create view vi_actual_fund_plan as SELECT LCI.ID AS ID, LCI.CONTRACT_NUMBER AS CONTRACT_NUMBER, LCI.PRODUCT_ID AS PRODUCT_ID, PSL.PAYTYPE AS PAYTYPE, LUL.CUSTOMER_NAME AS CUSTOMER_NAME, LFI.ID AS PLAN_ID, LFI.PAYMENT_NUMBER AS PAYMENT_NUMBER, (CASE WHEN (DR.ISRENTER = 'Y') THEN LUL.CUSTOMER_NAME ELSE DI.DISTRIBUTOR_NAME END) AS OBJECTNAME, LFI.SETTLE_METHOD AS SETTLE_METHOD, LFI.FACT_MONEY AS FACT_MONEY, LFI.FACT_DATE AS FACT_DATE, UI.USERNAME AS USERNAME, OI.ORGNAME AS ORGNAME, LCIOI.ORGNAME AS CHANNEL_NAME, LFI.BANK AS BANK, LFI.ACCOUNT AS ACCOUNT, LFI.FACT_OBJECT AS FACT_OBJECT, LFI.ACC_NUMBER AS ACC_NUMBER, DA.OPEN_BANK AS CLIENT_BANK, DA.ACCOUNT AS CLIENT_ACCOUNT, DA.ACC_NUMBER AS CLIENT_ACCNUMBER, LCI.PROJECT_ID AS PROJECT_ID, ( SELECT sum(`nvl`(VLFP.OVERMONEY, 0)) FROM APZL.VI_LC_FUND_PLAN VLFP WHERE (VLFP.CONTRACT_ID = LCI.ID) ) AS OVERMONEY FROM ((((((((((APZL.LB_CONTRACT_INFO LCI LEFT JOIN APZL.PRD_SPECIFIC_LIBRARY PSL ON ((convert(LCI.PRODUCT_ID USING UTF8) = PSL.PRODUCTID))) LEFT JOIN APZL.LB_UNION_LESSEE LUL ON (((LUL.CONTRACT_ID = LCI.ID) AND (LUL.IS_MAIN = 'Y')))) LEFT JOIN APZL.LC_FUND_INCOME LFI ON (( (LFI.CONTRACT_ID = LCI.ID) AND (LFI.FEE_TYPE = 'feetype10') AND (LFI.SETTLE_METHOD <> 'settlemethod11')))) LEFT JOIN APZL.DISTRIBUTOR_RECEIVABLES DR ON ((DR.CONTRACT_ID = LCI.ID))) LEFT JOIN APZL.DISTRIBUTOR_INFO DI ON (((DI.ID = LFI.FACT_OBJECT) AND ((CASE WHEN (DR.ISRENTER = 'Y') THEN 2 ELSE 1 END) = 1)))) LEFT JOIN APZL.CUSTOMER_INFO CI ON (( (CI.CUSTOMERID = LFI.FACT_OBJECT) AND ((CASE WHEN (DR.ISRENTER = 'Y') THEN 2 ELSE 1 END) = 2)))) LEFT JOIN APZL.USER_INFO UI ON ((UI.USERID = LFI.APPLY_PERSON))) LEFT JOIN APZL.ORG_INFO OI ON ((OI.ORGID = LFI.APPLY_DEPT))) LEFT JOIN APZL.ORG_INFO LCIOI ON ((LCIOI.ORGID = LCI.INPUTORGID))) LEFT JOIN APZL.DISTRIBUTOR_ACCOUNT DA ON ((if(isnull(LFI.DISTRIBUTOR_ID), LCI.DISTRIBUTOR_ID, LFI.DISTRIBUTOR_ID) = DA.DISTRIBUTOR_ID))) WHERE ((LCI.CONTRACT_STATUS = '21') AND (LCI.BUSINESSTYPE = '1') AND (LFI.PAY_STATUS = 'apply_pass') AND (DA.IS_MAIN = 'Y') AND (NOT (exists(SELECT 1 FROM APZL.LC_FUND_INCOME_TEMP WHERE ((APZL.LC_FUND_INCOME_TEMP.PLAN_ID = LFI.PLAN_ID) AND (APZL.LC_FUND_INCOME_TEMP.IS_FLOWING = '0')))))); -- comment on column vi_actual_fund_plan.id not supported: 编号 -- comment on column vi_actual_fund_plan.contract_number not supported: 业务合同号 -- comment on column vi_actual_fund_plan.product_id not supported: 产品ID -- comment on column vi_actual_fund_plan.payType not supported: 放款方式 -- comment on column vi_actual_fund_plan.customer_name not supported: 承租人名称 -- comment on column vi_actual_fund_plan.plan_id not supported: 标识 -- comment on column vi_actual_fund_plan.payment_number not supported: 投放编号 -- comment on column vi_actual_fund_plan.settle_method not supported: 结算方式 -- comment on column vi_actual_fund_plan.fact_money not supported: 收支金额 -- comment on column vi_actual_fund_plan.fact_date not supported: 收支日期 -- comment on column vi_actual_fund_plan.username not supported: 用户姓名 -- comment on column vi_actual_fund_plan.orgname not supported: 机构名称 -- comment on column vi_actual_fund_plan.channel_name not supported: 机构名称 -- comment on column vi_actual_fund_plan.bank not supported: 银行名称 -- comment on column vi_actual_fund_plan.ACCOUNT not supported: 帐户名称 -- comment on column vi_actual_fund_plan.FACT_OBJECT not supported: 收支对象 -- comment on column vi_actual_fund_plan.ACC_NUMBER not supported: 银行帐号 -- comment on column vi_actual_fund_plan.CLIENT_BANK not supported: 开户银行 -- comment on column vi_actual_fund_plan.CLIENT_ACCOUNT not supported: 账户名称 -- comment on column vi_actual_fund_plan.CLIENT_ACCNUMBER not supported: 银行帐号 -- comment on column vi_actual_fund_plan.project_id not supported: 项目编号