## Spaces / Business plan — Phase 0: invisible foundation
First of **three stacked PRs** introducing multi-tenant **Spaces** (the
basis for the Business plan). This one is a **pure, behaviour-preserving
foundation**: it can ship to production on its own with zero
user-visible change.
- **Stacked PRs:** this → `enterprise-spaces-ui` (Phase 1+2) →
`enterprise-spaces-invitations` (Phase 3).
### What a Space is
A Space groups its own accounts, connections, transactions, categories,
labels, budgets and rules. **Every user gets one invisible "Personal"
space**, provisioned automatically on creation — so the architecture is
identical for free, Standard and Business accounts, even though only
Business will ever see more than one.
### What this PR does (no behaviour change)
- `spaces`, `space_user`, `space_invitations` tables;
`users.current_space_id`; a nullable, indexed `space_id` on the 8 owned
tables (plain column, **no FK** — avoids a validating table-scan/lock on
`transactions` during a phased rollout).
- `Space` model + `BelongsToSpace` trait that stamps `space_id` on
create (from the row's user's current space; a transaction inherits its
account's space, so bank-sync lands rows correctly).
- Idempotent, chunked `spaces:backfill` command (run from a migration)
that gives every existing user a personal space and stamps their rows —
so the read switch in the next PR is safe.
- **Reads are untouched here** (still user-scoped); every user has
exactly one space, so behaviour is identical.
### Testing
- New `tests/Feature/Spaces/SpaceFoundationTest.php` (provisioning,
default-space stamping, account-anchored transaction space,
stale-pointer self-heal, backfill).
- Full suite green.
### Notes / deliberate simplifications
- `space_id` stays **nullable** (populated by backfill + on every
write); the NOT NULL constraint is deferred until prod is confirmed
fully backfilled.
- For very large `transactions` tables, `spaces:backfill` can be run
out-of-band before deploy so the migration's call is a no-op.
## What
Adds **Interactive Brokers** as a banking sync provider (investment
account, balances only), mirroring the Indexa Capital integration.
It uses the **Flex Web Service** rather than IBKR's Web API: the Web API
requires registering as an IBKR third party (business entity, Compliance
approval, RSA-signed OAuth, ~3-5 weeks), which is overkill for read-only
balance sync. Flex is a read-only token + Query ID model that fits our
existing API-key provider shape.
### How the sync works
- The user creates an Activity Flex Query (NAV + Open Positions) and a
Flex Web Service token in their IBKR Client Portal, then pastes both.
- Client flow: `SendRequest` → reference code → poll `GetStatement` →
parse the XML statement.
- Mapping: `EquitySummaryByReportDateInBase@total` → `balance` (daily
rows give historical backfill on first sync); `Σ(OpenPosition
costBasisMoney × fxRateToBase) + cash` → `invested_amount`, so **profit
derives as `balance − invested_amount`** (unrealized P&L), like Indexa
Capital. Everything is already in base currency, so no FX conversion is
needed.
- One statement covers every account, so the syncer fetches once per
connection to respect IB's per-query rate limit.
- IB returns HTTP 200 with an error XML, so the client translates Flex
error codes into the exceptions the sync job already understands:
`RequestException(401)` for token problems, `RequestException(429)` for
throttling, `TransientBankingProviderException` otherwise.
### Connect flow
- New connect/update-credentials endpoints validate the credentials by
pulling a statement, then build pending accounts from it.
- Credentials reuse the encrypted `api_token` (Flex token) and
`api_secret` (Flex Query ID) columns — **no migration**.
- The IB option (two fields) is added to the connect dialog, inline
connect flow, and update-credentials dialog, with Spanish translations.
## Feature flag (why this is a draft)
Gated behind a Pennant feature `App\Features\InteractiveBrokers` (off by
default). It was built against documented/open-source Flex XML fixtures,
**not a live IBKR account** (we don't have one). Before enabling,
validate against a real account (beta tester or a free IBKR account):
```
php artisan feature:enable InteractiveBrokers user@example.com
```
If the parser needs tweaks against real XML, they should be minor
(field-name level).
