LevelThought
MIS
Displayed below is my ADO script that I have constructed over the last 3 weeks to append Oracle data to an Access table.
Every time I try to run it, I am presented with a syntax error!
What is wrong with the script?
Any suggestions on what modifications that I need to make so that the script can run?
Thanks in advance for your insight.
Sub ADO_AppendtblExpenseRev()
'Declare and instantiate one connection object
'and two recordset objects
Dim cnn As ADODB.Connection
Dim rst1 As ADODB.Recordset
Dim rst2 As ADODB.Recordset
Dim mysql As String
Set cnn = New ADODB.Connection
Set rst1 = New ADODB.Recordset
Set rst2 = New ADODB.Recordset
'Open the connection
cnn.Open "Provider=MSDAORA.1;" & _
"Data source=Jof;" & _
"User ID=Ltrxw;" & _
"Password=*****;" & _
"Persist Security Info=True"
'Utilize the connection just opened as the connection for
'two different recordsets
rst1.ActiveConnection = cnn
rst1.CursorType = adOpenStatic
rst1.Open "SELECT ep.account_id, ep.account_id,pe.customer_no, pt.last_name,
pt.first_name" _
pt.medical_records_no , pe.Drg_No, pe.length_of_stay, pe.Admit_Date,
pe.discharge_date, "" _
pe.total_charge , pe.total_charge, pe.expected_payment, pe.date_billed,
max(epd.payment_date)), "" _
ep.total_payments , ep.total_payments, pe.total_payments, "" _
pe.total_charges -sum(ep.noncovered_pt_charges + ep.noncovered_wo_charges), "" _
pe.total_charges -sum(etd.adjustment_amount), pe.total_charges -
sum(etd.adjustment_amount), trunc(SYSDATE), "" _
ep.total_payments/pe.expected_payment,
pe.expected_payment-(pe.total_charges-sum(etd.adjustment_amount))" _
from encounter_payor ep, patient_encounter pe, encounter_transaction_details etd,
patient pt," _
where (ep.customer_no = pe.customer_no and pe.customer_no = etd.customer_no and" _
pt.customer_no = ep.customer_no) and" _
ep.account_id Not In ('ABC2','GVCT','GJUI','GVCM')" _
AND epd.TRANSACTION_CODE in ('57003','57008','47028','47006') AND" _
pe.expected_payment>0 AND pe.expected_payment - pe.total_payments>0 AND" _
ep.total_payments/pe.expected_payment<0.91 AND etd.transaction_code in" _
('7003','7090','7080','7004') and" _
trunc(epd.date_updated) = trunc(sysdate) - 15)" _
GROUP BY ep.account_id, pe.customer_no, trunc(pe.ADMIT_DATE)," _
trunc (pe.discharge_date), pe.date_billed, pe.total_payments, pe.total_charges, "" _
pe.expected_payment , ep.total_payments, "" _
pe.expected_payment -ep.total_payments, trunc(epd.payment_date), "" _
pe.expected_payment -pe.total_payments, "" _
ep.total_payments/pe.expected_payment, pe.total_payments - ep.total_payments," _
trunc (epd.date_updated), trunc(SYSDATE), pt.Last_Name, pt.First_Name, "" _
pt.medical_records_no " ," _
HAVING ((pe.total_charges - sum(etd.adjustment_amount)) - pe.expected_payment) <> 0
_
ORDER BY 1, 2, 10" _
'create empty recordset referencing my table
mysql = "Select * from tblHospVarRpt1 where 1<>1"
'open recordset pointing to my table.
