.. This file is part of GNU TALER. Copyright (C) 2014-2024 Taler Systems SA TALER is free software; you can redistribute it and/or modify it under the terms of the GNU Affero General Public License as published by the Free Software Foundation; either version 2.1, or (at your option) any later version. TALER is distributed in the hope that it will be useful, but WITHOUT ANY WARRANTY; without even the implied warranty of MERCHANTABILITY or FITNESS FOR A PARTICULAR PURPOSE. See the GNU Affero General Public License for more details. You should have received a copy of the GNU Affero General Public License along with TALER; see the file COPYING. If not, see @author Christian Grothoff @author Florian Dold Exchange Operator Manual ######################## .. contents:: Table of Contents :depth: 1 :local: Introduction ============ About GNU Taler --------------- .. include:: frags/about-taler.rst About this manual ----------------- This manual targets system administrators who want to install and operate a GNU Taler exchange. Organizational prerequisites ---------------------------- Operating a GNU Taler exchange means that you are operating a payment service provider, which means that you will most likely need a bank license and/or follow applicable financial regulation. Exceptions may apply, especially if you are operating a regional currency or a payment system for an event with a closed user group. GNU Taler payment service providers generally need to ensure high availability and should have *really* good backups (synchronous replication, asynchronous remote replication, off-site backup, 24/7 monitoring, etc.). This manual will not cover these aspects of operating a payment service provider. We will assume that you can operate a (sufficiently high-availability, high-assurance) PostgreSQL database. Furthermore, we expect some moderate familiarity with the compilation and installation of free software packages. You need to understand the cryptographic concepts of private and public keys and must be able to protect private keys stored in files on disk. .. include:: frags/db-stores-sensitive-data.rst Architecture overview --------------------- GNU Taler is a pure payment system, not a crypto-currency. As such, it operates in a traditional banking context. In particular, this means that payments can be executed in ordinary currencies such as USD or EUR. Furthermore, a typical merchant in Taler has a regular bank account, and would use it to receive funds via Taler. Consequently, a typical Taler exchange must interact with a bank. The bank of the exchange holds funds in an account where the balance is basically equivalent to the value of all coins in circulation. (Small mismatches arise whenever customers are about to withdraw coins and have already send the funds into the bank account, or if merchants just deposited coins and are about to receive wire transfers for deposited coins, or due to fees charged by the exchange and the operator not yet having drained the fees from the account.) The exchange uses an intermediary system to talk to its bank. This shifts the technical burden (XML-based communications, additional cryptography, and a vast variety of standards) for this interaction into another bank-specific subsystem. Such intermediary system abstracts the native banking protocol by exposing the *Taler Wire Gateway API*; this way, the exchange can conduct its banking operations in a simplified and JSON-based style. When customers wire money to the exchange's bank account, the Taler Wire Gateway API must notify the exchange about the incoming wire transfers. The exchange then creates a *reserve* based on the subject of the wire transfer. The wallet which knows the secret key matching the wire transfer subject can then withdraw coins from the reserve, thereby draining it. The liability of the exchange against the reserve is thereby converted into a liability against digital coins issued by the exchange. When the customer later spends the coins at a merchant, and the merchant *deposits* the coins at the exchange, the exchange first *aggregates* the amount from multiple deposits from the same merchant and then instructs its bank to make a wire transfer to the merchant, thereby fulfilling its obligation and eliminating the liability. The exchange charges *fees* for some or all of its operations to cover costs and possibly make a profit. *Auditors* are third parties, for example financial regulators, that verify that the exchange operates correctly. The same software is also used to calculate the exchange’s profits, risk and liabilities by the accountants of the exchange. The Taler software stack for an exchange consists of the following components: - **HTTP frontend**: The HTTP frontend interacts with Taler wallets and merchant backends. It is used to withdraw coins, deposit coins, refresh coins, issue refunds, map wire transfers to Taler transactions, inquire about the exchange’s bank account details, signing keys and fee structure. The binary is the ``taler-exchange-httpd``. - **Crypto-Helpers**: The ``taler-exchange-secmod-rsa``, ``taler-exchange-secmod-cs`` and ``taler-exchange-secmod-eddsa`` are three programs that are responsible for managing the exchange's online signing keys. They must run on the same machine as the ``taler-exchange-httpd`` as the HTTP frontend communicates with the crypto helpers using UNIX Domain Sockets. - **Aggregator**: The aggregator combines multiple deposits made by the same merchant and (eventually) triggers wire transfers for the aggregate amount. The merchant can control how quickly wire transfers are made. The exchange may charge a fee per wire transfer to discourage excessively frequent transfers. The binary is the ``taler-exchange-aggregator``. - **Closer**: The ``taler-exchange-closer`` tool check that reserves are properly closed. If a customer wires funds to an exchange and then fails to withdraw them, the closer will (eventually) trigger a wire transfer that sends the customer's funds back to the originating wire account. - **Transfer**: The ``taler-exchange-transfer`` tool is responsible for actually executing the aggregated wire transfers. It is the only process that needs to have the credentials to execute outgoing wire transfers. The tool uses the Taler Wire Gateway API to execute wire transfers. This API is provided by the Taler Python Bank for stand-alone deployments (like those with ``KUDOS``) and by LibEuFin. LibEuFin is an adapter which maps the Taler Wire REST API to traditional banking protocols like EBICS and FinTS. - **Wirewatch**: The ``taler-exchange-wirewatch`` tool is responsible for observing incoming wire transfers to the exchange. It needs to have the credentials to obtain a list of incoming wire transfers. The tool also uses the Taler Wire Gateway API to observe such incoming transfers. It is possible that observing incoming and making outgoing wire transfers is done via different bank accounts and/or credentials. - **Wire adapter**: A wire adapter is a component that enables exchange to talk to a bank. Each wire adapter must implement the Taler Wire Gateway API. Three wire adapters are currently provided: (1) The **libtalerfakebank** implements a bank with a wire adapter API inside of a testcase. ``taler-fakebank-run`` is a stand-alone process using libtalerfakebank. Note that this adapter is only useful for tests, as all transaction data is kept in memory. (2) For production, **libeufin**'s ``libeufin-nexus`` component implements a wire adapter towards the traditional SEPA banking system with IBAN accounts using the EBICS protocol. (3) To use GNU Taler with blockchains, the **Depolymerization** component provides a wire gateway API that runs on top of blockchains like Bitcoin and Ethereum. The client-side wire adapter API is implemented in **libtalerbank** and is used by ``taler-exchange-transfer`` to execute wire transfers and by ``taler-exchange-wirewatch`` and the Taler auditor auditor to query bank transaction histories. - **DBMS**: The exchange requires a DBMS to stores the transaction history for the Taler exchange and aggregator, and a (typically separate) DBMS for the Taler auditor. For now, the GNU Taler reference implementation only supports PostgreSQL, but the code could be easily extended to support another DBMS. .. index:: PostgreSQL - **Auditor**: The auditor verifies that the transactions performed by the exchange were done properly. It checks the various signatures, totals up the amounts and alerts the operator to any inconsistencies. It also computes the expected bank balance, revenue and risk exposure of the exchange operator. The main binary is the ``taler-auditor``. Aside from the key setup procedures, the most critical setup for deploying an auditor is providing the auditor with an up-to-date copy of the exchange's database. .. _KeyTypes: Key Types --------- The exchange works with four types of keys: - master key (kept offline, configured manually at merchants and wallets) - online message signing keys (signs normal messages from the exchange) - denomination keys (signs digital coins) - security module keys (signs online message signing keys and denomination keys) Additionally, the exchange is sometimes concerned with the auditor's public key (to verify messages signed by auditors approved by the exchange operator) and the merchant's public key (to verify refunds are authorized by the merchant). Most of the keys are managed fully automatically or configured as part of the denomination configuration. Some configuration settings must be manually set with regards to the exchange's master key. Offline keys ------------ The exchange (and ideally also its auditor(s)) uses a long-term offline master siging key that identifies the operator and is used to authenticate critical information, such as the exchange's bank account and the actual keys the exchange uses online. Interactions with the offline system are performed using the ``taler-exchange-offline`` tool. To use the offline system will require exchange operators to copy JSON files from or to the offline system (say using an USB stick). The offline system does not need any significant amount of computing power, a Raspberry-Pi is perfectly sufficient and the form-factor might be good for safe-keeping! (You should keep a copy of the (encrypted) private offline key on more than one physical medium though.) Exchange operators are strongly advised to secure their private master key and any copies on encrypted, always-offline computers. Again, this manual assumes that you are familiar with good best practices in operational security, including securing key material. Online signing key security --------------------------- To provide an additional level of protection for the private *online* signing keys used by the exchange, the actual cryptographic signing operations are performed by three helper processes, ``taler-exchange-secmod-rsa``, ``taler-exchange-secmod-cs`` and ``taler-exchange-secmod-eddsa``. The current implementation does not yet support the use of a hardware security module (HSM). If you have such a device with adequate functionality and are interested in Taler supporting it, please contact the developers for HSM integration support. Functionality ^^^^^^^^^^^^^ The UNIX domain sockets of the *secmod* helpers have mode 0620 (u+rw, g+w). The exchange process MUST thus be in the same group as the crypto helper processes to enable access to the keys. No other users should be in that group! The two helper processes will create the required private keys, and allow anyone with access to the UNIX domain socket to sign arbitrary messages with the keys or to inform them about a key being revoked. The helper processes are also responsible for deleting the private keys if their validity period expires or if they are informed about a key having been revoked. Security goals ^^^^^^^^^^^^^^ From a security point of view, the helpers are designed to *only* make it harder for an attacker who took control of the HTTP daemon's account to extract the private keys, limiting the attackers ability to creating