USP_BENEFIT_GETGLDISTRIBUTION_CUSTOMUPDATEFROMXML_LIABILITY

Stored procedure to update unposted Benefit Liability GL distribution records from the given xml collection.

Parameters

Parameter Parameter Type Mode Description
@REVENUEID uniqueidentifier IN
@XML xml IN
@POSTDATE datetime IN
@CHANGEAGENTID uniqueidentifier IN
@CHANGEDATE datetime IN

Definition

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            CREATE procedure dbo.USP_BENEFIT_GETGLDISTRIBUTION_CUSTOMUPDATEFROMXML_LIABILITY
            (
                @REVENUEID uniqueidentifier,
                @XML xml,
                @POSTDATE datetime,
                @CHANGEAGENTID uniqueidentifier = null,
                @CHANGEDATE datetime = null
            )

            as

            set nocount on;

            if @CHANGEAGENTID is null
                exec USP_CHANGEAGENT_GETORCREATECHANGEAGENT @CHANGEAGENTID output

            if @CHANGEDATE is null 
                set @CHANGEDATE = getdate()

            -- build a temporary table containing the values from the XML

            declare @TempTbl table (
               [ACCOUNT] nvarchar(100),
               [AMOUNT] money,
               [GLPAYMENTMETHODREVENUETYPEMAPPINGID] uniqueidentifier,
               [ID] uniqueidentifier,
               [PROJECT] nvarchar(100),
               [REFERENCE] nvarchar(100),
               [TRANSACTIONTYPECODE] tinyint,
               [ORGANIZATIONAMOUNT] money,
               [BASECURRENCYID] uniqueidentifier,
               [TRANSACTIONAMOUNT] money,
               [TRANSACTIONCURRENCYID] uniqueidentifier,
               [BASEEXCHANGERATEID] uniqueidentifier,
               [ORGANIZATIONEXCHANGERATEID] uniqueidentifier,
               [REVENUEBENEFITID] uniqueidentifier
               )

            insert into @TempTbl select 
                [ACCOUNT],
                [AMOUNT],
                [GLPAYMENTMETHODREVENUETYPEMAPPINGID],
                [ID],
                [PROJECT],
                [REFERENCE],
                [TRANSACTIONTYPECODE],
                [ORGANIZATIONAMOUNT],
                [BASECURRENCYID],
                [TRANSACTIONAMOUNT],
                [TRANSACTIONCURRENCYID],
                [BASEEXCHANGERATEID],
                [ORGANIZATIONEXCHANGERATEID],
                [REVENUEBENEFITID]
            from dbo.UFN_BENEFIT_GETGLDISTRIBUTION_LIABILITY_FROMITEMLISTXML(@XML)



            update @TempTbl set ID = newid() where (ID is null) or (ID = '00000000-0000-0000-0000-000000000000');

            if @@Error <> 0
                return 1;

            declare @contextCache varbinary(128);
            declare @e int;

            -- cache current context information 

            set @contextCache = CONTEXT_INFO();

            -- set CONTEXT_INFO to @CHANGEAGENTID 

            if not @CHANGEAGENTID is null
                set CONTEXT_INFO @CHANGEAGENTID;



            -- delete any items that no longer exist in the XML table

            delete from dbo.[BENEFITGLDISTRIBUTION] where [BENEFITGLDISTRIBUTION].ID in 
                (select ID from dbo.UFN_BENEFIT_GETGLDISTRIBUTION_LIABILITY
                (
                    @REVENUEID
                )
                EXCEPT select ID from @TempTbl)




            select @e=@@error;

            -- reset CONTEXT_INFO to previous value 

            if not @contextCache is null
                set CONTEXT_INFO @contextCache;

            if @e <> 0
                return 2;

