Files
SQL-Scripts/vw_utility_purchase_physical_contract.sql
AzureAD\SylvainDUVERNAY 0fa522ece6 no message
2026-02-02 15:52:52 +01:00

70 lines
3.6 KiB
SQL

-- View: public.vw_utility_purchase_physical_contract
-- DROP VIEW public.vw_utility_purchase_physical_contract;
CREATE OR REPLACE VIEW public.vw_utility_purchase_physical_contract AS
SELECT pl.id AS "intPurchaseLineId",
pl.from_del AS "dtmDeliveryDateFrom",
pl.to_del AS "dtmDeliveryDateTo",
pl.quantity AS "dblQuantity",
pu1.name AS "strPurchaseUom",
COALESCE(vult.dblintransitquantity, 0::double precision) AS "dblInTransitQuantity",
COALESCE(dropship.dbldropshippedquantity, 0::double precision) AS "dblDropshippedQuantity",
COALESCE(received.dblreceivedquantity, 0::double precision) AS "dblReceivedQuantity",
COALESCE(pl.linked_price, 0) AS "dblPrice",
pu2.name AS "strPriceUnit",
'n/a'::text AS "strPriceCurrency",
pl.unit_price AS "dblUnitPrice",
COALESCE(pl.quantity_theorical, 0::numeric) AS "dblTheoriticalQuantity",
round((pl.quantity * pl.unit_price::double precision)::numeric, get_rounding_position(mcr.rounding)) AS "dblLineAmount",
cur.name AS "strCurrency",
0::numeric AS "dblLineBaseAmount",
''::text AS "strBaseCurrency",
0::numeric AS "dblQuantityInBaseUnit",
''::text AS "strBaseUnit",
0::numeric AS "dblFixedPrice",
0::numeric AS "dblFixedQuantity",
0::numeric AS "dblFixedAmount",
0::numeric AS "dblUnFixedPrice",
0::numeric AS "dblUnfixedQuantity",
0::numeric AS "dblUnfixedAmount",
0::numeric AS "dblInvoicedQuantity",
0::numeric AS "dblInvoicedAmount",
''::text AS "strInvoiceCurrency",
COALESCE(phys.dblphysicalqty, 0::double precision) AS "dblPhysicalQty",
COALESCE(pl.quantity_theorical::double precision, 0::double precision) - COALESCE(phys.dblphysicalqty, 0::double precision) AS "dblOpenQuantity",
COALESCE(inst.dblinstructedqty, 0::double precision) AS "dblInInstructedQuantity",
COALESCE(bl.estimated_date, pl.to_del) AS "dtmEstimatedBLDate"
FROM purchase_line pl
JOIN purchase_purchase pc ON pl.purchase = pc.id
JOIN product_uom pu1 ON pl.unit = pu1.id
LEFT JOIN product_uom pu2 ON pl.linked_unit = pu2.id
LEFT JOIN currency_linked cur ON pl.linked_currency = cur.id
LEFT JOIN currency_currency mcr ON cur.currency = mcr.id
LEFT JOIN ( SELECT transit."intPurchaseLineId",
sum(transit."dblQuantity") AS dblintransitquantity
FROM vw_utility_intransit_lots transit
GROUP BY transit."intPurchaseLineId") vult ON pl.id = vult."intPurchaseLineId"
LEFT JOIN ( SELECT t1."intPurchaseLineId",
sum(t1."dblQuantity") AS dbldropshippedquantity
FROM vw_utility_dropshipped_lots t1
GROUP BY t1."intPurchaseLineId") dropship ON pl.id = dropship."intPurchaseLineId"
LEFT JOIN ( SELECT t1."intPurchaseLineId",
sum(t1."dblQuantity") AS dblreceivedquantity
FROM vw_utility_received_lots t1
GROUP BY t1."intPurchaseLineId") received ON pl.id = received."intPurchaseLineId"
LEFT JOIN ( SELECT t1."intPurchaseLineId",
sum(t1."dblQuantity") AS dblphysicalqty
FROM vw_utility_lot t1
WHERE t1."strType"::text = 'physic'::text
GROUP BY t1."intPurchaseLineId") phys ON pl.id = phys."intPurchaseLineId"
LEFT JOIN ( SELECT t1."intPurchaseLineId",
sum(t1."dblQuantity") AS dblinstructedqty
FROM vw_utility_instructed_lots t1
GROUP BY t1."intPurchaseLineId") inst ON pl.id = inst."intPurchaseLineId"
LEFT JOIN pricing_estimated bl ON pl.id = bl.line AND bl.trigger::text = 'bldate'::text
WHERE 1 = 1;
ALTER TABLE public.vw_utility_purchase_physical_contract
OWNER TO postgres;