The Saved control now shows the saved filter the current selection
matches (or is based on), with an unsaved-changes indicator. When the
filters are edited, the menu offers "Update" to save over the existing
filter instead of only creating a new one. Adds the PATCH endpoint and
an order-insensitive fingerprint to detect matches.
Persist named filter sets per user (model, migration, API CRUD) and a
Saved dropdown to load/delete them; available on both the transactions
and analysis screens via the shared filter bar.
Also refine the filter bar: icon-only Saved button, wider category/label
dropdowns, Filters/Saved pushed to the right, and clearer trigger text
("N categories/labels selected").
Month grouping now buckets by calendar month (01-12) regardless of year,
so all Januarys sum together. Adds formatMonthName for year-agnostic
labels and guards stale keys during dimension refetch.
New top-level Analysis screen to drill into income and expenses across
category, month, account, and label dimensions. Reuses transaction
filters (category + labels surfaced inline, search hidden) and converts
all amounts to the user currency. Click a breakdown row to drill in.
Also make category and label filters combine with OR in the shared
transaction filter scope (affects the transactions screen too).
## Summary
Budgets previously tracked a single category **or** label (mutually
exclusive). This lets a budget span **multiple** categories and labels
at once, all pooling spend against one allocated amount per period.
Scope decided with the requester:
- **Shared pool** — one allocated amount; any tracked category/label
counts against it.
- **Multi categories + multi labels** on a single budget.
- **Create-only** — tracking is chosen at creation and locked afterward
(edit dialog shows it read-only).
## Changes
**Backend**
- New `budget_category` + `budget_label` pivot tables; data migration
copies existing `category_id`/`label_id` into them, then drops those
columns.
- `Budget` model: `categories()` / `labels()` belongsToMany.
- `BudgetTransactionService` matches transactions across **all** tracked
categories OR labels (live assignment + historical backfill).
- `StoreBudgetRequest` accepts `category_ids` / `label_ids` arrays,
requires ≥1 across both, validates ownership. `update` no longer touches
tracking.
**Frontend**
- Reusable `MultiSelect` (popover + command + badge).
- Create dialog uses multi-selects; cards and show page render tracked
categories/labels as badges; edit dialog shows them read-only.
- Dexie bumped to v10 (drops unused per-category allocations table, adds
`budget_labels`).
## Testing
- Updated all budget/transaction/listener/browser tests for the pivot
model; added cases for multi-category matching, mixed category+label
pooling, and store validation (empty selection + foreign-ownership).
- Added the new `__()` strings to `lang/es.json`.
- Local `pint`, `lint`, `format` pass. Relying on CI for the full suite.
## What
Show the debtor and creditor names (when present) on the categorization
page (`/transactions/categorize`).
## Changes
- `TransactionController@categorize`: select `creditor_name` and
`debtor_name` — they were never sent to the frontend.
- `categorizer-card.tsx`: render Creditor/Debtor rows below the account
when present, using the same i18n labels as the transaction columns.
- `TransactionTest`: assert both names are exposed on the categorize
page.
## Testing
- `php artisan test --filter="debtor and creditor"` — passes.
- pint, format, lint clean.
## Summary
- Always show a simplified Cashflow and charts explanation in the
category form
- Explain how each category type affects cashflow, income/spending
charts, top spending categories, savings, and investments
- For transfer categories, keep a cashflow chart visibility selector so
users can choose hidden/inflow/outflow
- Show savings and investment categories as outflows in the cashflow
chart and store default/new categories as outflow
- Add a new migration to update existing production savings/investment
categories to outflow
- Avoid user-facing Sankey terminology and update Spanish copy to use
dinero/saldo instead of efectivo
- Add missing Spanish translations and browser/feature coverage
## Tests
- php artisan test --compact tests/Feature/LocalizationTest.php
- php artisan test --compact
tests/Feature/Console/ResetUserCategoriesCommandTest.php
- php artisan test --compact tests/Feature/Settings/CategoryTest.php
--filter="migration updates existing default saving and investment
categories|migration sets saving and investment categories to cashflow
outflow|users can create savings and investment categories|default
categories are created when user registers"
- php artisan test --compact tests/Feature/CashflowAnalyticsTest.php
--filter="sankey includes savings and investment categories on the
expense side|sankey includes outflow transfer categories on the expense
side"
- php artisan test --compact tests/Browser/CategoriesTest.php
--filter="explains savings and investment category cashflow impact in
the create dialog|can create a new transfer category with a cashflow
analytics direction"
- php artisan test --compact tests/Browser/CategoriesTest.php
- ./vendor/bin/pest --testsuite=Performance --filter="account show page
does not exceed query threshold"
- vendor/bin/pint --dirty --format agent
- npx prettier --write
resources/js/components/categories/category-cashflow-direction-fields.tsx
- npm run build (assets emitted; Sentry sourcemap upload reports local
SSL error)
## Video
- screenshots/category-create-cashflow-setting.webm
## Notes
- npm run types still fails on existing unrelated TypeScript errors.
