First create solution

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2017-03-08 11:21:27 +01:00
commit a2fb86bacf
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Imports System
Imports System.ComponentModel
Imports DevExpress.Xpo
Imports DevExpress.Data.Filtering
Imports DevExpress.ExpressApp
Imports DevExpress.Persistent.Base
Imports DevExpress.Persistent.BaseImpl
Imports DevExpress.Persistent.Validation
Imports DevExpress.Persistent.Base.General
Imports System.Data.SqlClient
Imports System.Configuration
Imports System.Linq
Imports System.Linq.Expressions
Imports DevExpress.ExpressApp.ConditionalAppearance
Imports DevExpress.Xpo.DB
'<Appearance("Disable, all properties when IsEditable = False GLBank",
' AppearanceItemType:="ViewItem",
' TargetItems:="*",
' Criteria:="IsEditable=False",
' Enabled:=False,
' Context:="DetailView")> _
<DefaultClassOptions()>
<NavigationItem("FinancialTransactions")>
<DefaultProperty("DisplayName")>
<Appearance("Hide properties if Correction",
AppearanceItemType:="ViewItem",
TargetItems:="row_AmountDEV;row_CurrencyRate2;row_CurrencyRate;row_CurrencyName2;row_AmountDEV2",
Criteria:="row_TransactionType in (5,6)",
Visibility:=Editors.ViewItemVisibility.Hide)>
<Appearance("Hide row_AmountDEV in GLBank",
AppearanceItemType:="ViewItem",
TargetItems:="row_AmountDEV",
Criteria:="LiquidAssets_Main.CurrencyName.ShortName = 'HUF'",
Visibility:=Editors.ViewItemVisibility.Hide)>
<Appearance("Hide row_CurrencyRate in GLBank",
TargetItems:="row_CurrencyRate",
Criteria:="LiquidAssets_Main.CurrencyName.ShortName = 'HUF' and row_CurrencyName2.ShortName='HUF'",
Visibility:=Editors.ViewItemVisibility.Hide)>
<Appearance("Hide row_CurrencyRate2 in GLBank",
TargetItems:="row_CurrencyRate2",
Criteria:="LiquidAssets_Main.CurrencyName.ShortName = row_CurrencyName2.ShortName",
Visibility:=Editors.ViewItemVisibility.Hide)>
<Appearance("Hide row_CurrencyRate2 in GLBank and HUF",
TargetItems:="row_CurrencyRate2",
Criteria:="LiquidAssets_Main.CurrencyName.ShortName ='HUF' or row_CurrencyName2.ShortName='HUF'",
Visibility:=Editors.ViewItemVisibility.Hide)>
<Appearance("ChartOfAccounts-hide",
TargetItems:="row_ChartOfAccounts",
Criteria:="row_TransactionType in (0,1) OR IsEditable=False",
Visibility:=Editors.ViewItemVisibility.Hide)>
<Appearance("Normal transactions hide",
TargetItems:="row_CurrencyName2;row_CurrencyRate2",
Criteria:="row_TransactionType in (2,3,4) OR IsEditable=False",
Visibility:=Editors.ViewItemVisibility.Hide)>
<Appearance("Partnerconnection-hide",
TargetItems:="row_PCIGroup;row_PartnerType",
Criteria:="row_TransactionType in (2,3) OR IsEditable=False",
Visibility:=Editors.ViewItemVisibility.Hide)>
<Appearance("Hide GLCassa-LiquidAssets",
AppearanceItemType:="ViewItem",
TargetItems:="LiquidAssets_Main",
Criteria:="(IsNull(LiquidAssets_Main))=False",
Enabled:=False,
Context:="DetailView")>
<Appearance("Hide DEV info in HUF",
AppearanceItemType:="ViewItem",
TargetItems:="TotalInAmountDEV;TotalOutAmountDEV;BallanceDEV;CloseDEV",
Criteria:="CurrencyName.ShortName='HUF'",
Visibility:=Editors.ViewItemVisibility.Hide,
