13 KiB
Payment Data Repair Plan
Scope
This plan fixes the payment table, invoice/payment display logic, and manual payment write flow.
Reviewed inputs:
invoices(2).sqlpayments(1).sqlPaymentController(2).phpPaymentTransactionController(1).php
Current findings
| Check | Result |
|---|---|
| Invoice rows | 126 |
| Payment rows | 321 |
Invoice paid_amount vs SUM(payments.paid_amount) mismatches |
0 |
Payment rows where payments.total_amount differs from linked invoice total |
106 |
Invoices affected by stale payments.total_amount |
66 |
Payment rows with negative payments.balance |
5 |
Payment rows whose semester / school_year differs from linked invoice |
26 |
| Invoice IDs with no payment rows | 46, 76, 77, 108, 112, 122 |
Main conclusion: payment rows are not missing. The system is reading and storing payment context inconsistently. The payment table is being treated as both a transaction ledger and a cached invoice snapshot, which is why the UI looks wrong.
Priority 1 — Protect production before repair
- Take a database backup.
- Export
invoices,payments,discount_usages,refunds,balance_transfers, and anypayment_transactionstable. - Run all reconciliation SQL in read-only mode first.
- Apply data repair only after confirming the result count of each query.
Recommended backup command:
mysqldump -u <user> -p <database> invoices payments discount_usages refunds balance_transfers payment_transactions > payment_repair_backup.sql
Priority 2 — Add missing schema support
The PHP controller writes installment_seq, but the uploaded payments schema only has number_of_installments.
Add a dedicated installment sequence column:
ALTER TABLE payments
ADD COLUMN installment_seq INT NULL AFTER number_of_installments;
UPDATE payments
SET installment_seq = number_of_installments
WHERE installment_seq IS NULL;
Change payment_date from DATE to DATETIME so multiple same-day payments can be sorted correctly:
ALTER TABLE payments
MODIFY payment_date DATETIME NOT NULL;
Add indexes:
CREATE INDEX idx_payments_invoice_id ON payments(invoice_id);
CREATE INDEX idx_payments_parent_year ON payments(parent_id, school_year, semester);
CREATE UNIQUE INDEX uq_payments_transaction_id ON payments(transaction_id);
CREATE INDEX idx_invoices_parent_year ON invoices(parent_id, school_year, semester);
Priority 3 — Repair existing payment school year and semester
Payments should inherit their term from the linked invoice. The current data has payments marked Spring while their invoice is Fall.
Preview first:
SELECT
p.id AS payment_id,
p.invoice_id,
p.parent_id,
p.school_year AS payment_school_year,
p.semester AS payment_semester,
i.school_year AS invoice_school_year,
i.semester AS invoice_semester
FROM payments p
JOIN invoices i ON i.id = p.invoice_id
WHERE p.school_year <> i.school_year
OR p.semester <> i.semester
ORDER BY p.id;
Repair:
UPDATE payments p
JOIN invoices i ON i.id = p.invoice_id
SET
p.school_year = i.school_year,
p.semester = i.semester
WHERE
p.school_year <> i.school_year
OR p.semester <> i.semester;
Priority 4 — Stop trusting stale copied fields
Do not use these fields as authoritative in the UI:
payments.total_amountpayments.balancepayments.statusas invoice status
Use:
payments.paid_amountas the actual transaction amount.invoices.total_amountas the invoice total.InvoiceLedgerServicefor current invoice balance.- Invoice status from recalculation, not from the latest payment row.
The payment history table should display:
invoice_number
payment_date
paid_amount
payment_method
check_number
transaction_id
installment_seq
balance_after_payment
invoice_total
invoice_current_balance
invoice_status
school_year
semester
Priority 5 — Fix manualPayUpdate() term assignment
Current bug: the controller locks the invoice and reads the invoice school year, but then passes $this->schoolYear and $this->semester into processPayment(). That stores payment rows under the active config term instead of the invoice term.
