update structure db local

This commit is contained in:
Bernat 2018-09-06 11:51:24 +02:00
parent 588308cf1e
commit 3d6593b020
13 changed files with 0 additions and 772 deletions

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INSERT INTO `salix`.`ACL` (`id`, `model`, `property`, `accessType`, `permission`, `principalType`, `principalId`) VALUES (95, 'ClientNotification', '*', '*', 'ALLOW', 'ROLE', 'employee');
INSERT INTO `salix`.`ACL` (`id`, `model`, `property`, `accessType`, `permission`, `principalType`, `principalId`) VALUES (96, 'ClaimAction', '*', 'READ', 'ALLOW', 'ROLE', 'employee');
INSERT INTO `salix`.`ACL` (`id`, `model`, `property`, `accessType`, `permission`, `principalType`, `principalId`) VALUES (97, 'ClaimAction', '*', 'WRITE', 'ALLOW', 'ROLE', 'salesAssistant');
INSERT INTO `salix`.`ACL` (`id`, `model`, `property`, `accessType`, `permission`, `principalType`, `principalId`) VALUES (98, 'ClaimDetail', '*', 'WRITE', 'ALLOW', 'ROLE', 'employee');
INSERT INTO `salix`.`ACL` (`id`, `model`, `property`, `accessType`, `permission`, `principalType`, `principalId`) VALUES (99, 'claimDevelopment', '*', 'READ', 'ALLOW', 'ROLE', 'employee');
INSERT INTO `salix`.`ACL` (`id`, `model`, `property`, `accessType`, `permission`, `principalType`, `principalId`) VALUES (100, 'claimDevelopment', '*', 'WRITE', 'ALLOW', 'ROLE', 'salesAssistant');

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USE `vn`;
DROP procedure IF EXISTS `logAddWithUser`;
DELIMITER $$
USE `vn`$$
CREATE DEFINER=`root`@`%` PROCEDURE `logAddWithUser`(vOriginFk INT, vUserId INT, vActionCode VARCHAR(45), vEntity VARCHAR(45), vDescription TEXT)
BEGIN
/**
* Guarda las acciones realizadas por el usuario
*
* @param vOriginFk Id del registro de origen.
* @param vUserId Id del usuario.
* @param vActionCode Código de la acción {insert | delete | update}.
* @param vEntity Nombre que hace referencia a la tabla.
* @param descripcion Descripción de la acción realizada por el usuario.
*/
DECLARE vTableName VARCHAR(45);
SET vTableName = CONCAT(vEntity, 'Log');
SET @qryLog := CONCAT(
'INSERT INTO ', vTableName, ' (originFk, userFk, action, description)',
' VALUES (', vOriginFk, ', ', vUserId, ', "', vActionCode, '", "', vDescription, '")'
);
PREPARE stmt FROM @qryLog;
EXECUTE stmt;
DEALLOCATE PREPARE stmt;
END$$
DELIMITER ;

