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SQL Scripts for Microsoft Dynamics GP: List Tax Detail Transactions

Microsoft Dynamics GPThis script is part of the SQL Scripts for Microsoft Dynamics GP where I will be posting the scripts I wrote against Microsoft Dynamics GP over the 19 years before I stopped working with Dynamics GP.

This script was created for a client to list out all tax detail transactions in the system; there is a SmartList which will show this information, but they wanted to build a report outside of Dynamics GP for a user who did not have access to GP.

CREATE VIEW [dbo].[uv_AZRCRV_TaxDetailTransactions] AS
/*
Created by Ian Grieve of azurecurve | Ramblings of an IT Professional (http://www.azurecurve.co.uk) This code is licensed under the Creative Commons Attribution-NonCommercial-ShareAlike 4.0 International (CC BY-NC-SA 4.0 Int). */
SELECT
RTRIM(TX30000.TAXDTLID) AS 'Tax Detail',
RTRIM(TX00201.TXDTLDSC) AS 'Tax Detail Description',
CASE WHEN TX00201.TXDTLTYP = 1 THEN
'Sales'

ELSE
'Purchases'
END AS 'Tax Detail Type',
CASE
WHEN
TX30000.TXDTLAMT > 0
THEN
TX30000.TXDTLAMT
ELSE
TX30000.TXDTLPCT
END AS 'Tax Detail %',
RTRIM(TX30000.DOCNUMBR) AS 'Document Number',
RTRIM(TX30000.CustomerVendor_ID) AS 'Master ID',
CASE
WHEN TX30000.SERIES IN (1,2,3) THEN
RM00101.CUSTNAME
WHEN TX30000.SERIES IN (4,12) THEN
PM00200.VENDNAME
ELSE
''
END AS 'Master Name',
TX30000.DOCDATE AS 'Document Date',
TX30000.PSTGDATE AS 'Posting Date',
TX30000.DOCAMNT + TX30000.Taxable_Amount AS 'Gross Amount',
TX30000.DOCAMNT AS 'Net Amount',
TX30000.Taxable_Amount AS 'Taxable Amount',
TX30000.TAXAMNT AS 'Tax Amount',
CASE WHEN TX30000.SERIES = 1 AND TX30000.DOCTYPE = 3 THEN
'Invoice'
WHEN TX30000.SERIES = 1 AND TX30000.DOCTYPE = 5 THEN
'Return'
WHEN TX30000.SERIES = 4 AND TX30000.DOCTYPE = 1 THEN
'Invoice'
WHEN TX30000.SERIES = 4 AND TX30000.DOCTYPE = 5 THEN
'Credit Note'
WHEN TX30000.SERIES = 4 AND TX30000.DOCTYPE = 6 THEN
'Payment'
END AS 'Document Type',
TXGL00105.ACTNUMST AS 'Tax Account',
TX30000.Tax_Date AS 'Tax Date',
TX30000.ORTAXAMT AS 'Originating Tax Amount',
TX30000.Originating_Taxable_Amt AS 'Originating Taxable Amount',
TX30000.ORDOCAMT AS 'Originating Net Amount',
CASE WHEN TX30000.VOIDSTTS = 0 THEN
'No'
ELSE
'Yes'
END AS 'Voided?',
MC40200.CRNCYDSC AS 'Currency',
CASE WHEN TX30000.SERIES = 1 THEN
'Sales'
ELSE
'Purchases'
END AS 'Series',
CASE WHEN ISNULL(PMCCODE.ECFLAG,ISNULL(PMCCODE.ECFLAG, 0)) = 1 THEN
'Yes'
ELSE
'No'
END AS 'EU Member?'
,TX30000.PERIODID
FROM
TX30000 WITH (NOLOCK) --Tax History (TX30000) INNER JOIN
DYNAMICS..MC40200 WITH (NOLOCK) --Currency Setup (MC40200) ON
MC40200.CURRNIDX = TX30000.CURRNIDX
INNER JOIN
TX00201 WITH (NOLOCK) --Sales/Purchases Tax Master (TX00201) ON
TX30000.TAXDTLID = TX00201.TAXDTLID
LEFT JOIN
GL00105 AS TXGL00105 WITH (NOLOCK) --Account Index Master (GL00105) ON
TXGL00105.ACTINDX = TX00201.ACTINDX
LEFT JOIN
RM00101 WITH (NOLOCK) --RM Customer MSTR (RM00101) ON
TX30000.CustomerVendor_ID = RM00101.CUSTNMBR
LEFT JOIN
VAT10001 AS RMCCODE WITH (NOLOCK) --VAT Country Code MSTR (VAT10001) ON
RMCCODE.CCode = RM00101.CCode
LEFT JOIN
PM00200 WITH (NOLOCK) --PM Vendor Master File (PM00200) ON
TX30000.CustomerVendor_ID = PM00200.VENDORID
LEFT JOIN
VAT10001 AS PMCCODE WITH (NOLOCK) --VAT Country Code MSTR (VAT10001) ON
PMCCODE.CCode = PM00200.CCode
GO

