USP_REVENUE_GETPROPERTYDETAILGLDISTRIBUTION_CUSTOMUPDATEFROMXML_2
Stored procedure to update property detail GL distribution records from the given xml collection.
Parameters
Parameter | Parameter Type | Mode | Description |
---|---|---|---|
@PROPERTYDETAILID | uniqueidentifier | IN | |
@XML | xml | IN | |
@POSTDATE | datetime | IN | |
@CHANGEAGENTID | uniqueidentifier | IN | |
@CHANGEDATE | datetime | IN |
Definition
Copy
CREATE procedure dbo.USP_REVENUE_GETPROPERTYDETAILGLDISTRIBUTION_CUSTOMUPDATEFROMXML_2
(
@PROPERTYDETAILID 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
)
insert into @TempTbl select
[ACCOUNT],
[AMOUNT],
[GLPAYMENTMETHODREVENUETYPEMAPPINGID],
[ID],
[PROJECT],
[REFERENCE],
[TRANSACTIONTYPECODE],
[ORGANIZATIONAMOUNT],
[BASECURRENCYID],
[TRANSACTIONAMOUNT],
[TRANSACTIONCURRENCYID],
[BASEEXCHANGERATEID],
[ORGANIZATIONEXCHANGERATEID]
from dbo.UFN_REVENUE_GETPROPERTYDETAILGLDISTRIBUTION_FROMITEMLISTXML(@XML)
declare @REVENUEID uniqueidentifier;
select @REVENUEID = REVENUEID from REVENUEPAYMENTMETHOD where ID = @PROPERTYDETAILID;
if @REVENUEID is null
select top 1
@REVENUEID = PROPERTYDETAILGLDISTRIBUTION.REVENUEID
from
@TempTbl as [temp]
inner join
dbo.PROPERTYDETAILGLDISTRIBUTION on [temp].ID = PROPERTYDETAILGLDISTRIBUTION.ID
inner join
dbo.GLTRANSACTION on PROPERTYDETAILGLDISTRIBUTION.GLTRANSACTIONID = GLTRANSACTION.ID;
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.[PROPERTYDETAILGLDISTRIBUTION] where [PROPERTYDETAILGLDISTRIBUTION].ID in
(select ID from dbo.UFN_REVENUE_GETPROPERTYDETAILGLDISTRIBUTION
(
@PROPERTYDETAILID
)
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.[PROPERTYDETAILGLDISTRIBUTION]
using @TempTbl as [temp] on [PROPERTYDETAILGLDISTRIBUTION].ID = [temp].ID
when matched
and (
([PROPERTYDETAILGLDISTRIBUTION].[ACCOUNT]<>temp.[ACCOUNT]) or
([PROPERTYDETAILGLDISTRIBUTION].[ACCOUNT] is null and temp.[ACCOUNT] is not null) or
([PROPERTYDETAILGLDISTRIBUTION].[ACCOUNT] is not null and temp.[ACCOUNT] is null) or
([PROPERTYDETAILGLDISTRIBUTION].[AMOUNT]<>temp.[AMOUNT]) or
([PROPERTYDETAILGLDISTRIBUTION].[AMOUNT] is null and temp.[AMOUNT] is not null) or
([PROPERTYDETAILGLDISTRIBUTION].[AMOUNT] is not null and temp.[AMOUNT] is null) or
([PROPERTYDETAILGLDISTRIBUTION].[GLPAYMENTMETHODREVENUETYPEMAPPINGID]<>temp.[GLPAYMENTMETHODREVENUETYPEMAPPINGID]) or
([PROPERTYDETAILGLDISTRIBUTION].[GLPAYMENTMETHODREVENUETYPEMAPPINGID] is null and temp.[GLPAYMENTMETHODREVENUETYPEMAPPINGID] is not null) or
([PROPERTYDETAILGLDISTRIBUTION].[GLPAYMENTMETHODREVENUETYPEMAPPINGID] is not null and temp.[GLPAYMENTMETHODREVENUETYPEMAPPINGID] is null) or
([PROPERTYDETAILGLDISTRIBUTION].[ID]<>temp.[ID]) or
([PROPERTYDETAILGLDISTRIBUTION].[ID] is null and temp.[ID] is not null) or
([PROPERTYDETAILGLDISTRIBUTION].[ID] is not null and temp.[ID] is null) or
([PROPERTYDETAILGLDISTRIBUTION].[PROJECT]<>temp.[PROJECT]) or
([PROPERTYDETAILGLDISTRIBUTION].[PROJECT] is null and temp.[PROJECT] is not null) or