## Summary
- add creditor/debtor fields to transactions with raw_data backfill
- store counterparties on bank sync and CSV/XLS imports
- add creditor/debtor filters plus hidden table columns
## Tests
- php artisan test --compact tests/Feature/LocalizationTest.php
tests/Feature/OpenBanking/TransactionSyncServiceTest.php
tests/Feature/TransactionFilterTest.php
- npm test -- resources/js/lib/file-parser.test.ts --run
- vendor/bin/pint --dirty --format agent
Note: `npm run types` still has pre-existing unrelated errors; no
creditor/debtor/import-related errors remained in filtered output.
## Screenshot
<img width="1241" height="676" alt="8odYWtFcvUM"
src="https://github.com/user-attachments/assets/55653485-d588-4beb-9e6a-5c7c81ba7cf8"
/>
## Sentry issue
- PHP-LARAVEL-2F: https://whisper-money.sentry.io/issues/122581787/
## Root cause
- Automation rule match preview eagerly loaded account, bank, category,
and labels for every 500-transaction chunk, even for rules that only
inspect description fields.
- Sentry flagged repeated account/bank eager-load queries across chunks
as an N+1 pattern on
`/settings/automation-rules/{automationRule}/matches`.
## Fix
- Detect variables used by an automation rule and eager load only
relationships required for evaluation.
- Keep label eager loading only when label-only skip logic needs it.
- Avoid lazy loading unused relationships while preserving full data
shape for rule evaluation.
- Update the Sentry prompt to use the `sentry` CLI workflow.
## Verification
- `vendor/bin/pint --dirty --format agent`
- `php artisan test --compact
tests/Feature/AutomationRuleApplicationTest.php`
- `php artisan test --compact
tests/Feature/AutomationRuleEvaluationTest.php
tests/Feature/AutomationRuleApplicationTest.php`
## Summary
- sync user currency from the first account, manual or connected
- reuse one service across manual creation and open banking
mapping/auto-create flows
- keep later accounts from overwriting user currency
- add browser signup + onboarding account creation coverage
## Prod check
- users with any account: 210
- first account currency mismatches user currency: 64
- USD user + EUR first account: 36
- first account manual users: 189
- manual-first mismatches: 61
## Tests
- vendor/bin/pint --dirty --format agent
- php artisan test --compact
tests/Feature/OpenBanking/AccountMappingTest.php
tests/Feature/OpenBanking/AuthorizationControllerTest.php
tests/Feature/OpenBanking/IndexaCapitalControllerTest.php
tests/Feature/OpenBanking/BinanceControllerTest.php
tests/Feature/OpenBanking/BitpandaControllerTest.php
tests/Feature/OpenBanking/CoinbaseControllerTest.php
tests/Feature/Settings/AccountTest.php
- php artisan test --compact tests/Browser/OnboardingFlowTest.php
--filter='syncs user currency from first onboarding account after
signup'
## Summary
- add paywall settings CTA for onboarded users with ended canceled
subscriptions and bank connections
- keep onboarding and normal unpaid connected users out of this escape
path
- cover paywall props and connection settings access
## Tests
- php artisan test --compact tests/Feature/SubscriptionTest.php
- npx eslint resources/js/pages/subscription/paywall.tsx
## Summary
- keep existing banking connections visible when reconnect callback
fails
- mark failed reconnects as error instead of soft-deleting them
- add regression test for failed ING-style reconnect
## Test
- vendor/bin/pint --dirty --format agent
- php artisan test --compact
tests/Feature/OpenBanking/AuthorizationControllerTest.php
## Summary
- backfill Coinbase portfolio balances for 12 previous months plus today
- retry missing historical backfill on later syncs
- add Coinbase candle pricing with USD fallback and mark Coinbase
accounts as investments
## Tests
- php artisan test --compact
tests/Feature/OpenBanking/CoinbaseBalanceSyncTest.php
tests/Feature/OpenBanking/AccountMappingTest.php
tests/Feature/OpenBanking/CoinbaseControllerTest.php
## Summary
- mark cashflow analytics JSON responses as no-store/private
- add coverage for cache-control header
## Why
Browser tests reuse the same cashflow API URLs across authenticated
users. Cached user-specific analytics can leak stale breakdown data
between sessions and hide the income category.
