@hyperline/cli 0.1.0-build.1.5c50cc9 → 0.1.0-build.1.5ce30c4

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@@ -38941,7 +38941,7 @@ Examples:
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  ]
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  });
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  });
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- resource.command("get-accounting-rule-tree").description(`Retrieve accounting rules organized as a filter tree.`).option("--ledger-id <value>", `Ledger identifier.`).option("--invoicing-entity-id <value>", `Optional invoicing entity identifier.`).option("--max-depth <number>", `Maximum tree depth to return.`).option("--search <value>", `Search by rule identifier or category.`).addHelpText("after", `
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+ resource.command("get-accounting-rule-tree").description(`Retrieve accounting rules organized as a filter tree. Accounting software sync rules are excluded.`).option("--ledger-id <value>", `Ledger identifier.`).option("--invoicing-entity-id <value>", `Optional invoicing entity identifier.`).option("--max-depth <number>", `Maximum tree depth to return.`).option("--search <value>", `Search by rule identifier or category.`).addHelpText("after", `
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  Examples:
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  hyperline accounting-rules get-accounting-rule-tree
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  hyperline accounting-rules get-accounting-rule-tree --ledger-id <ledger_id> --invoicing-entity-id <invoicing_entity_id>`).action(async (opts) => {
@@ -39013,7 +39013,7 @@ Examples:
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  queryParamKeys: []
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  });
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  });
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- resource.command("create").description(`Create a new accounting rule for account code routing or journal posting.`).option("--ledger-id <value>", `Identifier of the ledger this rule belongs to.`).option("--name <value>", `Optional user-defined name for the rule.`).requiredOption("--category <value>", `Rule category (e.g. accounting_software, invoice_posted).`).requiredOption("--priority <number>", `Override order. Higher priority wins when multiple rules match.`).option("--product-ids <json>", `Product IDs to match. Empty means match all.`).option("--product-types <json>", `Product types to match. Allowed values: flat_fee, dynamic, seat, credit. Empty means match all.`).option("--customer-ids <json>", `Customer IDs for customer-specific overrides.`).option("--currencies <json>", `Currency codes to match (e.g. EUR, USD).`).option("--countries <json>", `Country codes for jurisdiction-based overrides.`).option("--coupon-ids <json>", `Coupon IDs to match. Empty means match all.`).option("--client-provider-ids <json>", `Client provider IDs to match. Empty means match all.`).option("--payment-method-types <json>", `Payment method types to match. Empty means match all.`).option("--interval-period <value>", `Billing interval period filter (month, year, etc.).`).option("--interval-count <number>", `Billing interval count filter.`).option("--revenue-ledger-account-id <value>", `Revenue ledger account ID used for invoice line revenue routing.`).option("--deferred-revenue-ledger-account-id <value>", `Deferred revenue ledger account ID used before revenue is recognized.`).option("--deferred-discount-ledger-account-id <value>", `Deferred discount ledger account ID used before discounts are recognized.`).option("--contra-revenue-ledger-account-id <value>", `Contra revenue ledger account ID used for amounts that reduce revenue.`).option("--discount-ledger-account-id <value>", `Discount ledger account ID used for recognized discounts.`).option("--ar-ledger-account-id <value>", `Accounts receivable ledger account ID used for invoice posting.`).option("--cash-ledger-account-id <value>", `Cash ledger account ID used for payment settlement.`).option("--payments-clearing-ledger-account-id <value>", `Payments clearing ledger account ID used while payments settle.`).option("--output-tax-ledger-account-id <value>", `Output tax ledger account ID used for tax liability.`).option("--uncollectible-debit-ledger-account-id <value>", `Ledger account ID debited when an invoice becomes uncollectible. Use an asset account for doubtful-receivable reclassification or an expense account for direct write-off.`).option("--customer-credits-ledger-account-id <value>", `Customer credits ledger account ID used for credit balances.`).option("--journal-id <value>", `Journal ID used to route entries in the accounting provider.`).option("--entity-type <value>", `Entity type the rule applies to.`).addHelpText("after", `