            -- update the items that exist in the XML table and the db

      merge into dbo.[BENEFITGLDISTRIBUTION]
      using @TempTbl as [temp] on [BENEFITGLDISTRIBUTION].ID = [temp].ID
      when matched 
      and ([BENEFITGLDISTRIBUTION].[ACCOUNT]<>temp.[ACCOUNT]) or 
          ([BENEFITGLDISTRIBUTION].[ACCOUNT] is null and temp.[ACCOUNT] is not null) or 
          ([BENEFITGLDISTRIBUTION].[ACCOUNT] is not null and temp.[ACCOUNT] is null) or 
          ([BENEFITGLDISTRIBUTION].[AMOUNT]<>temp.[AMOUNT]) or 
          ([BENEFITGLDISTRIBUTION].[AMOUNT] is null and temp.[AMOUNT] is not null) or 
          ([BENEFITGLDISTRIBUTION].[AMOUNT] is not null and temp.[AMOUNT] is null) or 
          ([BENEFITGLDISTRIBUTION].[GLPAYMENTMETHODREVENUETYPEMAPPINGID]<>temp.[GLPAYMENTMETHODREVENUETYPEMAPPINGID]) or 
          ([BENEFITGLDISTRIBUTION].[GLPAYMENTMETHODREVENUETYPEMAPPINGID] is null and temp.[GLPAYMENTMETHODREVENUETYPEMAPPINGID] is not null) or 
          ([BENEFITGLDISTRIBUTION].[GLPAYMENTMETHODREVENUETYPEMAPPINGID] is not null and temp.[GLPAYMENTMETHODREVENUETYPEMAPPINGID] is null) or 
          ([BENEFITGLDISTRIBUTION].[ID]<>temp.[ID]) or 
          ([BENEFITGLDISTRIBUTION].[ID] is null and temp.[ID] is not null) or 
          ([BENEFITGLDISTRIBUTION].[ID] is not null and temp.[ID] is null) or 
          ([BENEFITGLDISTRIBUTION].[PROJECT]<>temp.[PROJECT]) or 
          ([BENEFITGLDISTRIBUTION].[PROJECT] is null and temp.[PROJECT] is not null) or 
          ([BENEFITGLDISTRIBUTION].[PROJECT] is not null and temp.[PROJECT] is null) or 
          ([BENEFITGLDISTRIBUTION].[REFERENCE]<>temp.[REFERENCE]) or 
          ([BENEFITGLDISTRIBUTION].[REFERENCE] is null and temp.[REFERENCE] is not null) or 
          ([BENEFITGLDISTRIBUTION].[REFERENCE] is not null and temp.[REFERENCE] is null) or 
          ([BENEFITGLDISTRIBUTION].[TRANSACTIONTYPECODE]<>temp.[TRANSACTIONTYPECODE]) or 
          ([BENEFITGLDISTRIBUTION].[TRANSACTIONTYPECODE] is null and temp.[TRANSACTIONTYPECODE] is not null) or 
          ([BENEFITGLDISTRIBUTION].[TRANSACTIONTYPECODE] is not null and temp.[TRANSACTIONTYPECODE] is null) or
          ([BENEFITGLDISTRIBUTION].[ORGANIZATIONAMOUNT]<>temp.[ORGANIZATIONAMOUNT]) or 
          ([BENEFITGLDISTRIBUTION].[ORGANIZATIONAMOUNT] is null and temp.[ORGANIZATIONAMOUNT] is not null) or 
          ([BENEFITGLDISTRIBUTION].[ORGANIZATIONAMOUNT] is not null and temp.[ORGANIZATIONAMOUNT] is null) or 
          ([BENEFITGLDISTRIBUTION].[BASECURRENCYID]<>temp.[BASECURRENCYID]) or 
          ([BENEFITGLDISTRIBUTION].[BASECURRENCYID] is null and temp.[BASECURRENCYID] is not null) or 
          ([BENEFITGLDISTRIBUTION].[BASECURRENCYID] is not null and temp.[BASECURRENCYID] is null) or 
