using System; using System.Collections.Generic; using System.ComponentModel; using System.Linq; using System.Text; using System.Threading.Tasks; using Kingdee.BOS; using Kingdee.BOS.App.Data; using Kingdee.BOS.Contracts; using Kingdee.BOS.Contracts.Report; using Kingdee.BOS.Core.Metadata; using Kingdee.BOS.Core.Report; using Kingdee.BOS.Core.SqlBuilder; using Kingdee.BOS.Orm.DataEntity; using Kingdee.BOS.Util; namespace GZ_LTHReportForms.YingShouBaoBiao { [Description("应收情况概况表按(合同性质)区分"), HotUpdate] public class YingShouHTXZ : SysReportBaseService { //对报表进行初始化 public override void Initialize() { base.Initialize(); //设置报表类型为普通类型 this.ReportProperty.ReportType = ReportType.REPORTTYPE_NORMAL; //设置是否通过插件创建临时表 this.IsCreateTempTableByPlugin = true; //设置是否分组汇总 this.ReportProperty.IsGroupSummary = true; } //获取过滤条件信息(构造单据信息) public override ReportTitles GetReportTitles(IRptParams filter) { //创建标题对象 ReportTitles reportTitles = new ReportTitles(); //获取自定义过滤条件 DynamicObject customFilter = filter.FilterParameter.CustomFilter; if (customFilter != null) { //获取组织名称 string multiOrgnNameValues = this.GetMultiOrgnNameValues(customFilter["F_YKQC_OrgId_qtr"] as DynamicObject); //添加标题 reportTitles.AddTitle("F_YKQC_OrgId_qtr", multiOrgnNameValues); } //返回标题 return reportTitles; } //获取组织名称 private string GetMultiOrgnNameValues(DynamicObject orgIdStrings) { //获取组织名称 List list = new List(); //初始化结果字符串 string result = string.Empty; //如果组织ID字符串不为空 if (orgIdStrings != null) { //获取查询服务 IQueryService service = Kingdee.BOS.Contracts.ServiceFactory.GetService(base.Context); //创建查询参数 QueryBuilderParemeter para = new QueryBuilderParemeter { FormId = "ORG_Organizations", //查询组织名称 SelectItems = SelectorItemInfo.CreateItems("FNAME"), //过滤条件,根据组织ID和区域ID FilterClauseWihtKey = string.Format("FORGID IN ({0}) AND FLOCALEID = {1}", orgIdStrings["Id"].Long2Int(), base.Context.UserLocale.LCID) }; //获取动态对象集合 DynamicObjectCollection dynamicObjects = service.GetDynamicObjectCollection(base.Context, para, null); //遍历获取到的动态对象 foreach (DynamicObject current in dynamicObjects) { //将组织名称添加到列表 list.Add(current["FNAME"].ToString()); } //如果列表不为空 if (list.Count > 0) { result = string.Join(",", list.ToArray()); } } //返回组织名称字符串 return result; } //设置单据列 public override ReportHeader GetReportHeaders(IRptParams filter) { //创建表头对象 ReportHeader header = new ReportHeader(); //获取上一年十二月 DateTime lastYearDecember = new DateTime(DateTime.Now.Year - 1, 12, 1); string formattedDate = lastYearDecember.ToString("yyyy-MM"); //获取当前月份 DateTime thisYearDecember = DateTime.Now; string thisDate = thisYearDecember.ToString("yyyy-MM"); header.AddChild("FHTXZ", new