([PROPERTYDETAILGLDISTRIBUTION].[PROJECT] is not null and temp.[PROJECT] is null) or
([PROPERTYDETAILGLDISTRIBUTION].[REFERENCE]<>temp.[REFERENCE]) or
([PROPERTYDETAILGLDISTRIBUTION].[REFERENCE] is null and temp.[REFERENCE] is not null) or
([PROPERTYDETAILGLDISTRIBUTION].[REFERENCE] is not null and temp.[REFERENCE] is null) or
([PROPERTYDETAILGLDISTRIBUTION].[TRANSACTIONTYPECODE]<>temp.[TRANSACTIONTYPECODE]) or
([PROPERTYDETAILGLDISTRIBUTION].[TRANSACTIONTYPECODE] is null and temp.[TRANSACTIONTYPECODE] is not null) or
([PROPERTYDETAILGLDISTRIBUTION].[TRANSACTIONTYPECODE] is not null and temp.[TRANSACTIONTYPECODE] is null) or
([PROPERTYDETAILGLDISTRIBUTION].ORGANIZATIONAMOUNT <> temp.ORGANIZATIONAMOUNT) or
([PROPERTYDETAILGLDISTRIBUTION].TRANSACTIONAMOUNT <> temp.TRANSACTIONAMOUNT) or
([PROPERTYDETAILGLDISTRIBUTION].TRANSACTIONCURRENCYID <> temp.TRANSACTIONCURRENCYID) or
([PROPERTYDETAILGLDISTRIBUTION].BASECURRENCYID <> temp.BASECURRENCYID) or
([PROPERTYDETAILGLDISTRIBUTION].[BASEEXCHANGERATEID]<>temp.[BASEEXCHANGERATEID]) or
([PROPERTYDETAILGLDISTRIBUTION].[BASEEXCHANGERATEID] is null and temp.[BASEEXCHANGERATEID] is not null) or
([PROPERTYDETAILGLDISTRIBUTION].[BASEEXCHANGERATEID] is not null and temp.[BASEEXCHANGERATEID] is null) or
([PROPERTYDETAILGLDISTRIBUTION].[ORGANIZATIONEXCHANGERATEID]<>temp.[ORGANIZATIONEXCHANGERATEID]) or
([PROPERTYDETAILGLDISTRIBUTION].[ORGANIZATIONEXCHANGERATEID] is null and temp.[ORGANIZATIONEXCHANGERATEID] is not null) or
([PROPERTYDETAILGLDISTRIBUTION].[ORGANIZATIONEXCHANGERATEID] is not null and temp.[ORGANIZATIONEXCHANGERATEID] is null)
)
then update
set
[PROPERTYDETAILGLDISTRIBUTION].[ACCOUNT]=temp.[ACCOUNT],
[PROPERTYDETAILGLDISTRIBUTION].[AMOUNT]=temp.[AMOUNT],
[PROPERTYDETAILGLDISTRIBUTION].[GLPAYMENTMETHODREVENUETYPEMAPPINGID]=temp.[GLPAYMENTMETHODREVENUETYPEMAPPINGID],
[PROPERTYDETAILGLDISTRIBUTION].[ID]=temp.[ID],
[PROPERTYDETAILGLDISTRIBUTION].[PROJECT]=temp.[PROJECT],
[PROPERTYDETAILGLDISTRIBUTION].[REFERENCE]=temp.[REFERENCE],
[PROPERTYDETAILGLDISTRIBUTION].[TRANSACTIONTYPECODE]=temp.[TRANSACTIONTYPECODE],
[PROPERTYDETAILGLDISTRIBUTION].CHANGEDBYID = @CHANGEAGENTID,
[PROPERTYDETAILGLDISTRIBUTION].DATECHANGED = @CHANGEDATE,
[PROPERTYDETAILGLDISTRIBUTION].ORGANIZATIONAMOUNT = temp.ORGANIZATIONAMOUNT,
[PROPERTYDETAILGLDISTRIBUTION].BASECURRENCYID = temp.BASECURRENCYID,
[PROPERTYDETAILGLDISTRIBUTION].TRANSACTIONAMOUNT = temp.TRANSACTIONAMOUNT,
[PROPERTYDETAILGLDISTRIBUTION].TRANSACTIONCURRENCYID = temp.TRANSACTIONCURRENCYID,
[PROPERTYDETAILGLDISTRIBUTION].BASEEXCHANGERATEID = temp.BASEEXCHANGERATEID,
[PROPERTYDETAILGLDISTRIBUTION].ORGANIZATIONEXCHANGERATEID = temp.ORGANIZATIONEXCHANGERATEID;
--Update the corresponding rows in the GLTRANSACTION table
merge into dbo.[GLTRANSACTION]
using @TempTbl as [temp]
inner join PROPERTYDETAILGLDISTRIBUTION on PROPERTYDETAILGLDISTRIBUTION.ID = [temp].ID
on [GLTRANSACTION].ID = [temp].ID
when matched
then update
set