          ([BENEFITGLDISTRIBUTION].[TRANSACTIONAMOUNT]<>temp.[TRANSACTIONAMOUNT]) or 
          ([BENEFITGLDISTRIBUTION].[TRANSACTIONAMOUNT] is null and temp.[TRANSACTIONAMOUNT] is not null) or 
          ([BENEFITGLDISTRIBUTION].[TRANSACTIONAMOUNT] is not null and temp.[TRANSACTIONAMOUNT] is null) or 
          ([BENEFITGLDISTRIBUTION].[TRANSACTIONCURRENCYID]<>temp.[TRANSACTIONCURRENCYID]) or 
          ([BENEFITGLDISTRIBUTION].[TRANSACTIONCURRENCYID] is null and temp.[TRANSACTIONCURRENCYID] is not null) or 
          ([BENEFITGLDISTRIBUTION].[TRANSACTIONCURRENCYID] is not null and temp.[TRANSACTIONCURRENCYID] is null) or 
          ([BENEFITGLDISTRIBUTION].[BASEEXCHANGERATEID]<>temp.[BASEEXCHANGERATEID]) or 
          ([BENEFITGLDISTRIBUTION].[BASEEXCHANGERATEID] is null and temp.[BASEEXCHANGERATEID] is not null) or 
          ([BENEFITGLDISTRIBUTION].[BASEEXCHANGERATEID] is not null and temp.[BASEEXCHANGERATEID] is null) or 
          ([BENEFITGLDISTRIBUTION].[ORGANIZATIONEXCHANGERATEID]<>temp.[ORGANIZATIONEXCHANGERATEID]) or 
          ([BENEFITGLDISTRIBUTION].[ORGANIZATIONEXCHANGERATEID] is null and temp.[ORGANIZATIONEXCHANGERATEID] is not null) or 
          ([BENEFITGLDISTRIBUTION].[ORGANIZATIONEXCHANGERATEID] is not null and temp.[ORGANIZATIONEXCHANGERATEID] is null
          or ([BENEFITGLDISTRIBUTION].[REVENUEBENEFITID] is not null and temp.[REVENUEBENEFITID] is not null
      then update
          set [BENEFITGLDISTRIBUTION].[ACCOUNT]=temp.[ACCOUNT],
          [BENEFITGLDISTRIBUTION].[AMOUNT]=temp.[AMOUNT],
          [BENEFITGLDISTRIBUTION].[GLPAYMENTMETHODREVENUETYPEMAPPINGID]=temp.[GLPAYMENTMETHODREVENUETYPEMAPPINGID],
          [BENEFITGLDISTRIBUTION].[ID]=temp.[ID],
          [BENEFITGLDISTRIBUTION].[PROJECT]=temp.[PROJECT],
          [BENEFITGLDISTRIBUTION].[REFERENCE]=temp.[REFERENCE],
          [BENEFITGLDISTRIBUTION].[TRANSACTIONTYPECODE]=temp.[TRANSACTIONTYPECODE],
          [BENEFITGLDISTRIBUTION].CHANGEDBYID = @CHANGEAGENTID,
          [BENEFITGLDISTRIBUTION].DATECHANGED = @CHANGEDATE,
          [BENEFITGLDISTRIBUTION].[ORGANIZATIONAMOUNT] = temp.[ORGANIZATIONAMOUNT],
          [BENEFITGLDISTRIBUTION].[BASECURRENCYID] = temp.[BASECURRENCYID],
          [BENEFITGLDISTRIBUTION].[TRANSACTIONAMOUNT] = temp.[TRANSACTIONAMOUNT],                    
          [BENEFITGLDISTRIBUTION].[TRANSACTIONCURRENCYID] = temp.[TRANSACTIONCURRENCYID],
          [BENEFITGLDISTRIBUTION].[BASEEXCHANGERATEID] = temp.[BASEEXCHANGERATEID],
          [BENEFITGLDISTRIBUTION].[ORGANIZATIONEXCHANGERATEID] = temp.[ORGANIZATIONEXCHANGERATEID],
          [BENEFITGLDISTRIBUTION].[REVENUEBENEFITID] = temp.[REVENUEBENEFITID],
          [BENEFITGLDISTRIBUTION].[BENEFITTYPECODE] = 2;

