refs #6553 changes models #2522

Open
carlossa wants to merge 22 commits from 6553-workerBusiness into dev
21 changed files with 519 additions and 283 deletions
Showing only changes of commit be0de3511b - Show all commits

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@ -28,7 +28,7 @@ Pull from repository.
Run this commands on project root directory to install Node dependencies.
```
$ npm install
$ pnpm install
$ gulp install
```

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@ -16,29 +16,34 @@ module.exports = Self => {
accessScopes: ['DEFAULT', 'read:multimedia']});
Self.renewToken = async function(ctx) {
const {accessToken: token} = ctx.req;
let createTokenOptions = {};
let token; let isNotExceeded;
try {
token = ctx.req.accessToken;
const {courtesyTime} = await models.AccessTokenConfig.findOne({
fields: ['courtesyTime']
});
const isNotExceeded = await Self.validateToken(ctx);
isNotExceeded = await Self.validateToken(ctx);
if (isNotExceeded)
return token;
// Schedule to remove current token
setTimeout(async() => {
let exists;
try {
const exists = await models.AccessToken.findById(token.id);
exists = await models.AccessToken.findById(token.id);
exists && await Self.logout(token.id);
} catch (err) {
} catch (error) {
// eslint-disable-next-line no-console
console.error(err);
console.error(error);
const body = {error: error.message, now: Date.now(), userId: token?.userId ?? null, exists};
await handleError(body);
throw new Error(error);
}
}, courtesyTime * 1000);
// Get scopes
let createTokenOptions = {};
const {scopes} = token;
if (scopes)
createTokenOptions = {scopes: [scopes[0]]};
@ -47,5 +52,15 @@ module.exports = Self => {
const accessToken = await user.accessTokens.create(createTokenOptions);
return {id: accessToken.id, ttl: accessToken.ttl};
} catch (error) {
const body = {error: error.message, now: Date.now(), userId: token?.userId ?? null, createTokenOptions, isNotExceeded};
await handleError(body);
throw new Error(error);
}
};
};
async function handleError(body, tag = 'renewToken') {
body = JSON.stringify(body);
await models.Application.rawSql('CALL util.debugAdd(?,?);', [tag, body]);
}

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@ -61,4 +61,21 @@ describe('Renew Token', () => {
expect(error).toBeUndefined();
expect(response.id).toEqual(ctx.req.accessToken.id);
});
it('throw error', async() => {
let error;
try {
await models.VnUser.renewToken({req: {token: null}});
} catch (e) {
error = e;
}
expect(error).toBeDefined();
const query = 'SELECT * FROM util.debug';
const debugLog = await models.Application.rawSql(query, null);
expect(debugLog.length).toEqual(1);
});
});

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@ -64,6 +64,9 @@
"EmailUser": {
"dataSource": "vn"
},
"Expedition_PrintOut": {
"dataSource": "vn"
},
"Image": {
"dataSource": "vn"
},

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@ -0,0 +1,19 @@
{
"name": "Expedition_PrintOut",
"base": "VnModel",
"options": {
"mysql": {
"table": "dipole.expedition_PrintOut"
}
},
"properties": {
"expeditionFk": {
"type": "number",
"id": true,
"description": "id expeditionFk"
},
"itemFk": {
"type": "number"
}
}
}

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@ -839,9 +839,9 @@ INSERT INTO `vn`.`config`(`id`, `mdbServer`, `fakeEmail`, `defaultersMaxAmount`,
INSERT INTO `vn`.`greugeType`(`id`, `name`, `code`)
VALUES
(1, 'Diff', 'diff'),
(2, 'Recover', 'recover'),
(2, 'Recovery', 'recovery'),
(3, 'Mana', 'mana'),
(4, 'Reclaim', 'reclaim'),
(4, 'Claim', 'claim'),
(5, 'Heritage', 'heritage'),
(6, 'Miscellaneous', 'miscellaneous'),
(7, 'Freight Pickup', 'freightPickUp');
@ -1885,9 +1885,9 @@ INSERT INTO `vn`.`claimEnd`(`id`, `saleFk`, `claimFk`, `workerFk`, `claimDestina
(1, 31, 4, 21, 2),
(2, 32, 3, 21, 3);
INSERT INTO `vn`.`claimConfig`(`id`, `maxResponsibility`)
INSERT INTO `vn`.`claimConfig`(`id`, `maxResponsibility`, `monthsToRefund`, `minShipped`)
VALUES
(1, 50);
(1, 5, 4, '2016-10-01');
INSERT INTO `vn`.`claimRatio`(`clientFk`, `yearSale`, `claimAmount`, `claimingRate`, `priceIncreasing`, `packingRate`)
VALUES
@ -3882,3 +3882,11 @@ INSERT INTO `vn`.`calendarHolidays` (calendarHolidaysTypeFk, dated, calendarHoli
(1, '2001-05-17', 1, 5),
(1, '2001-05-18', 1, 5);
INSERT INTO dipole.printer (id, description)
VALUES(1, '');
INSERT INTO dipole.expedition_PrintOut (expeditionFk, ticketFk, addressFk, street, postalCode, city, shopName, isPrinted, created, printerFk, routeFk, parkingCode,
truckName, clientFk, phone, province, agency, m3, workerCode, itemFk, quantity, longName, shelvingFk, comments)
VALUES(1, 1, 0, ' ', ' ', ' ', ' ', 0, '2001-01-01 00:00:00', 1, 0, ' ', ' ', 0, NULL, '', NULL, 0.000, NULL, 10, NULL, NULL, 'NCC', NULL);

