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PowderCoatingLogix/docs/ACCOUNTING_AUDIT.md
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spouliot 08a5cd39d4 Scope all controller account lookups by CompanyId (defense-in-depth sweep)
Completes the read-path defense-in-depth pass flagged in the accounting audit:
every Accounts lookup in a controller now carries an explicit CompanyId predicate,
matching the standing rule in CLAUDE.md ("every FindAsync/GetAllAsync must include
an explicit CompanyId"). ~19 lookups across 12 controllers:

  - Tier 1 (write-path): AccountsController duplicate account-number check (Create/Edit)
  - Tier 2 (dropdowns/lists): Accounts (Index/year-end/parent), BankReconciliations,
    Bills (bank list + receipt scan + suggest), Budgets, CatalogItems, Expenses,
    FixedAssets, Inventory, JournalEntries chart dropdown, Vendors
  - Tier 3 (accountIds.Contains display maps): JournalEntries/Reports/VendorCredits
    detail views, scoped via the in-scope entity's CompanyId for uniformity

companyId source per controller: _tenantContext where available, else the in-scope
entity's CompanyId, else the current user. Build clean; 291 unit tests pass.

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>
2026-06-19 20:49:16 -04:00

11 KiB
Raw Blame History

Accounting System Audit

Living record of the accounting/GL audit and its remediation status. Keep this file updated whenever an accounting finding is opened or closed — the original audit was lost once because it was never written down. Don't let that happen again.

Last reconciled against code: 2026-06-19 (branch dev, commits through 9532812). Verification at that point: dotnet build clean (0 errors); dotnet test tests/PowderCoating.UnitTests290 passed, 0 failed.


How the GL is modeled (context for the findings)

Balances are computed two different ways, and they must agree:

  1. At posting time — controllers call AccountBalanceService.DebitAsync/CreditAsync, which mutate the denormalized Account.CurrentBalance.
  2. At report timeFinancialReportService (Trial Balance, Balance Sheet, P&L, AR/AP aging, statements) and LedgerService (per-account ledger + RecalculateBalances) recompute balances from source documents.

LedgerService also backs the Balance Reconciliation report (the detective control added in c2cd19e), which compares stored CurrentBalance vs the ledger-recomputed balance. Any account whose recompute path is incomplete will (a) be silently corrupted by a "Recalculate Balances" run and (b) produce misleading output in the reconciliation report.


Resolved findings (this audit batch)

# Finding Fix Commit Verified
#4 Sales Tax Payable (2200) was credited on every invoice but never relieved — the liability grew forever (no remittance flow). JournalEntries/SalesTaxPayment GET+POST: DR 2200 / CR bank, balanced, in a transaction, honors the period lock and validates amount + bank-account tenancy. 0c921ba Posting reviewed JournalEntriesController:235-296. Reporting needs no change (posted JE lines already flow through TB/BS/ledger).
#7 Most report queries relied on the global tenant filter, which is bypassed for SuperAdmin → cross-company leakage on P&L / Balance Sheet / Trial Balance / aging / statements. Explicit CompanyId == companyId predicate added to every query in FinancialReportService. 9532812 Confirmed: every query in FinancialReportService.cs carries an explicit CompanyId predicate.
#9a A cash refund posted DR AR (control up) while the customer subledger went down — opposite directions → guaranteed AR drift. Refund now reverses the sale: DR Sales Returns (4960) + DR Sales Tax Payable (tax portion) / CR bank; AR untouched. Split centralized in Core/Accounting/RefundAllocation.Split. 2a82a1d Posting (InvoicesController.IssueRefund/CancelRefund) and both recompute paths (LedgerService §5b, FinancialReportService TB/BS/P&L) all use RefundAllocation.Split — they agree by construction.
#9b Store-credit refunds & credit memos posted nothing to the GL on issue (only a CreditMemo + Customer.CreditBalance) → outstanding store credit invisible on the balance sheet. New 2350 Customer Credits liability. Issue: DR 4950 / CR 2350. Apply: DR 2350 / CR AR. Void remainder: DR 2350 / CR 4950. Updated in all 8 posting sites + TB/BS/P&L + ledger §12b. 9ce3612 Posting sites confirmed (CreditMemosController 180-185/262-270/314-320; InvoicesController store-credit path). Reporting cmContraRevenue/cmIssuedNonVoided math reviewed.
No detective control to catch denormalized-balance drift. Balance Reconciliation report (Reports/Reconciliation): per-account stored vs recomputed, plus AR/AP control-vs-subledger. c2cd19e Reviewed FinancialReportService.GetBalanceReconciliationAsync. NOTE: its usefulness is limited by O2 below.

