spec/detail_daily_rpt.cfm
2025-07-13 18:04:41 +03:00

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<cfsilent>
<cfimport prefix="m" taglib="lib"/>
<cfimport prefix="c" taglib="lib/controls"/>
<cfimport prefix="d" taglib="lib/data"/>
<cfimport prefix="layout" taglib="layout"/>
</cfsilent><m:silent silent="No">
<cffunction name="hideNonPositive">
<cfargument name="a"/>
<cfreturn (a GT 0)? a : ""/>
</cffunction>
<cffunction name="myNumFmt">
<cfargument name="a"/>
<cfreturn (isNumeric(a))? numberFormat(a,",.00") : ""/>
</cffunction>
<m:prepare_ls entity="specification_item" accessObject="" pageInfoOut="pageInfo" trackOut="tr"/>
<!--- <m:filter_settings target="#pageInfo.entity#_ls">
<m:filterparam filter=#filter# param="quickfilter" ftype="string" prefix="%" suffix="%" expression="((p.project like ?) OR (p.customer like ?) OR (p.customer_alias like ?) OR (p.specification_item_class_type like ?) OR (p.division like ?) OR (p.performer_short like ?))" default=""/>
</m:filter_settings> --->
<!--- <cfset pageInfo.settings.filter=#filter#/> --->
<cfquery name="qRead" datasource="#request.DS#">
<!--- select
<d:field_set titleMapOut="titleMap" lengthOut="fieldCount">
<d:field title="Месяц" cfSqlType="CF_SQL_TIMESTAMP">m</d:field>
<d:field title="Дата" cfSqlType="CF_SQL_TIMESTAMP">dt</d:field>
<d:field title="Инсталл" cfSqlType="CF_SQL_NUMERIC">income_install</d:field>
<d:field title="Инсталл" cfSqlType="CF_SQL_NUMERIC">inst1</d:field>
<d:field title="Инсталл" cfSqlType="CF_SQL_NUMERIC">inst0</d:field>
<d:field title="Ежемес" cfSqlType="CF_SQL_NUMERIC">income_recurring</d:field>
<d:field title="Ежемес+" cfSqlType="CF_SQL_NUMERIC">rec1+rec0 as rec</d:field>
<d:field title="Ежемес" cfSqlType="CF_SQL_NUMERIC">rec1</d:field>
<d:field title="Ежемес" cfSqlType="CF_SQL_NUMERIC">rec0</d:field>
<d:field title="Выручка" cfSqlType="CF_SQL_NUMERIC">income_install+income_recurring as income</d:field>
<d:field title="cnt" cfSqlType="CF_SQL_NUMERIC">cnt</d:field>
</d:field_set>
from ( --->
select
--install
DATE_TRUNC('month', dayscale.dt)::date as m
,dayscale.dt::date
,siv.price as price_i
,siv.quantity as quantity_i
,siv0.price as price0_i
,siv0.quantity as quantity0_i
,a.is_actual as is_actual_i
,a.probability_perc as p_i
,(100-COALESCE(a.probability_perc,0)) as p_i_rest
,siv.specification_item_uid as si_uid_i
,siv.agreement_version as av_i
,siv0.specification_item_uid as si_uid0_i
,siv0.agreement_version as av0_i
,null as price_f
,null as quantity_f
,null as price0_f
,null as quantity0_f
,null as is_actual_f
,null as p_f
,null as p_f_rest
,null as cost_f
,null as cost_month_f
,null as dt_from_f
,null as dt_to_f
,null as dt_from0_f
,null as dt_to0_f
,null as si_uid_f
,null as av_f
,null as si_uid0_f
,null as av0_f
from (SELECT dd::date as dt FROM generate_series(
'#DAYSCALE_START#'::timestamp
,'#DAYSCALE_FINISH#'::timestamp
,'1 day'::interval) dd
) dayscale
left outer join specification_item_version siv on (dayscale.dt=siv.dt_from)
left outer join specification_item si on (siv.specification_item_uid=si.specification_item_uid AND si.pricing_model_id in (1))
left outer join specification s on (si.specification_id=s.specification_id)
