Transact SQL :: Finding Ending Inventory Of The Day
Apr 30, 2015
I would like to know how I could code so that I can get the ending inventory of each day. The following is my data
CREATE TABLE #TEMP
(
DATERCVD DATETIME
,ACCTID INT
,DATESENT DATETIME
)
INSERT INTO #TEMP VALUES ('01/01/2015', 1 , '01/05/2015')
[Code] ....
So my query results should be something like this:
InventoryDate Received Sent Ending
1/1/2015 4 1 3
1/2/2015 5 0 8
1/3/2015 3 2 9
1/4/2015 0 4 5
1/5/2015 0 5 0
TOTAL 12 12
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May 8, 2015
how to measure a change in inventory over various stores. My sql2008R2 express db gets a new row of data everyday from each store(about 40 stores) for a single product stock count "OnHand" and if there is any new stock on order. When the new stock arrives it is added to the "OnHand" count. I want to measure the delta change per day,per store. I'm stuck on how to separate the stores and how to query the delta of stock.My data base looks like this
TimeStamp Store
OnHand OnOrder
2015/04/22 18 1 - Concord
12
0
2015/04/23 11 1 - Concord
11
[code]....
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Oct 3, 2015
To setup some data in some new tables in t-sql 2012, I need to create a relationship between 2 tables were data is obtained from an inventory file. The inventory file will be loaded to sql server 2012 from an excel spreadsheet.
1. Columns that will be loaded to the first table are:
1. Inventory category number,
2. Inventory date,
3. Inventory Category total amount, and
4. Inventory category quantity on hand.
This table will have a column called Item number. This will need to be the value of item number that is in the second table.
2. Columns that will be loaded to the second table are:
1. Item Number,
2. item date,
3. Item price, Item quantity on hand.
Thus can you show me the sql that will load the table into both tables? This sql would also need to show how to obtain the values of item number from the second table and place that value into the first table.
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Sep 15, 2015
We have an application where we want to check to see if the vehicle part on a job matches to our internal parts inventory (PartsInventory table) before we order it. The problem is that sometimes the part number matches exactly and sometimes the part number has '-' or space but if those are removed, will match to our internal part number. Below is what I have so far but it only matches exact part numbers. One example would be if our part number was 1013738-00-C but the job (in RepairOrderLines) had a part number of 101373800C we should consider it a match. Both PartNumbers are varchar(30).
SELECT dbo.PartsInventory.PartNumber, dbo.PartsInventory.PartDescription, dbo.PartsInventory.VehicleMake
FROM dbo.PartsInventory INNER JOIN
dbo.RepairOrderLines ON dbo.PartsInventory.PartNumber = dbo.RepairOrderLines.PartNumber INNER JOIN
dbo.RepairOrder ON dbo.RepairOrderLines.RecordID = dbo.RepairOrder.RecordID INNER JOIN
dbo.Vehicles ON dbo.RepairOrder.VehicleID = dbo.Vehicles.VehicleID AND dbo.PartsInventory.VehicleMake = dbo.Vehicles.VehicleMake
WHERE (dbo.RepairOrderLines.RecordID = 46001)
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Jun 25, 2015
what would be the TSQL in trying to create a new table with date-time format ending via a select into like:
select
*
into tblResults_
+
SELECT
CONVERT(VARCHAR(10),GETDATE(),112)
+
'_'
+
REPLACE(CONVERT(VARCHAR(10),GETDATE(),108),':','_')
from qryResult
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Oct 2, 2015
I have a query I am currently attempting to optimise. The query joins in on a sub table (queries the same table) to garner a maximum date value for each row to display. For example:
SELECT Column1
,Column2
,DateColumn
FROM Table1 T
INNER JOIN
(
SELECT Column1 + Column2 AS ConcatColumn, Column3, MAX(DateColumn) AS dt
FROM Table1
GROUP BY Column1 + Column2
) X ON X.ConcatColumn = T.Column1 + Column2 AND X.dt = T.DateColumn
Is there any way I can write this another way (preferably more cleaner/optimised)?
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Aug 11, 2015
I am trying to find the members who are having monthstartdate continuously for 11 months ;
here in my example 123 wont have monthstartdate continuesly for 11 months it has break for february '2014-02-01'; where as 222 and 223 has continus 11 months , so i need to pull such members .finding out the members continuesly(enrolled) having 11 months.