## Tests
- Client + balance sync: NAV → balance, invested/profit, daily backfill,
since-date incremental, multi-account, GetStatement polling, token-401 /
rate-limit-429 mapping.
- Controller: feature-flag gate (403), valid/invalid credentials,
subscription gate, onboarding auto-create, validation.
- Factory wiring, enum cases, job-level sync, feature-flag visibility
(vitest).
- Spanish translations added (enforced by `LocalizationTest`).
All green: `pint --test`, `phpstan`, OpenBanking + localization suite,
vitest.
## What
Unifies keys that were repeated across the codebase into two PHP enums
as the single source of truth. Two independent commits:
### `refactor(banking)` — `BankingProvider` enum
- New `App\Enums\BankingProvider` (`indexacapital`, `binance`,
`bitpanda`, `coinbase`, `wise`, `enablebanking`).
- `BankingConnection`'s `provider` column is cast to the enum → magic
strings gone from the model, controllers (`match`), requests, jobs,
commands, factory and `where('provider', ...)`.
- Logic that was duplicated, now on the enum:
- `usesApiKey()` — API-key auth (everything except EnableBanking).
- `defaultAccountType()` — provider → account type (removes the
duplicated ternary in `CreatesAccountsFromPending` and
`AccountMappingController`).
### `refactor(i18n)` — `Locale` enum
- New `App\Enums\Locale` (`en`/`es`/`fr`).
- Unifies the `['en','es','fr']` list (validation in `SetLocale` and
`ProfileUpdateRequest` via `Rule::enum`) and the `Accept-Language`
detection (`Locale::detectFromHeader`), previously duplicated in
`SetLocale` and `CreateNewUser`.
## Interaction with Wise (PR #525)
Rebasing onto Wise surfaced two issues this PR fixes:
1. **`isWise()` was broken** once `provider` is cast (it compared `===
'wise'` against an enum → always `false`).
2. **Account type**: Wise uses an API key (✓ it gets the auth-failed
email) but is a **checking** account, not an investment one. Account
type now flows through `defaultAccountType()` (Wise/EnableBanking →
Checking; indexa/binance/bitpanda/coinbase → Investment).
## Behavior change (minor)
`CreateNewUser` now detects `fr` at registration (previously only
`es`/`en`), consistent with the existing French support.
## Out of scope
- Frontend (`['indexacapital','binance',...]`, `provider: string`):
syncing TS with the PHP enums would need typegen. It still receives the
string via `->value`.
- `TransactionSource::Wise/EnableBanking`: a separate enum (transaction
origin), not a duplicated check.
## Tests
- New: `tests/Unit/Enums/BankingProviderTest.php`,
`tests/Unit/Enums/LocaleTest.php`.
- `vendor/bin/pint --test` ✓ · Larastan ✓ · full suite (excluding
Browser) **1615/1616** ✓.
## Summary
Adds **Wise** as an API-token banking provider — connect flow,
transaction sync, and per-wallet balance sync — and fixes two bugs that
kept business/extra profiles and balances from working.
## Changes
- **Balance sync** — new `WiseBalanceSyncService` pulls
borderless-account balances on every sync. Previously Wise balances were
never fetched, so the displayed balance went stale (frozen at the last
value).
- **Multi-profile connect** — `WiseController` now creates accounts for
**every** profile on the token (personal *and* business), not just one.
- **ID-format fix** — `external_account_id` is now
`"{profileId}:{currency}"`. The connect flow previously wrote the
**borderless-account id**, but both sync services parse the **profile
id** — so any UI-connected account (and every business profile) silently
failed to sync.
- **Tests** — `WiseBalanceSyncTest` (currency matching, idempotent
today-balance, skip-when-unmapped) and `WiseControllerTest`
(multi-profile pending accounts, onboarding auto-create, invalid token).