left outer join agreement a on (s.contract_id=a.contract_id AND siv.agreement_version=a.agreement_version AND a.agreement_version=(select max(iiv.agreement_version) from specification_item_version iiv
join specification_item ii on (iiv.specification_item_uid=ii.specification_item_uid)
join specification isp on (ii.specification_id=isp.specification_id)
join agreement ia on (isp.contract_id=ia.contract_id AND iiv.agreement_version=ia.agreement_version)
where iiv.specification_item_uid=si.specification_item_uid
--AND ia.is_actual
))
join contract d on s.contract_id=d.contract_id
join contragent k on d.contragent_id=k.contragent_id
join svc on (si.svc_id=svc.svc_id)
left outer join agreement a0 on (s.contract_id=a0.contract_id AND a0.agreement_version=(select max(iiv.agreement_version) from specification_item_version iiv
join specification_item ii on (iiv.specification_item_uid=ii.specification_item_uid)
join specification isp on (ii.specification_id=isp.specification_id)
join agreement ia on (isp.contract_id=ia.contract_id AND iiv.agreement_version=ia.agreement_version)
where iiv.specification_item_uid=si.specification_item_uid
AND ia.agreement_version < a.agreement_version
AND ia.is_actual
))
left outer join specification_item_version siv0 on (siv0.specification_item_uid=si.specification_item_uid
AND siv0.agreement_version=a0.agreement_version AND (dayscale.dt=siv0.dt_from))
where 1=1 <m:filter_build filter=#pageInfo.settings.filter#/>
union all
--fix and payg
select
DATE_TRUNC('month', dayscale.dt)::date as m
,dayscale.dt::date
,null
,null
,null
,null
,null
,null
,null
,null
,null
,null
,null
,case when (siv.dt_to > dayscale.dt OR siv.dt_to IS NULL) then
siv.price
/*до окончания свежей сделки она суммируется с прошлой актуальной по правилу вероятностей, считая вероятность актуальной за сделки за 1*/
else 0 /*по окончании свежей сделки она дает нулевой вклад*/
end
,case when (siv.dt_to > dayscale.dt OR siv.dt_to IS NULL) then
siv.quantity
/*до окончания свежей сделки она суммируется с прошлой актуальной по правилу вероятностей, считая вероятность актуальной за сделки за 1*/
else 0 /*по окончании свежей сделки она дает нулевой вклад*/
end
,case when (siv0.dt_to > dayscale.dt OR siv0.dt_to IS NULL) then
siv0.price
/*до окончания свежей сделки она суммируется с прошлой актуальной по правилу вероятностей, считая вероятность актуальной за сделки за 1*/
else 0 /*по окончании свежей сделки она дает нулевой вклад*/
end
,case when (siv0.dt_to > dayscale.dt OR siv0.dt_to IS NULL) then
siv0.quantity
/*до окончания свежей сделки она суммируется с прошлой актуальной по правилу вероятностей, считая вероятность актуальной за сделки за 1*/
else 0 /*по окончании свежей сделки она дает нулевой вклад*/
end
,a.is_actual as is_actual_f
,a.probability_perc as p_f
,(100-COALESCE(a.probability_perc,0)) as p_f_rest
,case when (siv.dt_to > dayscale.dt OR siv.dt_to IS NULL) then
siv.price/dayscale.monthdays*siv.quantity*a.probability_perc/100
else 0 /*по окончании свежей сделки она дает нулевой вклад*/
end
+
COALESCE(case when (siv0.dt_to > dayscale.dt OR siv0.dt_to IS NULL) then
siv0.price/dayscale.monthdays*siv0.quantity*(100- a.probability_perc)/100
else 0 /*по окончании свежей сделки она дает нулевой вклад*/
end,0)
,case when (siv.dt_to > dayscale.dt OR siv.dt_to IS NULL) then
