- Updated production.spec.ts, stock-adjustments.spec.ts, and stock-transfers.spec.ts to eliminate UOM references in API seeder and test cases.
- Adjusted ApiSeeder methods to remove UOM parameters from stock receiving and production template creation.
- Revised documentation to reflect changes in UOM handling, emphasizing that stock is counted in base UOM only.
- Introduced new enums for MeasureUnit and StageQtyUnit to clarify content size and stage input quantities.
- Implemented ItemContent service to validate and normalize content sizes.
- Updated smoke tests to validate production stage inputs expressed in content units, ensuring correct consumption calculations.
- Modified frontend UOM label handling to reflect the removal of per-line UOMs in document lines.
- Added a new Ledgers sidebar section for statutory-format financial reports and cash/bank-account management.
- Introduced dedicated GL client for API interactions, handling response envelopes and error management.
- Developed report screens for Trial Balance, Balance Sheet, General Ledger, Profit & Loss, Cash Flow, Budget vs Actual, and a new Tax Report.
- Implemented CSV download functionality alongside existing PDF downloads for all report screens.
- Separated Cash and Bank accounts into distinct tables/endpoints, with updated create forms and unified list view.
- Created a new Accounts section for Cheque Management, moving Cash/Bank Accounts from the Ledgers section.
- Updated RBAC navigation to include new permissions and sub-navigation items for the added features.
- Ensured compliance with GL's updated API contract, including renaming fields and adjusting response shapes.
- Addressed various bugs and presentation issues, enhancing user experience across the new module.
- Added a toggle for fixed sale price vs stock value in the item creation form.
- Introduced validation to ensure all variants have a price greater than 0 when fixed price mode is selected.
- Updated the item model to include a nullable salePrice field, which is used for sales only and does not affect GRN/FIFO/ledger.
- Enhanced the GRN page to allow off-PO items and included a refresh button to update the item list without reloading the page.
- Updated documentation to reflect changes in item pricing and GRN handling.
- Updated purchase order descriptions for clarity on draft and submission processes.
- Implemented submit and delete functionalities for draft purchase orders, allowing users to manage their orders more effectively.
- Added discount and VAT fields to GRN lines, enabling better cost tracking and reporting.
- Enhanced validation for GRN lines to ensure discount and VAT percentages are within acceptable ranges.
- Updated API to support new functionalities, including submitting and deleting purchase orders.
- Improved UI components for better user experience in managing purchase orders and GRNs.
- Documented changes in security and backend phase documentation to reflect new processes and requirements.
- Implemented CRUD operations for brands and variant categories in the API.
- Created UI components for managing brands and variant categories, including listing, creating, editing, and deleting.
- Enhanced the sidebar navigation to include links for brands and variant categories.
- Updated the categories API to support pagination and filtering.
- Added validation for brand and variant category names.
- Integrated toast notifications for user feedback on actions.
- Implemented warehouses API with methods for listing, creating, and managing bins.
- Added wastage API to handle stock write-offs and integrate with stock adjustments.
- Created auth token management for storing and retrieving access tokens.
- Developed error mapping for consistent user-facing error messages.
- Introduced client-side validations for GRN, master data, and procurement processes.
- Defined common types for pagination, problem details, and various master data entities.
- Established procurement and stock management types to support frontend functionality.