## Tests
- php artisan test --compact tests/Feature/CashflowAnalyticsTest.php
## Summary
- Keep non-onboarded users on the accounts step after bank authorization
errors
- Add feature and browser coverage for the callback error path
## Tests
- vendor/bin/pint --dirty --format agent
- php artisan test --compact tests/Browser/OnboardingFlowTest.php
--filter='returns to the accounts step'
- php artisan test --compact
tests/Feature/OpenBanking/AuthorizationControllerTest.php
--filter='callback with error'
## Why merge this
Production bug
**[PHP-LARAVEL-1B](https://whisper-money.sentry.io/issues/PHP-LARAVEL-1B)**
— `/budgets/{budget}` throws a 500 (`UniqueConstraintViolationException`
on `budget_periods_budget_id_start_date_unique`) for the affected user.
Page is unusable for them until fixed.
## Root cause
The Custom period type let users create budgets with arbitrary
`period_duration`. Combined with `calculatePeriodDates()`'s day-of-month
snap (`startDate->day(period_start_day)`), short durations produced
periods where `end_date == start_date == period_start_day`. On the next
visit after that day, regeneration computed a new period whose start
snapped backward to the same day → unique key collision.
Concrete trace from the Sentry event:
- Budget: `Seguro de Salud`, `period_type=custom, period_duration=1,
period_start_day=1`, created `2026-05-05`.
- Initial period created at budget creation: `start=2026-05-01,
end=2026-05-01` (already 4 days stale because Custom snapped
`now()=05-05` back to day 1, then `addDays(1).subDay()` produced same
date).
- Today `05-05` → `getCurrentPeriod()` returns null → `generatePeriod()`
snaps back to `05-01` again → `INSERT (budget_id, 05-01)` → 1062.
Verified in prod DB: this is the **only** budget in the entire database
with `period_type='custom'` and the only period row with `end_date <=
start_date`.
## Fix
Custom is the only period type that exposes this snap-back collision
(Monthly/Weekly/Biweekly all use a self-consistent advance). It also has
no defensible UX — every legitimate use case is covered by
Monthly/Weekly/Biweekly. So we remove it end-to-end:
- `BudgetPeriodType::Custom` enum case dropped.
- `BudgetPeriodService`: Custom branches removed from
`calculatePeriodDates()` and `calculateNextPeriodStartDate()`.
- `Budget` model: `period_duration` removed from `$fillable` and
`casts()`.
- `StoreBudgetRequest` / `UpdateBudgetRequest`: `period_duration` rule
removed.
- `BudgetController`: `period_duration` no longer passed in
store/update.
- Create + edit budget dialogs: Custom option and `period_duration`
input removed.
- `ResetDemoAccountCommand`: Custom switch case removed.
- `BudgetFactory`: `custom()` state and `period_duration` default
removed.
- `types/budget.ts`: `'custom'` removed from `BUDGET_PERIOD_TYPES` and
`Budget.period_duration` field dropped.
- Migration `2026_05_05_132023_convert_custom_budgets_to_monthly`:
rewrites any existing `custom` rows to `monthly` with
`period_duration=null, period_start_day=1` so the dropped enum case
can't crash on hydration.
Period generation logic for Monthly/Weekly/Biweekly is **unchanged**.
## Manual prod cleanup (separate, after merge)
The single buggy budget in prod will be deleted manually:
```sql
DELETE FROM budget_periods WHERE id = '019df7fd-6073-731b-9c08-f3723515292b';
DELETE FROM budgets WHERE id = '019df7fd-6071-7219-b190-ece22ccdb63f';
```
## Tests
`tests/Feature/BudgetPeriodServiceTest.php` covers Monthly + Weekly
advance and Monthly first-period generation. Existing
`BudgetPeriodDateTest` unaffected.
## Risk
- `period_duration` column kept in DB (nullable) to avoid data loss; no
migration needed.
- Migration ensures any environment with `period_type='custom'` rows is
converted before the enum case is removed, preventing hydration errors.
- No customers actively rely on Custom: prod query confirmed only the
single broken budget uses it, and that one is being deleted.
Fixes PHP-LARAVEL-1B
## Summary
Wires up the launch flow: each waitlist lead gets a per-cohort
invitation email, a personal single-use Stripe promo code matching their
reward, and a signed landing link that unlocks register/install.
