Commit Graph
7 Commits
Author SHA1 Message Date
Jonathan KirkwoodandClaude Opus 4.8 a639ba14cf 0.2.33: exited positions (secondary-sale edge case)
A member who sold/transferred their stake showed a phantom -100% loss
($0 ending balance, no distribution through the fund). Now:
- entity_access.exited_on (migration e1f2a3b4c5d6), set/cleared from the
  Partners tab (writer-only, inline date picker, audited)
- LP portal card shows a quiet "Exited <date>" badge, keeps documents,
  hides balance/gain
- portfolio summary excludes exited positions ("Excludes N exited")
- fund committed totals (rollup + Partners tab) skip exited members so
  seller + buyer are not double-counted

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>
2026-07-03 08:54:19 -05:00
Jonathan KirkwoodandClaude Opus 4.8 4215d4478f 0.2.27-0.2.32: LP portal polish, brand palette, default investor logins
Cumulative checkpoint since 0.2.26:
- 0.2.27/28: entity valuation-history table; investor gain/loss = NAV +
  distributions vs paid-in
- 0.2.29: Reset Fund Partners (endpoint, Partners-tab button, CLI, action)
- 0.2.30: "Current Capital Balance" label, %-only gain/loss
- 0.2.31: Management Entities rename, Carry Vehicle type, chart
  distributions-line gate
- 0.2.32: LP-facing polish pass
  * Ten31 brand palette from the logo (navy/mint); orange retired
  * portfolio summary card across funds; gain labeled "net of paid-in"
  * whole-dollar headline figures; "History · N quarters" toggle
  * documents grouped by year with a "New" badge (users.docs_seen_at)
  * eNAV-created members start on default password with login enabled;
    enable-investor-logins CLI + StartOS action for existing accounts
  * password minimum raised to 8 chars; login help line (Portal@ten31.xyz)

Co-Authored-By: Claude Opus 4.8 <noreply@anthropic.com>
2026-07-03 08:40:40 -05:00
Jonathan Kirkwood 33776d42f4 0.2.24: household-aware GP asset balances + show on Overview
Fixes a linked GP entity showing an empty Assets tab when its capital is
held under the linked account's other legal names (the eNAV often splits
one LLC across names).

- New GET /api/entities/{id}/asset-balances: household-aware, returns the
  linked account's (and its linked names') capital balances per fund, plus
  the linked account name for a clear empty state.
- Assets tab uses it; shows "linked to X but no balances on file" instead
  of a blank table when the wrong account is linked.
- GP/mgmt Overview now surfaces the total linked balance across funds with
  a "View by fund" link, so assets are visible without opening the tab.

Verified: 15/15 backend tests (incl. household case); frontend tsc + vite
build clean.
2026-07-01 16:14:58 -05:00
Jonathan Kirkwood e7501a14b0 0.2.23: link GP entities to their investor account for auto asset balances
Ten31 LLC (and any GP/mgmt entity) can be linked to its investor account,
so its Assets tab shows its real capital-account balance in each fund,
pulled live from the eNAV capital accounts instead of manual entry.

- entities.linked_user_id (migration c9d0e1f2a3b4) + EntityCreate/Update/
  Response fields; validated to be an investor account.
- Edit-entity form gains a "Linked investor account" picker for GP/mgmt.
- Assets tab now auto-lists the linked account's balance per fund (the
  earlier manual-stakes API remains but is no longer used by the UI).

Verified: 13/13 backend tests pass; alembic head c9d0e1f2a3b4; frontend
tsc + vite build clean.
2026-07-01 15:21:28 -05:00
Jonathan Kirkwood f0f8fd15c6 Release 0.2.22: capital chart, Investor View, GP stakes, doc folders
Snapshot commit bringing the uncommitted phase-2 work into version control
together with four new features and the 0.2.22 version bump.

New features:
- Investor capital-over-time chart (value, paid-in, distributions per
  quarter), rendered from existing capital-account history.
- Admin Investor View: read-only reconstruction of an investor's portal
  (GET /api/users/{id}/investor-view), reusing the investor portal UI.
- Document upload scoped to the selected fund's own investors, with an
  explicit upload-target confirmation to prevent mis-attaching.
- GP/mgmt entities gain an Assets tab listing their stakes in the funds
  they manage (new entity_stakes table + /api/entities/{id}/stakes).
- Edit-entity form (change type/status/etc.), so GP entities can be
  categorized correctly.

Verified: 11/11 backend tests pass; alembic upgrades to head b8c9d0e1f2a3;
frontend tsc + vite build clean; s9pk packs at 0.2.22:0 (x86_64).
Also: ignore .DS_Store and *.s9pk artifacts.
2026-07-01 14:25:50 -05:00
Johnny 5 30d2284feb Issues 19+20: entity-aware schedule import and rollup endpoint
Issue 19:
- entity_id now optional on POST /api/import/schedule
- Resolution: explicit entity_id > name match from row 1 > auto-create
- New params: create_entity_type (default fund), create_vintage_year
- Dry-run reports resolution (will_create/matched/existing)
- Frontend: radio toggle between 'Create from file' and 'Use existing'

Issue 20:
- GET /api/entities/rollup: invested_cents and last_signed_value_cents
  per entity in one pass (SQL aggregates, no waterfall)
- EntitiesList uses rollup instead of N+1 API calls
2026-06-08 03:02:59 +00:00
Johnny 5 a70bdeaa5e Issue 1: repo scaffold and project structure 2026-06-07 19:20:02 +00:00