CREATE OR REPLACE VIEW public.view_by_forex AS WITH contract_lines AS ( SELECT forex.id AS forex_id, forex.number AS forex_number, fcpc.id AS fcpc_id, fcpc.amount AS forex_amount, fcpc.amount AS forex_amount_for_all, ((fcpc.amount)::double precision * (((lh.quantity)::double precision * (unit.factor / unit_line.factor)) / pl.quantity)) AS line_amount, ((pl.unit_price)::double precision * ((lh.quantity)::double precision * (unit.factor / unit_line.factor))) AS qt_amount, p.id AS purchase_id, p.number AS purchase_number, pl.id AS purchase_line_id, pl.quantity, pp.code AS product_code, cc.code AS currency, ll.lot_type, ll.invoice_line, ll.invoice_line_prov, aml.reconciliation FROM (((((((((((forex_forex forex LEFT JOIN forex_cover_physical_contract fcpc ON ((forex.id = fcpc.forex))) LEFT JOIN purchase_purchase p ON ((fcpc.contract = p.id))) LEFT JOIN purchase_line pl ON ((pl.purchase = p.id))) LEFT JOIN product_product pp ON ((pl.product = pp.id))) LEFT JOIN currency_currency cc ON ((p.currency = cc.id))) LEFT JOIN lot_lot ll ON ((pl.id = ll.line))) LEFT JOIN lot_qt_hist lh ON ((lh.lot = ll.id))) LEFT JOIN lot_qt_type lt ON (((lh.quantity_type = lt.id) AND (lt.sequence = 1)))) LEFT JOIN product_uom unit ON ((unit.id = pl.unit))) LEFT JOIN product_uom unit_line ON ((unit_line.id = ll.lot_unit_line))) LEFT JOIN account_move_line aml ON (((split_part((aml.origin)::text, ','::text, 1) = 'invoice.line'::text) AND ((ll.invoice_line_prov = (split_part((aml.origin)::text, ','::text, 2))::integer) OR (ll.invoice_line = (split_part((aml.origin)::text, ','::text, 2))::integer))))) WHERE ((forex.move IS NULL) AND (forex.buy_currency = 2)) ), contracts_by_status AS ( SELECT contract_lines.forex_id, contract_lines.forex_number, contract_lines.fcpc_id, contract_lines.line_amount, contract_lines.forex_amount, contract_lines.forex_amount_for_all, contract_lines.qt_amount, contract_lines.purchase_id, contract_lines.purchase_number, contract_lines.purchase_line_id, contract_lines.quantity, contract_lines.product_code, contract_lines.currency, contract_lines.lot_type, contract_lines.invoice_line, contract_lines.invoice_line_prov, contract_lines.reconciliation, CASE WHEN ((contract_lines.lot_type)::text = 'virtual'::text) THEN 'open'::text WHEN (((contract_lines.lot_type)::text = 'physic'::text) AND (contract_lines.invoice_line IS NULL) AND (contract_lines.invoice_line_prov IS NULL)) THEN 'shipped'::text WHEN (((contract_lines.lot_type)::text = 'physic'::text) AND ((contract_lines.invoice_line IS NOT NULL) OR (contract_lines.invoice_line_prov IS NOT NULL)) AND ((contract_lines.reconciliation IS NULL) OR (contract_lines.reconciliation = 0))) THEN 'invoiced'::text WHEN (((contract_lines.lot_type)::text = 'physic'::text) AND ((contract_lines.invoice_line IS NOT NULL) OR (contract_lines.invoice_line_prov IS NOT NULL)) AND (contract_lines.reconciliation > 0)) THEN 'paid'::text ELSE 'total'::text END AS qt_type, CASE WHEN ((contract_lines.lot_type)::text = 'virtual'::text) THEN 1 WHEN (((contract_lines.lot_type)::text = 'physic'::text) AND (contract_lines.invoice_line IS NULL) AND (contract_lines.invoice_line_prov IS NULL)) THEN 2 WHEN (((contract_lines.lot_type)::text = 'physic'::text) AND ((contract_lines.invoice_line IS NOT NULL) OR (contract_lines.invoice_line_prov IS NOT NULL)) AND ((contract_lines.reconciliation IS NULL) OR (contract_lines.reconciliation = 0))) THEN 3 WHEN (((contract_lines.lot_type)::text = 'physic'::text) AND ((contract_lines.invoice_line IS NOT NULL) OR (contract_lines.invoice_line_prov IS NOT NULL)) AND (contract_lines.reconciliation > 0)) THEN 4 ELSE 0 END AS qt_order FROM contract_lines ), amounts_adjusted AS ( SELECT c.forex_id, c.fcpc_id, c.purchase_id, c.purchase_number, c.purchase_line_id, c.product_code, c.currency, c.qt_type, c.qt_order, c.line_amount, c.qt_amount, NULL::numeric