package queries const OrderListBaseQuery = ` SELECT CAST(h.OrderHeaderID AS NVARCHAR(50)) AS OrderHeaderID, ISNULL(h.OrderNumber, '') AS OrderNumber, CONVERT(varchar, h.OrderDate, 23) AS OrderDate, ISNULL(h.CurrAccCode, '') AS CurrAccCode, ISNULL(ca.CurrAccDescription, '') AS CurrAccDescription, ISNULL(mt.AttributeDescription, '') AS MusteriTemsilcisi, ISNULL(py.AttributeDescription, '') AS Piyasa, CONVERT(varchar, h.CreditableConfirmedDate, 23) AS CreditableConfirmedDate, ISNULL(h.DocCurrencyCode, 'TRY') AS DocCurrencyCode, ISNULL(l.TotalAmount, 0) AS TotalAmount, CASE WHEN h.DocCurrencyCode = 'USD' THEN ISNULL(l.TotalAmount, 0) WHEN h.DocCurrencyCode = 'TRY' THEN ISNULL(l.TotalAmount, 0) / NULLIF(er.Rate, 1) ELSE 0 END AS TotalAmountUSD, ISNULL(h.IsCreditableConfirmed, 0) AS IsCreditableConfirmed, ISNULL(h.Description, '') AS Description, ISNULL(er.Rate, 1) AS ExchangeRateUSD FROM dbo.trOrderHeader h JOIN ( SELECT OrderHeaderID, SUM(Qty1 * Price) AS TotalAmount FROM dbo.trOrderLine GROUP BY OrderHeaderID ) l ON l.OrderHeaderID = h.OrderHeaderID LEFT JOIN dbo.cdCurrAccDesc ca ON ca.CurrAccCode = h.CurrAccCode AND ca.LangCode = 'TR' LEFT JOIN dbo.CustomerAttributes f ON f.CurrAccTypeCode = h.CurrAccTypeCode AND f.CurrAccCode = h.CurrAccCode LEFT JOIN dbo.cdCurrAccAttributeDesc mt ON mt.CurrAccTypeCode = f.CurrAccTypeCode AND mt.AttributeTypeCode = 2 AND mt.AttributeCode = f.CustomerAtt02 AND mt.LangCode = 'TR' LEFT JOIN dbo.cdCurrAccAttributeDesc py ON py.CurrAccTypeCode = f.CurrAccTypeCode AND py.AttributeTypeCode = 3 AND py.AttributeCode = f.CustomerAtt03 AND py.LangCode = 'TR' OUTER APPLY ( SELECT TOP 1 Rate FROM dbo.AllExchangeRates er WHERE er.CurrencyCode = 'USD' AND er.RelationCurrencyCode = 'TRY' AND er.ExchangeTypeCode = 6 AND er.Rate > 0 ORDER BY ABS(DATEDIFF(DAY, er.Date, GETDATE())) ) er WHERE ISNULL(h.IsCancelOrder, 0) = 0 AND h.OrderTypeCode = 1 AND h.ProcessCode = 'WS' AND h.IsClosed = 0 `