-- Stored Procedures equivalent to triggers DELIMITER / / -- Procedure for trg_bank_account_transaction_after_insert CREATE PROCEDURE update_bank_balance(IN p_bankAccountId INT, IN p_type VARCHAR(20), IN p_amount DECIMAL(15,2)) BEGIN START TRANSACTION; IF p_type = 'DEPOSIT' THEN UPDATE Bank_Account_Balance SET balance = balance + p_amount WHERE bankAccountId = p_bankAccountId; ELSEIF p_type = 'WITHDRAWAL' THEN UPDATE Bank_Account_Balance SET balance = balance - p_amount WHERE bankAccountId = p_bankAccountId; END IF; COMMIT; END // -- Procedure for trg_bank_account_transaction_after_delete CREATE PROCEDURE update_bank_balance_on_delete(IN p_bankAccountId INT, IN p_amount DECIMAL(15,2)) BEGIN START TRANSACTION; UPDATE Bank_Accounts SET balance = balance - p_amount WHERE id = p_bankAccountId; COMMIT; END // -- Procedure for trg_transfer_item_after_insert CREATE PROCEDURE process_transfer_item(IN p_transferId INT, IN p_productId INT, IN p_count DECIMAL(10,2)) BEGIN START TRANSACTION; DECLARE fromInv INT; DECLARE toInv INT; DECLARE _avgCost DECIMAL(10,2); DECLARE latestQuantityInOrigin DECIMAL(10,2); DECLARE latestQuantityInDestination DECIMAL(10,2); SELECT fromInventoryId, toInventoryId INTO fromInv, toInv FROM Inventory_Transfers WHERE id = p_transferId; SELECT COALESCE(avgCost, 0), COALESCE(quantity, 0) INTO _avgCost, latestQuantityInOrigin FROM Stock_Balance WHERE ProductId = p_productId AND inventoryId = fromInv LIMIT 1; SELECT COALESCE(quantity, 0) INTO latestQuantityInDestination FROM Stock_Balance WHERE ProductId = p_productId AND inventoryId = toInv LIMIT 1; -- OUT from source INSERT INTO Stock_Movements (type, quantity, unitPrice, totalCost, avgCost, referenceType, referenceId, productId, inventoryId, counterInventoryId, createdAt, remainedInStock) VALUES ('OUT', p_count, _avgCost, _avgCost*p_count, _avgCost, 'INVENTORY_TRANSFER', p_transferId, p_productId, fromInv, toInv, NOW(), latestQuantityInOrigin-p_count); -- IN to destination INSERT INTO Stock_Movements (type, quantity, unitPrice, totalCost, avgCost, referenceType, referenceId, productId, inventoryId, counterInventoryId, createdAt, remainedInStock) VALUES ('IN', p_count, _avgCost, _avgCost*p_count, _avgCost, 'INVENTORY_TRANSFER', p_transferId, p_productId, toInv, fromInv, NOW(), latestQuantityInOrigin-p_count); COMMIT; END // -- Procedure for trg_order_item_after_insert CREATE PROCEDURE update_stock_reservation_insert(IN p_orderId INT, IN p_productId INT, IN p_quantity DECIMAL(10,2)) BEGIN START TRANSACTION; UPDATE Stock_Reservations SET quantity = quantity + p_quantity WHERE orderId = p_orderId AND productId = p_productId; COMMIT; END // -- Procedure for trg_order_item_after_update CREATE PROCEDURE update_stock_reservation_update(IN p_orderId INT, IN p_productId INT, IN p_old_quantity DECIMAL(10,2), IN p_new_quantity DECIMAL(10,2)) BEGIN START TRANSACTION; UPDATE Stock_Reservations SET quantity = quantity - p_old_quantity + p_new_quantity WHERE orderId = p_orderId AND productId = p_productId; COMMIT; END // -- Procedure for trg_order_item_after_delete CREATE