Commit Graph

13 Commits

Author SHA1 Message Date
Víctor Falcón 4c83cb8b33
feat(import): persist per-account import configuration on the backend (#698)
## What & why

Import configuration (the CSV/Excel column mapping and date format a
user
sets up per account) was stored in the browser's `localStorage`, so it
never
followed the user to another device. Importing the same account's
statement on
mobile — or on a new machine — meant reconfiguring the mapping from
scratch.

This moves that configuration to the backend, keyed per account and per
import
type, so it's preconfigured and loaded automatically wherever the user
imports.

## Demo

Cross-device QA: import transactions on "device 1" with a custom column
mapping, then clear **all** cookies + local/session storage (simulating
a
fresh device), log back in, and start a new import — the mapping
(Description → *Movement*, Amount → *How Much*, date format
*DD-MM-YYYY*)
is auto-loaded from the backend with no manual setup.


https://github.com/user-attachments/assets/e449dfe9-3970-48d4-97ca-9e415c73835b



## How

- New `account_import_configs` table: one row per `(account_id, type)`
where
`type` is `transaction` or `balance`. The mapping + date format are
stored as
  an opaque `config` JSON blob (exactly what the client sends).
- `GET/PUT /api/accounts/{account}/import-config`
(`AccountImportConfigController`),
authorized via the existing `AccountPolicy` (`view`/`update`) — mirrors
  `AccountBalanceController`. `PUT` upserts on `(account_id, type)`.
- Frontend: the two import-config storage helpers now read/write the
endpoint
via `axios` instead of `localStorage` (merged into a single module — the
  transaction and balance variants shared the same logic).
- The saved config is fetched **off the file-parse critical path**: the
parsed
file shows immediately with auto-detected columns, and the saved mapping
is
applied when it arrives (guarded so a slow load can't clobber a file
picked
afterwards). A slow or hanging request never blocks the preview or Next
  button. When no config exists or the request fails, it falls back to
  auto-detection exactly as before.

## Notes / decisions

- **No localStorage migration.** Existing per-device configs aren't
migrated;
on the next import the mapping is auto-detected and re-saved to the
backend,
so it self-heals after one import. The old `import_config_account_*`
keys are
  simply no longer read.
- The mapping-validity check against the actual file headers stays
client-side
  (it depends on the just-parsed file).

## Testing

- `tests/Feature/AccountImportConfigTest.php` (9 tests): auth required,
  cross-user 403 on read and write, save→persist→load round-trip, upsert
  de-duplication, transaction/balance independence, and validation
  (unknown type, missing column mapping).
- Sibling suites green (`AccountBalanceControllerTest`,
`SavedFilterTest`) —
no regression from the new `Account::importConfigs()` relation or
routes.
2026-07-18 16:10:40 +02:00
Víctor Falcón 744d874464
fix(import): honor selected date format for CSV imports (#494)
## Problem

Importing a CSV with `DD/MM/YYYY` dates (e.g. `02/06/2026`) parsed them
as `MM/DD/YYYY`, and the **Date Format** selector either didn't appear
or had no effect — the preview showed the same wrong date regardless of
the chosen format.

## Root cause

The `xlsx` parser coerced CSV date-like strings into Excel **serial
numbers** at read time, guessing the format itself. `parseDate` then hit
its numeric short-circuit and **ignored the selected format entirely**,
so the Date Format radio never changed the preview.

On top of that, ambiguous dates (valid as both DD/MM and MM/DD) were
resolved silently by browser locale, and a saved import config force-hid
the selector — so a wrong guess couldn't be corrected.

## Changes

- **`parseFile` reads with `raw: true`** — CSV cells stay as their
original strings; `parseDate` applies the chosen format. Native
`.xls/.xlsx` dates still arrive as numbers and use the serial path.
- **`detectDateFormat()`** now returns `{ format, ambiguous }`. When
multiple formats parse the sample equally, the importer keeps the Date
Format selector visible (defaulting to the locale/saved best guess) —
even when a saved config exists — so a previously-saved wrong format can
be fixed. `autoDetectDateFormat()` kept as a thin wrapper.
- Applied to both the transactions and account-balances import drawers.
- **UI:** moved the Date Format selector above the preview and switched
the mapping form from broken Tailwind v4 `space-y`/`space-x` to
`flex`/`gap`.

