Level Extreme platform
Subscription
Corporate profile
Products & Services
Support
Legal
Français
SQL Stumper of the week...
Message
From
23/05/2003 13:09:03
 
 
To
23/05/2003 11:44:32
General information
Forum:
Microsoft SQL Server
Category:
SQL syntax
Miscellaneous
Thread ID:
00791677
Message ID:
00792325
Views:
30
I'm not sure that you'd have to. If you used your query from below to create a derived table or a table variable with the following structure:

employeeid
taxRuleID
PTD
MTD
QTD
YTD

Then you could do your counts against this, ignoring the employees that have a zero total.

-Mike

>Yea, I think I see what you are getting too.
>
>But, I wanted to avoid 4 passes through the same records for each derived table. Isn't duplicating the FROM part of the query 4 times with different date ranges mean that SQL has to make 4 passes at the data or is it smart enough to do it all in one pass?
>
>Can you do a small example?
>
>BOb
>
>
>>What about calculating the wages per rule per period and then aggregating them into counts? You could do it with either a view or derived table.
>>
>>-Mike
>>
>>
>>>If it does, I don't see it.
>>>
>>>>Bob,
>>>>
>>>>I don't 100% understand what you're asking (might not be your wording, I'm really tired) but does the NULLIF() function help you here?
>>>>
>>>>-Mike
>>>>
>>>>>Ok Folks,
>>>>>
>>>>>Here a problem I need help with, I am sure you will all rise to the occasion as you usually do.
>>>>>
>>>>>I am trying to create a query that summerizes employee tax data by taxing entity. Each taxing entity has its own tax_rule_id. I am getting the data for our pay histories table, which has a master table py_ehmast and a child table of py_ehtax with all the tax records. Each mast record is a payroll transaction/check.
>>>>>
>>>>>I need to not only summarize the data for each tax_rule_id but I need the summary for an entered date range, then month-to date, quarter-to-date and year-to-date. The user enteres the date range and I determine the dates from that. Not a problem.
>>>>>
>>>>>I also need the count of employees that had taxable wages for the period specified. So, I have all this working, here is a simplified version of the query...
>>>>>
>>>>>
>>>>>SELECT
>>>>>tax_rule_id
>>>>>,count(distinct case when chkdate between @pdbegin and @pdend then ee_id else null end) count_pd
>>>>>,count(distinct case when chkdate between @mbegin and @mend then ee_id else null end) count_mtd
>>>>>,count(distinct case when chkdate between @qbegin and @qend then ee_id else null end) count_qtd
>>>>>,count(distinct ee_id) count_ytd
>>>>>FROM py_ehtax t
>>>>>JOIN py_ehmast m ON t.ehmast_id = m.ehmast_id
>>>>>WHERE m.chkdate BETWEEN @ybegin AND @yend
>>>>>
>>>>>
>>>>>Ok, all that works great. The problem is. We allow the user to do adjustments. What that does is put records with negative values into the py_eh???? files. So, the sum will come out to the correct amount.
>>>>>
>>>>>So, it should be possible that for an ee_id for a specic tax_rule_id the sum for any of the for time ranges could be zero. In that case, I don't want the ee_id included in the count.
>>>>>
>>>>>If you understand this, do you have any ideas how I could do this.
>>>>>
>>>>>I thought to add to the WHERE something like
>>>>>
>>>>>
>>>>>ee_id IN (SELECT ee_id, tax_rule_id, sum(tax_cur)
>>>>>FROM py_ehtax t1
>>>>>join py_ehmast m1 on t1.ehmast_id = m1.ehmast_id
>>>>>WHERE ee_id = m.ee_id
>>>>>     AND tax_rule_id = t.tax_rule_id
>>>>>GROUP by ee_id, tax_rule_id
>>>>>HAVING sum(tax_cur) > 0)
>>>>>
>>>>>
>>>>>But, that would only apply to the YTD part...
>>>>>
>>>>>Thanks,
>>>>>BOb
Michael Levy
MCSD, MCDBA
ma_levy@hotmail.com
Previous
Next
Reply
Map
View

Click here to load this message in the networking platform