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【
OracleEBS
】
账户余额查询SQL(分类帐)
作者:
专注Oracle EBS
/ 发布于
2012/11/29
/
931
/*BEGIN MO_GLOBAL.INIT('AR'); END;*/ select je_line_num, ae_header_id, doc_sequence_value, accounting_date, description, accounted_dr, accounted_cr, entered_dr, entered_cr, currency_code, code_accounts, sourcedescription, startdate, enddate from ( select distinct xah.ae_header_id as ae_header_id, xal.ae_line_num as je_line_num, xah.doc_sequence_value as doc_sequence_value, xal.accounting_date as accounting_date, null as description, xal.accounted_dr as accounted_dr, xal.accounted_cr as accounted_cr, xal.entered_dr as entered_dr, xal.entered_cr as entered_cr, xal.currency_code as currency_code, substr(gcc_ori.concatenated_segments, instr(gcc_ori.concatenated_segments, '-', 1, 2) + 1, instr(gcc_ori.concatenated_segments, '-', 1, 2)) as code_accounts, substr(fa_rx_flex_pkg.get_description(101, 'GL#', gcc_ori.chart_of_accounts_id, 'ALL', gcc_ori.concatenated_segments), instr(fa_rx_flex_pkg.get_description(101, 'GL#', gcc_ori.chart_of_accounts_id, 'ALL', gcc_ori.concatenated_segments), '-', , ) + 1, instr(fa_rx_flex_pkg.get_description(101, 'GL#', gcc_ori.chart_of_accounts_id, 'ALL', gcc_ori.concatenated_segments), '-', , )) as sourcedescription, to_char(:begindate, 'yyyy-mm-dd') as startdate, to_char(:enddate, 'yyyy-mm-dd') as enddate from xla_transaction_entities xte, xla_entity_types_tl xett, xle_entity_profiles le, xla_events xe, xla_event_types_tl xent, xla_ae_headers xah, xla_ae_lines xal, xla_lookups xlp, xla_distribution_links xdl, gl_code_combinations_kfv gcc_ori where 1 = 1 and xte.entity_id = xe.entity_id and xte.application_id = xe.application_id and xte.legal_entity_id = le.legal_entity_id(+) and xah.event_id = xe.event_id and xah.application_id = xe.application_id(+) and xent.event_type_code = xe.event_type_code and xent.application_id(+) = xe.application_id and xent.language = 'ZHS' and xah.ae_header_id(+) = xal.ae_header_id and xlp.lookup_type(+) = 'XLA_ACCOUNTING_CLASS' and xlp.lookup_code(+) = xal.accounting_class_code and xal.ae_header_id = xdl.ae_header_id and xal.ae_line_num = xdl.ae_line_num(+) and xal.application_id = xdl.application_id(+) and xett.entity_code = xte.entity_code and xett.application_id = xte.application_id and xal.code_combination_id = gcc_ori.code_combination_id and xett.language = 'ZHS' and substr(gcc_ori.concatenated_segments, instr(gcc_ori.concatenated_segments, '-', 1, 2) + 1, instr(gcc_ori.concatenated_segments, '-', 1, 2)) = nvl(:bank, substr(gcc_ori.concatenated_segments, instr(gcc_ori.concatenated_segments, '-', 1, 2) + 1, instr(gcc_ori.concatenated_segments, '-', 1, 2))) --and xah.period_name = 'Jul-10' and to_char(xal.accounting_date, 'yyyy-mm-dd') between to_char(:begindate, 'yyyy-mm-dd') and to_char(:enddate, 'yyyy-mm-dd') union all select headers.je_header_id as ae_header_id, lines.je_line_num as je_line_num, headers.doc_sequence_value as doc_sequence_value, headers.default_effective_date as accounting_date, lines.description as description, lines.accounted_dr as accounted_dr, lines.accounted_cr as accounted_cr, lines.entered_dr as entered_dr, lines.entered_cr as entered_cr, headers.currency_code as currency_code, lines.segment3 as code_accounts, substr(fa_rx_flex_pkg.get_description(101, 'GL#', gcc_ori.chart_of_accounts_id, 