## Summary
- route drip mailables through `Álvaro and Víctor <hi@whisper.money>`
and send the rest from `Whisper Money <no-reply@whisper.money>`
- remove legacy per-mailable `Victor` sender overrides so non-drip mail
falls back to the default sender consistently
- add focused sender coverage for drip, non-drip, and verification mail
paths
## Testing
- `php artisan test --compact tests/Feature/MailSenderTest.php
tests/Feature/Jobs/Drip/SendWelcomeEmailJobTest.php`
## Summary
- Makes `bank_id` nullable for all account types in both
`StoreAccountRequest` and `UpdateAccountRequest` (previously it was only
nullable for real estate)
- Shows the bank combobox field for all account types in the
`AccountForm` component, including real estate
- Removes the `required` attribute from the hidden bank input and the
logic that cleared bank selection when switching to real estate type
## Test changes
- Updated "validates required fields" test to no longer expect `bank_id`
as a required field
- Added "can create a new account without a bank" test in `AccountTest`
- Updated `RealEstateTest` to verify non-real-estate accounts can also
be created without a bank (was previously asserting the opposite)
## Summary
- **Bug**: The `loans:generate-balances` command called
`getBalanceAtDate()` which always recalculated the remaining balance
from the **original loan parameters** (`original_amount`,
`annual_interest_rate`, `loan_term_months`, `start_date`), completely
ignoring existing actual balance entries. When the real balance was
lower than the theoretical amortization schedule (e.g. user made extra
payments), the auto-generated balance would **jump up** instead of
continuing to decrease.
- **Example**: Account `019d0b33-d3c5-7110-9033-51155ac93219` had a real
balance of ~4,489,670 (March 2026), but the command generated 5,700,356
(April 2026) — a jump **up** of ~1.2M cents instead of the expected ~16K
decrease.
- **Fix**: `getBalanceAtDate()` now checks for the latest
`AccountBalance` entry on or before the target date and projects forward
from it, falling back to the theoretical formula only when no entries
exist. This matches the method's own documented behavior and aligns with
how `generateProjection()` already works.
## Testing
Added 4 new tests:
- Projects from existing balance entries instead of original loan params
- Returns existing balance when target date is in the same month
- Generates correct monthly balance when existing entries differ from
theoretical
- All 44 existing loan tests continue to pass
## 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
## Summary
- **Clickable toggle rows**: The full row in the chart settings popover
now toggles the checkbox, not just the checkbox itself.
- **Chart stacking order**: When toggling "Include loans" or "Include
real estate", the chart now re-mounts so accounts appear in the correct
sorted position (biggest at bottom) instead of being appended on top.
- **Scheme-aware liability dot**: The red liability indicator dot in the
chart tooltip now respects the user's chart color scheme (neutral, blue,
pink) instead of always using the destructive/red color.
## Summary
- Adds loan detail tracking (interest rate, term, start date, original
amount) to loan-type accounts, following the existing
`real_estate_details` pattern
- Implements `LoanAmortizationService` with standard amortization math
to automatically project month-to-month balance evolution
- Shows projected future balances as a dashed line on the account
balance chart, visually distinct from historical data
- Adds a scheduled command (`loans:generate-balances`) to auto-generate
monthly balance entries for loan accounts
- Includes 36 tests (10 unit for pure math, 26 feature for CRUD, API
projections, command, and authorization)
## Changes
### Backend
- **Migration**: `loan_details` table (UUID PK, unique `account_id` FK,
interest rate, term, start date, original amount)
- **LoanDetail model** + factory with `Account::loanDetail()` HasOne
relationship
- **LoanAmortizationService**: `calculateMonthlyPayment`,
`calculateRemainingBalance`, `generateProjection`, `projectFromBalance`,
`calculateRemainingMonths`, `getBalanceAtDate`
- **GenerateMonthlyLoanBalances** command: runs monthly on 1st, skips
existing entries
- **LoanDetailController**: PATCH endpoint for editing loan details from
show page
- **Settings\AccountController**: creates/updates `LoanDetail` on
store/update
- **DashboardAnalyticsController**: appends projected data points with
`projected: true` flag
- **Validation**: loan-specific rules in StoreAccountRequest and
UpdateAccountRequest
### Frontend
- **AccountForm**: loan fields (rate, term, start date, original amount)
shown when `type === 'loan'`
- **Create/Edit dialogs**: pass loan data fields in POST/PATCH payloads
- **Show page**: `LoanDetailsCard` component with edit/read modes,
computed monthly payment and remaining months
- **Balance chart**: new `ComposedChart` branch with dashed `Line`
overlay for projected data points
- **Types**: `LoanDetail` interface in `account.ts`
## Summary
- Allow setting the **current market value** (balance) when creating a
real estate account — the balance field existed for other account types
but was hidden for real estate
- Add an **annual revaluation percentage** field to real estate
accounts, editable from both the creation form and the property details