LocaleValue("合同性质", this.Context.UserLocale.LCID), SqlStorageType.Sqlvarchar).ColIndex = 0; header.AddChild("FJSLX", new LocaleValue("结算类型", this.Context.UserLocale.LCID), SqlStorageType.Sqlvarchar).ColIndex = 1; var header1 = header.AddChild(formattedDate + "情况", new LocaleValue(formattedDate + "情况")); header1.AddChild("期初已出货欠款汇总", new LocaleValue("期初已出货欠款汇总", this.Context.UserLocale.LCID), SqlStorageType.Sqlvarchar); header1.AddChild("期初已到期欠款", new LocaleValue("期初已到期欠款", this.Context.UserLocale.LCID), SqlStorageType.Sqlvarchar); var header2 = header.AddChild(thisDate + "情况", new LocaleValue(thisDate + "情况")); header2.AddChild("本月已出货欠款汇总", new LocaleValue("本月已出货欠款汇总", this.Context.UserLocale.LCID), SqlStorageType.Sqlvarchar); header2.AddChild("本月已到期欠款", new LocaleValue("本月已到期欠款", this.Context.UserLocale.LCID), SqlStorageType.Sqlvarchar); var header3 = header.AddChild("变化", new LocaleValue("变化")); header3.AddChild("已出货欠款汇总", new LocaleValue("已出货欠款汇总", this.Context.UserLocale.LCID), SqlStorageType.Sqlvarchar); header3.AddChild("已到期欠款", new LocaleValue("已到期欠款", this.Context.UserLocale.LCID), SqlStorageType.Sqlvarchar); foreach (var item in header.GetChilds()) { item.Width = 200; } return header; } //创建临时表 public override void BuilderReportSqlAndTempTable(IRptParams filter, string tableName) { //获取过滤条件 string Filter = GetFilterWhere(filter); string sql = string.Format(@"/*dialect*/ DECLARE @ThisDate VARCHAR(1000); DECLARE @ResultDate VARCHAR(1000); -- 取上一年的年底日期 SET @ResultDate = FORMAT(DATEADD(DAY, -1, DATEADD(YEAR, DATEDIFF(YEAR, 0, GETDATE()), 0)),'yyyy-MM-dd'); --取当前日期 SET @ThisDate = FORMAT(GETDATE(),'yyyy-MM-dd') SELECT W.*,x.FNAME into #RecCond FROM T_SAL_ORDERPLAN W INNER JOIN T_BD_RecCondition_L X on X.FID = W.F_RecConditionId SELECT D.FID,sum(b.fqty) AS 'FQTY',sum(E.fallamount) AS 'FAMOUNT' INTO #SAL FROM T_SAL_DELIVERYNOTICE A INNER JOIN T_SAL_DELIVERYNOTICEENTRY B ON A.FID = B.FID INNER JOIN T_SAL_DELIVERYNOTICEENTRY_F E ON E.FENTRYID = B.FENTRYID INNER JOIN T_SAL_DELIVERYNOTICEENTRY_LK C ON C.FENTRYID = B.FENTRYID INNER JOIN T_SAL_ORDERENTRY D ON D.FID = C.FSBILLID AND D.FENTRYID = C.FSID WHERE A.FDOCUMENTSTATUS= 'C' GROUP BY D.FID SELECT D.FID,sum(b.fqty) AS 'FQTY',sum(E.fallamount) AS 'FAMOUNT' INTO #RETURN FROM T_SAL_RETURNNOTICE A INNER JOIN T_SAL_RETURNNOTICEENTRY B ON A.FID = B.FID INNER JOIN T_SAL_RETURNNOTICEENTRY_F E ON E.FENTRYID = B.FENTRYID INNER JOIN T_SAL_RETURNNOTICEENTRY_LK C ON C.FENTRYID = B.FENTRYID INNER JOIN T_SAL_ORDERENTRY D ON D.FID = C.FSBILLID AND D.FENTRYID = C.FSID WHERE A.FDOCUMENTSTATUS= 'C' GROUP BY D.FID SELECT F.FID,sum(b.FREALQTY) AS 