signatures to the duration of their control of that account. .. note:: In the future, the helper processes should additionally provide a mechanism to track the total number of signatures they have made for the various keys. Setup ^^^^^ The helper processes should be run under a user ID that is separate from that of the user running the main ``taler-exchange-httpd`` service. To get any security benefit from this, it is important that helpers run under a different user ID than the main HTTP frontend. In fact, ideally, each helper should run under its own user ID. The ``taler-exchange-httpd`` service's will securely communicate with the helpers using UNIX domain sockets. Configuration ^^^^^^^^^^^^^ The helpers and the exchange HTTP service need both access to the same configuration information. Having divergent configurations may result in run-time failures. It is recommended that the configuration file (``-c`` option) is simply shared between all of the different processes, even though they run as different system users. The configuration does not contain any sensitive information. .. _ExchangeInstallation: Installation ============ Before installing a Taler exchange, please make sure that your system does not have swap space enabled. Swap space is a security risk that Taler does not try to mitigate against. We recommend the setup of offline signing keys to be done on a second machine that does not have Internet access. In this guide's shell-session fragments, the command prompt shows two pieces of information: * Who is performing the command (``$user`` vs ``root``, and ending character ``$`` vs ``#``). * Host where the command is supposed to be executed (``exchange-offline`` vs ``exchange-online``). It is possible to do the entire setup on one machine, but we do not recommend this for security reasons. Before you start ---------------- To deploy this with a real bank, you need: * IBAN of the bank account to use * BIC of the bank * EBICS host, user and partner IDs Information to write down during the installation: * LibEuFin Nexus superuser password * Taler facade base URL * exchange Nexus username and password Installing from source ---------------------- The following instructions will show how to install libgnunetutil and the GNU Taler exchange from source. The package sources can be find in our `download directory `__. .. include:: frags/semver.rst First, the following packages need to be installed before we can compile the backend: .. include:: frags/list-of-dependencies.rst .. include:: frags/installing-gnunet.rst .. include:: frags/install-before-check.rst There is no need to actually run a GNUnet peer to use the Taler merchant backend -- all the merchant needs from GNUnet is a number of headers and libraries! .. include:: frags/installing-taler-exchange.rst .. include:: frags/install-before-check.rst Installing the GNU Taler binary packages on Debian -------------------------------------------------- .. include:: frags/installing-debian.rst To install the Taler exchange, you can now simply run: .. code-block:: shell-session [root@exchange-online]# apt install taler-exchange Note that the package does not perform any configuration work except for setting up the various users and the systemd service scripts. You still must configure at least the database, HTTP reverse proxy (typically with TLS certificates), denomination and fee structure, bank account, auditor(s), offline signing and the terms of service. On the offline system, you should run at least: .. code-block:: shell-session [root@exchange-offline]# apt install taler-exchange-offline Installing the GNU Taler binary packages on Trisquel ---------------------------------------------------- .. include:: frags/installing-trisquel.rst Installing the GNU Taler binary packages on Ubuntu -------------------------------------------------- .. include:: frags/installing-ubuntu.rst To install the Taler exchange, you can now simply run: .. code-block:: shell-session [root@exchange-online]# apt install taler-exchange Note that the package does not perform any configuration work except for setting up the various users and the systemd service scripts. You still must configure at least the database, HTTP reverse proxy (typically with TLS certificates), denomination and fee structure, bank account, auditor(s), offline signing and the terms of service. On the offline system, you should run at least: .. code-block:: shell-session [root@exchange-offline]# apt install taler-exchange-offline Services, users, groups and file system hierarchy ------------------------------------------------- The *taler-exchange* package will create several system users to compartmentalize different parts of the system: * ``taler-exchange-httpd``: runs the HTTP daemon with the core business logic. * ``taler-exchange-secmod-rsa``: manages the RSA private online signing keys. * ``taler-exchange-secmod-cs``: manages the CS private online signing keys. * ``taler-exchange-secmod-eddsa``: manages the EdDSA private online signing keys. * ``taler-exchange-closer``: closes idle reserves by triggering wire transfers that refund the originator. * ``taler-exchange-aggregator``: aggregates deposits into larger wire transfer requests. * ``taler-exchange-transfer``: performs wire transfers with the bank (via LibEuFin/Nexus). * ``taler-exchange-wirewatch``: checks for incoming wire transfers with the bank (via LibEuFin/Nexus). * ``postgres``: runs the PostgreSQL database (from *postgresql* package). * ``www-data``: runs the frontend HTTPS service with the TLS keys (from *nginx* package). .. note:: The *taler-merchant* package additionally creates a ``taler-merchant-httpd`` user to run the HTTP daemon with the merchant business logic. The exchange setup uses the following system groups: * ``taler-exchange-db``: group for all Taler users with direct database access, specifically taler-exchange-httpd, taler-exchange-wirewatch, taler-exchange-closer and taler-exchange-aggregator. * ``taler-exchange-secmod``: group for processes with access to online signing keys; this group must have four users: taler-exchange-secmod-rsa, taler-exchange-secmod-cs, taler-exchange-secmod-eddsa and taler-exchange-httpd. * ``taler-exchange-offline``: group for the access to the offline private key (only used on the offline host and not used on the online system). The package will deploy systemd service files in ``/usr/lib/systemd/system/`` for the various components: * ``taler-exchange-aggregator.service``: service that schedules wire transfers which combine multiple deposits to the same merchant. * ``taler-exchange-closer.service``: service that watches for reserves that have been abandoned and schedules wire transfers to send the money back to the originator. * ``taler-exchange-httpd.service``: main Taler exchange logic with the public REST API. * ``taler-exchange-httpd.socket``: systemd socket activation for the Taler exchange HTTP daemon. * ``taler-exchange-secmod-eddsa.service``: software security module for making EdDSA signatures. * ``taler-exchange-secmod-rsa.service``: software security module for making RSA signatures. * ``taler-exchange-secmod-cs.service``: software security module for making CS signatures. * ``taler-exchange-transfer.service``: service that triggers outgoing wire transfers (pays merchants). * ``taler-exchange-wirewatch.service``: service that watches for incoming wire transfers (first step of withdraw). * ``taler-exchange.target``: Main target for the Taler exchange to be operational. The deployment creates the following key locations in the system: * ``/etc/taler/``: configuration files. * ``/run/taler/``: contains the UNIX domain sockets for inter-process communication (IPC). * ``/var/lib/taler/``: serves as the $HOME for all Taler users and contains sub-directories with the private keys; which keys are stored here depends on the host: * online system: exchange-secmod-eddsa, exchange-secmod-cs and exchange-secmod-rsa keys. * offline system: exchange-offline keys. Configuration Fundamentals ========================== This chapter provides fundamental details about the exchange configuration. The configuration for all Taler components uses a single configuration file as entry point: ``/etc/taler/taler.conf``. System defaults are automatically loaded from files in ``/usr/share/taler/config.d``. These default files should never be modified. The default configuration ``taler.conf`` configuration file also includes all configuration files in ``/etc/taler/conf.d``. The settings from files in ``conf.d`` are only relevant to particular components of Taler, while ``taler.conf`` contains settings that affect all components. The directory ``/etc/taler/secrets`` contains configuration file snippets with values that should only be readable to certain users. They are included with the ``@inline-secret@`` directive and should end with ``.secret.conf``. To view the entire configuration annotated with the source of each configuration option, you can use the ``taler-config`` helper: .. code-block:: shell-session [root@exchange-online]# taler-config --diagnostics < ... annotated, full configuration ... > .. warning:: While ``taler-config`` also supports rewriting configuration files, we strongly recommend to edit configuration files manually, as ``taler-config`` does not preserve comments and, by default, rewrites ``/etc/taler/taler.conf``. .. include:: frags/configuration-format.rst Exchange Database Setup ======================= The access credentials for the exchange's database are configured in ``/etc/taler/secrets/exchange-db.secret.conf``. Currently, only PostgreSQL is supported as a database backend. The following users must have access to the exchange database: * taler-exchange-httpd * taler-exchange-wire * taler-exchange-aggregator * taler-exchange-closer These users are all in the taler-exchange-db group, and the ``exchange-db.secret.conf`` should be only readable by users in this group. .. note:: The **taler-exchange-dbconfig** tool can be used to automate the database setup. When using the Debian/Ubuntu packages, the users should already have been created, so you can just run the tool without any arguments and should have a working database configuration. The rest of this section only explains what the **taler-exchange-dbconfig** shell script fully automates. To create a database for the Taler exchange on the local system, run: .. code-block:: shell-session [root@exchange-online]# su - postgres [postgres@exchange-online]# createuser taler-exchange-httpd [postgres@exchange-online]# createuser taler-exchange-wire [postgres@exchange-online]# createuser taler-exchange-aggregator [postgres@exchange-online]# createuser taler-exchange-closer [postgres@exchange-online]# createdb -O taler-exchange-httpd taler-exchange [postgres@exchange-online]# exit This will create a ``taler-exchange`` database owned by the ``taler-exchange-httpd`` user. We will use that user later to perform database maintenance operations. Assuming the above database setup, the database credentials to configure in the configuration file would simply be: .. code-block:: ini :caption: /etc/taler/secrets/exchange-db.secret.conf [exchange] DB = postgres [exchangedb-postgres] CONFIG=postgres:///taler-exchange If the database is run on a different host, please follow the instructions from the PostgreSQL manual for configuring remote access. After configuring the database credentials, the exchange database needs to be initialized with the following command: .. code-block:: shell-session [root@exchange-online]# sudo -u taler-exchange-httpd taler-exchange-dbinit ..note:: To run this command, the user must have ``CREATE TABLE``, ``CREATE INDEX``, ``ALTER TABLE`` and (in the future possibly even) ``DROP TABLE`` permissions. Those permissions are only required for this step (which may have to be repeated when upgrading a deployment). Afterwards, during normal operation, permissions to ``CREATE`` or ``ALTER`` tables are not required by any of the Taler exchange processes and thus should not be granted. For more information, see :doc:`manpages/taler-exchange-dbinit.1`. Finally