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USE `vn`;
DROP procedure IF EXISTS `ticketCreateWithUser`;
DELIMITER $$
USE `vn`$$
CREATE DEFINER=`root`@`%` PROCEDURE `ticketCreateWithUser`(
vClientId INT
,vShipped DATE
,vWarehouseId INT
,vCompanyFk INT
,vAddressFk INT
,vAgencyType INT
,vRouteFk INT
,vlanded DATE
,vUserId INT
,OUT vNewTicket INT)
BEGIN
DECLARE vClientOrnamentales INT DEFAULT 5270;
DECLARE vCompanyOrn INT DEFAULT 1381;
DECLARE vProvinceName VARCHAR(255);
SELECT p.name INTO vProvinceName
FROM vn.client c
JOIN province p ON p.id = c.provinceFk
WHERE c.id = vClientId;
IF vProvinceName IN ('SANTA CRUZ DE TENERIFE', 'LAS PALMAS DE GRAN CANARIA') AND vClientId <> vClientOrnamentales THEN
SET vCompanyFk = vCompanyOrn;
END IF;
IF NOT vAddressFk THEN
SELECT id INTO vAddressFk
FROM address
WHERE clientFk = vClientId AND isDefaultAddress;
END IF;
INSERT INTO vn2008.Tickets (
Id_Cliente,
Fecha,
Id_Consigna,
Id_Agencia,
Alias,
warehouse_id,
Id_Ruta,
empresa_id,
landing
)
SELECT
vClientId,
vShipped,
a.id,
IF(vAgencyType, vAgencyType, a.agencyModeFk),
a.nickname,
vWarehouseId,
IF(vRouteFk,vRouteFk,NULL),
vCompanyFk,
vlanded
FROM address a
JOIN agencyMode am ON am.id = a.agencyModeFk
WHERE a.id = vAddressFk;
SET vNewTicket = LAST_INSERT_ID();
INSERT INTO ticketObservation(ticketFk, observationTypeFk, description)
SELECT vNewTicket, ao.observationTypeFk, ao.description
FROM addressObservation ao
JOIN address a ON a.id = ao.addressFk
WHERE a.id = vAddressFk;
CALL logAddWithUser(vNewTicket, vUserId, 'insert', 'ticket', CONCAT('Ha creado el ticket', ' ', vNewTicket));
IF (SELECT isCreatedAsServed FROM vn.client WHERE id = vClientId ) <> FALSE THEN
INSERT INTO vncontrol.inter(state_id, Id_Ticket, Id_Trabajador)
SELECT id, vNewTicket, getWorker()
FROM state
WHERE `code` = 'DELIVERED';
END IF;
END$$
DELIMITER ;

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USE `vn`;
CREATE
OR REPLACE ALGORITHM = UNDEFINED
DEFINER = `root`@`%`
SQL SECURITY DEFINER
VIEW `clientSample` AS
SELECT
`e`.`id` AS `id`,
`e`.`Id_Cliente` AS `clientFk`,
`e`.`escritos_id` AS `typeFk`,
`e`.`fecha` AS `created`,
`e`.`Id_Trabajador` AS `workerFk`,
`e`.`userFk` AS `userFk`,
`e`.`empresa_id` AS `companyFk`
FROM
`vn2008`.`escritos_det` `e`;

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USE `vn`;
CREATE
OR REPLACE ALGORITHM = UNDEFINED
DEFINER = `root`@`%`
SQL SECURITY DEFINER
VIEW `claimBeginning` AS
SELECT
`c`.`id` AS `id`,
`c`.`cl_main_id` AS `claimFk`,
`c`.`Id_Movimiento` AS `saleFk`,
`c`.`numero` AS `quantity`
FROM
`vn2008`.`cl_det` `c`;

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USE `vn`;
DROP procedure IF EXISTS `clientGetDebtDiary`;
DELIMITER $$
USE `vn`$$
CREATE DEFINER=`root`@`%` PROCEDURE `clientGetDebtDiary`(vClientFK INT, vCompanyFk INT)
BEGIN
/**
* Devuelve el registro de deuda
*
* @param vClientFK Id del cliente
* @param vCompanyFk Id de la empresa
*/
DECLARE vDate DATETIME DEFAULT CURDATE();
SET @balance:= 0;
SELECT MAX(issued) INTO vDate FROM
(SELECT
created,
issued,
@balance:= ROUND(amount, 2) + @balance AS balance
FROM invoiceOut
WHERE clientFk = vClientFk AND companyFk = vCompanyFk
UNION ALL
SELECT
created,
payed,
@balance:= ROUND(-1 * amountPaid, 2) + @balance AS balance
FROM receipt
WHERE clientFk = vClientFk AND companyFk = vCompanyFk
ORDER BY issued, created) balance
WHERE balance = 0;
SELECT
issued,
CAST(debtOut AS DECIMAL(10,2)) debtOut,
CAST(debtIn AS DECIMAL(10,2)) debtIn,
ref,
companyFk,
priority
FROM
(SELECT
NULL AS issued,
SUM(amountUnpaid) AS debtOut,
NULL AS debtIn,
'Saldo Anterior' AS ref,
companyFk,
0 as priority
FROM
(SELECT SUM(amount) AS amountUnpaid, companyFk, 0
FROM invoiceOut
WHERE clientFk = vClientFK
AND issued < vDate
GROUP BY companyFk
UNION ALL
SELECT SUM(-1 * amountPaid), companyFk, 0
FROM receipt
WHERE clientFk = vClientFK
AND payed < vDate
GROUP BY companyFk) AS transactions
GROUP BY companyFk
UNION ALL
SELECT
issued,
amount as debtOut,
NULL AS debtIn,
id AS ref,
companyFk,
1
FROM invoiceOut
WHERE clientFk = vClientFK
AND issued >= vDate
UNION ALL
SELECT
r.payed,
NULL as debtOut,
r.amountPaid,
r.id,
r.companyFk,
0
FROM receipt r
WHERE r.clientFk = vClientFK
AND r.payed >= vDate) t
INNER JOIN `client` c ON c.id = vClientFK
HAVING debtOut <> 0 OR debtIn <> 0
ORDER BY issued, priority DESC, debtIn;
END$$
DELIMITER ;

