Dimension Member as Calculated Measure in MDX - sql-server

I need to get a dimension member returned as a calculated measure.
Given:
Dimensions
Customer {ACME, EMCA, Universal Imports, Universal Exports}
Salesperson {Bob, Fred, Mary, Joe}
Credit Type {Director, Manager}
Measures
Credited Value
Value
Relationships
The Customer is a dimension of the facts that contain Value
The Customer, Salesperson and Credit Type are dimensions of the facts that contain Credited Value
I am trying to do the following:
Create calculated measures that will return the Salesperson with the largest $s credited in a role for a customer. e.g.
| Customer | Director | Manager | Value |
|-------------------|----------|---------|-------|
| ACME | Bob | Fred | 500 |
| EMCA | Bob | Fred | 540 |
| Universal Imports | Mary | Joe | 1000 |
| Universal Exports | Mary | Fred | 33 |
ACME has Bob credited with 490 as Director
ACME has Fred credited with 500 as Manager
ACME has Mary credited with 10 as Director
I would like to use this as a calculated measure that I can use in any case where Customers are the ROW.

If I understand your problem correctly, something along this line should do the trick (of course you'd have to use the proper level, hierarchy and cube names):
with
member [Measures].[DirectorTemp] as topcount([Salesperson].[Salesperson].members,1,([Measures].[Credited Value],[Credit Type].[Director],[Customer].currentmember)).item(0).properties("Caption")
member [Measures].[Director] as iif([Measures].[DirectorTemp] = [Salesperson].UnknownMember.properties("caption"), null, [Measures].[DirectorTemp])
member [Measures].[ManagerTemp] as topcount([Salesperson].[Salesperson].members,1,([Measures].[Credited Value],[Credit Type].[Manager],[Customer].currentmember)).item(0).properties("Caption")
member [Measures].[Manager] as iif([Measures].[ManagerTemp] = [Salesperson].UnknownMember.properties("caption"), null, [Measures].[ManagerTemp])
select
{[Measures].[Director],[Measures].[Manager],[Measures].[Value]} on 0,
{[Customer].members} on 1
from MyCube

Related

is this a good practice for a database for products with multiple units,cost price & expiry dates

