TR_REVENUEGLDISTRIBUTION_INSERTUPDATE_CURRENCY

Definition

Copy


                    CREATE trigger [dbo].[TR_REVENUEGLDISTRIBUTION_INSERTUPDATE_CURRENCY] on [dbo].[REVENUEGLDISTRIBUTION] 
                    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.REVENUEGLDISTRIBUTION
                            set
                                REVENUEGLDISTRIBUTION.ORGANIZATIONAMOUNT = REVENUEGLDISTRIBUTION.AMOUNT,
                                REVENUEGLDISTRIBUTION.TRANSACTIONAMOUNT = REVENUEGLDISTRIBUTION.AMOUNT,
                                REVENUEGLDISTRIBUTION.BASECURRENCYID = @ORGANIZATIONCURRENCYID,
                                REVENUEGLDISTRIBUTION.TRANSACTIONCURRENCYID = @ORGANIZATIONCURRENCYID,
                                REVENUEGLDISTRIBUTION.CHANGEDBYID = REVENUEGLDISTRIBUTION.CHANGEDBYID,
                                REVENUEGLDISTRIBUTION.DATECHANGED = REVENUEGLDISTRIBUTION.DATECHANGED
                            from
                                inserted
                            full outer join deleted on deleted.ID = inserted.ID -- this is used to figure out if we are inserting or updating

                            inner join
                                dbo.REVENUEGLDISTRIBUTION on inserted.ID = REVENUEGLDISTRIBUTION.ID
                            where
                                REVENUEGLDISTRIBUTION.ORGANIZATIONEXCHANGERATEID is null
                                and (REVENUEGLDISTRIBUTION.BASECURRENCYID is null or REVENUEGLDISTRIBUTION.BASECURRENCYID = @ORGANIZATIONCURRENCYID)
                                and REVENUEGLDISTRIBUTION.BASEEXCHANGERATEID is null
                                and (REVENUEGLDISTRIBUTION.TRANSACTIONCURRENCYID is null or REVENUEGLDISTRIBUTION.TRANSACTIONCURRENCYID = @ORGANIZATIONCURRENCYID)
                                and 
                                (
                                    REVENUEGLDISTRIBUTION.ORGANIZATIONAMOUNT <> REVENUEGLDISTRIBUTION.AMOUNT
                                    or REVENUEGLDISTRIBUTION.TRANSACTIONAMOUNT <> REVENUEGLDISTRIBUTION.AMOUNT
                                    or REVENUEGLDISTRIBUTION.AMOUNT = 0
                                )
                                and ((deleted.ID is null and inserted.BASECURRENCYID is null) or (deleted.ID is not null and deleted.TRANSACTIONAMOUNT = deleted.AMOUNT and deleted.ORGANIZATIONAMOUNT = deleted.AMOUNT))
                    end