Below is the sample data i am referring.
memid MonthStartDate
123 2014-01-01
123 2014-03-01
123 2014-04-01
123 2014-05-01
123 2014-06-01
123 2014-07-01
[code]....
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Sep 29, 2015
I need to find the last purchase price for each product. If I run the following code, I correctly get 1 result for each productID and the last purchase order number.
SELECT pod.article as ProductID,max(pod.order_ID) as LastOrderfrom apodetail podgroup by pod.articleorder by pod.article
Now I need to add in the price for that product on that orderID. I've tried the following self join query, tried it without the join, and tried adding DISTINCT, but they all return more than 1 row per ProductID.
SELECT pod.article as ProductID,max(pod.order_ID) as LastOrder,pod2.rev_price as UnitPricefrom apodetail podjoinapodetail pod2on (pod2.order_ID = pod.order_id)group by pod.article,pod2.rev_priceorder by pod.article
How can I get it to simply add the price to the first query?
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Nov 20, 2015
I have this 40,000,000 rows table... I am trying to clean this 'Contacts' table since I know there are a lot of duplicates.
At first, I wanted to get a count of how many there are.
I need to compare records where these fields are matched:
MATCHED: (email, firstname) but not MATCH: (lastname, phone, mobile).
MATCHED: (email, firstname, mobile)
But not MATCH: (lastname, phone)
MATCHED: (email, firstname, lastname)
But not MATCH: (phone, mobile)
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Nov 6, 2015
I have 2 tables A, B with 1 to many relationship
Table A(ProductID), TableB(ProductID, FileID)
I need to find only the records in Table A that may have more than one FileIDs in Table B, since some ProductIDS have multiple FileIDs in Table B...
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Oct 29, 2015
I cannot seem to find the syntax to combine IN + CASE in a WHERE clause
WHERE
ses.BK_MS_SESSION <= '2015-03'
AND vis.CAT_DRAW_STATUS =
(CASE ses.BK_MS_SESSION
WHEN '2015-03' THEN vis.CAT_DRAW_STATUS
ELSE
CASE stat.BK_MS_VISIT_STATUS
WHEN 'T' THEN 'X'
ELSE vis.CAT_DRAW_STATUS
END
END
) IN ('D','R')
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Aug 26, 2015
currently I am facing a complex escenario related with gaps and sequences, but I was trying with diferent cases but I did not get the correct results, I am sure about the use of windows functions. I have a table with the information grouped by PublicationId, Provider, MetricId and Amount by Date, one row by each month, but in some cases these data don't have a sequencial values, for example I have the data for the next sequence:
I need to get the sequence by each month, in this case I need to project the month from February to May (with the last previous value, for this case of January) , this is:
The data for testing are:
DECLARE @PublicationsByUser AS TABLE
(
Id INT,
PublicationId INT,
MetricId INT,
ProviderId INT,
DateCreated DATE,
Amount FLOAT
[code]....
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Jul 9, 2015
I have a scenario here where the data looks like -
ID Date
100 07/01
100 07/02
100 07/03
100 08/01
100 08/02
100 08/15
Now I need to find out unique occurrences of ID - 100 ( where count = unique only if the occurrences are in consecutive days, gap of even 1 day causes it to be a different instance ) - SO with the above data I should have unique occurrences as 3.efficient way to calculate this ?
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Apr 21, 2015
I'm trying to figure out how to identify the calling database within a sproc on a different database without using a parameter.
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Mar 12, 2007
Hi! I'm kinda stuck in getting a particularly tricky qurey...
SQL Code:
Original
- SQL Code
SELECT DISTINCTROW Categories.CategoryName, Products.ProductName, Sum(CCur([Order Details].[UnitPrice]*[Quantity]*(1-[Discount])/100)*100) AS ProductSales
FROM (Categories INNER JOIN Products ON Categories.CategoryID = Products.CategoryID) INNER JOIN (Orders INNER JOIN [Order Details] ON Orders.OrderID = [Order Details].OrderID) ON Products.ProductID = [Order Details].ProductID
WHERE (((Orders.ShippedDate) Between #1/1/1995# And #12/31/1995#))
GROUP BY Categories.CategoryName, Products.ProductName;
SELECT DISTINCTROW Categories.CategoryName, Products.ProductName, SUM(CCur([ORDER Details].[UnitPrice]*[Quantity]*(1-[Discount])/100)*100) AS ProductSalesFROM (Categories INNER JOIN Products ON Categories.CategoryID = Products.CategoryID) INNER JOIN (Orders INNER JOIN [ORDER Details] ON Orders.OrderID = [ORDER Details].OrderID) ON Products.ProductID = [ORDER Details].ProductIDWHERE (((Orders.ShippedDate) BETWEEN #1/1/1995# And #12/31/1995#))GROUP BY Categories.CategoryName, Products.ProductName;
The above SQL statement is from the famous Northwind DB and it is called the "Product Sales for 1995" query...