I a working on a database that is going to have a product with multiple expiration date, multiple cost prices and therefore there will multiple stock entries for the same product, I have made an initial database design for this and I wanted to ask you guys if this is a good practice or not. If not please advise me on how to do it the right way.
This is what I have thought about so far.
Creating 3 tables (1. Product_info - 2.Product_Stock - 3.units)
and below is the detailed structure:
Units Table
--------------------------
id Name
|------|
1 |Piece |
2 |Pack |
3 |Kilos |
Here I will list all the units that I will use as the base product unit.
Product Information Table
-----------------------------------------------------------------------------------------------------------------------
id Name AvgCostPrice AvgPrice AvgPackCostPrice AvgPackPrice totalQuantity BaseUnitID multiplier PackBarcode Barcode
|------|------------|--------|----------------|------------|-------------|----------|----------|------------|--------|
1 |Soda | | | | | 108 | 1 | 12 | 111111 | 111222 |
2 |Water | | | | | 50 | 1 | 6 | 222222 | 222111 |
in the above table the average cost price and selling price for the packs and piece will be calculated from the different stocks I have for the said product.
The multiplier column will be for how much pieces does a product pack hold.
The Total Quantity will hold the sum of different stock quantities I have in the (Product Stock Table) ,Also it will only sum the quantity for base unit of the product.
for example: if the base unit of soda is pack, then it will sum the (PackQTY) Column in (Product Stock Table). and if else it will sum (Quantity) in that table.
Product Stock Table
---------------------------------------------------------------------------------------------------------------------------
id ProdID UnitID CustomBarcode Quantity PackQTY CostPrice Price PackCostPrice PackPrice expDate Enabled
|------|-------|--------------|-------------|-------|----------|-------|--------------|---------|--------------|---------
1 |1 | 1 | | 84 | 7 | 2.0 | 2.4 | 24.0 | 29 | 20/may/2019 | 1
2 |1 | 1 | | 24 | 2 | 1.5 | 1.9 | 18.0 | 23 | 10/aug/2019 | 1
2 |2 | 3 | | 50 | 0 | 3.0 | 5.0 | 0.0 | 0 | 10/Feb/2019 | 1
1.The enabled column will work as a (Boolean) to determine whether to use this stock while selling.
for example: if I wanted to sell a soda Can and I have two Stocks for it. if stock number one is 0 then enable column will be false and therefore it will only subtract the quantity sold from stock number two and use its price and cost price in the (SalesDetails Table)
Custom Barcode Column will be used to separate stocks when having a discount on almost expired stock.
And I also thought of separating the different units for each product stock in (Stock Table)
So, when I want to sell 24 pieces of soda and 3 packs of soda it will choose the oldest stock depending on its (Enabled Column Value = True)and subtract that quantity from it and if it reaches zero then (Enabled column) Value will change to false.
after that it will go again and do the same but this time it will change the value of PackQtY from 7 to 4 and the Quantity Column Value will be calculated through this [ Product_Stock.Quantity= Product_Stock.Quantity - (QtySold * Prodcut_info.Multiplier Column Value) ] which will be 84-(3*12)= 48
And the sales details structure output will be like this:
Sale Details Table
----------------------------------------------------------
id ProdID UnitID Quantity CostPrice Price total CostTotal
|------|-------|-----------|-------------|-------|------|---------|
1 |1 | 1 | 24 | 2.0 | 2.4 | 57.6 | 48.0 |
2 |1 | 2 | 3 | 18.0 | 23.0 | 69.0 | 54.0 |
Product Stock Table (After Selling 24 pieces of Soda and 3 packs of Soda)
---------------------------------------------------------------------------------------------------------------------------
id ProdID UnitID CustomBarcode Quantity PackQTY CostPrice Price PackCostPrice PackPrice expDate Enabled
|------|-------|--------------|-------------|-------|----------|-------|--------------|---------|--------------|---------
1 |1 | 1 | | 48 | 4 | 2.0 | 2.4 | 24.0 | 29 | 20/may/2019 | 1
2 |1 | 1 | | 0 | 0 | 1.5 | 1.9 | 18.0 | 23 | 10/aug/2019 | 0
Sorry if I didn't explain it very well.
Thank you very much in advance.
Firstly, you need to be careful about how you use nouns.
For example: "Price" does not mean the same as "Cost" and "CostPrice" sounds like an oxymoron. I suggest that you restrict your yourself to using either Cost or Price.
Van Ng asks if you have done an Entity Relationship diagram. Well, at the stage that you seem to be at, it is probably unwise to start with an ER diagram because an ER diagram is helpful as a summary of a model that you have already defined - and you are not yet at that stage.
Averages: If you design your database schema correctly then you can calculate data such as averages. You don't need averages as base tables.
I recommend that you consider using the fact-based modeling method called "object-role modeling"(ORM) because you can start with "the facts" before thinking about drawing ER diagrams.
Example:
I used the NORMA ORM tool to create the following example:
First, I read your text, extracted facts and then used the facts to design an object-role model.
Then I used the NORMA tool to generate a "logical view" of the object-role model. (happens in milliseconds)
I did not add everything that you mention but I hope that this will be enough to help you to make progress.
The example contains two artefacts:
1: The logical model that was generated by the NORMA tool.
2: The facts from which the logical model was generated.
[

SSRS 'where clause'