## Test plan
- [x] `php artisan test
tests/Feature/OpenBanking/WiseBalanceSyncTest.php
tests/Feature/OpenBanking/WiseControllerTest.php` — 6 passing / 28
assertions
- [x] `vendor/bin/pint` — clean
- [ ] CI (full pest + lint + build)
🤖 Generated with [Claude Code](https://claude.com/claude-code)
---------
Co-authored-by: Claude Opus 4.8 (1M context) <noreply@anthropic.com>
Co-authored-by: Víctor Falcón <victoor89@gmail.com>
## Why
iOS PWAs hand the bank redirect back to the system browser (Safari),
where the app session does not exist. The old `/open-banking/callback`
sat behind `auth` + `verified` middleware, so Safari hit it with no
session → bounced to `/login`, the callback body never ran, and the
connection stayed `pending` forever (4 stale rows observed in prod).
## What
Make the bank connection flow session-independent end to end.
### 1. State-token callback (session-independent)
- `store()` generates `Str::random(40)`, persists it on the connection,
and passes it to `startAuthorization` as `state`.
- `/open-banking/callback` is now **public**. It resolves the connection
from `state_token` (`resolveConnectionFromState`) and derives the owner
from the connection, not the session.
- Connection is finalized server-side (`session_id`, status,
`state_token = NULL`) before any redirect.
- New migration adds the nullable, unique `state_token` column; the
column is hidden on the model.
### 2. Completion page instead of login bounce
When the callback runs without a session (the Safari case), the
connection is already finalized server-side. Instead of bouncing the
user to `/login`, render a standalone "go back to the app" page — their
session lives in the PWA, not here.
- New page `resources/js/pages/open-banking/connection-complete.tsx`
(success / error states, dark mode).
- `finishRedirect()` renders the page when `!Auth::check()`; logged-in
users still get the normal redirect.
### 3. Onboarding: land on the connections step + poll cross-browser
- A logged-in user finishing the flow lands straight on the onboarding
connections step (`?step=create-account`), now resolved server-side via
a validated `initialStep` prop so the step is deterministic.
- While on that step the page polls every 4s (`usePoll`, `only:
['accounts']`), so a connection finalized in another browser (PWA →
Safari) shows up without a manual refresh.
## Flow
```
POST /authorize → stateToken = Str::random(40)
→ startAuthorization(state = stateToken)
→ create BankingConnection(pending, state_token)
EnableBanking → callback?code&state=stateToken (PUBLIC, no session needed)
→ find connection WHERE state_token = state
→ createSession(code) → finalize (session_id, status, state_token = NULL)
→ session present? redirect to connections step / mapping
: render "go back to the app" completion page
PWA (logged in) → onboarding?step=create-account → polls accounts every 4s
```
## Tests
36 passing. Covers:
- state-token persistence and session-less finalization
- owner resolved from the connection regardless of who is authenticated
- completion page rendered (success + error) when no session; login
fallback when no connection resolves
- logged-in user redirected directly to the onboarding connections step
- `?step=create-account` lands on that step; unknown step falls back to
default
## Problem
Production logs show repeated EnableBanking 429s on the same
connections, every cron cycle:
```
[2026-05-04 18:00:55] EnableBanking API error status:429
body: [HUB046] Allowed number of accesses exceeded for consent
[2026-05-04 21:47:12] EnableBanking API error status:429
body: Daily PSU not present consultation limit has been exceeded
[2026-05-05 00:01:41] same connection, same error
[2026-05-05 06:01:41] same connection, same error
```
Root cause: `SyncBankingConnectionJob` returned early on 429s without
persisting any backoff state. The scheduler kept re-dispatching the same
connection on every run, hammering the provider and burning the daily
quota.
## Fix
Persist a per-connection backoff window so the scheduler stops
re-dispatching until the provider quota resets.
- New `rate_limited_until` column on `banking_connections`.
- On 429: derive the window from
1. `Retry-After` header if present,
2. "Daily ..." message → next UTC midnight (matches PSU daily limit
semantics),
3. default 1 hour (consent / generic).
- Job short-circuits with a `Skipped` sync log if the window is still
active.
- Successful sync clears the window.
- `SyncAllBankingConnectionsJob` + `SyncBankingConnections` command
filter out connections still inside their backoff.
## Tests
- Existing rate-limit test updated (now also asserts the backoff is
set).
- New: daily message → next UTC midnight.