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+ resource.command("create").description(`Create a new accounting rule for account code routing or journal posting.`).option("--ledger-id <value>", `Identifier of the ledger this rule belongs to.`).option("--name <value>", `Optional user-defined name for the rule.`).requiredOption("--category <value>", `Rule category (e.g. accounting_software, invoice_posted).`).requiredOption("--priority <number>", `Override order. Higher priority wins when multiple rules match.`).option("--product-ids <json>", `Product IDs to match. Empty means match all.`).option("--product-types <json>", `Product types to match. Allowed values: flat_fee, dynamic, seat, credit. Empty means match all.`).option("--customer-ids <json>", `Customer IDs for customer-specific overrides.`).option("--currencies <json>", `Currency codes to match (e.g. EUR, USD).`).option("--countries <json>", `Country codes for jurisdiction-based overrides.`).option("--coupon-ids <json>", `Coupon IDs to match. Empty means match all.`).option("--client-provider-ids <json>", `Client provider IDs to match. Empty means match all.`).option("--payment-method-types <json>", `Payment method types to match. Empty means match all.`).option("--interval-period <value>", `Billing interval period filter (month, year, etc.).`).option("--interval-count <number>", `Billing interval count filter.`).option("--custom-property-filters <json>", `Invoice custom property filters. A rule matches only when every entry matches (AND across entries), and an entry matches when the invoice value is one of its \`values\` (any-of). Matching is strict: an invoice without a value for the property never matches. Each entry adds 10 to the \`suggested_priority\` returned by the rule defaults endpoint. Allowed on invoice_posted, invoice_settled, revenue_recognition, credit_note_created and accounting_software (invoice side) rules. An invoice_settled rule with filters cannot set \`payments_clearing_ledger_account_id\`, as PSP payouts are booked without the invoice. Empty means match all.`).option("--revenue-ledger-account-id <value>", `Revenue ledger account ID used for invoice line revenue routing.`).option("--deferred-revenue-ledger-account-id <value>", `Deferred revenue ledger account ID used before revenue is recognized.`).option("--deferred-discount-ledger-account-id <value>", `Deferred discount ledger account ID used before discounts are recognized.`).option("--contra-revenue-ledger-account-id <value>", `Contra revenue ledger account ID used for amounts that reduce revenue.`).option("--discount-ledger-account-id <value>", `Discount ledger account ID used for recognized discounts.`).option("--ar-ledger-account-id <value>", `Accounts receivable ledger account ID used for invoice posting.`).option("--cash-ledger-account-id <value>", `Cash ledger account ID used for payment settlement.`).option("--payments-clearing-ledger-account-id <value>", `Payments clearing ledger account ID used while payments settle.`).option("--output-tax-ledger-account-id <value>", `Output tax ledger account ID used for tax liability.`).option("--uncollectible-debit-ledger-account-id <value>", `Ledger account ID debited when an invoice becomes uncollectible. Use an asset account for doubtful-receivable reclassification or an expense account for direct write-off.`).option("--customer-credits-ledger-account-id <value>", `Customer credits ledger account ID used for credit balances.`).option("--journal-id <value>", `Journal ID used to route entries in the accounting provider.`).option("--entity-type <value>", `Entity type the rule applies to.`).addHelpText("after", `
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  Examples:
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  hyperline accounting-rules create --category <category> --priority <priority>
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  hyperline accounting-rules create --category <category> --priority <priority> --ledger-id <ledger_id> --name <name>
@@ -39078,6 +39078,8 @@ Examples:
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  args.client_provider_ids = JSON.parse(opts.clientProviderIds);
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  if (opts.paymentMethodTypes !== void 0)
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  args.payment_method_types = JSON.parse(opts.paymentMethodTypes);
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+ if (opts.customPropertyFilters !== void 0)
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+ args.custom_property_filters = JSON.parse(opts.customPropertyFilters);
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  await ctx.execute({
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  method: "POST",
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  path: "/v1/accounting/rules",
@@ -39085,7 +39087,7 @@ Examples:
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  queryParamKeys: []
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  });
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  });