Context:="DetailView")>
<Appearance("Hide HUF info in DEV",
AppearanceItemType:="ViewItem",
TargetItems:="TotalInAmountHUF;TotalOutAmountHUF;BallanceHUF;CloseHUF",
Criteria:="CurrencyName.ShortName!='HUF'",
Visibility:=Editors.ViewItemVisibility.Hide,
Context:="DetailView")>
<Appearance("Disable GLBank.row_AmountHUF when DEV != HUF",
AppearanceItemType:="ViewItem",
TargetItems:="row_AmountHUF",
Criteria:="LiquidAssets_Main.CurrencyName.ShortName != 'HUF' and not (row_TransactionType in (5,6))",
Enabled:=False,
Context:="DetailView")>
<Appearance("Hide row_Amount2 when CurrencyName2=CurrencyName",
AppearanceItemType:="ViewItem",
Criteria:="row_CurrencyName2.ShortName=LiquidAssets_Main.CurrencyName.ShortName",
TargetItems:="row_CurrencyRate2;row_AmountDEV2",
Visibility:=Editors.ViewItemVisibility.Hide)>
<Appearance("Hide row_ info when IsEditable=False",
AppearanceItemType:="ViewItem",
Criteria:="IsEditable=False",
TargetItems:="row_PartnerType;row_TransactionType;row_ChartOfAccounts;" +
"row_PCIGroup;row_AmountDEV2;row_CurrencyRate;row_CurrencyRate2;row_CurrencyName2",
Visibility:=Editors.ViewItemVisibility.Hide)>
<Appearance("Hide aImportSavedBank when CurrencyName2=CurrencyName",
AppearanceItemType:="Action",
Criteria:="LiquidAssets_Main.CurrencyName.ShortName<>'HUF'",
TargetItems:="aImportSavedBank",
Visibility:=DevExpress.ExpressApp.Editors.ViewItemVisibility.Hide)>
<Appearance("Hide aImportPCIGroupBank when row_PartnerType=-1",
AppearanceItemType:="Action",
Criteria:="row_PartnerType=-1",
TargetItems:="aImportPCIGroupBank",
Visibility:=DevExpress.ExpressApp.Editors.ViewItemVisibility.Hide)>
<Appearance("Hide aGetCurrencyRateBank",
AppearanceItemType:="Action",
TargetItems:="aGetCurrencyRateBank",
Criteria:="CurrencyName.ShortName='HUF'",
Visibility:=DevExpress.ExpressApp.Editors.ViewItemVisibility.Hide)>
<RuleCriteria("RuleCriteria GLAccounts-row_ChartOfAccounts", "aToTable_GLBank_Contexts", "row_ChartOfAccounts.Children.Count=0", "Csak gyermek objektum választható ki!", SkipNullOrEmptyValues:=False)> _
Public Class GLBank
Inherits GLHeader
Private _PartnerType As ePartnerType
Private _TransactionType As eTransactionType
Private _ChartOfAccounts As ChartOfAccounts
Private _TotalInAmountHUF As Double = 0
Private _TotalOutAmountHUF As Double = 0
Private _TotalInAmountDEV As Double = 0
Private _TotalOutAmountDEV As Double = 0
Private _LiquidAssets As LiquidAssets
Private _BallanceHUF As Double
Private _BallanceDEV As Double
Private _PCIGroup As PCIGroup
Private _GLHeader_RateDiff As GLHeader 'Kapcsolódó árf. kül. elszámolási vegyes bizonylat
'-- A másodlagos
Private _row_CurrencyRate As Double
Private _row_AmountDEV2 As Double = 0
Private _row_CurrencyRate2 As Double = 0
Private _row_CurrencyName2 As CurrencyName
Private _BankImportHeaderSum As BankImportHeaderSum
Public Sub New(ByVal session As Session)
MyBase.New(session)
End Sub
Public Overrides Sub AfterConstruction()
MyBase.AfterConstruction()
If Session.IsNewObject(Me) Then
Me.GLDocumentType = eGLDocumentType.eGLBank
Me.DateExecution = Now
