Commit Graph
10 Commits
Author SHA1 Message Date
Aland BabanandAland Baban 0cdab9a0bc Add first-class Trade Republic support (#3168)
* Add Trade Republic provider integration

Introduce authenticated web and QR login, resilient account synchronization, deterministic financial imports, account discovery, and provider diagnostics. Keep login state encrypted, PINs transient, and incomplete provider responses non-destructive.

* Address Trade Republic review findings

Keep QR-authenticated sessions syncable, preserve historical holding snapshots, correct dividend direction, handle unpriced positions safely, localize repair feedback, and align provider controls with the design system.

* Add Trade Republic translations for supported locales

* Restore German Trade Republic account labels

* Resolve remaining Trade Republic review findings

* Resolve remaining Trade Republic review findings

* Address latest Trade Republic review feedback

* Refactor Trade Republic panel buttons to use DS::Button component and add integration tests

* Fix 100x money inflation and missing positions locale key in TR views

Money.new takes major units, so multiplying by 100 displayed EUR 12.34
as EUR 1234 in the holdings category cards and expense summary. Also
add the pluralized holdings.index.positions key that t(".positions")
resolves to (previously only defined at the unused holdings.positions
root level), across all 18 locales.

* fix(db): repair merge artifacts in schema and migrations

- Remove duplicated icon/progress_basis columns on goals in schema.rb
- Renumber Trade Republic migrations to unique versions (clashed with
  main's 20260824120000_add_lifecycle_to_goals)
- Bump schema version to match latest migration

* Address remaining Trade Republic review feedback

* fix(trade-republic): address open PR #3168 review findings\n\n- Reject authenticated sessions without a securities account number so a\n  blank account does not mark the item connected on a broken session.\n- Derive a missing trade amount from |quantity| x price, and a missing\n  price from the resolved amount, without changing the signed import amount.\n- Regenerate db/schema.rb so the Trade Republic item/account tables and\n  indexes are present; a fresh test database was otherwise missing the\n  tables even though the migrations were marked up.\n

* fix(trade-republic): localize activity labels in ActivitiesProcessor (i18n)

* fix(trade-republic): localize activity labels in ActivitiesProcessor (i18n)

* fix(trade-republic): add activity labels i18n keys to all locale files

* Fix Trade Republic PR review follow-ups

* fix(trade-republic): i18n-aware category guard and ignore generated graphify cache

- Category matcher skipped core deposit/withdrawal labels; guard now compares
  against translated values so German etc skip correctly
- Remove committed graphify-out cache and ignore dir

* Protect holdings from malformed snapshots

* Consolidate Trade Republic migrations

* Address final Trade Republic review comments

* Address final Trade Republic review comments

- Remove hard-coded category matcher (merchant keyword taxonomy) and leave Trade Republic transactions uncategorized when no structured category exists; rely on Sure rules/AI
- Revert shared ProviderImportAdapter# import_trade extra: param; handle Trade Republic trade metadata locally in ActivitiesProcessor via post-import Trade extra merge (preserve existing extra, deep_merge)
- Preserve Trade Republic product distinctions (cash, brokerage/private_markets/interest_products/crypto_wallet via portfolio categories) without collapsing account kinds

---------

Co-authored-by: Aland Baban <snow@iBananaMac.fritz.box>
2026-09-03 00:24:49 +02:00
Brendon ScheiberandKiloClaw 0c126b1674 feat(i18n): extract hardcoded English strings to locale files (#1806)
* Extract hardcoded strings to i18n

Replace numerous hardcoded English strings with I18n lookups (t / I18n.t) across controllers, views, helpers, and components, and convert model validation error messages to symbol keys. Added multiple locale files under config/locales for models and views. This centralizes user-facing notices/alerts, UI text, import/validation messages, and prepares the app for localization and easier translation maintenance.

* Update en.yml

* Update preview-cleanup.yml

* Revert "Update preview-cleanup.yml"

This reverts commit 1ba6d3c34c.

* test: align i18n assertions with translated messages

* Standardize balance error key and tweak locales

Replace SophtronAccount's :requires_balance error key with :no_balance and update related locale strings for sophtron, plaid, and simplefin accounts to use the new key and clearer copy. Also switch the QIF upload redirect notice to use a relative translation key (t('.qif_uploaded')), remove an unused SSO providers help line, and fix a trailing-newline/whitespace issue in the subscriptions locale. These changes standardize validation keys and improve translation consistency and messaging.