I've got a table that contains sales information for several companies. Each sales transaction the company makes is stored in the table, and the week of the year (1-52) that the sale took place within is stored also. Here's a small example of the database table that I'm querying to produce the SSRS report.
|---------------------|------------------|------------------|
| Company | Week |Sales_Transaction |
|---------------------|------------------|------------------|
| Alpha | 20 | 1.00 |
|---------------------|------------------|------------------|
| Alpha | 20 | 2.00 |
|---------------------|------------------|------------------|
| Beta | 20 | 9.00 |
|---------------------|------------------|------------------|
| Alpha | 21 | 5.00 |
|---------------------|------------------|------------------|
| Coolbeans | 21 | 5.50 |
|---------------------|------------------|------------------|
| Alpha | 22 | 2.00 |
|---------------------|------------------|------------------|
| Alpha | 22 | 2.00 |
|---------------------|------------------|------------------|
| Coolbeans | 22 | 3.00 |
|---------------------|------------------|------------------|
I have a matrix with a row group which produces a line in the matrix for each company. The matrix has 52 additional columns for each week of the year. Here's a condensed version of the matrix and data I want to see.
|--------------|---------------|----------------|----------------|
| Company | # Sales Wk 20 | # Sales Wk 21 | # Sales Wk 22 |
|--------------|---------------|----------------|----------------|
| Alpha | 2 | 1 | 2 |
|--------------|---------------|----------------|----------------|
| Beta | 1 | 0 | 0 |
|--------------|---------------|----------------|----------------|
| Coolbeans | 0 | 1 | 1 |
|--------------|---------------|----------------|----------------|
To count the number of sales transactions for each week for each company, I'm using this expression like this for each column:
=Count(IIF(Fields!Sales_Week_Number.Value = "20", Fields!Sales.Value, 0))
Using the example expression above which I'm placing in the # Sales Wk 20 matrix column, the problem is that instead of counting ONLY the transactions that occurred in week 20, it counts transactions for all weeks for the company. The result is that in column # Sales Wk 20, it shows a 5 for Alpha, a 1 for Beta, and a 2 for Coolbeans.
What do I need to do to make it only count the sales transaction from the specific week?
Side Note: Regarding the 52 columns for each week of the year, I intentionally did not use a column group for this b/c I need to do some other calculations/comparisons with another matrix which doesn't play nice when column groups are used. I did, however, use a row group for the companies.
Your expression should use SUM instead of count
=SUM(IIF(Fields!Sales_Transaction.Value=0,0,1))
I think you may be going down the wrong path here. Since your using a matrix in SSRS, then the easiest way is to make SSRS handle the separation for you rather than building a WHERE.
Try just adding =CountRows() as part of your formula, and ssrs handles the grouping for you. I'll check the format of the command when I'm on-line properly not on my phone.
Use this expression in your matrix's value column -
=IIf((Fields!Sales_Transaction.Value)>0,Count(Fields!Sales_Transaction.Value),0);

Transforming to 3NF

I need to reduce a model DB to 3NF. However there is a column in the data thats very ambiguous.
So the database has the following columns. (Apologies for formatting, I did try)
Employer ID | ContractNo | Hours | emp Name | workNo | workLocation
--
123 | A1 | 10 | J Smith | W36 | New York
124 | A1 | 7 | P Jones | W36 | New York
125 | A2 | 9 | R Lewis | W37 | Los Angeles
123 | A2 | 9 | J Smith | W37 | Los Angeles
Each employee has a unique ID, an employee can work at more than 1 location and each location has a unique workNo. I'm just a bit stuck on where to include the ContractNo. There is no indication in the question of what it actually is for.
So my first step was splitting it up into a table with EmployerID, employee Name and hours. And a second table with WorkNo, WorkLocation. But what do I make of that bloody ContractNo?
I expect the contract is likely a separate entity, capturing the nature of the relationship between contractor and contractee.
Image from QuickDBD, where I work.