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- resource.command("update").description(`Update an existing accounting rule.`).requiredOption("--id <value>", `id parameter`).option("--name <value>", `Optional user-defined name for the rule.`).option("--category <value>", `Rule category (e.g. accounting_software, invoice_posted).`).option("--priority <number>", `Override order. Higher priority wins when multiple rules match.`).option("--product-ids <json>", `Product IDs to match. Empty means match all.`).option("--product-types <json>", `Product types to match. Allowed values: flat_fee, dynamic, seat, credit. Empty means match all.`).option("--customer-ids <json>", `Customer IDs for customer-specific overrides.`).option("--currencies <json>", `Currency codes to match (e.g. EUR, USD).`).option("--countries <json>", `Country codes for jurisdiction-based overrides.`).option("--coupon-ids <json>", `Coupon IDs to match. Empty means match all.`).option("--client-provider-ids <json>", `Client provider IDs to match. Empty means match all.`).option("--payment-method-types <json>", `Payment method types to match. Empty means match all.`).option("--interval-period <value>", `Billing interval period filter (month, year, etc.).`).option("--interval-count <number>", `Billing interval count filter.`).option("--revenue-ledger-account-id <value>", `Revenue ledger account ID used for invoice line revenue routing.`).option("--deferred-revenue-ledger-account-id <value>", `Deferred revenue ledger account ID used before revenue is recognized.`).option("--deferred-discount-ledger-account-id <value>", `Deferred discount ledger account ID used before discounts are recognized.`).option("--contra-revenue-ledger-account-id <value>", `Contra revenue ledger account ID used for amounts that reduce revenue.`).option("--discount-ledger-account-id <value>", `Discount ledger account ID used for recognized discounts.`).option("--ar-ledger-account-id <value>", `Accounts receivable ledger account ID used for invoice posting.`).option("--cash-ledger-account-id <value>", `Cash ledger account ID used for payment settlement.`).option("--payments-clearing-ledger-account-id <value>", `Payments clearing ledger account ID used while payments settle.`).option("--output-tax-ledger-account-id <value>", `Output tax ledger account ID used for tax liability.`).option("--uncollectible-debit-ledger-account-id <value>", `Ledger account ID debited when an invoice becomes uncollectible. Use an asset account for doubtful-receivable reclassification or an expense account for direct write-off.`).option("--customer-credits-ledger-account-id <value>", `Customer credits ledger account ID used for credit balances.`).option("--journal-id <value>", `Journal ID used to route entries in the accounting provider.`).option("--entity-type <value>", `Entity type the rule applies to.`).addHelpText("after", `
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+ resource.command("update").description(`Update an existing accounting rule.`).requiredOption("--id <value>", `id parameter`).option("--name <value>", `Optional user-defined name for the rule.`).option("--category <value>", `Rule category. Cannot be changed after creation, must match the current category when sent.`).option("--priority <number>", `Override order. Higher priority wins when multiple rules match.`).option("--product-ids <json>", `Product IDs to match. Empty means match all.`).option("--product-types <json>", `Product types to match. Allowed values: flat_fee, dynamic, seat, credit. Empty means match all.`).option("--customer-ids <json>", `Customer IDs for customer-specific overrides.`).option("--currencies <json>", `Currency codes to match (e.g. EUR, USD).`).option("--countries <json>", `Country codes for jurisdiction-based overrides.`).option("--coupon-ids <json>", `Coupon IDs to match. Empty means match all.`).option("--client-provider-ids <json>", `Client provider IDs to match. Empty means match all.`).option("--payment-method-types <json>", `Payment method types to match. Empty means match all.`).option("--interval-period <value>", `Billing interval period filter (month, year, etc.).`).option("--interval-count <number>", `Billing interval count filter.`).option("--custom-property-filters <json>", `Invoice custom property filters. A rule matches only when every entry matches (AND across entries), and an entry matches when the invoice value is one of its \`values\` (any-of). Matching is strict: an invoice without a value for the property never matches. Each entry adds 10 to the \`suggested_priority\` returned by the rule defaults endpoint. Allowed on invoice_posted, invoice_settled, revenue_recognition, credit_note_created and accounting_software (invoice side) rules. An invoice_settled rule with filters cannot set \`payments_clearing_ledger_account_id\`, as PSP payouts are booked without the invoice. Empty means match all.`).option("--revenue-ledger-account-id <value>", `Revenue ledger account ID used for invoice line revenue routing.`).option("--deferred-revenue-ledger-account-id <value>", `Deferred revenue ledger account ID used before revenue is recognized.`).option("--deferred-discount-ledger-account-id <value>", `Deferred discount ledger account ID used before discounts are recognized.`).option("--contra-revenue-ledger-account-id <value>", `Contra revenue ledger account ID used for amounts that reduce revenue.`).option("--discount-ledger-account-id <value>", `Discount ledger account ID used for recognized discounts.`).option("--ar-ledger-account-id <value>", `Accounts receivable ledger account ID used for invoice posting.`).option("--cash-ledger-account-id <value>", `Cash ledger account ID used for payment settlement.`).option("--payments-clearing-ledger-account-id <value>", `Payments clearing ledger account ID used while payments settle.`).option("--output-tax-ledger-account-id <value>", `Output tax ledger account ID used for tax liability.`).option("--uncollectible-debit-ledger-account-id <value>", `Ledger account ID debited when an invoice becomes uncollectible. Use an asset account for doubtful-receivable reclassification or an expense account for direct write-off.`).option("--customer-credits-ledger-account-id <value>", `Customer credits ledger account ID used for credit balances.`).option("--journal-id <value>", `Journal ID used to route entries in the accounting provider.`).option("--entity-type <value>", `Entity type the rule applies to.`).addHelpText("after", `
