diff --git a/db/routines/vn/procedures/company_getSuppliersDebt.sql b/db/routines/vn/procedures/company_getSuppliersDebt.sql index 842698020..3f6756d48 100644 --- a/db/routines/vn/procedures/company_getSuppliersDebt.sql +++ b/db/routines/vn/procedures/company_getSuppliersDebt.sql @@ -34,19 +34,19 @@ BEGIN currencyFk FROM ( SELECT p.supplierFk, - p.companyFk, - IF (p.currencyFk = vCurrencyEuroFk, p.amount, p.divisa) AS amount, - p.dueDated < vStartingDate isBeforeStarting, - p.currencyFk + p.companyFk, + IF (p.currencyFk = vCurrencyEuroFk, p.amount, p.divisa) AS amount, + p.dueDated < vStartingDate isBeforeStarting, + p.currencyFk FROM payment p WHERE p.received > vStartDate AND p.companyFk = vSelf UNION ALL SELECT r.supplierFk, - r.companyFk, - - IF (r.currencyFk = vCurrencyEuroFk, rv.amount, rv.foreignValue) AS Total, - rv.dueDated < vStartingDate isBeforeStarting, - r.currencyFk + r.companyFk, + - IF (r.currencyFk = vCurrencyEuroFk, rv.amount, rv.foreignValue) AS Total, + rv.dueDated < vStartingDate isBeforeStarting, + r.currencyFk FROM invoiceIn r INNER JOIN invoiceInDueDay rv ON r.id = rv.invoiceInFk WHERE r.issued > vStartDate @@ -57,7 +57,7 @@ BEGIN DROP TEMPORARY TABLE IF EXISTS tPendingDuedates; CREATE TEMPORARY TABLE tPendingDuedates ( id INT auto_increment, - expirationId INT, + expirationId INT, dated DATE, supplierFk INT NOT NULL, companyFk INT NOT NULL, @@ -82,35 +82,35 @@ BEGIN isPayment, isReconciled )SELECT p.id, - p.dueDated, - p.supplierFk, - p.companyFk, - IF (p.currencyFk = vCurrencyEuroFk, p.amount, p.divisa), - p.currencyFk, - TRUE isPayment, - p.isConciliated - FROM payment p - WHERE p.dueDated >= vStartingDate - AND p.companyFk = vSelf - UNION ALL - SELECT r.id, - rv.dueDated, - r.supplierFk, - r.companyFk, - -IF (r.currencyFk = vCurrencyEuroFk, rv.amount, rv.foreignValue), - r.currencyFk, - FALSE isPayment, - TRUE - FROM invoiceIn r - LEFT JOIN tOpeningBalances si ON r.companyFk = si.companyFk - AND r.supplierFk = si.supplierFk - AND r.currencyFk = si.currencyFk - JOIN invoiceInDueDay rv ON r.id = rv.invoiceInFk - WHERE rv.dueDated >= vStartingDate - AND (si.closingBalances IS NULL OR si.closingBalances <> 0) - AND r.isBooked - AND r.companyFk = vSelf - ORDER BY supplierFk, companyFk, companyFk, dueDated, isPayment DESC, id; + p.dueDated, + p.supplierFk, + p.companyFk, + IF (p.currencyFk = vCurrencyEuroFk, p.amount, p.divisa), + p.currencyFk, + TRUE isPayment, + p.isConciliated + FROM payment p + WHERE p.dueDated >= vStartingDate + AND p.companyFk = vSelf + UNION ALL + SELECT r.id, + rv.dueDated, + r.supplierFk, + r.companyFk, + -IF (r.currencyFk = vCurrencyEuroFk, rv.amount, rv.foreignValue), + r.currencyFk, + FALSE isPayment, + TRUE + FROM invoiceIn r + LEFT JOIN tOpeningBalances si ON r.companyFk = si.companyFk + AND r.supplierFk = si.supplierFk + AND r.currencyFk = si.currencyFk + JOIN invoiceInDueDay rv ON r.id = rv.invoiceInFk + WHERE rv.dueDated >= vStartingDate + AND (si.closingBalances IS NULL OR si.closingBalances <> 0) + AND r.isBooked + AND r.companyFk = vSelf + ORDER BY supplierFk, companyFk, companyFk, dueDated, isPayment DESC, id; -- Now, we calculate the outstanding amount for each receipt in descending order SET @risk := 0.0; SET @supplier := 0.0; @@ -169,7 +169,7 @@ BEGIN AND vp.supplierFk = rd.supplierFk AND vp.companyFk = rd.companyFk AND vp.currencyFk = rd.currencyFk - WHERE vp.isPayment = FALSE; + WHERE NOT vp.isPayment; SELECT vp.expirationId, vp.dated,