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@ -1,167 +0,0 @@
DELIMITER $$
CREATE OR REPLACE DEFINER=`root`@`localhost` PROCEDURE `bi`.`claim_ratio_routine`()
BEGIN
DECLARE vMonthToRefund INT DEFAULT 4;
/*
* PAK 2015-11-20
* Se trata de añadir a la tabla Greuges todos los
* cargos que luego vamos a utilizar para calcular el recobro
*/
-- Reclamaciones demasiado sensibles
INSERT INTO vn.greuge(shipped, clientFk, description,
amount, greugeTypeFk, ticketFk)
SELECT c.ticketCreated
, c.clientFk
, concat('Claim ', c.id,' : ', s.concept)
,round( -1 * ((c.responsibility -1)/4) * s.quantity *
s.price * (100 - s.discount) / 100, 2)
, 4
, s.ticketFk
FROM vn.sale s
JOIN vn.claimEnd ce ON ce.saleFk = s.id
JOIN vn.claim c ON c.id = ce.claimFk
WHERE ce.claimDestinationFk NOT IN (1,5)
AND NOT ce.isGreuge
AND c.claimStateFk = 3;
-- Reclamaciones que pasan a Maná
INSERT INTO vn.greuge(shipped, clientFk, description,
amount, greugeTypeFk, ticketFk)
SELECT c.ticketCreated
, c.clientFk
, concat('Claim_mana ',c.id,' : ', s.concept)
,round( ((c.responsibility -1)/4) * s.quantity * s.price * (100 - s.discount) / 100, 2)
,3
,s.ticketFk
FROM vn.sale s
JOIN vn.claimEnd ce ON ce.saleFk = s.id
JOIN vn.claim c ON c.id = ce.claimFk
WHERE ce.claimDestinationFk NOT IN (1,5)
AND NOT ce.isGreuge
AND c.claimStateFk = 3
AND c.isChargedToMana;
-- Marcamos para no repetir
UPDATE vn.claimEnd ce
JOIN vn.claim c ON c.id = ce.claimFk
SET ce.isGreuge = TRUE
WHERE ce.claimDestinationFk NOT IN (1,5)
AND NOT ce.isGreuge
AND c.claimStateFk = 3;
-- Recobros
DROP TEMPORARY TABLE IF EXISTS tmp.ticket_list;
CREATE TEMPORARY TABLE tmp.ticket_list
(PRIMARY KEY (Id_Ticket))
SELECT DISTINCT t.id Id_Ticket
FROM vn.saleComponent sc
JOIN vn.sale s ON sc.saleFk = s.id
JOIN vn.ticket t ON t.id = s.ticketFk
JOIN vn.ticketLastState ts ON ts.ticketFk = t.id
JOIN vn.ticketTracking tt ON tt.id = ts.ticketTrackingFk
JOIN vn.state st ON st.id = tt.stateFk
JOIN vn.alertLevel al ON al.code = 'DELIVERED'
WHERE sc.componentFk = 17
AND sc.isGreuge = 0
AND t.shipped >= '2016-10-01'
AND t.shipped < util.VN_CURDATE()
AND st.alertLevel >= al.id;
DELETE g.*
FROM vn.greuge g
JOIN tmp.ticket_list t ON g.ticketFk = t.Id_Ticket
WHERE g.greugeTypeFk = 2;
INSERT INTO vn.greuge(clientFk, description, amount,shipped,
greugeTypeFk, ticketFk)
SELECT t.clientFk
,concat('recobro ', s.ticketFk), - round(SUM(sc.value*s.quantity),2)
AS dif,
date(t.shipped)
, 2
,tt.Id_Ticket
FROM vn.sale s
JOIN vn.ticket t ON t.id = s.ticketFk
JOIN tmp.ticket_list tt ON tt.Id_Ticket = t.id
JOIN vn.saleComponent sc
ON sc.saleFk = s.id AND sc.componentFk = 17
GROUP BY t.id
HAVING ABS(dif) > 1;
UPDATE vn.saleComponent sc
JOIN vn.sale s ON s.id = sc.saleFk
JOIN tmp.ticket_list tt ON tt.Id_Ticket = s.ticketFk
SET sc.isGreuge = 1
WHERE sc.componentFk = 17;
/*
* Recalculamos la ratio de las reclamaciones, que luego
* se va a utilizar en el recobro
*/
REPLACE bi.claims_ratio(Id_Cliente, Consumo, Reclamaciones, Ratio, recobro)
SELECT id, 0,0,0,0
FROM vn.client;
REPLACE bi.claims_ratio(Id_Cliente, Consumo, Reclamaciones, Ratio, recobro)
SELECT fm.Id_Cliente, 12 * fm.Consumo, Reclamaciones,
round(Reclamaciones / (12*fm.Consumo),4), 0
FROM bi.facturacion_media_anual fm
LEFT JOIN(
SELECT c.clientFk, round(sum(-1 * ((c.responsibility -1)/4) *
s.quantity * s.price * (100 - s.discount) / 100))
AS Reclamaciones
FROM vn.sale s
JOIN vn.claimEnd ce ON ce.saleFk = s.id
JOIN vn.claim c ON c.id = ce.claimFk
WHERE ce.claimDestinationFk NOT IN (1,5)
AND c.claimStateFk = 3
AND c.ticketCreated >= TIMESTAMPADD(YEAR, -1, util.VN_CURDATE())
GROUP BY c.clientFk
) claims ON claims.clientFk = fm.Id_Cliente;
-- Calculamos el porcentaje del recobro para añadirlo al precio de venta
UPDATE bi.claims_ratio cr
JOIN (
SELECT clientFk Id_Cliente, IFNULL(SUM(amount), 0) AS Greuge
FROM vn.greuge
WHERE shipped <= util.VN_CURDATE()
GROUP BY clientFk
) g ON g.Id_Cliente = cr.Id_Cliente
SET recobro = GREATEST(0,round(IFNULL(Greuge, 0) /
(IFNULL(Consumo, 0) * vMonthToRefund / 12 ) ,3));
-- Protección neonatos
UPDATE bi.claims_ratio cr
JOIN vn.firstTicketShipped fts ON fts.clientFk = cr.Id_Cliente
SET recobro = 0, Ratio = 0
WHERE fts.shipped > TIMESTAMPADD(MONTH,-1,util.VN_CURDATE());
-- CLIENTE 7983, JULIAN SUAU
UPDATE bi.claims_ratio SET recobro = LEAST(0.05, recobro) WHERE Id_Cliente = 7983;
-- CLIENTE 4358
UPDATE bi.claims_ratio SET recobro = GREATEST(0.05, recobro) WHERE Id_Cliente = 4358;
-- CLIENTE 5523, VERDECORA
UPDATE bi.claims_ratio SET recobro = GREATEST(0.12, recobro) WHERE Id_Cliente = 5523;
-- CLIENTE 15979, SERVEIS VETERINARIS
UPDATE bi.claims_ratio SET recobro = GREATEST(0.05, recobro) WHERE Id_Cliente = 15979;
-- CLIENTE 5189 i 8942, son de CSR i son el mateix client
UPDATE bi.claims_ratio cr
JOIN (SELECT sum(Consumo * recobro)/sum(Consumo) as recobro
FROM bi.claims_ratio
WHERE Id_Cliente IN ( 5189,8942)
) sub
SET cr.recobro = sub.recobro
WHERE Id_Cliente IN ( 5189,8942);
END$$
DELIMITER ;