Original numbering gap

The commits reference findings #4, #7, #9a, #9b — implying a list of at least #1#9. The original audit document was never persisted and is unrecoverable. Findings #1, #2, #3, #5, #6, #8 cannot be matched to commits and their status is unknown. If the original list resurfaces, reconcile it here.


Resolved findings (2026-06-19 remediation)

O1 — Account 2300 mislabeled "Payroll Liabilities" while used as Customer Deposits — RESOLVED

  • Root cause refined: there is no payroll feature posting to 2300; the deposit GL code has always used 2300 (resolved by number) as the Customer Deposits liability. Migration AccountingDepositsGL already renamed it to "Customer Deposits" for tenants that lacked a 2300, but its NOT EXISTS guard skipped pre-existing tenants, leaving them mislabeled. The two seed files still created new tenants with the wrong name.
  • Fix (chosen approach: rename 2300, move payroll to a new 2400):
    • Seed files now create 2300 = "Customer Deposits" (IsSystem) and a separate 2400 = "Payroll Liabilities"SeedDataService.Accounts.cs, SeedData.cs.
    • EnsureSystemAccountsAsync self-heals: renames any 2300 still named "Payroll Liabilities" → "Customer Deposits" (preserving user renames) and ensures 2400 exists.
    • Migration 20260619233108_RenameDepositsAccountAddPayroll does the same for existing tenants (rename only where Name is still the default; insert 2400 where missing). Down is best-effort (soft-deletes only empty 2400s; does not re-introduce the mislabel).
  • Account number 2300 is unchanged, so the deposit posting code (DepositsController, InvoicesController) needed no changes — its lookups are by "2300".

O2 — LedgerService never recomputed 4950 Sales Discounts → recalc corrupted it — RESOLVED

  • Fix: added a 4950 section to both LedgerService.GetAccountLedgerAsync and ComputePriorBalanceAsync that reproduces the actual postings so a balance recalc matches the stored balance: invoice discounts (DR at invoice date) + credit-memo issuance (DR full amount at issue) the unapplied remainder of voided memos (CR at void). This mirrors what AccountBalanceService posts at InvoicesController:849/1108/1629 and CreditMemosController, so the Balance Reconciliation report no longer shows false drift on 4950.
  • Note / micro-discrepancy: the ledger uses memo.AmountApplied for the voided remainder (matching the true posting), whereas FinancialReportService TB/BS derive the voided portion from applications against non-voided invoices. These differ only in the rare case of a voided memo applied to a since-voided invoice. Left as-is (report-side nuance, not O2's target); documented here so it isn't mistaken for a bug.
  • Regression test: LedgerServiceTests.GetAccountLedgerAsync_SalesDiscounts4950_IncludesInvoiceDiscountsAndCreditMemoContraRevenue.

Verification of O1+O2: dotnet build clean; dotnet test tests/PowderCoating.UnitTests291 passed; migration applied to the dev database successfully.