GRANT SELECT ON uv_AZRCRV_TaxDetailTransactions TO DYNGRP
GO

Click to show/hide the SQL Scripts for Microsoft Dynamics GP Series Index

SQL Scripts for Microsoft Dynamics GP
Sales Transactions (Work) Against a Specific Site
Update Site Descriptions From CSV
Select All Primary Keys and Generate ALTER Script
Export Open/History PM Transactions After a Specified Date
Migrate Vendor Emails from Active Docs to Standard Email Fields
Update Inventory Accounts from Item Class
Update Accounts Payable Distribution on Work Status PM Transactions from Posting Account Setup
Update Inventory Distribution on Work Status Purchase Orders from the Item Card
Update Accrued Purchases Distribution on History Receipts from Posting Account Setup
Insert National Accounts from CSV
Import Site Bins From CSV
Update Accounts and Distributions on Work Status Sales Transactions from Item Card, Tax Details or Posting Account Setup
Assign All Items to All Site Bins
SQL Trigger on PO invoice Insert to Change GL posted Date
PO Receipt History View
Workflow Assignment Review
Sales Invoice Query
Assembly Transaction Quantities Required
Generate Standard Cost Update Macro from Text File Import
Validate and Insert/Update Vendor Emails from a Text File
Update Min Order Qty and Average Lead Time on Vendor Item From Text File
Update Mfg Cost Accounts from Mfg Item Class Setup
Create Macro to Delete Items
Update Item Resource Planning on Item Quantity Master from Text File
Update Item Engineering File from a Text File
Insert Mfg BOMs from Text File
Insert Manufacturing Routings from Text File
Return Top Level BOM for Manufacturing Orders
Simple RMA Audit
Allow Workflow Originator to be an Approver
Change Web Service URi
Prefix Companies Names with System Designator
Purchased Items With Serial Numbers and Linked Sales Transactions
Script to Set Transactions as Included on VAT Daybook Return
Get Alpha Characters from an Alphanumeric String
Get Numeric Characters from an Alphanumeric String
Select Next Temporary Creditor ID
Compare Ship To Address on Work Sales Trx Against Customer
Update Ship To Name on Work Sales Transactions to Match the Customer Name
Table Function to Split String on Delimiter
Payment Run Apply Query
Remove Multicurrency from Sales Transactions
Delete Corrupt Extended Pricing Data
Insert Extended Pricing Price Sheet Header
Insert Extended Pricing Price Sheet UofM Work
Insert Extended Pricing Price Sheet Assignments
Update Item Replenishment Method for Manufacturing
Round Extended Pricing Price Sheet Item Value
Select Duplicate Extended Pricing Price Sheet Work Records
Check for Corrupt Extended Pricing Records
Return Items with Incorrect Quantities
List of PM Invoices for Vendors with POs
PO Commitment Detail
Custom Purchase Order Email Notification to Originator on Workflow Final Approval
Change Vendor Change Approvals Joins and Fields
Add Joins and Fields to PM Document Approval Notification Emails
SQL View to Return Quantity Available
SQL View to Return Category Linked to Segment 3 in COA
SQL View to Return Purchase Orders
SQL Script to Return PO Receipts
SQL View to Create Division Tree for Management Reporter
SQL View to Create Division, including UDF 3 and 4, Tree for Management Reporter
Select a List of Vendor Addresses
SQL View to Return PO Commitment Detail
SQL View to Return List of Posted Vendor Document Numbers
Verify PM Batches Exist
SQL Function To Return Approver
Insert Creditor Item Numbers
Change Email Notification Assignment
List Bank Accounts with Linked GL Accounts
Set Account Categories To User-Defined Field 2
Check Posting Type for Account (Segment 2)/Account Category Combinations
List Tax Detail Transactions

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