Me.row_PartnerType = ePartnerType.eNotSet
Me.row_TransactionType = eTransactionType.eNotSet
End If
End Sub
<NonPersistent()> _
<VisibleInListView(False)> _
<RuleValueComparison("GLBank-row_PartnerType", "aToTable_GLBank_Contexts", ValueComparisonType.NotEquals, ePartnerType.eNotSet, TargetCriteria:="row_TransactionType in (0,1)")> _
Property row_PartnerType() As ePartnerType
Get
Return _PartnerType
End Get
Set(ByVal value As ePartnerType)
SetPropertyValue("row_PartnerType", _PartnerType, value)
End Set
End Property
<NonPersistent()> _
<ImmediatePostData(True)> _
<VisibleInListView(False)> _
<RuleValueComparison("GLBank-row_TransactionType", "aToTable_GLBank_Contexts", ValueComparisonType.NotEquals, eTransactionType.eNotSet)> _
Property row_TransactionType() As eTransactionType
Get
Return _TransactionType
End Get
Set(ByVal value As eTransactionType)
SetPropertyValue("row_TransactionType", _TransactionType, value)
If Session.IsObjectsLoading = False And Session.IsObjectsSaving = False Then
If LiquidAssets_Main IsNot Nothing Then
Select Case row_TransactionType
Case eTransactionType.eNormalCredit, eTransactionType.eNormalDebit, eTransactionType.eNotSet, eTransactionType.eCorrectionCreditHUF, eTransactionType.eCorrectionDebitHUF
row_PartnerType = ePartnerType.eNotSet
row_CurrencyName2 = LiquidAssets_Main.CurrencyName
Case eTransactionType.ePartnerCredit
row_PartnerType = ePartnerType.eReceivables
Case eTransactionType.ePartnerDebit
row_PartnerType = ePartnerType.ePayabels
End Select
End If
End If
End Set
End Property
<NonPersistent()>
<ImmediatePostData(True), DataSourceCriteria("AccountYear=GetYear('@This.DateExecution')")>
<RuleRequiredField("GLBank-row_ChartOfAccounts", "aToTable_GLBank_Contexts", TargetCriteria:="row_TransactionType in (2,3,4)")>
<VisibleInListView(False)>
Property row_ChartOfAccounts() As ChartOfAccounts
Get
Return _ChartOfAccounts
End Get
Set(ByVal value As ChartOfAccounts)
SetPropertyValue("row_ChartOfAccounts", _ChartOfAccounts, value)
End Set
End Property
<NonPersistent()>
<ImmediatePostData(True), DataSourceCriteria("CustomersFrom='@This.CustomersFrom' and PartnerType='@This.row_PartnerType' and BallanceState=0 and isnull(CurrencyName_Account)=False ")>
<VisibleInListView(False)>
Property row_PCIGroup() As PCIGroup
Get
Return _PCIGroup
End Get
Set(ByVal value As PCIGroup)
SetPropertyValue("row_PCIGroup", _PCIGroup, value)
If Session.IsObjectsLoading = False And Session.IsObjectsSaving = False Then
If value IsNot Nothing Then
row_ConnectInfo = value.ConnectInfo
row_Customer = value.Customers
row_PartnerType = value.PartnerType
If value.CurrencyName_Account Is Nothing Then
If Me.CurrencyName.ShortName = "HUF" Then
Me.row_AmountHUF = Math.Abs(value.BallanceHUF)
row_CurrencyName2 = Session.FindObject(Of CurrencyName)(CriteriaOperator.Parse("ShortName='HUF'"))
Else
row_CurrencyName2 = Session.FindObject(Of CurrencyName)(CriteriaOperator.Parse("ShortName='HUF'"))
End If
Else
If value.CurrencyName_Account.ShortName = "HUF" Then
If Me.CurrencyName.ShortName = "HUF" Then
Me.row_AmountHUF = Math.Abs(value.BallanceHUF)