card on the account show page
- Create a scheduled command (`real-estate:apply-revaluation`) that runs
monthly on the 1st to automatically adjust property values by
`revaluation_percentage / 12 / 100`
## Details
### Backend
- Migration adds `decimal('revaluation_percentage', 5, 2)` nullable
column to `real_estate_details`
- Validation: nullable numeric, range -100 to +100 (negative for
depreciation)
- `ApplyRealEstateRevaluationCommand` finds all accounts with a
non-null/non-zero percentage, gets the latest balance, and upserts the
new balance for today
- Scheduled `->monthlyOn(1, '00:00')` in `routes/console.php`
### Frontend
- Added `real_estate` to `BALANCE_ACCOUNT_TYPES` so the Market Value
field appears during creation
- Added Annual Revaluation (%) input to both the creation form and the
property details card
- Read-mode displays formatted percentage with sign (e.g.,
"+3.50%/year")
### Tests
- 6 new tests in `RealEstateTest.php` covering creation with balance,
revaluation %, negative %, validation, PATCH update, and clearing to
null
- 8 tests in `ApplyRealEstateRevaluationTest.php` covering
positive/negative revaluation, skip conditions, latest balance usage,
multiple accounts, and upsert behavior
## Summary
- Add mortgage balance as a dashed line overlay on the property value
chart when a real estate account has a linked loan
- Display equity (market value - mortgage owed) in the chart header and
as a 3-column summary strip (Market Value | Mortgage Owed | Equity) in
the property details card
- Extend balance evolution API endpoints to include `mortgage_balance`
data points for linked loan accounts
- Add 6 new tests covering mortgage/equity display in account show page
and balance evolution endpoints
## 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
## Summary
- Adds an optional balance input field to the account creation modal for
**investment**, **loan**, **retirement**, and **savings** account types.
- When a balance is provided, an `AccountBalance` record is created for
today's date upon account creation.
- The balance label adapts to the account type (e.g., "Owed Amount" for
loans, "Balance" for others).
## Changes
- **`account-form.tsx`** — Shows `AmountInput` when a balance-tracking
type is selected and currency is set.
- **`create-account-dialog.tsx`** — Passes `balance` in the POST payload
when present.
- **`StoreAccountRequest.php`** — Adds optional `balance` (nullable
integer) validation.
- **`AccountController::store`** — Creates an `AccountBalance` record
when balance is provided.
- **`AccountTest.php`** — 3 new tests covering creation with balance,
without balance, and invalid balance validation.
## Screenshots
<img width="1017" height="649" alt="image"
src="https://github.com/user-attachments/assets/4bf1530e-0faf-45a4-a3d1-d0ec49d5b412"
/>
## Summary
Transfer categories with `cashflow_direction` set to `outflow` or
`inflow` now appear in the **Sankey diagram** instead of the 12-month
trend chart. This gives a clearer picture of money flow (e.g.
investments, savings transfers) without inflating the income/expense
trend lines. Hidden transfers remain excluded from everything.
## Changes
- **Sankey endpoint**: Updated join to include tracked transfer
categories on the matching flow side (outflow → expense side, inflow →
income side)
- **Trend endpoint**: Removed `transfer_inflow` and `transfer_outflow`
columns from the SQL query and API response
- **Trend chart UI**: Removed tracked inflow/outflow bars, tooltip rows,
legend items, and related config
- **TypeScript types**: Removed `transfer_inflow`/`transfer_outflow`
from `TrendDataPoint`
- **Category form**: Updated direction field description to reference
"Sankey chart" instead of "monthly trend"
- **Tests**: Updated 4 existing tests and added 2 new tests covering
tracked transfers in Sankey breakdown
## Design decision
Tracked transfers appear **only in the Sankey diagram** — they do not
affect summary totals, savings rate, or breakdown cards. This keeps the
high-level numbers accurate while still visualizing where money flows
internally.
## Summary
- exclude transfer-type categories from the cashflow Sankey category
breakdown
- add a regression test to ensure transfer transactions never appear on
either side of the chart
- keep cashflow totals limited to real income and expense categories for
the Sankey response
## Problem
When an income category contained both incoming and outgoing
transactions (e.g. an \"Income from Rents\" category that also holds
property-related expense payments), the Sankey endpoint was summing
**all** amounts together and applying `abs()` to the net result.
Real example reported:
| Date | Description | Amount |
|------|-------------|--------|
| Mar 13 | BIZUM sent — Lavadora | -€124.03 |
| Mar 10 | BIZUM received — luz febrero | +€38.04 |
| Mar 9 | Endesa energy payment | -€38.04 |
| Mar 4 | BIZUM received — agua Febrero | +€41.34 |
| Mar 2 | Comunidad de Propietarios | -€105.92 |
- Net: **-€188.61** → `abs()` → **€188.61 shown as income** ❌
- Correct: sum of positive flows only → **€79.38** ✅
## Fix
Added a sign filter to `getCategoryBreakdown()` before the `GROUP BY`
aggregation:
- Income categories: `WHERE transactions.amount > 0`
- Expense categories: `WHERE transactions.amount < 0`
This ensures the Sankey shows the **actual gross flow** on each side
rather than a misleading abs-of-net.
