Example #1
0
        public static bool SaveChangePaymentTypeData(List <PaymentTypeData> payment_type_data, UserAccess ua, string user_ip_address)
        {
            if (!payment_type_data.Any())
            {
                return(false);
            }
            var transaction_id = payment_type_data.FirstOrDefault().transaction_id;
            var param          = new DynamicParameters();

            param.Add("@transaction_id", payment_type_data.FirstOrDefault().transaction_id);
            param.Add("@created_by_employee_id", ua.employee_id);
            param.Add("@username", ua.user_name);

            param.Add("@created_by_employee_ip_address", user_ip_address);
            param.Add("@created_by_display_name", ua.display_name);


            StringBuilder query = new StringBuilder();

            query.AppendLine(@"
          USE ClayFinancial;
          DECLARE @new_payment_type_data_id BIGINT = -1;
          DECLARE @transaction_type VARCHAR(1);

          SET @transaction_type = (SELECT transaction_type FROM data_transaction WHERE transaction_id = @transaction_id);



          ");


            query.AppendLine(PaymentTypeData.GetSavePaymentTypeDataQuery());
            query.AppendLine(PaymentMethodData.GetSavePaymentMethodsQuery());
            query.AppendLine(ControlData.GetSaveControlDataQuery());

            // this query needs to be included in order to recalculate the totals for the transaction.
            // we may need to consider having a transaction_data_changes table to track changes
            query.AppendLine(TransactionData.GetUpdateTransactionTotals(true));

            // CREATE DATA TABLES
            var controlDataTable       = ControlData.GetControlDataTable();
            var paymentTypeDataTable   = PaymentTypeData.GetPaymentTypeDataTable();
            var paymentMethodDataTable = PaymentMethodData.GetPaymentMethodDataTable();

            try
            {
                foreach (PaymentTypeData ptd in payment_type_data)
                {
                    // add payment type data to its data table
                    paymentTypeDataTable.Rows.Add
                    (
                        ptd.payment_type_id,
                        ptd.payment_type_index
                    );

                    // add payment method data to its data table
                    foreach (PaymentMethodData pmd in ptd.payment_method_data)
                    {
                        paymentMethodDataTable.Rows.Add
                        (
                            pmd.cash_amount,
                            pmd.check_amount,
                            pmd.check_count,
                            pmd.check_number,
                            pmd.check_from,
                            pmd.paying_for,
                            ptd.payment_type_id,
                            ptd.payment_type_index
                        );
                    }

                    // add payment type control data to Control data table
                    foreach (ControlData cd in ptd.control_data)
                    {
                        controlDataTable.Rows.Add
                        (
                            null,
                            cd.control_id,
                            cd.value,
                            ptd.payment_type_id,
                            ptd.payment_type_index
                        );
                    }
                }


                // add tvp to parameter list
                param.Add("@ControlData", controlDataTable.AsTableValuedParameter("dbo.ControlData"));
                param.Add("@PaymentMethodData", paymentMethodDataTable.AsTableValuedParameter("dbo.PaymentMethodData"));
                param.Add("@PaymentTypeData", paymentTypeDataTable.AsTableValuedParameter("dbo.PaymentTypeData"));

                return(Constants.Exec_Query(query.ToString(), param, Constants.ConnectionString.ClayFinancial) > -1);
            }
            catch (Exception ex)
            {
                new ErrorLog(ex, query.ToString());
                return(false);
            }
        }
Example #2
0
        public bool SavePaymentMethod()
        {
            // AN EDITED METHOD WILL HAVE A REASON AND PRIOR PAYMENT METHOD DATA ID

            var param = new DynamicParameters();

            param.Add("@payment_method_data_id", payment_method_data_id);
            param.Add("@prior_payment_method_data_id", payment_method_data_id); // changed
            param.Add("@transaction_payment_type_id", transaction_payment_type_id);
            param.Add("@transaction_id", transaction_id);
            param.Add("@cash_amount", cash_amount);
            param.Add("@check_amount", check_amount);
            param.Add("@check_count", check_count);
            param.Add("@check_number", check_number);
            param.Add("@check_from", check_from);
            param.Add("@paying_for", paying_for);
            param.Add("@transaction_type", "R");
            param.Add("@reason_for_change", reason_for_change);
            param.Add("@username", username);
            //param.Add("@added_after_save", payment_method_data_id == -1);

            var query = new StringBuilder();

            query.AppendLine(@"

        -- THIS WILL ONLY HAPPEN IF THIS IS AN EDIT BECAUSE @prior ID WILL BE -1 OTHERWISE
        IF @prior_payment_method_data_id > -1 
        BEGIN 

          UPDATE data_payment_method
          SET is_active = 0
          WHERE payment_method_data_id = @prior_payment_method_data_id;

        END

        INSERT INTO data_payment_method
        (
          prior_payment_method_data_id
          ,transaction_payment_type_id 
          ,transaction_id 
          ,cash_amount 
          ,check_amount 
          ,check_count 
          ,check_number 
          ,check_from 
          ,paying_for 
          ,is_active 
          ,added_after_save
        )
        VALUES
        (
          CASE WHEN @prior_payment_method_data_id = -1 THEN NULL ELSE @prior_payment_method_data_id END
          ,@transaction_payment_type_id 
          ,@transaction_id 
          ,@cash_amount 
          ,@check_amount 
          ,@check_count 
          ,@check_number 
          ,@check_from 
          ,@paying_for 
          ,1 -- newest one is always active
          -- NEW PAYMENT METHODS ARE ALWAYS ADDED AFTER SAVE, Edits are not 
          ,CASE WHEN @prior_payment_method_data_id = -1 THEN 1 ELSE 0 END 
        )
                
        SET @payment_method_data_id = SCOPE_IDENTITY();
        
        INSERT INTO data_changes_payment_method
        (
          original_payment_method_data_id
          ,new_payment_method_data_id
          ,modified_by
          ,reason_for_change
        )
        SELECT
          ISNULL(original_payment_method_data_id, @prior_payment_method_data_id)
          ,@payment_method_data_id
          ,@username
          ,@reason_for_change
        FROM data_payment_method D
        LEFT OUTER JOIN data_changes_payment_method C ON D.payment_method_data_id = C.new_payment_method_data_id
        WHERE D.payment_method_data_id=@prior_payment_method_data_id;
      ");

            query.AppendLine(TransactionData.GetUpdateTransactionTotals(true));

            var i = Constants.Exec_Query(query.ToString(), param, Constants.ConnectionString.ClayFinancial);

            return(i > 0);
        }