PROCEDURE update_stock_reservation_delete(IN p_orderId INT, IN p_productId INT, IN p_quantity DECIMAL(10,2)) BEGIN START TRANSACTION; UPDATE Stock_Reservations SET quantity = quantity - p_quantity WHERE orderId = p_orderId AND productId = p_productId; COMMIT; END // -- Procedure for trg_order_after_cancel CREATE PROCEDURE cancel_order_stock(IN p_orderId INT, IN p_status VARCHAR(20)) BEGIN START TRANSACTION; IF p_status = 'CANCELED' OR p_status = 'REJECTED' OR p_status = 'DONE' THEN UPDATE Stock_Reservations sr SET quantity = 0 WHERE sr.orderId = p_orderId; END IF; COMMIT; END // -- Procedure for trg_purchase_receipt_item_after_insert CREATE PROCEDURE process_purchase_item(IN p_receiptId INT, IN p_productId INT, IN p_count DECIMAL(10,2), IN p_unitPrice DECIMAL(15,2), IN p_totalAmount DECIMAL(15,2)) BEGIN START TRANSACTION; DECLARE latestQuantity DECIMAL(10, 2) DEFAULT 0; DECLARE invId INT; DECLARE suppId INT; -- Get inventory & supplier from SELECT inventoryId, supplierId INTO invId, suppId FROM Purchase_Receipts WHERE id = p_receiptId; -- Get current stock quantity (if exists) SELECT COALESCE(quantity, 0) INTO latestQuantity FROM Stock_Balance sb WHERE sb.inventoryId = invId AND sb.productId = p_productId LIMIT 1; -- Insert stock movement INSERT INTO Stock_Movements ( type, quantity, unitPrice, totalCost, referenceType, referenceId, productId, inventoryId, avgCost, supplierId, remainedInStock, createdAt ) VALUES ( 'IN', p_count, p_unitPrice, p_totalAmount, 'PURCHASE', p_receiptId, p_productId, invId, CASE WHEN p_count = 0 THEN 0 ELSE p_totalAmount / p_count END, suppId, latestQuantity + p_count, NOW() ); COMMIT; END // -- Procedure for trg_pr_payment_before_insert CREATE PROCEDURE validate_payment_before_insert(IN p_receiptId INT, IN p_type VARCHAR(20), IN p_amount DECIMAL(15,2)) BEGIN START TRANSACTION; DECLARE receiptTotal DECIMAL(14,2); DECLARE paid DECIMAL(14,2); SELECT totalAmount, paidAmount INTO receiptTotal, paid FROM Purchase_Receipts WHERE id = p_receiptId FOR UPDATE; IF p_type = 'PAYMENT' AND paid + p_amount > receiptTotal THEN SIGNAL SQLSTATE '45000' SET MESSAGE_TEXT = 'مجموع مبلغ پرداختی بیشتر از مبلغ فاکتور است.'; END IF; COMMIT; END // -- Procedure for trg_purchase_payment_update_receipt CREATE PROCEDURE update_receipt_payment(IN p_receiptId INT) BEGIN START TRANSACTION; DECLARE paid DECIMAL(15,2); DECLARE total DECIMAL(15,2); SELECT COALESCE(SUM( CASE WHEN type = 'PAYMENT' THEN amount ELSE -amount END ),0) INTO paid FROM Purchase_Receipt_Payments WHERE receiptId = p_receiptId; SELECT totalAmount INTO total FROM Purchase_Receipts WHERE id = p_receiptId; UPDATE Purchase_Receipts SET paidAmount = paid, status = CASE WHEN paid = 0 THEN 'UNPAID' WHEN paid < total THEN 'PARTIALLY_PAID' ELSE 'PAID' END WHERE id = p_receiptId; COMMIT; END // -- Procedure for trg_purchase_payment_after_insert CREATE PROCEDURE process_purchase_payment(IN p_bankAccountId INT, IN p_type VARCHAR(20), IN p_amount DECIMAL(15,2), IN p_id INT) BEGIN START TRANSACTION; DECLARE currentBalance DECIMAL(15, 2); SELECT balance INTO currentBalance FROM