we need to grant the other accounts limited access: .. code-block:: shell-session [root@exchange-online]# sudo -u taler-exchange-httpd bash [taler-exchange-httpd@exchange-online]# echo 'GRANT SELECT,INSERT,UPDATE ON ALL TABLES IN SCHEMA exchange TO "taler-exchange-aggregator";' \ | psql taler-exchange [taler-exchange-httpd@exchange-online]# echo 'GRANT SELECT,INSERT,UPDATE ON ALL TABLES IN SCHEMA exchange TO "taler-exchange-closer";' \ | psql taler-exchange [taler-exchange-httpd@exchange-online]# echo 'GRANT SELECT,INSERT,UPDATE ON ALL TABLES IN SCHEMA exchange TO "taler-exchange-wire";' \ | psql taler-exchange [taler-exchange-httpd@exchange-online]# echo 'GRANT USAGE ON ALL SEQUENCES IN SCHEMA exchange TO "taler-exchange-aggregator";' \ | psql taler-exchange [taler-exchange-httpd@exchange-online]# echo 'GRANT USAGE ON ALL SEQUENCES IN SCHEMA exchange TO "taler-exchange-closer";' \ | psql taler-exchange [taler-exchange-httpd@exchange-online]# echo 'GRANT USAGE ON ALL SEQUENCES IN SCHEMA exchange TO "taler-exchange-wire";' \ | psql taler-exchange [taler-exchange-httpd@exchange-online]# exit .. note:: The above instructions for changing database permissions only work *after* having initialized the database with ``taler-exchange-dbinit``, as the tables need to exist before permissions can be granted on them. The ``taler-exchange-dbinit`` tool cannot setup these permissions, as it does not know which users will be used for which processes. Basic Setup: Currency, Denominations and Keys ============================================= A Taler exchange only supports a single currency. The currency and the smallest currency unit supported by the bank system must be specified in ``/etc/taler/taler.conf``. .. code-block:: ini :caption: /etc/taler/taler.conf [taler] CURRENCY = EUR CURRENCY_ROUND_UNIT = EUR:0.01 # ... rest of file ... .. warning:: When editing ``/etc/taler/taler.conf``, take care to not accidentally remove the ``@inline-matching@`` directive to include the configuration files in ``conf.d``. .. _Coins-denomination-keys: Coins (denomination keys) ------------------------- Next, the electronic cash denominations that the exchange offers must be specified. Sections specifying denomination (coin) information start with ``coin_``. By convention, the name continues with ``$CURRENCY_[$SUBUNIT]_$VALUE_$REVISION``, i.e. ``[coin_eur_ct_10_0]`` for a 10 cent piece. However, only the ``coin_`` prefix is mandatory. Once configured, these configuration values must not change. The ``$REVISION`` part of the section name should be incremented if any of the coin attributes in the section changes. Each ``coin_``-section must then have the following options: - ``VALUE``: How much is the coin worth, the format is CURRENCY:VALUE.FRACTION. For example, a 10 cent piece is "EUR:0.10". - ``DURATION_WITHDRAW``: How long can a coin of this type be withdrawn? This limits the losses incurred by the exchange when a denomination key is compromised. - ``DURATION_SPEND``: How long is a coin of the given type valid? Smaller values result in lower storage costs for the exchange. - ``DURATION_LEGAL``: How long is the coin of the given type legal? - ``FEE_WITHDRAW``: What does it cost to withdraw this coin? Specified using the same format as value. - ``FEE_DEPOSIT``: What does it cost to deposit this coin? Specified using the same format as value. - ``FEE_REFRESH``: What does it cost to refresh this coin? Specified using the same format as value. - ``FEE_REFUND``: What does it cost to refund this coin? Specified using the same format as value. - ``CIPHER``: Which cipher to use for this coin? Must be either ``RSA`` or ``CS``. - ``RSA_KEYSIZE``: How many bits should the RSA modulus (product of the two primes) have for this type of coin. - ``AGE_RESTRICTED``: Set to ``YES`` to make this a denomination with support for age restrictions. See age restriction extension below for details. This option is optional and defaults to ``NO``. See :doc:`manpages/taler.conf.5` for information on *duration* values (i.e. ``DURATION_WITHDRAW`` and ``DURATION_SPEND`` above, and ``OVERLAP_DURATION`` and ``DURATION`` below). Additionally, there are two global configuration options of note: - ``[taler-exchange-secmod-rsa/OVERLAP_DURATION]``: What is the overlap of the withdrawal timespan for denomination keys? The value given here must be smaller than any of the ``DURATION_WITHDRAW`` values for any of the coins. - ``[taler-exchange-secmod-rsa/LOOKAHEAD_SIGN]``: For how far into the future should denomination keys be pre-generated? This allows the exchange and auditor operators to download, offline-sign, and upload denomination key signatures for denomination keys that will be used in the future by the exchange. .. index:: maintenance .. note:: We recommend setting the ``LOOKAHEAD_SIGN`` value to at least one year and then to perform the offline-signing procedure at least once every 6 months to ensure that there is sufficient time for wallets to learn the new keys and to avoid unavailability in case this critical maintenance procedure is delayed. .. note:: It is crucial that the configuration provided in these sections is identical (!) for the exchange and the crypto helpers. We recommend pointing both users to the same configuration file! The ``taler-wallet-cli`` has a helper command that generates a reasonable denomination structure. .. code-block:: shell-session [root@exchange-online]# taler-wallet-cli deployment gen-coin-config \ --min-amount EUR:0.01 \ --max-amount EUR:100 \ > /etc/taler/conf.d/exchange-coins.conf You can manually review and edit the generated configuration file. The main change that is possibly required is updating the various fees. Note that you MUST NOT edit a coin configuration section after the initial setup. If you must ``change`` the values, you must instead create a new section with a different unique name (still with the ``coin-`` prefix) and comment out or remove the existing section. Do take care to not introduce the name of the disabled section again in the future. .. _Sign-keys: Sign keys --------- There are three global configuration options of note for sign keys: - ``[taler-exchange-secmod-eddsa/DURATION]``: How long are sign keys used to sign messages? After this time interval expires, a fresh sign key will be used (key rotation). We recommend using a ``DURATION`` of a few weeks to a few months for sign keys. - ``[taler-exchange-secmod-eddsa/OVERLAP_DURATION]``: What is the overlap of the timespan for sign keys? We recommend a few minutes or hours. Must be smaller than ``DURATION``. - ``[taler-exchange-secmod-eddsa/LOOKAHEAD_SIGN]``: For how far into the future should sign keys be pre-generated? This allows the exchange and auditor operators to download, offline-sign, and upload sign key signatures for sign keys that will be used in the future by the exchange. .. note:: We recommend setting the ``LOOKAHEAD_SIGN`` value to at least one year and then to perform the offline-signing procedure at least once every 6 months to ensure that there is sufficient time for wallets to learn the new keys and to avoid unavailability in case this critical maintenance procedure is delayed. .. _OfflineConfiguration: Setting up the offline signing key ---------------------------------- Before launching an exchange, the offline signing (master) key must be generated and set in the configuration. The offline signing keys of the exchange should be stored on a different machine. The responsibilities of this offline signing machine are: * Generation of the exchange's offline master signing key. * Secure storage of the exchange's offline master signing key. * Generation of certificates (signed with the offline master signing key) that will be imported by the exchange. * Revocation of keys when the online system was compromised or is being terminated Configuration file options related to the master key are: - ``[exchange-offline/MASTER_PRIV_FILE]``: Path to the exchange’s master private file. Only needs to be provided on the offline system where the ``taler-exchange-offline`` command is used. The default value is usually fine and does not require adjustment. - ``[exchange/MASTER_PUBLIC_KEY]``: Must specify the exchange’s master public key. Needed for the exchange to verify information signed by the offline system. This value must almost always be set explicitly by hand. .. code-block:: shell-session [root@exchange-offline]# taler-exchange-offline setup < ... prints the exchange master public key > The public key printed as the output of this command must be put into the configuration of the online machine: .. code-block:: ini :caption: /etc/taler/conf.d/exchange-business.conf [exchange] MASTER_PUBLIC_KEY = YE6Q6TR1ED... # ... rest of file ... Wire Gateway Setup ================== The :ref:`Taler Wire Gateway ` is an API that connects the Taler exchange to the underlying core banking system. There are several implementations of wire gateways: * `Project deploymerization `_ implements a wire gateway on top of Bitcoin or Ethereum * The :ref:`libeufin-bank ` provides a wire gateway interface on top of a regional currency bank * The **taler-fakebank-run** command is an in-memory bank simulator with a wire gateway interface for testing .. FIXME :ref:`libeufin-nexus ` is an implementation of the Wire Gateway API for the EBICS protocol. Add to list above once nexus implements the TWG directly! Before continuing, you need to decide which wire gateway you want to use, and install and configure it on your system. Afterwards, you need to have two key pieces of information from that setup: * The username and password to access the exchange's account in the system. * The ``payto://`` URI of that account (see `RFC 8905 `_). .. _exchange-bank-account-configuration: Exchange Bank Account Configuration ----------------------------------- An exchange must be configured with the right settings to access its bank account via a :ref:`Taler wire gateway `. An exchange can be configured to use multiple bank accounts by using multiple wire gateways. Typically only one wire gateway is used. To configure a bank account in Taler, we need to furnish two pieces of information: - The ``payto://`` URI of the bank account, which uniquely idenfies the account. Examples for such URIs include ``payto://iban/CH9300762011623852957`` for a bank account with an IBAN or ``payto://x-taler-bank/localhost:8080/2`` for the 2nd bank account a the Taler bank demonstrator running at ``localhost`` on port 8080. The first part of the URI following ``payto://`` (``iban`` or ``x-taler-bank``) is called the wire method. - The ``taler-exchange-wirewatch`` and ``taler-exchange-transfer`` tools needs to be provided resources for authentication to the respective banking service. The format in which the authentication information is currently a username and password for HTTP basic authentication. Each Taler wire gateway is configured in a configuration section that follows the pattern ``exchange-account-$id``, where ``$id`` is an internal identifier for the bank account accessed by the exchange. The basic information for an account should be put in ``/etc/taler/conf.d/exchange-business.conf``. The secret credentials to access the Taler Wire Gateway API should be put into a corresponding ``exchange-accountcredentials-$id`` section in ``/etc/taler/secrets/exchange-accountcredentials.conf``. The latter file should be only readable for the ``taler-exchange-wire`` user. Only the ``taler-exchange-wirewatch`` and ``taler-exchange-transfer`` services should run as the ``taler-exchange-wire`` user. Other exchange processes do not need to have access to the account credentials. You can configure multiple accounts for an exchange by creating sections starting with ``exchange-account-`` for the section name. You must specify ``ENABLE_``-settings for each account whether it should be used, and for what (incoming or outgoing wire transfers): .. code-block:: ini :caption: /etc/taler/conf.d/exchange-business.conf [exchange-account-1] # Account identifier in the form of an RFC-8905 payto:// URI. # For SEPA, looks like