I have Transactions instead of Orders and TransactionDetails instead of [Order Details]
Now, I want something similar... I want to render Dead Stock and Fast Stock... I'm using ComponentOne's Reporting solution and it pretty much like Access.
Anyways, I want to supply a date for TransactionDetail.TransactionDetailDetail as starting date (ending date is always Today()) and within this range, i want to get a list of products that are sorted ascending on Products.ProductUnitSold. This should return a list of products (grouped by category name) showing SubCategoryName, ProductName, ProductUnitPrice, TotalSold...
If total sold is ascending = Dead Stock
If total sold is descending = Fast Stock
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Feb 2, 2008
Hi Guys,
Im having trouble stopping a transaction once the result on one or more of my sql statements rolls back the transaction. Take a look at one my first 'IF' statement (below). If the parameter '@Return' is 'False' i want the transaction rolleback and all sql execution to stop. But my problem is the rest of the sql gets executed and i end up getting rubbish data. Im still new to transactions so i think im doing something really wrong. Please take a look at my sql and help me out in what ever way you think is best. thanks in advance.
MattBEGIN TRY
SET TRANSACTION ISOLATION LEVEL SERIALIZABLE
BEGIN TRANSACTION;
BEGIN
DECLARE @Return BIT;
SELECT @Return = (SELECT IsReturnable FROM INVENTORY WHERE InventoryID = 6)
IF (@Return = 'False') ROLLBACK TRANSACTION;
DECLARE @Already_In INT;
SELECT @Already_In = (SELECT ReturnedBy FROM InventoryInUse WHERE (CheckOutNumber = 375))
IF (@Already_In IS NOT NULL) ROLLBACK TRANSACTION;
DECLARE @Outstanding As INT;
SELECT @Outstanding = (SELECT (QtyTaken - 40) AS Outstanding FROM InventoryInUse WHERE (CheckOutNumber = 375));
DECLARE @OutstandingReason As VARCHAR(200);
DECLARE @Get_Person_ID INT;
Select @Get_Person_ID = (SELECT PersonID From [User] WHERE Username = 'matthewsk');
IF (@Outstanding < 0) ROLLBACK TRANSACTION;
ELSE IF (@Outstanding > 0)BEGIN
IF (@OutstandingReason = '') SELECT @RollBack = @RollBack + 1;
UPDATE InventoryInUse SET ReturnedBy = @Get_Person_ID, ReturnDate = GETDATE(), QtyReturned = 40, QtyOutstanding = @Outstanding, WriteOffReason = 'Testing This' WHERE (CheckOutNumber = 375);
UPDATE Inventory SET TotalQty = TotalQty - @Outstanding, QuantityInUse = QuantityInUse - (40 + @Outstanding) WHERE InventoryID = 6;
END;ELSE IF (@Outstanding = 0)
BEGIN
UPDATE InventoryInUse SET ReturnedBy = @Get_Person_ID, ReturnDate = GETDATE(), QtyReturned = 50 WHERE CheckOutNumber = 375;
UPDATE Inventory SET QuantityInUse = QuantityInUse - 50 WHERE InventoryID = 6;
END;
COMMIT TRANSACTION;
END;END TRY
BEGIN CATCH IF (XACT_STATE()) = -1
BEGIN ROLLBACK TRANSACTION;
END;
END CATCH;
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Sep 29, 2005
Hi Kristen:
Thanks for your help in my date problem. It worked perfectly. I was away and could not answer back promptly.
yesterday, i was inserting data from a data file into a SQL table. 1 record had a name field as varchar. But it accidently, ended with a &.
For example, "New Construction &". when I am inserting, its taking all records except this record that ends with a &. Is there any way to include this one Or should I tell my client that this is an error.
If its an error, what is the expalnation(Like string char does not end with a & and & is a ------).
Thanks others in the forum.
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Sep 30, 2005
I am sorry. "New Construction &". Its not a column name. Its just a record. The table has a column called Name and it accidently, got a record that has "New Construction &" for the Name column.