- New: `Retry-After` header honoured (1800s).
- New: rate-limited connection skipped without calling provider.
- New: successful sync clears `rate_limited_until`.
- New: scheduler excludes connections whose backoff has not expired.
`php artisan test --compact
--filter="SyncBankingConnectionJobTest|SyncRetryAndLoggingTest|SyncBankingConnectionsCommandTest"`
→ 70 passed.
## Summary
- add a per-connection cutoff timestamp so silent first/full sync
imports are excluded from later daily bank sync emails
- keep the existing one-email-per-day user cap while still reporting
transactions created after the silent sync cutoff
- add regression coverage for silent first sync, full sync, and
post-cutoff reporting behavior
## Testing
- php artisan test --compact
tests/Feature/OpenBanking/SyncBankingConnectionJobTest.php
- vendor/bin/pint --dirty --format agent
## 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
## 🚪 Why?
### Problem
PHPStan was running with a baseline of 56 suppressed errors, meaning
static analysis was not enforcing type safety across a significant
portion of the codebase. These errors were real type mismatches,
redundant null-safety operators, and incorrect PHPDoc annotations that
could mask bugs and make the code harder to reason about.
## 🔑 What?
### Changes
- Add `@property` PHPDoc annotations to `Account`, `BankingConnection`,
`ExchangeRate`, and `Transaction` models so Enum casts and typed columns
are visible to PHPStan
- Add `instanceof User` guards in `ScheduleDripEmailsListener`,
`SyncUserToResendListener`, and `FortifyServiceProvider` to properly
narrow `Authenticatable` to `App\Models\User`
- Remove redundant `?? false` and unnecessary nullsafe `?->value` in
`HandleInertiaRequests`
- Fix `SyncBankingConnectionJob`: use `->name` instead of `?->name` on
an always-loaded `bank` relation
- Remove `is_countable()` guard in `BalanceLookup` (parameter is always
`Collection|array`, both countable)
- Remove `?? []` / `?? default` fallbacks on fully-typed array keys
across `BalanceSyncService`, `BinanceBalanceSyncService`,
`BinanceClient`, `BitpandaBalanceSyncService`, `BitpandaClient`,
`IndexaCapitalClient`, `IndexaCapitalBalanceSyncService`, and
`AuthorizationController`
- Fix `BinanceClient::publicClient()` `retry()` call: use `when:` named
argument and `\Throwable` type hint to match `PendingRequest::retry()`
signature
- Update `IndexaCapitalClient::getPerformance()` `@return` to include
`portfolios` and `net_amounts` keys; simplify sync service to remove
dead null checks
- Replace nullsafe chain with ternary in `BudgetPeriodService`
- Replace `match` statement in `SetupMainUser` with `if/else` to
eliminate always-true comparison
- Clear `phpstan-baseline.neon` entirely (was 56 suppressed errors, now
0)
## ✅ Verification
### Tests
- Existing tests pass: PHPStan level 5 reports 0 errors with empty
baseline
## Why
### Problem
When API tokens for Indexa Capital, Binance, or Bitpanda expire or are
revoked, syncs fail silently with 401/403 errors. Users have no way to
replace their credentials without disconnecting and recreating the
entire connection (losing account mappings and history).