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USE `hedera`;
DROP procedure IF EXISTS `orderListTax`;
DELIMITER $$
USE `hedera`$$
CREATE DEFINER=`root`@`%` PROCEDURE `orderListTax`(IN vOrderId INT)
BEGIN
CALL hedera.orderGetTax(vOrderId);
SELECT * FROM tmp.orderTax;
END$$
DELIMITER ;

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USE `vn`;
DROP procedure IF EXISTS `ticketGetProblems`;
DELIMITER $$
USE `vn`$$
CREATE DEFINER=`root`@`%` PROCEDURE `ticketGetProblems`()
BEGIN
/*
* Obtiene los problemas de uno o varios tickets
*
* @table tmp.ticketGetProblems(ticketFk, clientFk, warehouseFk, shipped)
* @return tmp.ticketProblems
*/
DECLARE vWarehouse INT;
DECLARE vDate DATE;
DECLARE vAvailableCache INT;
DECLARE vVisibleCache INT;
DECLARE vDone INT DEFAULT 0;
DECLARE vCursor CURSOR FOR
SELECT DISTINCT tt.warehouseFk, date(tt.shipped)
FROM tmp.ticketGetProblems tt
WHERE DATE(tt.shipped) BETWEEN CURDATE()
AND TIMESTAMPADD(DAY, 1.9, CURDATE());
DECLARE CONTINUE HANDLER FOR NOT FOUND SET vDone = 1;
DROP TEMPORARY TABLE IF EXISTS tmp.ticketProblems;
CREATE TEMPORARY TABLE tmp.ticketProblems (
ticketFk INT(11),
problem VARCHAR(50),
INDEX (ticketFk)
)
ENGINE = MEMORY;
-- CONGELADO
INSERT INTO tmp.ticketProblems(ticketFk, problem)
SELECT DISTINCT tt.ticketFk, 'Freezed'
FROM tmp.ticketGetProblems tt
JOIN vn.client c ON c.id = tt.clientFk
WHERE c.isFreezed;
-- eliminamos tickets con problemas para no volverlos a mirar
DROP TEMPORARY TABLE IF EXISTS tmp.ticketListFiltered;
CREATE TEMPORARY TABLE tmp.ticketListFiltered
(PRIMARY KEY (ticketFk))
ENGINE = MEMORY
SELECT tt.ticketFk, c.id
FROM tmp.ticketGetProblems tt
JOIN vn.client c ON c.id = tt.clientFk
WHERE c.isFreezed = 0;
DROP TEMPORARY TABLE IF EXISTS tmp.clientGetDebt;
CREATE TEMPORARY TABLE tmp.clientGetDebt
(PRIMARY KEY (clientFk))
ENGINE = MEMORY
SELECT DISTINCT tt.clientFk
FROM tmp.ticketGetProblems tt;
-- RIESGO
CALL clientGetDebt(CURDATE());
INSERT INTO tmp.ticketProblems(ticketFk, problem)
SELECT DISTINCT tt.ticketFk, 'Risk'
FROM tmp.ticketListFiltered tt
JOIN vn.ticket t ON t.id = tt.ticketFk
JOIN vn.agencyMode a ON t.agencyModeFk = a.id
JOIN tmp.risk r ON r.clientFk = t.clientFk
JOIN vn.client c ON c.id = t.clientFk
WHERE r.risk > c.credit + 10
AND a.deliveryMethodFk != 3; -- para que las recogidas se preparen
-- eliminamos tickets con problemas para no volverlos a mirar