'ALL', gcc_ori.concatenated_segments), instr(fa_rx_flex_pkg.get_description(101, 'GL#', gcc_ori.chart_of_accounts_id, 'ALL', gcc_ori.concatenated_segments), '-', , ) + 1, instr(fa_rx_flex_pkg.get_description(101, 'GL#', gcc_ori.chart_of_accounts_id, 'ALL', gcc_ori.concatenated_segments), '-', , )) as sourcedescription, to_char(:begindate, 'yyyy-mm-dd') as startdate, to_char(:enddate, 'yyyy-mm-dd') as enddate from gl_je_headers_v headers, gl_je_lines_v lines, gl_code_combinations_kfv gcc_ori where headers.je_header_id = lines.je_header_id -- and headers.batch_period_name_qry = 'Jul-10' and headers.je_category = '1' and lines.segment3 = nvl(:bank, lines.segment3) and lines.code_combination_id = gcc_ori.code_combination_id and to_char(headers.default_effective_date, 'yyyy-mm-dd') between to_char(:begindate, 'yyyy-mm-dd') and to_char(:enddate, 'yyyy-mm-dd') ) order by accounting_date, doc_sequence_value /*账户余额分三部分,一部分是GL的手工帐,另外是由xla表得到的ap和ar的数据.由三部分的本币借贷方金额计算得出帐户余额;计算公式为:上期余额+借方-贷方=本期余额。 (上期余额由开帐金额得出)*/ --创建临时表 create table BALANCESTEMP ( je_line_num number, headerID number(38), dr number, cr number, BALANCE VARCHAR2(4000) not null, BANKNAME VARCHAR2(4000) not null, MM DATE not null, ID NUMBER not null ) create or replace function gab_func ( line_num number, ae_header_id number, dr number, cr number, startdate date, enddate date, accounting_date date, brankacct varchar2 ) return char is pragma autonomous_transaction; bltablecut number(38); lstablecut number(38); bl varchar(4000); str number; cf varchar(4000); x number; ct number; jishu number := 0; c number; c1 number; c2 number; enbl number; balance number; begin /**查询余额表 2010-06-01至用户参数开始日期前的所有数据**/ select count(*) into bltablecut from (select distinct xal.accounting_date as accounting_date, xal.ae_header_id as a, xah.doc_sequence_value as doc_sequence_value, xal.accounted_dr as accounted_dr, xal.accounted_cr as accounted_cr, substr(gcc_ori.concatenated_segments, instr(gcc_ori.concatenated_segments, '-', , ) + 1, instr(gcc_ori.concatenated_segments, '-', , )) as code_accounts from xla_transaction_entities xte, xla_entity_types_tl xett, xle_entity_profiles le, xla_events xe, xla_event_types_tl xent, xla_ae_headers xah, xla_ae_lines xal, xla_lookups xlp, xla_distribution_links xdl, gl_code_combinations_kfv gcc_ori where 1 = 1 and xte.entity_id = xe.entity_id and xte.application_id = xe.application_id and xte.legal_entity_id = le.legal_entity_id(+) and xah.event_id = xe.event_id and xah.application_id = xe.application_id(+) and xent.event_type_code = xe.event_type_code and xent.application_id(+) = xe.application_id and xent.language = 'ZHS' and xah.ae_header_id(+) = xal.ae_header_id and xlp.lookup_type(+) = 'XLA_ACCOUNTING_CLASS' and xlp.lookup_code(+) = xal.accounting_class_code and xal.ae_header_id = xdl.ae_header_id and xal.ae_line_num = xdl.ae_line_num(+) and xal.application_id = xdl.application_id(+) and xett.entity_code = xte.entity_code and xett.application_id = xte.application_id and xal.code_combination_id = gcc_ori.code_combination_id and xett.language = 'ZHS' and substr(gcc_ori.concatenated_segments, instr(gcc_ori.concatenated_segments, '-', 1, 2) + 1, instr(gcc_ori.concatenated_segments, '-', 1, 2)) = nvl(brankacct, substr(gcc_ori.concatenated_segments, instr(gcc_ori.concatenated_segments, '-', 1, 2) + 1, instr(gcc_ori.concatenated_segments, '-', 1, 2))) and to_char(xal.accounting_date, 'yyyy-mm-dd') between '2010-06-30' and to_char(startdate - 1, 'yyyy-mm-dd') union all select headers.default_effective_date as accounting_date, headers.je_header_id as a, headers.doc_sequence_value as doc_sequence_value, lines.accounted_dr as accounted_dr, lines.accounted_cr as accounted_cr, lines.segment3 from gl_je_headers_v headers, gl_je_lines_v lines, gl_code_combinations_kfv gcc_ori where headers.je_header_id = lines.je_header_id and headers.je_category = '1' and lines.segment3 = nvl(brankacct, lines.segment3) and lines.code_combination_id = gcc_ori.code_combination_id and to_char(headers.default_effective_date, 'yyyy-mm-dd') between '2010-06-30' and to_char(startdate - 1, 'yyyy-mm-dd')) order by accounting_date, doc_sequence_value; /**查询2010-06-01至用户参数开始时间之间的数据*判断是否有余额*/ select count(*) into lstablecut from balancestemp b1 where b1.bankname = brankacct and b1.mm between to_date('2010-6-30', 'yyyy-mm-dd') and to_date(to_char(startdate - 1, 'yyyy-mm-dd'), 'yyyy-mm-dd'); if to_char(startdate - 1, 'yyyy-mm-dd') = '2010-06-30' then --判断用户参数开始日期是否为开帐日期 lstablecut := lstablecut; end if; if to_char(startdate - 1, 'yyyy-mm-dd') <> '2010-06-30' then lstablecut := lstablecut - 1; end if; select count(*) into jishu from balancestemp b where mm = to_date(to_char(accounting_date, 'yyyy-mm-dd'), 'yyyy-mm-dd') --判断是否已经存在 and b.bankname = brankacct and b.headerid = ae_header_id and b.je_line_num = line_num; dbms_output.put_line(lstablecut || ':LStableCUTLStableCUT'); dbms_output.put_line(bltablecut || ':BLtableCUTBLtableCUT'); if lstablecut = bltablecut then --如果临时表科目总记录数与余额表记录数相等;则直接进行余额递减操作 dbms_output.put_line(jishu || ':jishu'); if jishu <= 0 then select max(id) into x from balancestemp where mm <= to_date(to_char(enddate, 'yyyy-mm-dd'), 'yyyy-mm-dd') and bankname = brankacct; select bt.balance into bl from balancestemp bt where bt.id = x; str := to_number(bl); cf := to_char(str + nvl(dr, 0) - nvl(cr, 0)); select max(id) into c from balancestemp; c1 := c + 1; insert into balancestemp (je_line_num, headerid, dr, cr, balance, mm, bankname, id) values (line_num, ae_header_id, dr, cr, cf, accounting_date, brankacct, c1); commit; return cf; end if; end if; if lstablecut <> bltablecut then --如果临时表科目总记录数与余额表记录数 不相等; 则将用户参数开始日期前的所有数据初始化 if jishu <= 0 then enbl := startbalance(startdate, brankacct); select max(id) into x from balancestemp where mm <= to_date(to_char(enddate, 'yyyy-mm-dd'), 'yyyy-mm-dd') and bankname = brankacct; select bt.balance into bl from balancestemp bt where bt.id = x; str := to_number(bl); cf := to_char(str + nvl(dr, 0) - nvl(cr, 0)); select max(id) into c from balancestemp; c1 := c + 1; insert into balancestemp (je_line_num, headerid, dr, cr, balance, mm, bankname, id) values (line_num, ae_header_id, dr, cr, cf, accounting_date, brankacct, c1); commit; return cf; end if; end if; return cf; end; create or replace function startbalance ( startdate date, brankacct varchar2 ) return char is pragma autonomous_transaction; bl varchar(4000); x number; str number; cf varchar(4000); c number; c1 number; c2 number; cut number; enbl number; begin declare cursor cc is select ae_header_id, doc_sequence_value, je_line_num, accounting_date, accounted_dr, accounted_cr, entered_dr, entered_cr, code_accounts from (select distinct xal.accounting_date as accounting_date, xah.doc_sequence_value as doc_sequence_value, xal.ae_line_num as je_line_num, xal.ae_header_id