USP_PAYMENT_GETDETAILS_UPDATEFROMXML
Used to update a set of records defined by UFN_PAYMENT_GETDETAILS from the given xml string.
Parameters
Parameter | Parameter Type | Mode | Description |
---|---|---|---|
@TRANSACTIONID | uniqueidentifier | IN | |
@XML | xml | IN | |
@CHANGEAGENTID | uniqueidentifier | IN | |
@CHANGEDATE | datetime | IN |
Definition
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/*
Generated by Blackbaud AppFx Platform
Date: 12/17/2008 2:13:47 AM
Assembly Version: Blackbaud.AppFx.Platform.SqlClr, Version=1.7.1271.0, Culture=neutral, PublicKeyToken=null
Copyright Blackbaud
*/
CREATE PROCEDURE dbo.USP_PAYMENT_GETDETAILS_UPDATEFROMXML
(
@TRANSACTIONID uniqueidentifier,
@XML xml,
@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 (
[AMOUNT] money,
[ID] uniqueidentifier,
[RECEIPTAMOUNT] money,
[TYPECODE] tinyint)
insert into @TempTbl select
[AMOUNT],
[ID],
[RECEIPTAMOUNT],
[TYPECODE]
from dbo.UFN_PAYMENT_GETDETAILS_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.[REVENUE] where [REVENUE].ID in
(select ID from dbo.UFN_PAYMENT_GETDETAILS
(
@TRANSACTIONID
)
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
update [REVENUE]
set [REVENUE].[AMOUNT]=temp.[AMOUNT],
[REVENUE].[ID]=temp.[ID],
[REVENUE].[RECEIPTAMOUNT]=temp.[RECEIPTAMOUNT],
[REVENUE].[TYPECODE]=temp.[TYPECODE],
[REVENUE].CHANGEDBYID = @CHANGEAGENTID,
[REVENUE].DATECHANGED = @CHANGEDATE
from dbo.[REVENUE] inner join @TempTbl as [temp] on [REVENUE].ID = [temp].ID
where ([REVENUE].[AMOUNT]<>temp.[AMOUNT]) or
([REVENUE].[AMOUNT] is null and temp.[AMOUNT] is not null) or
([REVENUE].[AMOUNT] is not null and temp.[AMOUNT] is null) or
([REVENUE].[ID]<>temp.[ID]) or
([REVENUE].[ID] is null and temp.[ID] is not null) or
([REVENUE].[ID] is not null and temp.[ID] is null) or
([REVENUE].[RECEIPTAMOUNT]<>temp.[RECEIPTAMOUNT]) or
([REVENUE].[RECEIPTAMOUNT] is null and temp.[RECEIPTAMOUNT] is not null) or
([REVENUE].[RECEIPTAMOUNT] is not null and temp.[RECEIPTAMOUNT] is null) or
([REVENUE].[TYPECODE]<>temp.[TYPECODE]) or
([REVENUE].[TYPECODE] is null and temp.[TYPECODE] is not null) or
([REVENUE].[TYPECODE] is not null and temp.[TYPECODE] is null)
if @@Error <> 0
return 3;
-- insert new items
insert into [REVENUE]
([TRANSACTIONID],
[AMOUNT],
[ID],
[RECEIPTAMOUNT],
[TYPECODE],
ADDEDBYID,
CHANGEDBYID,
DATEADDED,
DATECHANGED)
select @TRANSACTIONID,
[AMOUNT],
[ID],
[RECEIPTAMOUNT],
[TYPECODE],
@CHANGEAGENTID,
@CHANGEAGENTID,
@CHANGEDATE,
@CHANGEDATE
from @TempTbl as [temp]
where not exists (select ID from dbo.[REVENUE] as data where data.ID = [temp].ID)
if @@Error <> 0
return 4;
return 0;