Bank_Account_Balance WHERE bankAccountId = p_bankAccountId FOR UPDATE; IF currentBalance IS NULL THEN SET currentBalance = 0; INSERT INTO Bank_Account_Balance (bankAccountId, balance, updatedAt) VALUES (p_bankAccountId, 0, NOW()); END IF; IF p_type = 'PAYMENT' THEN SET currentBalance = currentBalance - p_amount; INSERT INTO Bank_Account_Transactions ( bankAccountId, type, amount, balanceAfter, referenceType, referenceId ) VALUES ( p_bankAccountId, 'WITHDRAWAL', p_amount, currentBalance, 'PURCHASE_PAYMENT', p_id ); ELSE SET currentBalance = currentBalance + p_amount; INSERT INTO Bank_Account_Transactions ( bankAccountId, type, amount, balanceAfter, referenceType, referenceId ) VALUES ( p_bankAccountId, 'DEPOSIT', p_amount, currentBalance, 'PURCHASE_REFUND', p_id ); END IF; UPDATE Bank_Account_Balance SET balance = currentBalance WHERE bankAccountId = p_bankAccountId; COMMIT; END // -- Procedure for trg_pr_payment_after_insert CREATE PROCEDURE update_supplier_ledger(IN p_receiptId INT, IN p_type VARCHAR(20), IN p_amount DECIMAL(15,2), IN p_id INT) BEGIN START TRANSACTION; DECLARE receiptTotal DECIMAL(14,2) DEFAULT 0; DECLARE newPaid DECIMAL(14,2) DEFAULT 0; DECLARE _supplierId INT; DECLARE lastBalance DECIMAL(14,2) DEFAULT 0; -- Lock receipt row SELECT COALESCE(totalAmount, 0), COALESCE(paidAmount, 0), supplierId INTO receiptTotal, newPaid, _supplierId FROM Purchase_Receipts WHERE id = p_receiptId FOR UPDATE; -- Apply payment or refund IF p_type = 'PAYMENT' THEN SET newPaid = newPaid + p_amount; ELSE SET newPaid = newPaid - p_amount; END IF; -- Update receipt UPDATE Purchase_Receipts SET paidAmount = newPaid, status = CASE WHEN newPaid = 0 THEN 'UNPAID' WHEN newPaid < receiptTotal THEN 'PARTIALLY_PAID' ELSE 'PAID' END WHERE id = p_receiptId; -- Get last supplier balance SELECT IFNULL(balance, 0) INTO lastBalance FROM Supplier_Ledger WHERE supplierId = _supplierId ORDER BY id DESC LIMIT 1; -- Insert supplier ledger INSERT INTO Supplier_Ledger ( supplierId, debit, credit, balance, sourceType, sourceId, createdAt ) VALUES ( _supplierId, IF(p_type = 'REFUND', p_amount, 0), IF(p_type = 'PAYMENT', p_amount, 0), lastBalance + IF(p_type = 'PAYMENT', p_amount, 0) - IF(p_type = 'REFUND', p_amount, 0), 'PAYMENT', p_id, NOW() ); COMMIT; END // -- Procedure for trg_pr_payment_after_delete CREATE PROCEDURE update_receipt_on_payment_delete(IN p_receiptId INT, IN p_type VARCHAR(20), IN p_amount DECIMAL(15,2)) BEGIN DECLARE receiptTotal DECIMAL(14,2); DECLARE newPaid DECIMAL(14,2); SELECT totalAmount, paidAmount INTO receiptTotal, newPaid FROM Purchase_Receipts WHERE id = p_receiptId FOR UPDATE; IF p_type = 'PAYMENT' THEN SET newPaid = newPaid - p_amount; ELSE SET newPaid = newPaid + p_amount; END IF; UPDATE Purchase_Receipts SET paidAmount = newPaid, status = CASE WHEN newPaid = 0 THEN 'UNPAID' WHEN newPaid < receiptTotal THEN 'PARTIALLY_PAID' ELSE 'PAID' END WHERE id = p_receiptId; END // -- Procedure for trg_purchase_receipt_after_insert CREATE PROCEDURE insert_supplier_ledger_purchase(IN p_supplierId INT, IN p_totalAmount DECIMAL(15,2), IN