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  Examples:
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  hyperline accounting-rules update --id <id>
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  hyperline accounting-rules update --id <id> --name <name> --category <category>
@@ -39150,6 +39152,8 @@ Examples:
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  args.client_provider_ids = JSON.parse(opts.clientProviderIds);
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  if (opts.paymentMethodTypes !== void 0)
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  args.payment_method_types = JSON.parse(opts.paymentMethodTypes);
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+ if (opts.customPropertyFilters !== void 0)
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+ args.custom_property_filters = JSON.parse(opts.customPropertyFilters);
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  await ctx.execute({
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  method: "PUT",
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  path: "/v1/accounting/rules/{id}",
@@ -39183,7 +39187,7 @@ Examples:
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  queryParamKeys: []
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  });
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  });
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- resource.command("resolve").description(`Preview which account codes would be resolved for a given context.`).requiredOption("--ledger-id <value>", `Identifier of the ledger this rule belongs to.`).requiredOption("--category <value>", `Rule category (e.g. accounting_software, invoice_posted).`).option("--product-id <value>", `Product ID to resolve against.`).option("--product-type <value>", `Product type to resolve against.`).option("--currency <value>", `Currency code to resolve against.`).option("--country <value>", `Country code to resolve against.`).option("--customer-id <value>", `Customer ID to resolve against.`).option("--invoice-type <value>", `Invoice kind to resolve against. Accepts \`invoice\` or \`document\`; any other invoice kind is matched as \`invoice\`.`).option("--interval-period <value>", `Billing interval period filter (month, year, etc.).`).option("--interval-count <number>", `Billing interval count filter.`).addHelpText("after", `
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+ resource.command("resolve").description(`Preview which account codes would be resolved for a given context.`).requiredOption("--ledger-id <value>", `Identifier of the ledger this rule belongs to.`).requiredOption("--category <value>", `Rule category (e.g. accounting_software, invoice_posted).`).option("--product-id <value>", `Product ID to resolve against.`).option("--product-type <value>", `Product type to resolve against.`).option("--currency <value>", `Currency code to resolve against.`).option("--country <value>", `Country code to resolve against.`).option("--customer-id <value>", `Customer ID to resolve against.`).option("--invoice-type <value>", `Invoice kind to resolve against. Accepts \`invoice\` or \`document\`; any other invoice kind is matched as \`invoice\`.`).option("--interval-period <value>", `Billing interval period filter (month, year, etc.).`).option("--interval-count <number>", `Billing interval count filter.`).option("--custom-properties <json>", `Invoice custom property values to resolve against, keyed by custom property slug. Unknown slugs and null values are ignored. Rules with custom property filters never match without them.`).addHelpText("after", `
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  Examples:
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  hyperline accounting-rules resolve --ledger-id <ledger_id> --category <category>
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  hyperline accounting-rules resolve --ledger-id <ledger_id> --category <category> --product-id <product_id> --product-type <product_type>
@@ -39214,6 +39218,8 @@ Examples:
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  args.interval_period = opts.intervalPeriod;
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  if (opts.intervalCount !== void 0)
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  args.interval_count = Number(opts.intervalCount);
39221
+ if (opts.customProperties !== void 0)
39222
+ args.custom_properties = JSON.parse(opts.customProperties);
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  await ctx.execute({
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  method: "POST",