Its not inserting that record with "New Construction &" in the Name field. Other records are fine.
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Jul 30, 2006
I am attempting to learn Service Broker from Bob Beauchemin's book "A Developer's Guide to SQL Server" - Chapter 11. I'm finding it to be very good but I'm confused over the concept of closing a conversation. Could someone answer the following questions for me?
When a conversation is ended, can the conversation handle that was created when the conversation was created still be used? (I assume not)
Beauchemin says, on page 511, that when a conversation ends, "Any messages still in the queue from the other end of the conversation are deleted with no warning." Does this mean that if I send a message that expects a reply, but I end the conversation, the message is still sent, it is still received by the other endpoint, the other endpoint processes it, but I'll never receive the reply?
Beauchemin says that if no lifetime is specified, the conversation is active for the number of seconds which can be represented by the maximum size of an integer. Does this mean that if I don't specify a lifetime, a conversation is active for many, many years?
Thanks very much.
Amos
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Mar 4, 2007
Hi all, i don't know where to post these, and so i posted in here about sql stuff... I want to do a stock inventory for my restaurant, and i don't know how to start building the database, so, I want to ask if anyone knows if they have a database diagram for stock inventory... any kind of database diagram will helps, so I get and Idea how to start... thanks...
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Sep 26, 2001
When does Microsoft support for 6.5 end? I am anxious to get rid of my old 6.5s but won't get approval until MS finally pulls the plug.
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Aug 3, 2004
i want to make business portal intellegence with sql2000 as my final project but i don't have datasets. i need iventory datasets like northwind or foodmart or middlewest. somebody help me please!!
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Apr 17, 2008
I am designing a BI solution for a large manufacturer. They process big ticket items. They track their inventory by each piece. I need to know where each item is located, where it came from, when it arrived, has it been processed, ect. Along with that I have to be able to run reports by day/week/month/year that shows current inventory levels at any point in time.
What I arrived at for table design is each item will get a row which will include a column for date and another for Add_Remove. When the item is added to inventory it gets a date and a +1 for Add_Remove. When it is removed it gets a new row with a date and a -1 in the Add_Remove column. I should be able to add the Add_Remove column for the selected rows (by location, type, etc) from the beginning of time to any point in time and get a current total. If I'm reporting by month for the year I should be able to add from time(0) to lastitem in January to get January levels, then the same for each successive month.
The problem I can't figure out the MDX code to do that. My basic data set is as follows:
SELECT NON EMPTY { [Measures].[Total], [Measures].[Add Remove], [Measures].[Inventory Weight] } ON COLUMNS, NON EMPTY { ([Ship From].[Ship From Region].[Ship From Region].ALLMEMBERS * [Ship From].[Ship From].[Ship From].ALLMEMBERS * [Date Received].[Date].[Date].ALLMEMBERS * [Date Received].[Year].[Year].ALLMEMBERS * [Date Received].[Month].[Month].ALLMEMBERS) } DIMENSION PROPERTIES MEMBER_CAPTION, MEMBER_UNIQUE_NAME ON ROWS FROM
( SELECT ( STRTOSET(@Region, CONSTRAINED) ) ON COLUMNS FROM
( SELECT ( STRTOMEMBER(@FromDateReceivedMonth, CONSTRAINED) : STRTOMEMBER(@ToDateReceivedMonth, CONSTRAINED) ) ON COLUMNS FROM
( SELECT ( STRTOSET(@InventoryType, CONSTRAINED) ) ON COLUMNS FROM
( SELECT ( STRTOSET(@Division, CONSTRAINED) ) ON COLUMNS FROM [Heidtman DW]))))
WHERE
( IIF( STRTOSET(@Division, CONSTRAINED).Count = 1, STRTOSET(@Division, CONSTRAINED), [Organization].[Division].currentmember ),
IIF( STRTOSET(@InventoryType, CONSTRAINED).Count = 1, STRTOSET(@InventoryType, CONSTRAINED), [Inventory Type].[Inv Type].currentmember ) )
CELL PROPERTIES VALUE, BACK_COLOR, FORE_COLOR, FORMATTED_VALUE, FORMAT_STRING, FONT_NAME, FONT_SIZE, FONT_FLAGS
Any ideas? I've tried adding ordered sets to the query with no success. I've tried calculate measures in the cube with less success. My time dimension includes every day from 1/1/1980 to 12/31/2050.
