Remote Data Updating

Apr 25, 2008

Hello all, quick question and then a little background.

Could someone point me in the right direction when it comes to updating remotely deployed instances of a SQL CE database? I don't expect someone to code my project for me, but I'm getting lost in the sea of information and haven't found anything that looks like what we need yet.

What's going on is that I was given the wonderful opportunity to learn SQL.NET programming from the other side of application development. I'm not a beginner programmer by any means, but kind of a newbie when it this level of SQL deployment. What we are trying to do is give our users applications that use a local instance of the larger SQL database we have on the server. We were thinking that deploying SQL CE databases created from the master DB would be a good solution since it is supposed to have updating capabilities, which would be wonderful since then the users wouldn't have to be burdened by having to manually download and update a huge database install file every time we updated the information in the master.

What I'm finding though (after going throught the tutorials), is that the RDA feature (this would only need a pull function) that we were hoping to use requires that you delete the entire table, and then replace. If the master DB has only a few record changes in several scattered tables, it seem that this operation would be similar in size and resource demands as just re-downloading the entire database again (~2.7 gigabytes and growing).

Is there a function that can use a feature on the field properties that can download and replace only those fields/records that have changed intead of basically replacing the entire database?

Sorry if this seems like a painfully obvious question, but I have been looking for a while and haven't been able to find it.

thanks a ton in advance!
Brian

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Updating Local And Remote Databases

Jun 10, 2004

Hello everyone.

I'm currently trying to figure out a good way to keep my Local and Remote Databases in sync. Whenever I make changes to one or the other I spend a lot of time manually adjusting the other to match. I want to be able to set up an update page that accesses my Remote database and Local database and Updates the two accordingly.

I really don't know where to start with this one. I'm not sure at all as to how to simultaneously connect to two different databases, on two different servers, and Udate from one another. Does anyone know any good articles to get me started?

Thanks ahead for your replies.

-Alec

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May 25, 2008

Greetings all

Have another issue with OPENDATASOURCE

The following SQL appears to run successfully:
Update OPENDATASOURCE('SQLOLEDB','Data Source=10.10.10.171;User ID=*****;Password=******').TRANSFERSTN.TSADMIN.SALESDAY
set STARTDTTM = L.STARTDTTM,ENDDTTM = L.ENDDTTM,CLOSED = L.CLOSED,
CASHEDUP = L.CASHEDUP,CASHINTILL = L.CASHINTILL,CHEQUESINTILL = L.CHEQUESINTILL,
EPSALES = L.EPSALES,EPCUTORETURN = L.EPCUTORETURN,REPFLAG = R.REPFLAG
from OPENDATASOURCE('SQLOLEDB','Data Source=10.10.10.171;User ID=******;Password=*****').TRANSFERSTN.TSADMIN.SALESDAY AS R inner join
TSADMIN.SALESDAY as L on R.SALESDAYID = L.SALESDAYID where L.REPFLAG = 1


However, all records in the remote table get updated if there are any records satisfying the REPFLAG clause, if more than 1 then I guess the last record in the source set.

Running the same SQL against 2 tables in the local DB works perfectly.

These are both MSDE V8.00.2039 SP4 connecting via RAS dial up.

Any ideas where to focus my attention will be gratefully received


Thanks

<EDIT>
Haven't solved the issue, but staggered around it. I have simply reversed the tables in the SQL and executed at the remote server instead, so it is updating a local table while getting data from a remote table. This functions as it should. Any clues to the above would still be good tho' - cheers
<END EDIT>

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May 21, 2008

Hi everyone

I have a Stored Procedure mySP that updates a table in a linked server.
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Usually mySP updates 10-20 records at a time, and that works fine.

BEGIN TRANSACTION

......

......


UPDATE [REMOTE_SERVER].[DB].dbo.[REMOTE_TABLE] SET VALUE = 2

WHERE ID IN (SELECT ID FROM LOCAL_TABLE)

COMMIT

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I read some articles where they suggest to break the transaction in several batches of a smaller size to avoid locking issues.

Something like:

BEGIN TRANSACTION

.....

.....


DECLARE @Rows int

DECLARE @Batchsize int

SET @Batchsize = 10

SET @Rows = 1

WHILE (@Rows > 0 )

BEGIN

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END

COMMIT


But it seems to make no difference.

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Apr 20, 2005

I have a table that has triggers on insert update and delete. The triggers perform modifications on another table on a remote databased(linked server).
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When running a profile on the remote database it seems that the following query is done on the remote table by the triggers.