DELETE tlf FROM tmp.ticketListFiltered tlf
JOIN tmp.ticketProblems tp ON tlf.ticketFk = tp.ticketFk;
-- CODIGO 100
INSERT INTO tmp.ticketProblems(ticketFk, problem)
SELECT DISTINCT tt.ticketFk, 'Code 100'
FROM tmp.ticketGetProblems tt
JOIN sale s ON s.ticketFk = tt.ticketFk
WHERE s.itemFk = 100;
-- eliminamos tickets con problemas para no volverlos a mirar
DELETE tlf FROM tmp.ticketListFiltered tlf
JOIN tmp.ticketProblems tp ON tlf.ticketFk = tp.ticketFk;
OPEN vCursor;
WHILE NOT vDone
DO
FETCH vCursor INTO vWarehouse, vDate;
CALL cache.visible_refresh(vVisibleCache, FALSE, vWarehouse);
CALL cache.available_refresh(vAvailableCache, FALSE, vWarehouse, vDate);
-- El disponible es menor que 0
INSERT INTO tmp.ticketProblems(ticketFk, problem)
SELECT tt.ticketFk, i.name
FROM tmp.ticketListFiltered tt
JOIN vn.ticket t ON t.id = tt.ticketFk
LEFT JOIN vn.sale s ON s.ticketFk = t.id
JOIN vn.item i ON i.id = s.itemFk
JOIN vn.itemType it on it.id = i.typeFk
LEFT JOIN cache.visible v ON i.id = v.item_id
AND v.calc_id = vVisibleCache
LEFT JOIN cache.available av ON av.item_id = i.id
AND av.calc_id = vAvailableCache
WHERE date(t.shipped) = vDate
AND categoryFk != 6
AND s.quantity > IFNULL(v.visible, 0)
AND IFNULL(av.available, 0) < 0
AND s.isPicked = FALSE
AND NOT i.generic
AND vWarehouse = t.warehouseFk;
-- eliminamos tickets con problemas para no volverlos a mirar
DELETE tlf FROM tmp.ticketListFiltered tlf
JOIN tmp.ticketProblems tp ON tlf.ticketFk = tp.ticketFk;
-- Amarillo: El disponible es mayor que cero y la cantidad supera el visible, estando aun sin preparar
INSERT INTO tmp.ticketProblems(ticketFk, problem)
SELECT tt.ticketFk, CONCAT('Delay', i.name)
FROM tmp.ticketListFiltered tt
JOIN vn.ticket t ON t.id = tt.ticketFk
LEFT JOIN vn.sale s ON s.ticketFk = t.id
JOIN vn.item i ON i.id = s.itemFk
JOIN vn.itemType it on it.id = i.typeFk
LEFT JOIN cache.visible v ON i.id = v.item_id AND v.calc_id = vVisibleCache
LEFT JOIN cache.available av ON av.item_id = i.id AND av.calc_id = vAvailableCache
WHERE IFNULL(av.available, 0) >= 0
AND s.quantity > IFNULL(v.visible, 0)
AND s.isPicked = FALSE
AND s.reserved = FALSE
AND it.categoryFk != 6
AND date(t.shipped) = vDate
AND NOT i.generic
AND CURDATE() = vDate
AND t.warehouseFk = vWarehouse;
END WHILE;
CLOSE vCursor;
DROP TEMPORARY TABLE
tmp.clientGetDebt,
tmp.ticketListFiltered;
END$$
DELIMITER ;