'FQTY',sum(G.FALLAMOUNT_LC) AS 'FAMOUNT' INTO #OUTSTOCK FROM T_SAL_OUTSTOCK A INNER JOIN T_SAL_OUTSTOCKENTRY B ON A.FID = B.FID INNER JOIN T_SAL_OUTSTOCKENTRY_F G ON G.FENTRYID = B.FENTRYID INNER JOIN T_SAL_OUTSTOCKENTRY_LK C ON C.FENTRYID = B.FENTRYID INNER JOIN T_SAL_DELIVERYNOTICEENTRY D ON D.FID = C.FSBILLID AND D.FENTRYID = C.FSID INNER JOIN T_SAL_DELIVERYNOTICEENTRY_LK E ON E.FENTRYID = D.FENTRYID INNER JOIN T_SAL_ORDERENTRY F ON F.FID = E.FSBILLID AND F.FENTRYID = E.FSID WHERE A.FDOCUMENTSTATUS= 'C' GROUP BY F.FID SELECT F.FID,sum(b.FREALQTY) AS 'FQTY',sum(G.FALLAMOUNT_LC) AS 'FAMOUNT' INTO #RETURNSTOCK FROM T_SAL_RETURNSTOCK A INNER JOIN T_SAL_RETURNSTOCKENTRY B ON A.FID = B.FID INNER JOIN T_SAL_RETURNSTOCKENTRY_F G ON G.FENTRYID = B.FENTRYID INNER JOIN T_SAL_RETURNSTOCKENTRY_LK C ON C.FENTRYID = B.FENTRYID INNER JOIN T_SAL_RETURNNOTICEENTRY D ON D.FID = C.FSBILLID AND D.FENTRYID = C.FSID INNER JOIN T_SAL_RETURNNOTICEENTRY_LK E ON E.FENTRYID = D.FENTRYID INNER JOIN T_SAL_ORDERENTRY F ON F.FID = E.FSBILLID AND F.FENTRYID = E.FSID WHERE A.FDOCUMENTSTATUS= 'C' GROUP BY F.FID SELECT b.FORDERENTRYID as 'FENTRYID',sum(b.FPriceQty) AS 'FQTY',sum(b.FALLAMOUNT) AS 'FAMOUNT' INTO #RECE FROM t_AR_receivable A INNER JOIN t_AR_receivableENTRY B ON A.FID = B.FID WHERE A.FDOCUMENTSTATUS= 'C' GROUP BY b.FORDERENTRYID SELECT S.FCAPTION AS '合同性质', CASE WHEN S.FCAPTION = '仪表' AND a.F_XMYSSJ <> '' then '项目已做完,回部分款' WHEN S.FCAPTION = '仪表' AND a.F_XMYSSJ = '' then '项目未完工,欠款合同' WHEN S.FCAPTION <> '仪表' AND y.FID is not null then '款到发货' WHEN S.FCAPTION <> '仪表' AND z.FID is not null then '协议付款' ELSE '预收款+到货/调试款+质保金' END AS '结算类型', 0 AS '期初已出货欠款汇总', CASE WHEN ROW_NUMBER() OVER (PARTITION BY A.Fid,n.FSaleId,X.FNAME ORDER BY n.FSaleId,X.FNAME) != 1 THEN null WHEN X.FNAME in ('预付款(仪表)','预付款(系统)') THEN null WHEN X.FNAME in ('货到收款(仪表)','货到收款(系统)') AND DATEADD(day, W.F_DAY, CK.F_SFSIGNATURETIME) < @ResultDate AND W.FRECADVANCERATE = 100 THEN ISNULL(Q.累计发货金额,0)-ISNULL(v.累计退货金额,0) WHEN X.FNAME in ('货到收款(仪表)','货到收款(系统)') AND DATEADD(day, W.F_DAY, CK.F_SFSIGNATURETIME) < @ResultDate THEN ISNULL(W.F_MBBA_Decimal_uky,0) WHEN X.FNAME in ('货到票到收款(系统)','货到票到收款(仪表)') AND DATEADD(day, W.F_DAY,FP.F_DATE) < @ResultDate AND W.FRECADVANCERATE = 100 THEN ISNULL(Q.累计发货金额,0)-ISNULL(v.累计退货金额,0) WHEN X.FNAME in ('货到票到收款(系统)','货到票到收款(仪表)') AND DATEADD(day, W.F_DAY,FP.F_DATE) < @ResultDate THEN ISNULL(W.F_MBBA_Decimal_uky,0) WHEN X.FNAME in ('款到发货(仪表)','款到发货(系统)') AND DATEADD(day, W.F_DAY,Q.发货日期) < @ResultDate AND W.FRECADVANCERATE = 100 THEN ISNULL(Q.累计发货金额,0)-ISNULL(v.累计退货金额,0) WHEN X.FNAME in ('款到发货(仪表)','款到发货(系统)') AND DATEADD(day, W.F_DAY,Q.