## Cohorts (resolved at send-time, by queue rank ASC, ignoring
`position` null/0)
| Cohort | Rule | Reward | Stripe coupon |
|---|---|---|---|
| `founder` | ranks 1–10 | Free forever | `wm_founder_forever` (100%
off, forever) |
| `founder_referrer` | referred any current founder (overrides rank) |
Free forever | `wm_founder_forever` |
| `early_bird` | ranks 11–100 | 2 mo free monthly / 3 mo free yearly
first year | `wm_earlybird_monthly` (100% off, 2 mo, monthly only) +
`wm_earlybird_yearly` (25% off once, yearly only) |
| `waitlist` | ranks 101+ | same as early bird | same coupons |
## What's added
- **DB**: `cohort`, `promo_code_monthly`, `promo_code_yearly`,
`invitation_sent_at` on `user_leads`.
- **Services**: `LeadCohortResolver`, `LeadPromoCodeAllocator`.
- **Commands**:
- `php artisan stripe:ensure-launch-coupons` — idempotent Stripe coupon
setup (run once per env).
- `php artisan leads:send-invitations --limit=N [--cohort=…] [--dry-run]
[--force]` — wave-by-wave delivery, idempotent across runs
(`invitation_sent_at` gate). Lazily generates Stripe promo codes per
lead it touches.
- **Checkout**: `SubscriptionController::checkout` resolves the auth
user's `UserLead` by email and applies the matching promo code
(`monthly`/`yearly`) via Cashier's `withPromotionCode()`.
- **Invite link**:
`LandingAuthOverrideService::generateInvitationUrl($leadId, days: 30)` —
signed lead-bound URL that unlocks auth buttons (existing override
cookie) and stores `invited_lead_id` in session. The register view
prefills the email from the lead.
- **Emails**: 4 cohort markdown templates (`founder`,
`founder-referrer`, `early-bird`, `waitlist`) with per-cohort subject +
body. Locale set from `$lead->preferredLocale()`. 28 Spanish keys added.
## Tests (Pest)
- `LeadCohortResolverTest` — boundaries + founder-referrer override +
null/0 position skip.
- `SendUserLeadInvitationsTest` — batch ordering, idempotent across
runs, ignores null/0, persists cohort.
- `UserLeadInvitationTest` — per-cohort body content, signed lead-bound
signup URL, Spanish locale.
- `LandingAuthOverrideTest` — invitation URL unlocks + stores session
lead.
Full suite green (1262 passed).
## Launch checklist
1. Merge + deploy.
2. `php artisan stripe:ensure-launch-coupons` against staging Stripe →
verify in dashboard → run on prod.
3. Optional preflight: `php artisan leads:send-invitations --limit=10
--dry-run`.
4. Wave-by-wave: `php artisan leads:send-invitations --limit=50` per
day.
5. Confirm `HIDE_AUTH_BUTTONS=true` on prod so only signed invite links
unlock register/install.
## Notes / non-goals
- No `User → UserLead` foreign key — checkout matches by email per
request.
- Existing `FOUNDER` promo flow is untouched and still kicks in if a
user has no lead-specific code.
- `founder_referrer` cohort is empty in current prod data; logic is in
place for when founders start referring.
## Problem
`DashboardAnalyticsTest > real estate balance evolution appends
projected mortgage balance from linked loan` fails on certain calendar
dates (e.g. when run on 2026-04-30) with:
```
Failed asserting that 17324874 is less than 17324874.
```
## Root cause
Carbon's `addMonths()` defaults to overflow mode, so adding months to a
day that doesn't exist in the target month rolls forward into the next
month:
- `2026-04-30 + 10 months` → `2027-02-30` → overflow → `2027-03-02`
- `2026-04-30 + 11 months` → `2027-03-30`
Both end up in the same `Y-m` (`2027-03`). The dashboard
balance-evolution endpoint and
`LoanAmortizationService::projectFromBalance` use `addMonths` to build
month-keyed projections and to label projected chart points. When two
iterations collapse onto the same `Y-m`:
1. `generateProjection` overwrites the earlier balance with the later
one.
2. The controller emits two consecutive projected points labeled with
that month and assigns the same `mortgage_balance` to both, breaking the
strictly-decreasing assertion.
## Fix
Switch every `addMonths()` call in the projection paths to
`addMonthsNoOverflow()` so each iteration lands on a distinct month.
- `app/Services/LoanAmortizationService.php` — `projectFromBalance`,
`projectFromOriginal`
- `app/Http/Controllers/Api/DashboardAnalyticsController.php` — real
estate projected loop
## Verification
```
php artisan test --compact tests/Feature/DashboardAnalyticsTest.php
Tests: 34 passed (220 assertions)
```
Previously failing on 2026-04-30, now green.
Real estate account chart now appends 12 months of projected data when
the property has a revaluation percentage and/or a linked loan:
- Market value projected forward via the configured revaluation rate
(compounded monthly).