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@ -21,7 +21,8 @@ BEGIN
DECLARE vTransactionExportTaxFreeFk INT;
DECLARE vSerialDua VARCHAR(1) DEFAULT 'D';
DECLARE vInvoiceTypeInformativeCode VARCHAR(1);
DECLARE vCountryCanariasCode, vCountryCeutaMelillaCode VARCHAR(2) ;
DECLARE vCountryCanariasCode, vCountryCeutaMelillaCode VARCHAR(2);
DECLARE vCompanyCode INT;
SELECT SiglaNacion INTO vCountryCanariasCode
FROM Naciones
@ -31,9 +32,6 @@ BEGIN
FROM Naciones
WHERE Nacion ='CEUTA Y MELILLA';
SELECT pendingServiceTransactionTypeFk INTO vDuaTransactionFk
FROM config;
SELECT id INTO vTaxImportFk
FROM taxType
WHERE code = 'import21';
@ -46,10 +44,14 @@ BEGIN
FROM taxType
WHERE code = 'import4';
SELECT definitiveExportTransactionTypeFk INTO vTransactionExportFk
FROM config;
SELECT shipmentTransactionTypeFk INTO vTransactionExportTaxFreeFk
SELECT shipmentTransactionTypeFk,
definitiveExportTransactionTypeFk,
pendingServiceTransactionTypeFk,
company_getCode(vCompanyFk)
INTO vTransactionExportTaxFreeFk,
vTransactionExportFk,
vDuaTransactionFk,
vCompanyCode
FROM config;
SELECT codeSage INTO vInvoiceTypeInformativeCode
@ -64,8 +66,6 @@ BEGIN
WHERE enlazadoSage = FALSE
AND Asiento <> 1 ;
CALL clientSupplier_add(vCompanyFk);
CALL pgc_add(vCompanyFk);
CALL invoiceOut_manager(vYear, vCompanyFk);
CALL invoiceIn_manager(vYear, vCompanyFk);
@ -158,7 +158,7 @@ BEGIN
)
SELECT 'EN' TipoEntrada,
YEAR(x.FECHA) Ejercicio,
company_getCode(vCompanyFk) AS CodigoEmpresa,
vCompanyCode CodigoEmpresa,
x.ASIEN Asiento,
IF(EURODEBE <> 0 OR (EURODEBE = 0 AND EUROHABER IS NULL),
'D', 'H') CargoAbono,
@ -291,20 +291,6 @@ BEGIN
WHERE m.CargoAbono = 'D'
AND m.enlazadoSage = FALSE;
-- Elimina cuentas de cliente/proveedor que no se utilizarán en la importación
DELETE cp
FROM clientesProveedores cp
LEFT JOIN movConta mc ON mc.codigoCuenta = cp.codigoCuenta
AND mc.enlazadoSage = FALSE
WHERE mc.codigoCuenta IS NULL;
-- Elimina cuentas contables que no se utilizarán en la importación
DELETE pc
FROM planCuentasPGC pc
LEFT JOIN movConta mc ON mc.codigoCuenta = pc.codigoCuenta
AND mc.enlazadoSage = FALSE
WHERE mc.codigoCuenta IS NULL;
-- DUAS
UPDATE movConta mci
JOIN vn.XDiario x ON x.ASIEN = mci.Asiento
@ -411,5 +397,55 @@ BEGIN
AND importeDivisa > 0
AND ImporteAsiento < 0;
CREATE OR REPLACE TEMPORARY TABLE tmp.clientSupplier
(INDEX(idClientSupplier, `type`))
ENGINE = MEMORY
WITH client AS(
SELECT DISTINCT c.id
FROM sage.movConta mc
JOIN vn.client c ON c.accountingAccount = mc.CodigoCuenta
WHERE NOT enlazadoSage
),supplier AS(
SELECT DISTINCT s.id
FROM sage.movConta mc
JOIN vn.supplier s ON s.account = mc.CodigoCuenta
WHERE NOT enlazadoSage
),clientSupplierSync AS(
SELECT idClientSupplier, `type`
FROM sage.clientSupplier cs
WHERE isSync
)
SELECT idClientSupplier, `type`
FROM sage.clientSupplier cs
WHERE NOT isSync
UNION
SELECT id, 'C'
FROM client c
LEFT JOIN clientSupplierSync cs ON cs.idClientSupplier = c.id
AND cs.Type ='C'
WHERE cs.idClientSupplier IS NULL
UNION
SELECT id, 'P'
FROM supplier s
LEFT JOIN clientSupplierSync cs ON cs.idClientSupplier = s.id
AND cs.Type ='P'
WHERE cs.idClientSupplier IS NULL;
CALL clientSupplier_add(vCompanyFk);
INSERT IGNORE INTO sage.clientSupplier (companyFk, `type`, idClientSupplier, isSync)
SELECT vCompanyCode, `type`, idClientSupplier, FALSE
FROM tmp.clientSupplier;
DROP TEMPORARY TABLE tmp.clientSupplier;
CALL pgc_add(vCompanyFk);
-- Elimina cuentas contables que no se utilizarán en la importación
DELETE pc
FROM planCuentasPGC pc
LEFT JOIN movConta mc ON mc.codigoCuenta = pc.codigoCuenta
AND mc.enlazadoSage = FALSE
WHERE mc.codigoCuenta IS NULL;
END$$
DELIMITER ;

