I am writing an ASP.NET application with a SQLServer database in which I have to calculate rates for members of my application. These calculations affect more than 10 database tables.
I believe I have two options :
In the data access layer, fetch the data for a member from the first table in the database and return it to the business layer. Once there, perform some calculation on the fetched data to generate new data to be saved in a second table. Finally, call back into the data access layer to save the result. Afterwards, repeat this whole process, pulling information from the second table to calculate results to be saved in a third table, and keep doing this for all necessary tables.
Use a stored procedure to encapsulate calculating and saving the new rates for a member in the correct tables within a database transaction.
Which option do you think is best and why? If I use the first option, how should I perform all of the inserts and updates in one ADO.NET transaction from the business logic layer? I am currently barred from using an ADO.NET transaction outside of the data access layer.