GLTRANSACTION.ACCOUNT = PROPERTYDETAILGLDISTRIBUTION.ACCOUNT,
GLTRANSACTION.AMOUNT = PROPERTYDETAILGLDISTRIBUTION.AMOUNT,
GLTRANSACTION.PROJECT = PROPERTYDETAILGLDISTRIBUTION.PROJECT,
GLTRANSACTION.REFERENCE = PROPERTYDETAILGLDISTRIBUTION.REFERENCE,
GLTRANSACTION.TRANSACTIONTYPECODE = PROPERTYDETAILGLDISTRIBUTION.TRANSACTIONTYPECODE,
GLTRANSACTION.POSTDATE = @POSTDATE,
GLTRANSACTION.CHANGEDBYID = @CHANGEAGENTID,
GLTRANSACTION.DATECHANGED = @CHANGEDATE,
[GLTRANSACTION].ORGANIZATIONAMOUNT = PROPERTYDETAILGLDISTRIBUTION.ORGANIZATIONAMOUNT,
[GLTRANSACTION].BASECURRENCYID = PROPERTYDETAILGLDISTRIBUTION.BASECURRENCYID,
[GLTRANSACTION].TRANSACTIONAMOUNT = PROPERTYDETAILGLDISTRIBUTION.TRANSACTIONAMOUNT,
[GLTRANSACTION].TRANSACTIONCURRENCYID = PROPERTYDETAILGLDISTRIBUTION.TRANSACTIONCURRENCYID,
[GLTRANSACTION].BASEEXCHANGERATEID = PROPERTYDETAILGLDISTRIBUTION.BASEEXCHANGERATEID,
[GLTRANSACTION].ORGANIZATIONEXCHANGERATEID = PROPERTYDETAILGLDISTRIBUTION.ORGANIZATIONEXCHANGERATEID,
[GLTRANSACTION].GLACCOUNTID = dbo.UFN_GLACCOUNT_GETIDFROMACCOUNTANDREVENUE(PROPERTYDETAILGLDISTRIBUTION.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,
PROPERTYDETAILGLDISTRIBUTIONID uniqueidentifier,
[ORGANIZATIONAMOUNT] money,
[BASECURRENCYID] uniqueidentifier,
[TRANSACTIONAMOUNT] money,
[TRANSACTIONCURRENCYID] uniqueidentifier,
[BASEEXCHANGERATEID] uniqueidentifier,
[ORGANIZATIONEXCHANGERATEID] uniqueidentifier
);
insert into @DISTRIBUTIONS(GLTRANSACTIONID, ACCOUNT, AMOUNT, PROJECT, REFERENCE, TRANSACTIONTYPECODE, GLPAYMENTMETHODREVENUETYPEMAPPINGID, PROPERTYDETAILGLDISTRIBUTIONID, [ORGANIZATIONAMOUNT], [BASECURRENCYID], [TRANSACTIONAMOUNT], [TRANSACTIONCURRENCYID], [BASEEXCHANGERATEID], [ORGANIZATIONEXCHANGERATEID])
select
newid(),
[ACCOUNT],
[AMOUNT],
[PROJECT],
[REFERENCE],
[TRANSACTIONTYPECODE],
[GLPAYMENTMETHODREVENUETYPEMAPPINGID],
[ID],
[ORGANIZATIONAMOUNT],
[BASECURRENCYID],
[TRANSACTIONAMOUNT],
[TRANSACTIONCURRENCYID],
[BASEEXCHANGERATEID],
[ORGANIZATIONEXCHANGERATEID]
from @TempTbl as [temp]
where not exists (select ID from dbo.[PROPERTYDETAILGLDISTRIBUTION] 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 rows in PROPERTYDETAILGLDISTRIBUTION table
insert into dbo.PROPERTYDETAILGLDISTRIBUTION
(ID, PROPERTYDETAILID, REVENUEID, GLPAYMENTMETHODREVENUETYPEMAPPINGID, PROJECT, REFERENCE, AMOUNT, ACCOUNT, TRANSACTIONTYPECODE, GLTRANSACTIONID, ADDEDBYID, CHANGEDBYID, DATEADDED, DATECHANGED, [ORGANIZATIONAMOUNT], [BASECURRENCYID], [TRANSACTIONAMOUNT], [TRANSACTIONCURRENCYID], [BASEEXCHANGERATEID], [ORGANIZATIONEXCHANGERATEID])
select
PROPERTYDETAILGLDISTRIBUTIONID,
@PROPERTYDETAILID,
@REVENUEID,
GLPAYMENTMETHODREVENUETYPEMAPPINGID,
PROJECT,
REFERENCE,
AMOUNT,
ACCOUNT,
TRANSACTIONTYPECODE,
GLTRANSACTIONID,
@CHANGEAGENTID,
@CHANGEAGENTID,
@CHANGEDATE,
@CHANGEDATE,
[ORGANIZATIONAMOUNT],
[BASECURRENCYID],
[TRANSACTIONAMOUNT],
[TRANSACTIONCURRENCYID],
[BASEEXCHANGERATEID],
[ORGANIZATIONEXCHANGERATEID]
from
@DISTRIBUTIONS;
if @@Error <> 0
return 4;
return 0;