as ae_header_id, xal.accounted_dr as accounted_dr, xal.accounted_cr as accounted_cr, xal.entered_dr as entered_dr, xal.entered_cr as entered_cr, substr(gcc_ori.concatenated_segments, instr(gcc_ori.concatenated_segments, '-', , ) + 1, instr(gcc_ori.concatenated_segments, '-', , )) as code_accounts from xla_transaction_entities xte, xla_entity_types_tl xett, xle_entity_profiles le, xla_events xe, xla_event_types_tl xent, xla_ae_headers xah, xla_ae_lines xal, xla_lookups xlp, xla_distribution_links xdl, gl_code_combinations_kfv gcc_ori where 1 = 1 and xte.entity_id = xe.entity_id and xte.application_id = xe.application_id and xte.legal_entity_id = le.legal_entity_id(+) and xah.event_id = xe.event_id and xah.application_id = xe.application_id(+) and xent.event_type_code = xe.event_type_code and xent.application_id(+) = xe.application_id and xent.language = 'ZHS' and xah.ae_header_id(+) = xal.ae_header_id and xlp.lookup_type(+) = 'XLA_ACCOUNTING_CLASS' and xlp.lookup_code(+) = xal.accounting_class_code and xal.ae_header_id = xdl.ae_header_id and xal.ae_line_num = xdl.ae_line_num(+) and xal.application_id = xdl.application_id(+) and xett.entity_code = xte.entity_code and xett.application_id = xte.application_id and xal.code_combination_id = gcc_ori.code_combination_id and xett.language = 'ZHS' and substr(gcc_ori.concatenated_segments, instr(gcc_ori.concatenated_segments, '-', , ) + 1, instr(gcc_ori.concatenated_segments, '-', , )) = nvl(brankacct, substr(gcc_ori.concatenated_segments, instr(gcc_ori.concatenated_segments, '-', , ) + 1, instr(gcc_ori.concatenated_segments, '-', , ))) and to_char(xal.accounting_date, 'yyyy-mm-dd') between '2010-06-30' and to_char(startdate - 1, 'yyyy-mm-dd') union all select headers.default_effective_date as accounting_date, headers.doc_sequence_value as doc_sequence_value, lines.je_line_num as je_line_num, headers.je_header_id as ae_header_id, lines.accounted_dr as accounted_dr, lines.accounted_cr as accounted_cr, lines.entered_dr as entered_dr, lines.entered_cr as entered_cr, lines.segment3 from gl_je_headers_v headers, gl_je_lines_v lines, gl_code_combinations_kfv gcc_ori where headers.je_header_id = lines.je_header_id and headers.je_category = '1' and lines.segment3 = nvl(brankacct, lines.segment3) and lines.code_combination_id = gcc_ori.code_combination_id and to_char(headers.default_effective_date, 'yyyy-mm-dd') between '2010-06-30' and to_char(startdate - 1, 'yyyy-mm-dd')) order by accounting_date, doc_sequence_value; begin for i in cc loop select max(id) into x from balancestemp where mm < to_date(to_char(startdate, 'yyyy-mm-dd'), 'yyyy-mm-dd') and bankname = brankacct; select bt.balance into bl from balancestemp bt where bt.id = x; str := to_number(bl); select count(*) into cut from balancestemp where mm = to_date(to_char(i.accounting_date, 'yyyy-mm-dd'), 'yyyy-mm-dd') and bankname = brankacct and je_line_num = i.je_line_num and headerid = i.ae_header_id; if cut <= 0 then cf := to_char(str + nvl(i.accounted_dr, 0) - nvl(i.accounted_cr, 0)); select max(id) into c from balancestemp; c1 := c + 1; insert into balancestemp (je_line_num, headerid, dr, cr, balance, mm, bankname, id) values (i.je_line_num, i.ae_header_id, i.accounted_dr, i.accounted_cr, cf, i.accounting_date, brankacct, c1); commit; end if; end loop; return cf; end; end; --调用方法
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