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@ -1,11 +1,16 @@
DELIMITER $$
CREATE OR REPLACE DEFINER=`root`@`localhost` PROCEDURE `sage`.`clientSupplier_add`(vCompanyFk INT)
CREATE OR REPLACE DEFINER=`root`@`localhost` PROCEDURE `sage`.`clientSupplier_add`(
vCompanyFk INT
)
BEGIN
/**
* Prepara los datos de clientes y proveedores para exportarlos a Sage
* @vCompanyFk Empresa dela que se quiere trasladar datos
* Inserta en la tabla sage.clientesProveedores los datos de clientes y proveedores
* que se actualizaran o se daran de alta en Sage
* @vCompanyFk Id de empresa
* @table tmp.clientSupplier(idClientSupplier, `type`)
*/
DECLARE vCountryCeutaMelillaFk INT;
DECLARE vCompanyCode INT DEFAULT company_getCode(vCompanyFk);
DECLARE vCountryCanariasCode, vCountryCeutaMelillaCode VARCHAR(2);
SELECT SiglaNacion INTO vCountryCanariasCode
@ -45,7 +50,7 @@ BEGIN
Email1,
iban)
SELECT
company_getCode(vCompanyFk),
vCompanyCode,
'C',
c.id,
c.socialName,
@ -75,15 +80,14 @@ BEGIN
IFNULL(SUBSTR(c.email, 1, LOCATE(',', CONCAT(c.email, ','))-1), ''),
IFNULL(c.iban, '')
FROM vn.`client` c
JOIN clientLastTwoMonths clm ON clm.clientFk = c.id
JOIN tmp.clientSupplier cs ON cs.idClientSupplier = c.id
LEFT JOIN vn.country cu ON cu.id = c.countryFk
LEFT JOIN Naciones n ON n.countryFk = cu.id
LEFT JOIN vn.province p ON p.id = c.provinceFk
LEFT JOIN Provincias pr ON pr.provinceFk = p.id
WHERE c.isRelevant
AND clm.companyFk = vCompanyFk
WHERE cs.type = 'C'
UNION ALL
SELECT company_getCode(vCompanyFk),
SELECT vCompanyCode,
'P',
s.id,
s.name,
@ -107,18 +111,16 @@ BEGIN
IFNULL(s.transactionTypeSageFk, 0),
IFNULL(s.withholdingSageFk, '0'),
IFNULL(SUBSTR(sc.email, 1, (COALESCE(NULLIF(LOCATE(',', sc.email), 0), 99) - 1)), ''),
IFNULL(iban, '')
IFNULL(sa.iban, '')
FROM vn.supplier s
JOIN supplierLastThreeMonths pl ON pl.supplierFk = s.id
JOIN tmp.clientSupplier cs ON cs.idClientSupplier = s.id
LEFT JOIN vn.country co ON co.id = s.countryFk
LEFT JOIN Naciones n ON n.countryFk = co.id
LEFT JOIN vn.province p ON p.id = s.provinceFk
LEFT JOIN Provincias pr ON pr.provinceFk = p.id
LEFT JOIN vn.supplierContact sc ON sc.supplierFk = s.id
LEFT JOIN vn.supplierAccount sa ON sa.supplierFk = s.id
WHERE pl.companyFk = vCompanyFk AND
s.isActive AND
s.nif <> ''
GROUP BY pl.supplierFk, pl.companyFk;
WHERE cs.type = 'P'
GROUP BY s.id;
END$$
DELIMITER ;