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USE `vn`;
DROP procedure IF EXISTS `agencyHourGetLanded`;
DELIMITER $$
USE `vn`$$
CREATE DEFINER=`root`@`%` PROCEDURE `agencyHourGetLanded`(vDated DATE, vAddress INT, vAgency INT, vWarehouse INT)
BEGIN
/**
* Devuelve una tabla temporal con el dia de recepcion para vDated.
*
* @param vDated Fecha de preparacion de mercancia
* @param vAddress Id de consignatario, %NULL para recogida
* @param vAgency Id agencia
* @table tmp.agencyHourGetLanded Datos de recepción
*/
DROP TEMPORARY TABLE IF EXISTS tmp.agencyHourGetLanded;
CREATE TEMPORARY TABLE tmp.agencyHourGetLanded
ENGINE = MEMORY
SELECT vWarehouse warehouseFk, landed FROM (
SELECT * FROM (
SELECT vWarehouse, TIMESTAMPADD(DAY, ah.substractDay, vDated) landed, ah.substractDay, ah.maxHour
FROM agencyHour ah
LEFT JOIN address a ON a.id = vAddress
WHERE (ah.weekDay = WEEKDAY(TIMESTAMPADD(DAY, ah.substractDay, vDated)) OR ah.weekDay IS NULL)
AND (ah.agencyFk = vAgency OR ah.agencyFk IS NULL)
AND ah.warehouseFk = vWarehouse
AND (ah.provinceFk = a.provinceFk OR ah.provinceFk IS NULL OR vAddress IS NULL)
ORDER BY (
(ah.weekDay IS NOT NULL) +
(ah.agencyFk IS NOT NULL) +
(- ah.substractDay) +
((ah.provinceFk IS NOT NULL)*3)
) DESC
) t
LIMIT 1
) t
WHERE IF(vDated = CURDATE(), t.maxHour > HOUR(NOW()), TRUE) AND t.substractDay < 225;
END$$
DELIMITER ;

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USE `vn`;
CREATE
OR REPLACE ALGORITHM = UNDEFINED
DEFINER = `root`@`%`
SQL SECURITY DEFINER
VIEW `itemCategory` AS
SELECT
`r`.`id` AS `id`,
`r`.`reino` AS `name`,
`r`.`display` AS `display`,
`r`.`color` AS `color`,
r.icon
FROM
`vn2008`.`reinos` `r`;

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USE `vn`;
DROP procedure IF EXISTS `ticketCalculate`;
DELIMITER $$
USE `vn`$$
CREATE DEFINER=`root`@`%` PROCEDURE `ticketCalculate`(
vDate DATE,
vAddress INT,
vAgencyMode INT)
proc: BEGIN
/**
* Calcula los articulos disponibles y sus precios
*
* @param vDate Fecha de recepcion de mercancia
* @param vAddress Id del consignatario
* @param vAgencyMode Id de la agencia
* @return tmp.ticketCalculateItem, tmp.ticketComponentPrice
**/
DECLARE vAvailableCalc INT;
DECLARE vShipment DATE;
DECLARE vAgencyId INT;
DECLARE vClient INT;
DECLARE vWarehouseFk SMALLINT;
DECLARE vDone BOOL;
DECLARE cTravelTree CURSOR FOR
SELECT warehouseFk, shipped FROM tmp.agencyHourGetShipped;
DECLARE CONTINUE HANDLER FOR NOT FOUND SET vDone = TRUE;
-- Establece los almacenes y las fechas que van a entrar al disponible
SELECT agencyFk INTO vAgencyId
FROM agencyMode WHERE id = vAgencyMode;
SELECT clientFk INTO vClient
FROM address WHERE id = vAddress;
CALL vn.agencyHourGetShipped(vDate, vAddress, vAgencyId);
DROP TEMPORARY TABLE IF EXISTS tmp.ticketLot;
CREATE TEMPORARY TABLE tmp.ticketLot(
`warehouseFk` smallint(5) unsigned NOT NULL,
`itemFk` int(11) NOT NULL,
`available` double DEFAULT NULL,
`buyFk` int(11) DEFAULT NULL,
`fix` tinyint(3) unsigned DEFAULT '0',
KEY `itemFk` (`itemFk`),
KEY `item_warehouse` (`itemFk`,`warehouseFk`) USING HASH
) ENGINE=MEMORY DEFAULT CHARSET=utf8;
OPEN cTravelTree;
l: LOOP
SET vDone = FALSE;
FETCH cTravelTree INTO vWarehouseFk, vShipment;
IF vDone THEN
LEAVE l;
END IF;
CALL `cache`.available_refresh (vAvailableCalc, FALSE, vWarehouseFk, vShipment);
CALL buyUltimate (vWarehouseFk, vShipment);
INSERT INTO tmp.ticketLot (warehouseFk, itemFk, available, buyFk)
SELECT
vWarehouseFk,
i.item_id,
IFNULL(i.available, 0),
bu.buyFk
FROM `cache`.available i
JOIN tmp.item br ON br.itemFk = i.item_id
LEFT JOIN item it ON it.id = i.item_id
LEFT JOIN tmp.buyUltimate bu ON bu.itemFk = i.item_id
WHERE i.calc_id = vAvailableCalc
AND it.id != 100
AND i.available > 0;
DROP TEMPORARY TABLE tmp.buyUltimate;
END LOOP;
CLOSE cTravelTree;
CALL vn.ticketComponentCalculate(vAddress, vAgencyMode);
DROP TEMPORARY TABLE IF EXISTS tmp.ticketCalculateItem;
CREATE TEMPORARY TABLE tmp.ticketCalculateItem
ENGINE = MEMORY
SELECT
b.itemFk,
SUM(b.available) available,
p.name producer,
i.name item,
i.size size,
i.stems,
i.category,
i.inkFk,
i.image,
o.code origin, bl.price
FROM tmp.ticketLot b
JOIN item i ON b.itemFk = i.id
LEFT JOIN producer p ON p.id = i.producerFk AND p.isVisible
JOIN origin o ON o.id = i.originFk
JOIN (
SELECT MIN(price) price, itemFk
FROM tmp.ticketComponentPrice
GROUP BY itemFk
) bl ON bl.itemFk = b.itemFk
GROUP BY b.itemFk;
DROP TEMPORARY TABLE
tmp.ticketComponent,
tmp.ticketLot;
END$$
DELIMITER ;

