WHAT:
added functionality for user to update project name. Logic only, without actual GUI updates.
WHY:
better user experience
Change-Id: I1e38e33ba827b0bdf2c89e29de24e4e87edb474a
Add a config so that some percent of users require credit cards /
account balances
in order to create a project or have a promotional coupon applied
UI was updated to match needed paywall status
At this point we decided not to use a field to store if a user is in an
A/B
test, and instead just use math to see if they're in a test. We decided
to use MD5 (because its in Postgres too) and User UUID for that math.
Change-Id: I0fcd80707dc29afc668632d078e1b5a7a24f3bb3
This change switches the backend logic to use the new DB column on the users table to restrict project creation.
Furthermore it back fills the existing limits from registration tokens to the new column to ensure no users are reset to the new default.
UI is updated to reflect ability to create several projects
Change-Id: Ie29157430ae6b065411ca4c4557c9f1be69cdc4f
live accounting used to be a cache to store writes before they are picked up during
the tally iteration, after which the cache is cleared. This created a window in which
users could potentially exceed the storage limit. This PR refactors live accounting to
hold current estimations of space used per project. This should also reduce DB load
since we no longer need to query the satellite DB when checking space used for limiting.
The mechanism by which the new live accounting system works is as follows:
During the upload of any segment, the size of that segment is added to its respective
project total in live accounting. At the beginning of the tally iteration we record
the current values in live accounting as `initialLiveTotals`. At the end of the tally
iteration we again record the current totals in live accounting as `latestLiveTotals`.
The metainfo loop observer in tally allows us to get the project totals from what it
observed in metainfo DB which are stored in `tallyProjectTotals`. However, for any
particular segment uploaded during the metainfo loop, the observer may or may not
have seen it. Thus, we take half of the difference between `latestLiveTotals` and
`initialLiveTotals`, and add that to the total that was found during tally and set that
as the new live accounting total.
Initially, live accounting was storing the total stored amount across all nodes rather than
the segment size, which is inconsistent with how we record amounts stored in the project
accounting DB, so we have refactored live accounting to record segment size
Change-Id: Ie48bfdef453428fcdc180b2d781a69d58fd927fb
* update offer once redemption cap has reached
* use transaction to get offer info before insert
* update offer status when redeemable capacity has reached
* fix format
* use pgutil to check constraint error
* change error message
* when there's partner id, we will not require an activation token for creating a new account
* create new token if user has a partner id on creation
* validate partner id first
* fix format
* remove unnecessary code
* display error message instead of reroute
* add more test
* add comments
* add comment