STOCKSALEGLDISTRIBUTION

Fields

Field Field Type Null Description
ID uniqueidentifier
STOCKSALEID uniqueidentifier yes
GLPAYMENTMETHODREVENUETYPEMAPPINGID uniqueidentifier
PROJECT nvarchar(100)
REFERENCE nvarchar(255)
AMOUNT money
ACCOUNT nvarchar(100)
TRANSACTIONTYPECODE tinyint
TRANSACTIONTYPE nvarchar(6) yes
GLTRANSACTIONID uniqueidentifier
OUTDATED bit
REVENUEID uniqueidentifier yes
ADDEDBYID uniqueidentifier
CHANGEDBYID uniqueidentifier
DATEADDED datetime
DATECHANGED datetime
TS timestamp
TSLONG bigint yes
BASECURRENCYID uniqueidentifier yes
ORGANIZATIONAMOUNT money
ORGANIZATIONEXCHANGERATEID uniqueidentifier yes
TRANSACTIONAMOUNT money
TRANSACTIONCURRENCYID uniqueidentifier yes
BASEEXCHANGERATEID uniqueidentifier yes

Definition

Copy

  CREATE view dbo.STOCKSALEGLDISTRIBUTION with schemabinding as 
    select 
    JOURNALENTRY_EXT.GLTRANSACTIONID as ID,
    JOURNALENTRY_EXT.STOCKSALEID,
    isnull(JOURNALENTRY_EXT.GLPAYMENTMETHODREVENUETYPEMAPPINGID,'00000000-0000-0000-0000-000000000000') as GLPAYMENTMETHODREVENUETYPEMAPPINGID,
    JOURNALENTRY_EXT.PROJECT,
    JOURNALENTRY.COMMENT as REFERENCE,        
    JOURNALENTRY.BASEAMOUNT as AMOUNT,
    isnull(coalesce(GLACCOUNT.ACCOUNTNUMBER,JOURNALENTRY_EXT.ACCOUNT,''),'') as ACCOUNT,
    JOURNALENTRY.TRANSACTIONTYPECODE,
    case JOURNALENTRY.TRANSACTIONTYPECODE
      when 0 then N'Debit' 
      when 1 then N'Credit' 
    end as TRANSACTIONTYPE,
    JOURNALENTRY.ID as GLTRANSACTIONID,
    JOURNALENTRY_EXT.OUTDATED,
    JOURNALENTRY_EXT.LOGICALREVENUEID as REVENUEID,        
    JOURNALENTRY_EXT.ADDEDBYID,
    JOURNALENTRY_EXT.CHANGEDBYID,
    JOURNALENTRY_EXT.DATEADDED,
    JOURNALENTRY_EXT.DATECHANGED,
    JOURNALENTRY_EXT.TS,
    JOURNALENTRY_EXT.TSLONG,
    case when CURRENCYSET.BASECURRENCYID = '00000000-0000-0000-0000-000000000000' then null else CURRENCYSET.BASECURRENCYID end BASECURRENCYID,
    JOURNALENTRY.ORGAMOUNT as ORGANIZATIONAMOUNT,
    FINANCIALTRANSACTION.ORGEXCHANGERATEID as ORGANIZATIONEXCHANGERATEID,
    JOURNALENTRY.TRANSACTIONAMOUNT as TRANSACTIONAMOUNT, 
    coalesce(JOURNALENTRY.TRANSACTIONCURRENCYID,FINANCIALTRANSACTION.TRANSACTIONCURRENCYID,'') as TRANSACTIONCURRENCYID,    
    FINANCIALTRANSACTION.BASEEXCHANGERATEID

    from dbo.JOURNALENTRY 
    inner join dbo.FINANCIALTRANSACTIONLINEITEM on JOURNALENTRY.FINANCIALTRANSACTIONLINEITEMID = FINANCIALTRANSACTIONLINEITEM.ID 
    inner join dbo.FINANCIALTRANSACTION on FINANCIALTRANSACTIONLINEITEM.FINANCIALTRANSACTIONID = FINANCIALTRANSACTION.ID 
    inner join dbo.JOURNALENTRY_EXT on JOURNALENTRY.ID = JOURNALENTRY_EXT.ID and JOURNALENTRY_EXT.TABLENAMECODE = 11
    left outer join dbo.GLACCOUNT on JOURNALENTRY.GLACCOUNTID = GLACCOUNT.ID
    inner join dbo.PDACCOUNTSYSTEM on FINANCIALTRANSACTION.PDACCOUNTSYSTEMID = PDACCOUNTSYSTEM.ID
    inner join dbo.CURRENCYSET on PDACCOUNTSYSTEM.CURRENCYSETID = CURRENCYSET.ID
        --where FINANCIALTRANSACTIONLINEITEM.DELETEDON is null