row_CurrencyName2 = Session.FindObject(Of CurrencyName)(CriteriaOperator.Parse("ShortName='HUF'"))
Else
row_CurrencyName2 = Session.FindObject(Of CurrencyName)(CriteriaOperator.Parse("ShortName='HUF'"))
End If
Else
If Me.CurrencyName.ShortName = value.CurrencyName_Account.ShortName Then
Me.row_AmountDEV = Math.Abs(value.BallanceDEV)
row_CurrencyName2 = Session.FindObject(Of CurrencyName)(CriteriaOperator.Parse("ShortName=?", value.CurrencyName_Account.ShortName))
Else
row_CurrencyName2 = Session.FindObject(Of CurrencyName)(CriteriaOperator.Parse("ShortName=?", value.CurrencyName_Account.ShortName))
End If
End If
End If
End If
End If
End Set
End Property
<ImmediatePostData(True), DataSourceCriteria("LiquidAssetsType=1 and CustomerFrom='@This.CustomersFrom'")>
<RuleRequiredField("GLBank-LiquidAssets_Cassa", "aFinal_GLBank_Context")> _
<RuleRequiredField("GLBank-LiquidAssets_Cassa2", "aFinalAndNew_GLBank_Context")> _
<VisibleInListView(False)> _
Property LiquidAssets_Main() As LiquidAssets
Get
Return _LiquidAssets
End Get
Set(ByVal value As LiquidAssets)
SetPropertyValue("LiquidAssets_Main", _LiquidAssets, value)
If Session.IsObjectsSaving = False And Session.IsObjectsLoading = False Then
row_LiquidAssets = value
row_CurrencyName2 = value.CurrencyName
If value IsNot Nothing Then
Me.CurrencyName = value.CurrencyName
Me.row_CurrencyName2 = CurrencyName
If Me.DateExecution > Now.AddYears(-1) Then
BallanceHUF = GetBallanceHUF(value, Me.DateExecution)
BallanceDEV = GetBallanceDEV(value, Me.DateExecution)
End If
End If
End If
End Set
End Property
<NonPersistent()> _
<ImmediatePostData(True)> _
<VisibleInListView(False)> _
<RuleRange("GLBank-row_CurrencyRate", "aToTable_GLBank_Contexts", 0.01, 999999, TargetCriteria:="LiquidAssets_Main.CurrencyName.ShortName != 'HUF' and not (row_TransactionType in (5,6))")> _
Property row_CurrencyRate As Double
Get
Return _row_CurrencyRate
End Get
Set(value As Double)
SetPropertyValue("row_CurrencyRate", _row_CurrencyRate, value)
If Session.IsObjectsLoading = False And Session.IsObjectsSaving = False Then
If row_CurrencyName2 Is Nothing Then row_CurrencyName2 = LiquidAssets_Main.CurrencyName
If LiquidAssets_Main.CurrencyName.ShortName = "HUF" And row_CurrencyName2.ShortName <> "HUF" Then
If row_CurrencyRate <> 0 Then row_AmountDEV2 = Math.Round(row_AmountHUF / row_CurrencyRate, 2, MidpointRounding.AwayFromZero)
End If
If LiquidAssets_Main.CurrencyName.ShortName <> "HUF" And row_CurrencyName2.ShortName = "HUF" Then
row_AmountHUF = row_AmountDEV * Math.Round(row_CurrencyRate, 2, MidpointRounding.AwayFromZero)
row_AmountDEV2 = row_AmountHUF
End If
If LiquidAssets_Main.CurrencyName.ShortName <> "HUF" And row_CurrencyName2.ShortName <> "HUF" Then
row_AmountHUF = row_AmountDEV * Math.Round(row_CurrencyRate, 2, MidpointRounding.AwayFromZero)
End If
End If
End Set
End Property
<NonPersistent()> _
<ImmediatePostData(True)> _
<VisibleInListView(False)> _
Property row_AmountDEV2 As Double
Get
Return _row_AmountDEV2
End Get
Set(value As Double)
SetPropertyValue("row_AmountDEV2", _row_AmountDEV2, value)
