I have spent a good portion of today and yesterday attempting to decide whether to utilize a loop or cursor in SQL or to figure out how to use set based logic to solve the problem. I am not new to set logic, but this problem seems to be particularly complex.
The idea is that if I have a list of all transactions (10's, 100's of millions) and a date they occurred, I can start combining some of that data into a daily totals table so that it is more rapidly view able by reporting and analytic systems. The pseudocode for this is as such:
foreach( row in transactions_table ) if( row in totals_table already exists ) update totals_table, add my totals to the totals row else insert into totals_table with my row as the base values delete ( or archive ) row
As you can tell, the block of the loop is relatively trivial to implement, and as is the cursor/looping iteration. However, the execution time is quite slow and unwieldy and my question is: is there a non-iterative way to perform such a task, or is this one of the rare exceptions where I just have to "suck it up" and use a cursor?
There have been a few discussions on the topic, some of which seem to be similar, but not usable due to the if/else statement and the operations on another table, for instance:
How to merge rows of SQL data on column-based logic? This question doesn't seem to be applicable because it simply returns a view of all sums, and doesn't actually make logical decisions about additions or updates to another table
SQL Looping seems to have a few ideas about selection with a couple of cases statements which seems possible, but there are two operations that I need done dependent upon the status of another table, so this solution does not seem to fit.
SQL Call Stored Procedure for each Row without using a cursor This solution seems to be the closest to what I need to do, in that it can handle arbitrary numbers of operations on each row, but there doesn't seem to be a consensus among that group.
Any advice how to tackle this frustrating problem?
I am using SQL Server 2008
The schema setup is as follows:
Totals: (id int pk, totals_date date, store_id int fk, machine_id int fk, total_in, total_out)
Transactions: (transaction_id int pk, transaction_date datetime, store_id int fk, machine_id int fk, transaction_type (IN or OUT), transaction_amount decimal)
The totals should be computed by store, by machine, and by date, and should total all of the IN transactions into total_in and the OUT transactions into total_out. The goal is to get a pseudo data cube going.