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- @echo off
- call "C:\GlobalCube\Tasks\scripts\config2.bat"
- rem ==COMM_UNIT==
- del C:\GlobalCube\System\OPTIMA\SQL\logs\COMM_UNIT*.* /Q /F >nul 2>nul
- if not "%1"=="" goto :increment
- :full
- call sql_query.bat "TRUNCATE TABLE [OPTIMA].[import].[COMM_UNIT]"
- call bcp_queryout.bat "COMM_UNIT_1" "SELECT T1.[UNIT_NO], T1.[PERIOD], T1.[DEPARTMENT], T1.[SALESMAN], T1.[UNIT_TYPE], T1.[MODELLINE], T1.[PER_DATE], T1.[HANDLER], T1.[DATE], T1.[CALCULATE_FINAL], T1.[CALCULATE_DAY], T1.[COMM_AMOUNT_1], T1.[COMM_SW_1], T1.[COMM_AMOUNT_2], T1.[COMM_SW_2], T1.[COMM_AMOUNT_3], T1.[COMM_SW_3], T1.[COMM_AMOUNT_4], T1.[COMM_SW_4], T1.[COMM_AMOUNT_5], T1.[COMM_SW_5], T1.[COMM_AMOUNT_6], T1.[COMM_SW_6], T1.[COMM_AMOUNT_7], T1.[COMM_SW_7], T1.[COMM_AMOUNT_8], T1.[COMM_SW_8], T1.[MILEAGE], T1.[STOCK_DAYS], T1.[POINTS], T1.[ORDER_NO], T1.[SALES_PRICE], T1.[LIST_PRICE], T1.[PURCH_PRICE], T1.[BUD_PURCH_PRICE], T1.[COST], T1.[COST_PRICE_1], T1.[SALES_COST], T1.[COST_PRICE_2], T1.[MARGIN], T1.[BUD_MARGIN], T1.[OVER_PRICE], T1.[INTEREST], T1.[GEMEIN_COST], T1.[MODEL_CODE_X], T1.[DELIVERY_DAY], T1.[SOLD_TO], T1.[TOTAL_COMM], T1.[CUSTOMER_NUMBER], T1.[CONV_FLAG], T1.[timestamp], T1.[UNIQUE_IDENT], T1.[CALCULATION_TYPE], T1.[FINAL_COMM_DATE], T1.[FIXED_COMM], T1.[OWN_SALES_PRICE], T1.[USE_FIXED_COMM], T1.[COMM_OWN_SALES_PRICE], '1' as [Client_DB] FROM [deop01].[dbo].[COMM_UNIT] T1 WHERE 1 = 1 ORDER BY T1.[timestamp] "
- call bcp_in.bat "COMM_UNIT_1" "[import].[COMM_UNIT]" "OPTIMA"
- call bcp_queryout.bat "COMM_UNIT_2" "SELECT T1.[UNIT_NO], T1.[PERIOD], T1.[DEPARTMENT], T1.[SALESMAN], T1.[UNIT_TYPE], T1.[MODELLINE], T1.[PER_DATE], T1.[HANDLER], T1.[DATE], T1.[CALCULATE_FINAL], T1.[CALCULATE_DAY], T1.[COMM_AMOUNT_1], T1.[COMM_SW_1], T1.[COMM_AMOUNT_2], T1.[COMM_SW_2], T1.[COMM_AMOUNT_3], T1.[COMM_SW_3], T1.[COMM_AMOUNT_4], T1.[COMM_SW_4], T1.[COMM_AMOUNT_5], T1.[COMM_SW_5], T1.[COMM_AMOUNT_6], T1.[COMM_SW_6], T1.[COMM_AMOUNT_7], T1.[COMM_SW_7], T1.[COMM_AMOUNT_8], T1.[COMM_SW_8], T1.[MILEAGE], T1.[STOCK_DAYS], T1.[POINTS], T1.[ORDER_NO], T1.[SALES_PRICE], T1.[LIST_PRICE], T1.[PURCH_PRICE], T1.[BUD_PURCH_PRICE], T1.[COST], T1.[COST_PRICE_1], T1.[SALES_COST], T1.[COST_PRICE_2], T1.[MARGIN], T1.[BUD_MARGIN], T1.[OVER_PRICE], T1.[INTEREST], T1.[GEMEIN_COST], T1.[MODEL_CODE_X], T1.[DELIVERY_DAY], T1.[SOLD_TO], T1.[TOTAL_COMM], T1.[CUSTOMER_NUMBER], T1.[CONV_FLAG], T1.[timestamp], T1.[UNIQUE_IDENT], T1.[CALCULATION_TYPE], T1.[FINAL_COMM_DATE], T1.[FIXED_COMM], T1.[OWN_SALES_PRICE], T1.[USE_FIXED_COMM], T1.[COMM_OWN_SALES_PRICE], '2' as [Client_DB] FROM [deop02].[dbo].[COMM_UNIT] T1 WHERE 1 = 1 ORDER BY T1.[timestamp] "
- call bcp_in.bat "COMM_UNIT_2" "[import].[COMM_UNIT]" "OPTIMA"
- goto :cleanup
- :increment
- call sql_query.bat "TRUNCATE TABLE [OPTIMAX].[temp].[COMM_UNIT]"
- call sql_timestamp.bat "COMM_UNIT_1" "[OPTIMA].[import].[COMM_UNIT]" "1"
