7167-testToMaster_2414 #2244
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@ -13,7 +13,7 @@
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"AuthCode": {
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"dataSource": "vn"
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},
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"Bank": {
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"Accounting": {
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"dataSource": "vn"
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},
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"Buyer": {
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@ -1,9 +1,9 @@
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{
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"name": "Bank",
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"name": "Accounting",
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"base": "VnModel",
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"options": {
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"mysql": {
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"table": "bank"
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"table": "accounting"
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}
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},
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"properties": {
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@ -22,10 +22,7 @@
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},
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"accountingTypeFk": {
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"type": "number",
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"required": true,
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"mysql": {
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"columnName": "cash"
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}
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"required": true
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},
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"entityFk": {
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"type": "number",
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@ -47,7 +47,7 @@
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},
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"bank": {
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"type": "belongsTo",
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"model": "Bank",
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"model": "Accounting",
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"foreignKey": "bankFk"
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},
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"payMethod": {
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@ -22,7 +22,7 @@ BEGIN
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FROM vn.component WHERE code = 'manaClaim';
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SELECT id INTO vManaBankId
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FROM vn.bank WHERE code = 'mana';
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FROM vn.accounting WHERE code = 'mana';
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SELECT id INTO vManaGreugeTypeId
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FROM vn.greugeType WHERE code = 'mana';
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@ -54,7 +54,7 @@ p: BEGIN
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FROM vn.`client` WHERE id = vCustomer;
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SELECT account INTO vAccount
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FROM vn.bank WHERE id = vBank;
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FROM vn.accounting WHERE id = vBank;
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DELETE FROM vn.XDiario
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WHERE SUBCTA = vSubaccount
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@ -253,9 +253,9 @@ BEGIN
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LIMIT 10000000000000000000
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) sub GROUP BY ASIEN
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)sub2 ON sub2.ASIEN = x.ASIEN
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LEFT JOIN ( SELECT DISTINCT(account),cu.code
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FROM vn.bank b
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JOIN vn.currency cu ON cu.id = b.currencyFk
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LEFT JOIN ( SELECT DISTINCT(a.account),cu.code
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FROM vn.accounting a
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JOIN vn.currency cu ON cu.id = a.currencyFk
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WHERE cu.code <> 'EUR' -- no se informa cuando la divisa en EUR
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)sub3 ON sub3.account = x.SUBCTA
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WHERE x.enlazadoSage = FALSE
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@ -17,15 +17,15 @@ BEGIN
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e.id accountFk,
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UCASE(e.name),
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''
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FROM vn.expense e
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FROM expense e
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UNION
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SELECT company_getCode(vCompanyFk),
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b.account,
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UCASE(b.bank),
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a.account,
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UCASE(a.bank),
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''
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FROM vn.bank b
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WHERE b.isActive
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AND b.`account`
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FROM accounting a
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WHERE a.isActive
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AND a.`account`
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UNION
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SELECT CodigoEmpresa,
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CodigoCuenta,
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@ -34,7 +34,7 @@ BEGIN
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-- Inserta los asientos contables
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SELECT account INTO vAccount
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FROM bank WHERE id = vBank;
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FROM accounting WHERE id = vBank;
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SELECT accountingAccount INTO vSubaccount
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FROM `client` WHERE id = vClient;
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@ -10,13 +10,11 @@ BEGIN
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INSERT INTO mail (receiver,replyTo,subject,body)
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SELECT 'administracion@verdnatura.es' receiver,
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'noreply@verdnatura.es' replyTo,
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CONCAT('El seguro de la poliza ',b.id,' ',b.bank,' ha finalizado.') subject,
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CONCAT('El seguro de la poliza ',b.id,' ',b.bank,' ha finalizado.') body
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FROM vn.bankPolicy bp
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LEFT JOIN vn.supplier s
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ON s.id = bp.supplierFk
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LEFT JOIN vn.bank b
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ON b.id = bp.accountingFk
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CONCAT('El seguro de la poliza ',a.id,' ',a.bank,' ha finalizado.') subject,
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CONCAT('El seguro de la poliza ',a.id,' ',a.bank,' ha finalizado.') body
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FROM bankPolicy bp
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LEFT JOIN supplier s ON s.id = bp.supplierFk
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LEFT JOIN accounting a ON a.id = bp.accountingFk
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WHERE bp.insuranceExpired = util.VN_CURDATE();
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END$$
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DELIMITER ;
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@ -39,7 +39,8 @@ BEGIN
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FROM receipt r
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JOIN `client` c ON c.id = r.clientFk
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JOIN tmp.client tc ON tc.id = c.id
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JOIN bank b ON r.bankFk = b.id AND b.code = 'mana'
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JOIN accounting a ON r.bankFk = a.id
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AND a.code = 'mana'
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WHERE r.payed > vFromDated
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AND r.payed <= util.VN_CURDATE()
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UNION ALL
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@ -94,7 +94,7 @@ BEGIN
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'payment'
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FROM payment p
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LEFT JOIN currency c ON c.id = p.currencyFk
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LEFT JOIN bank b ON b.id = p.bankFk
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LEFT JOIN accounting a ON a.id = p.bankFk
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LEFT JOIN payMethod pm ON pm.id = p.payMethodFk
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LEFT JOIN promissoryNote pn ON pn.paymentFk = p.id
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WHERE p.received > '2014-12-31'
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@ -10,21 +10,21 @@ BEGIN
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-- PAK 10/02/15 No se asientan los pagos directamente, salvo en el caso de las cajas de CASH
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SELECT (at2.code = 'cash') INTO bolCASH
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FROM vn.bank b
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JOIN vn.accountingType at2 ON at2.id = b.cash