---------

Co-authored-by: KiloClaw <kiloclaw@openclaw.ai>
2026-05-17 09:52:49 +02:00
soky srm 7908f7d8a4 Expand financial providers (#1407)
* Initial implementation

* Tiingo fixes

* Adds 2 providers, remove 2

* Add  extra checks

* FIX a big hotwire race condition

// Fix hotwire_combobox race condition: when typing quickly, a slow response for
// an early query (e.g. "A") can overwrite the correct results for the final query
// (e.g. "AAPL"). We abort the previous in-flight request whenever a new one fires,
// so stale Turbo Stream responses never reach the DOM.

* pipelock

* Update price_test.rb

* Reviews

* i8n

* fixes

* fixes

* Update tiingo.rb

* fixes

* Improvements

* Big revamp

* optimisations

* Update 20260408151837_add_offline_reason_to_securities.rb

* Add missing tests, fixes

* small rank tests

* FIX tests

* Update show.html.erb

* Update resolver.rb

* Update usd_converter.rb

* Update holdings_controller.rb

* Update holdings_controller.rb

* Update holdings_controller.rb

* Update holdings_controller.rb

* Update holdings_controller.rb

* Update _yahoo_finance_settings.html.erb
2026-04-09 18:33:59 +02:00
soky srm 9410e5b38d Providers sharing (#1273)
* third party provider scoping

* Simplify logic and allow only admins to mange providers

* Broadcast fixes

* FIX tests and build

* Fixes

* Reviews

* Scope merchants

* DRY fixes
2026-03-25 17:47:04 +01:00
soky srm 560c9fbff3 Family sharing (#1272)
* Initial account sharing changes

* Update schema.rb

* Update schema.rb

* Change sharing UI to modal

* UX fixes and sharing controls

* Scope include in finances better

* Update totals.rb

* Update totals.rb

* Scope reports to finance account scope

* Update impersonation_sessions_controller_test.rb

* Review fixes

* Update schema.rb

* Update show.html.erb

* FIX db validation

* Refine edit permissions

* Review items

* Review

* Review

* Add application level helper

* Critical review

* Address remaining review items

* Fix modals

* more scoping

* linter

* small UI fix

* Fix: Sync broadcasts push unscoped balance sheet to all users

* Update sync_complete_event.rb

 The fix removes the sidebar broadcasts (which rendered unscoped account groups using family.balance_sheet without user context)
  along with the now-unused sidebar_targets, account_group, and family_balance_sheet private methods.

  The sidebar will still update correctly — when the sync completes, Family::SyncCompleteEvent#broadcast fires family.broadcast_refresh, which triggers a
  morph-based page refresh for each user with their own authenticated session, rendering properly scoped sidebar content.
2026-03-25 10:50:23 +01:00
Serge LandClaude Opus 4.6 a92fd3b3e8 feat: Enhance holding detail drawer with live price sync and enriched overview (#1086)
* Feat: Implement manual sync prices functionality and enhance holdings display

* Feat: Enhance sync prices functionality with error handling and update UI components

* Feat: Update sync prices error handling and enhance Spanish locale messages

* Fix: Address CodeRabbit review feedback

- Set fallback @provider_error when prices_updated == 0 so turbo stream
  never fails silently without a visible error message
- Move attr_reader :provider_error to class header in Price::Importer
  for conventional placement alongside other attribute declarations
- Precompute @last_price_updated in controller (show + sync_prices)
  instead of running a DB query directly inside ERB templates

Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com>

* Fix: Replace bare rescue with explicit exception handling in turbo stream view

Bare `rescue` silently swallows all exceptions, making debugging impossible.
Match the pattern already used in show.html.erb: rescue ActiveRecord::RecordInvalid
explicitly, then catch StandardError with logging (message + backtrace) before
falling back to the unknown label.

Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com>

* Fix: Update test assertion to expect actual provider error message

The stub returns "Yahoo Finance rate limit exceeded" as the provider error.
After the @provider_error fallback fix, the controller now correctly surfaces
the real provider error when present (using .presence || fallback), so the
flash[:alert] is the actual error string, not the generic fallback.

Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com>

* Fix: Assert scoped security_ids in sync_prices materializer test

Replace loose stub with constructor expectation to verify that
Balance::Materializer is instantiated with the single-security scope.

Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com>

* Fix: Assert holding remap in remap_security test

Add assertion that @holding.security_id is updated to the target
security after remap, covering the core command outcome.

Co-Authored-By: Claude Opus 4.6 <noreply@anthropic.com>

* Fix: CI test failure - Update disconnect external assistant test to use env overrides

---------

Co-authored-by: Claude Sonnet 4.6 <noreply@anthropic.com>
2026-03-06 10:05:52 +01:00
c504ba9b99 Add security remapping for holdings with sync protection (#692)
* Add security remapping support to holdings

- Introduced `provider_security` tracking for holdings with schema updates.
- Implemented security remap/reset workflows in `Holding` model and UI.
- Updated routes, controllers, and tests to support new functionality.
- Enhanced client-side interaction with Stimulus controller for remapping.

# Conflicts:
#	app/components/UI/account/activity_feed.html.erb
#	db/schema.rb

* Refactor "New transaction" to "New activity" across UI and tests

- Updated localized strings, button labels, and ARIA attributes.
- Improved error handling in holdings' current price display.
- Scoped fallback queries in `provider_import_adapter` to prevent overwrites.
- Added safeguard for offline securities in price fetching logic.

* Update security remapping to merge holdings on collision by deleting duplicates

- Removed error handling for collisions in `remap_security!`.
- Added logic to merge holdings by deleting duplicates on conflicting dates.
- Modified associated test to validate merging behavior.

* Update security remapping to merge holdings on collision by combining qty and amount

- Modified `remap_security!` to merge holdings by summing `qty` and `amount` on conflicting dates.
- Adjusted logic to calculate `price` for merged holdings.
- Updated test to validate new merge behavior.

* Improve DOM handling in Turbo redirect action & enhance holdings merge logic

- Updated Turbo's custom `redirect` action to use the "replace" option for cleaner DOM updates without clearing the cache.
- Enhanced holdings merge logic to calculate weighted average cost basis during security remapping, ensuring more accurate cost_basis updates.

* Track provider_security_id during security updates to support reset workflows

* Fix provider tracking: guard nil ticker lookups and preserve merge attrs

- Guard fallback 1b lookup when security.ticker is blank to avoid matching NULL tickers
- Preserve external_id, provider_security_id, account_provider_id during collision merge

* Fix schema.rb version after merge (includes tax_treatment migration)

* fix: Rename migration to run after schema version

The migration 20260117000001 was skipped in CI because it had a timestamp
earlier than the schema version (2026_01_17_200000). CI loads schema.rb
directly and only runs migrations with versions after the schema version.

Renamed to 20260119000001 so it runs correctly.

* Update schema: remove Coinbase tables, add new fields and indexes

* Update schema: add back `tax_treatment` field with default value "taxable"

* Improve Turbo redirect action: use "replace" to avoid form submission in history

* Lock merged holdings to prevent provider overwrites and fix activity feed template indentation

* Refactor holdings transfer logic: enforce currency checks during collisions and enhance merge handling

---------

Signed-off-by: Juan José Mata <juanjo.mata@gmail.com>
Co-authored-by: luckyPipewrench <luckypipewrench@proton.me>
Co-authored-by: Juan José Mata <juanjo.mata@gmail.com>
2026-01-23 12:54:55 +01:00
LPWandJosh Waldrep bbaf7a06cc Add cost basis source tracking with manual override and lock protection (#623)
* 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>
2026-01-12 14:05:46 +01:00
4fb0a3856e Providers factory (#250)
* 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>
2025-10-28 19:32:27 +01:00
Zach Gollwitzer e657c40d19 Account:: namespace simplifications and cleanup (#2110)
* Flatten Holding model

* Flatten balance model

* Entries domain renames

* Fix valuations reference

* Fix trades stream

* Fix brakeman warnings

* Fix tests

* Replace existing entryable type references in DB
2025-04-14 11:40:34 -04:00