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@ -0,0 +1,190 @@
DELIMITER $$
CREATE OR REPLACE DEFINER=`root`@`localhost` PROCEDURE `vn`.`claimRatio_add`()
BEGIN
/*
* Añade a la tabla greuges todos los cargos necesario y
* que luego lo utilizamos para calcular el recobro.
*/
DECLARE vMonthToRefund INT
DEFAULT (SELECT monthsToRefund FROM claimConfig);
DECLARE vRecoveryGreugeType INT
DEFAULT (SELECT id FROM greugeType WHERE code = 'recovery');
DECLARE vManaGreugeType INT
DEFAULT (SELECT id FROM greugeType WHERE code = 'mana');
DECLARE vClaimGreugeType INT
DEFAULT (SELECT id FROM greugeType WHERE code = 'claim');
DECLARE vDebtComponentType INT
DEFAULT (SELECT id FROM component WHERE code = 'debtCollection');
IF vMonthToRefund IS NULL
OR vRecoveryGreugeType IS NULL
OR vManaGreugeType IS NULL
OR vClaimGreugeType IS NULL
OR vDebtComponentType IS NULL THEN
CALL util.throw('Required variables not found');
END IF;
-- Reclamaciones demasiado sensibles
INSERT INTO greuge(
shipped,
clientFk,
`description`,
amount,
greugeTypeFk,
ticketFk
)
SELECT c.ticketCreated,
c.clientFk,
CONCAT('Claim ', c.id,' : ', s.concept),
ROUND(-1 * ((c.responsibility - 1) / 4) * s.quantity *
s.price * (100 - s.discount) / 100, 2),
vClaimGreugeType,
s.ticketFk
FROM sale s
JOIN claimEnd ce ON ce.saleFk = s.id
JOIN claimDestination cd ON cd.id = ce.claimDestinationFk
JOIN claim c ON c.id = ce.claimFk
JOIN claimState cs ON cs.id = c.claimStateFk
WHERE cd.description NOT IN ('Bueno', 'Corregido')
AND NOT ce.isGreuge
AND cs.code = 'resolved';
-- Reclamaciones que pasan a Maná
INSERT INTO greuge(
shipped,
clientFk,
`description`,
amount,
greugeTypeFk,
ticketFk
)
SELECT c.ticketCreated,
c.clientFk,
CONCAT('Claim_mana ', c.id,' : ', s.concept),
ROUND(((c.responsibility - 1) / 4) * s.quantity *
s.price * (100 - s.discount) / 100, 2),
vManaGreugeType,
s.ticketFk
FROM sale s
JOIN claimEnd ce ON ce.saleFk = s.id
JOIN claimDestination cd ON cd.id = ce.claimDestinationFk
JOIN claim c ON c.id = ce.claimFk
JOIN claimState cs ON cs.id = c.claimStateFk
WHERE cd.description NOT IN ('Bueno', 'Corregido')
AND NOT ce.isGreuge
AND cs.code = 'resolved'
AND c.isChargedToMana;
-- Marcamos para no repetir
UPDATE claimEnd ce
JOIN claimDestination cd ON cd.id = ce.claimDestinationFk
JOIN claim c ON c.id = ce.claimFk
JOIN claimState cs ON cs.id = c.claimStateFk
SET ce.isGreuge = TRUE
WHERE cd.description NOT IN ('Bueno', 'Corregido')
AND NOT ce.isGreuge
AND cs.code = 'resolved';
-- Recobros
CREATE OR REPLACE TEMPORARY TABLE tTicketList
(PRIMARY KEY (ticketFk))
ENGINE = MEMORY
SELECT DISTINCT s.ticketFk
FROM saleComponent sc
JOIN sale s ON sc.saleFk = s.id
JOIN ticket t ON t.id = s.ticketFk
JOIN ticketLastState ts ON ts.ticketFk = t.id
JOIN ticketTracking tt ON tt.id = ts.ticketTrackingFk
JOIN state st ON st.id = tt.stateFk
JOIN alertLevel al ON al.id = st.alertLevel
WHERE sc.componentFk = vDebtComponentType
AND NOT sc.isGreuge
AND t.shipped >= (SELECT minShipped FROM claimConfig)
AND t.shipped < util.VN_CURDATE()
AND al.code = 'DELIVERED';
DELETE g.*
FROM greuge g
JOIN tTicketList t ON t.ticketFk = g.ticketFk
WHERE g.greugeTypeFk = vRecoveryGreugeType;
INSERT INTO greuge(
clientFk,
`description`,
amount,
shipped,
greugeTypeFk,
ticketFk
)
SELECT t.clientFk,
'Recobro',
- ROUND(SUM(sc.value * s.quantity), 2) dif,
DATE(t.shipped),
vRecoveryGreugeType,
tl.ticketFk
FROM sale s
JOIN ticket t ON t.id = s.ticketFk
JOIN tTicketList tl ON tl.ticketFk = t.id
JOIN saleComponent sc ON sc.saleFk = s.id
AND sc.componentFk = vDebtComponentType
GROUP BY t.id
HAVING ABS(dif) > 1;
UPDATE saleComponent sc
JOIN sale s ON s.id = sc.saleFk
JOIN tTicketList tl ON tl.ticketFk = s.ticketFk
SET sc.isGreuge = TRUE
WHERE sc.componentFk = vDebtComponentType;
REPLACE claimRatio(
clientFk,
yearSale,
claimAmount,
claimingRate,
priceIncreasing
)
SELECT c.id,
12 * cac.invoiced,
totalClaims,
ROUND(totalClaims / (12 * cac.invoiced), 4),
0
FROM client c
LEFT JOIN bs.clientAnnualConsumption cac ON cac.clientFk = c.id
LEFT JOIN (
SELECT c.clientFk,
ROUND(SUM(-1 * ((c.responsibility - 1) / 4) *
s.quantity * s.price * (100 - s.discount)
/ 100)) totalClaims
FROM sale s
JOIN claimEnd ce ON ce.saleFk = s.id
JOIN claimDestination cd ON cd.id = ce.claimDestinationFk
JOIN claim c ON c.id = ce.claimFk
JOIN claimState cs ON cs.id = c.claimStateFk
WHERE cd.description NOT IN ('Bueno', 'Corregido')
AND cs.code = 'resolved'
AND c.ticketCreated >= util.VN_CURDATE() - INTERVAL 1 YEAR
GROUP BY c.clientFk
) sub ON sub.clientFk = c.id;
-- Calculamos el porcentaje del recobro para añadirlo al precio de venta
UPDATE claimRatio cr
JOIN (
SELECT clientFk, IFNULL(SUM(amount), 0) greuge
FROM greuge
WHERE shipped <= util.VN_CURDATE()
GROUP BY clientFk
) sub ON sub.clientFk = cr.clientFk
SET cr.priceIncreasing = GREATEST(0, ROUND(IFNULL(sub.greuge, 0) /
(IFNULL(cr.yearSale, 0) * vMonthToRefund / 12 ), 3));
-- Protección neonatos
UPDATE claimRatio cr
JOIN firstTicketShipped fts ON fts.clientFk = cr.clientFk
SET cr.priceIncreasing = 0,
cr.claimingRate = 0
WHERE fts.shipped > util.VN_CURDATE() - INTERVAL 1 MONTH;
DROP TEMPORARY TABLE tTicketList;
END$$
DELIMITER ;

