Admin GET /api/v1/admin/payment/providers previously returned every
config value — including privateKey / apiV3Key / secretKey etc. —
verbatim. Any future XSS on the admin UI would hand attackers the
full set of production payment credentials, and the plaintext values
sat unnecessarily in browser memory for every operator.
Treat those fields as write-only from the admin surface:
- decryptAndMaskConfig() strips sensitive keys from the GET response.
The authoritative list is an explicit per-provider registry that
mirrors the frontend's PROVIDER_CONFIG_FIELDS sensitive flag:
alipay → privateKey, publicKey, alipayPublicKey
wxpay → privateKey, apiV3Key, publicKey
stripe → secretKey, webhookSecret (publishableKey stays plain)
easypay → pkey
Payment runtime still reads the full config via decryptConfig, so
nothing at the gateway changes.
- mergeConfig() treats an empty value for a sensitive key as "leave
unchanged" — the admin UI omits unchanged secrets so operators can
tweak non-sensitive settings without re-entering credentials.
- Admin dialog (PaymentProviderDialog.vue):
* secret inputs get autocomplete="new-password", data-1p-ignore,
data-lpignore and data-bwignore so password managers do not
offer to save provider credentials
* in edit mode the required-field check skips sensitive fields
(empty is the "keep existing" signal) and the placeholder shows
"leave empty to keep" instead of the default example value
* create mode still requires every non-optional field, including
secrets, since there is nothing to preserve
- Unit test renamed to TestIsSensitiveProviderConfigField, covers
the per-provider registry and specifically asserts that Stripe's
publishableKey is NOT treated as a secret.
The native Alipay provider previously tried to embed the payment page
URL into a QR code on the client — the URL is not a scannable payload
so the QR never worked. Merchants also hit a H5 detection mismatch
whenever the backend UA sniffer missed iPadOS 13+ or embedded browsers,
and the popup window was too small for Alipay's standard checkout
layout (QR + account-login panel on the right), forcing the user to
scroll horizontally and vertically.
Changes:
Backend
- alipay.go: drop QR-on-URL path. Use redirect-only flow —
alipay.trade.page.pay for PC (returns a gateway URL the browser
opens in a new window) and alipay.trade.wap.pay for H5 (returns a
URL the browser jumps to). Both flows produce pages on
openapi.alipaydev.com / excashier.alipay.com; the client never
renders a QR itself.
- payment_handler.go: add optional is_mobile bool to
CreateOrderRequest so the frontend can declare the device
explicitly. Server still falls back to UA sniffing when absent.
Frontend
- types/payment.ts, PaymentView.vue: declare is_mobile in
CreateOrderRequest and pass the computed isMobileDevice() value.
- providerConfig.ts: replace the two fixed POPUP_WINDOW_FEATURES
constants with getPaymentPopupFeatures(), which prefers 1250×900
(Alipay's checkout footprint), clamps to window.screen.avail* and
centers the popup so it never overflows on smaller laptops.
- PaymentQRDialog.vue, PaymentStatusPanel.vue, StripePaymentInline.vue,
PaymentView.vue: use the new helper at all popup call sites.
Subscription-mode billing was consuming quota at TotalCost (raw) instead of
ActualCost (TotalCost * RateMultiplier), so per-group rate multipliers —
including free subscriptions (multiplier = 0) — were silently ignored.
Switch the three subscription cost writes in buildUsageBillingCommand,
finalizePostUsageBilling, and the legacy postUsageBilling fallback to
ActualCost, and add a table-driven test covering 2x / 0.5x / free multipliers
plus a balance-mode regression check.
Without TOTP_ENCRYPTION_KEY, saved payment configs were lost on restart because
the AES round-trip failed silently. Write new records as plaintext JSON; read
path tries JSON first, falls back to legacy AES decrypt when a key is present,
and treats unreadable values as empty so admins can re-enter them via the UI.
Each retry in the SetOutboxWatermark loop now gets its own 5s context.
Previously a shared context could already be expired when the second or
third attempt ran, making the retries pointless.
Co-Authored-By: Claude Sonnet 4.6 (1M context) <noreply@anthropic.com>
Fixes#1691
- pollOutbox() reused a 10s context for SetOutboxWatermark after event
processing could take much longer, causing "outbox watermark write
failed: context deadline exceeded". The watermark never advanced so
the same 200 events were reprocessed every poll cycle, spiking CPU.
Now uses an independent 5s context with up to 3 retries (200ms apart).
- When multiple Codex accounts sharing the same 21-22 groups are all
rate-limited in quick succession, each account_changed event triggered
redundant bucket rebuild attempts for the same groups. Introduce
batchSeenKey{groupID, platform} and thread a seen map through the
handler chain; rebuildBucketsForPlatform skips (group, platform) pairs
already rebuilt within the same poll batch (~80% fewer rebuild calls in
the 5-accounts-same-groups scenario).
Co-Authored-By: Claude Sonnet 4.6 (1M context) <noreply@anthropic.com>
Consolidates 9 call sites of resolveUpstreamResponseReadLimit + readUpstreamResponseBodyLimited + ErrUpstreamResponseBodyTooLarge error handling into a single ReadUpstreamResponseBody function with TooLargeWriter callback for API-format-specific error responses (Anthropic, OpenAI, countTokens).