rst2.Open mysql, CurrentProject.Connection, 3, 3
Do Until rst1.EOF
rst2.AddNew
rst2!CID_Orig = rst1!encounter_preview.account_id
rst2!CID_Current = rst1!encounter_preview.account_id
rst2!EncNo = rst1!patient_encounter.customer_no
rst2!LastName = rst1!Patient.Last_Name
rst2!FirstName = rst1!Patient.First_Name
rst2!MRN = rst1!Patient_Medical_Records_No
rst2!PatientType = rst1!preview_encounter.patient_type
rst2!AdmitDate = rst1!preview_encounter.Admit_Date
rst2!DschDate = rst1!preview_encounter.discharge_date
rst2!TotChgOrig = rst1!preview_encounter.total_charges
rst2!TotChgCurrent = rst1!preview_encounter.total_charges
rst2!ExpPymtOrig = rst1!preview_encounter.expected_payment
rst2!ExpPymtCurrent = rst1!preview_encounter.expected_payment
rst2!DateBilled = rst1!preview_encounter.date_billed
rst2!TotInsPymtsOrig = rst1!Encounter_Payments.total_payments
rst2!TotInsPymtsCurrent = rst1!Encounter_Payments.total_payments
rst2!OthPymts = rst1!preview_encounter.total_payments -
rst1!encounter_preview.total_payments
rst2!TotPymts = rst1!preview_encounter.total_payments
rst2!Bal_AfterInsPymts = rst1!preview_encounter.expected_payment -
Rs!encounter_preview.total_payments
rst2!Bal_AfterAllPymts = rst1!preview_encounter.expected_payment -
Rs!preview_encounter.total_payments
rst2!CoveredCharges = rst1!preview_encounter.total_charges -
sum(encounter_preview.noncovered_pt_charges +
encounter_preview.noncovered_wo_charges)
rst2!CalcOrig = rst1!preview_encounter.total_charges -
sum(encounter_transfer_details.adjustment_amount)
rst2!CalcCurrent = rst1!preview_encounter.total_charges -
sum(encounter_transfer_details.adjustment_amount)
Rst2!VarianceOrig = Rst1!preview_encounter.Expected_Payment -
(preview_encounter.Total_Charges - Sum(Encounter_transfer_Details.Adjustment_Amount)
Rst2!VarianceCurrent = Rst1!preview_encounter.Expected_Reimbursment -
(preview_encounter.Total_Charges - Sum(Encounter_transfer_Details.Adjustment_Amount)
rst2!OrigRatio = rst1!preview_encounter.expected_payment /
encounter_preview.total_payments
rst2!RatioLatest = rst1!preview_encounter.expected_payment /
encounter_preview.total_payments
rst2!DateIdentified = rst1!trunc(SYSDATE)
rst2!DRG = rst1!preview_encounter.DRG
rst2!LOS = rst1!preview_encounter.length_of_stay
rst2!Date_LastPymt = rst1!max(Encounter_Payment_Detail.payment_date)
rst2.Update
Set Rs = Nothing
End Sub
Every time I try to run it, I am presented with a syntax error!
What is wrong with the script?
Any suggestions on what modifications that I need to make so that the script can run?
Thanks in advance for your insight.
Sub ADO_AppendtblExpenseRev()
'Declare and instantiate one connection object
'and two recordset objects
Dim cnn As ADODB.Connection
Dim rst1 As ADODB.Recordset
Dim rst2 As ADODB.Recordset
Dim mysql As String
Set cnn = New ADODB.Connection
Set rst1 = New ADODB.Recordset
Set rst2 = New ADODB.Recordset
'Open the connection
cnn.Open "Provider=MSDAORA.1;" & _
"Data source=Jof;" & _
"User ID=Ltrxw;" & _
"Password=*****;" & _
"Persist Security Info=True"
'Utilize the connection just opened as the connection for
'two different recordsets
rst1.ActiveConnection = cnn
rst1.CursorType = adOpenStatic
rst1.Open "SELECT ep.account_id, ep.account_id,pe.customer_no, pt.last_name,
pt.first_name" _
pt.medical_records_no , pe.Drg_No, pe.length_of_stay, pe.Admit_Date,
pe.discharge_date, "" _
pe.total_charge , pe.total_charge, pe.expected_payment, pe.date_billed,
max(epd.payment_date)), "" _
ep.total_payments , ep.total_payments, pe.total_payments, "" _
pe.total_charges -sum(ep.noncovered_pt_charges + ep.noncovered_wo_charges), "" _
pe.total_charges -sum(etd.adjustment_amount), pe.total_charges -
sum(etd.adjustment_amount), trunc(SYSDATE), "" _
ep.total_payments/pe.expected_payment,