The one calculated memeber i tried - AGGREGATE ([Date Shipped].[Date].[Date].Item(0):Tail(existing [Date Shipped].[Date].[Date]).Item(0)) took 20 minutes to run in VS Browser and produced an error for every date in the time dimension......
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Apr 30, 2014
I have this script which pulls in all products from a product inventory with a sku range starting in 9 and ending in BK
select Product.ProductID,Product.Name,Product.SKU,ProductVariant.Inventory
From Product
Inner join ProductVariant
on Product.ProductID=ProductVariant.ProductID
where Product.SKU like '9%BK'
If I wanted to add something to this script where the inventory for all those products in the results above was changed from 0 to 20 how would I add this? Just changing those who had a a SKU starting with 9 and ending in BK
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Aug 29, 2007
Alright here's my situation.
I have two servers both running Eval copies of SQL Server 2005 Enterprise. This is only because I had the promise that I would be getting a shiney new server with a fully licensed copy of the server soon so I wasn't worried when I setup these two programs to use these. Now they are dragging their feet to approve the server and software so I'm scared.
First question - What will happen when the eval period runs out?
Second question - Can I tell what the date was when I installed the server?
These both will help me push management to approve atleast the purchase of an SQL license if I can't get the server.
Thanks.
Rob
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Dec 30, 2005
I'm using SQL SERVER 2000 and in the process of establishing recoveryguide.Tried to rebuild master using rebuildm.exe but the "Configuring Server"never ending. Then I tried to copy original databases from SQLServerInstallation CD to hard disk as the "Browse for folder", but gave thesame problem. Need advice what need to be done.
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Jul 20, 2005
Hello, I'm looking for a little input on this situation.I'm working on an inventory system and was thinking that I'd like tobuild it similiar to the way a bank keeps track of your funds.If you look at at bank statement, for each line item, you'll normallysee at least date/time, description, amount (plus or minus value), andbalance.In my inventory system, the amount and balance would be a count of theitems used or transferred instead of money.Does this sound reasonable? Or is there a better design? I am planningto connect the inventory system to a few different ordering interfaces,and I think it would work well if I can dump transactions into theinventory instead of incrementing and decrementing counts.The only problem I see with this, is if I want to implement the balancepart of it with each record....I can't think of a way to do that currently.I can certainly use a trigger in the database to retrieve the mostrecent transaction and update the balance field for one record insertedat a time, but if a list of transactions is dumped into the inventorysystem at once, I'd have to compensate for that in the trigger.Ideas?*** Sent via Developersdex http://www.developersdex.com ***Don't just participate in USENET...get rewarded for it!
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Jun 29, 2006
Hi,
I would like to know how does CMS stores content inventory in SQLserver.?
Example-If I create or migrate an application to CMS in sqlDB how does information is stored ?
Regards
T.Gunaseelan
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May 23, 2006
Hi Champs
I want to implement a rutine that watches for specific files in a specified folder.
I've found the WMI sample "File Watcher Task" for SSIS and it looks fine.
My question is now: how shall I run this package; shall I start it at let it run forever?
And also how do I monitor that the package is running?
Many thanks
Rogvi
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May 19, 2008
I have a process that seems to leave many orphaned sessions over a period of time. The software is by a 3rd party vendor and they can't seem to fix it. It is safe to end the orphaned sessions and I do that on a regular basis. My questions is: What is the best way to do this via T-SQL?
I can select the orphaned sessions by using a simple query on the sys.dm_exec_sessions table. How do I then run a kill command for each session_id from that query?
I appreciate any info/advice anyone might have!
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Nov 3, 2005
How do i automate, by stored procedure, generating the "week ending" date using a field data.
------------------------------------------------------------
CREATE TABLE [dbo].[t_Work_Hours] (
[WorkHoursID_PK] [int] IDENTITY (1, 1) NOT NULL ,
[PeopleID_FK] [int] NOT NULL ,
[JobID_FK] [int] NULL ,
[StartTime] [datetime] NULL ,
[EndTime] [datetime] NULL ,
[Title] [nvarchar] (1) COLLATE SQL_Latin1_General_CP1_CI_AS NULL ,
[WeekEnding] [datetime] NULL ,
CONSTRAINT [PK_t_Work_Hours] PRIMARY KEY CLUSTERED
(
[WorkHoursID_PK]
) ON [PRIMARY] ,
CONSTRAINT [FK_t_Work_Hours_t_Work_People] FOREIGN KEY
(
[PeopleID_FK]
) REFERENCES [dbo].[t_Work_People] (
[PeopleID_PK]
)
) ON [PRIMARY]
GO
-------------------------------------------------------
What i have tried has'nt even been close to a solution.
