# SQL diagnostics for purchase_trade business rules These scripts are read-only diagnostics for a PostgreSQL test database. They exist to support the same business rules enforced by Python guards. The expected workflow is: 1. write the consultant/developer rule in the thematic documentation; 2. enforce the invariant in the application code when feasible; 3. provide a read-only SQL diagnostic to audit existing data. ## quantity_consistency_checks.sql Checks the two core lot quantity invariants documented in `lots-and-quantities.md` and `lots-and-quantities.en.md`. Zero `lot_qt` rows are ignored completely. They are treated as legitimate memory of an open quantity consumed by a physical lot. This is required because `lot_qt` represents usable open forecast and stops at zero, while the virtual lot may become negative to compensate the difference between theoretical and executed quantity. A non-zero `lot_qt` row without both `lot_p` and `lot_s` is reported as anomalous. When a physical lot overconsumes the selected forecast after a tolerance confirmation, `lot_qt` stops at zero but the virtual lot absorbs the full physical quantity. The SQL diagnostic therefore reports only open forecast lower than the positive virtual lot. Open forecast greater than the virtual lot is accepted as a consequence of this overconsumption rule. Run it on a restored test database:
\i modules/purchase_trade/docs/business/sql/quantity_consistency_checks.sql
The script returns rows only when it finds a potential issue. Main columns: Cross-category UoM rows are reported as manual-review diagnostics because the Python code may pass explicit conversion factors that cannot be inferred safely from SQL alone. ## fee_quantity_consistency_checks.sql Checks the fee quantity invariant documented in `fees.md` and `fees.en.md`. The script ignores `mode = 'ppack'` because Per packing follows a packing quantity, not the lot net/gross weight. For every other fee, it recomputes the expected quantity from the effective `fee.lots`: The diagnostic is grouped by `fee_id`. Purchase and sale columns are displayed only to help identify related contracts; they do not split the expected quantity. This matters for purchase fees whose linked lots may also be matched to several sale lines. Run it on a restored test database:
\i modules/purchase_trade/docs/business/sql/fee_quantity_consistency_checks.sql
The script returns rows only when it finds a potential issue. Main columns: Rows reported as `fee_quantity_uom_manual_review` need manual analysis because SQL cannot safely infer cross-category conversion factors.