## What
### Changes
- **Auth failure email notification**: on the final retry attempt (3rd
of 3), if a sync job fails with 401/403 for an API-key provider, an
email is sent to the user with a link to the connections settings page
- **Update credentials endpoint**: `PATCH
/settings/connections/{connection}/credentials` validates new
credentials against the provider API before saving, then triggers a sync
- **Update credentials dialog**: provider-specific form (API token for
Indexa/Bitpanda, API key + secret for Binance) shown via an "Update
Credentials" button in the error banner and dropdown menu
- **Mailable**: `BankingConnectionAuthFailedEmail` follows existing
patterns (queued, rate-limited, Markdown template)
- **Form request**: `UpdateConnectionCredentialsRequest` with dynamic
validation rules per provider and authorization check
### Files changed
| File | Change |
|------|--------|
| `app/Jobs/SyncBankingConnectionJob.php` | Send auth failed email on
final attempt for auth errors on API-key providers |
| `app/Mail/BankingConnectionAuthFailedEmail.php` | New queued mailable
|
| `resources/views/mail/banking-connection-auth-failed.blade.php` |
Email template |
| `app/Http/Controllers/OpenBanking/ConnectionController.php` |
`updateCredentials()` action with provider credential validation |
| `app/Http/Requests/OpenBanking/UpdateConnectionCredentialsRequest.php`
| Dynamic validation per provider |
| `routes/settings.php` | PATCH route for credential updates |
| `resources/js/components/open-banking/update-credentials-dialog.tsx` |
Dialog with provider-specific fields |
| `resources/js/pages/settings/connections.tsx` | Update Credentials
button in error state and dropdown |
## Verification
### Tests
- **12 new tests** across 2 test files, all passing:
- `SyncBankingConnectionJobTest`: 5 tests covering email sent on final
retry (Indexa 401, Binance 403), not sent before final retry, not sent
for non-auth errors, not sent for EnableBanking
- `ConnectionControllerTest`: 7 tests covering valid credential update
for each provider, invalid credentials, EnableBanking rejection,
authorization, feature flag, required field validation
- Full OpenBanking test suite: **145 tests, 473 assertions** passing
## Summary
- Add Bitpanda as a new exchange provider using a single API key
(`X-Api-Key` header) to sync crypto and fiat wallet balances
- Follow the same architecture as Binance: provider string on
`banking_connections`, dedicated API client, balance sync service,
controller, form request, job wiring, factory state, route, and frontend
dialog
- Convert crypto wallet balances to the user's target currency via
`CurrencyConversionService`; fiat wallets are added directly or
converted if in a different currency
- Bitpanda appears in all countries in the connect dialog (same as
Binance)
- 18 new tests covering controller validation, balance sync scenarios,
sync job delegation, expiry handling, and email suppression
## Summary
- Adds Binance as a third banking provider alongside EnableBanking and
Indexa Capital
- Binance appears in the institution list for **all countries**, with
the full list sorted alphabetically
- Creates a single "Crypto Portfolio" investment account with total
portfolio value converted to the user's preferred currency
- Supports direct fiat pairs (e.g. BTCEUR), USD stablecoin 1:1 mapping,
and USDT fallback conversion
## Changes
- **Migration**: adds encrypted `api_secret` column to
`banking_connections`
- **BinanceClient**: HMAC-SHA256 authenticated API client for account
data and ticker prices
- **BinanceBalanceSyncService**: converts all non-zero balances to fiat
via direct pairs or USDT fallback
- **BinanceController + ConnectBinanceRequest**: validates credentials,
creates connection and single account
- **SyncBankingConnectionJob**: new `syncBinance()` branch
- **AccountMappingController**: Binance uses Investment account type
- **Frontend**: Binance institution for all countries, API Key + Secret
form fields, alphabetically sorted list
- **Factory**: `binance()` state on `BankingConnectionFactory`
## Test plan
- [x] `BinanceControllerTest` — 6 tests (valid connection, invalid
credentials, account-mapping flag, feature flag, validation, user
currency)
- [x] `BinanceBalanceSyncTest` — 7 tests (direct EUR pair, USDT
fallback, USD stablecoins, locked balances, same-date update, empty
balances, missing external ID)
- [x] Full test suite passes (545 tests)
- [x] Manual: open connection dialog → select any country → Binance
appears alphabetically → select Binance → API Key + Secret form →
connect
## Summary
- Allow users to connect their Indexa Capital (Spanish robo-advisor)
account via API token
- Adds "Indexa Capital" option when selecting Spain in the bank
connection dialog
- Token-based auth flow: user enters API token (instead of OAuth