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DROP procedure IF EXISTS vn.`clientGetDebt`;
DELIMITER $$
CREATE DEFINER=`root`@`%` PROCEDURE vn.`clientGetDebt`(vDate DATE)
BEGIN
/**
* Calcula el riesgo para los clientes activos
*
* @table tmp.clientGetDebt(clientFk)
* @param vDate Fecha maxima de los registros
* @return tmp.risk
*/
DECLARE vStarted DATETIME DEFAULT TIMESTAMPADD(DAY, - DAYOFMONTH(CURDATE()) - 5, CURDATE());
DECLARE vEnded DATETIME;
SET vEnded = TIMESTAMP(IFNULL(vDate, CURDATE()), '23:59:59');
DROP TEMPORARY TABLE IF EXISTS tmp.ticket;
CREATE TEMPORARY TABLE tmp.ticket
(INDEX (ticketFk))
ENGINE = MEMORY
SELECT id ticketFk, c.clientFk
FROM ticket t
JOIN tmp.clientGetDebt c ON c.clientFk = t.clientFk
WHERE refFk IS NULL
AND shipped BETWEEN vStarted AND vEnded;
CALL ticketGetTotal();
DROP TEMPORARY TABLE IF EXISTS tClientRisk;
CREATE TEMPORARY TABLE tClientRisk
ENGINE = MEMORY
SELECT cr.customer_id clientFk, SUM(cr.amount) amount
FROM bi.customer_risk cr
JOIN tmp.clientGetDebt c ON c.clientFk = cr.customer_id
GROUP BY cr.customer_id;
INSERT INTO tClientRisk
SELECT c.clientFk, SUM(r.amountPaid)
FROM receipt r
JOIN tmp.clientGetDebt c ON c.clientFk = r.clientFk
WHERE r.payed > vStarted
GROUP BY c.clientFk;
INSERT INTO tClientRisk
SELECT t.clientFk, CAST(-SUM(t.amount) / 100 AS DECIMAL(10,2))
FROM hedera.tpvTransaction t
JOIN tmp.clientGetDebt c ON c.clientFk = t.clientFk
WHERE t.receiptFk IS NULL
AND t.status = 'ok'
GROUP BY t.clientFk;
INSERT INTO tClientRisk
SELECT t.clientFk, total
FROM tmp.ticketTotal tt
JOIN tmp.ticket t ON t.ticketFk = tt.ticketFk;
DROP TEMPORARY TABLE IF EXISTS tmp.risk;
CREATE TEMPORARY TABLE tmp.risk
(PRIMARY KEY (clientFk))
ENGINE = MEMORY
SELECT clientFk, SUM(amount) risk
FROM client c
JOIN tClientRisk cr ON cr.clientFk = c.id
WHERE c.isActive
GROUP BY c.id;
END$$
DELIMITER ;

