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marketplaces/docs/backend/PHASE-7-PAYMENTS-RECONCILIATION-CONTRACT.md

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# Phase 7 Backend Contract — Refunds + Reconciliation
Companion to [PRODUCT-PLAN-v3.1-DELIVERY-PLAN.md](../PRODUCT-PLAN-v3.1-DELIVERY-PLAN.md) Phase 7 (Sprints 7.17.3). Extends [Phase 1](PHASE-1-MONEY-FX-PAYMENTS-CONTRACT.md) §6 (payment state machine).
**Status: ready to build.** `requestRefund(id)` exists today only as a mock gateway method; `reconcil*` and `settlement*` return zero hits anywhere in the codebase.
---
## 1. Refunds
```ts
interface Refund {
id: string;
orderId: string;
orderLineIds: string[]; // which lines this refund covers - partial refunds must specify
amount: Money;
reason: string;
actor: string; // user id who initiated it, never anonymous
status: 'requested' | 'approved' | 'processing' | 'completed' | 'failed';
requestedAt: string;
completedAt?: string;
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routing: RoutingContext; // copied verbatim from the original Payment, never recomputed
}
```
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A refund always carries the routing context of the payment it reverses. It is copied, not re-resolved — a store suspended after the payment must still be refundable.
```
POST /api/admin/v2/orders/{orderId}/refunds { orderLineIds, amount, reason }
GET /api/admin/v2/orders/{orderId}/refunds
```
A `Refund` updates `Payment.status` to `refunded` or `partially_refunded` (Phase 1 §6.1) and emits `refund.requested`/`refund.completed` on the Phase 2 event bus.
## 2. Reconciliation
```ts
interface ReconciliationRecord {
id: string;
orderId: string;
providerPaymentId?: string;
internalAmount: Money;
providerAmount?: Money;
matchStrategy: 'provider_payment_id' | 'merchant_reference' | 'amount_currency_fallback';
result: 'matched' | 'unmatched' | 'duplicate' | 'amount_mismatch' | 'status_mismatch';
resolvedBy?: string;
resolvedAt?: string;
resolutionNote?: string;
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routing: RoutingContext; // from the Payment; makes every row attributable to one payment point
}
```
Process (per plan §7.3):
```
1. Collect internal paid orders for a period.
2. Fetch provider transactions/events for the same period.
3. Match by providerPaymentId, falling back to merchant reference, falling back to amount+currency.
4. Classify: matched / unmatched / duplicate / amount_mismatch / status_mismatch.
5. Surface the non-matched set in backoffice with controlled, audited resolution.
```
```
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GET /api/admin/v2/reconciliation/queue?marketplaceId=&companyId=&projectId=&leafNodeId=&result=
POST /api/admin/v2/reconciliation/{id}/resolve { note }
```
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Step 3's `merchant_reference` strategy matches on `RoutingContext.merchantReference` — the partner-supplied value, stored verbatim (Phase 1 §6.5). The queue is filterable at every hierarchy level so an unmatched set can be narrowed to one payment point without a join the backoffice has to build itself.
## 3. Settlements
```ts
interface Settlement {
id: string;
sellerId: string;
periodStart: string;
periodEnd: string;
grossAmount: Money;
commission: Money;
refunds: Money;
netPayout: Money;
status: 'pending' | 'paid';
}
```
```
GET /api/seller/v1/finance/settlements
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GET /api/admin/v2/finance/settlements?sellerId=&companyId=&projectId=&storeId=&period=
```
### 3.1 Seller split happens after routing
Added 2026-08-18. `Seller` is deliberately **not** a level in the partner hierarchy ([PARTNER-PROVISIONING-API-CONTRACT.md §10.2](PARTNER-PROVISIONING-API-CONTRACT.md)). Order of operations:
```
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payment -> routed to exactly one payment point (Phase 1 §6.5, frozen at checkout)
-> reconciled at that payment point
-> split across the sellers whose lines the order contains (this phase)
```
- A `Settlement` belongs to one seller **within one store**. A seller trading in two stores gets two settlements per period, never one merged row.
- Splitting never rewrites `RoutingContext`. The money arrived at one payment point; the split decides who is owed from it.
- `grossAmount` summed across a store's settlements for a period must reconcile against that store's matched reconciliation rows for the same period. A mismatch is a reconciliation defect, not a rounding tolerance.
## 4. Provider breadth (open business question)
Current flow supports QR and card only, via one custom provider integration. Adding wallets/BNPL is an explicit open business decision (not answered in Sprint 0.1) — this contract's `PaymentIntent`/`Payment` shapes from Phase 1 §6 are provider-agnostic already, so a new provider is a new adapter behind the same state machine, not a schema change. No action needed here until that business decision is made.
## 5. What the frontend will start doing once this ships
- Wire the mock `requestRefund(id)` to a real endpoint.
- Build the backoffice **Payments & Finance** section (missing from admin nav today): payments, refunds, reconciliation queue, unmatched events, settlements.
- Reconciliation-queue resolution UI with full audit trail.