TR_BANKACCOUNT_AUDIT_UPDATE
Definition
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/*
Generated by Blackbaud AppFx Platform
Date: 3/19/2013 1:11:27 AM
Assembly Version: Blackbaud.AppFx.Platform.SqlClr, Version=3.0.504.0, Culture=neutral, PublicKeyToken=null
Copyright Blackbaud
*/
CREATE TRIGGER dbo.TR_BANKACCOUNT_AUDIT_UPDATE ON dbo.BANKACCOUNT AFTER UPDATE NOT FOR REPLICATION
AS
declare @ChangeAgentID uniqueidentifier
declare @AuditKey uniqueidentifier
declare @AuditDate datetime
declare @DateChanged datetime
set nocount on
set @DateChanged = null
set @ChangeAgentID = null
-- make sure the datestamp and changeagent fields are updated
if not update(CHANGEDBYID)
begin
--Get a default changeagent id. Applications should always explicitly included CHANGEDBYID in any updates to avoid a default change agent id.
exec dbo.USP_CHANGEAGENT_GETORCREATECHANGEAGENTFROMCONTEXT @ChangeAgentID output
IF not update(DATECHANGED)
begin
-- neither datechanged nor changedbyid were updated, so update both
set @DateChanged = GetDate()
update dbo.BANKACCOUNT set CHANGEDBYID = @ChangeAgentID, DATECHANGED = @DateChanged from dbo.BANKACCOUNT inner join INSERTED on BANKACCOUNT.ID = INSERTED.ID
end
else
-- date changed was updated, but changedbyid wasn't so just update changedbyid
update dbo.BANKACCOUNT set CHANGEDBYID = @ChangeAgentID from dbo.BANKACCOUNT inner join INSERTED on BANKACCOUNT.ID = INSERTED.ID
end
else if not update(DATECHANGED)
begin
set @DateChanged = GetDate()
update dbo.BANKACCOUNT set DATECHANGED = @DateChanged from dbo.BANKACCOUNT inner join INSERTED on BANKACCOUNT.ID = INSERTED.ID
end
--peform the audit
if dbo.UFN_AUDITENABLED('BANKACCOUNT') = 1
begin
-- the audit key is used to associate the rows in the audit table with a single atomic deletion/modification
-- we pre-fetch the audit date to make sure both rows contain exactly the same date value.
set @AuditKey = NewID()
set @AuditDate = GetDate()
INSERT INTO dbo.BANKACCOUNTAUDIT(
AUDITRECORDID,
AUDITKEY,
AUDITCHANGEAGENTID,
AUDITDATE,
AUDITTYPECODE,
[BANKID],
[ACCOUNTNUMBER],
[ROUTINGNUMBER],
[ACCOUNTTYPECODE],
[STATUSCODE],
[MINIMUMBALANCE],
[DEFAULTPRINTER],
[RECONCILED],
[DATELASTRECONCILED],
[RECONCILEDBALANCE],
[PRINTCONTACTPOSITION],
[LASTDEPOSITNUM],
[ADDEDBYID],
[CHANGEDBYID],
[DATEADDED],
[DATECHANGED],
[ACCOUNTNAME],
[DEFAULTCASHACCOUNTTYPECODE],
[GLACCOUNTID],
[PDACCOUNTSEGMENTVALUEID],
[CLIENTNAME],
[USERNUMBER],
[SORTCODE],
[PDACCOUNTSYSTEMID],
[TRANSACTIONCURRENCYID],
[BANKINGSYSTEMID],
[BIC],
[BANKCODE]
)
SELECT
ID,
@AuditKey,
COALESCE(@ChangeAgentID,(SELECT CHANGEDBYID FROM INSERTED WHERE INSERTED.ID=DELETED.ID)), --If explicitly updating CHANGEDBYID, use that, else use the the one default one fetched above
@AuditDate,
0, --Before Update
[BANKID],
[ACCOUNTNUMBER],
[ROUTINGNUMBER],
[ACCOUNTTYPECODE],
[STATUSCODE],
[MINIMUMBALANCE],
[DEFAULTPRINTER],
[RECONCILED],
[DATELASTRECONCILED],
[RECONCILEDBALANCE],
[PRINTCONTACTPOSITION],
[LASTDEPOSITNUM],
[ADDEDBYID],
[CHANGEDBYID],
[DATEADDED],
[DATECHANGED],
[ACCOUNTNAME],
[DEFAULTCASHACCOUNTTYPECODE],
[GLACCOUNTID],
[PDACCOUNTSEGMENTVALUEID],
[CLIENTNAME],
[USERNUMBER],
[SORTCODE],
[PDACCOUNTSYSTEMID],
[TRANSACTIONCURRENCYID],
[BANKINGSYSTEMID],
[BIC],
[BANKCODE]
FROM DELETED
INSERT INTO dbo.BANKACCOUNTAUDIT(
AUDITRECORDID,
AUDITKEY,
AUDITCHANGEAGENTID,
AUDITDATE,
AUDITTYPECODE,
[BANKID],
[ACCOUNTNUMBER],
[ROUTINGNUMBER],
[ACCOUNTTYPECODE],
[STATUSCODE],
[MINIMUMBALANCE],
[DEFAULTPRINTER],
[RECONCILED],
[DATELASTRECONCILED],
[RECONCILEDBALANCE],
[PRINTCONTACTPOSITION],
[LASTDEPOSITNUM],
[ADDEDBYID],
[CHANGEDBYID],
[DATEADDED],
[DATECHANGED],
[ACCOUNTNAME],
[DEFAULTCASHACCOUNTTYPECODE],
[GLACCOUNTID],
[PDACCOUNTSEGMENTVALUEID],
[CLIENTNAME],
[USERNUMBER],
[SORTCODE],
[PDACCOUNTSYSTEMID],
[TRANSACTIONCURRENCYID],
[BANKINGSYSTEMID],
[BIC],
[BANKCODE]
)
SELECT
ID,
@AuditKey,
COALESCE(@ChangeAgentID,CHANGEDBYID), --If explicitly updating CHANGEDBYID, use that, else use the the one default one fetched above
@AuditDate,
1, --After Update
[BANKID],
[ACCOUNTNUMBER],
[ROUTINGNUMBER],
[ACCOUNTTYPECODE],
[STATUSCODE],
[MINIMUMBALANCE],
[DEFAULTPRINTER],
[RECONCILED],
[DATELASTRECONCILED],
[RECONCILEDBALANCE],
[PRINTCONTACTPOSITION],
[LASTDEPOSITNUM],
[ADDEDBYID],
coalesce(@ChangeAgentID, [CHANGEDBYID]),
[DATEADDED],
coalesce(@DateChanged, [DATECHANGED]),
[ACCOUNTNAME],
[DEFAULTCASHACCOUNTTYPECODE],
[GLACCOUNTID],
[PDACCOUNTSEGMENTVALUEID],
[CLIENTNAME],
[USERNUMBER],
[SORTCODE],
[PDACCOUNTSYSTEMID],
[TRANSACTIONCURRENCYID],
[BANKINGSYSTEMID],
[BIC],
[BANKCODE]
FROM INSERTED
end