- Identified and fixed a critical issue where 36 tables existed in the EF model but were absent in the actual database.
- Root cause traced to a `.gitignore` rule that prevented migration files from being tracked, leading to discrepancies between the model snapshot and the database.
- Removed problematic entities from the snapshot, generated a migration to add the missing tables, and confirmed successful application.
- Reverted the `.gitignore` rule to ensure future migrations are tracked properly.
- No changes to existing tables, ensuring no collateral schema drift occurred.
- 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.