siv.price*siv.quantity*a.probability_perc/100
else 0 /*по окончании свежей сделки она дает нулевой вклад*/
end
+
COALESCE(case when (siv0.dt_to > dayscale.dt OR siv0.dt_to IS NULL) then
siv0.price*siv0.quantity*(100- a.probability_perc)/100
else 0 /*по окончании свежей сделки она дает нулевой вклад*/
end,0)
,siv.dt_from
,siv.dt_to
,siv0.dt_from
,siv0.dt_to
,siv.specification_item_uid
,siv.agreement_version
,siv0.specification_item_uid
,siv0.agreement_version
from (SELECT dd::date as dt
, DATE_PART('days', DATE_TRUNC('month', dd) + '1 MONTH'::INTERVAL - '1 DAY'::INTERVAL) monthdays
FROM generate_series(
'#DAYSCALE_START#'::timestamp
,'#DAYSCALE_FINISH#'::timestamp
,'1 day'::interval) dd
) dayscale
left outer join specification_item_version siv on (dayscale.dt >= siv.dt_from /*AND (siv.dt_to > dayscale.dt OR siv.dt_to IS NULL)*/
AND siv.agreement_version=(select max(iiv.agreement_version) from specification_item_version iiv
join specification_item ii on (iiv.specification_item_uid=ii.specification_item_uid)
join specification isp on (ii.specification_id=isp.specification_id)
join agreement ia on (isp.contract_id=ia.contract_id AND iiv.agreement_version=ia.agreement_version)
where iiv.specification_item_uid=siv.specification_item_uid
AND (dayscale.dt >= iiv.dt_from /*AND (iiv.dt_to > dayscale.dt OR iiv.dt_to IS NULL)*/)))
/*AND ia.is_actual*/ /*свежее соглашение не обязано быть действующим*/
join specification_item si on (siv.specification_item_uid=si.specification_item_uid AND si.pricing_model_id in (2,3))
join specification s on (si.specification_id=s.specification_id)
join agreement a on (s.contract_id=a.contract_id AND a.agreement_version=siv.agreement_version)
join contract d on s.contract_id=d.contract_id
join contragent k on d.contragent_id=k.contragent_id
join svc on (si.svc_id=svc.svc_id)
-- находим предыдущее действующее соглашение
-- если свежее соглашение действует, то впр
-- нам нужно, чтобы в прошлом (до dt_from свежего соглашения) свежак был прозрачен,
-- а в будущем (после dt_to) факт перетирался свежим соглашением
left outer join agreement a0 on (s.contract_id=a0.contract_id AND a0.agreement_version=(
select max(iiv.agreement_version) from specification_item_version iiv
join specification_item ii on (iiv.specification_item_uid=ii.specification_item_uid)
join specification isp on (ii.specification_id=isp.specification_id)
join agreement ia on (isp.contract_id=ia.contract_id AND iiv.agreement_version=ia.agreement_version)
where iiv.specification_item_uid=si.specification_item_uid
AND ia.agreement_version < siv.agreement_version
AND ia.is_actual /*именно действующее соглашение, принимаемое за факт*/
)
)
left outer join specification_item_version siv0 on (siv0.specification_item_uid=si.specification_item_uid
AND siv0.agreement_version=a0.agreement_version AND (dayscale.dt >= siv0.dt_from /*AND (siv0.dt_to > dayscale.dt OR siv0.dt_to IS NULL)*/))
where 1=1 <m:filter_build filter=#pageInfo.settings.filter#/>
order by dt
</cfquery>
<!--- <cfdump var=#pageInfo.settings.filter#/> --->
<!--- <cfquery name="qCountTotal" datasource="#request.DS#">
select count(*) as cnt from specification_item where 1=1
</cfquery> --->
</m:silent><!---
-----------------------------------------------------------------------------------------
