diff --git a/db/routines/vn/procedures/supplier_statement.sql b/db/routines/vn/procedures/supplier_statement.sql deleted file mode 100644 index a03a7770c..000000000 --- a/db/routines/vn/procedures/supplier_statement.sql +++ /dev/null @@ -1,139 +0,0 @@ -DELIMITER $$ -CREATE OR REPLACE DEFINER=`root`@`localhost` PROCEDURE `vn`.`supplier_statement`( - vSupplierFk INT, - vCurrencyFk INT, - vCompanyFk INT, - vOrderBy VARCHAR(15), - vIsConciliated BOOL -) -BEGIN -/** - * Crea un estado de cuenta de proveedores calculando - * los saldos en euros y en la moneda especificada. - * - * @param vSupplierFk Id del proveedor - * @param vCurrencyFk Id de la moneda - * @param vCompanyFk Id de la empresa - * @param vOrderBy Criterio de ordenación - * @param vIsConciliated Indica si está conciliado o no - * @return tmp.supplierStatement - */ - SET @euroBalance:= 0; - SET @currencyBalance:= 0; - - CREATE OR REPLACE TEMPORARY TABLE tmp.supplierStatement - ENGINE = MEMORY - SELECT *, - @euroBalance:= ROUND( - @euroBalance + IFNULL(paymentEuros, 0) - - IFNULL(invoiceEuros, 0), 2 - ) euroBalance, - @currencyBalance:= ROUND( - @currencyBalance + IFNULL(paymentCurrency, 0) - - IFNULL(invoiceCurrency, 0), 2 - ) currencyBalance - FROM ( - SELECT * FROM - ( - SELECT NULL bankFk, - ii.companyFk, - ii.serial, - ii.id, - CASE - WHEN vOrderBy = 'issued' THEN ii.issued - WHEN vOrderBy = 'bookEntried' THEN ii.bookEntried - WHEN vOrderBy = 'booked' THEN ii.booked - WHEN vOrderBy = 'dueDate' THEN iid.dueDated - END dated, - CONCAT('S/Fra ', ii.supplierRef) sref, - IF(ii.currencyFk > 1, - ROUND(SUM(iid.foreignValue) / SUM(iid.amount), 3), - NULL - ) changeValue, - CAST(SUM(iid.amount) AS DECIMAL(10,2)) invoiceEuros, - CAST(SUM(iid.foreignValue) AS DECIMAL(10,2)) invoiceCurrency, - NULL paymentEuros, - NULL paymentCurrency, - ii.currencyFk, - ii.isBooked, - c.code, - 'invoiceIn' statementType - FROM invoiceIn ii - JOIN invoiceInDueDay iid ON iid.invoiceInFk = ii.id - JOIN currency c ON c.id = ii.currencyFk - WHERE ii.issued > '2014-12-31' - AND ii.supplierFk = vSupplierFk - AND vCurrencyFk IN (ii.currencyFk, 0) - AND vCompanyFk IN (ii.companyFk, 0) - AND (vIsConciliated = ii.isBooked OR NOT vIsConciliated) - GROUP BY iid.id - UNION ALL - SELECT p.bankFk, - p.companyFk, - NULL, - p.id, - CASE - WHEN vOrderBy = 'issued' THEN p.received - WHEN vOrderBy = 'bookEntried' THEN p.received - WHEN vOrderBy = 'booked' THEN p.received - WHEN vOrderBy = 'dueDate' THEN p.dueDated - END, - CONCAT(IFNULL(pm.name, ''), - IF(pn.concept <> '', - CONCAT(' : ', pn.concept), - '') - ), - IF(p.currencyFk > 1, p.divisa / p.amount, NULL), - NULL, - NULL, - p.amount, - p.divisa, - p.currencyFk, - p.isConciliated, - c.code, - 'payment' - FROM payment p - LEFT JOIN currency c ON c.id = p.currencyFk - LEFT JOIN accounting a ON a.id = p.bankFk - LEFT JOIN payMethod pm ON pm.id = p.payMethodFk - LEFT JOIN promissoryNote pn ON pn.paymentFk = p.id - WHERE p.received > '2014-12-31' - AND p.supplierFk = vSupplierFk - AND vCurrencyFk IN (p.currencyFk, 0) - AND vCompanyFk IN (p.companyFk, 0) - AND (vIsConciliated = p.isConciliated OR NOT vIsConciliated) - UNION ALL - SELECT NULL, - companyFk, - NULL, - se.id, - CASE - WHEN vOrderBy = 'issued' THEN se.dated - WHEN vOrderBy = 'bookEntried' THEN se.dated - WHEN vOrderBy = 'booked' THEN se.dated - WHEN vOrderBy = 'dueDate' THEN se.dueDated - END, - se.description, - 1, - amount, - NULL, - NULL, - NULL, - currencyFk, - isConciliated, - c.`code`, - 'expense' - FROM supplierExpense se - JOIN currency c ON c.id = se.currencyFk - WHERE se.supplierFk = vSupplierFk - AND vCurrencyFk IN (se.currencyFk,0) - AND vCompanyFk IN (se.companyFk,0) - AND (vIsConciliated = se.isConciliated OR NOT vIsConciliated) - ) sub - ORDER BY (dated IS NULL AND NOT isBooked), - dated, - IF(vOrderBy = 'dueDate', id, NULL) - LIMIT 10000000000000000000 - ) t; -END$$ -DELIMITER ;