* Editorconfig: Add space_before_self_closing setting
This was a difference between the way dotnet-format and Rider format code. See https://www.jetbrains.com/help/rider/EditorConfig_Index.html
* Editorconfig: Keep 4 spaces indentation for Swagger JSON files
They are all formatted that way, let's keep it like that.
* Apply dotnet-format, mostly white-space related changes
* Fix LN Address payouts
LN Address was validated when creating the claim but the paying sdection did not support it.
* reuse code
* reuse code
* do not use mail directly
* fix email validator
* Fix labels not showing multiple payouts payments
* Improve label tooltip
Makes it more readable
* Cleanup code
* Fix overflowing text in order ID field in invoices table (#3765)
close#3714
Co-authored-by: Dennis Reimann <mail@dennisreimann.de>
Co-authored-by: nicolas.dorier <nicolas.dorier@gmail.com>
Co-authored-by: Umar Bolatov <bolatovumar@gmail.com>
* WIP New APIs for dealing with custodians/exchanges
* Simplified things
* More API refinements + index.html file for quick viewing
* Finishing touches on spec
* Switched cryptoCode to paymentMethod as this allows us to differentiate between onchain and lightning
* Moved draft API docs to "/docs-draft"
* WIP baby steps
* Added DB migration for CustodianAccountData
* Rough but working POST /v1/api/custodian-account + GET /v1/api/custodian
* WIP + early Kraken API client
* Moved service registration to proper location
* Working create + list custodian accounts + permissions + WIP Kraken client
* Kraken API Balances call is working
* Added asset balances to response
* List Custodian Accounts call does not load assetBalances by default, because it can fail. Can be requested when needed.
* Call to get the details of 1 specific custodian account
* Added permissions to swagger
* Added "tradableAssetPairs" to Kraken custodian response + cache the tradable pairs in memory for 24 hours
* Removed unused file
* WIP + Moved files to better locations
* Updated docs
* Working API endpoint to get info on a trade (same response as creating a new trade)
* Working API endpoints for Deposit + Trade + untested Withdraw
* Delete custodian account
* Trading works, better error handling, cleanup
* Working withdrawals + New endpoint for getting bid/ask prices
* Completed withdrawals + new endpoint for getting info on a past withdrawal to simplify testing, Enums are output as strings,
* Better error handling when withdrawing to a wrong destination
* WithdrawalAddressName in config is now a string per currency (dictionary)
* Added TODOs
* Only show the custodian account "config" to users who are allowed
* Added the new permissions to the API Keys UI
* Renamed KrakenClient to KrakenExchange
* WIP Kraken Config Form
* Removed files for UI again, will make separate PR later
* Fixed docs + Refactored to use PaymentMethod more + Added "name" to custodian account + Using cancelationToken everywhere
* Updated withdrawal info docs
* First unit test
* Complete tests for /api/v1/custodians and /api/v1/custodian-accounts endpoints + Various improvements and fixes
* Mock custodian and more exceptions
* Many more tests + cleanup, moved files to better locations
* More tests
* WIP more tests
* Greenfield API tests complete
* Added missing "Name" column
* Cleanup, TODOs and beginning of Kraken Tests
* Added Kraken tests using public endpoints + handling of "SATS" currency
* Added 1st mocked Kraken API call: GetAssetBalancesAsync
* Added assert for bad config
* Mocked more Kraken API responses + added CreationDate to withdrawal response
* pr review club changes
* Make Kraken Custodian a plugin
* Re-added User-Agent header as it is required
* Fixed bug in market trade on Kraken using a percentage as qty
* A short delay so Kraken has the time to execute the market order and we don't fetch the details too quickly.
* Merged the draft swagger into the main swagger since it didn't work anymore
* Fixed API permissions test
* Removed 2 TODOs
* Fixed unit test
* Remove Kraken Api as it should be separate opt-in plugin
* Flatten namespace hierarchy and use InnerExeption instead of OriginalException
* Remove useless line
* Make sure account is from a specific store
* Proper error if custodian code not found
* Remove various warnings
* Remove various warnings
* Handle CustodianApiException through an exception filter
* Store custodian-account blob directly
* Remove duplications, transform methods into property
* Improve docs tags
* Make sure the custodianCode saved is canonical
* Fix test
Co-authored-by: Wouter Samaey <wouter.samaey@storefront.be>
Co-authored-by: nicolas.dorier <nicolas.dorier@gmail.com>
* Allow Users to be disabled/enabled
* rebrand to locked for api
* Update BTCPayServer/Views/UIAccount/Lockout.cshtml
Co-authored-by: d11n <mail@dennisreimann.de>
* fix docker compose and an uneeded check in api handler
* fix
* Add enabled user test
Co-authored-by: d11n <mail@dennisreimann.de>
Co-authored-by: Nicolas Dorier <nicolas.dorier@gmail.com>
* Automated Transfer processors
This PR introduces a few things:
* Payouts can now be directly nested under a store instead of through a pull payment.
* The Wallet Send screen now has an option to "schedule" instead of simply creating a transaction. When you click on schedule, all transaction destinations are converted into approved payouts. Any options relating to fees or coin selection are discarded.
* There is a new concept introduced, called "Transfer Processors". Transfer Processors are services for stores that process payouts that are awaiting payment. Each processor specifies which payment methods it can handle. BTCPay Server will have some forms of transfer processors baked in but it has been designed to allow the Plugin System to provide additional processors.
* The initial transfer processors provided are "automated processors", for on chain and lightning payment methods. They can be configured to process payouts every X amount of minutes. For on-chain, this means payments are batched into one transaction, resulting in more efficient and cheaper fees for processing.
*
* fix build
* extract
* remove magic string stuff
* fix error message when scheduling
* Paginate migration
* add payout count to payment method tab
* remove unused var
* add protip
* optimzie payout migration dramatically
* Remove useless double condition
* Fix bunch of warnings
* Remove warning
* Remove warnigns
* Rename to Payout processors
* fix typo
Co-authored-by: Nicolas Dorier <nicolas.dorier@gmail.com>