payto://iban/$IBAN?receiver-name=$NAME # Make sure to URL-encode spaces in $NAME! # # With x-taler-bank (for Fakebank) # PAYTO_URI = "payto://x-taler-bank/bank.demo.taler.net/Exchange?receiver-name=exop" # # Example using IBAN (for use with LibEuFin) PAYTO_URI = "payto://iban/CH9300762011623852957?receiver=name=exop" # URL for talking to the bank wire the wire API. WIRE_GATEWAY_URL = https://bank.demo.taler.net/taler-wire-gateway/Exchange # Use for exchange-aggregator (outgoing transfers) ENABLE_DEBIT = YES # Use for exchange-wirewatch (and listed in /wire) ENABLE_CREDIT = YES @inline-secret@ exchange-accountcredentials-1 ../secrets/exchange-accountcredentials.secret.conf .. code-block:: ini :caption: /etc/taler/secrets/exchange-accountcredentials.secret.conf [exchange-accountcredentials-1] # LibEuFin expects basic auth. WIRE_GATEWAY_AUTH_METHOD = basic # Username and password to access the Taler wire gateway. USERNAME = ... PASSWORD = ... # Base URL of the Taler wire gateway. WIRE_GATEWAY_URL = ... Such a wire gateway configuration can be tested with the following commands: .. code-block:: shell-session [root@exchange-online]# taler-exchange-wire-gateway-client \ --section exchange-accountcredentials-1 --debit-history [root@exchange-online]# taler-exchange-wire-gateway-client \ --section exchange-accountcredentials-1 --credit-history On success, you will see some of your account's transaction history (or an empty history), while on failure you should see an error message. .. _LegalSetup: Legal Setup =========== This chapter describes how to setup certain legal aspects of a GNU Taler exchange. Users that just want to set up an exchange as an experiment without legal requirements can safely skip these steps. Legal conditions for using the service -------------------------------------- .. include:: frags/legal.rst KYC Configuration ================= To legally operate, Taler exchange operators may have to comply with KYC regulation that requires financial institutions to identify parties involved in transactions at certain points. Taler permits an exchange to require KYC data under the following circumstances: * Customer withdraws money over a threshold * Wallet receives (via refunds) money resulting in a balance over a threshold * Wallet receives money via P2P payments over a threshold * Merchant receives money over a threshold * Reserve is "opened" for invoicing (**planned feature**) Any of the above requests can trigger the KYC process, which can be illustrated as follows: .. image:: images/kyc-process.png At the end of the KYC process, the wallet re-tries the original request, and assuming KYC was successful, the request should then succeed. Taler KYC Terminology --------------------- * **Check**: A check establishes a particular attribute of a user, such as their name based on an ID document and lifeness, mailing address, phone number, taxpayer identity, etc. * **Type of operation**: The operation type determines which Taler-specific operation has triggered the KYC requirement. We support four types of operation: withdraw (by customer), deposit (by merchant), P2P receive (by wallet) and (high) wallet balance. * **Condition**: A condition specifies when KYC is required. Conditions include the *type of operation*, a threshold amount (e.g. above EUR:1000) and possibly a time period (e.g. over the last month). * **Cost**: Metric for the business expense for a KYC check at a certain *provider*. Not in any currency, costs are simply relative and non-negative values. Costs are considered when multiple choices are allowed by the *configuration*. * **Expiration**: KYC legitimizations may be outdated. Expiration rules determine when *checks* have to be performed again. * **Legitimization rules**: The legitimization rules determine under which *conditions* which *checks* must be performend and the *expiration* time period for the *checks*. * **Logic**: Logic refers to a specific bit of code (realized as an exchange plugin) that enables the interaction with a specific *provider*. Logic typically requires configuration for access control (such as an authorization token) and possibly the endpoint of the specific *provider* implementing the respective API. * **Provider**: A provider performs a specific set of *checks* at a certain *cost*. Interaction with a provider is performed by provider-specific *logic*. Configuration of possible KYC/AML checks ^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^ The configuration specifies a set of possible KYC checks offered by external providers. The names of the configuration sections must being with ``kyc-check-`` followed by an arbitrary ``$CHECK_NAME``. The list of possible FORM names is fixed in the SPA for a particular exchange release. The outcome of *any* check should always be uploaded encrypted into the ``kyc_attributes`` table. It MUST include an ``expiration_time``. KYC Configuration Options ------------------------- The KYC configuration determines the *legitimization rules*, and specifies which providers offer which *checks* at what *cost*. The configuration specifies a set of providers, one per configuration section. The names of the configuration sections must being with ``kyc-proider-`` followed by an arbitrary ``$PROVIDER_ID``: .. code-block:: ini :caption: /etc/taler/conf.d/exchange-kyc-providers.conf [kyc-provider-$PROVIDER_ID] # How expensive is it to use this provider? # Used to pick the cheapest provider possible. COST = 42 # Which plugin is responsible for this provider? # Choices include "oauth2", "kycaid" and "persona". LOGIC = oauth2 # Which type of user does this provider handle? # Either INDIVIDUAL or BUSINESS. USER_TYPE = INDIVIDUAL # Which checks does this provider provide? # List of strings, no specific semantics. PROVIDED_CHECKS = SMS GOVID PHOTO # Plus additional logic-specific options, e.g.: AUTHORIZATION_TOKEN = superdupersecret FORM_ID = business_legi_form # How long is the check considered valid? EXPIRATION = 3650d The configuration also must specify a set of legitimization requirements, again one per configuration section: .. code-block:: ini :caption: /etc/taler/conf.d/exchange-kyc-rules.conf [kyc-legitimization-$RULE_NAME] # Operation that triggers this legitimization. # Must be one of WITHDRAW, DEPOSIT, P2P-RECEIVE # or WALLET-BALANCE. OPERATION_TYPE = WITHDRAW # Required checks to be performed. # List of strings, must individually match the # strings in one or more provider's PROVIDED_CHECKS. REQUIRED_CHECKS = SMS GOVID # Threshold amount above which the legitimization is # triggered. The total must be exceeded in the given # timeframe. THRESHOLD = KUDOS:100 # Timeframe over which the amount to be compared to # the THRESHOLD is calculated. Can be 'forever'. # Ignored for WALLET-BALANCE. TIMEFRAME = 30d OAuth 2.0 specifics ------------------- In terms of configuration, the OAuth 2.0 logic requires the respective client credentials to be configured apriori to enable access to the legitimization service. The OAuth 2.0 configuration options are: .. code-block:: ini :caption: /etc/taler/conf.d/exchange-oauth2.conf [kyc-provider-example-oauth2] LOGIC = oauth2 # (generic options omitted) # How long is the KYC check valid? KYC_OAUTH2_VALIDITY = forever # URL to which we redirect the user for the login process KYC_OAUTH2_AUTHORIZE_URL = "http://kyc.example.com/authorize" # URL where we POST the user's authentication information KYC_OAUTH2_TOKEN_URL = "http://kyc.example.com/token" # URL of the user info access point. KYC_OAUTH2_INFO_URL = "http://kyc.example.com/info" # Where does the client get redirected upon completion? KYC_OAUTH2_POST_URL = "http://example.com/thank-you" # For authentication to the OAuth2.0 service KYC_OAUTH2_CLIENT_ID = testcase KYC_OAUTH2_CLIENT_SECRET = password # Mustach template that converts OAuth2.0 data about the user # into GNU Taler standardized attribute data. KYC_OAUTH2_CONVERTER_HELPER = taler-exchange-kyc-oauth2-challenger.sh The converter helper is expected to be customized to the selected OAuth2.0 service: different services may return different details about the user or business, hence there cannot be a universal converter for all purposes. The default shell script uses the ``jq`` tool to convert the JSON returned by the service into the KYC attributes (also in JSON) expected by the exchange. The script will need to be adjusted based on the attributes collected by the specific backend. The Challenger service for address validation supports OAuth2.0, but does not have a static AUTHORIZE_URL. Instead, the AUTHORIZE_URL must be enabled by the client using a special authenticated request to the Challenger's ``/setup`` endpoint. The exchange supports this by appending ``#setup`` to the AUTHORIZE_URL (note that fragments are illegal in OAuth2.0 URLs). Be careful to quote the URL, as ``#`` is otherwise interpreted as the beginning of a comment by the configuration file syntax. .. code-block:: ini :caption: /etc/taler/conf.d/exchange-challenger-oauth2.conf [kyc-provider-challenger-oauth2] LOGIC = oauth2 KYC_OAUTH2_AUTHORIZE_URL = "http://challenger.example.com/authorize/#setup" KYC_OAUTH2_TOKEN_URL = "http://challenger.example.com/token" KYC_OAUTH2_INFO_URL = "http://challenger.example.com/info" When using OAuth 2.0, the *CLIENT REDIRECT URI* must be set to the ``/kyc-proof/$PROVIDER_SECTION`` endpoint. For example, given the configuration above and an exchange running on the host ``exchange.example.com``, the redirect URI would be ``https://exchange.example.com/kyc-proof/kyc-provider-challenger-oauth2/``. Persona specifics ----------------- We use the hosted flow. The Persona endpoints return a ``request-id``, which we log for diagnosis. Persona should be configured to use the ``/kyc-webhook/`` endpoint of the exchange to notify the exchange about the completion of KYC processes. The webhook is authenticated using a shared secret, which should be in the configuration. To use the Persona webhook, you must set the webhook URL in the Persona service to ``$EXCHANGE_BASE_URL/kyc-webhook/$SECTION_NAME/`` where ``$SECTION_NAME`` is the name of the configuration section. You should also extract the authentication token for the webhook and put it into the configuration as shown above. .. code-block:: ini :caption: /etc/taler/conf.d/exchange-persona.conf [kyclogic-persona] # Webhook authorization token. Global for all uses # of the persona provider! WEBHOOK_AUTH_TOKEN = wbhsec_698b5a19-c790-47f6-b396-deb572ec82f9 [kyc-provider-example-persona] LOGIC = persona # (generic options omitted) # How long is the KYC check valid? KYC_PERSONA_VALIDITY = 365d # Which subdomain is used for our API? KYC_PERSONA_SUBDOMAIN = taler # Authentication token to use. KYC_PERSONA_AUTH_TOKEN = persona_sandbox_42XXXX # Form to use. KYC_PERSONA_TEMPLATE_ID = itempl_Uj6Xxxxx # Where do we redirect to after KYC finished successfully. KYC_PERSONA_POST_URL = "https://taler.net/kyc-done" # Salt to give to requests for idempotency. # Optional. # KYC_PERSONA_SALT = salt # Helper to convert JSON with KYC data returned by Persona into GNU Taler # internal format. Should probably always be set to some variant of # "taler-exchange-kyc-persona-converter.sh". KYC_PERSONA_CONVERTER_HELPER = "taler-exchange-kyc-persona-converter.sh" The converter helper is expected to be customized to the selected template: different templates may return different details about the user or business, hence there cannot be a universal converter for all purposes. The default shell script uses the ``jq`` tool to convert the JSON returned by Persona into the KYC attributes (also in JSON) expected by the exchange. The script will need to be adjusted based on the attributes collected by the specific template. KYC AID specifics ----------------- We use the hosted flow. KYCAID must be configured to use the ``/kyc-webhook/$SECTION_NAME/`` endpoint of the exchange to notify the exchange about the completion of KYC processes. .. code-block:: ini :caption: /etc/taler/conf.d/exchange-kycaid.conf [kyc-provider-example-kycaid] LOGIC = kycaid # (generic options omitted) # How long is the KYC check