Change the invoice lock query:
$row = $this->db->query(
'SELECT id, parent_id, total_amount, school_year, semester FROM invoices WHERE id = ? FOR UPDATE',
[$invoiceId]
)->getRowArray();
$parentId = (int) ($row['parent_id'] ?? 0);
$invYear = (string) ($row['school_year'] ?? $this->schoolYear);
$invSemester = (string) ($row['semester'] ?? $this->semester);
Then pass the invoice term into processPayment():
$ok = $this->processPayment(
$invoiceId,
$amount,
$paymentMethod,
$checkFile,
$transactionId,
$paymentDate,
$invYear,
$invSemester,
$checkNumber,
$installmentSeq,
(array) $this->invoiceModel->find($invoiceId),
$currentBalance
);
Do not use the current configuration term when recording a payment for an existing invoice. The invoice owns the term.
Priority 6 — Replace weak parent payment queries
Current parent payment lookup is too broad and does not include enough invoice context.
Replace simple payment-only queries with invoice-joined queries.
Example:
$selectedYear = $this->request->getGet('school_year') ?? $this->schoolYear;
$selectedSemester = $this->request->getGet('semester') ?? null;
$paymentsQuery = $this->paymentModel
->select([
'payments.id',
'payments.invoice_id',
'invoices.invoice_number',
'payments.transaction_id',
'payments.paid_amount',
'payments.payment_method',
'payments.check_number',
'payments.check_file',
'payments.payment_date',
'payments.installment_seq',
'payments.number_of_installments',
'payments.balance AS balance_after_payment',
'payments.status AS payment_status',
'invoices.total_amount AS invoice_total',
'invoices.balance AS invoice_current_balance',
'invoices.status AS invoice_status',
'invoices.school_year',
'invoices.semester',
])
->join('invoices', 'invoices.id = payments.invoice_id', 'inner')
->where('payments.parent_id', $parentId)
->where('invoices.school_year', $selectedYear);
if ($selectedSemester !== null && $selectedSemester !== '') {
$paymentsQuery->where('invoices.semester', $selectedSemester);
}
$payments = $paymentsQuery
->orderBy('payments.payment_date', 'DESC')
->orderBy('payments.id', 'DESC')
->paginate(10);
Apply this to:
getByParent()manualPaySearch()- Any dashboard or parent profile payment history endpoint
- Any admin finance page reading payment history
Priority 7 — Normalize payment status
Payment status and invoice status must not mean the same thing.
Payment statuses should be transaction-level:
Recorded
Voided
Refunded
Failed
Reversed
Chargeback
Invoice statuses should be computed:
Unpaid
Partially Paid
Paid
Overpaid
Cancelled
After the UI stops depending on payments.status as invoice status, normalize existing successful payment rows:
UPDATE payments
SET status = 'Recorded'
WHERE LOWER(status) IN ('paid', 'partially paid', 'payment recorded');
Update FinancialStatus to include transaction statuses separately from invoice statuses.
Priority 8 — Decide what to do with payment_transactions
PaymentTransactionController writes to a separate transaction model, but manual payments are recorded directly into payments.
Pick one architecture:
Preferred
Use payments as the single payment transaction ledger.
Then:
- Retire payment transaction pages/routes if unused.
- Do not build UI reports from
payment_transactions. - Keep gateway attempts in a separate
payment_attemptsoronline_payment_transactionstable only if needed.
Alternative
If payment_transactions must stay:
- Create a transaction row every time a payment row is inserted.
- Do it inside the same DB transaction.
- Never show
payment_transactionswithout joining back topayments.
Preferred option is cleaner. Two ledgers become two lies unless aggressively synchronized.
Priority 9 — Recalculate invoice ledger
After schema and controller fixes, recalculate every invoice through InvoiceLedgerService.
Required behavior:
- Sum successful payments from
payments. - Subtract discounts from
discount_usages. - Apply refunds/credits consistently.
- Include additional/event charges if they belong in invoice total.
- Update cached
invoices.paid_amount,invoices.balance, andinvoices.status. - Never calculate invoice balance directly inside controllers.
Suggested maintenance command:
foreach ($invoiceModel->findAll() as $invoice) {
$invoiceLedgerService->recalculateInvoice((int) $invoice['id']);
}
Run this from a CLI command, not from a browser request.
Priority 10 — Reconciliation SQL
Run these checks after repair.