## Test
Added a regression test in `CashflowAnalyticsTest` that reproduces the
exact five transactions from the reported scenario and asserts the
Sankey returns `7938` cents (€79.38) instead of the buggy `18861`
(€188.61).
## Summary
- restore the legacy `/settings/budgets` route as a redirect to
`/budgets` so old settings links no longer trigger a missing Inertia
page
- add a feature test covering the redirect to prevent the broken route
from resurfacing
## Testing
- php artisan test --compact
tests/Feature/Settings/BudgetSettingsRedirectTest.php
## Summary
- guard the shared label combobox against missing `value` and `labels`
props so account transaction tools cannot crash while data is still
loading
- wire account transaction bulk label actions to pass label data through
consistently and keep optimistic updates in sync
- add regression coverage for the combobox normalization helper and the
account show payload shared props
## Summary
- A `429 ASPSP_RATE_LIMIT_EXCEEDED` response from the bank's API was
incorrectly marking connections as `status=error`, blocking all future
syncs.
- Rate limit errors are transient — the connection is still valid and
should be retried on the next scheduled sync.
- Added `isRateLimitError()` check in the `catch` block of
`SyncBankingConnectionJob`: on 429, the job returns early without
updating the connection status or error message.
## Problem
`banking:backfill-ibans` was calling `GET /accounts/{uid}` but the
correct Enable Banking endpoint is `GET /accounts/{uid}/details`. This
caused every account to return 404, and all 404s were counted as
failures making the command exit with failure status.
Additionally, accounts whose sessions have expired or been revoked will
always return 404 — this is expected and should not be treated as an
error.
## Changes
- **`EnableBankingProvider`** — fix endpoint from `/accounts/{uid}` to
`/accounts/{uid}/details`
- **`BackfillAccountIbans`** — catch `RequestException` 404s separately
and count them as `expired/revoked session` skips rather than failures;
command exits successfully when the only issues are expired sessions
- **Tests** — add test for the 404 expired-session path; update output
string assertions
## Expected output after fix
```
Found 5 account(s) with missing IBAN.
IBAN updated for 2 account(s). Skipped (no IBAN in API response): 0. Skipped (expired/revoked session): 3. Failed: 0.
```
The 2 active-session accounts will be backfilled; the 3 from the
expired/revoked connection will be skipped cleanly.
## Summary
- Adds `banking:backfill-ibans` artisan command to backfill null `iban`
values on Enable Banking accounts by calling `GET /accounts/{uid}` for
each affected account.
- Adds `getAccount()` to `BankingProviderInterface` and
`EnableBankingProvider`.
- 9 feature tests covering all paths: happy path, no-IBAN skip, dry-run,
user/connection filters, API failure handling.
## Why
Accounts connected before
[#220](https://github.com/whisper-money/whisper-money/pull/220) was
deployed have `null` IBANs. Without IBANs, reconnects fall back to
positional matching which is less reliable. Running this command once in
production populates the IBAN for all existing accounts so future
reconnects use the safer IBAN-based strategy.
## Usage
```bash
# Dry run first
php artisan banking:backfill-ibans --dry-run
# Run for all accounts
php artisan banking:backfill-ibans
# Scope to a specific user or connection
php artisan banking:backfill-ibans --user=user@example.com
php artisan banking:backfill-ibans --connection=<connection-id>
```
## Problem
Enable Banking issues **new account UIDs** (`external_account_id`) with
every new session. On reconnect, `AuthorizationController::callback()`
was correctly updating `session_id` on the `banking_connections` table
but **never refreshing `external_account_id` on child accounts**.
When the background `SyncBankingConnectionJob` ran after a reconnect, it
called `GET /accounts/{old-uid}/transactions` using stale UIDs from the
expired session, causing Enable Banking to return `401 EXPIRED_SESSION`
— surfaced to users as _"Authentication failed. Your credentials may
have expired or been revoked."_
## Changes
- **`AuthorizationController`** — added `refreshAccountIds()` private
method, called in the reconnect branch after `session_id` is updated and
before the sync job is dispatched. Matches existing accounts by **IBAN
first**, falls back to **positional order** (`created_at ASC`) for
legacy accounts without a stored IBAN.