p_id INT) BEGIN DECLARE lastBalance DECIMAL(14,2) DEFAULT 0; SELECT COALESCE(balance, 0) INTO lastBalance FROM Supplier_Ledger WHERE supplierId = p_supplierId ORDER BY id DESC LIMIT 1; INSERT INTO Supplier_Ledger ( supplierId, debit, credit, balance, sourceType, sourceId, createdAt ) VALUES ( p_supplierId, p_totalAmount, 0, lastBalance - p_totalAmount, 'PURCHASE', p_id, NOW() ); END // -- Procedure for trg_sales_invoice_items_before_insert CREATE PROCEDURE validate_stock_before_sale(IN p_invoiceId INT, IN p_productId INT, IN p_count DECIMAL(10,2)) BEGIN DECLARE current_stock DECIMAL(10, 2); DECLARE inventory_id INT; SELECT pa.inventoryId INTO inventory_id FROM Pos_Accounts pa INNER JOIN Sales_Invoices si ON pa.id = si.posAccountId WHERE si.id = p_invoiceId; SELECT COALESCE(quantity, 0) INTO current_stock FROM Stock_Balance sb WHERE productId = p_productId AND sb.inventoryId = inventory_id LIMIT 1; IF p_count > current_stock THEN SIGNAL SQLSTATE '45000' SET MESSAGE_TEXT = 'موجودی کالا در انبار کافی نیست.'; END IF; END // -- Procedure for trg_sales_invoice_items_after_insert CREATE PROCEDURE process_sale_item(IN p_invoiceId INT, IN p_productId INT, IN p_count DECIMAL(10,2), IN p_unitPrice DECIMAL(15,2), IN p_totalAmount DECIMAL(15,2)) BEGIN DECLARE current_stock DECIMAL(10, 2); DECLARE inventory_id INT; DECLARE customer_id INT; DECLARE pos_id INT; SELECT posAccountId, customerId INTO pos_id, customer_id FROM Sales_Invoices si WHERE si.id = p_invoiceId LIMIT 1; SELECT pa.inventoryId INTO inventory_id FROM Pos_Accounts pa INNER JOIN Sales_Invoices si ON pa.id = si.posAccountId WHERE si.id = p_invoiceId; SELECT COALESCE(quantity, 0) INTO current_stock FROM Stock_Balance sb WHERE productId = p_productId AND sb.inventoryId = inventory_id LIMIT 1; INSERT INTO Stock_Movements ( type, quantity, unitPrice, totalCost, referenceType, referenceId, productId, inventoryId, avgCost, remainedInStock, customerId, createdAt ) VALUES ( 'OUT', p_count, p_unitPrice, p_totalAmount, 'SALES', p_invoiceId, p_productId, inventory_id, CASE WHEN p_count = 0 THEN 0 ELSE p_totalAmount / p_count END, current_stock - p_count, customer_id, NOW() ); END // -- Procedure for trg_sales_invoice_payment_after_insert CREATE PROCEDURE process_sale_payment(IN p_invoiceId INT, IN p_amount DECIMAL(15,2), IN p_id INT) BEGIN DECLARE currentBalance DECIMAL(15,2); DECLARE bankAccountId INT; SELECT pa.bankAccountId INTO bankAccountId FROM Pos_Accounts pa INNER JOIN Sales_Invoices si ON pa.id = si.posAccountId WHERE si.id = p_invoiceId; SELECT balance INTO currentBalance FROM Bank_Account_Balance WHERE bankAccountId = bankAccountId FOR UPDATE; IF currentBalance IS NULL THEN SET currentBalance = 0; INSERT INTO Bank_Account_Balance (bankAccountId, balance, updatedAt) VALUES (bankAccountId, 0, NOW()); END IF; SET currentBalance = currentBalance + p_amount; INSERT INTO Bank_Account_Transactions (bankAccountId, type, amount, balanceAfter, referenceType, referenceId) VALUES (bankAccountId, 'DEPOSIT', p_amount, currentBalance, 'POS_SALE', p_id); UPDATE Bank_Account_Balance SET