      --Update the corresponding rows in the GLTRANSACTION table

      merge into dbo.GLTRANSACTION
      using dbo.BENEFITGLDISTRIBUTION
          inner join @TempTbl as [temp] on BENEFITGLDISTRIBUTION.ID = [temp].ID
          on BENEFITGLDISTRIBUTION.GLTRANSACTIONID = GLTRANSACTION.ID
      when matched 
      then update 
      set 
          GLTRANSACTION.ACCOUNT = BENEFITGLDISTRIBUTION.ACCOUNT,
          GLTRANSACTION.AMOUNT = BENEFITGLDISTRIBUTION.AMOUNT,
          GLTRANSACTION.PROJECT = BENEFITGLDISTRIBUTION.PROJECT,
          GLTRANSACTION.REFERENCE = BENEFITGLDISTRIBUTION.REFERENCE,
          GLTRANSACTION.TRANSACTIONTYPECODE = BENEFITGLDISTRIBUTION.TRANSACTIONTYPECODE,
          GLTRANSACTION.POSTDATE = @POSTDATE,
          GLTRANSACTION.CHANGEDBYID = @CHANGEAGENTID,
          GLTRANSACTION.DATECHANGED = @CHANGEDATE,
          GLTRANSACTION.ORGANIZATIONAMOUNT = BENEFITGLDISTRIBUTION.ORGANIZATIONAMOUNT,
          GLTRANSACTION.BASECURRENCYID = BENEFITGLDISTRIBUTION.BASECURRENCYID,
          GLTRANSACTION.TRANSACTIONAMOUNT = BENEFITGLDISTRIBUTION.TRANSACTIONAMOUNT,
          GLTRANSACTION.TRANSACTIONCURRENCYID = BENEFITGLDISTRIBUTION.TRANSACTIONCURRENCYID,
          GLTRANSACTION.BASEEXCHANGERATEID = BENEFITGLDISTRIBUTION.BASEEXCHANGERATEID,
          GLTRANSACTION.ORGANIZATIONEXCHANGERATEID = BENEFITGLDISTRIBUTION.ORGANIZATIONEXCHANGERATEID,
          GLTRANSACTION.GLACCOUNTID =  dbo.UFN_GLACCOUNT_GETIDFROMACCOUNTANDREVENUE(BENEFITGLDISTRIBUTION.ACCOUNT,@REVENUEID);

            if @@Error <> 0
                return 3;    

            -- insert new items

            declare @DISTRIBUTIONS table(
                    GLTRANSACTIONID uniqueidentifier,
                    ACCOUNT nvarchar(100),
                    AMOUNT money,
                    PROJECT nvarchar(100),
                    REFERENCE nvarchar(255),
                    TRANSACTIONTYPECODE tinyint,
                    GLPAYMENTMETHODREVENUETYPEMAPPINGID uniqueidentifier,
                    REVENUEGLDISTRIBUTIONID uniqueidentifier,
                    ORGANIZATIONAMOUNT money,
                    BASECURRENCYID uniqueidentifier,
                    TRANSACTIONAMOUNT money,
                    TRANSACTIONCURRENCYID uniqueidentifier,
                    BASEEXCHANGERATEID uniqueidentifier,
                    ORGANIZATIONEXCHANGERATEID uniqueidentifier,
                    REVENUEBENEFITID  uniqueidentifier
            );