- **`AuthorizationController`** — `createAccountsFromSession()` and
`createAccountsFromPending()` now persist the `iban` field on account
creation so future reconnects can use IBAN matching.
- **`Account` model** — `iban` added to `$fillable`.
- **Migration** — adds nullable `iban` column to `accounts` table.
## Tests
4 new feature tests in `AuthorizationControllerTest`:
- `reconnect callback updates external_account_id when enable banking
issues new account uids`
- `reconnect callback matches accounts by iban before falling back to
position`
- `reconnect callback uses positional fallback for accounts without
stored iban`
- `callback stores iban when creating accounts for the first time`
## Deploy notes
Run the migration after deploying:
```
php artisan migrate --force
```
## Summary
- Add `reauthorize` endpoint and reconnect detection in OAuth
`callback()` so users can re-authorize a revoked EnableBanking session
without losing their accounts or transaction history
- Replace "Retry" with "Reconnect" button (dropdown + error panel) for
EnableBanking authentication errors; catch-up sync of missed
transactions is handled automatically by the existing
`SyncBankingConnectionJob` via `last_synced_at`
- Add 5 missing Spanish translations (`Reconectar`, `Autenticación
fallida...`, `Error al iniciar la reautorización.`, `Error al
reconectar...`, `Cuenta bancaria reconectada exitosamente.`) and wrap
the reconnect flash message in `__()`
- 7 new Pest tests covering all reauthorize scenarios and the reconnect
callback path (15 total passing)
## Summary
- When a user already has a connection to a bank/provider, that
institution is now hidden from the list when they open the \"Connect
Bank\" dialog
- Applies to all providers: EnableBanking institutions (matched by
`aspsp_name`), Binance, Bitpanda, and Indexa Capital (matched by
`provider`)
- `ConnectAccountDialog` accepts a new `connections` prop (passed from
the connections settings page where it's already available);
`ConnectAccountInline` (used in onboarding) accepts an optional
`connections` prop defaulting to `[]`
## Tests
- Added 2 backend tests to `ConnectionControllerTest` verifying the data
contract: the connections page sends `provider` and `aspsp_name` fields
for all provider types, which the frontend filtering logic depends on
## Summary
- Fixes `banks:set-logo` for JPEG images by adding a `makeJpeg()` test
helper and a full JPEG test case — the pipeline was working but
completely untested, meaning any regression would go undetected
- Implements `PromptsForMissingInput` so the command interactively
prompts for `bank` and `url` when they are not passed as arguments
## Summary
- Adds `banks:set-logo {bank} {url}` artisan command to download,
process, and assign a logo to a bank by UUID
- Installs `intervention/image:^3.0` (GD driver) for image processing
- Image is validated to be square (returns an error if not), resized
down to max 250×250px if needed, stored as PNG on the `public` disk at
`banks/logos/{uuid}.png`, and the bank's `logo` field is updated with
the public URL
## Usage
```
php artisan banks:set-logo <bank-uuid> <image-url>
```
## Tests
7 feature tests covering success, no-resize, bank not found, HTTP
failure, non-image content type, non-square image, and invalid image
content.
## Summary
- Adds a **Connect Your Banks** feature card (2-col wide) shown only
when the `open-banking` Pennant flag is active
- When **open-banking is ON**: row 1 = Connect Your Banks (col-span-2) +
Import in Seconds (col-span-1), row 2 = three feature cards
- When **open-banking is OFF**: row 1 = three feature cards, row 2 =
Import in Seconds (full width, unchanged behaviour)
- **Cashflow at a Glance** moved from its own standalone section into
the feature grid as a full-width row 3 (always visible)
https://github.com/user-attachments/assets/5151c141-60e2-4117-b1f2-629f2ef4c9ed
---------
Co-authored-by: Copilot <223556219+Copilot@users.noreply.github.com>
## Summary
- add a new `banks:check-logos` console command that validates all
non-null bank logo URLs weekly
- set broken/invalid bank logos to `null` and send an admin report email
to `ADMIN_EMAIL` when updates occur
- add weekly scheduling, admin mail config wiring, and feature tests for
valid/broken/head-fallback flows
## Testing
- vendor/bin/pint --dirty
- php artisan test tests/Feature/Console/CheckBankLogosCommandTest.php
Co-authored-by: Copilot <223556219+Copilot@users.noreply.github.com>
## Summary
- **Gate bank connection flow** — free-tier users see an upgrade dialog
instead of the bank connection flow (connections page, account creation
dialog). Backend 402 guard added as safety net in
`AuthorizationController`.
- **Billing page upgrade UI** — non-subscribed users see a plan selector
with monthly/yearly options and an upgrade CTA; subscribed users see the
existing Stripe portal button. Connected Bank Accounts added as the
headline benefit.
