Age | Commit message (Collapse) | Author | |
---|---|---|---|
2018-07-09 | Method to mark merchant as KYC-checked. | Marcello Stanisci | |
2018-07-09 | KYC db methods. | Marcello Stanisci | |
Add method to insert a merchant into the monitored entries, and associates a "FALSE" KYC status to it. | |||
2018-04-02 | allow auditor to operate per-account | Christian Grothoff | |
2018-04-02 | Changing configuration structure to enable multiple accounts. | Christian Grothoff | |
This change enables using multiple wire plugins at the same time. Also, we now distinguish between the wire plugin (i.e. EBICS or taler_bank) and the wire method (i.e. SEPA or x-taler-bank) that the wire plugin is implementing. The "taler-bank" wire method was renamed from "test" to "x-taler-bank". This also changes the format of the /wire response of the exchange, as we now need to return multiple accounts. Note that wire fees are specified per wire method, not per wire account. taler-exchange-keyup now automatically signs all of the /wire responses in the location specified by the configuration. Account identification in wire plugins was changed to use payto://-URLs instead of method-specific JSON fields. Signing and validation of /wire responses was moved from each wire plugin to a generic validation method in libtalerutil (crypto) or libtalerjson (for JSON-formatted inputs). Convenience methods were added to generate JSON for wire accounts (salting, signing). Various section and option names were adjusted to streamline the configuration and make it more consistent overall. Documentation was updated as well. | |||
2018-03-12 | fix #5281 for exchange: do preflight check that an old transaction is no ↵ | Christian Grothoff | |
longer running by accident | |||
2018-01-04 | fix auditor to properly verify wire fee signatures and more gracefully ↵ | Christian Grothoff | |
handle arithmetic amount issue | |||
2018-01-03 | add testcase for 'select_refunds_by_coin' | Christian Grothoff | |
2017-11-30 | patch to address #5183: always round time before giving it to DB, tolerate ↵ | Christian Grothoff | |
DB answering without rounded time | |||
2017-11-29 | fixing #5178 | Christian Grothoff | |
2017-11-19 | test select_deposits_missing_wire, fix uninitialized wire_deadline in ↵ | Christian Grothoff | |
deposit listing | |||
2017-10-06 | check return value from create_denom_key_pair in test | Christian Grothoff | |
2017-10-06 | check return value from TALER_JSON_hash | Christian Grothoff | |
2017-06-24 | convert rest of exchangedb plugin API to fix #5010-issues | Christian Grothoff | |
2017-06-24 | fix #5010 for taler-exchange-aggregator | Christian Grothoff | |
2017-06-24 | working on #5010 for aggregator | Christian Grothoff | |
2017-06-23 | address #5010 for wirewatch | Christian Grothoff | |
2017-06-23 | adapt /admin/add/incoming to #5010 | Christian Grothoff | |
2017-06-23 | Fix #5010 for keystate | Christian Grothoff | |
2017-06-22 | address #5010 for /refresh/melt | Christian Grothoff | |
2017-06-20 | fixing #5010 for /refresh/reveal | Christian Grothoff | |
2017-06-20 | address #5010 for /refresh/link | Christian Grothoff | |
2017-06-19 | fix #5010 for /track/transaction | Christian Grothoff | |
2017-06-19 | fix #5010 for /track/transfer | Christian Grothoff | |
2017-06-19 | address #5010 for /payback | Christian Grothoff | |
2017-06-19 | address #5010 for /refund | Christian Grothoff | |
2017-06-19 | fixing #5010 for /reserve/withdraw | Christian Grothoff | |
2017-06-19 | rework /reserve/history to address #5010 | Christian Grothoff | |
2017-06-19 | refactoring /deposit towards new transaction style (#5010) | Christian Grothoff | |
2017-06-19 | convert another function for #5010 | Christian Grothoff | |
2017-06-19 | convert another function for #5010 | Christian Grothoff | |
2017-06-15 | work on #5010 | Christian Grothoff | |
2017-06-11 | a bit more work on #5010 | Christian Grothoff | |
2017-06-11 | match GNUnet API rename, work on #5010 | Christian Grothoff | |
2017-05-29 | rename proposal_data to contract_terms (see #4879) | Florian Dold | |
2017-05-25 | starting some initial work on #5010, very incomplete | Christian Grothoff | |
2017-05-08 | add 'get_latest_reserve_in_reference' to exchangedb API | Christian Grothoff | |
2017-05-08 | remove dead transfer details field from reserves_in (API, exchangedb, etc.) | Christian Grothoff | |
2017-05-05 | updating DB schema for new wire history operations and future auditor checks ↵ | Christian Grothoff | |
of wire transfers | |||
2017-04-20 | finished implementing #4956 in principle, but not yet tested | Christian Grothoff | |
2017-04-20 | expand testcase to cover new DB API | Christian Grothoff | |
2017-04-16 | fix #4984 | Christian Grothoff | |
2017-04-09 | improve test case coverage for exchangedb | Christian Grothoff | |
2017-04-04 | towards supporting #3887 in the auditor | Christian Grothoff | |
2017-04-04 | handle /payback in auditor when checking reserves | Christian Grothoff | |
2017-04-03 | implement rest of exchange logic for #3887 (return payback information in ↵ | Christian Grothoff | |
reserve and coin histories) | |||
2017-04-02 | implement tests for extended DB API | Christian Grothoff | |
2017-03-19 | simplify analysis by returning denom_pub with rest of coin transaction data ↵ | Christian Grothoff | |
instead of bothering fetching with coin history | |||
2017-03-19 | revise exchangedb structure eliminating duplicated wire transfer date from ↵ | Christian Grothoff | |
aggregations, instead joining it from wire_out when needed | |||
2017-03-18 | more work on auditor | Christian Grothoff | |
2017-03-18 | add wire_out tracking to exchangedb, including deferred constraint, and to ↵ | Christian Grothoff | |
aggregator |