发货日期) < @ResultDate THEN ISNULL(W.F_MBBA_Decimal_uky,0) ELSE null--款到发货(仪表) END AS '期初已到期欠款', 0 AS '本月已出货欠款汇总', CASE WHEN ROW_NUMBER() OVER (PARTITION BY A.Fid,n.FSaleId,X.FNAME ORDER BY n.FSaleId,X.FNAME) != 1 THEN null WHEN X.FNAME in ('预付款(仪表)','预付款(系统)') THEN null WHEN X.FNAME in ('货到收款(仪表)','货到收款(系统)') AND DATEADD(day, W.F_DAY, CK.F_SFSIGNATURETIME) < @ThisDate AND W.FRECADVANCERATE = 100 THEN ISNULL(Q.累计发货金额,0)-ISNULL(v.累计退货金额,0) WHEN X.FNAME in ('货到收款(仪表)','货到收款(系统)') AND DATEADD(day, W.F_DAY, CK.F_SFSIGNATURETIME) < @ThisDate THEN ISNULL(W.F_MBBA_Decimal_uky,0) WHEN X.FNAME in ('货到票到收款(系统)','货到票到收款(仪表)') AND DATEADD(day, W.F_DAY,FP.F_DATE) < @ThisDate AND W.FRECADVANCERATE = 100 THEN ISNULL(Q.累计发货金额,0)-ISNULL(v.累计退货金额,0) WHEN X.FNAME in ('货到票到收款(系统)','货到票到收款(仪表)') AND DATEADD(day, W.F_DAY,FP.F_DATE) < @ThisDate THEN ISNULL(W.F_MBBA_Decimal_uky,0) WHEN X.FNAME in ('款到发货(仪表)','款到发货(系统)') AND DATEADD(day, W.F_DAY,Q.发货日期) < @ThisDate AND W.FRECADVANCERATE = 100 THEN ISNULL(Q.累计发货金额,0)-ISNULL(v.累计退货金额,0) WHEN X.FNAME in ('款到发货(仪表)','款到发货(系统)') AND DATEADD(day, W.F_DAY,Q.发货日期) < @ThisDate THEN ISNULL(W.F_MBBA_Decimal_uky,0) ELSE null--款到发货(仪表) END AS '本月已到期欠款' INTO #TEMP1 FROM T_SAL_ORDER A --销售订单表头 LEFT JOIN (Select a2.FENTRYID,a2.FDATAVALUE From T_BAS_ASSISTANTDATAENTRY a1 JOIN T_BAS_ASSISTANTDATAENTRY_L a2 on a1.FENTRYID = a2.FENTRYID Where a1.FID = '670cc977263353') B on A.F_ORDERCATEGORY = B.FENTRYID --INNER JOIN T_SAL_orderentry b on a.FID = B.FID --销售订单表体 INNER JOIN T_BD_CUSTOMER_L C ON C.FCUSTID= A.FCUSTID AND C.FLOCALEID= 2052 --客户附属表 INNER JOIN T_SAL_ORDERFIN F ON F.FID = A.FID INNER JOIN T_BD_CUSTOMER I ON I .FCUSTID = A.FCUSTID INNER JOIN T_SAL_ORDERFIN J ON J.FID= A.FID LEFT JOIN T_BAS_PREBDONE_L G ON G.FID = A.F_projectname AND G.FLocaleID =2052 LEFT JOIN T_BAS_PREBDTHREE H ON H.FID = A.F_BON lEFT JOIN V_ASSISTANTDATA K ON K.FENTRYID = I.FCompanyNature lEFT JOIN V_BD_SALESMAN_L L ON L.fid = A.FSALERID left JOIN T_PerformanceSharing M ON M.FSOURCEBILLNO = A.FBILLNO left JOIN T_PerformanceSharingEntry N ON N.FID=M.FID LEFT JOIN V_BD_SALESMAN_L O ON O.fid= N.FSALEID LEFT JOIN V_ASSISTANTDATA P ON P.FENTRYID = I.F_CREDITCLASSIFICATION LEFT JOIN T_SAL_OUTSTOCK CK on CK.F_CONTRACTNUMBER = A.F_CONTRACTNUMBER --销售出库单 LEFT JOIN T_IV_SALESIC FP on FP.F_PAPERNUMBER = A.F_CONTRACTNUMBER --销售增值税专用发票 LEFT JOIN ( SELECT F_Papercontract,MAX(CONVERT(NVARCHAR(10), A.FDATE,23)) AS '发货日期',SUM(B.FBILLALLAMOUNT_LC) AS '累计发货金额' FROM T_SAL_DELIVERYNOTICE A INNER JOIN T_SAL_DELIVERYNOTICEFIN B ON A.FID =B.FID WHERE A.FDOCUMENTSTATUS= 'C' GROUP BY A.F_Papercontract ) Q ON Q.F_PAPERCONTRACT = A.F_contractnumber --获取发货通知单最大的发货日期 LEFT JOIN T_META_FORMENUMITEM R ON r.FVALUE = A.F_OrderType AND R.FID = 'bc2c1d77-0f4b-41d2-b61b-e29554c570d4' LEFT JOIN T_META_FORMENUMITEM_L S ON S.FENUMID = R.FENUMID AND S.FLOCALEID = 2052 LEFT JOIN ( SELECT F_Paper ,CONVERT(NVARCHAR(10), MAX(FDATE),23) AS '开票日期',CONVERT(NVARCHAR(10), MAX(FDATE),23) AS '没有红色的开票日期' FROM t_AR_receivable A INNER JOIN T_AR_RECEIVABLEENTRY B ON A.FID = B.FID WHERE A.FDOCUMENTSTATUS = 'C' AND A.FCancelStatus = 'A' GROUP BY F_Paper ) T ON T.F_PAPER = A.F_contractnumber LEFT JOIN V_ASSISTANTDATA U ON U.FENTRYID = A.F_Ordercategory LEFT JOIN ( SELECT F_contractnumber,MAX(CONVERT(NVARCHAR(10), A.FDATE,23)) AS '退货日期',SUM(B.FBILLALLAMOUNT_LC) AS '累计退货金额' FROM T_SAL_RETURNSTOCK A INNER JOIN T_SAL_RETURNSTOCKFIN B ON A.FID =B.FID WHERE A.FDOCUMENTSTATUS= 'C' GROUP BY A.F_contractnumber ) V ON V.F_contractnumber = A.F_contractnumber --获取销售退货单 LEFT JOIN ERPTOHR.HYHRV3.dbo.v_erp_empinfo AC ON AC.名称=L.FNAME LEFT JOIN ERPTOHR.HYHRV3.dbo.v_erp_empinfo ACC ON ACC.名称=O.FNAME --LEFT JOIN temp20241206 AC ON AC.名称=L.FNAME --LEFT JOIN temp20241206 ACC ON ACC.名称=O.FNAME LEFT JOIN T_SAL_ORDERPLAN W ON W.FID= A.FID LEFT JOIN T_BD_RecCondition_L X on X.FID = W.F_RecConditionId LEFT JOIN #RecCond Y ON Y.FID =A.FID AND Y.FNAME LIKE '%质保金%' LEFT JOIN (select distinct fid from #RecCond Z where Z.FNAME LIKE '%款到%') z on z.fid =a.fid LEFT JOIN (select distinct fid from #RecCond AA where AA.FNAME LIKE '%协议%') AA on AA.fid =a.fid LEFT JOIN (SELECT distinct F_Papercontract FROM T_SAL_DELIVERYNOTICE WHERE F_SFYFH ='是') AB ON AB.F_PAPERCONTRACT = A.F_contractnumber LEFT JOIN ( SELECT F_Papercontract,CAST( sum(b.FALLAMOUNT) AS REAL) AS '发票总金额', CAST (sum(CASE WHEN F_Papercontract = 'Y' THEN b.FALLAMOUNT ELSE 0 END ) AS REAL) AS '发票总金额(普票存财务)' FROM t_AR_receivable A INNER JOIN T_AR_RECEIVABLEFIN B ON A.FID = B.FID GROUP BY F_Papercontract ) AD ON AD.F_PAPERCONTRACT = A.F_contractnumber LEFT JOIN ( SELECT a.F_Papercontract, avg(d.FCURWRITTENOFFAMOUNT) as '累计收款' FROM t_AR_receivable A INNER JOIN T_AR_RECEIVABLEENTRY E ON E.FID =A.FID INNER JOIN T_AR_RECMacthLogENTRY B ON A.FBILLNO = B.FSRCBILLNO INNER JOIN T_AR_RECMacthLog C ON C.FID = B.FID INNER JOIN T_AR_RECMacthLogENTRY D ON D.FID = B.FID AND D.FSOURCETYPE = '36cf265bd8c3452194ed9c83ec5e73d2' WHERE 1=1 group by a.F_Papercontract ) AE ON AE.F_Papercontract = A.F_contractnumber WHERE 1=1 AND A.FDOCUMENTSTATUS = 'C' AND B.FDATAVALUE != 'Z' AND ((F.FBILLALLAMOUNT_LC * isnull(n.FSHARERATE,100) /100)!