* refactor: update Twelve Data provider use time series endpoint
* fix: set twelve data as default provider
* Balance reconcilations with new components
* Fix materializer and test assumptions
* Fix investment valuation calculations and recon display
* Lint fixes
* Balance series uses new component fields
* Initial data objects
* Remove trend calculator
* Fill in balance reconciliation for entry group
* Initial tooltip component
* Balance trends in activity view
* Lint fixes
* trade partial alignment fix
* Tweaks to balance calculation to acknowledge holdings value better
* More lint fixes
* Bump brakeman dep
* Test fixes
* Remove unused class
* AI sidebar
* Add chat and message models with associations
* Implement AI chat functionality with sidebar and messaging system
- Add chat and messages controllers
- Create chat and message views
- Implement chat-related routes
- Add message broadcasting and user interactions
- Update application layout to support chat sidebar
- Enhance user model with initials method
* Refactor AI sidebar with enhanced chat menu and interactions
- Update sidebar layout with dynamic width and improved responsiveness
- Add new chat menu Stimulus controller for toggling between chat and chat list views
- Improve chat list display with recent chats and empty state
- Extract AI avatar to a partial for reusability
- Enhance message display and interaction styling
- Add more contextual buttons and interaction hints
* Improve chat scroll behavior and message styling
- Refactor chat scroll functionality with Stimulus controller
- Optimize message scrolling in chat views
- Update message styling for better visual hierarchy
- Enhance chat container layout with flex and auto-scroll
- Simplify message rendering across different chat views
* Extract AI avatar to a shared partial for consistent styling
- Refactor AI avatar rendering across chat views
- Replace hardcoded avatar markup with a reusable partial
- Simplify avatar display in chats and messages views
* Update sidebar controller to handle right panel width dynamically
- Add conditional width class for right sidebar panel
- Ensure consistent sidebar toggle behavior for both left and right panels
- Use specific width class for right panel (w-[375px])
* Refactor chat form and AI greeting with flexible partials
- Extract message form to a reusable partial with dynamic context support
- Create flexible AI greeting partial for consistent welcome messages
- Simplify chat and sidebar views by leveraging new partials
- Add support for different form scenarios (chat, new chat, sidebar)
- Improve code modularity and reduce duplication
* Add chat clearing functionality with dynamic menu options
- Implement clear chat action in ChatsController
- Add clear chat route to support clearing messages
- Update AI sidebar with dropdown menu for chat actions
- Preserve system message when clearing chat
- Enhance chat interaction with new menu options
* Add frontmatter to project structure documentation
- Create initial frontmatter for structure.mdc file
- Include description and configuration options
- Prepare for potential dynamic documentation rendering
* Update general project rules with additional guidelines
- Add rule for using `Current.family` instead of `current_family`
- Include new guidelines for testing, API routes, and solution approach
- Expand project-specific rules for more consistent development practices
* Add OpenAI gem and AI-friendly data representations
- Add `ruby-openai` gem for AI integration
- Implement `to_ai_readable_hash` methods in BalanceSheet and IncomeStatement
- Include Promptable module in both models
- Add savings rate calculation method in IncomeStatement
- Prepare financial models for AI-powered insights and interactions
* Enhance AI Financial Assistant with Advanced Querying and Debugging Capabilities
- Implement comprehensive AI financial query system with function-based interactions
- Add detailed debug logging for AI responses and function calls
- Extend BalanceSheet and IncomeStatement models with AI-friendly methods
- Create robust error handling and fallback mechanisms for AI queries
- Update chat and message views to support debug mode and enhanced rendering
- Add AI query routes and initial test coverage for financial assistant
* Refactor AI sidebar and chat layout with improved structure and comments
- Remove inline AI chat from application layout
- Enhance AI sidebar with more semantic HTML structure
- Add descriptive comments to clarify different sections of chat view
- Improve flex layout and scrolling behavior in chat messages container
- Optimize message rendering with more explicit class names and structure
* Add Markdown rendering support for AI chat messages
- Implement `markdown` helper method in ApplicationHelper using Redcarpet
- Update message view to render AI messages with Markdown formatting
- Add comprehensive Markdown rendering options (tables, code blocks, links)
- Enhance AI Financial Assistant prompt to encourage Markdown usage
- Remove commented Markdown CSS in Tailwind application stylesheet
* Missing comma
* Enhance AI response processing with chat history context
* Improve AI debug logging with payload size limits and internal message flag
* Enhance AI chat interaction with improved thinking indicator and scrolling behavior
* Add AI consent and enable/disable functionality for AI chat
* Upgrade Biome and refactor JavaScript template literals
- Update @biomejs/biome to latest version with caret (^) notation
- Refactor AI query and chat controllers to use template literals
- Standardize npm scripts formatting in package.json
* Add beta testing usage note to AI consent modal
* Update test fixtures and configurations for AI chat functionality
- Add family association to chat fixtures and tests
- Set consistent password digest for test users
- Enable AI for test users
- Add OpenAI access token for test environment
- Update chat and user model tests to include family context
* Simplify data model and get tests passing
* Remove structure.mdc from version control
* Integrate AI chat styles into existing prose pattern