balance = currentBalance WHERE bankAccountId = bankAccountId; END // -- Procedure for trg_pos_account_payment_after_insert CREATE PROCEDURE process_pos_payment(IN p_invoiceId INT, IN p_paymentMethod VARCHAR(20), IN p_amount DECIMAL(15,2), IN p_id INT) BEGIN DECLARE _bankAccountId INT; IF(p_paymentMethod != 'CASH') THEN SELECT cashBankAccountId INTO _bankAccountId FROM Pos_Accounts pa INNER JOIN Sales_Invoices si ON pa.id = si.posAccountId WHERE si.id = p_invoiceId; END IF; INSERT INTO Bank_Account_Transactions ( bankAccountId, type, amount, balanceAfter, referenceType, referenceId ) VALUES( _bankAccountId, 'DEPOSIT', p_amount, 0, 'POS_SALE', p_id ); END // -- Procedure for trg_stock_transfer CREATE PROCEDURE update_stock_balance_transfer(IN p_productId INT, IN p_inventoryId INT, IN p_quantity DECIMAL(10,2), IN p_unitPrice DECIMAL(15,2), IN p_totalCost DECIMAL(15,2), IN p_type VARCHAR(10)) BEGIN IF p_type = 'IN' THEN INSERT INTO Stock_Balance ( productId, inventoryId, quantity, totalCost, avgCost, updatedAt ) VALUES ( p_productId, p_inventoryId, p_quantity, p_totalCost, CASE WHEN p_quantity = 0 THEN 0 ELSE p_totalCost / p_quantity END, NOW() ) ON DUPLICATE KEY UPDATE quantity = quantity + p_quantity, totalCost = totalCost + p_totalCost, avgCost = CASE WHEN (quantity + p_quantity) = 0 THEN 0 ELSE (totalCost + p_totalCost) / (quantity + p_quantity) END, updatedAt = NOW(); END IF; IF p_type = 'OUT' THEN IF EXISTS ( SELECT 1 FROM Stock_Balance sb WHERE sb.productId = p_productId AND sb.inventoryId = p_inventoryId ) THEN UPDATE Stock_Balance sb SET sb.quantity = sb.quantity - p_quantity, sb.totalCost = sb.totalCost - (sb.avgCost * p_quantity), sb.updatedAt = NOW() WHERE sb.productId = p_productId AND sb.inventoryId = p_inventoryId; ELSE INSERT INTO Stock_Balance ( productId, inventoryId, quantity, totalCost, avgCost, updatedAt ) VALUES ( p_productId, p_inventoryId, - p_quantity, - COALESCE(p_unitPrice, 0) * p_quantity, COALESCE(p_unitPrice, 0), NOW() ); END IF; END IF; END // -- Procedure for trg_stock_purchase_insert CREATE PROCEDURE update_stock_balance_purchase(IN p_productId INT, IN p_quantity DECIMAL(10,2), IN p_unitPrice DECIMAL(15,2), IN p_totalCost DECIMAL(15,2), IN p_inventoryId INT) BEGIN INSERT INTO Stock_Balance ( productId, quantity, avgCost, totalCost, inventoryId, updatedAt ) VALUES ( p_productId, p_quantity, p_unitPrice, p_totalCost, p_inventoryId, NOW() ) ON DUPLICATE KEY UPDATE quantity = quantity + p_quantity, totalCost = totalCost + p_totalCost, avgCost = totalCost / quantity; END // -- Procedure for trg_stock_sale_insert CREATE PROCEDURE update_stock_balance_sale(IN p_productId INT, IN p_quantity DECIMAL(10,2), IN p_unitPrice DECIMAL(15,2), IN p_totalCost DECIMAL(15,2), IN p_inventoryId INT) BEGIN INSERT INTO Stock_Balance ( productId, quantity, avgCost, totalCost, inventoryId, updatedAt ) VALUES ( p_productId, p_quantity, p_unitPrice, p_totalCost, p_inventoryId, NOW() ) ON DUPLICATE KEY UPDATE quantity = quantity - p_quantity, totalCost = totalCost - p_totalCost, avgCost = totalCost / quantity; END // DELIMITER;