Product name (e.g. "快代码科技工作室 100 元") should show the user's
original recharge amount (limitAmount), not the fee-inclusive pay amount.
The gateway receives payAmount separately for actual charging.
- Fix gofmt alignment in setting_handler.go, settings.go, payment_config_service.go
- Add payment_balance_recharge_multiplier and payment_recharge_fee_rate
to API contract test expected JSON
Backend:
- Use cfg.RechargeFeeRate in order creation instead of hardcoded 0
- Remove dead getFeeRate stub method
- All amounts computed server-side: order_amount, pay_amount, fee_rate
Frontend - PaymentView:
- Read recharge_fee_rate from checkout-info API (not per-method)
- Show fee breakdown only when fee_rate > 0
- Show credited amount only when multiplier ≠ 1
Frontend - Order display (user + admin):
- Fix fee_rate * 100 bug (fee_rate is already a percentage)
- OrderTable: show pay_amount as primary, fee/credited as sub-lines
- AdminOrderDetail: full breakdown (base/fee/paid/credited)
- AdminRefundDialog: label "到账金额" for clarity
- PaymentResultView: show pay_amount with fee info
Types + i18n:
- Add recharge_fee_rate to CheckoutInfoResponse
- Add fee_rate to CreateOrderResult
- Add translations: creditedAmount, fee, baseAmount, includedInPayAmount
wire_gen.go was calling NewSchedulerCache(redisClient) but wire.go had
been updated to register ProvideSchedulerCache(redisClient, config),
which reads SnapshotMGetChunkSize and SnapshotWriteChunkSize from config.
Without this fix, those config values were silently ignored.
1. PrepareRefund: block refund on provider instance lookup failure
instead of silently skipping permission check (medium severity)
2. UpdateProviderInstance: allow enabling refund_enabled and
allow_user_refund in the same request by checking req.RefundEnabled
value before falling back to DB read
3. ExecuteRefund: only revoke subscription on ErrAdjustWouldExpire,
abort on other errors (DB failure, not found) instead of
unconditionally revoking
Bug fixes:
- Detached context for GetAccountConcurrencyBatch (prevent all-zero on request cancel)
- Filter soft-deleted users in GetByGroupID
- Stripe CSP policy (allow Stripe.js in script-src and frame-src)
- WebSearch API key validation on save
- RECHARGING status in payment result success check
- Windows test fixes (logger Sync deadlock, config path escaping)
Feature enhancements:
- Webhook multi-instance dispatch (extractOutTradeNo + GetWebhookProvider)
- EasyPay mobile H5 payment (device param + PayURL2)
- SSE error propagation in WebSearch emulation
- AccountStatsCost DTO field for admin usage logs
- Plans sort by sort_order instead of created_at
- UsageMapHook for streaming response usage data
- apicompat Instructions field passthrough
- EffectiveLoadFactor for ops concurrency/metrics
- Usage billing RETURNING balance for notify system
- BulkUpdate mixed channel warning with details
- println to slog migration in auth cache
- Wire ProviderSet cleanup
- CI cache-dependency-path optimization
Frontend:
- Refund eligibility check per provider (canRequestRefund)
- Plan sort_order editing
- Dead code cleanup (simulate_claude_max, client_affinity)
- GroupsView platform switch guard
- channels features_config API type
- UsageView account_stats_cost export
allow_user_refund:
- Add allow_user_refund field to PaymentProviderInstance ent schema
- Migration 103: ALTER TABLE payment_provider_instances ADD COLUMN
- Cascade logic: disabling refund_enabled auto-disables allow_user_refund
- User refund validation: check provider instance allows user refund
- Admin refund validation: check provider instance allows admin refund
- Subscription refund: deduct days on refund, rollback on failure
- New endpoint: GET /payment/orders/refund-eligible-providers
- Frontend: ToggleSwitch in ProviderCard/Dialog, cascade in SettingsView
Wildcard matching:
- Change findPricingForModel from "longest prefix wins" to "config order
priority (first match wins)", aligning with channel service behavior
- Fix errcheck: handle Write/Encode return values in brave_test.go
- Fix errcheck: defer resp.Body.Close() with _ assignment in tavily.go
- Fix gofmt: payment.go, channel.go, payment_config_providers.go
- Fix unused: remove dead decodeURLValue in easypay.go
- Restore shouldFallbackGeminiModel function (deleted during cherry-pick)
- Add missing balanceNotifyService param to NewGatewayService in test
- Fix platform default test expectation (empty stays empty)
- Fix wildcard pricing test (longest prefix wins, not config order)
- Fix subscription group test (SUBSCRIPTION_REPOSITORY_UNAVAILABLE)
Checkout page aggregates Stripe sub-types (card,link,alipay,wxpay) under
"stripe", but SelectInstance matched against supported_types literally,
which doesn't contain "stripe". Now matches by provider_key for Stripe.
- QuotaLimit changed to *int64 (null=unlimited, >0=limited)
- Add reset-usage endpoint (POST /admin/settings/web-search-emulation/reset-usage)
- Show quota usage in header always (collapsed and expanded)
- Add reset quota button in expanded provider view
- Quota input: empty=unlimited with ∞ placeholder, must be >0 if set
- Add email verification hint on balance notify card