- Mortgage balance projected via LoanAmortizationService on the linked
loan, so the mortgage decline is visible alongside the property
revaluation in the same chart.
Backend: DashboardAnalyticsController appends projected points with
display-currency variants. Frontend: chart adds dashed projection lines
for value and mortgage_balance plus a Today reference line. Tooltip and
currency-mode swap propagate the new projected_mortgage_balance field.
## Summary
Mirror the real-estate historical-balance pattern for loan accounts.
When a loan is created with a current balance, linearly interpolate
monthly `account_balances` rows between the loan start date
(`original_amount`) and today (current balance).
## Approach
Since we don't know how the user actually paid down the loan, use simple
linear regression between two known points:
- `(start_date, original_amount)` from `loan_details`
- `(today, current_balance)` from the latest `account_balances` row
Rows are placed on the start date, the 1st of each intermediate month,
and today.
## Changes
- **`LoanBalanceGeneratorService`** — linear interpolation + upsert on
`(account_id, balance_date)` so existing rows aren't duplicated.
- **`GenerateHistoricalLoanBalancesJob`** — `ShouldQueue`, 3 tries, 10s
backoff. Takes account, original amount, start date, current balance,
from, to.
- **`Settings/AccountController::store`** (loan branch) — after creating
`loanDetail`, if a starting balance was provided: generate the last 12
months synchronously, dispatch older window to the queue when
`start_date` predates it.
- **`LoanDetailController::update`** — when the detail is first created
for an existing account, use the most recent `AccountBalance` as the
current value and apply the same sync/async split.
## Tests
- Service: interpolation, single-balance edge, future start_date, upsert
dedupe, monthly 1st placement, from/to range.
- Job: implements `ShouldQueue`, respects from/to range.
```
Tests: 8 passed (62 assertions)
```
No dependency or directory-structure changes.
## Summary
Adds a 15-day trial to the monthly and yearly plans. Configurable per
plan (or disabled) via config.
## Changes
- `config/subscriptions.php` — new `trial_days` key per plan (defaults:
monthly=15, yearly=15). Env overrides: `STRIPE_PRO_MONTHLY_TRIAL_DAYS`,
`STRIPE_PRO_YEARLY_TRIAL_DAYS`. Set to `0` to disable.
- `SubscriptionController::checkout` — applies `trialDays()` on the
Cashier subscription builder when `trial_days > 0`.
- Tests — assert `trial_days` surfaced in pricing props; assert
`trialDays(15)` applied on checkout; assert skipped when `0`.
## Notes
Stripe Checkout enforces a **minimum 2-day trial**. Values of `1` will
fail at Stripe. `0` disables cleanly.
## Test plan
```
php artisan test --compact tests/Feature/SubscriptionTest.php
```
## Summary
- soft-delete users by adding `deleted_at` to `users`
- rename deleted user emails with a timestamp prefix so original email
can be reused
- block email sends and banking follow-up work for deleted users while
preserving data
## Testing
- php artisan test --compact tests/Feature/DeleteUserCommandTest.php
tests/Feature/Settings/ProfileUpdateTest.php
tests/Feature/Auth/RegistrationTest.php
tests/Feature/Auth/AuthenticationTest.php
tests/Feature/Jobs/Drip/SendWelcomeEmailJobTest.php
tests/Feature/Console/SendUpdateEmailCommandTest.php
- vendor/bin/pint --dirty --format agent
## Summary
- Fixes
[PHP-LARAVEL-9](https://whisper-money.sentry.io/issues/PHP-LARAVEL-9):
`ReferenceError: window is not defined` during Inertia SSR of
`CashflowPage`.
- `CashflowController` now reads + validates the `period` query param
(`YYYY-MM`) and passes it as an Inertia prop.
- Client `useState` initializer reads from `usePage().props.period`
instead of `window.location.search`, making SSR safe and avoiding
hydration mismatch.
- `useEffect` URL sync now compares against the prop, not
`window.location.search`.
## Why (c) not a `typeof window` guard
Server-provided params avoid hydration mismatch and keep URL as single
source of truth.
## Tests
New `tests/Feature/CashflowPageTest.php`:
- guest redirect
- no query param → `period` prop `null`
- valid `?period=2025-03` → prop `'2025-03'`
- invalid value → `null`
- malformed format (`2025-3`) → `null`
All 5 pass (50 assertions).
## Scope
Cashflow only. Other pages with similar `window.location.search` in
`useState` initializers (`onboarding/index.tsx`, `welcome.tsx`,
`auth/login.tsx`) left for follow-up.
