TR_PROPERTYDETAILGLDISTRIBUTION_INSERTUPDATE_CURRENCY
Definition
Copy
CREATE trigger [dbo].[TR_PROPERTYDETAILGLDISTRIBUTION_INSERTUPDATE_CURRENCY] on [dbo].[PROPERTYDETAILGLDISTRIBUTION]
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(AMOUNT)
update
dbo.PROPERTYDETAILGLDISTRIBUTION
set
PROPERTYDETAILGLDISTRIBUTION.ORGANIZATIONAMOUNT = PROPERTYDETAILGLDISTRIBUTION.AMOUNT,
PROPERTYDETAILGLDISTRIBUTION.TRANSACTIONAMOUNT = PROPERTYDETAILGLDISTRIBUTION.AMOUNT,
PROPERTYDETAILGLDISTRIBUTION.BASECURRENCYID = @ORGANIZATIONCURRENCYID,
PROPERTYDETAILGLDISTRIBUTION.TRANSACTIONCURRENCYID = @ORGANIZATIONCURRENCYID,
PROPERTYDETAILGLDISTRIBUTION.CHANGEDBYID = PROPERTYDETAILGLDISTRIBUTION.CHANGEDBYID,
PROPERTYDETAILGLDISTRIBUTION.DATECHANGED = PROPERTYDETAILGLDISTRIBUTION.DATECHANGED
from
inserted
inner join
dbo.PROPERTYDETAILGLDISTRIBUTION on inserted.ID = PROPERTYDETAILGLDISTRIBUTION.ID
where
PROPERTYDETAILGLDISTRIBUTION.ORGANIZATIONEXCHANGERATEID is null
and (PROPERTYDETAILGLDISTRIBUTION.BASECURRENCYID is null or PROPERTYDETAILGLDISTRIBUTION.BASECURRENCYID = @ORGANIZATIONCURRENCYID)
and PROPERTYDETAILGLDISTRIBUTION.BASEEXCHANGERATEID is null
and (PROPERTYDETAILGLDISTRIBUTION.TRANSACTIONCURRENCYID is null or PROPERTYDETAILGLDISTRIBUTION.TRANSACTIONCURRENCYID = @ORGANIZATIONCURRENCYID)
and
(
PROPERTYDETAILGLDISTRIBUTION.ORGANIZATIONAMOUNT <> PROPERTYDETAILGLDISTRIBUTION.AMOUNT
or PROPERTYDETAILGLDISTRIBUTION.TRANSACTIONAMOUNT <> PROPERTYDETAILGLDISTRIBUTION.AMOUNT
or PROPERTYDETAILGLDISTRIBUTION.AMOUNT = 0
)
end