* 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>
- Removed `exclude_from_cashflow` attribute across models, controllers, and views.
- Updated queries to rely solely on the `excluded` flag for filtering transactions and entries.
- Simplified migration by consolidating `exclude_from_cashflow` functionality into the existing `excluded` toggle.
- Refactored related tests to remove outdated logic and ensured compatibility with the updated implementation.
- Introduced `InvestmentActivityDetector` to mark internal investment activity as excluded from cashflow and assign appropriate labels.
- Added `exclude_from_cashflow` flag to `entries` and `investment_activity_label` to `transactions` with migrations.
- Implemented rake tasks to backfill and clear investment activity labels.
- Updated `PlaidAccount::Investments::TransactionsProcessor` to map Plaid transaction types to labels.
- Included comprehensive test coverage for new functionality.
* 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>
* Separate exclude and one-time transaction handling
- Split transaction "exclude" and "one-time" toggles into separate controls in transaction detail view
- Updated Transaction::Search to show excluded transactions with grayed-out styling instead of filtering them out
- Modified IncomeStatement calculations to exclude both excluded and one_time transactions from totals
- Added migration to convert existing excluded transactions to also be one_time for backward compatibility
- Updated transaction list view to show asterisk for one_time transactions and gray out excluded ones
- Added controller support for kind parameter in transaction updates
🤖 Generated with [Claude Code](https://claude.ai/code)
Co-Authored-By: Claude <noreply@anthropic.com>
* Fix linting issues
- Remove trailing whitespace from migration
- Fix ERB formatting throughout templates
🤖 Generated with [Claude Code](https://claude.ai/code)
Co-Authored-By: Claude <noreply@anthropic.com>
---------
Co-authored-by: Claude <noreply@anthropic.com>
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