Fixes PHP-LARAVEL-9
## Summary
- remove the Pennant-based `open-banking` flag and middleware gating so
open banking is always available for authenticated users
- simplify landing, onboarding, settings, and subscription flows to use
always-on open-banking behavior and remove stale frontend/shared flag
plumbing
- update open-banking tests and purge stored `open-banking` Pennant rows
## Testing
- `php artisan test --compact
tests/Feature/OpenBanking/InstitutionControllerTest.php`
- `php artisan test --compact
tests/Feature/OpenBanking/BinanceControllerTest.php`
- `php artisan test --compact
tests/Feature/OpenBanking/IndexaCapitalControllerTest.php`
- `php artisan test --compact
tests/Feature/OpenBanking/BitpandaControllerTest.php`
- `php artisan test --compact
tests/Feature/OpenBanking/AuthorizationControllerTest.php`
- `php artisan test --compact
tests/Feature/OpenBanking/ConnectionControllerTest.php`
- `php artisan test --compact
tests/Feature/OpenBanking/AccountMappingTest.php`
- `php artisan test --compact
tests/Feature/OpenBanking/OpenBankingFeatureFlagTest.php`
- `php artisan test --compact
tests/Feature/OpenBanking/SyncRetryAndLoggingTest.php`
- `php artisan test --compact tests/Feature/SubscriptionTest.php`
- `php artisan test --compact
tests/Feature/WelcomeBanksOrderingTest.php`
- `vendor/bin/pint --dirty --format agent`
## Notes
- `php artisan pennant:purge open-banking` was run to remove stale
stored values
- `php artisan test --compact tests/Browser/OnboardingFlowTest.php`
still has one unrelated real-estate onboarding browser failure (`it
creates a real estate account during onboarding when feature is
enabled`)
## Summary
- store browser-detected IANA timezones on users during registration and
share the value to the frontend
- silently backfill missing timezones for authenticated users without
overwriting existing saved values
- add focused feature coverage for registration, shared props, and the
timezone backfill endpoint
## Testing
- php artisan test --compact tests/Feature/Auth/RegistrationTest.php
tests/Feature/InertiaSharedDataTest.php
tests/Feature/Settings/TimezoneTest.php
- npm test -- resources/js/utils/currency.test.ts
## Summary
- add month-end command to revoke old Enable Banking sessions for users
without a paid plan while keeping their linked accounts as manual
accounts
- extract banking disconnect flow into a reusable action so manual
disconnects and scheduled cleanup share same revoke and detach behavior
- add feature coverage for free-user cleanup, paid-user skips,
under-6-hour skips, non-Enable Banking skips, and revoke failure
fallback
## Testing
- vendor/bin/pint --dirty --format agent
- php artisan test --compact
tests/Feature/CancelFreeEnableBankingConnectionsCommandTest.php
tests/Feature/OpenBanking/ConnectionControllerTest.php
## Summary
- **Auto-calculates Annual Revaluation %** (CAGR) on the frontend when
purchase price, purchase date, and current market value are all provided
— pre-fills the revaluation field while still allowing manual override
- **Generates historical monthly balance records** via linear
interpolation from purchase date to today when creating a real estate
account with complete purchase data
- New `RealEstateBalanceGeneratorService` handles balance generation
with dates on the 1st of each month (matching the existing
`ApplyRealEstateRevaluationCommand` convention)
## Changes
### Backend
- **`app/Services/RealEstateBalanceGeneratorService.php`** (new) —
Linear interpolation service that builds balance dates (purchase date,
1st of each intermediate month, today) and creates `AccountBalance`
records using `updateOrCreate`
- **`app/Http/Controllers/Settings/AccountController.php`** — Calls the
service after real estate detail creation when all three inputs are
present
### Frontend
- **`resources/js/components/accounts/account-form.tsx`** — Added CAGR
auto-calculation via `useEffect` with a `useRef` flag
(`isRevaluationManuallySet`) to avoid overwriting manual user input
### Tests
- **`tests/Feature/Services/RealEstateBalanceGeneratorServiceTest.php`**
(new) — 7 unit tests covering interpolation, edge cases (same-day
purchase, flat values, single month spans)
- **`tests/Feature/RealEstateTest.php`** — 6 new feature tests covering
historical balance generation through the controller (with/without
purchase data, same-day, flat values)
All 38 tests in `RealEstateTest.php` and all 7 service tests pass.