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  path: "/v1/accounting/rules/resolve",
@@ -40756,7 +40762,7 @@ Examples:
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  queryParamKeys: []
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  });
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  });
40759
- resource.command("create-custom-property").description(`Create a new custom property definition with a name, type (text, number, boolean, date, select, multi_select), and optional default value.`).requiredOption("--name <value>", `name`).requiredOption("--type <value>", `type`).requiredOption("--slug <value>", `slug`).requiredOption("--entities <json>", `entities`).option("--api-only", `api_only`).option("--required", `required`).option("--authorized-values <json>", `authorized_values`).option("--default-value <json>", `Value set on entities created without an explicit value for this custom property. On existing entities without a value, it also satisfies \`required\`. Must match the custom property type, and one of \`authorized_values\` for \`select\` and \`multi_select\` types. Dates are ISO 8601 strings. Null means no default value.`).addHelpText("after", `
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+ resource.command("create-custom-property").description(`Create a new custom property definition with a name, type (text, email, number, boolean, date, select, multi_select), and optional default value.`).requiredOption("--name <value>", `name`).requiredOption("--type <value>", `type`).requiredOption("--slug <value>", `slug`).requiredOption("--entities <json>", `entities`).option("--api-only", `api_only`).option("--required", `required`).option("--authorized-values <json>", `authorized_values`).option("--default-value <json>", `Value set on entities created without an explicit value for this custom property. On existing entities without a value, it also satisfies \`required\`. Must match the custom property type, and one of \`authorized_values\` for \`select\` and \`multi_select\` types. Dates are ISO 8601 strings. Email defaults must be valid email addresses. Null means no default value.`).addHelpText("after", `
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  Examples:
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  hyperline custom-properties create-custom-property --name <name> --type <type> --slug <slug> --entities <entities>
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  hyperline custom-properties create-custom-property --name <name> --type <type> --slug <slug> --entities <entities> --api-only --required
@@ -40790,7 +40796,7 @@ Examples:
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  queryParamKeys: []
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  });
40792
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  });
40793
- resource.command("update-custom-property").description(`Update an existing custom property definition by ID.`).requiredOption("--id <value>", `id parameter`).requiredOption("--name <value>", `name`).requiredOption("--type <value>", `type`).requiredOption("--slug <value>", `slug`).requiredOption("--entities <json>", `entities`).option("--api-only", `api_only`).option("--required", `required`).option("--authorized-values <json>", `authorized_values`).option("--default-value <json>", `Value set on entities created without an explicit value for this custom property. On existing entities without a value, it also satisfies \`required\`. Must match the custom property type, and one of \`authorized_values\` for \`select\` and \`multi_select\` types. Dates are ISO 8601 strings. Null means no default value.`).addHelpText("after", `
40799
+ resource.command("update-custom-property").description(`Update an existing custom property definition by ID.`).requiredOption("--id <value>", `id parameter`).requiredOption("--name <value>", `name`).requiredOption("--type <value>", `type`).requiredOption("--slug <value>", `slug`).requiredOption("--entities <json>", `entities`).option("--api-only", `api_only`).option("--required", `required`).option("--authorized-values <json>", `authorized_values`).option("--default-value <json>", `Value set on entities created without an explicit value for this custom property. On existing entities without a value, it also satisfies \`required\`. Must match the custom property type, and one of \`authorized_values\` for \`select\` and \`multi_select\` types. Dates are ISO 8601 strings. Email defaults must be valid email addresses. Null means no default value.`).addHelpText("after", `
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  Examples:
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  hyperline custom-properties update-custom-property --id <id> --name <name> --type <type> --slug <slug> --entities <entities>
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  hyperline custom-properties update-custom-property --id <id> --name <name> --type <type> --slug <slug> --entities <entities> --api-only --required
@@ -42976,7 +42982,7 @@ Payment method strategy used to charge the invoice. Only applies to \`to_pay\` s
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  - \`current\`: Use the current default payment method of the customer.
