Age | Commit message (Collapse) | Author | |
---|---|---|---|
2022-07-31 | -update auditor schema in preparation to fix #4960 | Christian Grothoff | |
2022-07-24 | -adapt to latest libgnunetpq | Christian Grothoff | |
2022-06-14 | -preparatory steps to expand auditor to know about purse and history fees | Christian Grothoff | |
2022-06-13 | -towards coin audits with purse deposits | Christian Grothoff | |
2022-06-08 | -expand auditordb to track progress for p2p payments | Christian Grothoff | |
2022-02-21 | -big renaming of structs for consistent naming with P suffix | Christian Grothoff | |
2021-12-14 | introducing GNUNET_TIME_Timestamp, recoup now with amounts | Christian Grothoff | |
2021-11-06 | -misc fixes | Christian Grothoff | |
2021-11-06 | include h_extensions in deposit confirmation | Christian Grothoff | |
2021-10-27 | brutally fixing types in src/include/, creating plenty of FTBFS issues | Christian Grothoff | |
2021-08-23 | -remove sessions also from auditor | Christian Grothoff | |
2020-12-17 | update auditordb and test logic to work with new key separation logic (#6175) | Christian Grothoff | |
2020-10-03 | doxygen fixes, update ChangeLog, bump version | Christian Grothoff | |
2020-07-15 | fix #6133: enable nice shutdown of auditor helpers with CTRL-C | Christian Grothoff | |
2020-07-05 | towards changing timestamp in deposit confirmation (tests failing) | Christian Grothoff | |
2020-03-07 | code cleanup (comments, scoping, naming, indentation) | Christian Grothoff | |
2020-01-18 | payback -> recoup stranglers | Christian Grothoff | |
2020-01-17 | doxygen fixes | Christian Grothoff | |
2020-01-17 | fix FIXME: total up irregular paybacks and add to report | Christian Grothoff | |
2020-01-17 | more work towards DB versioning | Christian Grothoff | |
2020-01-11 | major refactoring, eliminating wire-plugins and moving towards new bank API. ↵ | Christian Grothoff | |
main code compiles, testcases known to fail, code sure not to fully work yet | |||
2019-10-31 | tighten formatting rules | Christian Grothoff | |
2019-10-29 | do NOT drop deposit confirmations on taler-auditor restart (-r) | Christian Grothoff | |
2019-10-06 | consider reserve closures as well when auditing outgoing wire transfers | Christian Grothoff | |
2019-10-05 | add uncrustify pre-commit hook | Christian Grothoff | |
2019-09-02 | misc. auditor bugfixes | Christian Grothoff | |
2019-08-25 | re-format code | Florian Dold | |
2019-08-24 | refactor wire auditor to properly handle multiple accounts | Christian Grothoff | |
2019-07-25 | update auditordb to include payback losses | Christian Grothoff | |
2019-07-24 | add ppc progress points for payback ops | Christian Grothoff | |
2019-02-14 | add option to be selective about dropping the exchange list | Christian Grothoff | |
2018-11-11 | improve auditor support in libtalertesting | Christian Grothoff | |
2018-11-04 | add auditing of deposit confirmations to auditor (#5447) | Christian Grothoff | |
2018-10-28 | track number of coins issued per denomination in auditor (not yet used) | Christian Grothoff | |
2018-10-28 | extend auditordb with storing information about list of exchanges and their ↵ | Christian Grothoff | |
signing keys | |||
2018-10-27 | split up progress points of auditor by coin/reserve/aggregation to minimize ↵ | Christian Grothoff | |
DB conflicts | |||
2018-10-27 | complete auditor httpd side of deposit confirmation handling (auditordb not ↵ | Christian Grothoff | |
yet ready, though) | |||
2018-10-21 | first skeleton of /deposit-confirmation API implementation; not yet ↵ | Christian Grothoff | |
complete, cannot work as-is, see FIXMEs | |||
2018-10-20 | extend auditordb API with function to store deposit confirmations | Christian Grothoff | |
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. | |||
2017-11-19 | add last_timestamp to wire auditor progress point; fix confusion in ↵ | Christian Grothoff | |
param/result specs between 'auto' and 'absolute time' | |||
2017-10-12 | complete first pass of taler-wre-auditor's wire-out audit logic | Christian Grothoff | |
2017-09-30 | also store wire position in auditordb | Christian Grothoff | |
2017-09-30 | update auditordb API to support logic for taler-wire-auditor | Christian Grothoff | |
2017-06-24 | migrating auditordb to new API to address #5010 | Christian Grothoff | |
2017-06-15 | work on #5010 | Christian Grothoff | |
2017-04-04 | handle /payback in auditor when checking reserves | Christian Grothoff | |
2017-03-20 | deal with persisting wire/aggregation fee data in auditor | Christian Grothoff | |
2017-03-20 | fix auditor progress point issue | Christian Grothoff | |