## Summary
- gate waitlist signup behind email confirmation so only verified leads
receive a queue position and referral code
- add signed lead verification routes, a check-email page, and a
dedicated verification email for the waitlist flow
- update lead syncing and feature tests so only verified leads are
exported to Resend and referral movement happens after verification
## Testing
- php artisan test --compact tests/Feature/UserLeadTest.php
- php artisan test --compact
tests/Feature/ResendSyncLeadsCommandTest.php
- php artisan test --compact tests/Feature/MailSenderTest.php
- vendor/bin/pint --dirty --format agent
## Summary
- add an optional linked property selector when creating loan accounts
in both the main create dialog and onboarding
- validate that only the current user's unlinked real-estate accounts
can be selected and persist the reciprocal link after loan creation
- expose linked property state in shared account props and cover the new
flow with focused loan feature tests
## Testing
- php artisan test --compact tests/Feature/LoanTest.php
- vendor/bin/pint --dirty --format agent
## Summary
- remove the bank search result cap so exact matches are no longer
pushed out of the response
- rank exact name matches first, then prefix matches, then broader
substring matches
- add feature coverage for search ranking, full result sets, and
user-specific visibility
## Summary
- **Store `invested_amount` in user's currency** (e.g. EUR) instead of
the account's currency (e.g. BTC), since it represents "how much of my
money did I put in" — a concept tied to the user's home currency.
- **Flip `display_invested_amount`** in API responses: now converts from
user currency → account currency (previously account → user), for the
chart's account-currency toggle mode.
- **Remove redundant conversions** in `AccountMetricsService` since
invested amounts are already in user currency after sync.
## Changes
### Backend (5 files)
- **BinanceBalanceSyncService** — convert to
`$account->user->currency_code` instead of `$account->currency_code`
- **BitpandaBalanceSyncService** — same currency target change
- **IndexaCapitalBalanceSyncService** — inject
`CurrencyConversionService`, convert invested amount float to user
currency before storing as cents
- **DashboardAnalyticsController** — flip `display_invested_amount`
conversion direction (user→account) in both monthly and daily endpoints
- **AccountMetricsService** — remove 4 now-redundant invested_amount
conversion spots (values already in user currency)
### Frontend (6 files)
- **update-balance-dialog.tsx** — invested amount input uses user
currency
- **balances-modal.tsx** — invested amount display and edit uses user
currency
- **account-balance-chart.tsx** — currency toggle: user-currency mode
keeps invested_amount as-is; account-currency mode swaps to
`display_invested_amount`
- **import-balances-drawer.tsx** — passes `investedAmountCurrencyCode`
(user currency) to sub-components
- **import-balance-step-mapping.tsx** /
**import-balance-step-preview.tsx** — format invested amounts in user
currency
### Tests (2 files)
- **IndexaCapitalBalanceSyncTest** — use `app()` instead of `new`
(constructor now has DI), pin account currency to USD for deterministic
assertions
- **DashboardAnalyticsTest** — add EUR-based exchange rate, flip
assertion from `/ 0.90` to `* 0.90`
## Summary
- **Bug fix:** Dashboard and accounts index cards displayed the
account's original currency code (e.g. `BTC`) even though balances were
already converted to the user's currency (e.g. `EUR`). Now passes
`displayCurrencyCode` to card components so the label matches the
converted amount.
- **Feature:** Added a currency toggle on the account detail chart to
switch between the account's native currency and the user's main
currency. Extends the balance evolution APIs with `display_*` fields
when conversion applies.
- **First-account restriction:** Restricts first-account creation to
primary (fiat) currencies only, ensuring the user's base currency is
always widely supported.