If Session.IsObjectsLoading = False And Session.IsObjectsSaving = False Then
If row_CurrencyName2 Is Nothing Then row_CurrencyName2 = LiquidAssets_Main.CurrencyName
If LiquidAssets_Main.CurrencyName.ShortName <> "HUF" And _
row_CurrencyName2.ShortName <> "HUF" And _
LiquidAssets_Main.CurrencyName.ShortName <> row_CurrencyName2.ShortName Then
If row_AmountDEV <> 0 Then
row_CurrencyRate2 = Math.Round(row_AmountDEV2 / row_AmountDEV, 4, MidpointRounding.AwayFromZero)
End If
End If
End If
End Set
End Property
<NonPersistent()> _
<ImmediatePostData(True)> _
<VisibleInListView(False)> _
<RuleRange("GLBank.CurrencyName.ToTable", "aToTable_GLBank_Contexts", 0.01, 999999999999999999, _
TargetCriteria:="LiquidAssets_Main.CurrencyName.ShortName != row_CurrencyName2.ShortName and " +
"LiquidAssets_Main.CurrencyName.ShortName !='HUF' and " +
"row_CurrencyName2.ShortName !='HUF'")> _
Property row_CurrencyRate2 As Double
Get
Return _row_CurrencyRate2
End Get
Set(ByVal value As Double)
SetPropertyValue("row_CurrencyRate2", _row_CurrencyRate2, value)
End Set
End Property
<NonPersistent()> _
<ImmediatePostData(True)> _
<VisibleInListView(False)> _
Property row_CurrencyName2 As CurrencyName
Get
Return _row_CurrencyName2
End Get
Set(value As CurrencyName)
SetPropertyValue("row_CurrencyName2", _row_CurrencyName2, value)
If Session.IsObjectsLoading = False And Session.IsObjectsSaving = False Then
row_AmountDEV2 = 0
row_CurrencyRate2 = 0
End If
End Set
End Property
Property TotalInAmountHUF As Double
Get
Return _TotalInAmountHUF
End Get
Set(ByVal value As Double)
SetPropertyValue("TotalInAmountHUF", _TotalInAmountHUF, value)
End Set
End Property
Property TotalOutAmountHUF As Double
Get
Return _TotalOutAmountHUF
End Get
Set(ByVal value As Double)
SetPropertyValue("TotalOutAmountHUF", _TotalOutAmountHUF, value)
End Set
End Property
Property TotalInAmountDEV As Double
Get
Return _TotalInAmountDEV
End Get
Set(ByVal value As Double)
SetPropertyValue("TotalInAmountDEV", _TotalInAmountDEV, value)
End Set
End Property
Property TotalOutAmountDEV As Double
Get
Return _TotalOutAmountDEV
End Get
Set(ByVal value As Double)
SetPropertyValue("TotalOutAmountDEV", _TotalOutAmountDEV, value)
End Set
End Property
Property BallanceHUF As Double
Get
Return _BallanceHUF
End Get
Set(ByVal value As Double)
SetPropertyValue("BallanceHUF", _BallanceHUF, value)
End Set
End Property
Property BallanceDEV As Double
Get
Return _BallanceDEV
End Get
Set(ByVal value As Double)
SetPropertyValue("BallanceDEV", _BallanceDEV, value)
End Set
End Property
Property BankImportHeaderSum As BankImportHeaderSum
Get
Return _BankImportHeaderSum
End Get
Set(value As BankImportHeaderSum)
SetPropertyValue("BankImportHeaderSum", _BankImportHeaderSum, value)
End Set
End Property
Property GLHeader_RateDiff As GLHeader
Get
Return _GLHeader_RateDiff
End Get
Set(value As GLHeader)
SetPropertyValue("GLHeader_RateDiff", _GLHeader_RateDiff, value)
End Set
End Property
Sub RecalculateTotal()
Dim _GLRows As GLRows
TotalInAmountHUF = 0
TotalOutAmountHUF = 0
TotalInAmountDEV = 0
TotalOutAmountDEV = 0
For Each _GLRows In Me.GLRows
