Cost Centre on PO forms now shows only Vessels (plain vesselId field).
Sites are a separate concept and not selectable as cost centres.
- PurchaseOrder.vesselId is required again (NOT NULL restored)
- Vessel.siteId and vessel->site relation removed from schema
- DB migration: drops Vessel.siteId column, restores PO.vesselId NOT NULL
- All PO forms (new/edit/import/manager-edit): plain vessel <select> with
code-prefixed labels (e.g. "HNR1 — HNR 1")
- History, approvals, dashboard, my-orders, payments: back to vesselId
filter params and po.vessel.name display
- Admin vessels: removed Site column and site-assignment dropdown
- Admin sites detail page: removed "Assigned Vessels" section
- Sites table: removed Vessels count column (no longer linked)
- seed-prod.ts and seed.ts: vessels created without siteId
- SearchableSelect accounting code picker retained from previous commit
Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com>
- Undo Vessel→Cost Centre rename in admin (admin shows "Vessel Management" again)
- Sidebar: "Cost Centres"→"Vessels", "Accounts"→"Accounting Codes"
- PO forms (new/edit/import/manager-edit) now show both Vessels (with code) and Sites in the
Cost Centre dropdown, encoded as v:<id> / s:<id> via a costCentreRef field
- vesselId on PurchaseOrder is now nullable; siteId is set when a site is the cost centre
- History, approvals, dashboard, my-orders, payments display vessel.name ?? site.name as Cost Centre
- History and approvals cost centre filters use costCentreRef URL param supporting both types
- Admin vessel form: adds Site assignment dropdown
- Admin accounts: renamed to "Accounting Code" throughout (pages, forms, sidebar)
- PO detail and exports: "Account" label renamed to "Accounting Code"
- Site detail: "Assigned Vessels (Cost Centres)" heading; vessel detail breadcrumb fixed
- Create PO links from vessel/site detail use ?costCentreRef= param
- Export routes handle costCentreRef filter param (with legacy vesselId fallback)
- DB migration: ALTER TABLE PurchaseOrder ALTER COLUMN vesselId DROP NOT NULL
- CLAUDE.md updated with Cost Centre Model documentation
Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com>
Derives the author from the most recent EDITS_REQUESTED / REJECTED /
APPROVED action that carries a note. PO detail banner now shows 'Note from
[name]', edit-page banner shows 'Edits requested by [name]', and the
closed-orders list prefixes the truncated note with the author's name.
No schema changes required - uses the already-fetched actions with actor.
Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com>
Open POs are already visible on the dashboard. The /my-orders page now
fetches and displays only completed/closed statuses (MGR_APPROVED through
REJECTED) and is labelled 'Closed Purchase Orders' throughout.
Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com>
Allow accounts to record partial/advance payments against a PO before
full delivery. A new PARTIALLY_PAID status tracks in-progress payment;
paidAmount accumulates across multiple markPaid calls. PO only closes
when both paidAmount >= totalAmount AND all line items are delivered.
Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com>
PARTIALLY_CLOSED was missing from the open-filter so affected POs
disappeared from the submitter''s My Orders view entirely, making it
impossible to confirm remaining deliveries.
Also hardens confirmReceipt() against negative delivery quantities
and extends partial-receipt.spec.ts with US-8c/8d/8e covering the
full PARTIALLY_CLOSED revisit flow.
Co-Authored-By: Claude Sonnet 4.6 <noreply@anthropic.com>