redirect), validated against Indexa API, stored encrypted
- Syncs portfolio balance only (no transactions) from the
`/accounts/{id}/performance` endpoint
- Accounts created as `Investment` type
- Reuses existing account mapping flow when the `account-mapping`
feature flag is active
- Disconnect flow skips session revocation for Indexa (no OAuth session
to revoke)
## New files
- `IndexaCapitalClient` — HTTP client for Indexa Capital API
(`X-AUTH-TOKEN`)
- `IndexaCapitalBalanceSyncService` — Syncs portfolio value into
`account_balances`
- `IndexaCapitalController` — Token validation + connection creation
- `ConnectIndexaCapitalRequest` — Form request validation
- Migration adding encrypted `api_token` column to `banking_connections`
## Test plan
- [x] 6 controller tests (connect, invalid token, mapping, feature flag,
validation, multi-account)
- [x] 4 balance sync tests (sync, update, skip, missing field)
- [x] 3 sync job tests (balance-only, no expire, no email for Indexa)
- [x] 1 disconnect test (no revokeSession for Indexa)
- [x] All 530 existing tests still pass
## Summary
- Adds **EnableBanking** as the first open banking provider, allowing
users to connect real bank accounts and automatically sync transactions
and balances
- Uses a **`BankingProviderInterface`** contract so future providers
(Plaid, GoCardless, etc.) can be added by implementing the same
interface
- Feature-flagged behind the **`open-banking`** Pennant flag (default:
off)
- Connected accounts are **unencrypted** and transactions have `source =
'enablebanking'`
### What's included
**Backend:**
- `BankingProviderInterface` contract + `EnableBankingProvider`
implementation (JWT RS256 auth)
- `BankingConnection` model with full lifecycle (pending →
awaiting_mapping → active → expired/revoked/error)
- `TransactionSyncService` — pagination, deduplication by
`external_transaction_id`, amount/date mapping
- `BalanceSyncService` — preferred balance type selection (CLBD → ITAV
fallback)
- Authorization flow: start auth → bank redirect → callback → session
creation → account mapping → sync
- `SyncBankingConnectionJob` (unique per connection, 3 retries) +
scheduled every 6 hours
- `banking:sync` artisan command
- 5 migrations: `banking_connections` table, account fields, transaction
`external_transaction_id`, `pending_accounts_data`, `linked_at`
**Frontend:**
- Manual vs Connected account choice in the create account dialog
- Multi-step bank connection dialog (country → bank selection →
confirmation → redirect)
- Account mapping page — map discovered bank accounts to existing
accounts, create new ones, or skip
- Settings/Connections page with status badges, sync/disconnect actions
- "Connected" badge on linked accounts in settings
**Tests:**
- 49 tests covering feature flags, controllers, account mapping,
transaction sync, balance sync, deduplication, and pagination
### Feature Flags
This PR introduces **two Pennant feature flags**:
1. **`open-banking`** — Gates the entire open banking feature
(institutions endpoint, authorization flow, connections page). When
disabled, all open banking routes return 404.
2. **`account-mapping`** — Controls whether users see an intermediate
account mapping step after connecting a bank. When **enabled**, users
are redirected to a mapping page where they can choose to create new
accounts, link to existing ones, or skip each discovered bank account.
When **disabled**, all discovered accounts are automatically created
(original behavior). Linked accounts only sync transactions from their
last transaction date and only update the current balance from the
provider (no historical balance calculation or daily balance tracking).
Enable per-user:
```bash
php artisan feature:enable open-banking user@example.com
php artisan feature:enable account-mapping user@example.com
```
Enable for all users:
```bash
php artisan feature:enable open-banking all
php artisan feature:enable account-mapping all
```
## Test plan
- [x] Enable feature flag: `php artisan feature:enable open-banking`
- [x] Verify "Connected" option appears in create account dialog
- [x] Start authorization flow and verify redirect to bank
- [x] With `account-mapping` **disabled**: verify callback creates
accounts directly and dispatches sync
- [x] With `account-mapping` **enabled**: verify callback redirects to
mapping page
- [x] Test mapping page: create new, link to existing, and skip actions
- [x] Verify linked accounts sync only from last transaction date and
only update current balance
- [x] Verify connections page shows "Setup Required" badge for
awaiting_mapping status
- [x] Run `php artisan banking:sync` and verify transactions sync
- [x] Verify connections page shows status, sync, and disconnect actions
- [x] Run full test suite: `php artisan test --compact`