## Tests

- New `parseFile` regression test: `02/06/2026` stays a string and
parses to June (DD-MM) vs February (MM-DD).
- New `detectDateFormat` tests for the `ambiguous` flag.
- All 39 `file-parser` tests pass; lint/format clean.
2026-06-05 15:10:48 +02:00
Víctor Falcón aa3b811027
refactor(js): extract shared getCsrfToken util (#475)
## What

Same XSRF-TOKEN cookie-parsing snippet was duplicated inline in **12
files** (some as local `getCsrfToken()` copies, some inline
`decodeURIComponent(...)` blocks).

Extracted to single util: `resources/js/lib/csrf.ts`, with vitest
coverage.

## Why

Part of duplication-removal series — PRs that mostly delete code.

## Stats

- App code: **-89 / +23 lines**
- 12 files now import one shared util
- New: `lib/csrf.ts` (8 lines) + `lib/csrf.test.ts`

## Checks

- `bun run test` — 154 pass (3 new)
- `bun run lint` — clean (1 pre-existing warning in chart.tsx)
- `bun run format` — applied
- `tsc --noEmit` — 59 pre-existing errors on main, same 59 on branch
(none introduced)
2026-06-03 17:26:09 +02:00
Víctor Falcón 79075dbcdf
fix(i18n): translate Unknown Income/Expense and other missing ES strings (#331)
## Summary

Fixes untranslated strings surfaced in the Spanish UI (e.g. `Unknown
Income`, `Unknown Expense` on the cashflow breakdown).

## Root cause

`CashflowAnalyticsController` pushed literal English names into the API
response for uncategorized totals, bypassing `__()`. Additional `__()`
calls across the sync flow and validation had no matching keys in
`lang/es.json`. Several frontend toasts/errors were also hardcoded.

## Changes

**Controller (P0)**
- `app/Http/Controllers/Api/CashflowAnalyticsController.php` — wrap
`Unknown Income`/`Unknown Expense` with `__()` (lines 250, 323).

**Translations (P0 + P1 + P2)**
- `lang/es.json` — added 23 keys (1730 → 1753):
  - `Unknown Income`, `Unknown Expense`, `Unknown Bank`, `Unknown error`
- Sync/banking messages: `Invalid credentials…`, `Rate limit exceeded…`,
`Failed to sync with the provider…`, `The provider is experiencing
issues…`, `An unexpected error occurred during sync…`, `Credentials
updated. Sync started.`, `Action required: :provider connection needs
attention`, `:count new transactions synced on Whisper Money`
- Validation: `The selected property cannot be linked.`, `The selected
property is already linked to a loan.`, `The verification link is
invalid.`, `This field is required.`
- Misc: `Confirm your waitlist spot - Whisper Money`, `Log in to your
bank`
- Frontend toasts: `Failed to re-evaluate rules. Please try again.`,
`Failed to load import data`, `All transactions failed to import`,
`Failed to update transactions`, `Failed to update transactions with
labels`

**Frontend hardcoded strings wrapped in `__()` (P2)**
- `resources/js/components/transactions/import-transactions-drawer.tsx`
- `resources/js/components/accounts/import-balances-drawer.tsx`
- `resources/js/lib/sync-manager.ts` (added `@/utils/i18n` import)
- `resources/js/components/transactions/transaction-list.tsx`
- `resources/js/components/transactions/import-transactions-button.tsx`
- `resources/js/pages/transactions/index.tsx`

## Verification

- `vendor/bin/pint --dirty` → pass
- `php artisan test --filter=CashflowAnalytics` → 24 passed
- `php artisan test --filter=Sync` → 166 passed
- `npm run build` → OK
- Post-fix audit: 0 real missing `__()` keys remaining
2026-04-24 17:58:26 +01:00
Víctor Falcón c3ff4c684a
feat: store invested_amount in user currency instead of account currency (#262)
## 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`
2026-04-06 12:48:13 +02:00
Víctor Falcón 395c4ad2c3
feat(accounts): add real estate asset tracking (#241)
## Summary