valid? KYC_KYCAID_VALIDITY = 365d # Authentication token to use. KYC_KYCAID_AUTH_TOKEN = XXX # Form to use. KYC_KYCAID_FORM_ID = XXX # URL to go to after the process is complete. KYC_KYCAID_POST_URL = "https://taler.net/kyc-done" # Script to convert the KYCAID data into the Taler format. KYC_KYCAID_CONVERTER_HELPER = taler-exchange-kyc-kycaid-converter.sh The converter helper is expected to be customized to the selected template: different templates may return different details about the user or business, hence there cannot be a universal converter for all purposes. The default shell script uses the ``jq`` tool to convert the JSON returned by Persona into the KYC attributes (also in JSON) expected by the exchange. The script will need to be adjusted based on the attributes collected by the specific template. .. _Deployment: Deployment ========== This chapter describes how to deploy the exchange once the basic installation and configuration are completed. .. _Serving: Serving ------- The exchange can serve HTTP over both TCP and UNIX domain socket. The following options are to be configured in the section ``[exchange]``: - ``SERVE``: Must be set to ``tcp`` to serve HTTP over TCP, or ``unix`` to serve HTTP over a UNIX domain socket. - ``PORT``: Set to the TCP port to listen on if ``SERVE`` is ``tcp``. - ``UNIXPATH``: Set to the UNIX domain socket path to listen on if ``SERVE`` is ``unix``. - ``UNIXPATH_MODE``: Number giving the mode with the access permission mask for the ``UNIXPATH`` (i.e. 660 = ``rw-rw---``). Make sure to set it in such a way that your reverse proxy has permissions to access the UNIX domain socket. The default (660) assumes that the reverse proxy is a member of the group under which the exchange HTTP server is running. .. _ReverseProxy: Reverse Proxy Setup ------------------- By default, the ``taler-exchange-httpd`` service listens for HTTP connections on a UNIX domain socket. To make the service publicly available, a reverse proxy such as nginx should be used. We strongly recommend to configure nginx to use TLS. The public URL that the exchange will be served under should be put in ``/etc/taler/conf.d/exchange-business.conf`` configuration file. .. code-block:: ini :caption: /etc/taler/conf.d/exchange-business.conf [exchange] BASE_URL = https://example.com/ # ... rest of file ... The ``taler-exchange`` package ships with a sample configuration that can be enabled in nginx: .. code-block:: shell-session [root@exchange-online]# vim /etc/nginx/sites-available/taler-exchange < ... customize configuration ... > [root@exchange-online]# ln -s /etc/nginx/sites-available/taler-exchange \ /etc/nginx/sites-enabled/taler-exchange [root@exchange-online]# systemctl reload nginx Note that the reverse proxy must set a HTTP ``X-Forwarded-Host`` header to refer to the hostname used by nginx and a HTTP ``X-Forwarded-Proto`` header to inform the exchange whether the external protocol was ``http`` or ``https``. Thus, depending on your setup, you will likely have to edit those parts of the provided ``taler-exchange`` configuration file. With this last step, we are finally ready to launch the main exchange process. .. _Launch: Launching an exchange --------------------- A running exchange requires starting the following processes: - ``taler-exchange-secmod-rsa`` (as special user, sharing group with the HTTPD) - ``taler-exchange-secmod-cs`` (as special user, sharing group with the HTTPD) - ``taler-exchange-secmod-eddsa`` (as special user, sharing group with the HTTPD) - ``taler-exchange-httpd`` (needs database access) - ``taler-exchange-aggregator`` (only needs database access) - ``taler-exchange-closer`` (only needs database access) - ``taler-exchange-wirewatch`` (needs bank account read credentials and database access) - ``taler-exchange-transfer`` (needs credentials to initiate outgoing wire transfers and database access) The crypto helpers (``secmod``) must be started before the ``taler-exchange-httpd`` and they should use the same configuration file. For the most secure deployment, we recommend using separate users for each of these processes to minimize information disclosures should any of them be compromised. The helpers do not need access to the PostgreSQL database (and thus also should not have it). The processes that require access to the bank account need to have a configuration file with the respective credentials in it. We recommend using a separate configuration at least for ``taler-exchange-transfer`` which is the *only* process that needs to know the credentials to execute outgoing wire transfers. All of these processes should also be started via a hypervisor like ``systemd`` or ``gnunet-arm`` that automatically re-starts them should they have terminated unexpectedly. If the bank is down (say for maintenance), it is *possible* to halt the ``taler-exchange-wirewatch`` and/or ``taler-exchange-transfer`` processes (to avoid them making requests to the bank API that can only fail) without impacting other operations of the exchange. Naturally, incoming wire transfers will only be observed once ``taler-exchange-wirewatch`` is resumed, and merchants may complain if the disabled ``taler-exchange-transfer`` process causes payment deadlines to be missed. .. note:: The ``taler-exchange-httpd`` does not ship with HTTPS enabled by default. In production, it should be run behind an HTTPS reverse proxy that performs TLS termination on the same system. Thus, it would typically be configured to listen on a UNIX domain socket. The ``/management`` and ``/auditors`` APIs do technically not have to be exposed on the Internet (only to the administrators running ``taler-exchange-offline``) and should be blocked by the reverse proxy for requests originating from outside of the bank. (However, this is not a strong security assumption: in principle having these endpoints available should do no harm. However, it increases the attack surface.) Given proper packaging, all of the above are realized via a simple systemd target. This enables the various processes of an exchange service to be started using a simple command: .. code-block:: shell-session [root@exchange-online]# systemctl start taler-exchange.target .. note:: At this point, the exchange service is not yet fully operational. To check whether the exchange is running correctly under the advertised base URL, run: .. code-block:: shell-session [root@exchange-online]# export BASE_URL=$(taler-config -s exchange -o base_url) [root@exchange-online]# wget ${BASE_URL}management/keys The request might take some time to complete on slow machines, because a lot of key material will be generated. Offline Signing Setup, Key Maintenance and Tear-Down ==================================================== The exchange HTTP service must be running before you can complete the following offline signing procedure. Note that when an exchange is running without offline keys its not fully operational. To make the exchange HTTP service fully operational, the following steps involving the offline signing machine must be completed: 1. The public keys of various online keys used by the exchange service are exported via a management HTTP API. 2. The offline signing system validates this request and signs it. Additionally, the offline signing system signs policy messages to configure the exchange's bank accounts and associated fees. 3. The messages generated by the offline signing system are uploaded via the management API of the exchange HTTP service. A typical minimal setup would look something like this: .. code-block:: shell-session [anybody@exchange-online]# taler-exchange-offline \ download > sig-request.json [root@exchange-offline]# taler-exchange-offline \ sign < sig-request.json > sig-response.json [root@exchange-offline]# taler-exchange-offline \ enable-account payto://iban/$IBAN?receiver-name=$NAME > acct-response.json [root@exchange-offline]# taler-exchange-offline \ wire-fee now iban EUR:0 EUR:0 > fee-response.json [root@exchange-offline]# taler-exchange-offline \ global-fee now EUR:0 EUR:0 EUR:0 4w 6y 4 > global-response.json [anybody@exchange-online]# taler-exchange-offline upload < sig-response.json [anybody@exchange-online]# taler-exchange-offline upload < acct-response.json [anybody@exchange-online]# taler-exchange-offline upload < fee-response.json [anybody@exchange-online]# taler-exchange-offline upload < global-response.json The following sections will discuss these steps in more depth. .. _Keys-generation: Signing the online signing keys ------------------------------- To sign the online signing keys, first the *future* key material should be downloaded using: .. code-block:: console $ taler-exchange-offline download > future-keys.json Afterwards, *future-keys.json* contains data about denomination and online signing keys that the exchange operator needs to sign with the offline tool. The file should be copied to the offline system. There, the operator should run: .. code-block:: console $ taler-exchange-offline show < future-keys.json and verify that the output contains the fee structure and key lifetimes they expect to see. They should also note the public keys being shown and communicate those to the *auditors* over a secure channel. Once they are convinced the file is acceptable, they should run: .. code-block:: console $ taler-exchange-offline sign < future-keys.json > offline-sigs.json The *offline-sigs.json* file must then be copied to an online system that is able to again communicate with the exchange. On that system, run: .. code-block:: console $ taler-exchange-offline upload < offline-sigs.json to provision the signatures to the exchange. The ``download sign upload`` sequence in the commands above has to be done periodically, as it signs the various online signing keys of the exchange which periodically expire. .. _exchange-account-signing: Account signing --------------- The ``enable-account`` step is important to must be used to sign the ``payto://`` URI in a way suitable to convince wallets that this is the correct address to wire funds to. Note that for each bank account, additional options **must** be set in the configuration file to tell the exchange how to access the bank account. The offline tool *only* configures the externally visible portions of the setup. The chapter on `bank account configuration <_exchange-bank-account-configuration>`_ has further details. taler-exchange-offline accepts additional options to configure the use of the account. For example, additional options can be used to add currency conversion or to restrict interactions to bank accounts from certain countries: .. code-block:: console $ taler-exchange-offline \ enable-account payto://iban/CH9300762011623852957 conversion-url https://conversion.example.com/ For details on optional ``enable-account`` arguments, see :doc:`manpages/taler-exchange-offline.1`. .. _Wire-fee-structure: Wire fee structure ------------------ .. index:: wire fee .. index:: fee For each wire method (“iban” or “x-taler-bank”) the exchange must know about applicable wire fees. This is also done using the ``taler-exchange-offline`` tool: .. code-block:: console $ taler-exchange-offline wire-fee 2040 iban EUR:0.05 EUR:0.10 The above sets the wire fees for wire transfers involving ``iban`` accounts (in Euros) in the year 2040 to 5 cents (wire fee) and 10 cents (closing fee). The tool only supports setting fees that applies for the entire calendar year. We recommend provisioning an exchange with wire fees at least for the next two years. Note that once the fees have been set for a year, they cannot be changed (basically, by signing the fees the exchange makes a legally binding offer to the customers). .. index:: maintenance .. note:: Provisioning future wire fees, like provisioning future denomination and signing keys, are key regular maintenance procedures for every exchange operator. We recommend setting automated reminders for this maintenance activity! .. _Auditor-configuration: Auditor configuration --------------------- At this point, the exchange will be able to use those keys, but wallets and merchants may not