📄 c_cashbook_trg.sql
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CREATE OR REPLACE TRIGGER C_Cashbook_Trg
AFTER INSERT
ON C_Cashbook
FOR EACH ROW
DECLARE
/*************************************************************************
* The contents of this file are subject to the Compiere License. You may
* obtain a copy of the License at http://www.compiere.org/license.html
* Software is on an "AS IS" basis, WITHOUT WARRANTY OF ANY KIND, either
* express or implied. See the License for details. Code: Compiere ERP+CRM
* Copyright (C) 1999-2001 Jorg Janke, ComPiere, Inc. All Rights Reserved.
*************************************************************************
* $Id: C_Cashbook_Trg.sql,v 1.2 2002/01/02 04:53:50 jjanke Exp $
***
* Title: New Accounting Defaults
* Description:
************************************************************************/
CURSOR Cur_Defaults IS
SELECT * FROM C_AcctSchema_Default d
WHERE EXISTS (SELECT * FROM AD_ClientInfo c
WHERE d.C_AcctSchema_ID IN (c.C_AcctSchema1_ID, c.C_AcctSchema2_ID, c.C_AcctSchema3_ID)
AND AD_Client_ID=:new.AD_Client_ID);
BEGIN
FOR cd IN Cur_Defaults LOOP
INSERT INTO C_Cashbook_Acct
(C_Cashbook_ID, C_AcctSchema_ID,
AD_Client_ID, AD_Org_ID, IsActive, Created, CreatedBy, Updated, UpdatedBy,
CB_Asset_Acct, CB_Differences_Acct,
CB_Expense_Acct, CB_Receipt_Acct, CB_CashTransfer_Acct)
VALUES
(:new.C_Cashbook_ID, cd.C_AcctSchema_ID,
:new.AD_Client_ID, :new.AD_ORG_ID, 'Y', SysDate, :new.CreatedBy, SysDate, :new.UpdatedBy,
cd.CB_Asset_Acct, cd.CB_Differences_Acct,
cd.CB_Expense_Acct, cd.CB_Receipt_Acct, cd.CB_CashTransfer_Acct);
END LOOP;
END C_Cashbook_Trg;
/
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