## Changes
### Bug fix — currency label on cards
- `AccountBalanceCard` / `AccountListCard`: Added `displayCurrencyCode`
prop; all amount renders now use it instead of `account.currency_code`
- `dashboard.tsx`: Passes `netWorthEvolution.currency_code` as
`displayCurrencyCode`
- `Accounts/Index.tsx`: Passes `auth.user.currency_code` as
`displayCurrencyCode`
### Backend — API extension
- `DashboardAnalyticsController`: Both `accountBalanceEvolution()` and
`accountDailyBalanceEvolution()` now return `display_value`,
`display_invested_amount`, `display_mortgage_balance` per data point and
a top-level `display_currency_code` when the account currency differs
from the user's
### Frontend — currency toggle
- New `ChartCurrencyToggle` component with `ToggleGroup` showing
currency code labels (e.g. `BTC` / `EUR`)
- `ChartSettingsPopover`: Extended with optional `currencyToggle` prop
for mobile
- `AccountBalanceChart`: Full integration — all amounts, trends,
tooltips, MoM chart, and equity swap to `display_*` values when toggle
is set to user currency
### First-account currency restriction
- `StoreAccountRequest`: First account limited to primary currency codes
- `AccountForm` / `CreateAccountDialog` / `StepCreateAccount`: Pass
`usePrimaryCurrenciesOnly` when applicable
### Tests
- 5 new Pest tests for `display_*` fields in balance evolution endpoints
- 3 new Vitest tests for `deriveAccountMetrics` (mixed-currency, empty
data, invested amounts)
- 1 new Pest test for first-account BTC rejection
## Summary
- net transfer categories in the cashflow Sankey on their configured
side instead of showing gross signed flows
- keep the existing mixed-sign behavior for non-transfer categories so
regular income and expense categories can still appear on both sides
- add regression coverage for zero-net inflow transfers and partial
inflow/outflow transfer netting
## Testing
- vendor/bin/pint --dirty --format agent
- php artisan test --compact tests/Feature/CashflowAnalyticsTest.php
--filter=sankey
## Notes
- running the full `CashflowAnalyticsTest` file in this workspace still
hits two unrelated page tests because `public/build/manifest.json` is
missing locally
## Summary
- Removes the `account-mapping` Pennant feature flag entirely, making
the account mapping flow (pending accounts data + map-accounts page) the
default and only code path
- Removes the old direct-creation branches from all banking controllers
(Authorization, Bitpanda, Binance, IndexaCapital)
- Extracts a shared `CreatesAccountsFromPending` trait for the
onboarding auto-create logic
- Updates all controller tests to reflect the always-on mapping behavior
## Changes
### Backend
- **AppServiceProvider** — removed `account-mapping` flag definition
- **AuthorizationController** — removed flag check +
`createAccountsFromSession()` dead code; always stores
`pending_accounts_data` and redirects to mapping
- **BitpandaController / BinanceController / IndexaCapitalController** —
removed flag checks, old inline account creation, and unused imports
- **HandleInertiaRequests / ActivateDevelopmentFeatures /
ResolvesFeatures** — removed `account-mapping` from flag arrays
- **New `CreatesAccountsFromPending` trait** — shared auto-create logic
for onboarding path (to be consumed next)
### Frontend
- Removed `'account-mapping'` from the TypeScript `Features` interface
### Tests
- Merged flag-specific test variants into single always-on tests
- Removed redundant tests that tested the old disabled-flag code path
- Updated assertions to check `pending_accounts_data` instead of direct
account creation
## Summary
- **Fixes the broken retry mechanism** — after the first failed attempt
set status to `Error`, subsequent retry attempts bailed out because
`isActive()` returns `false` for `Error`. Now both `Active` and `Error`
statuses are syncable.
- **Adds auto-retry across scheduled runs** —
`SyncAllBankingConnectionsJob` and `banking:sync` command now include
`Error` connections where `consecutive_sync_failures < 3` (configurable
via `MAX_SCHEDULED_RETRIES`). After 3 full dispatch cycles, manual
intervention is required.
- **Logs every sync attempt to DB** — new `banking_sync_logs` table
records status (Success/Failed/Skipped), attempt number, error details,
duration, and metadata for each sync.
## Changes
### Core logic (`SyncBankingConnectionJob`)
- `isSyncableStatus()` allows both `Active` and `Error` through the gate
- Temporary errors: status only set to `Error` on the final attempt
(attempt 3); earlier attempts re-throw without changing status
- Permanent auth errors (401/403): `$this->fail()` called immediately,
`consecutive_sync_failures` set beyond the cap
- Rate limit (429): handled silently (existing behavior preserved)
- Every attempt is logged to `banking_sync_logs`
### Query updates
- `SyncAllBankingConnectionsJob`: includes `Error` connections under
retry cap
- `SyncBankingConnections` command: same query update for
`--user`/`--connection` filtered runs
### Controller updates
- `ConnectionController::sync()` and `updateCredentials()` reset
`consecutive_sync_failures` to 0
### New files
- `BankingSyncLogStatus` enum (Success, Failed, Skipped)
- `BankingSyncLog` model
- Two migrations: `add_consecutive_sync_failures` column,
`create_banking_sync_logs` table
### Tests
- Updated 3 existing auth error tests in `SyncBankingConnectionJobTest`
(24 pass)
- Added 17 new tests in `SyncRetryAndLoggingTest` covering retry
behavior, sync logging, scheduled retry inclusion/exclusion, and manual
retry reset
- All 10 `SyncBankingConnectionsCommandTest` tests still pass
Extend the dashboard to hide linked loan accounts and display merged
real estate cards showing equity as the primary balance, a dual-line
sparkline (solid market value, dashed mortgage owed), 'Mortgage at'
subtitle with bank logo, and a rich tooltip with Market Value,
Mortgage Owed, and color-coded Equity.