AS forex_amount, GREATEST(LEAST(COALESCE(c.line_amount, (0)::double precision), ((COALESCE(c.forex_amount_for_all, (0)::numeric))::double precision - COALESCE(sum(COALESCE(c.line_amount, (0)::double precision)) OVER (PARTITION BY c.forex_id, c.fcpc_id ORDER BY c.qt_order DESC, c.purchase_line_id, c.invoice_line ROWS BETWEEN UNBOUNDED PRECEDING AND 1 PRECEDING), (0)::double precision))), (0)::double precision) AS amount_covered FROM contracts_by_status c WHERE (c.qt_type = ANY (ARRAY['paid'::text, 'invoiced'::text, 'shipped'::text, 'open'::text])) ), amounts_total AS ( SELECT a.forex_id, a.fcpc_id, a.purchase_id, a.purchase_number, NULL::integer AS purchase_line_id, NULL::text AS product_code, max((a.currency)::text) AS currency, 'total'::text AS qt_type, 5 AS qt_order, NULL::numeric AS line_amount, NULL::numeric AS qt_amount, max(fcpc.amount) AS forex_amount, NULL::numeric AS amount_covered FROM (((forex_cover_physical_contract fcpc JOIN purchase_purchase p ON ((fcpc.contract = p.id))) JOIN forex_forex f ON ((f.id = fcpc.forex))) JOIN amounts_adjusted a ON (((a.fcpc_id = fcpc.id) AND (a.purchase_id = p.id)))) GROUP BY a.forex_id, a.fcpc_id, a.purchase_id, a.purchase_number ), forex_summary AS ( SELECT forex.number AS forex_number, 'forex'::text AS line_type, NULL::text AS purchase_number, NULL::text AS purchase_line, NULL::text AS qt_type, 0 AS qt_order, max(forex.rate) AS rate, NULL::numeric AS amount_covered, NULL::numeric AS forex_amount, NULL::numeric AS qt_amount, forex.buy_amount AS total_amount_forex, (forex.buy_amount - COALESCE(sum(fcpc.amount), (0)::numeric)) AS amount_remaining, max((cc.code)::text) AS currency, forex.value_date AS maturity_date, forex.move FROM ((forex_forex forex LEFT JOIN forex_cover_physical_contract fcpc ON ((forex.id = fcpc.forex))) LEFT JOIN currency_currency cc ON ((forex.buy_currency = cc.id))) WHERE ((forex.move IS NULL) AND (forex.buy_currency = 2)) GROUP BY forex.id, forex.number, forex.buy_amount ) SELECT forex_summary.forex_number, forex_summary.line_type, forex_summary.purchase_number, forex_summary.purchase_line, forex_summary.qt_type, forex_summary.qt_order, forex_summary.rate, forex_summary.amount_covered, forex_summary.forex_amount, forex_summary.qt_amount, forex_summary.total_amount_forex, forex_summary.amount_remaining, forex_summary.currency, forex_summary.maturity_date, CASE WHEN (forex_summary.move > 0) THEN 'executed'::text ELSE 'not executed'::text END AS executed FROM forex_summary UNION ALL SELECT c.number AS forex_number, 'contract'::text AS line_type, a.purchase_number, ((a.product_code)::text || COALESCE(((' ('::text || a.purchase_line_id) || ')'::text), ''::text)) AS purchase_line, a.qt_type, a.qt_order, NULL::numeric AS rate, a.amount_covered, a.forex_amount, a.qt_amount, NULL::numeric AS total_amount_forex, NULL::numeric AS amount_remaining, a.currency, NULL::date AS maturity_date, NULL::text AS executed FROM (( SELECT amounts_adjusted.forex_id, amounts_adjusted.fcpc_id, amounts_adjusted.purchase_id, amounts_adjusted.purchase_number, amounts_adjusted.purchase_line_id, amounts_adjusted.product_code, amounts_adjusted.currency, amounts_adjusted.qt_type, amounts_adjusted.qt_order, amounts_adjusted.line_amount, amounts_adjusted.qt_amount, amounts_adjusted.forex_amount, amounts_adjusted.amount_covered FROM amounts_adjusted UNION ALL SELECT amounts_total.forex_id, amounts_total.fcpc_id, amounts_total.purchase_id, amounts_total.purchase_number, amounts_total.purchase_line_id, amounts_total.product_code, amounts_total.currency, amounts_total.qt_type, amounts_total.qt_order, amounts_total.line_amount, amounts_total.qt_amount, amounts_total.forex_amount, amounts_total.amount_covered FROM amounts_total) a JOIN forex_forex c ON ((c.id = a.forex_id))) ORDER BY 1, 2 DESC, 3, 6 DESC;;