Add independent payment-service (port 8012, payment_db) with foundation licensing, BYO-PSP, merchant accounts, idempotent requests, callbacks, and immutable ledger. Co-authored-by: Cursor <cursoragent@cursor.com>
72 lines
1.7 KiB
Markdown
72 lines
1.7 KiB
Markdown
# Phase 14.9 — Reconciliation & Accounting Integration
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| Field | Value |
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| --- | --- |
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| Identifier | `payment-14.9` |
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| Implementation Priority | **LATER** |
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| Status | Planned |
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| Service | `payment` |
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| Depends On | `payment-14.5`, Accounting contract |
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> Full specification: [payment-roadmap.md](../../payment-roadmap.md#phase-14-9--reconciliation--accounting-integration)
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## Purpose
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Reconcile PSP settlements with payment ledger; emit Accounting posting intents via API/events only.
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## Business Scope
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Settlement file import refs; exception handling; daily reconciliation shells.
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## Technical Scope
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ReconciliationRun, ReconciliationException, AccountingPostingIntent. AccountingClient mock.
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## Dependencies
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`payment-14.5`, optional `payment-14.7`, Accounting
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## Out of Scope
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Tax/e-invoice; automatic bank feeds.
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## Capabilities
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`payment.reconciliation`, `payment.accounting_integration`
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## Permissions
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`payment.reconciliation.view|run|manage`, `payment.accounting_intents.view`
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## Events
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`payment.reconciliation.started|completed`, `payment.reconciliation.exception.created`, `payment.accounting_intent.created`
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## API Contracts
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POST reconciliation-runs; GET exceptions; GET accounting-posting-intents
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## Data Ownership
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Payment owns reconciliation; Accounting owns vouchers.
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## Provider Ownership
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PSP settlement files via adapter or upload ref.
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## Integration Rules
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Idempotent posting intents; no JournalEntry in Payment.
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## Quality Gates
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Intent idempotency, no local journal tables.
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## Definition of Done
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Reconciliation run + accounting intent event; Accounting unchanged.
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## Future Compatibility
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Multi-PSP consolidated reconciliation; FX adjustment intents.
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