- call bcp_queryout.bat "COMM_UNIT_1" "SELECT T1.[UNIT_NO], T1.[PERIOD], T1.[DEPARTMENT], T1.[SALESMAN], T1.[UNIT_TYPE], T1.[MODELLINE], T1.[PER_DATE], T1.[HANDLER], T1.[DATE], T1.[CALCULATE_FINAL], T1.[CALCULATE_DAY], T1.[COMM_AMOUNT_1], T1.[COMM_SW_1], T1.[COMM_AMOUNT_2], T1.[COMM_SW_2], T1.[COMM_AMOUNT_3], T1.[COMM_SW_3], T1.[COMM_AMOUNT_4], T1.[COMM_SW_4], T1.[COMM_AMOUNT_5], T1.[COMM_SW_5], T1.[COMM_AMOUNT_6], T1.[COMM_SW_6], T1.[COMM_AMOUNT_7], T1.[COMM_SW_7], T1.[COMM_AMOUNT_8], T1.[COMM_SW_8], T1.[MILEAGE], T1.[STOCK_DAYS], T1.[POINTS], T1.[ORDER_NO], T1.[SALES_PRICE], T1.[LIST_PRICE], T1.[PURCH_PRICE], T1.[BUD_PURCH_PRICE], T1.[COST], T1.[COST_PRICE_1], T1.[SALES_COST], T1.[COST_PRICE_2], T1.[MARGIN], T1.[BUD_MARGIN], T1.[OVER_PRICE], T1.[INTEREST], T1.[GEMEIN_COST], T1.[MODEL_CODE_X], T1.[DELIVERY_DAY], T1.[SOLD_TO], T1.[TOTAL_COMM], T1.[CUSTOMER_NUMBER], T1.[CONV_FLAG], T1.[timestamp], T1.[UNIQUE_IDENT], T1.[CALCULATION_TYPE], T1.[FINAL_COMM_DATE], T1.[FIXED_COMM], T1.[OWN_SALES_PRICE], T1.[USE_FIXED_COMM], T1.[COMM_OWN_SALES_PRICE], '1' as [Client_DB] FROM [deop01].[dbo].[COMM_UNIT] T1 WHERE T1.[timestamp] > convert(binary(8), '%TS%', 1) AND 1 = 1 ORDER BY T1.[timestamp] "
- call bcp_in.bat "COMM_UNIT_1" "[temp].[COMM_UNIT]" "OPTIMAX"
- call sql_timestamp.bat "COMM_UNIT_2" "[OPTIMA].[import].[COMM_UNIT]" "2"
- call bcp_queryout.bat "COMM_UNIT_2" "SELECT T1.[UNIT_NO], T1.[PERIOD], T1.[DEPARTMENT], T1.[SALESMAN], T1.[UNIT_TYPE], T1.[MODELLINE], T1.[PER_DATE], T1.[HANDLER], T1.[DATE], T1.[CALCULATE_FINAL], T1.[CALCULATE_DAY], T1.[COMM_AMOUNT_1], T1.[COMM_SW_1], T1.[COMM_AMOUNT_2], T1.[COMM_SW_2], T1.[COMM_AMOUNT_3], T1.[COMM_SW_3], T1.[COMM_AMOUNT_4], T1.[COMM_SW_4], T1.[COMM_AMOUNT_5], T1.[COMM_SW_5], T1.[COMM_AMOUNT_6], T1.[COMM_SW_6], T1.[COMM_AMOUNT_7], T1.[COMM_SW_7], T1.[COMM_AMOUNT_8], T1.[COMM_SW_8], T1.[MILEAGE], T1.[STOCK_DAYS], T1.[POINTS], T1.[ORDER_NO], T1.[SALES_PRICE], T1.[LIST_PRICE], T1.[PURCH_PRICE], T1.[BUD_PURCH_PRICE], T1.[COST], T1.[COST_PRICE_1], T1.[SALES_COST], T1.[COST_PRICE_2], T1.[MARGIN], T1.[BUD_MARGIN], T1.[OVER_PRICE], T1.[INTEREST], T1.[GEMEIN_COST], T1.[MODEL_CODE_X], T1.[DELIVERY_DAY], T1.[SOLD_TO], T1.[TOTAL_COMM], T1.[CUSTOMER_NUMBER], T1.[CONV_FLAG], T1.[timestamp], T1.[UNIQUE_IDENT], T1.[CALCULATION_TYPE], T1.[FINAL_COMM_DATE], T1.[FIXED_COMM], T1.[OWN_SALES_PRICE], T1.[USE_FIXED_COMM], T1.[COMM_OWN_SALES_PRICE], '2' as [Client_DB] FROM [deop02].[dbo].[COMM_UNIT] T1 WHERE T1.[timestamp] > convert(binary(8), '%TS%', 1) AND 1 = 1 ORDER BY T1.[timestamp] "
- call bcp_in.bat "COMM_UNIT_2" "[temp].[COMM_UNIT]" "OPTIMAX"
- call sql_query.bat "DELETE T1 FROM [OPTIMA].[import].[COMM_UNIT] T1 INNER JOIN [OPTIMAX].[temp].[COMM_UNIT] T2 ON T1.[CLIENT_DB] = T2.[CLIENT_DB] AND T1.[UNIT_NO] = T2.[UNIT_NO]"
- call sql_query.bat "INSERT INTO [OPTIMA].[import].[COMM_UNIT] with (TABLOCK) SELECT * FROM [OPTIMAX].[temp].[COMM_UNIT] T1"
- :cleanup
- call delete.bat "C:\GlobalCube\System\OPTIMA\SQL\temp\COMM_UNIT_1.csv"
- call delete.bat "C:\GlobalCube\System\OPTIMA\SQL\temp\COMM_UNIT_2.csv"
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