- **Upgrade dialog** now redirects to `/settings/billing` (plan
selector) instead of the checkout page directly.
- **Spanish translations** added for all new UI strings.
## Screenshots
<img width="804" height="509" alt="image"
src="https://github.com/user-attachments/assets/6238f72a-a5e2-45f8-974a-7a664f976b83"
/>
<img width="1122" height="892" alt="image"
src="https://github.com/user-attachments/assets/8438bbe2-d3ec-48fb-b3c0-33a940dd94a7"
/>
## Summary
- Users without a Stripe customer ID (`stripe_id = null`) would hit an
`InvalidCustomer` exception when visiting the billing portal
- Added a `hasStripeId()` check before calling
`redirectToBillingPortal()`, creating the Stripe customer on-the-fly if
needed
- Added two tests covering both branches (with and without an existing
Stripe customer ID)
## Summary
- **Dynamic Stripe price resolution**: Replaces hardcoded
`stripe_price_id` env vars with lookup-key-based resolution
(`stripe_lookup_key`). A new `php artisan stripe:sync-prices` command
creates/updates Stripe prices from `config/subscriptions.php`
automatically.
- **Locale-aware currency formatting**: Replaces all
`getCurrencySymbol() + toFixed(2)` patterns with `formatCurrency()`
(backed by `Intl.NumberFormat`) across `welcome.tsx`, `paywall.tsx`,
`billing.tsx`, and `step-create-account.tsx`, so symbol position and
separators are correct for the user's locale (e.g. `3,90 €` in Spanish).
- **EUR defaults and updated plan prices**: Cashier currency defaulted
to EUR, plan prices updated to €7.80/month and €46.80/year, and
`pricing.currency` is now shared as an Inertia prop.
- **Promo/discount cleanup**: Removed all FOUNDER discount mentions and
Discord community links from the paywall, landing pricing section, and
invitation email.
## Summary
- Adds an intro screen to the categorize transactions onboarding step
that shows before the categorizer UI, explaining that at least 5
transactions must be categorized to continue
- Displays four benefit cards (see where you spend, build better
budgets, spot savings, automate over time) to motivate the user
- Adds missing Spanish translation for \"Back to accounts\" and all new
strings introduced by the intro screen
## Summary
- Adds an inline email capture form on the landing page when
`HIDE_AUTH_BUTTONS=true`, replacing the previous CTA buttons
- Each signup gets a queue position (starting at #500), a unique
referral link, and a welcome email from `victor@whisper.money`
- Referring 10 people via the personal link moves the referrer 10
positions forward in the queue (floor: 1), triggering a notification
email
- Full Spanish localisation for all UI strings and email copy; `locale`
is stored on each lead so emails are sent in the lead's own language
- 14 feature tests covering all waitlist behaviour (positions,
referrals, emails, thank-you page)
## How to activate
Set `HIDE_AUTH_BUTTONS=true` in `.env`. The waitlist form and thank-you
page are completely dormant otherwise.
## Summary
- Open Banking users who complete onboarding **without** connecting a
bank are no longer blocked at `/subscribe` — they can continue for free
via a new \"Continue for free\" button on the paywall
- Users who **did** connect a bank during onboarding see the standard
paywall with no free option (bank sync is a paid/Standard feature)
- Renamed the paid plan badge from **Pro** → **Standard** in the
onboarding UI
## Changes
### Backend
- `EnsureUserIsSubscribed` middleware: grants free access when
`open-banking` feature is active and the user has no
`banking_connections`
- `SubscriptionController::index()`: passes a `canUseFreePlan` boolean
prop to the paywall page
### Frontend
- `paywall.tsx`: accepts `canUseFreePlan` prop and renders a "Continue
for free" button that navigates to the dashboard
- `step-create-account.tsx`: badge and info text updated from "Pro" →
"Standard"
### Tests
- Two new browser tests in `OnboardingFlowTest.php`:
- Manual account flow → `/subscribe` shows "Continue for free"
- BBVA connected bank flow (EnableBanking sandbox) → `/subscribe` does
NOT show "Continue for free"
## Summary
- The \"Connected\" account card in `StepCreateAccount` was rendered
unconditionally during onboarding, allowing users without the
`open-banking` Pennant flag to see and interact with the bank connection
option
- Now follows the same pattern as `CreateAccountDialog`, which already
correctly checks `features['open-banking']` before showing the Connected
option
- The grid also collapses to a single column when only the Manual option
is available
## Changes
- **`resources/js/components/onboarding/step-create-account.tsx`** —
reads `features['open-banking']` from shared Inertia props and
conditionally renders the Connected card, the connected inline flow, and
the "Pro feature" hint message
- **`tests/Feature/OpenBanking/OpenBankingFeatureFlagTest.php`** — two
new tests asserting the flag value is correctly shared to the frontend
on the onboarding page (both enabled and disabled states)
## 🚪 Why?
### Problem
Untranslated strings were silently reaching production. Several UI
components rendered raw English literals without going through \`__()\`,
and 15+ strings used via \`__()\` had no entry in \`lang/es.json\`,
causing Spanish-locale users to see untranslated text. There was also no
automated safeguard to catch new regressions.