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  - \`external\`: Manage the payment of the invoice outside of Hyperline.
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- `).option("--payment-method-id <value>", `ID of the default payment method used to pay the invoice. Transactions related to the invoice may use different payment methods.`).option("--bank-account-id <value>", `ID of the bank account displayed on the invoice. Transactions related to the invoice may use different bank accounts.`).option("--subscription-id <value>", `ID of the subscription related to the invoice.`).option("--emitted-at <value>", `Issue date of the invoice.`).option("--due-at <value>", `Due date of the invoice. Computed from the issue date and the payment delay configured in your settings.`).option("--settled-at <value>", `Date the invoice was fully paid.`).option("--properties <json>", `Key/value pairs to store any metadata useful in your context.`).option("--custom-properties <json>", `Values for custom properties defined for the \`invoice\` entity, keyed by slug.`).option("--additional-display-fields <json>", `Ordered additional fields displayed on the invoice PDF. Invoice and customer custom properties are referenced by slug.`).requiredOption("--line-items <json>", `line_items`).option("--transactions <json>", `transactions`).option("--coupons <json>", `coupons`).addHelpText("after", `
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+ `).option("--payment-method-id <value>", `ID of the default payment method used to pay the invoice. Transactions related to the invoice may use different payment methods.`).option("--bank-account-id <value>", `ID of the bank account displayed on the invoice. Transactions related to the invoice may use different bank accounts.`).option("--subscription-id <value>", `ID of the subscription related to the invoice.`).option("--emitted-at <value>", `Issue date of the invoice.`).option("--due-at <value>", `Due date of the invoice. Computed from the issue date and the payment delay configured in your settings.`).option("--settled-at <value>", `Date the invoice was fully paid.`).option("--issuing-method <value>", `Set to \`scheduled\` to finalize the draft invoice automatically on its issue date (\`emitted_at\`), resolved to the start of that day in the customer timezone. Requires \`status\` to be \`draft\` and an issue date after today. Default to \`manual\`.`).option("--properties <json>", `Key/value pairs to store any metadata useful in your context.`).option("--custom-properties <json>", `Values for custom properties defined for the \`invoice\` entity, keyed by slug.`).option("--additional-display-fields <json>", `Ordered additional fields displayed on the invoice PDF. Invoice and customer custom properties are referenced by slug.`).requiredOption("--line-items <json>", `line_items`).option("--transactions <json>", `transactions`).option("--coupons <json>", `coupons`).addHelpText("after", `
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  Examples:
42981
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  hyperline invoices create-invoice --customer-id <customer_id> --line-items <line_items>
42982
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  hyperline invoices create-invoice --customer-id <customer_id> --line-items <line_items> --currency <currency> --status <status>
@@ -43027,6 +43033,8 @@ Examples:
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  args.due_at = opts.dueAt;
43028
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  if (opts.settledAt !== void 0)
43029
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  args.settled_at = opts.settledAt;
43036
+ if (opts.issuingMethod !== void 0)
43037
+ args.issuing_method = opts.issuingMethod;
43030
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  if (opts.properties !== void 0)
43031
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  args.properties = JSON.parse(opts.properties);
43032
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  if (opts.customProperties !== void 0)
@@ -43216,7 +43224,7 @@ Examples:
43216
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43217
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  - \`auto\`: Tax is automatically computed and applied.