View File

@ -1,5 +1,7 @@
DELIMITER $$
CREATE OR REPLACE DEFINER=`root`@`localhost` PROCEDURE `vn`.`duaInvoiceInBooking`(vDuaFk INT)
CREATE OR REPLACE DEFINER=`root`@`localhost` PROCEDURE `vn`.`duaInvoiceInBooking`(
vDuaFk INT
)
BEGIN
/**
* Genera el asiento de un DUA y marca las entradas como confirmadas
@ -29,9 +31,7 @@ BEGIN
SET ii.booked = IFNULL(ii.booked, d.booked),
ii.operated = IFNULL(ii.operated, d.operated),
ii.issued = IFNULL(ii.issued, d.issued),
ii.bookEntried = IFNULL(ii.bookEntried, d.bookEntried),
e.isBooked = TRUE,
e.isConfirmed = TRUE
ii.bookEntried = IFNULL(ii.bookEntried, d.bookEntried)
WHERE d.id = vDuaFk;
SELECT ASIEN INTO vBookEntry FROM dua WHERE id = vDuaFk;
@ -39,7 +39,7 @@ BEGIN
IF vBookEntry IS NULL THEN
SELECT YEAR(IFNULL(ii.bookEntried, d.bookEntried)) INTO vFiscalYear
FROM invoiceIn ii
JOIN entry e ON e.invoiceInFk = ii.id
JOIN `entry` e ON e.invoiceInFk = ii.id
JOIN duaEntry de ON de.entryFk = e.id
JOIN dua d ON d.id = de.duaFk
WHERE d.id = vDuaFk
@ -49,7 +49,7 @@ BEGIN
OPEN vInvoicesIn;
l: LOOP
l: LOOP
SET vDone = FALSE;
FETCH vInvoicesIn INTO vInvoiceFk;
@ -70,5 +70,28 @@ l: LOOP
JOIN duaInvoiceIn dii ON dii.invoiceInFk = ii.id
SET ii.isBooked = TRUE
WHERE dii.duaFk = vDuaFk;
UPDATE `entry` e
JOIN (
WITH entries AS (
SELECT e.id, de.duaFk
FROM `entry` e
JOIN duaEntry de ON de.entryFk = e.id
WHERE de.duaFk = vDuaFk
AND (NOT e.isBooked OR NOT e.isConfirmed)
),
notBookedEntries AS (
SELECT e.id
FROM duaEntry
WHERE duaFk = vDuaFk
AND NOT customsValue
)
SELECT e.id
FROM entries e
LEFT JOIN notBookedEntries nbe ON nbe.entryFk = e.id
WHERE nbe.entryFk IS NULL
) sub ON sub.id = e.id
SET e.isBooked = TRUE,
e.isConfirmed = TRUE;
END$$
DELIMITER ;