- Adds **real estate** as a new account type (`real_estate`) for
tracking property assets within the existing Accounts page
- Properties store metadata (type, address, purchase price/date, area,
notes) in a dedicated `real_estate_details` table with a one-to-one
relationship to accounts
- Properties can be **linked to a loan account** (mortgage) to
implicitly calculate equity — property value counts as asset (+), linked
loan counts as liability (-)
- Market value is tracked as the account balance and uses "market value"
terminology throughout the UI

## What's included

### Backend
- `PropertyType` enum (Residential, Commercial, Land, Vacation, Other)
- `RealEstateDetail` model, factory, migration, policy
- `StoreRealEstateDetailRequest` and `UpdateRealEstateDetailRequest`
form requests
- `RealEstateDetailController` with `update()` for editing property
details
- Extended `Settings\AccountController@store` to create
`RealEstateDetail` when type is `real_estate`
- Extended `AccountController@show` to load real estate detail, linked
loan with bank info, and available loan accounts
- Extended `AccountController@index` SQL ordering to include
`real_estate`
- Conditional validation rules in `StoreAccountRequest` for real estate
fields

### Frontend
- New `real_estate` type in `account.ts` with `PropertyType`,
`AreaUnit`, `RealEstateDetail` interface, and helper functions
- Conditional real estate fields in `account-form.tsx` (property type,
address, purchase price, purchase date, area, linked loan, notes)
- `PropertyDetailsCard` component in `Accounts/Show.tsx` with view and
inline edit modes
- "Update market value" terminology in balance update buttons for real
estate accounts
- `real_estate` added to account type ordering and groups on the Index
page
- Wayfinder routes regenerated

### Tests
- 22 feature tests covering creation, validation, show page, index
ordering, updating details, IDOR protection, model relationships, and
soft delete behavior
- Unit test updates for `AccountType` enum (`reducesNetWorth`,
`isNonTransactional`)

### Translations
- 32 new Spanish translation strings for all real estate UI

## Design decisions
- Real estate accounts are **non-transactional** (like
investment/retirement) — balance-only tracking for now. Future iteration
will link transactions directly for rental income/expense tracking
- **Single loan per property** via direct FK from
`real_estate_details.linked_loan_account_id`
- No encryption on address/notes fields (opted out per discussion)
- No separate sidebar page — real estate is a grouped section within the
existing Accounts page
2026-03-24 10:21:32 +00:00
Víctor Falcón f140b5df7f
fix(dashboard): treat loans as debt in net worth (#238)
## Summary
- fix dashboard net worth math so loan balances reduce totals and trends
instead of showing as positive assets
- add a per-user toggle in the net worth chart settings to include or
exclude loans from the dashboard net worth card
- cover the new preference and liability handling with feature and
frontend tests

## Screenshots
<img width="1121" height="509" alt="image"
src="https://github.com/user-attachments/assets/ab6a7cde-1052-4dab-aa14-34f6d9528829"
/>
<img width="1122" height="506" alt="image"
src="https://github.com/user-attachments/assets/e48a0369-16c4-4294-ae00-4eba56480264"
/>
2026-03-20 09:55:53 +00:00
Víctor Falcón 299b8a56d8
feat: investment benefits — show gains/losses on investment accounts (#140)
## Why

Investment and retirement accounts show balance over time, but there's
no way to see how much money was actually put in versus how much is
current value. Users can't tell at a glance whether their investments
are up or down.

## What

Adds an "invested amount" tracking system across the full stack:

**Backend**
- New `invested_amount` column on `account_balances` (nullable
bigInteger, cents, per-date)
- Auto-sync from providers: Indexa Capital (instruments_cost +
cash_amount), Bitpanda (fiat deposit/withdrawal history), Binance
(90-day windowed deposit/withdrawal with crypto→fiat conversion)
- Manual input support via Update Balance dialog
- Historical invested amount data in all balance evolution APIs (net
worth, account detail)

**Frontend**
- Dashed line on sparkline charts (dashboard + accounts page) showing
per-point historical invested amount alongside balance
- Dashed line on account detail charts (daily AreaChart + monthly
ComposedChart)
- Tooltips with labeled rows: Balance, Invested, Gain/loss (color-coded)
- Invested amount column in balances history modal
- Invested amount field in balance import wizard (CSV mapping)
- Demo account seeder updated with invested amount data