Me.TotalInAmountHUF += _GLRows.InAmountHUF
Me.TotalOutAmountHUF += _GLRows.OutAmountHUF
Me.TotalInAmountDEV += _GLRows.InAmountDEV
Me.TotalOutAmountDEV += _GLRows.OutAmountDEV
Next
Me.Save()
End Sub
ReadOnly Property CloseHUF As Double
Get
Return BallanceHUF + TotalInAmountHUF - TotalOutAmountHUF
End Get
End Property
ReadOnly Property CloseDEV As Double
Get
Return BallanceDEV + TotalInAmountDEV - TotalOutAmountDEV
End Get
End Property
ReadOnly Property DisplayName As String
Get
If Me.LiquidAssets_Main IsNot Nothing Then
Return Me.LiquidAssets_Main.ShortName
Else
Return Nothing
End If
End Get
End Property
<RuleValueComparison("GLBank-row_AmountDEV", "aToTable_GLBank_Contexts", ValueComparisonType.GreaterThan, 0, TargetCriteria:="CurrencyName.ShortName != 'HUF' and not (row_TransactionType in (5,6))")> _
Overrides Property row_AmountDEV As Double
Get
Return MyBase.row_AmountDEV
End Get
Set(value As Double)
MyBase.row_AmountDEV = value
If Session.IsObjectsLoading = False And Session.IsObjectsSaving = False Then
If row_CurrencyName2 Is Nothing Then row_CurrencyName2 = LiquidAssets_Main.CurrencyName
If Me.row_CurrencyRate > 0 Then
Me.row_AmountHUF = value * Me.row_CurrencyRate
End If
If LiquidAssets_Main.CurrencyName.ShortName <> "HUF" Then
If LiquidAssets_Main.CurrencyName.ShortName = row_CurrencyName2.ShortName Then
Else
row_AmountDEV2 = row_AmountDEV * Math.Round(row_CurrencyRate2, 2, MidpointRounding.AwayFromZero)
End If
End If
End If
End Set
End Property
<RuleRequiredField("GLBank-row_Customers", "aToTable_GLBank_Contexts", TargetCriteria:="row_TransactionType in (0,1)")> _
<ImmediatePostData(True)> _
Overrides Property row_Customer As Customers
Get
Return MyBase.row_Customer
End Get
Set(value As Customers)
MyBase.row_Customer = value
End Set
End Property
Overrides Property row_Controlling As Controlling
Get
Return MyBase.row_Controlling
End Get
Set(value As Controlling)
MyBase.row_Controlling = value
If Session.IsObjectsSaving = False And Session.IsObjectsLoading = False Then
If value.ChartOfAccounts IsNot Nothing Then
row_ChartOfAccounts = value.GetChartOfAccounts(Me.DateExecution.Year, False)
End If
End If
End Set
End Property
Function GetBallanceHUF(ByVal _LiquidAssets As LiquidAssets, ByVal _ToDate As Date) As Double
Dim _SQL As String
Dim _SelectedData As SelectedData = Nothing
Dim _BallanceHUF As Double = 0
_SQL = " SELECT t1.LiquidAssets_Main AS LiquidAssets,"
_SQL += " SUM(t3.InAmountHUF)-SUM(t3.OutAmountHUF) As BallanceHUF,"
_SQL += " SUM(t3.InAmountDEV)-SUM(t3.OutAmountDEV) As BallanceDEV"
_SQL += " FROM GLBank t1 JOIN GLHeader t2 ON"
_SQL += " t1.Oid=t2.Oid JOIN GLRows t3 On"
_SQL += " t2.Oid=t3.GLHeader"
_SQL += " WHERE t2.GCRecord IS NULL AND t3.GCRecord IS NULL AND t1.LiquidAssets_Main=@Bank AND "
_SQL += " DATE(t2.DateExecution)<=@Date"
Dim _stringparam() As String = New String() {"@Bank", "@Date"}
Dim _objectparam() As Object = New Object() {_LiquidAssets.Oid, _ToDate.Date}
_SelectedData = Session.ExecuteQuery(_SQL, _stringparam, _objectparam)
For Each row As SelectStatementResultRow In _SelectedData.ResultSet(0).Rows
