- models: colonne file inline (storage_path, mime, size_bytes, sha256, uploaded_by, uploaded_at)
su remission_invoice, remission_ula_employee, remission_document
- migrations: ALTER idempotente al lifespan per evolvere schema in sandbox
- storage: FS adapter /var/uploads con validazione MIME/size, dedup sha256, sanitize
- routers/files: POST upload / GET download (con ?inline=1) / DELETE
matrix autorizzazioni: beneficiary su DRAFT|AWAITING_AMENDMENT, istruttore read-only, superadmin full
- main: include router files, version bump 0.2.0
Testato E2E con admin JWT: upload 549B PDF -> DB coerente, storage 1/invoice/<uuid>/<sha12>-file.pdf,
download con magic bytes PDF corretti, delete chirurgico con cleanup FS e metadata.
Replica il workflow del foglio Excel originale (REMISSIONE_DEL_DEBITO_5888.xlsm).
Istruttore ora verifica ogni fattura, ogni dipendente ULA, ogni documento singolarmente
invece di accettare/respingere la pratica intera.
Modello dati - nuove colonne su 3 tabelle:
- remission_invoice: taxable_verified, vat_verified, total_verified,
verification_status (PENDING/AMMESSA/PARZIALE/RESPINTA), verification_notes,
date_checks (JSONB con invoice_in_period/payment_in_period), verified_by, verified_at
- remission_ula_employee: fte_pct_verified, verification_status, verification_notes,
verified_by, verified_at
- remission_document: verification_status (PENDING/VALIDO/NON_VALIDO/SCADUTO),
verification_notes, verified_by, verified_at
- remission_practice: instructor_final_notes, instructor_checklist (JSONB 3 gate SI/NO),
verbale_date
Nuovi endpoint:
- PUT /instructor/{id}/invoices/{inv_id}/verify (status + rettifica importi + note)
- PUT /instructor/{id}/ula-employees/{emp_id}/verify (rettifica FTE + note)
- PUT /instructor/{id}/documents/{doc_code}/verify (VALIDO/NON_VALIDO/SCADUTO + note)
- PUT /instructor/{id}/final-notes (note sintetiche + checklist)
Ricalcolo gate_check dual track:
- grand_total_declared: sempre (importo richiesto dal beneficiario)
- grand_total_verified: somma solo fatture AMMESSA/PARZIALE (se PARZIALE usa verified)
- remission_due: usa verified se any_verified=True, altrimenti declared (backward compat)
- residuo_da_restituire: amount_erogato - remission_due
- flag any_verified e all_verified per gating decisione finale
_auto_check_dates: fattura in periodo? pagamento in periodo?
Legge period_start e period_end da schema.gate_rules (superadmin editor).
Template: aggiunto period_start/period_end_date come campi 'editable_by superadmin'
nella sezione general static_fields.
Schema editor FE (BandoRendicontazioneSchemaEdit): aggiunto Calendar period_start
accanto a period_end in section gate rules. period_start_rule dropdown per logica
(erogato_date|fixed) resta; period_start data fissa usata dal check.
- 4 nuove colonne su remission_practice: assigned_instructor_id, reviewed_at,
reviewed_by, rejection_reason, approved_remission
- Nuova tabella remission_amendment_request con cascade delete, scope JSONB,
stati AWAITING -> RESPONSE_RECEIVED -> CLOSED / EXPIRED / REJECTED
- Router instructor.py (287 righe) con 8 endpoint:
/queue, /{id}, /{id}/claim, /{id}/approve, /{id}/reject,
/{id}/amendment, /{id}/amendment/{aid}/close,
/{id}/amendment/{aid}/respond-beneficiary
- GET /{id} (router practices) ora include amendments nel payload
- Manager manager_view flag per ROLE_INSTRUCTOR_MANAGER + SUPER_ADMIN
(vede tutto il pool vs solo le proprie assegnazioni)
- Logica status transitions verificata:
SUBMITTED -> UNDER_REVIEW (claim)
UNDER_REVIEW <-> AWAITING_AMENDMENT (amendment open/close)
UNDER_REVIEW | AWAITING_AMENDMENT -> APPROVED | REJECTED
- _compute_gate_check riusato anche dal router istruttore per calcolo
remission_due in coda e nel dettaglio
Test end-to-end verde: ciclo completo benef -> istruttore -> soccorso ->
risposta -> chiusura -> approvazione funzionante su NAPOLI SAS.
- 4 nuove tabelle: remission_practice, remission_invoice, remission_ula_employee, remission_document
con cascade delete e FK
- 13 endpoint /api/remission-practices/*:
GET /mine (lista pratiche user + applications CONTRACT_SIGNED ready_to_start)
POST /start (avvia pratica da application_id, richiede schema PUBLISHED)
GET /{id}, PUT /{id} (regime IVA + note)
POST/DELETE /{id}/invoices
POST/DELETE /{id}/ula-employees
PUT/DELETE /{id}/documents/{doc_code}
GET /{id}/gate-check (valida gate rules contro pratica, ritorna totali + checks)
POST /{id}/submit (gate-check obbligatorio, status DRAFT -> SUBMITTED)
- 1 endpoint debug /api/debug/impersonate (sandbox-only, genera JWT per utente
- necessario perche' /v1/user/login del BE Spring esclude ROLE_BENEFICIARY)
- Gate check calcola: totali per categoria, grand_total, max_remission = min(cap_pct*erogato, cap_abs),
remission_due = min(grand_total, max_remission), applica iva_ordinario_imponibile_only