7383-testToMaster #2445
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@ -8,9 +8,9 @@ proc: BEGIN
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* Calcular la disponibilidad dependiendo del almacen
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* de origen y destino según la fecha.
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*
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* @param vWarehouseLanding almacén de llegada
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* @param vDated fecha del calculo para la disponibilidad de articulos
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* @param vWarehouseShipment almacén de destino
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* @param vWarehouseLanding Almacén de llegada
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* @param vDated Fecha del calculo para la disponibilidad de articulos
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* @param vWarehouseShipment Almacén de destino
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*/
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DECLARE vDatedFrom DATE;
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DECLARE vDatedTo DATETIME;
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@ -23,14 +23,14 @@ proc: BEGIN
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CALL item_getStock (vWarehouseLanding, vDated, NULL);
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-- Calcula algunos parámetros necesarios
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-- Calcula algunos parámetros necesarios.
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SET vDatedFrom = TIMESTAMP(vDated, '00:00:00');
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SET vDatedTo = TIMESTAMP(TIMESTAMPADD(DAY, 4, vDated), '23:59:59');
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SELECT FechaInventario INTO vDatedInventory FROM tblContadores;
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SELECT SUBTIME(util.VN_NOW(), reserveTime) INTO vDatedReserve
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FROM hedera.orderConfig;
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-- Calcula el ultimo dia de vida para cada producto
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-- Calcula el ultimo dia de vida para cada producto.
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CREATE OR REPLACE TEMPORARY TABLE tItemRange
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(PRIMARY KEY (itemFk))
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ENGINE = MEMORY
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@ -89,15 +89,15 @@ proc: BEGIN
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t.landed,
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b.quantity
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FROM buy b
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JOIN entry e ON b.entryFk = e.id
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JOIN travel t ON t.id = e.travelFk
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JOIN tItemRangeLive ir ON ir.itemFk = b.itemFk
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WHERE NOT e.isExcludedFromAvailable
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AND b.quantity <> 0
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AND NOT e.isRaid
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AND t.warehouseInFk = vWarehouseLanding
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AND t.landed >= vDatedFrom
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AND (ir.dated IS NULL OR t.landed <= ir.dated)
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JOIN entry e ON b.entryFk = e.id
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JOIN travel t ON t.id = e.travelFk
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JOIN tItemRangeLive ir ON ir.itemFk = b.itemFk
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WHERE NOT e.isExcludedFromAvailable
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AND b.quantity <> 0
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AND NOT e.isRaid
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AND t.warehouseInFk = vWarehouseLanding
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AND t.landed >= vDatedFrom
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AND (ir.dated IS NULL OR t.landed <= ir.dated)
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UNION ALL
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SELECT i.itemFk, vWarehouseLanding, i.shipped, i.quantity
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FROM itemEntryOut i
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@ -130,23 +130,26 @@ BEGIN
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-- Añadimos los gastos, para facilitar el formulario
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UPDATE tmp.balance b
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JOIN balanceNestTree bnt on bnt.id = b.id
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JOIN (SELECT id, name
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JOIN (
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SELECT id, name
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FROM expense
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GROUP BY id) g ON g.id = bnt.expenseFk COLLATE utf8_general_ci
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GROUP BY id
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) g ON g.id = bnt.expenseFk COLLATE utf8_general_ci
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SET b.expenseFk = g.id COLLATE utf8_general_ci,
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b.expenseName = g.id COLLATE utf8_general_ci ;
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-- Rellenamos los valores de primer nivel, los que corresponden a los gastos simples
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-- Rellenamos los valores de primer nivel, los que corresponden
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-- a los gastos simples.
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WHILE vYears >= 0 DO
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SET vQuery = CONCAT(
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'UPDATE tmp.balance b
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JOIN
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(SELECT expenseFk, SUM(amount) amount
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JOIN (
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SELECT expenseFk, SUM(amount) amount
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FROM tmp.balanceDetail
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WHERE year = ?
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GROUP BY expenseFk
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) sub on sub.expenseFk = b.expenseFk COLLATE utf8_general_ci
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SET ', util.quoteIdentifier(vCurYear - vYears), ' = - amount');
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) sub on sub.expenseFk = b.expenseFk COLLATE utf8_general_ci
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SET ', util.quoteIdentifier(vCurYear - vYears), ' = - amount');
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EXECUTE IMMEDIATE vQuery
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USING vCurYear - vYears;
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@ -154,7 +157,7 @@ BEGIN
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SET vYears = vYears - 1;
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END WHILE;
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-- Añadimos las ventas
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-- Añadimos las ventas.
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EXECUTE IMMEDIATE CONCAT(
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'UPDATE tmp.balance b
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JOIN (
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@ -164,7 +167,7 @@ BEGIN
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c.Gasto
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FROM bs.ventas_contables c
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JOIN tCompanyReceiving cr ON cr.companyFk = c.empresa_id
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WHERE month BETWEEN ? AND ?
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WHERE month BETWEEN ? AND ?
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GROUP BY c.Gasto
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) sub ON sub.gasto = b.expenseFk COLLATE utf8_general_ci
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SET b.', vTwoYearsAgo, '= IFNULL(b.', vTwoYearsAgo, ', 0) + sub.y2,
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@ -176,7 +179,7 @@ BEGIN
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vStartingMonth,
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vEndingMonth;
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-- Ventas intra grupo
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-- Ventas intra grupo.
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IF NOT vInterGroupSalesIncluded THEN
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SELECT lft, rgt INTO @grupoLft, @grupoRgt
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@ -189,7 +192,7 @@ BEGIN
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END IF;
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-- Rellenamos el valor de los padres con la suma de los hijos
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-- Rellenamos el valor de los padres con la suma de los hijos.
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CREATE OR REPLACE TEMPORARY TABLE tmp.balance_aux
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SELECT * FROM tmp.balance;
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@ -3,7 +3,5 @@ CREATE OR REPLACE PROCEDURE `vn`.`buy_recalcPricesByEntry`() BEGIN END;
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CREATE OR REPLACE PROCEDURE `vn`.`buy_recalcPricesByBuy`() BEGIN END;
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GRANT EXECUTE ON PROCEDURE vn.balance_create TO `financialBoss`, `hrBoss`;
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GRANT EXECUTE ON PROCEDURE vn.buy_recalcPricesByEntry TO `buyer`, `claimManager`, `employee`;
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GRANT EXECUTE ON PROCEDURE vn.buy_recalcPricesByBuy TO `buyer`, `entryEditor`, `claimManager`, `employee`;
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