=0) {1} ORDER BY A.F_contractnumber SELECT 合同性质 AS 合同性质2, 结算类型 AS 结算类型2, CONVERT(DECIMAL(10, 2),SUM(ISNULL(期初已出货欠款汇总, 0)),2) AS '期初已出货欠款汇总2', CONVERT(DECIMAL(10, 2),SUM(ISNULL(期初已到期欠款, 0)),2) AS '期初已到期欠款2', CONVERT(DECIMAL(10, 2),SUM(ISNULL(本月已出货欠款汇总, 0)),2) AS '本月已出货欠款汇总2', CONVERT(DECIMAL(10, 2),SUM(ISNULL(本月已到期欠款, 0)),2) AS '本月已到期欠款2', 0 AS '已出货欠款汇总', 0 AS '已到期欠款' INTO #TEMP2 FROM #TEMP1 GROUP BY 结算类型,合同性质 ORDER BY 结算类型,合同性质 DESC; ALTER TABLE #TEMP2 ALTER COLUMN 已出货欠款汇总 NUMERIC(10, 2); ALTER TABLE #TEMP2 ALTER COLUMN 已到期欠款 NUMERIC(10, 2); update #TEMP2 SET 已出货欠款汇总 = CONVERT(DECIMAL(10, 2),(本月已出货欠款汇总2 - 期初已出货欠款汇总2),2) update #TEMP2 SET 已到期欠款 = CONVERT(DECIMAL(10, 2),(本月已到期欠款2 - 期初已到期欠款2),2) SELECT ROW_NUMBER() OVER (ORDER BY B.合同性质2 DESC) AS FID, ROW_NUMBER() OVER (ORDER BY B.结算类型2 DESC) AS FIDENTITYID, B.合同性质2 AS 'FHTXZ', B.结算类型2 AS 'FJSLX', CASE WHEN B.期初已出货欠款汇总2 = 0 THEN null ELSE B.期初已出货欠款汇总2 END AS '期初已出货欠款汇总', CASE WHEN B.期初已到期欠款2 = 0 THEN null ELSE B.期初已到期欠款2 END AS '期初已到期欠款', CASE WHEN B.本月已出货欠款汇总2 = 0 THEN null ELSE B.本月已出货欠款汇总2 END AS '本月已出货欠款汇总', CASE WHEN B.本月已到期欠款2 = 0 THEN null ELSE B.本月已到期欠款2 END AS '本月已到期欠款', CASE WHEN B.已出货欠款汇总 = 0 THEN null ELSE B.已出货欠款汇总 END AS '已出货欠款汇总', CASE WHEN B.已到期欠款 = 0 THEN null ELSE B.已到期欠款 END AS '已到期欠款' INTO {0} FROM #TEMP1 A INNER JOIN #TEMP2 B ON A.结算类型 = B.结算类型2 GROUP BY B.合同性质2 ,B.结算类型2,B.期初已出货欠款汇总2,B.期初已到期欠款2,B.本月已出货欠款汇总2,B.本月已到期欠款2,B.已出货欠款汇总,B.已到期欠款 ORDER BY FID ", tableName, Filter); //执行SQL并动态创建报表 DBUtils.ExecuteDynamicObject(this.Context, sql); } //获取过滤条件 private string GetFilterWhere(IRptParams fileter) { //获取自定义过滤条件 DynamicObject customFilter = fileter.FilterParameter.CustomFilter; //创建字符串构建器 StringBuilder strwhere = new StringBuilder(); var orgFid = customFilter["F_YKQC_OrgId_qtr"] as DynamicObject; if (orgFid != null) { string org = string.IsNullOrWhiteSpace(customFilter["F_YKQC_OrgId_qtr"].ToString()) ? "" : string.Format("AND A.FSaleOrgId IN ({0})", orgFid["Id"].Long2Int()); //添加组织过滤条件 strwhere.AppendLine(org); } return strwhere.ToString(); } //添加合计列 public override List GetSummaryColumnInfo(IRptParams filter) { var result = base.GetSummaryColumnInfo(filter); result.Add(new SummaryField("期初已出货欠款汇总", Kingdee.BOS.Core.Enums.BOSEnums.Enu_SummaryType.SUM)); result.Add(new SummaryField("期初已到期欠款", Kingdee.BOS.Core.Enums.BOSEnums.Enu_SummaryType.SUM)); result.Add(new SummaryField("本月已出货欠款汇总", Kingdee.BOS.Core.Enums.BOSEnums.Enu_SummaryType.SUM)); result.Add(new SummaryField("本月已到期欠款", Kingdee.BOS.Core.Enums.BOSEnums.Enu_SummaryType.SUM)); result.Add(new SummaryField("已出货欠款汇总", Kingdee.BOS.Core.Enums.BOSEnums.Enu_SummaryType.SUM)); result.Add(new SummaryField("已到期欠款", Kingdee.BOS.Core.Enums.BOSEnums.Enu_SummaryType.SUM)); return result; } } }