            insert into @DISTRIBUTIONS(GLTRANSACTIONID, ACCOUNT, AMOUNT, PROJECT, REFERENCE, TRANSACTIONTYPECODE, GLPAYMENTMETHODREVENUETYPEMAPPINGID, REVENUEGLDISTRIBUTIONID,
                                        ORGANIZATIONAMOUNT, BASECURRENCYID, TRANSACTIONAMOUNT, TRANSACTIONCURRENCYID, BASEEXCHANGERATEID, ORGANIZATIONEXCHANGERATEID,REVENUEBENEFITID)
            select 
                newid(), 
                [ACCOUNT],
                [AMOUNT],
                [PROJECT],
                [REFERENCE],
                [TRANSACTIONTYPECODE], 
                [GLPAYMENTMETHODREVENUETYPEMAPPINGID],
                [ID],
                [ORGANIZATIONAMOUNT],
                [BASECURRENCYID],
                [TRANSACTIONAMOUNT],
                [TRANSACTIONCURRENCYID],
                [BASEEXCHANGERATEID],
                [ORGANIZATIONEXCHANGERATEID],
                [REVENUEBENEFITID]
            from @TempTbl as [temp]
            where not exists (select ID from dbo.[BENEFITGLDISTRIBUTION] as data where data.ID = [temp].ID)

            -- Insert rows in GLTRANSACTION table

            insert into dbo.GLTRANSACTION(ID, TRANSACTIONTYPECODE, ACCOUNT, AMOUNT, PROJECT, REFERENCE, POSTDATE, JOURNAL, ADDEDBYID, CHANGEDBYID, DATEADDED, DATECHANGED,
                                        ORGANIZATIONAMOUNT, BASECURRENCYID, TRANSACTIONAMOUNT, TRANSACTIONCURRENCYID, BASEEXCHANGERATEID, ORGANIZATIONEXCHANGERATEID, GLACCOUNTID)
            select
                GLTRANSACTIONID,
                TRANSACTIONTYPECODE,
                ACCOUNT,
                AMOUNT,
                PROJECT,
                REFERENCE,
                @POSTDATE,
                'Blackbaud Enterprise',
                @CHANGEAGENTID,
                @CHANGEAGENTID,
                @CHANGEDATE,
                @CHANGEDATE,
                ORGANIZATIONAMOUNT,
                BASECURRENCYID,
                TRANSACTIONAMOUNT,
                TRANSACTIONCURRENCYID,
                BASEEXCHANGERATEID,
                ORGANIZATIONEXCHANGERATEID,
                dbo.UFN_GLACCOUNT_GETIDFROMACCOUNTANDREVENUE([ACCOUNT],@REVENUEID)                
            from 
                @DISTRIBUTIONS;



            insert into dbo.BENEFITGLDISTRIBUTION
                (ID, REVENUEID, GLPAYMENTMETHODREVENUETYPEMAPPINGID, PROJECT, REFERENCE, AMOUNT, ACCOUNT, TRANSACTIONTYPECODE, GLTRANSACTIONID, ADDEDBYID, CHANGEDBYID, DATEADDED, DATECHANGED,
                ORGANIZATIONAMOUNT, BASECURRENCYID, TRANSACTIONAMOUNT, TRANSACTIONCURRENCYID, BASEEXCHANGERATEID, ORGANIZATIONEXCHANGERATEID, REVENUEBENEFITID,BENEFITTYPECODE)
            select
                REVENUEGLDISTRIBUTIONID,
                @REVENUEID,
                GLPAYMENTMETHODREVENUETYPEMAPPINGID,
                PROJECT,
                REFERENCE, 
                AMOUNT,
                ACCOUNT,
                TRANSACTIONTYPECODE,
                GLTRANSACTIONID,
                @CHANGEAGENTID,
                @CHANGEAGENTID,
                @CHANGEDATE,
                @CHANGEDATE,
                ORGANIZATIONAMOUNT,
                BASECURRENCYID,
                TRANSACTIONAMOUNT,
                TRANSACTIONCURRENCYID,
                BASEEXCHANGERATEID,
                ORGANIZATIONEXCHANGERATEID,
                REVENUEBENEFITID,
                2
            from 
                @DISTRIBUTIONS;    

            if @@Error <> 0
                return 4;

            return 0;