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Hi,

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building some kind of ecommerce site.
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Oct 2, 2000

Hi,

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May 13, 2008

Hi,

What is the best to update line_no in following code.
As you can see 1 invoice can have multiple lines.
I would like to assign sequential number to all lines in invoice.


CREATE TABLE #xx (invoicenumber INT, line_no int )

INSERT INTO #xx VALUES(1000,0)
INSERT INTO #xx VALUES(1000,0)
INSERT INTO #xx VALUES(1000,0)
INSERT INTO #xx VALUES(1000,0)
INSERT INTO #xx VALUES(2000,0)
INSERT INTO #xx VALUES(2000,0)
INSERT INTO #xx VALUES(2000,0)
INSERT INTO #xx VALUES(2000,0)

SELECT * FROM #xx


result of select * from #xx should be:
10001
10002
10003
10004
20001
20002
20003
20004



Thanks

mk_garg

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May 13, 2008

Hi,

What is the best to update line_no in following code.
As you can see 1 invoice can have multiple lines.


CREATE TABLE #xx (invoicenumber INT, line_no int )

INSERT INTO #xx VALUES(1000,0)
INSERT INTO #xx VALUES(1000,0)
INSERT INTO #xx VALUES(1000,0)
INSERT INTO #xx VALUES(1000,0)
INSERT INTO #xx VALUES(2000,0)
INSERT INTO #xx VALUES(2000,0)
INSERT INTO #xx VALUES(2000,0)
INSERT INTO #xx VALUES(2000,0)

SELECT * FROM #xx



result of select * from #xx should be:
1000 1
1000 1
1000 1
1000 1
2000 2
2000 2
2000 2
2000 2



Thanks

mk_garg

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Jun 24, 2008

I have posted on this problem before, and got some wonderful help, but the problems keep growing!

In my table, I have projects,activities, credit amount, debit amount, starting balance.
Each project can have several activities associated with it. Each project has a starting balance. Each activity posts an expense to the starting balance of the project.
If the project has enough money to handle the charges made by the activities, all the activity expenses can be "posted". Then I want to re-adjust the balance and
check the second activity. If there is still enough money to handle the charge from the second activity, then the expenses can be posted and the balance
adjusted again. In this checking, I am creating a field called status, and flagging if the activity can clear or not, and a new balance field. The data I have can fall into
different examples, listed below.

First example:Only one activity for a project
project: 122400
activity: 0000
Cr_Amt: 2145.00
Dr_Amt: 0
Balance: 1190.00

In the above case, as the balance is less than the Cr_Amt, I want to set the Cr_Amt = Balance, and the new balance = 0 and have done that as follows:

Update r
set r.Post_Cr = r.Bal_2300,
r.new_Status = 'Can Clear',
r.new_Balance = 0
From Rev_Rec_Check r
WHERE r.project IN (Select project
from Rev_Rec_Check d
group by d.Project
having count(d.project) = 1)

That seems to work for me.

Second Example: More than one activity, with credits and debits
project: 145587
activity: 0000
Cr_Amt: 0
Dr_Amt: 2500
Balance: 1452

project: 145587
activity: 0110
Cr_Amt: 3953
Dr_Amt: 0
Balance: 1452

So, in this case, I need to add the Dr_Amt to the Balance and create a new balance (3952), and then check that the Balance can cover the Cr_Amt

UPDATE t
SET t.New_Balance=(t.Bal_2300 + b.postDrSum) - b.PostCRSum,
t.New_Status=(CASE WHEN (t.Bal_2300 -b.PostCRSum) >0 THEN 'Can Clear'
ELSE 'Still Check'
END)
FROM Rev_Rec_Check t CROSS APPLY
(SELECT SUM(post_Cr) as postCrSum, SUM(post_Dr) as postDrSum
FROM Rev_Rec_Check a
WHERE (a.project =t.project)
AND (a.activity<=t.activity)) b

This does seems to work, and gives me the correct status, and adjusts the new balance correctly, but I realize that doing that doesn't achieve what I want.
Ideally, in this example - where there is more than one project/activity, this is what I would like to see:
project: 145587
activity: 0000
Cr_Amt: 0
Dr_Amt: 2500
Balance: 1452
newBalance: 3952

project: 145587
activity: 0110
Cr_Amt: 3952
Dr_Amt: 0
Balance: 1452
newBalance: 0

I want the amount that gets posted (the Cr_Amt) to reflect what is left in the balance.

There could be cases where there are several activities for one project, so I want to be able to scroll through each activity and post what I can from what
they have left in their balance.

I don't know how to approach this. Am I making it more complicated than it actually is? Have I made any sense in trying to explain it?

Thanks in advance for any help!

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''''''''''''''''''Get QRS Assessor's Score''''''''''''''''''
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