* Match Figma design spec, implement Turbo frames and actions for chats controller
* AI rules refresh
* Consolidate Stimulus controllers, thinking state, controllers, and views
* Naming, domain alignment
* Reset migrations
* Improve data model to support tool calls and message types
* Tool calling tests and fixtures
* Tool call implementation and test
* Get assistant test working again
* Test updates
* Process tool calls within provider
* Chat UI back to working state again
* Remove stale code
* Tests passing
* Update openai class naming to avoid conflicts
* Reconfigure test env
* Rebuild gemfile
* Fix naming conflicts for ChatResponse
* Message styles
* Use OpenAI conversation state management
* Assistant function base implementation
* Add back thinking messages, clean up error handling for chat
* Fix sync error when security price has bad data from provider
* Add balance sheet function to assistant
* Add better function calling error visibility
* Add income statement function
* Simplify and clean up "thinking" interactions with Turbo frames
* Remove stale data definitions from functions
* Ensure VCR fixtures working with latest code
* basic stream implementation
* Get streaming working
* Make AI sidebar wider when left sidebar is collapsed
* Get tests working with streaming responses
* Centralize provider error handling
* Provider data boundaries
---------
Co-authored-by: Josh Pigford <josh@joshpigford.com>
* Placeholder logic for missing prices
* Generate holdings properly for "offline" securities
* Separate forward and reverse calculators for holdings and balances
* Remove unnecessary currency conversion during sync
* Clearer sync process
* Move price caching logic to dedicated model
* Base holding calculator
* Base calculator for balances
* Finish balance calculators
* Better naming
* Logs cleanup
* Remove stale data type
* Remove stale test
* Fix price lookup logic for holdings sync
* Fix Plaid item sync regression
* Remove temp logging
* Calculate cash and holdings series
* Add holdings, cash, and balance series dropdown for investments
Since the very first 0.1.0-alpha.1 release, we've been moving quickly to add new features to the Maybe app. In doing so, some parts of the codebase have become outdated, unnecessary, or overly-complex as a natural result of this feature prioritization.
Now that "core" Maybe is complete, we're moving into a second phase of development where we'll be working hard to improve the accuracy of existing features and build additional features on top of "core". This PR is a quick overhaul of the existing codebase aimed to:
- Establish the brand new and simplified dashboard view (pictured above)
- Establish and move towards the conventions introduced in Cursor rules and project design overview #1788
- Consolidate layouts and improve the performance of layout queries
- Organize the core models of the Maybe domain (i.e. Account::Entry, Account::Transaction, etc.) and break out specific traits of each model into dedicated concerns for better readability
- Remove stale / dead code from codebase
- Remove overly complex code paths in favor of simpler ones
* Fix Account Holding validation and synchronization
Fixes#1781
- Add comprehensive validations for Account::Holding
- Implement validation to ensure amount matches qty * price
- Update Account::Syncer to include qty and price during synchronization
- Add database constraints for holding attributes and calculations
* Remove database check constraints for Account Holdings
Align with project convention of keeping complex validations in ActiveRecord
- Remove database-level check constraints for quantity, price, and amount
- Maintain database-level null and unique constraints
- Prepare for more flexible validation in the model layer
* Add scope to filter transactions from active accounts
* Add test for transfer match candidates with active accounts
* Refactor active account filtering for transactions and entries
* Transfer data model migration
* Transfers and payment modeling and UI improvements
* Fix CI
* Transfer matching flow
* Better UI for transfers
* Auto transfer matching, approve, reject flow
* Mark transfers created from form as confirmed
* Account filtering
* Excluded rejected transfers from calculations
* Calculation tweaks with transfer exclusions
* Clean up migration
* Basic plaid data model and linking
* Remove institutions, add plaid items
* Improve schema and Plaid provider
* Add webhook verification sketch
* Webhook verification
* Item accounts and balances sync setup
* Provide test encryption keys
* Fix test
* Only provide encryption keys in prod
* Try defining keys in test env
* Consolidate account sync logic
* Add back plaid account initialization
* Plaid transaction sync
* Sync UI overhaul for Plaid
* Add liability and investment syncing
* Handle investment webhooks and process current day holdings
* Remove logs
* Remove "all" period select for performance
* fix amount calc
* Remove todo comment
* Coming soon for investment historical data
* Document Plaid configuration
* Listen for holding updates
* First pass at security price reference
* Data cleanup
* Synth security fetching does better with a mic_code
* Update test suite
😭
* Update schema.rb
* Update generator.rb
* Move accountable partials
* Split accountables into separate view partials
* Fix test
* Add form to permitted partials
* Fix failing system tests
* Update new account modal views
* New sync algorithm implementation
* Update account system test assertions to match new behavior
* Fix off by 1 date error
* Revert new balance sync algorithm
* Add missing account overviews
* Remove stale 1.0 import logic and model
* Fresh start
* Checkpoint before removing nav
* First working prototype
* Add trade, account, and mint import flows
* Basic working version with tests
* System tests for each import type
* Clean up mappings flow
* Clean up PR, refactor stale code, tests
* Add back row validations
* Row validations
* Fix import job test
* Fix import navigation
* Fix mint import configuration form
* Currency preset for new accounts