-----------------------------------------------------------------------------------------
-----------------------------------------------------------------------------------------
---><cfif isDefined("output_xls")>
<layout:xml qRead=#qRead# titleMap=#titleMap# filename="#pageInfo.entity#.xml"/>
<cfabort/>
</cfif><cfif isDefined("output_json")>
<layout:json qRead=#qRead# titleMap=#titleMap# filename="#pageInfo.entity#.json"/>
<cfabort/>
</cfif><!---
---><layout:page section="header" pageInfo=#pageInfo#>
<layout:attribute name="title">
<cfoutput><b>Выручка по дням 2023-01-01 .. 2029-12-31</b></cfoutput>
</layout:attribute>
<!--- <layout:attribute name="controls">
skip filter link, filter is not implemented
<layout:language_switch/>
</layout:attribute> --->
</layout:page>
<cfif pageInfo.readPermitted() AND !pageInfo.status.errorState>
<!--- <cfdump var=#qRead#/><cfabort/> --->
<div style="display:inline-block; vertical-align:top;">
<cfoutput><b>#qRead.recordCount#</b> записей</cfoutput>
<a href="?output_xls" title="экспорт в Excel" style="margin:.5em; height:100%;" target="_blank"><img src="img/xls.gif" style="vertical-align:text-bottom;"/></a>
<a href="?output_json" title="экспорт в json" style="margin:.5em; height:100%;" target="_blank"><img src="img/json.svg" style="vertical-align:text-bottom;" width="13" height="13"/></a>
<br/>
Дни и месяцы без данных не показаны.
Инсталл и ежемес могут генерировать отдельные строки на один день.
Вариант с локальной рабочей версией строки (инстанса)
<table class="worktable">
<thead>
<tr>
<th>Дата</th>
<!--- <th>Инсталл</th> --->
<th>Инсталл рабочая</th>
<th>Инсталл базовая</th>
<!--- <th>Ежемес</th> --->
<th>Ежемес рабочая</th>
<th>Ежемес базовая</th>
<th>Ежемес</th>
<!--- <th>Выручка</th>
<th>cnt</th> --->
</tr>
</thead>
<cfoutput query="qRead" group="dt">
<tr>
<td class="c">#dateFormat(dt,"YYYY-MM-DD")#</td>
<!--- <td class="r">#myNumFmt(income_install)#</td> --->
<td class="l">
<cfoutput>
<a href="specification_item_version.cfm?specification_item_uid=#si_uid_i#&agreement_version=#av_i#&#tr.fwx#">
<cfif len(si_uid_i)>(#myNumFmt(price_i)#*#quantity_i#*#p_i#%(#p_i_rest#%)</cfif>
</a><br/>
</cfoutput>
</td>
<td class="l">
<cfoutput>
<a href="specification_item_version.cfm?specification_item_uid=#si_uid0_i#&agreement_version=#av0_i#&#tr.fwx#">
<cfif len(si_uid0_i)>#myNumFmt(price0_i)#*#quantity0_i#</cfif>
</a><br/>
</cfoutput>
</td>
<td class="l">
<cfoutput>
<cfif len(si_uid_f)>
<a href="specification_item_version.cfm?specification_item_uid=#si_uid_f#&agreement_version=#av_f#&#tr.fwx#">
[#av_f#]
#myNumFmt(price_f)#*#quantity_f#*#p_f#%(#p_f_rest#%)
#dateFormat(dt_from_f,'YYYY-MM-DD')# - #dateFormat(dt_to_f,'YYYY-MM-DD')#
</a><br/>
</cfif>
</cfoutput>
</td>
<td class="l">
<cfoutput>
<cfif len(si_uid0_f)>
<a href="specification_item_version.cfm?specification_item_uid=#si_uid0_f#&agreement_version=#av0_f#&#tr.fwx#">
[#av0_f#]
#myNumFmt(price0_f)#*#quantity0_f#
#dateFormat(dt_from0_f,'YYYY-MM-DD')# - #dateFormat(dt_to0_f,'YYYY-MM-DD')#
</a><br/>
</cfif>
</cfoutput>
</td>
<td class="r"><cfoutput>#myNumFmt(cost_month_f)# | #myNumFmt(cost_f)#</cfoutput></td>
</tr>
</cfoutput>
</table>
</div>
</cfif>
<layout:page section="footer"/>