Stale payment totals
SELECT
p.id AS payment_id,
p.invoice_id,
p.parent_id,
p.total_amount AS payment_total_amount,
i.total_amount AS invoice_total_amount,
p.paid_amount,
p.balance,
p.payment_date
FROM payments p
JOIN invoices i ON i.id = p.invoice_id
WHERE p.total_amount <> i.total_amount
ORDER BY p.invoice_id, p.id;
Expected after UI fix: rows may still exist historically, but the UI must not rely on payments.total_amount.
Term mismatch
SELECT
p.id AS payment_id,
p.invoice_id,
p.parent_id,
p.school_year AS payment_school_year,
p.semester AS payment_semester,
i.school_year AS invoice_school_year,
i.semester AS invoice_semester
FROM payments p
JOIN invoices i ON i.id = p.invoice_id
WHERE p.school_year <> i.school_year
OR p.semester <> i.semester
ORDER BY p.id;
Expected: zero rows.
Negative payment balance snapshots
SELECT
id,
parent_id,
invoice_id,
total_amount,
paid_amount,
balance,
status,
payment_date
FROM payments
WHERE balance < 0
ORDER BY invoice_id, id;
Expected: zero rows after balance snapshot repair, or ignored if payments.balance is deprecated.
Invoices with no payment rows
SELECT
i.id,
i.parent_id,
i.invoice_number,
i.total_amount,
i.paid_amount,
i.balance,
i.has_discount,
i.status
FROM invoices i
LEFT JOIN payments p ON p.invoice_id = i.id
WHERE p.id IS NULL
ORDER BY i.id;
Expected: only invoices fully covered by discounts, credits, cancellations, or legitimate zero-payment states.
Invoice paid amount consistency
SELECT
i.id AS invoice_id,
i.parent_id,
i.invoice_number,
i.paid_amount AS invoice_paid_amount,
COALESCE(SUM(p.paid_amount), 0) AS payment_sum
FROM invoices i
LEFT JOIN payments p ON p.invoice_id = i.id
GROUP BY i.id, i.parent_id, i.invoice_number, i.paid_amount
HAVING ROUND(i.paid_amount, 2) <> ROUND(payment_sum, 2)
ORDER BY i.id;
Expected: zero rows, unless invoice paid amount intentionally includes imported legacy payments that are not in payments.
Priority 11 — Tests to add
Unit tests
- Payment creation uses invoice
school_yearandsemester, not config term. - Payment amount cannot exceed current ledger balance.
- Card payment must equal full current balance.
- Editing a payment recalculates invoice balance.
installment_seqincrements only successful payments.- Voided/refunded/failed payments are excluded from balance.
payments.total_amountis never used as current invoice total in DTOs.
Integration tests
- Parent payment history returns payments joined to invoice number.
- Parent payment history filters by invoice school year.
- Parent payment history filters by invoice semester.
- Admin finance table shows transaction amount and current invoice balance correctly.
- Manual payment insert, invoice recalculation, and notification event are atomic.
Data repair tests
- Term mismatch query returns zero rows after repair.
- Negative payment balance query returns zero rows or deprecated field is hidden.
- Invoice paid amount consistency query returns zero rows.
- Invoices with no payments are manually classified as discount-only, cancelled, imported, or broken.
Acceptance criteria
The fix is complete only when:
- Existing payments are visible in parent and admin payment history.
- Payment history shows transaction amount, not stale invoice total.
- Payment rows inherit school year and semester from invoice.
- No payment row has mismatched invoice term.
- No new payment insert depends on global config term for existing invoices.
installment_seqexists and is populated.- Invoice balances are recalculated by
InvoiceLedgerService. payment_transactionsis either retired or explicitly separated as gateway-attempt history.- Reconciliation SQL has been run and saved as evidence.
Do not do this
- Do not manually edit invoice balances row by row.
- Do not use
payments.total_amountas invoice total. - Do not use
payments.statusas invoice status. - Do not filter payment history only by
payments.school_yearif invoice term exists. - Do not keep two independent payment ledgers unless one is clearly marked as gateway attempts.
- Do not trust the latest payment row balance as the current invoice balance.