yet trust them! Thus, the next step is for an auditor to affirm that they are auditing this exchange. Before an auditor can do this, the exchange service must be informed about any auditor that is expected to provision it with auditor signatures. This is also done using the ``taler-exchange-offline`` tool on the offline system. First, the auditor must be configured and provide the exchange operator with its public key (using ``taler-auditor-offline setup``) and the URL of it's REST API. The exchange operator also needs a human-readable name that may be shown to users to identify the auditor. For more information on how to setup and operate an auditor, see :doc:`manpages/taler-auditor-offline.1` and :doc:`taler-auditor-manual`. Given this information, the exchange operator can enable the auditor: .. code-block:: console $ taler-exchange-offline enable-auditor $PUB_KEY $REST_URL "$AUDITOR_NAME" > auditor.json As before, the *auditor.json* file must then be copied from the offline system to a system connected to the exchange and there ``uploaded`` to the exchange using ``taler-exchange-offline upload``. .. _Revocations: Revocations ----------- When an exchange goes out of business or detects that the private key of a denomination key pair has been compromised, it may revoke some or all of its denomination keys. At this point, the hashes of the revoked keys must be returned as part of the ``/keys`` response under “recoup”. Wallets detect this, and then return unspent coins of the respective denomination key using the ``/recoup`` API. To revoke a denomination key, you need to know the hash of the denomination public key, ``$HDP``. The ``$HDP`` value is usually included in the security report that is generated when a compromise is detected). Given this value, the key revocation can be approved on the offline system: .. code-block:: console $ taler-exchange-offline revoke-denominatin $HDP > revocation.json The resulting *revocation.json* must be copied to a system connected to the exchange and uploaded to the exchange using the ``upload`` subcommand of ``taler-exchange-offline``. .. note:: Denomination key revocations should only happen under highly unusual (“emergency”) conditions and not in normal operation. AML Configuration ================= The AML configuration steps are used to add or remove keys of exchange operator staff that are responsible for anti-money laundering (AML) compliance. These AML officers are shown suspicious transactions and are granted access to the KYC data of an exchange. They can then investigate the transaction and decide on freezing or permitting the transfer. They may also request additional KYC data from the consumer and can change the threshold amount above which a further AML review is triggered. AML Officer Setup ----------------- To begin the AML setup, AML staff should launch the GNU Taler exchange AML SPA Web interface. (FIXME-Sebastian: how?). The SPA will generate a public-private key pair and store it in the local storage of the browser. The public key will be displayed and must be securely transmitted to the offline system for approval. Using the offline system, one can then configure which staff has access to the AML operations: .. code-block:: shell-session [root@exchange-offline]# taler-exchange-offline \ aml-enable $PUBLIC_KEY "Legal Name" rw > aml.json [root@exchange-online]# taler-exchange-offline \ upload < aml.json The above commands would add an AML officer with the given "Legal Name" with read-write (rw) access to the AML officer database. Using "ro" instead of "rw" would grant read-only access to the data, leaving out the ability to actually make AML decisions. Once AML access has been granted, the AML officer can use the SPA to review cases and (with "rw" access) take AML decisions. Access rights can be revoked at any time using: .. code-block:: shell-session [root@exchange-offline]# taler-exchange-offline \ aml-disable $PUBLIC_KEY "Legal Name" > aml-off.json [root@exchange-online]# taler-exchange-offline \ upload < aml-off.json AML Triggers ------------ AML decision processes are automatically triggered under certain configurable conditions. The primary condition that *must* be configured is the ``AML_THRESHOLD``: .. code-block:: ini :caption: /etc/taler/conf.d/exchange-business.conf [exchange] # Accounts or wallets with monthly transaction volumes above this threshold # are considered suspicious and are automatically flagged for AML review # and put on hold until an AML officer has reached a decision. AML_THRESHOLD = "EUR:1000000" Additionally, certain KYC attributes (such as the user being a politically exposed person) may lead to an account being flagged for AML review. The specific logic is configured by providing the exchange with an external helper program that makes the decision given the KYC attributes: .. code-block:: ini :caption: /etc/taler/conf.d/exchange-business.conf [exchange] # Specifies a program to run on KYC attribute data to decide # whether we should immediately flag an account for AML review. KYC_AML_TRIGGER = taler-exchange-kyc-aml-pep-trigger.sh The given program will be given the KYC attributes in JSON format on standard input, and must return 0 to continue without AML and non-zero to flag the account for manual review. To disable this trigger, simply leave the option to its default value of '[/usr/bin/]true'. To flag all new users for manual review, simply set the program to '[/usr/bin/]false'. AML Forms --------- AML forms are defined by the DD 54 dynamic forms. The shipped implementation with of the exchange is installed in .. code-block:: shell-session ${INSTALL_PREFIX}/share/taler/exchange/spa/forms.js The variable ``form`` contains the list of all form available. For every entry in the list the next properties are expected to be present: ``label``: used in the UI as the name of the form ``id``: identification name, this will be saved in the exchange database along with the values to correctly render the form again. It should simple, short and without any character outside numbers, letters and underscore. ``version``: when editing a form, instead of just replacing fields it will be better to create a new form with the same id and new version. That way old forms in the database will used old definition of the form. It should be a number. ``impl`` : a function that returns the design and behavior of form. See DD 54 dynamic forms. .. attention:: do not remove a form the list if it has been used. Otherwise you won't be able to see the information save in the exchange database. To add a new one you can simply copy and paste one element, and edit it. It is much easier to download ``@gnu-taler/aml-backoffice-ui`` source from ``https://git.taler.net/wallet-core.git/``, compile and copy the file from the ``dist/prod``. AML Programs ------------ AML programs are helper programs that can: * Generate a list of *required* context field names for the helper (introspection!) using the "--required-context" command-line switch. The output should use the same syntax as the REQUIRES clause of ``[kyc-check-]`` configuration sections, except that new lines MUST be used to separate fields instead of ";". * Generate a list of *required* attribute names for the helper (introspection!) using the "--required-attributes" command-line switch. The output should use the same list of names as the ATTRIBUTES in the ``[kyc-provider-]`` configuration section (but may also include FORM field names). * Process an input JSON object of type `AmlProgramInput` into a JSON object of type `AmlOutcome`. This is the default behavior if no command-line switches are provided. .. ts:def:: AmlProgramInput interface AmlProgramInput { // JSON object that was provided as // part of the *measure*. This JSON object is // provided under "context" in the main JSON object // input to the AML program. This "context" should // satify both the REQUIRES clause of the respective // check and the output of "--requires" from the // AML program's command-line option. context?: Object; // JSON object that captures the // output of a ``[kyc-provider-]`` or (HTML) FORM. // The keys in the JSON object will be the attribute // names and the values must be strings representing // the data. In the case of file uploads, the data // MUST be base64-encoded. attributes: Object; // JSON array with the results of historic // AML desisions about the account. aml_history: AmlDecisionDetail[]; // JSON array with the results of historic // KYC data about the account. kyc_history: KycDetail[]; } .. ts:def:: AmlOutcome interface AmlOutcome { // Should the client's account be investigated // by AML staff? // Defaults to false. to_investigate?: boolean; // Free-form properties about the account. // Can be used to store properties such as PEP, // risk category, type of business, hits on // sanctions lists, etc. properties?: AccountProperties; // Types of events to add to the KYC events table. // (for statistics). events?: string[]; // KYC rules to apply. Note that this // overrides *all* of the default rules // until the ``expiration_time`` and specifies // the successor measure to apply after the // expiration time. new_rules: LegitimizationRuleSet; } If the AML program fails (exits with a failure code or does not provide well-formed JSON output) the AML/KYC process continues with the FALLBACK measure. This should usually be one that asks AML staff to contact the systems administrator. AML programs are listed in the configuration file, one program per section: .. code-block:: ini [aml-program-$PROG_NAME] # Program to run. COMMAND = taler-helper-aml-pep # Human-readable description of what this # AML helper program will do. Used to show # to the AML staff. DESCRIPTION = "check if the customer is a PEP" # True if this AML program is enabled (and thus can be # used in measures and exposed to AML staff). # Optional, default is NO. ENABLED = YES # **original** measure to take if COMMAND fails # Usually points to a measure that asks AML staff # to contact the systems administrator. The fallback measure # context always includes the reasons for the # failure. FALLBACK = MEASURE_NAME AML Measures ------------ The exchange configuration specifies a set of **original** *measures* one per configuration section: .. code-block:: ini [kyc-measure-$MEASURE_NAME] # Possible check for this measure. Optional. # If not given, PROGRAM should be run immediately # (on an empty set of attributes). CHECK_NAME = IB_FORM # Context for the check. The context can be # just an empty JSON object if there is none. CONTEXT = {"choices":["individual","business"]} # Program to run on the context and check data to # determine the outcome and next measure. PROGRAM = taler-aml-program If no ``CHECK_NAME`` is provided at all, the AML ``PROGRAM`` is to be run immediately. This is useful if no client-interaction is required to arrive at a decision. .. note:: The list of *measures* is not complete: AML staff may freely define new measures dynamically, usually by selecting checks, an AML program, and providing context. Setup Linting ============= The ``taler-wallet-cli`` package comes with an experimental tool that runs various checks on the current GNU Taler exchange deployment: .. code-block:: shell-session [root@exchange-online]# apt install taler-wallet-cli [root@exchange-online]# taler-wallet-cli deployment lint-exchange You can optionally pass the ``--debug`` option to get more verbose output, and ``--continue`` to continue with further checks even though a previous one has failed. Testing and Troubleshooting =========================== We recommend testing whether an exchange deployment is functional by using the Taler wallet command line interface. The tool can be used to withdraw and deposit electronic cash via the exchange without having to deploy and operate a separate merchant backend and storefront. The following shell session illustrates how the wallet can be used to withdraw electronic cash from the exchange and subsequently spend it. For these steps, a merchant backend is not required, as the wallet acts as a merchant. .. code-block:: shell-session # This will now output a payto URI that money needs to be sent to in order to allow withdrawal # of taler coins. $ taler-wallet-cli advanced withdraw-manually --exchange $EXCHANGE_URL --amount EUR:10.50 Show the status of the manual withdrawal operation. .. code-block:: shell-session $ taler-wallet-cli transactions At this point, a bank transfer to the exchange's bank account needs to be made with the correct subject / remittance information as instructed by the wallet after the first step. With the above configuration, it should take about 5 minutes after the wire transfer for the incoming transfer to be observed by the Nexus. Run the following command to check whether the exchange received an incoming bank transfer: .. code-block:: shell-session [root@exchange-online]# taler-exchange-wire-gateway-client \ --section exchange-accountcredentials-1 --credit-history Once the transfer has been made, try completing the withdrawal using: .. code-block:: shell-session $ taler-wallet-cli run-pending Afterwards, check the status of transactions and show the current wallet balance: .. code-block:: shell-session $ taler-wallet-cli transactions $ taler-wallet-cli balance Now, we can directly deposit coins via the exchange into a target account. (Usually, a payment is made via a merchant. The wallet provides this functionality for testing.) .. code-block:: shell-session $ taler-wallet-cli deposit create EUR:5 \ payto://iban/$IBAN?receiver-name=Name $ taler-wallet-cli run-pending Check if this transaction was successful (from the perspective of the wallet): .. code-block:: shell-session $ taler-wallet-cli transactions If the transaction failed, fix any open issue(s) with the exchange and run the "run-pending" command. The wallet can also track if the exchange wired the money to the merchant account. The "deposit group id" can be found in the output of the transactions list. .. code-block:: shell-session $ taler-wallet-cli deposit track $DEPOSIT_GROUP_ID You can also check using the exchange-tools whether the exchange sent the an outgoing transfer: .. code-block:: shell-session [root@exchange-online]# taler-exchange-wire-gateway-client \ --section exchange-accountcredentials-1 --debit-history After enough time has passed, the money should arrive at the specified IBAN. For more information on the taler-wallet-cli tool, see :doc:`taler-wallet`. taler-config ------------ .. _Using-taler_002dconfig-exchange: .. include:: frags/using-taler-config.rst Private key storage ------------------- Keeping the private keys the helpers create secret is paramount. If the private keys are lost, it is easy to provision fresh keys (with the help of the auditor). Thus, we recommend that the private keys of the crypto helpers are *not* backed up: in the rare event of a disk failure, they can be regenerated. However, we do recommend using RAID (1+1 or 1+1+1) for all disks of the system. .. _Internal-audit: Internal audits --------------- While an exchange should use an external auditor to attest to regulators that it is operating correctly, an exchange operator can also use the auditor's logic to perform internal checks. For this, an exchange operator can generally follow the auditor guide. However, instead of using ``taler-auditor-sync``, an internal audit can and likely should be performed either directly against the production exchange database or against a synchronous copy created using standard database replication techniques. After all, the exchange operator runs this for diagnostics and can generally trust its own database to maintain the database invariants. Running the auditor against a the original the production database (without using ``taler-auditor-sync``) enables the auditing logic to perform a few additional checks that can detect inconsistencies. These checks are enabled by passing the **-i** option to the ``taler-auditor`` command. As always, the resulting report should be read carefully to see if there are any problems with the setup. Reports are generally created incrementally, with ``taler-auditor`` reporting only incidents and balance changes that were not covered in previous reports. While it is possible to reset the auditor database and to restart the audit from the very beginning, this is generally not recommended as this may be too expensive. .. _Database-Scheme: Database Scheme --------------- The exchange database must be initialized using ``taler-exchange-dbinit``. This tool creates the tables required by the Taler exchange to operate. The tool also allows you to reset the Taler exchange database, which is useful for test cases but should never be used in production. Finally, ``taler-exchange-dbinit`` has a function to garbage collect a database, allowing administrators to purge records that are no longer required. The database scheme used by the exchange looks as follows: .. image:: images/exchange-db.png The ``jmeasures`` JSON in the ``legitimization_measures`` table is of type `LegitimizationMeasures`: .. ts:def:: LegitimizationMeasures interface LegitimizationMeasures { // Array of legitimization measures that // are to be applied. measures: MeasureInformation[]; // True if the client is expected to eventually satisfy all requirements. // Default (if missing) is false. is_and_combinator?: boolean; } .. _Database-upgrades: Database upgrades ----------------- Before installing a new exchange version, you should probably make a backup of the existing database and study the release notes on migration. In general, the way to migrate is to stop all existing Taler exchange processes and run: .. code-block:: console $ taler-exchange-dbinit This will migrate the existing schema to the new schema. You also may need to grant Taler exchange processes the rights to the new tables (see last step of database setup). .. note:: The **taler-exchange-dbconfig** tool can be used to automate the database migration. In general, simply invoking it again should trigger the migration including **taler-exchange-dbinit** and setting the permissions. If you do not want to keep any data from the previous installation, the exchange database can be fully re-initialized using: .. code-block:: console $ taler-exchange-dbinit --reset However, running this command will result in all data in the database being lost, which may result in significant financial liabilities as the exchange can then not detect double-spending. Hence this operation must not be performed in a production system. You still also need to then grant the permissions to the other exchange processes again. .. _ExchangeTemplateCustomization: Template Customization ====================== The Exchange comes with various HTML templates that are shown to guide users through the KYC process. The Exchange uses `C implementation of mustache `__ as the templating engine. This section describes the various templates. In general, the templates must be installed to the ``share/taler/exchange/templates/`` directory. The file names must be of the form ``$NAME.$LANG.must`` where ``$NAME`` is the name of the template and ``$LANG`` is the 2-letter language code of the template. English templates must exist and will be used as a fallback. If the browser (user-agent) has provided language preferences in the HTTP header and the respective language exists, the correct language will be automatically served. The following subsections give details about each of the templates. Most subsection titles are the ``$NAME`` of the respective template. Generic Errors Templates ------------------------ A number of templates are used for generic errors. These are: * kyc-proof-already-done (KYC process already completed) * kyc-bad-request (400 Bad Request) * kyc-proof-endpoint-unknown (404 Not Found for KYC logic) * kyc-proof-internal-error (500 Internal Server Error) * kyc-proof-target-unknown (404 Not Found for KYC operation) All of these templates are instantiated using the following information: * ec: Integer; numeric Taler error code, should be shown to indicate the error compactly for reporting to developers * hint: String; human-readable Taler error code, should be shown for the user to understand the error * message: String; optional, extended human-readable text provided to elaborate on the error, should be shown to provide additional context kycaid-invalid-request ---------------------- The KYCaid plugin does not support requests to the ``/kyc-proof/`` endpoint (HTTP 400 bad request). This template is instantiated using the following information: * ec: Integer; numeric Taler error code, should be shown to indicate the error compactly for reporting to developers * hint: String; human-readable Taler error code, should be shown for the user to understand the error * error: String; error code from the server * error_details: String; optional error description from the server * error_uri: optional URI with further details about the error from the server oauth2-authentication-failure ----------------------------- The OAuth2 server said that the request was not properly authenticated (HTTP 403 Forbidden). This template is instantiated using the following information: * ec: Integer; numeric Taler error code, should be shown to indicate the error compactly for reporting to developers * hint: String; human-readable Taler error code, should be shown for the user to understand the error oauth2-authorization-failure ---------------------------- The OAuth2 server refused to return the KYC data because the authorization code provided was invalid (HTTP 403 Forbidden). This template is instantiated using the following information: * ec: Integer; numeric Taler error code, should be shown to indicate the error compactly for reporting to developers * hint: String; human-readable Taler error code, should be shown for the user to understand the error * error: String; error code from the server * error_message: String; error message from the server oauth2-authorization-failure-malformed -------------------------------------- The server refused the authorization, but then provided a malformed response (HTTP 502 Bad Gateway). This template is instantiated using the following information: * ec: Integer; numeric Taler error code, should be shown to indicate the error compactly for reporting to developers * hint: String; human-readable Taler error code, should be shown for the user to understand the error * debug: Bool; true if we are running in debug mode and are allowed to return HTML with potentially sensitive information * server_response: Object; could be NULL; this includes the (malformed) OAuth2 server response, it should be shown to the use if "debug" is true oauth2-bad-request ------------------ The client made an invalid request (HTTP 400 Bad Request). This template is instantiated using the following information: * ec: Integer; numeric Taler error code, should be shown to indicate the error compactly for reporting to developers * hint: String; human-readable Taler error code, should be shown for the user to understand the error * message: String; additional error message elaborating on what was bad about the request oauth2-conversion-failure ------------------------- Converting the KYC data into the exchange's internal format failed (HTTP 502 Bad Gateway). This template is instantiated using the following information: * ec: Integer; numeric Taler error code, should be shown to indicate the error compactly for reporting to developers * hint: String; human-readable Taler error code, should be shown for the user to understand the error * debug: Bool; true if we are running in debug mode and are allowed to return HTML with potentially sensitive information * converter: String; name of the conversion command that failed which was used by the Exchange * attributes: Object; attributes returned by the conversion command, often NULL (after all, conversion failed) * message: error message elaborating on the conversion failure oauth2-provider-failure ----------------------- We did not get an acceptable response from the OAuth2 provider (HTTP 502 Bad Gateway). This template is instantiated using the following information: * ec: Integer; numeric Taler error code, should be shown to indicate the error compactly for reporting to developers * hint: String; human-readable Taler error code, should be shown for the user to understand the error * message: String; could be NULL; text elaborating on the details of the failure persona-exchange-unauthorized ----------------------------- The Persona server refused our request (HTTP 403 Forbidden from Persona, returned as a HTTP 502 Bad Gateway). This template is instantiated using the following information: * ec: Integer; numeric Taler error code, should be shown to indicate the error compactly for reporting to developers * hint: String; human-readable Taler error code, should be shown for the user to understand the error * data: Object; data returned from Persona service, optional * persona_http_status: Integer; HTTP status code returned by Persona persona-load-failure -------------------- The Persona server refused our request (HTTP 429 Too Many Requests from Persona, returned as a HTTP 503 Service Unavailable). This template is instantiated using the following information: * ec: Integer; numeric Taler error code, should be shown to indicate the error compactly for reporting to developers * hint: String; human-readable Taler error code, should be shown for the user to understand the error * data: Object; data returned from Persona service, optional * persona_http_status: Integer; HTTP status code returned by Persona persona-exchange-unpaid ----------------------- The Persona server refused our request (HTTP 402 Payment REquired from Persona, returned as a HTTP 503 Service Unavailable). This template is instantiated using the following information: * ec: Integer; numeric Taler error code, should be shown to indicate the error compactly for reporting to developers * hint: String; human-readable Taler error code, should be shown for the user to understand the error * data: Object; data returned from Persona service, optional * persona_http_status: Integer; HTTP status code returned by Persona persona-logic-failure --------------------- The Persona server refused our request (HTTP 400, 403, 409, 422 from Persona, returned as a HTTP 502 Bad Gateway). This template is instantiated using the following information: * ec: Integer; numeric Taler error code, should be shown to indicate the error compactly for reporting to developers * hint: String; human-readable Taler error code, should be shown for the user to understand the error * data: Object; data returned from Persona service, optional * persona_http_status: Integer; HTTP status code returned by Persona persona-invalid-response ------------------------ The Persona server refused our request in an unexpected way; returned as a HTTP 502 Bad Gateway. This template is instantiated using the following information: * ec: Integer; numeric Taler error code, should be shown to indicate the error compactly for reporting to developers * hint: String; human-readable Taler error code, should be shown for the user to understand the error * debug: Bool; true if we are running in debug mode and are allowed to return HTML with potentially sensitive information * server_response: Object; could be NULL; this includes the (malformed) OAuth2 server response, it should be shown to the use if "debug" is true persona-network-timeout ----------------------- The Persona server refused our request (HTTP 408 from Persona, returned as a HTTP 504 Gateway Timeout). This template is instantiated using the following information: * ec: Integer; numeric Taler error code, should be shown to indicate the error compactly for reporting to developers * hint: String; human-readable Taler error code, should be shown for the user to understand the error * data: Object; data returned from Persona service, optional * persona_http_status: Integer; HTTP status code returned by Persona persona-kyc-failed ------------------ The Persona server indicated a problem with the KYC process, saying it was not completed. This template is instantiated using the following information: * persona_inquiry_id: String; internal ID of the inquiry within Persona, useful for further diagnostics by staff * data: Object; could be NULL; this includes the server response, it contains extensive diagnostics, see Persona documentation on their ``/api/v1/inquiries/$ID``. * persona_http_status: Integer; HTTP status code returned by Persona persona-provider-failure ------------------------ The Persona server refused our request (HTTP 500 from Persona, returned as a HTTP 502 Bad Gateway). This template is instantiated using the following information: * ec: Integer; numeric Taler error code, should be shown to indicate the error compactly for reporting to developers * hint: String; human-readable Taler error code, should be shown for the user to understand the error * data: Object; data returned from Persona service, optional * persona_http_status: Integer; HTTP status code returned by Persona .. _ExchangeBenchmarking: Benchmarking ============ This chapter describes how to run various benchmarks against a Taler exchange. These benchmark can be used to measure the performance of the exchange by running a (possibly large) number of simulated clients against one Taler deployment with a bank, exchange and (optionally) auditor. Real benchmarks that are intended to demonstrate the scalability of GNU Taler should not use the tools presented in this section: they may be suitable for microbenchmarking and tuning, but the setup is inherently not optimzied for performance or realism, both for the load generation and the server side. Thus, we do not recommend using these performance numbers to assess the scalability of GNU Taler. That said, the tools can be useful to help identify performance issues. The ``taler-unified-setup.sh`` script can be used to launch all required services and clients. However, the resulting deployment is simplistic (everything on the local machine, one single-threaded process per service type) and not optimized for performance at all. However, this can still be useful to assess the performance impact of changes to the code or configuration. The various configuration files used in the code snippets in this section can be found in the ``src/benchmark/`` directory of the exchange. These are generally intended as starting points. Note that the configuration files ending in ``.edited`` are created by ``taler-unified-setup.sh`` and contain some options that are determined at runtime by the setup logic provided by ``taler-unified-setup.sh``. .. _Benchmark-choose-bank: Choosing a bank --------------- For the bank, both a fakebank (``-f``) and libeufin-based (``-ns``) bank deployment are currently supported by all benchmark tools and configuration templates. Fakebank is an ultra-fast in-memory implementation of the Taler bank API. It is suitable when the goal is to benchmark the core GNU Taler payment system and to ignore the real-time gross settlement (RTGS) system typically provided by an existing bank. When using the fakebank, ``taler-unified-setup.sh`` must be started with the ``-f`` option and be told to use the right exchange bank account from the configuration files via ``-u exchange-account-1``. .. code-block:: console $ dropdb talercheck; createdb talercheck $ taler-unified-setup.sh -emwt -c $CONF -f -u exchange-account-1 libeufin is GNU Taler's adapter to the core banking system using the EBICS banking protocol standard. It uses a Postgres database to persist data and is thus much slower than fakebank. If your GNU Taler deployment uses libeufin in production, it likely makes sense to benchmark with libeufin. When using the fakebank, ``taler-unified-setup.sh`` must be started with the ``-ns`` options (starting libeufin-nexus and libeufin-bank) and be told to use the right exchange bank account from the configuration files via ``-u exchange-account-2``. Note that ``taler-unified-setup.sh`` currently cannot reset a libeufin database, and also will not run if the database is already initialized. Thus, you must re-create the database every time before running the command: .. code-block:: console $ dropdb talercheck; createdb talercheck $ taler-unified-setup.sh -emwt -c $CONF -ns -u exchange-account-2 taler-bank-benchmark -------------------- This is the simplest benchmarking tool, simulating only the bank interaction. .. code-block:: console $ CONF="benchmark-cs.conf" $ # or with libeufin $ dropdb talercheck; createdb talercheck $ taler-unified-setup.sh -emwt -c "$CONF" -f -u exchange-account-1 $ # Once <>, in another shell (remember to set $CONF): $ time taler-bank-benchmark -c "$CONF" -r 40 -p 4 -P4 -u exchange-account-1 -f $ # or with libeufin $ dropdb talercheck; createdb talercheck $ taler-unified-setup.sh -emwt -c "$CONF" -ns -u exchange-account-2 $ # Once <>, in another shell (remember to set $CONF): $ time taler-bank-benchmark -c "$CONF" -r 40 -p 1 -P1 -u exchange-account-2 For each *parallel* (``-p``) client, a number of *reserves* (``-r``) is first established by **transferring** money from a "user" account (42) to the Exchange's account with the respective reserve public key as wire subject. Processing is then handled by *parallel* (``-P``) service workers. taler-exchange-benchmark ------------------------ This is the benchmarking tool simulates a number of clients withdrawing, depositing and refreshing coins. Operations that are not covered by the ``taler-exchange-benchmark`` tool today include closing reserves, refunds, recoups and P2P payments. .. code-block:: console $ CONF="benchmark-cs.conf" # -rsa also makes sense $ # With fakebank $ dropdb talercheck; createdb talercheck $ taler-unified-setup.sh -aemwt -c "$CONF" -f -u exchange-account-1 $ # Once <>, in another shell (remember to set $CONF): $ taler-exchange-benchmark -c "$CONF".edited -u exchange-account-1 -n 1 -p1 -r 5 -f $ # $ # With libeufin $ dropdb talercheck; createdb talercheck $ taler-unified-setup.sh -aemwt -c "$CONF" -ns -u exchange-account-2 $ # Once <>, in another shell (remember to set $CONF): $ taler-exchange-benchmark -c "$CONF".edited -u exchange-account-2 -L WARNING -n 1 -p1 -r 5 For each *parallel* (``-p``) client, a number of *reserves* (``-r``) is first established by **transferring** money from a "user" account (42) to the Exchange's account with the respective reserve public key as wire subject. Next, the client will **withdraw** a *number of coins* (``-n``) from the reserve and **deposit** them. Additionally, a *fraction* (``-R``) of the dirty coins will then be subject to **refreshing**. For some deposits, the auditor will receive **deposit confirmations**. The output of ``taler-exchange-benchmark`` will include for each parallel client the total time spent in each of the major operations, possible repetitions (i.e. if the operation failed the first time), total execution time (operating system and user space) and other details. taler-aggregator-benchmark -------------------------- This is another simple benchmark tool that merely prepares an exchange database to run a stand-alone benchmark of the ``taler-exchange-aggregator`` tool. After preparing a database and running the tool, you can then run one or more ``taler-exchange-aggregator`` processes and measure how quickly they perform the aggregation work. .. code-block:: console $ CONF=benchmark-rsa.conf $ taler-exchange-dbinit -c "$CONF" --reset $ ./taler-aggregator-benchmark -c "$CONF" -m 500 -r 10 -d 100 $ time taler-exchange-aggregator -c "$CONF" --test This above commands will first create 100 deposits with 10 refunds into each of 500 merchant accounts using randomized time stamps. Afterwards, it will time a single aggregator process in ``--test`` mode (asking it to terminate as soon as there is no more pending work). FIXMEs ====== * We should have some summary with the inventory of services that should be running. Systemd by default doesn't show this nicely. Maybe suggest running "systemd list-dependencies taler-exchange.target"? * What happens when the TWG doesn't like one particular outgoing transaction? How to recover from that as a sysadmin when it happens in practice?