View File

@ -21,7 +21,8 @@ proc:BEGIN
sub.downstairs,
sub.visible,
CAST(visible - upstairs - downstairs AS DECIMAL(10,0)) nicho,
sub.name itemColour
sub.name itemColour,
CAST(sub2.pendiente AS DECIMAL(10,0)) pendingAmount
FROM (SELECT iss.itemFk,
CONCAT(i.longName, ' ', IFNULL(i.size, ''),' ', IFNULL(i.subName, '') ) longName,
'' size,
@ -58,7 +59,8 @@ proc:BEGIN
0,
v.visible,
v.visible nicho,
ik.name itemColour
ik.name itemColour,
CAST(sub5.pendiente AS DECIMAL(10,0)) pendingAmount
FROM cache.visible v
JOIN item i ON i.id = v.item_id
LEFT JOIN ink ik ON ik.id = i.inkFk

View File

@ -22,7 +22,7 @@ BEGIN
landed,
`in`,
`out`,
warehouse,
sref,
buyingValue,
IF (
NOT (@vItemFk <=> sub.itemFk),
@ -31,19 +31,20 @@ BEGIN
) balance,
@vItemFk := sub.itemFk previousItemFk
FROM (
SELECT supplierFk,
itemFk,
longName,
supplier,
CONCAT('E',entryFk) entryFk,
landed,
`in`,
`out`,
warehouse,
buyingValue
FROM supplierPackaging
WHERE supplierFk = vSupplierFk
AND landed >= vFromDated
SELECT sp.supplierFk,
sp.itemFk,
sp.longName,
sp.supplier,
CONCAT('E',sp.entryFk) entryFk,
sp.landed,
sp.`in`,
sp.`out`,
e.invoiceNumber sref,
sp.buyingValue
FROM supplierPackaging sp
JOIN entry e ON e.id = sp.entryFk
WHERE sp.supplierFk = vSupplierFk
AND sp.landed >= vFromDated
UNION ALL
SELECT vSupplierFk,
itemFk,
@ -68,7 +69,7 @@ BEGIN
DATE(t.shipped),
-LEAST(s.quantity,0) `in`,
GREATEST(s.quantity,0) `out`,
t.warehouseFk,
t.cmrFk,
s.price * (100 - s.discount) / 100
FROM sale s
JOIN item i ON i.id = s.itemFk
@ -110,7 +111,7 @@ BEGIN
DATE(t.shipped),
-LEAST(tp.quantity,0) `in`,
GREATEST(tp.quantity,0) `out`,
t.warehouseFk,
t.cmrFk,
0
FROM ticketPackaging tp
JOIN packaging p ON p.id = tp.packagingFk
@ -155,7 +156,7 @@ BEGIN
landed,
CAST(`in` AS DECIMAL(10,0)) `in`,
CAST(`out` AS DECIMAL(10,0)) `out`,
warehouse,
sref,
buyingValue,
balance
FROM tSupplierPackaging

View File

@ -12,23 +12,21 @@ BEGIN
END IF;
IF !(OLD.started <=> NEW.started AND OLD.ended <=> NEW.ended) THEN
SELECT COUNT(*) > 0 INTO isOverlapping
FROM business b
WHERE (util.hasDateOverlapped(
SELECT util.hasDateOverlapped(
started,
ended,
NEW.started,
IFNULL(NEW.ended, b.started),
b.started,
IFNULL(b.ended, NEW.started))
OR (NEW.ended <=> NULL AND b.ended <=> NULL))
AND b.id <> OLD.id
AND workerFk = OLD.workerFk;
IFNULL(NEW.ended, b.started)
) isOverlapped INTO isOverlapping
FROM vn.business b
WHERE workerFk = NEW.workerFK
AND b.id <> NEW.id
ORDER BY isOverlapped DESC
LIMIT 1;
IF isOverlapping THEN
CALL util.throw ('IS_OVERLAPPING');
END IF;
END IF;
END$$
DELIMITER ;