_BallanceHUF = row.Values(1)
Next row
Return _BallanceHUF
End Function
Function GetBallanceOpenHUF(ByVal _LiquidAssets As LiquidAssets, ByVal _ToDate As Date) As Double
Dim _SQL As String
Dim _SelectedData As SelectedData = Nothing
Dim _BallanceHUF As Double = 0
_SQL = " SELECT t1.LiquidAssets_Main AS LiquidAssets,"
_SQL += " SUM(t3.InAmountHUF)-SUM(t3.OutAmountHUF) As BallanceHUF,"
_SQL += " SUM(t3.InAmountDEV)-SUM(t3.OutAmountDEV) As BallanceDEV"
_SQL += " FROM GLBank t1 JOIN GLHeader t2 ON"
_SQL += " t1.Oid=t2.Oid JOIN GLRows t3 On"
_SQL += " t2.Oid=t3.GLHeader"
_SQL += " WHERE t2.GCRecord IS NULL AND t3.GCRecord IS NULL AND t1.LiquidAssets_Main=@Bank AND "
_SQL += " DATE(t2.DateExecution)<@Date"
Dim _stringparam() As String = New String() {"@Bank", "@Date"}
Dim _objectparam() As Object = New Object() {_LiquidAssets.Oid, _ToDate.Date}
_SelectedData = Session.ExecuteQuery(_SQL, _stringparam, _objectparam)
For Each row As SelectStatementResultRow In _SelectedData.ResultSet(0).Rows
_BallanceHUF = row.Values(1)
Next row
Return _BallanceHUF
End Function
Function GetBallanceDEV(ByVal _LiquidAssets As LiquidAssets, ByVal _ToDate As Date) As Double
Dim _SQL As String
Dim _SelectedData As SelectedData = Nothing
Dim _BallanceDEV As Double = 0
_SQL = " SELECT t1.LiquidAssets_Main AS LiquidAssets,"
_SQL += " SUM(t3.InAmountHUF)-SUM(t3.OutAmountHUF) As BallanceHUF,"
_SQL += " SUM(t3.InAmountDEV)-SUM(t3.OutAmountDEV) As BallanceDEV"
_SQL += " FROM GLBank t1 JOIN GLHeader t2 ON"
_SQL += " t1.Oid=t2.Oid JOIN GLRows t3 On"
_SQL += " t2.Oid=t3.GLHeader"
_SQL += " WHERE t2.GCRecord IS NULL AND t3.GCRecord IS NULL AND t1.LiquidAssets_Main=@Bank AND "
_SQL += " DATE(t2.DateExecution)<=@Date"
Dim _stringparam() As String = New String() {"@Bank", "@Date"}
Dim _objectparam() As Object = New Object() {_LiquidAssets.Oid, _ToDate.Date}
_SelectedData = Session.ExecuteQuery(_SQL, _stringparam, _objectparam)
For Each row As SelectStatementResultRow In _SelectedData.ResultSet(0).Rows
_BallanceDEV = row.Values(2)
Next row
Return _BallanceDEV
End Function
Function GetBallanceOpenDEV(ByVal _LiquidAssets As LiquidAssets, ByVal _ToDate As Date) As Double
Dim _SQL As String
Dim _SelectedData As SelectedData = Nothing
Dim _BallanceDEV As Double = 0
_SQL = " SELECT t1.LiquidAssets_Main AS LiquidAssets,"
_SQL += " SUM(t3.InAmountHUF)-SUM(t3.OutAmountHUF) As BallanceHUF,"
_SQL += " SUM(t3.InAmountDEV)-SUM(t3.OutAmountDEV) As BallanceDEV"
_SQL += " FROM GLBank t1 JOIN GLHeader t2 ON"
_SQL += " t1.Oid=t2.Oid JOIN GLRows t3 On"
_SQL += " t2.Oid=t3.GLHeader"
_SQL += " WHERE t2.GCRecord IS NULL AND t3.GCRecord IS NULL AND t1.LiquidAssets_Main=@Bank AND "
_SQL += " DATE(t2.DateExecution)<@Date"
Dim _stringparam() As String = New String() {"@Bank", "@Date"}
Dim _objectparam() As Object = New Object() {_LiquidAssets.Oid, _ToDate.Date}
_SelectedData = Session.ExecuteQuery(_SQL, _stringparam, _objectparam)
For Each row As SelectStatementResultRow In _SelectedData.ResultSet(0).Rows
_BallanceDEV = row.Values(2)
Next row
Return _BallanceDEV
End Function
End Class