- EasyPay redirect passes all configured CIDs (cidAlipay, cidWxpay) comma-separated
- Payment redirect opens in new window instead of current window redirect
- Order action column uses styled icon buttons with tooltip
- Pending order limit error returns i18n-friendly message with metadata
- Cancel order rate limit feature (ported from sub2apipay) with rolling/fixed window modes
- Admin settings UI for cancel rate limit configuration
- Fix provider dialog triggering unintended settings save on open
- Provider save now correctly calls saveSettings after provider update
- API client interceptor forwards reason and metadata fields for structured error handling
Backend request/response structs used camelCase JSON tags while the
rest of the codebase uses snake_case (from Ent ORM entities). This
caused field name mismatches — notably the admin refund deduct_balance
field was silently ignored.
Backend: changed all camelCase JSON tags in payment handler/service
structs to snake_case (CreateOrderRequest, CreateOrderResponse,
CreatePlanRequest, UpdatePlanRequest, CreateProviderInstanceRequest,
UpdateProviderInstanceRequest, AdminProcessRefundRequest, RefundResult).
Frontend: updated all API call payloads and response field accesses
to use snake_case, removed manual camelCase conversion in
buildPlanPayload, toggleForSale, provider dialog emit, etc.
- Skip UpdatePaymentConfig when no payment fields provided (prevents wipe)
- Remove unused defaultMinRechargeAmount/defaultMaxRechargeAmount constants
- Fix mergeConfig comment to match actual behavior
- Backend: payment fields added to GET/PUT /admin/settings (full replace)
- Frontend: single API call for all settings (no separate payment config API)
- Payment page: show "充值未开放" when no payment methods available
- Pending order check when disabling provider
- Backend: add ListProviderInstancesWithConfig that decrypts config
and masks sensitive fields (keys, secrets) as "••••••••"
- Frontend: pre-fill non-sensitive config values when editing provider
(PID, API base URL, notify URL, return URL, channel IDs etc.)
- Sensitive fields left empty for user to re-enter if needed
- payment_service: split GetDashboardStats (131→35 lines) into 4 sub-functions,
extract applyPagination helper, replace bubble sort with sort.Slice,
use sync.Once for EnsureProviders, define magic number constants
- providers: merge duplicate PC/Mobile functions in alipay/wxpay,
extract loadKeyPair/queryOrderTotalFen in wxpay, add centsToYuan in stripe,
define constants for success codes, currencies, event types
- handlers: extract requireAuth and parseIDParam helpers to eliminate
repeated auth/ID-parsing boilerplate
- registry: remove dead seen map in GetProviderByKey
- types: centralize order status constants in payment package
- load_balancer+config_service: unify duplicated containsType into
exported InstanceSupportsType function
- Run gofmt on user schema, config test, group handler
- Remove unused mergeGroupIDs function
- Restore shared test helpers (newJSONResponse, queuedHTTPUpstream)
that were in deleted Sora test file
Replace response.BadRequest with response.ErrorFrom + infraerrors.BadRequest
to provide machine-readable reason codes (VALIDATION_ERROR, INVALID_CHANNEL_ID,
MISSING_PARAMETER) for frontend i18n support.
- PricingSourceChannel/LiteLLM/Fallback for resolver source
- MediaTypeImage/Video/Prompt for result.MediaType
- Reuse BillingModeToken/BillingModeImage for billing mode
- Reuse BillingModelSourceChannelMapped/PlatformAnthropic in handler
- Backend: reject intervals with all-null price fields on save
- Backend: filterValidIntervals skips empty intervals in pricing resolver
- Frontend: red border + asterisk on empty interval rows
- Backend: antigravity groups now match anthropic/gemini channel pricing
- Fix errcheck: defer rows.Close() with nolint
- Fix errcheck: type assertion with ok check in channel cache
- Fix staticcheck ST1005: lowercase error string
- Fix staticcheck SA5011: nil check cost before use in openai gateway
- Fix gofmt: format chatcompletions_to_responses.go
- Parse candidatesTokensDetails from Gemini API to separate image/text output tokens
- Add image_output_tokens and image_output_cost to usage_log (migration 089)
- Support per-image-token pricing via output_cost_per_image_token from model pricing data
- Channel pricing ImageOutputPrice override works in token billing mode
- Auto-fill image_output_price in channel pricing form from model defaults
- Add "channel_mapped" billing model source as new default (migration 088)
- Bills by model name after channel mapping, before account mapping
- Fix channel cache error TTL sign error (115s → 5s)
- Fix Update channel only invalidating new groups, not removed groups
- Fix frontend model_mapping clearing sending undefined instead of {}
- Credits balance precheck via shared AccountUsageService cache before injection
- Skip credits injection for accounts with insufficient balance
- Don't mark credits exhausted for "exhausted your capacity on this model" 429s
Allow redeem codes with negative values to enable refund scenarios:
- Balance: negative value deducts balance (clamped to 0, never negative)
- Concurrency: negative value reduces concurrency (clamped to 0)
- Subscription: negative validity_days reduces remaining days; if
remaining days <= 0, the subscription is canceled (set to expired)
All deductions generate standard redeem code records for audit trail.
Allow redeem codes with negative values to enable refund scenarios:
- Balance: negative value deducts balance (clamped to 0, never negative)
- Concurrency: negative value reduces concurrency (clamped to 0)
- Subscription: negative validity_days reduces remaining days; if
remaining days <= 0, the subscription is canceled (set to expired)
All deductions generate standard redeem code records for audit trail.
Replace response.BadRequest with response.ErrorFrom + infraerrors.BadRequest
to provide machine-readable reason codes (VALIDATION_ERROR, INVALID_CHANNEL_ID,
MISSING_PARAMETER) for frontend i18n support.
- PricingSourceChannel/LiteLLM/Fallback for resolver source
- MediaTypeImage/Video/Prompt for result.MediaType
- Reuse BillingModeToken/BillingModeImage for billing mode
- Reuse BillingModelSourceChannelMapped/PlatformAnthropic in handler
- Backend: reject intervals with all-null price fields on save
- Backend: filterValidIntervals skips empty intervals in pricing resolver
- Frontend: red border + asterisk on empty interval rows
- Backend: antigravity groups now match anthropic/gemini channel pricing
- Fix errcheck: defer rows.Close() with nolint
- Fix errcheck: type assertion with ok check in channel cache
- Fix staticcheck ST1005: lowercase error string
- Fix staticcheck SA5011: nil check cost before use in openai gateway
- Fix gofmt: format chatcompletions_to_responses.go
- Parse candidatesTokensDetails from Gemini API to separate image/text output tokens
- Add image_output_tokens and image_output_cost to usage_log (migration 089)
- Support per-image-token pricing via output_cost_per_image_token from model pricing data
- Channel pricing ImageOutputPrice override works in token billing mode
- Auto-fill image_output_price in channel pricing form from model defaults
- Add "channel_mapped" billing model source as new default (migration 088)
- Bills by model name after channel mapping, before account mapping
- Fix channel cache error TTL sign error (115s → 5s)
- Fix Update channel only invalidating new groups, not removed groups
- Fix frontend model_mapping clearing sending undefined instead of {}
- Credits balance precheck via shared AccountUsageService cache before injection
- Skip credits injection for accounts with insufficient balance
- Don't mark credits exhausted for "exhausted your capacity on this model" 429s