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  - \`not_eligible\`: Tax collection is disabled for the invoice.
43219
- `).option("--line-items <json>", `line_items`).option("--coupons <json>", `coupons`).option("--payment-method-type <value>", `payment_method_type`).option("--payment-method-id <value>", `ID of the default payment method used to pay the invoice. Transactions related to the invoice may use different payment methods.`).option("--bank-account-id <value>", `ID of the bank account displayed on the invoice. Transactions related to the invoice may use different bank accounts.`).option("--subscription-id <value>", `ID of the subscription related to the invoice.`).option("--properties <json>", `Key/value pairs to store any metadata useful in your context.`).option("--custom-properties <json>", `Values for custom properties defined for the \`invoice\` entity, keyed by slug.`).option("--additional-display-fields <json>", `Ordered additional fields displayed on the invoice PDF. Invoice and customer custom properties are referenced by slug.`).option("--customer <json>", `Override customer details on the invoice. Only allowed for draft or grace period invoices.`).addHelpText("after", `
43227
+ `).option("--issuing-method <value>", `Set to \`scheduled\` to finalize the draft invoice automatically on its issue date (\`emitted_at\`), in the invoice timezone. The issue date must be after today. Set to \`manual\` to unschedule the invoice.`).option("--emitted-at <value>", `Issue date of the draft invoice. For a scheduled invoice, the day on which it is automatically finalized.`).option("--line-items <json>", `line_items`).option("--coupons <json>", `coupons`).option("--payment-method-type <value>", `payment_method_type`).option("--payment-method-id <value>", `ID of the default payment method used to pay the invoice. Transactions related to the invoice may use different payment methods.`).option("--bank-account-id <value>", `ID of the bank account displayed on the invoice. Transactions related to the invoice may use different bank accounts.`).option("--subscription-id <value>", `ID of the subscription related to the invoice.`).option("--properties <json>", `Key/value pairs to store any metadata useful in your context.`).option("--custom-properties <json>", `Values for custom properties defined for the \`invoice\` entity, keyed by slug.`).option("--additional-display-fields <json>", `Ordered additional fields displayed on the invoice PDF. Invoice and customer custom properties are referenced by slug.`).option("--customer <json>", `Override customer details on the invoice. Only allowed for draft or grace period invoices.`).addHelpText("after", `
43220
43228
  Examples:
43221
43229
  hyperline invoices update --id <id>
43222
43230
  hyperline invoices update --id <id> --type <type> --document-name <document_name>
@@ -43245,6 +43253,10 @@ Examples:
43245
43253
  args.footer = opts.footer;
43246
43254
  if (opts.taxScheme !== void 0)
43247
43255
  args.tax_scheme = opts.taxScheme;
43256
+ if (opts.issuingMethod !== void 0)
43257
+ args.issuing_method = opts.issuingMethod;
43258
+ if (opts.emittedAt !== void 0)
43259
+ args.emitted_at = opts.emittedAt;
43248
43260
  if (opts.paymentMethodType !== void 0)
43249
43261
  args.payment_method_type = opts.paymentMethodType;
43250
43262
  if (opts.paymentMethodId !== void 0)
@@ -44136,7 +44148,7 @@ How the periodic credit allowance is granted for partial billing periods.
44136
44148
 
44137
44149
  - \`prorated\` (default): the granted credits are prorated to the elapsed period.
44138
44150
  - \`full_allowance\`: the full allowance is always granted (the invoice remains prorated).