## 🔑 What?
### Changes
- Add \`tests/Feature/LocalizationTest.php\` with two test groups that
run in CI:
1. **PHP translation files** — verifies every key in \`lang/en/*.php\`
exists in the matching \`lang/es/*.php\` file
2. **Spanish JSON translations** — scans all \`.ts\`/\`.tsx\` files for
static \`__()\` calls and asserts each key exists in \`lang/es.json\`
- Wrap previously unwrapped literals in \`__()\` in `header.tsx`
(Github, Discord, Dashboard, Log in, Register), \`appearance.tsx\`
(Chart color scheme heading and color scheme labels), and
\`rule-builder.tsx\` (field config labels and operator labels at render
site)
- Add 15 missing Spanish translations to \`lang/es.json\`: Discord,
Chart color scheme, Choose the color palette for your charts, Blue,
Colorful, Neutral, Pink, Account Name, Bank Name, contains, equals,
greater than, is empty, is not empty, less than
## ✅ Verification
### Tests
- New test: `tests/Feature/LocalizationTest.php` — 2 tests, 4
assertions, all passing
- Runs automatically in CI via the existing `./vendor/bin/pest` job (no
CI config changes needed)
### Manual Verification
- `php artisan test --compact tests/Feature/LocalizationTest.php` →
`Tests: 2 passed (4 assertions)`
## Why
### Problem
Users viewing a budget had no way to look back at historical periods —
the show page always displayed the current period with no navigation.
The cashflow page's period selector also used a different visual style
(loose buttons with gaps) compared to the new grouped button pattern
established for budgets.
## What
### Changes
- **Budget period navigation**: new `BudgetPeriodNavigation` component
renders a `ButtonGroup` with `[<] [date range] [>]` buttons. Clicking
the label returns to the current period; arrows navigate between
existing periods.
- **Backend**: `BudgetController::show` accepts an optional
`?period=<uuid>` query param to serve a specific period. Future periods
are blocked at the query level on both direct access and `nextPeriod`
resolution.
- **Dropdown**: removed the split `ButtonGroup` from the budget header;
"Edit budget" and "Delete budget" now live together in a single `˅`
dropdown.
- **Cashflow period selector**: updated `PeriodNavigation` to use
`ButtonGroup` + `size="icon"` buttons to match the same visual style.
- **Tests**: 4 new feature tests covering period navigation,
future-period blocking, cross-budget access (404), and `nextPeriod`
boundary behaviour.
## Verification
<img width="921" height="683" alt="image"
src="https://github.com/user-attachments/assets/ceb5f70b-a15a-4a36-ae49-5d84054a62f9"
/>
## 🚪 Why?
### Problem
The bulk actions bar lost the \"Select all matching filters\"
capability, limiting users to acting only on the currently
visible/selected page of transactions. Users had no way to apply bulk
operations (category, labels, re-evaluate rules) to all transactions
matching their active filters.
## 🔑 What?
### Changes
- Re-adds a \"Select all matching filters\" icon button (with tooltip)
to the bulk actions bar — clicking it switches into a \"selecting all\"
mode
- When selecting all: the count label is replaced by a `CheckCheck` icon
with tooltip \"All matching filters\"; the Delete action is hidden
(backend-only safety)
- Bulk category and label updates in \"select all\" mode send `filters`
to `PATCH /transactions/bulk` and show a loading → success toast with
the updated count
- Re-evaluate rules in \"select all\" mode sends `filters` to the
re-evaluate bulk endpoint instead of `transaction_ids`
- Extends `BulkReEvaluateRulesRequest` and
`ReEvaluateTransactionRulesJob` to accept and apply a `filters` param
- Adds Spanish translations for new strings
- Wraps transaction count text in `whitespace-nowrap` to prevent it
splitting across two lines
## ✅ Verification
### Tests
- 2 new tests added in
`tests/Feature/ReEvaluateTransactionRulesTest.php`: verifies controller
passes filters to job, and job correctly scopes transactions by filters
- All 16 tests in `ReEvaluateTransactionRulesTest` pass
## 🚪 Why?
### Problem
Automation rule evaluation was happening entirely on the frontend,
relying on the client to fetch rules, loop over transactions, and apply
category/label/note changes. This meant evaluation was tied to
browser-side decryption logic, couldn't be triggered server-side, and
had no reliable progress reporting for bulk operations.