Using Data from One Table in Another Table in Access

Hallo StackOverflow Users
I am struggling with transferring values between Access database tables which I will use in a Delphi program to tally election votes and determine the winning candidates. I have a total of six tables. One is my overall table, tblCandidates which identifies each candidate and contains the amount of votes they received from each party, namely the Grade Heads, the Teachers and the Learners. When it comes to the Learners we have four participating grades, namely the grade 8’s, 9’s, 10’s and 11’s, and each grade again has multiple participating classes, namely class A, B, C, etc.
Now, I have set up tables for each grade that contains all the classes in that grade. I named these tables tblGrX with X being the grade represented by 8 through 11. Each one of these tables has two extra fields, namely a field to identify a candidate and a field that will add up all the votes that candidate received from each of the classes in that grade. Lastly I have another table, tblGrTotals with fields Total_GrX (once again with X being the grade), that will contain all the total votes a candidate received from each grade, adding them up in another field for my tblCandidates table to use in its Total_Learners field.
So in short, I want, for example, tblGrTotals to use the value in the field Total of tblGr8 in its Total_Gr8 field, and then tblCandidates to use the value in field Total of tblGrTotals in its Total_Learners field. Is there any way to keep these values updated between tables like cells are updated in Excel the moment a change is made?
Thank you in advance!
You need to rethink your table design. I guess your background is Excel, and your tables are laid out like you would do in Excel sheets, but a relational database works differently.
Think about the objects you are modelling.
Candidates - that's easy. ID, Name, perhaps additional info that belongs to each candidate. But nothing about votes here.
"Groups that are voting" or Parties. Not so trivial, due to the different types of parties. Still I would put them in one table, with Grade and Class only set for Learners, NULL for Heads and Teachers.
e.g.
+----------+------------+-------+-------+
| Party_ID | Party_Type | Grade | Class |
+----------+------------+-------+-------+
| 1 | Head | | |
| 2 | Teacher | | |
| 3 | Learner | 8 | A |
| 4 | Learner | 8 | B |
| 5 | Learner | 8 | C |
| 6 | Learner | 9 | A |
| 7 | Learner | 9 | B |
| 8 | Learner | 10 | A |
+----------+------------+-------+-------+
Votes: they are a Junction Table between Candidates and Parties.
e.g.
+----------+--------------+-----------+
| Party_ID | Candidate_ID | Num_Votes |
+----------+--------------+-----------+
| 1 | 1 | 5 |
| 1 | 2 | 17 |
| 3 | 1 | 2 |
| 3 | 2 | 6 |
| 3 | 3 | 10 |
+----------+--------------+-----------+
Now: if you want to know the votes of Class 8A:
SELECT Candidate_ID, SUM(Num_Votes)
FROM Parties p INNER JOIN Votes v
ON p.Party_ID = v.Party_ID
WHERE p.Party_Type = 'Learner'
AND p.Grade = 8
AND p.Class = 'A'
GROUP BY Candidate_ID
Or of all Grade 8? Simply omit the p.Class criteria.
For the votes per candidate you join Candidates with Votes.
Edit:
for the votes counting differently, this is an attribute of Party_Type.
We don't have a table for them yet, so create one:
+------------+---------------+
| Party_Type | Multiplicator |
+------------+---------------+
| Head | 4 |
| Teacher | 3 |
| Learner | 1 |
+------------+---------------+
and to count all votes:
SELECT c.Candidate_ID, c.Candidate_Name, SUM(v.Num_Votes * t.Multiplicator) AS SumVotes
FROM Parties p
INNER JOIN Votes v ON p.Party_ID = v.Party_ID
INNER JOIN Party_Types t ON p.Party_Type = t.Party_Type
INNER JOIN Candidates c ON v.Candidate_ID = c.Candidate_ID
GROUP BY c.Candidate_ID, c.Candidate_Name
With a design like this, you don't need to keep updating data from one table into another - you calculate it when and how you need it, and it's always current.
The magic of databases. :)

Ingredients for drink new table or string in column?

I am thinking about my application and I want to store data about drinks. Now I am thinking what is best that if I save ingredients just as nvarchar column in table with drink or if I create new table with ingredients and create relationship one to many? I want database to be just read-only and I want to have option filter by ingredients. So what´s best way for windows phone (for performance)? And if the new table would be the better choice, I should use EntitySet, EntityRef, am I right? And I would have for every ingredient new row in table? Let´s say I have 100drinks, in average that every drink has 4ingredients so I have in first table 100rows and in second cca 400rows? Thanks for help
Actually, both solutions proposed are wrong. A drink can have many ingredients and an ingredient can be used in many drinks. Hence, we have a many-to-many relationship here. The proper way to model this is the following (I'm adding data for it to be more understandable):
Ingredients (PK: Id)
+----+--------------------+
| Id | Name |
+----+--------------------+
| 1 | Water |
| 2 | Sugar |
| 3 | Coffe |
| 4 | Virgin Islands Tea |
| 5 | Ice |
+----+--------------------+
Drinks (PK: Id)
+----+-------------+
| Id | Name |
+----+-------------+
| 1 | Black Coffe |
| 2 | Tea |
| 3 | Ice Tea |
+----+-------------+
Drinks_Ingredients (PK: Drink_Id, Ingredient_Id)
+----------+---------------+------------+
| Drink_Id | Ingredient_Id | Proportion |
+----------+---------------+------------+
| 1 | 1 | 70 |
| 1 | 2 | 10 |
| 1 | 3 | 20 |
| 2 | 1 | 90 |
| 2 | 4 | 10 |
| 3 | 1 | 80 |
| 3 | 4 | 10 |
| 3 | 5 | 10 |
+----------+---------------+------------+
I'm adding this Proportion column to show you how to add data that is dependant on the pair of drink-ingredient. Now, if you're worried about the size of the tables it'll be quite small as the only tables that will have the more complex data types (varchars) will be the ingredients and drinks tables, which will have the minimum amount of records possible: one per each drink and one per each ingredient.
If you still have doubts keep looking at the example, you'll get it :)
I would do a table for ingredients with a description and an id, and store the ids in the drink table cause it's the elegant way to do it. For 100 drinks, you won't see a difference for the performance.

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