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create trigger [dbo].[TR_AUCTIONPURCHASEADJUSTMENT_INSERTUPDATE_CURRENCY] on [dbo].[AUCTIONPURCHASEADJUSTMENT] after insert, update not for replication as begin set nocount on; declare @ORGANIZATIONCURRENCYID uniqueidentifier = dbo.UFN_CURRENCY_GETORGANIZATIONCURRENCY(); -- if we try to save an amount without explicitly setting an organization amount and an exchange rate, -- copy the amount to the organization and transaction amounts. if update(PREVIOUSAMOUNT) update dbo.AUCTIONPURCHASEADJUSTMENT set AUCTIONPURCHASEADJUSTMENT.ORGANIZATIONPREVIOUSAMOUNT = AUCTIONPURCHASEADJUSTMENT.PREVIOUSAMOUNT, AUCTIONPURCHASEADJUSTMENT.TRANSACTIONPREVIOUSAMOUNT = AUCTIONPURCHASEADJUSTMENT.PREVIOUSAMOUNT, AUCTIONPURCHASEADJUSTMENT.BASECURRENCYID = @ORGANIZATIONCURRENCYID, AUCTIONPURCHASEADJUSTMENT.TRANSACTIONCURRENCYID = @ORGANIZATIONCURRENCYID, AUCTIONPURCHASEADJUSTMENT.CHANGEDBYID = AUCTIONPURCHASEADJUSTMENT.CHANGEDBYID, AUCTIONPURCHASEADJUSTMENT.DATECHANGED = AUCTIONPURCHASEADJUSTMENT.DATECHANGED from inserted inner join dbo.AUCTIONPURCHASEADJUSTMENT on inserted.ID = AUCTIONPURCHASEADJUSTMENT.ID where AUCTIONPURCHASEADJUSTMENT.ORGANIZATIONEXCHANGERATEID is null and (AUCTIONPURCHASEADJUSTMENT.BASECURRENCYID is null or AUCTIONPURCHASEADJUSTMENT.BASECURRENCYID = @ORGANIZATIONCURRENCYID) and AUCTIONPURCHASEADJUSTMENT.BASEEXCHANGERATEID is null and (AUCTIONPURCHASEADJUSTMENT.TRANSACTIONCURRENCYID is null or AUCTIONPURCHASEADJUSTMENT.TRANSACTIONCURRENCYID = @ORGANIZATIONCURRENCYID) and ( AUCTIONPURCHASEADJUSTMENT.ORGANIZATIONPREVIOUSAMOUNT <> AUCTIONPURCHASEADJUSTMENT.PREVIOUSAMOUNT or AUCTIONPURCHASEADJUSTMENT.TRANSACTIONPREVIOUSAMOUNT <> AUCTIONPURCHASEADJUSTMENT.PREVIOUSAMOUNT or AUCTIONPURCHASEADJUSTMENT.PREVIOUSAMOUNT = 0 ) end |