44139
- `).option("--credits-balance-auto-creation-enabled <value>", `Default for the \`credits_balance_auto_creation_enabled\` setting of subscription products using this credit product: whether the customer credit balance is created as soon as the product is added to a subscription. \`true\` when unset. A subscription product can override it.`).option("--display-mode <value>", `How bundle items are displayed on invoices.`).option("--exclusive-items-enabled", `When true, only one item in the bundle can be active at a time.`).option("--bundle-items <json>", `Products included in this bundle. Percentages must sum to 100.`).addHelpText("after", `
44151
+ `).option("--credits-balance-auto-creation-enabled <value>", `Default for the \`credits_balance_auto_creation_enabled\` setting of subscription products using this credit product: whether the customer credit balance is created as soon as the product is added to a subscription. \`true\` when unset. A subscription product can override it.`).option("--portal-top-up-auto-activation-enabled <value>", `Whether portal top-ups are enabled for the customer when a credit balance of this product is created for them, from a subscription or manually. Portal top-ups must also be enabled in the hosted pages settings to show on the portal. \`false\` when unset.`).option("--display-mode <value>", `How bundle items are displayed on invoices.`).option("--exclusive-items-enabled", `When true, only one item in the bundle can be active at a time.`).option("--bundle-items <json>", `Products included in this bundle. Percentages must sum to 100.`).addHelpText("after", `
44140
44152
  Examples:
44141
44153
  hyperline products create --name <name> --type <type> --price-configurations <price_configurations>
44142
44154
  hyperline products create --name <name> --type <type> --price-configurations <price_configurations> --description <description> --description-display-interval-dates
@@ -44163,6 +44175,8 @@ Examples:
44163
44175
  args.credits_grant_mode = opts.creditsGrantMode;
44164
44176
  if (opts.creditsBalanceAutoCreationEnabled !== void 0)
44165
44177
  args.credits_balance_auto_creation_enabled = opts.creditsBalanceAutoCreationEnabled;
44178
+ if (opts.portalTopUpAutoActivationEnabled !== void 0)
44179
+ args.portal_top_up_auto_activation_enabled = opts.portalTopUpAutoActivationEnabled;
44166
44180
  if (opts.displayMode !== void 0)
44167
44181
  args.display_mode = opts.displayMode;
44168
44182
  if (opts.lowCreditsThreshold !== void 0)
@@ -44693,6 +44707,25 @@ Examples:
44693
44707
  queryParamKeys: []
44694
44708
  });
44695
44709
  });
44710
+ resource.command("duplicate").description(`Create a draft duplicate of an existing quote, including its linked invoice or subscription configuration.`).requiredOption("--id <value>", `id parameter`).addHelpText("after", `
44711
+ Examples:
44712
+ hyperline quotes duplicate --id <id>
44713
+ hyperline quotes duplicate --id <id> --output json`).action(async (opts) => {
44714
+ const ctx = resource.parent?.opts()._ctx;
44715
+ if (!ctx) {
44716
+ process.stderr.write("Error: Not authenticated\n");
44717
+ process.exit(1);
44718
+ }
44719
+ const args = {};
44720
+ if (opts.id !== void 0)
44721
+ args.id = opts.id;
44722
+ await ctx.execute({
44723
+ method: "POST",
44724
+ path: "/v1/quotes/{id}/duplicate",
44725
+ args,
44726
+ queryParamKeys: []
44727
+ });
44728
+ });
44696
44729
  resource.command("download").description(`Download the PDF of a quote. Supports locale parameter for localization.`).requiredOption("--id <value>", `id parameter`).option("--locale <value>", `Locale as a supported language code and an uppercase ISO 3166-1 alpha-2 country code, separated by a hyphen.`).addHelpText("after", `
44697
44730
  Examples:
44698
44731
  hyperline quotes download --id <id>
package/package.json CHANGED
@@ -1,6 +1,6 @@
1
1
  {
2
2
  "name": "@hyperline/cli",
3
- "version": "0.1.0-build.1.5c50cc9",
3
+ "version": "0.1.0-build.1.5ce30c4",
4
4
  "description": "Agent-first CLI for Hyperline API",
5
5
  "type": "module",
6
6
  "main": "./dist/index.js",