pe.expected_payment-(pe.total_charges-sum(etd.adjustment_amount))" _
from encounter_payor ep, patient_encounter pe, encounter_transaction_details etd,
patient pt," _
where (ep.customer_no = pe.customer_no and pe.customer_no = etd.customer_no and" _
pt.customer_no = ep.customer_no) and" _
ep.account_id Not In ('ABC2','GVCT','GJUI','GVCM')" _
AND epd.TRANSACTION_CODE in ('57003','57008','47028','47006') AND" _
pe.expected_payment>0 AND pe.expected_payment - pe.total_payments>0 AND" _
ep.total_payments/pe.expected_payment<0.91 AND etd.transaction_code in" _
('7003','7090','7080','7004') and" _
trunc(epd.date_updated) = trunc(sysdate) - 15)" _
GROUP BY ep.account_id, pe.customer_no, trunc(pe.ADMIT_DATE)," _
trunc (pe.discharge_date), pe.date_billed, pe.total_payments, pe.total_charges, "" _
pe.expected_payment , ep.total_payments, "" _
pe.expected_payment -ep.total_payments, trunc(epd.payment_date), "" _
pe.expected_payment -pe.total_payments, "" _
ep.total_payments/pe.expected_payment, pe.total_payments - ep.total_payments," _
trunc (epd.date_updated), trunc(SYSDATE), pt.Last_Name, pt.First_Name, "" _
pt.medical_records_no " ," _
HAVING ((pe.total_charges - sum(etd.adjustment_amount)) - pe.expected_payment) <> 0
_
ORDER BY 1, 2, 10" _
'create empty recordset referencing my table
mysql = "Select * from tblHospVarRpt1 where 1<>1"
'open recordset pointing to my table.
rst2.Open mysql, CurrentProject.Connection, 3, 3
Do Until rst1.EOF
rst2.AddNew
rst2!CID_Orig = rst1!encounter_preview.account_id
rst2!CID_Current = rst1!encounter_preview.account_id
rst2!EncNo = rst1!patient_encounter.customer_no
rst2!LastName = rst1!Patient.Last_Name
rst2!FirstName = rst1!Patient.First_Name
rst2!MRN = rst1!Patient_Medical_Records_No
rst2!PatientType = rst1!preview_encounter.patient_type
rst2!AdmitDate = rst1!preview_encounter.Admit_Date
rst2!DschDate = rst1!preview_encounter.discharge_date
rst2!TotChgOrig = rst1!preview_encounter.total_charges
rst2!TotChgCurrent = rst1!preview_encounter.total_charges
rst2!ExpPymtOrig = rst1!preview_encounter.expected_payment
rst2!ExpPymtCurrent = rst1!preview_encounter.expected_payment
rst2!DateBilled = rst1!preview_encounter.date_billed
rst2!TotInsPymtsOrig = rst1!Encounter_Payments.total_payments
rst2!TotInsPymtsCurrent = rst1!Encounter_Payments.total_payments
rst2!OthPymts = rst1!preview_encounter.total_payments -
rst1!encounter_preview.total_payments
rst2!TotPymts = rst1!preview_encounter.total_payments
rst2!Bal_AfterInsPymts = rst1!preview_encounter.expected_payment -
Rs!encounter_preview.total_payments
rst2!Bal_AfterAllPymts = rst1!preview_encounter.expected_payment -
Rs!preview_encounter.total_payments
rst2!CoveredCharges = rst1!preview_encounter.total_charges -
sum(encounter_preview.noncovered_pt_charges +
encounter_preview.noncovered_wo_charges)
rst2!CalcOrig = rst1!preview_encounter.total_charges -
sum(encounter_transfer_details.adjustment_amount)
rst2!CalcCurrent = rst1!preview_encounter.total_charges -
sum(encounter_transfer_details.adjustment_amount)
Rst2!VarianceOrig = Rst1!preview_encounter.Expected_Payment -
(preview_encounter.Total_Charges - Sum(Encounter_transfer_Details.Adjustment_Amount)
Rst2!VarianceCurrent = Rst1!preview_encounter.Expected_Reimbursment -
(preview_encounter.Total_Charges - Sum(Encounter_transfer_Details.Adjustment_Amount)
rst2!OrigRatio = rst1!preview_encounter.expected_payment /
encounter_preview.total_payments
rst2!RatioLatest = rst1!preview_encounter.expected_payment /
encounter_preview.total_payments
rst2!DateIdentified = rst1!trunc(SYSDATE)
rst2!DRG = rst1!preview_encounter.DRG
rst2!LOS = rst1!preview_encounter.length_of_stay
rst2!Date_LastPymt = rst1!max(Encounter_Payment_Detail.payment_date)
rst2.Update
Set Rs = Nothing
End Sub