View File

@ -3,12 +3,35 @@ CREATE OR REPLACE DEFINER=`root`@`localhost` TRIGGER `vn`.`client_afterUpdate`
AFTER UPDATE ON `client`
FOR EACH ROW
BEGIN
IF !(NEW.defaultAddressFk <=> OLD.defaultAddressFk) THEN
IF NOT (NEW.defaultAddressFk <=> OLD.defaultAddressFk) THEN
UPDATE `address` SET isDefaultAddress = FALSE
WHERE clientFk = NEW.id;
UPDATE `address` SET isDefaultAddress = TRUE
WHERE id = NEW.defaultAddressFk;
END IF;
IF NEW.id <> OLD.id
OR NOT (NEW.provinceFk <=> OLD.provinceFk)
OR NOT (NEW.socialName <=> OLD.socialName)
OR NOT (NEW.street <=> OLD.street)
OR NOT (NEW.accountingAccount <=> OLD.accountingAccount)
OR NOT (NEW.isVies <=> OLD.isVies)
OR NOT (NEW.fi <=> OLD.fi)
OR NOT (NEW.postcode <=> OLD.postcode)
OR NOT (NEW.city <=> OLD.city)
OR NOT (NEW.countryFk <=> OLD.countryFk)
OR NOT (NEW.taxTypeSageFk <=> OLD.taxTypeSageFk)
OR NOT (NEW.transactionTypeSageFk <=> OLD.transactionTypeSageFk)
OR NOT (NEW.email <=> OLD.email)
OR NOT (NEW.iban <=> OLD.iban)
OR NOT (NEW.phone <=> OLD.phone)
OR NOT (NEW.mobile <=> OLD.mobile) THEN
UPDATE sage.clientSupplier
SET isSync = FALSE
WHERE idClientSupplier IN (NEW.id, OLD.id)
AND `type` = 'C';
END IF;
END$$
DELIMITER ;

View File

@ -65,11 +65,11 @@ BEGIN
END IF;
END IF;
IF !(NEW.salesPersonFk <=> OLD.salesPersonFk) THEN
IF NOT (NEW.salesPersonFk <=> OLD.salesPersonFk) THEN
SET NEW.lastSalesPersonFk = IFNULL(NEW.salesPersonFk, OLD.salesPersonFk);
END IF;
IF !(NEW.businessTypeFk <=> OLD.businessTypeFk) AND (NEW.businessTypeFk = 'individual' OR OLD.businessTypeFk = 'individual') THEN
IF NOT (NEW.businessTypeFk <=> OLD.businessTypeFk) AND (NEW.businessTypeFk = 'individual' OR OLD.businessTypeFk = 'individual') THEN
SET NEW.isTaxDataChecked = 0;
END IF;
END$$

View File

@ -0,0 +1,26 @@
DELIMITER $$
CREATE OR REPLACE DEFINER=`root`@`localhost` TRIGGER `vn`.`supplier_afterUpdate`
BEFORE UPDATE ON `supplier`
FOR EACH ROW
BEGIN
IF NEW.id <> OLD.id
OR NOT (NEW.name <=> OLD.name)
OR NOT (NEW.street <=> OLD.street)
OR NOT (NEW.account <=> OLD.account)
OR NOT (NEW.nif <=> OLD.nif)
OR NOT (NEW.isVies <=> OLD.isVies)
OR NOT (NEW.provinceFk <=> OLD.provinceFk)
OR NOT (NEW.countryFk <=> OLD.countryFk)
OR NOT (NEW.postCode <=> OLD.postCode)
OR NOT (NEW.city <=> OLD.city)
OR NOT (NEW.taxTypeSageFk <=> OLD.taxTypeSageFk)
OR NOT (NEW.transactionTypeSageFk <=> OLD.transactionTypeSageFk)
OR NOT (NEW.withholdingSageFk <=> OLD.withholdingSageFk) THEN
UPDATE sage.clientSupplier
SET isSync = FALSE
WHERE idClientSupplier IN (NEW.id, OLD.id)
AND `type` = 'P';
END IF;
END$$
DELIMITER ;

View File

@ -0,0 +1,12 @@
UPDATE IGNORE bs.nightTask
SET `schema` = 'vn',
`procedure` = 'claimRatio_add'
WHERE `procedure` = 'claim_ratio_routine';
ALTER TABLE vn.claimConfig
ADD monthsToRefund int(11) DEFAULT NULL NULL,
ADD minShipped date DEFAULT NULL NULL;
UPDATE IGNORE vn.claimConfig
SET monthsToRefund = 4,
minShipped = '2016-10-01';

View File

@ -0,0 +1,9 @@
CREATE OR REPLACE TABLE sage.clientSupplier (
`companyFk` smallint(6) NOT NULL,
`type` ENUM('C','P') NOT NULL,
`idClientSupplier` INT NOT NULL,
`isSync` TINYINT(1) NOT NULL DEFAULT 0,
PRIMARY KEY (`companyFk`,`idClientSupplier`,`type`)
) ENGINE=InnoDB DEFAULT CHARSET=utf8mb3 COLLATE=utf8mb3_general_ci
COMMENT='Clients and suppliers present in Sage and their synchronization status';

View File

@ -0,0 +1 @@
ALTER TABLE account.`user` DROP COLUMN password__;

View File

@ -0,0 +1,18 @@
-- Place your SQL code here
CREATE TABLE IF NOT EXISTS vn.travelKgPercentage (
value INT(3) PRIMARY KEY,
className VARCHAR(50)
);
INSERT IGNORE INTO vn.travelKgPercentage (value, className)
VALUES
(80, 'primary'),
(100, 'alert');
INSERT IGNORE INTO salix.ACL
SET model = 'TravelKgPercentage',
property = '*',
accessType = 'READ',
permission = 'ALLOW',
principalType = 'ROLE',
principalId = 'employee';