## 🔑 What?
### Changes
- **Single re-evaluation**: `POST
/transactions/{transaction}/re-evaluate-rules` applies all matching
rules immediately and returns the updated transaction; the frontend
updates local state from the response.
- **Bulk re-evaluation**: `POST /transactions/re-evaluate-rules`
dispatches a queued job and returns a `job_id`; the frontend polls `GET
/transactions/re-evaluate-rules/status/{jobId}` ~every second, updates a
progress toast, and refreshes the list when done.
- **Note support**: `AutomationRuleService` now applies plain
(unencrypted) `action_note` actions; encrypted notes are skipped since
the backend cannot decrypt them.
- **Dirty-only saves**: `AutomationRuleService::applyActions()` now
tracks whether any field changed and only calls `saveQuietly()` when
needed, avoiding unnecessary writes.
- **Encrypted transactions skipped**: Transactions with `description_iv`
are excluded from bulk queries and silently skipped on single
re-evaluation (existing behavior preserved).
- **Frontend cleanup**: Removed `evaluateRules`,
`appendNoteIfNotPresent`, and related crypto imports from
`transaction-list.tsx`, `index.tsx`,
`use-re-evaluate-all-transactions.tsx`, and
`transaction-actions-menu.tsx`.
## ✅ Verification
### Tests
- New: `tests/Feature/ReEvaluateTransactionRulesTest.php` — 14 passing
tests covering:
- Single re-evaluation applies category, label, and note
- Single re-evaluation skips encrypted transactions
- Bulk job dispatched and returns 202 with job_id
- Bulk status polling returns `processing` and `done`
- Partial bulk (specific transaction_ids) only processes selected
transactions
- Encrypted transactions excluded from bulk processing
- Unauthenticated requests are rejected (401)
### Manual Verification
- Row dropdown "Re-evaluate rules" calls backend and updates the row in
place
- Bulk "Re-evaluate All Expenses" dispatches job, shows progress toast,
refreshes list on completion
- Encrypted transactions are silently skipped in both flows
## Why
### Problem
The default income categories lacked coverage for self-employed
individuals (freelancers, contractors, sole traders). Users in this
segment had no accurate category to classify their primary income
source.
## What
### Changes
- Added `Self-Employment Income` income category (icon: `Briefcase`,
color: `green`) to `CreateDefaultCategories::getBaseCategories()`
- Added Spanish translation `Ingresos por trabajo autónomo` to
`getSpanishTranslations()`
- Updated category count assertions in `CategoryTest` from 63 → 64
## Verification
### Tests
- `php artisan test --compact --filter="default categories"` — 2 tests,
7 assertions, all passing
## Problem
The categorizer was reading transactions exclusively from the browser's
IndexedDB (Dexie), which is only populated via an on-demand sync
triggered from the import drawer. When an account was deleted
(soft-deleting all its transactions), those transactions remained in the
local IndexedDB and kept appearing in the categorizer on subsequent
visits.
## Solution
- **`TransactionController::categorize()`** now queries uncategorized
transactions directly from the database (`WHERE category_id IS NULL`)
with their account and bank eager-loaded, and passes them as an Inertia
prop alongside the existing `categories`, `accounts`, `banks`, and
`labels`.
- **`categorize.tsx`** drops all Dexie/`useLiveQuery` dependencies. The
transaction list now comes from the Inertia prop; client-side decryption
runs once on mount (the encryption key remains client-side only — the
server never sees it). Category assignment
(`transactionSyncService.update()`) is unchanged.
## Tests
Added 5 new feature tests covering:
- Categorize page is accessible to authenticated users and includes the
`transactions` prop
- Only uncategorized transactions are returned
- Transactions from deleted accounts are excluded
- Transactions from other users are not visible
- Guests are redirected to login
## Summary
- Add a new **Chart color scheme** dropdown in Settings > Appearance
allowing users to choose between 4 color palettes: **Colorful** (new
default), **Neutral** (previous zinc grayscale), **Blue**, and **Pink**
- Persist the setting in a new `user_settings` table with instant
client-side feedback via localStorage + cookie
- All charts across dashboard, categories, budgets, and cashflow update
instantly when switching schemes
- Reduced colorful palette intensity (shifted from 500/600 to 300/400
range) for lower contrast
## Why
### Problem
The Indexa Capital dashboard shows +€11,339.01 profit for the Index
funds account, but our app shows +€9,680.43 — a €1,658.58 discrepancy.
The invested amount (and therefore the profit) is wrong.