O3 — Write-path account lookups omitted explicit CompanyIdRESOLVED

  • Added CompanyId to every GL posting-path account lookup that determines where money posts:
    • InvoicesController — all account-resolver helpers (GetCheckingAccountIdAsync, GetCustomerDepositsAccountIdAsync, GetSalesReturnsAccountIdAsync, GetCustomerCreditsAccountIdAsync, GetArAccountIdAsync, GetBadDebtAccountIdAsync, ResolveSalesTaxAccountIdAsync, GetSalesDiscountAccountIdAsync, GetGcLiabilityAccountIdAsync) plus the bank-account and write-off expense dropdowns (scoped via _tenantContext).
    • CreditMemosController — Create/Apply/Void GL lookups (scoped via the in-scope customer/invoice/memo).
    • GiftCertificatesController — Create, BulkCreate, Void GL lookups + GetGcLiabilityAccountIdAsync.
    • BillsController — AP/expense account resolution that pre-fills APAccountId (Create + CreateFromPO).
  • DepositsController and JournalEntriesController.SalesTaxPayment already scoped correctly.

O4 — Sales-tax remittance could over-remit (drive 2200 negative) — RESOLVED

  • JournalEntriesController.SalesTaxPayment (POST) now rejects any amount exceeding taxAcct.CurrentBalance (0.005 rounding tolerance), so a typo can no longer push Sales Tax Payable into an abnormal debit balance.

Verification of O3+O4: dotnet build clean; dotnet test tests/PowderCoating.UnitTests291 passed.

O5 — Gift Certificate Liability 2500 missing for new tenants / mislabeled on default company — RESOLVED

  • Root cause (same shape as O1): 2500 is resolved by number as the GC liability (GiftCertificatesController). The AccountingGapsPhase2 migration seeded it for tenants existing at deploy, but (a) the per-tenant seeder SeedDataService.Accounts.cs never created a 2500, so tenants onboarded afterward had no GC liability account and GC GL postings silently no-op'd; and (b) the default-company seeder SeedData.cs created 2500 as "Long-Term Loan", so that company's GC obligations were mislabeled (and the migration's NOT EXISTS guard skipped it).
  • Fix:
    • SeedDataService.Accounts.cs now seeds 2500 "Gift Certificate Liability" (IsSystem).
    • SeedData.cs now seeds 2500 as GC liability and moves the long-term loan to 2900.
    • EnsureSystemAccountsAsync self-heals: renames any 2500 still named "Long-Term Loan" → "Gift Certificate Liability" (preserving user renames) and ensures a 2500 exists.
    • Migration 20260620002950_FixGiftCertificateLiabilityAccount: moves long-term loan to 2900 where a 2500="Long-Term Loan" exists and no 2900 is present; relabels the mislabeled 2500; safety-net inserts a 2500 for any company lacking one. Non-destructive (no Id/number/balance changes); Down is best-effort.
  • Verified on the dev DB: existing 2500 GC-liability rows preserved; no spurious accounts added; build clean; migration applied; 291 unit tests pass.

Read-path account lookup sweep (Tier 13) — RESOLVED

Completed the app-wide defense-in-depth pass: every Accounts lookup in a controller now carries an explicit CompanyId predicate, matching the standing rule in CLAUDE.md. ~19 lookups across 12 controllers:

  • Tier 1 (write-path validation): AccountsController duplicate account-number check on Create/Edit.
  • Tier 2 (dropdowns/lists): AccountsController (Index/year-end/parent dropdown), BankReconciliations, Bills (bank list + receipt-scan + suggest), Budgets, CatalogItems, Expenses, FixedAssets, Inventory, JournalEntries (chart dropdown), Vendors.
  • Tier 3 (accountIds.Contains display maps): JournalEntries Details, Reports budget vs actual, VendorCredits Details — scoped via the in-scope entity's CompanyId for uniformity. companyId source per controller: _tenantContext.GetCurrentCompanyId() where available, else the in-scope entity's CompanyId, else _userManager current user. Build clean; 291 unit tests pass.

Status

All audit findings O1O4 are resolved on dev. Original audit numbering #13/#5/#6/#8 remains unrecoverable (see top). The accounting batch has not been merged to master/production yet.