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USE `vn`;
DROP procedure IF EXISTS `itemDiary`;
DELIMITER $$
USE `vn`$$
CREATE DEFINER=`root`@`%` PROCEDURE `itemDiary`(IN vItemId INT, IN vWarehouse INT)
BEGIN
DECLARE vDateInventory DATETIME;
DECLARE vCurdate DATE DEFAULT CURDATE();
DECLARE vDayEnd DATETIME DEFAULT util.dayEnd(vCurdate);
-- traduccion: date, alertLevel, origin, reference, name, In, Out, Balance
SELECT Fechainventario INTO vDateInventory FROM vn2008.tblContadores;
SET @a = 0;
SELECT sql_no_cache DATE(date) AS date,
alertLevel,
stateName,
origin,
reference,
name,
`in`,
`out`,
@a := @a + IFNULL(`in`,0) - IFNULL(`out`,0) as balance,
isPicked,
isTicket
FROM
( SELECT tr.landed as date,
b.quantity as `in`,
NULL as `out`,
IF(tr.isReceived != FALSE,3, IF(tr.isDelivered,1,0)) as alertLevel,
st.name AS stateName,
s.name as name,
e.ref as reference,
e.id as origin,
TRUE isPicked,
FALSE AS isTicket
FROM vn.buy b
JOIN vn.entry e ON e.id = b.entryFk
JOIN vn.travel tr ON tr.id = e.travelFk
JOIN vn.supplier s ON s.id = e.supplierFk
JOIN vn.alertLevel al ON al.alertLevel =
CASE
WHEN tr.isReceived != FALSE THEN 3
WHEN tr.isDelivered THEN 1
ELSE 0
END
JOIN vn.state st ON st.code = al.code
WHERE tr.landed >= vDateInventory
AND vWarehouse = tr.warehouseInFk
AND b.itemFk = vItemId
AND e.isInventory = 0
UNION ALL
SELECT tr.shipped as date,
NULL as `in`,
b.quantity as `out`,
IF(tr.isReceived != FALSE,3, IF(tr.isDelivered,1,0)) as alertLevel,
st.name AS stateName,
s.name as name,
e.ref as reference,
e.id as origin,
TRUE isPicked,
FALSE AS isTicket
FROM vn.buy b
JOIN vn.entry e ON e.id = b.entryFk
JOIN vn.travel tr ON tr.id = e.travelFk
JOIN vn.warehouse w ON w.id = tr.warehouseOutFk
JOIN vn.supplier s ON s.id = e.supplierFk
JOIN vn.alertLevel al ON al.alertLevel =
CASE
WHEN tr.isReceived != FALSE THEN 3
WHEN tr.isDelivered THEN 1
ELSE 0
END
JOIN vn.state st ON st.code = al.code
WHERE tr.shipped >= vDateInventory
AND vWarehouse =tr.warehouseOutFk
AND s.id <> 4
AND b.itemFk = vItemId
AND e.isInventory = 0
AND w.isFeedStock = 0
UNION ALL
SELECT t.shipped as date,
NULL as `in`,
s.quantity as `out`,
al.alertLevel as alertLevel,
st.name AS stateName,
t.nickname as name,
t.refFk as reference,
t.id as origin,
TRUE as isPicked, -- stk.id as isPicked
TRUE as isTicket
FROM vn.sale s
JOIN vn.ticket t ON t.id = s.ticketFk
LEFT JOIN vn.ticketState ts ON ts.ticket = t.id
JOIN vn.client c ON c.id = t.clientFk
JOIN vn.alertLevel al ON al.alertLevel =
CASE
WHEN t.shipped < vCurdate THEN 3
WHEN t.shipped > vDayEnd THEN 0
ELSE IFNULL(ts.alertLevel, 0)
END
JOIN vn.state st ON st.code = al.code
-- LEFT JOIN vn.saleTracking stk ON stk.saleFk = s.id AND stk.stateFk = 14
WHERE t.shipped >= vDateInventory
AND s.itemFk = vItemId
AND vWarehouse =t.warehouseFk
) AS itemDiary
ORDER BY date, alertLevel DESC, isPicked DESC, `in` DESC, `out` DESC;
END$$
DELIMITER ;