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WHERE b.id = NEW.bankFk;
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FROM accounting a
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JOIN accountingType at2 ON at2.id = a.accountingTypeFk
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WHERE a.id = NEW.bankFk;
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IF bolCASH THEN
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SELECT account INTO cuenta_banco
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FROM bank
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FROM accounting
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WHERE id = NEW.bankFk;
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SELECT account INTO cuenta_proveedor
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FROM supplier
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WHERE id = NEW.supplierFk;
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CALL vn.ledger_next(vNewBookEntry);
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CALL ledger_next(vNewBookEntry);
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INSERT INTO XDiario ( ASIEN,
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FECHA,
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@ -1,12 +0,0 @@
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CREATE OR REPLACE DEFINER=`root`@`localhost`
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SQL SECURITY DEFINER
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VIEW `vn`.`bank`
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AS SELECT `a`.`id` AS `id`,
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`a`.`bank` AS `bank`,
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`a`.`account` AS `account`,
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`a`.`accountingTypeFk` AS `cash`,
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`a`.`entityFk` AS `entityFk`,
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`a`.`isActive` AS `isActive`,
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`a`.`currencyFk` AS `currencyFk`,
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`a`.`code` AS `code`
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FROM `vn`.`accounting` `a`
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@ -7,9 +7,9 @@ AS SELECT `p`.`received` AS `received`,
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FROM (
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(
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`vn`.`payment` `p`
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JOIN `vn`.`bank` `b` ON(`b`.`id` = `p`.`bankFk`)
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JOIN `vn`.`accounting` `a` ON(`a`.`id` = `p`.`bankFk`)
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)
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JOIN `vn`.`accountingType` `at2` ON(`at2`.`id` = `b`.`cash`)
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JOIN `vn`.`accountingType` `at2` ON(`at2`.`id` = `a`.`accountingTypeFk`)
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)
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WHERE `p`.`currencyFk` = 2
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AND `at2`.`code` = 'wireTransfer'
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@ -1,11 +1,11 @@
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CREATE OR REPLACE DEFINER=`root`@`localhost`
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SQL SECURITY DEFINER
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VIEW `vn2008`.`Bancos`
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AS SELECT `b`.`id` AS `Id_Banco`,
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`b`.`bank` AS `Banco`,
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`b`.`account` AS `Cuenta`,
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`b`.`cash` AS `cash`,
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`b`.`entityFk` AS `entity_id`,
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`b`.`isActive` AS `activo`,
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`b`.`currencyFk` AS `currencyFk`
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FROM `vn`.`bank` `b`
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AS SELECT `a`.`id` AS `Id_Banco`,
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`a`.`bank` AS `Banco`,
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`a`.`account` AS `Cuenta`,
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`a`.`accountingTypeFk` AS `cash`,
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`a`.`entityFk` AS `entity_id`,
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`a`.`isActive` AS `activo`,
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`a`.`currencyFk` AS `currencyFk`
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FROM `vn`.`accounting` `a`
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@ -0,0 +1,5 @@
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REVOKE SELECT ON TABLE vn.bank FROM administrative, hr;
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GRANT SELECT ON TABLE vn.accounting TO administrative, hr;
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UPDATE salix.ACL
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SET model = 'Accounting'
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WHERE model = 'Bank';
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@ -58,7 +58,7 @@
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label="Local bank"
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id="localBank"
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ng-model="$ctrl.localBankFk"
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url="Banks"
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url="Accountings"
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select-fields="['id','bank']"
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show-field="bank"
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order="id"
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@ -69,7 +69,7 @@ module.exports = function(Self) {
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delete args.ctx; // Remove unwanted properties
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const originalClient = await models.Client.findById(args.clientFk, null, myOptions);
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const bank = await models.Bank.findById(args.bankFk, null, myOptions);
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const bank = await models.Accounting.findById(args.bankFk, null, myOptions);
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const accountingType = await models.AccountingType.findById(bank.accountingTypeFk, null, myOptions);
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if (accountingType.code == 'compensation') {
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@ -28,7 +28,7 @@ module.exports = Self => {
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const models = Self.app.models;
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const receipt = await models.Receipt.findById(id, {fields: ['clientFk', 'bankFk']});
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const bank = await models.Bank.findById(receipt.bankFk);
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const bank = await models.Accounting.findById(receipt.bankFk);
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if (!bank)
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throw new UserError(`Receipt's bank was not found`);
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|
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@ -60,7 +60,7 @@
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},
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"bank": {
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"type": "belongsTo",
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"model": "Bank",
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"model": "Accounting",
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"foreignKey": "bankFk"
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},
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"supplier": {
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|
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@ -46,7 +46,7 @@
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"relations": {
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"bank": {
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"type": "belongsTo",
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"model": "Bank",
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"model": "Accounting",
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"foreignKey": "bankFk"
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},
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"worker": {
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|
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@ -29,7 +29,7 @@
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<vn-horizontal>
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<vn-autocomplete
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label="Bank"
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url="Banks"
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url="Accountings"
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show-field="bank"
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value-field="id"
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fields="['accountingTypeFk']"
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|
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@ -34,7 +34,7 @@
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"relations": {
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"bank": {
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"type": "belongsTo",
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"model": "Bank",
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"model": "Accounting",
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"foreignKey": "bankFk"
|
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}
|
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}
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@ -23,7 +23,7 @@
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<vn-autocomplete vn-three
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label="Bank"
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ng-model="invoiceInDueDay.bankFk"
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url="Banks"
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url="Accountings"
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show-field="bank"
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select-fields="['id','bank']"
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order="id"
|
||||
|
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Reference in New Issue