## Screenshots
<img width="1301" height="750" alt="image"
src="https://github.com/user-attachments/assets/0f05ecd0-8b98-47b4-9fa4-027f0311e3bb"
/>
<img width="744" height="374" alt="image"
src="https://github.com/user-attachments/assets/c4daa816-dee0-4f94-957f-317a13bc80d5"
/>
<img width="1267" height="738" alt="image"
src="https://github.com/user-attachments/assets/21df350c-6954-4ff5-8b3c-b858df3a8b3a"
/>
<img width="1301" height="828" alt="image"
src="https://github.com/user-attachments/assets/16f5f021-a926-4e8e-a999-c4ca32d1ea3d"
/>
<img width="1274" height="845" alt="image"
src="https://github.com/user-attachments/assets/62f2dfc0-04f0-4bdb-b072-cf7cd1be77d3"
/>
2026-02-23 13:59:10 +01:00
Víctor Falcón a19a8d52ec
Fix: Use locale to disambiguate date format during CSV import (#107)
## Summary
- When CSV dates are ambiguous (e.g. `05/03/2024` parses as both
DD-MM-YYYY and MM-DD-YYYY), the auto-detection heuristic now uses the
user's locale preference as a tie-breaker instead of relying on array
order
- Adds `getLocaleDateFormat()` helper that maps locale strings to their
expected date format (US → MM-DD-YYYY, most others → DD-MM-YYYY, CJK →
YYYY-MM-DD)
- Passes locale from Inertia shared props to both transaction and
balance import flows

Closes #100

## Test plan
- [x] Added 15 Vitest tests for `getLocaleDateFormat` and
`autoDetectDateFormat` with locale tie-breaking
- [ ] Manual test: Import CSV with ambiguous dates (day ≤ 12) using a
non-US locale, verify DD-MM-YYYY is preferred
- [ ] Manual test: Import CSV with unambiguous dates (day > 12), verify
locale does NOT override correct detection
2026-02-12 09:08:52 +01:00
Víctor Falcón 70b603e901
feat: Spanish localization (#74)
## Pending
- [x] Translate landing page
- [x] Dashboard
- [x] Accounts list page
- [x] Account page
- [x] Cashflow
- [x] Budgets
- [x] Transactions
- [x] Settings

## Screenshots
<img width="1210" height="969" alt="image"
src="https://github.com/user-attachments/assets/c7935e5c-488d-4941-8f19-8834e5668257"
/>
<img width="1211" height="972" alt="image"
src="https://github.com/user-attachments/assets/e94e1daf-233a-4a49-aa65-5678c772d178"
/>
2026-02-08 11:58:08 +01:00
Víctor Falcón 439ec86722
chore: Simplify IndexedDB sync by moving to Inertia shared props (#63)
This PR simplifies the IndexedDB synchronization mechanism by removing
individual sync controllers and services, and instead using Inertia.js
shared props to provide data globally across the application.

## Benefits

1. **Simplified Architecture**: Removed complex sync logic for
static/semi-static data (accounts, categories, banks, labels, automation
rules)
2. **Better Performance**: Data is now shared via Inertia props,
eliminating unnecessary API calls and IndexedDB operations
3. **Reduced Complexity**: Significantly reduced codebase size (~2000
lines removed)
4. **Better UX**: Data is immediately available on page load without
waiting for sync operations
5. **Maintainability**: Fewer moving parts means easier to maintain and
debug

## Migration Notes

- Transaction syncing still uses IndexedDB for offline support
- All other data (accounts, categories, banks, labels, automation rules)
is now fetched via Inertia shared props
- Components automatically receive updated data on navigation without
manual sync operations
2026-01-19 19:15:26 +01:00
Víctor Falcón ec6b6d04cf
Add transaction selection to import preview (#25)
Allow users to select individual transactions for import instead of
automatically importing all non-duplicate transactions. Adds checkboxes
to the preview table with select-all functionality and updates the
import logic to only process selected transactions.

<img width="1076" height="592" alt="image"
src="https://github.com/user-attachments/assets/06dab7d0-87f1-4c69-97a4-fa98b33062d7"
/>
2025-12-13 12:41:18 +01:00
Víctor Falcón 517d758a9d
Import balances assistant (#14)
<img width="1220" height="803" alt="image"
src="https://github.com/user-attachments/assets/ae0be642-6648-456a-8c43-cca69fd2e750"
/>
2025-12-05 16:39:56 +01:00