### Root Cause
`calculateInvestedAmount()` used `instruments_cost + cash_amount` to
determine how much was invested. However, `instruments_cost` is the
**cost basis of currently held fund shares**, not the actual money
deposited. When Indexa rebalances portfolios, they sell shares
(realizing gains) and buy new ones at a higher cost basis. This inflates
`instruments_cost` over time without any new deposits, making the
"invested" figure too high and profit too low.
## What
### Changes
- Use `net_amounts` from the Indexa Capital API response instead of
`instruments_cost + cash_amount`
- `net_amounts` is an object keyed by date (`YYYYMMDD` format), where
each value is the cumulative net investment (inflows - outflows -
tax_outflows), matching Indexa Capital's own "investment" figure
- Keep `total_amount - return` as a fallback when `net_amounts` is
unavailable
- Return `null` when neither data source is available
### Concrete numbers (Index funds account, 2026-02-24)
| | Old (wrong) | New (correct) |
|---|---|---|
| Invested | €48,081.67 | €46,423.09 |
| Profit | €9,680.43 | €11,339.01 |
## Verification
### Tests
- Updated `stores invested_amount from net_amounts data` — verifies
invested_amount is sourced from `net_amounts`, not `instruments_cost +
cash_amount`
- Updated `stores null invested_amount when net_amounts is missing` —
verifies graceful null when API lacks `net_amounts`
- Updated `falls back to total_amount minus return when net_amounts is
missing` — verifies fallback path
- All 11 balance sync tests pass, all 23 SyncBankingConnectionJob tests
pass
## 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
## Why
### Problem
When a refund (positive transaction amount) is assigned to a budget, it
incorrectly **increases** the cumulative spending instead of
**reducing** it. This causes:
- The spending chart line to go **up** on refunds instead of down
- The "Spent" amount to be inflated
- The "Remaining" amount to be understated
- Period rollover calculations to carry over incorrect amounts
### Root Cause
`BudgetTransactionService` uses `abs($transaction->amount)` when
creating budget transactions, which forces all amounts to be positive —
including refunds. Since expenses are stored as negative in the
`transactions` table and refunds as positive, `abs()` treats both as
spending.
## What
### Changes
- Replace `abs($transaction->amount)` with `-$transaction->amount` in
both `assignTransaction()` and `assignHistoricalTransactionsToPeriod()`
— expenses (`-5000`) become positive spending (`5000`), refunds
(`+1000`) become negative spending (`-1000`)
- Remove redundant `abs()` in `BudgetPeriodService::closePeriod()`
rollover calculation
- Add data migration to fix existing `budget_transactions` rows where
the original transaction was a refund
- No frontend changes needed — the chart and budget card already sum
`t.amount` directly
## Verification
### Tests
- Updated `assignHistoricalTransactionsToPeriod stores negated
transaction amount for expenses` — verifies expense sign is preserved
- Added `assignHistoricalTransactionsToPeriod stores refund as negative
amount` — verifies refunds reduce spending
- Added `budget spending correctly reflects mix of expenses and refunds`
— verifies net spending (expense - refund)
- Added `assignTransaction stores refund as negative budget transaction
amount` — verifies real-time assignment handles refunds
## Why
The `/accounts` page was making two extra client-side API calls via the
`useDashboardData()` hook:
- `/api/dashboard/net-worth-evolution` (~14.5s in dev)
- `/api/dashboard/top-categories` (~119ms, completely unused on this
page)
The backend logic itself is fast (~34ms), but the full middleware stack
cost of extra HTTP roundtrips in the dev environment was adding
significant overhead.
## What
### Backend (`AccountController.php`)
- Added `ExchangeRateService` constructor injection
- Added `Inertia::defer()` prop `accountMetrics` to the `index()` action
- Added `getAccountMetrics()`, `formatMonth()`, `convertBalance()`
private methods
- Uses `BalanceLookup::forAccounts()` for efficient batch loading (2 SQL
queries regardless of account count)
### Frontend (`Accounts/Index.tsx`)
- Removed `useDashboardData()` hook import and usage
- Added `accountMetrics` as an optional deferred prop (undefined until
resolved)
- Loading state derived from `!accountMetrics`, which naturally drives
the existing `loading` prop on `AccountListCard` (skeleton UI already
existed)
- Added `handleBalanceUpdated` callback using `router.reload({ only:
['accountMetrics'] })` for targeted refresh
## Verification
### Tests
- 3 new Pest tests covering deferred prop behavior:
- `accounts index defers account metrics` — verifies metrics are missing
from initial response, present after `loadDeferredProps()`, with correct
balance values
- `accounts index deferred metrics includes invested amount for
investment accounts` — verifies invested amount for investment account
types
- `accounts index deferred metrics returns null invested amount for
non-investment accounts` — verifies non-investment accounts get null
invested amount
- All 15 tests in `AccountControllerTest.php` pass