UPDATE dbo.t_Work_Hours
SET WeekEnding = DATETIME ( ??? , StartTime) . I have no idea where to go!
----------------------------------------------------------------
WorkHoursID_PK, PeopleID_FK, JobID_FK, StartTime, EndTime, Title, WeekEnding
7, 40, 3, 11/1/2005 6:00:00 AM, 11/1/2005 4:30:00 PM, J, (NULL)
8, 43, 3, 10/31/2005 6:00:00 AM, 10/31/2005 4:30:00 PM, F, 11/6/2005 11:59:00 PM
9, 43, 3, 11/1/2005 6:00:00 AM, 11/1/2005 4:30:00 PM, F, 11/6/2005 11:59:00 PM
-----------------------------------------------------------
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Jan 22, 2007
Hello..
I am designing a Database Application that covers Inventory System. And I am now in a dilemma of chosing which design to track Inventory stock better, in performance, reliability, and error free?
1st Design
PRODUCT TABLE
ItemID
ItemName
Price
QtyOnHand
..and other unique info of the product..
SALES TABLE
SalesID
Date
...etc...
SALESDETAIL TABLE
SalesID
ItemID
QtySold
Price
PURCHASE TABLE
PurchaseID
Date
...etc...
PURCHASEDETAIL TABLE
PurchaseID
ItemID
QtyPurchase
Price
...etc...
and similar design with SALESRETURN+DETAIL, PURCHASERETURN+DETAIL, ADJUSTMENT+DETAIL
Tracking Inventory stock is done by using (update, insert and delete) triggers in each of the DETAILS to update the QtyOnHand in the PRODUCT TABLE
2nd Design
PRODUCT TABLE
ItemID
ItemName
Price
...etc...
INVENTORY TABLE
ItemID
QtyBegin
...etc...
SALES TABLE
SalesID
Date
...etc...
SALESDETAIL TABLE
SalesID
ItemID
QtySold
Price
...etc...
and similar design with PURCHASE+DETAIL, SALESRETURN+DETAIL, PURCHASERETURN+DETAIL, ADJUSTMENT+DETAIL
The later design does not hold QtyOnHand, but only save QtyBegin instead. To get the QtyOnHand, it uses views/stored procedure with Union Query, so it looks like this:
QtyOnHand = QtyBegin + Sum(QtySold) + Sum(QtyPurchase) + Sum(QtySalesReturn) + ........
And at the end of a accounting period, the calculation of the QtyOnHand will be the QtyBegin of the next accounting period.
According to you guys, which way is better in PERFORMANCE, RELIABILITY, ERROR FREE, and why? What are the pros and cons of these two?
Thanks a lot.
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Dec 24, 2014
I have to caculate the fifo inventory aging from purchase date, for example I have one item with 100 units in stock, and purchase this month 20 units, and 200 units three month ago, this item has 20 units this month and 80 units from 3 month ago.
Data is as follows:
<<<<< ORIGINAL DATA >>>>>>>>>>>>>>>>
Code:
Code StockPO Date PO_Qty
ao0-123100OC001010-08-2014 8
ao0-123100OC001110-08-2014 4
ao0-123100OC002011-10-2014 50
ao0-123100OC002111-10-2014 2
ao0-123100OC002211-10-2014 20
ao0-123100OC003012-11-2014 10
ao0-123100OC003112-11-2014 1
ao0-123100OC003212-11-2014 20
And the reuslt must be something like this:
<<<<< ORIGINAL DATA >>>>>>>>>>>>>>>> <<<<< CALCULATED DATA >>>>>>
Code:
Code Stock PO Date PO_QtyDays_Old Qty_From_PO Residue
ao0-123100OC001010-08-2014 8 135 8 92
ao0-123100OC001110-08-2014 4 135 4 88
ao0-123100OC002011-10-2014 50 73 50 38
ao0-123100OC002111-10-2014 2 73 2 36
ao0-123100OC002211-10-2014 20 73 20 16
ao0-123100OC003012-11-2014 10 41 10 6
ao0-123100OC003112-11-2014 1 41 1 5
ao0-123100OC003212-11-2014 20 41 5 0
I need to built a select to make this calculation, not using cursors, and build a view, only a basic select.
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