Empty container returns now generate a downloadable Equipment Interchange Receipt: container number & size, exact return timestamp, depot/location, condition, and the carrier/booking reference. Customers can download it from their booking's Documents tab (own-booking returns only); staff can pull any via the same endpoint.
- Added tab navigation for All, Import, Export, and On hold shipments.
- Implemented a new LivePill component to show real-time updates.
- Refactored shipment filtering logic to accommodate new tab functionality.
- Improved UI elements including buttons and text inputs for better user experience.
- Updated styles for table cells to allow text wrapping for long company names.
- Adjusted theme to use Space Grotesk font for headings.
- Added tab navigation for All, Import, Export, and On hold shipments.
- Implemented a new LivePill component to show real-time updates.
- Refactored shipment filtering logic to accommodate new tab functionality.
- Improved UI elements including buttons and text inputs for better user experience.
- Updated styles for table cells to allow text wrapping for long company names.
- Adjusted theme to use Space Grotesk font for headings.
Backs the previously-dead header date-picker and Filters button with
an actual scoped query. getDashboard() takes optional dateFrom/dateTo/
warehouseId: received (renamed from receivedToday) is the only
activity counter and respects the date range, defaulting to today when
omitted; the 10 status-backlog counters respect warehouseId only;
totalWarehouses/emptyContainers/importTrains/exportTrains stay global
since nothing ties them to a specific warehouse in the schema. Adds a
warehouse Select + date-range picker to the dashboard header, with a
caption spelling out what is and isn't scoped.
Backoffice: new tab on the booking detail page (?tab=additional-charges,
already linked from the row menu) with an Add Charge modal — Save draft or
Send to customer.
Portal: charges panel on the booking detail page, Pay now per charge via
the existing OTP/CBE-bill payment flow.
Also fixes: GET /bookings/:id/additional-charges was returning DRAFT
charges to the customer (hidden client-side only) — now filtered
server-side per caller.
New freight.additional_charge table, independent of BookingClearanceCharge
(unbounded per booking, free-text reason). Draft -> send issues an invoice
and notifies the customer in-app/SMS/email; settles via the standard
.invoice.paid event. Adds the Additional charges row-menu entry
next to Cancel booking, permission-gated.
Not included: the Additional Payments tab UI, add-charge modal, portal pay
flow.
seed-occ-july-2026 loads the OCC plan and operated figures the operations
reports were built against, so the plan-versus-actual tables have real
numbers to check.
tmp-ops-plan, tmp-ops-verify, tmp-mkdb and tmp-ops-reconcile were
scratch: written to reconcile those figures while the reports were being
built, and superseded by the seed above.
The list was the last major board still on ad-hoc filtering: usePagination
plus FleetToolbar's hand-rolled Selects, a debounced search and a manual
sort Select, assembled into a filters object by hand. It now uses
useFilters/FilterBar like every other list, so pagination, search, sort
and filters all travel as URL params and a link reproduces the view.
Origin and destination ride the shared Route filter, which no longer
requires both ends — filtering by origin alone stays possible, and each
end now takes several stations.
The card/table view toggle moves into FilterBar's children slot, and the
row tinting for shipping-line and direction is untouched.
Date fields rendered as a native <input type="date">, which ignores the
form's styling and varies by browser. They now use Mantine's DateInput,
kept on the `YYYY-MM-DD` string the API's date columns take — no Date
round-trip, so none of the UTC-parsing shift that new Date("2026-01-01")
introduces east of Greenwich.
Labels were passed as an element, which put a flex box inside the
<label>: a line of dead space above every input, and Mantine's own
required asterisk pushed onto its own line. Passing the plain string and
withAsterisk lets Mantine render both.
`source` named the subsystem and `sourceId` was a raw UUID, so the list
could not say which record an invoice belonged to, and search matched
only the invoice number and that UUID — nobody types a UUID.
Every source except a shipping-line credit hangs off a booking, directly
or through the warehouse/first-mile/last-mile record, so the list read
now resolves each row to a booking reference, GRN or shipping line and
sends it as `sourceRef`. Search spans the same ground plus the customer
name, with the raw sourceId still matchable so a pasted UUID keeps
working.
plannedValueExpr matched a target only when its period_type and
period_start equalled the report's bucket exactly, so a monthly plan
vanished the moment you viewed by quarter, by year, or by day. The plan
column simply went empty and the implement rate read 0%.
plannedRowsSql replaces it with a derived table: each target is spread
evenly over the days it covers, then re-gathered into whichever bucket
the report shows. Three monthly targets add up to a quarter exactly, a
daily view gets a thirty-first of the month, and a week straddling a
month boundary draws proportionally on both. The even spread is an
assumption and the only one available — a monthly figure says nothing
about which days inside it were busier — so PLAN_GRANULARITY_NOTE says so
in each report's description.
The share is clipped to the user's date filter as well as to the bucket,
or filtering to July and viewing by year would sit a whole year's plan
next to one month's work. Reports FULL OUTER JOIN it so a category that
was planned but never ran still publishes, at 0% — dropping the row would
hide a total miss, which is the one thing a plan-versus-actual table is
for.
The OCC report plans a station lane per cargo type — Nagad–Mojo container
and Nagad–Mojo fertilizer are separate numbers — but a target's identity
was period + metric + dimension + dimensionKey, so the two collided on
one slot. `cargo_category` is now part of the row and of the uniqueness
check; it stays null for cargo_category and container_class targets,
whose dimensionKey already carries the category.
The config grid showed raw codes (VOLUME_TONS, cargo_category, a yard
code). The list read now sends readable twins alongside the stored codes,
which stay exactly as they are because the reports join on them — the
same shape YardDistancesService uses. Labels resolve per dimension rather
than from one merged map: CONTAINER_EXPORT exists in both vocabularies
and reads differently in each, and merging them gave every cargo-category
row the container-class wording.