Need to modify values in Inbox Dropdown for Sort By

HI All,
I need to modify the valyes in the dropdown box for the Sort By and the Then Sort by fields in the Inbox. I know hte values come from the domain CRM_AUI_SORTEDBY which I dont want to modify. I redefined the method GET_V_SORTEDBY
but the problem I am running into is that the class that the standard method used was a local class and not the standard class for Dropdown boxes. Has anybody been able to change this sucessfully?
Regards,
Tom

Hello Tom,
How did you achieve solution to this requirement, adding custom attribute to sort by field?
Please advice.
Regards,
Kapil

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    where to_date(Recovery.Recovery_Date, 'DD-MON-RR') between
    TO_DATE(v_lowdate, 'DD-MON-RR') and
    TO_DATE(v_highdate, 'DD-MON-RR')
    AND recovery_transaction_internal in
    ('05', '50', '52', '51'))
    --001
    and    client.invoice_flag = 'N'            *005* commenting
    -- SWL 05/03/05 #71231
    and event.event_id in
    (select event_id
    from event_end_user eeu
    where eeu.active_flag = 'Y'
    and eeu.owner_flag = 'Y'
    and eeu.end_user_id in
    (select end_user_id
    from end_user
    where end_user.research_internal_user = 'Y'))
    and recovery.recovery_transaction_internal =
    l.recovery_transaction_internal --fml 110276
    order by event.event_id, recovery.amount; -- *006*
    -- SWL 05/03/05 #71231
    -- end of 001
    -- SWL 11/10/03 # 52743
    -- *006*
    CURSOR get_recovery(vevent_id event.event_id%type) IS
    SELECT sum(r.amount)
    FROM Recovery r
    Where to_date(r.Recovery_Date, 'DD-MON-RR') between
    TO_DATE(v_lowdate, 'DD-MON-RR') and
    TO_DATE(v_highdate, 'DD-MON-RR')
    and r.event_id = vevent_id
    and r.settlement_id not in
    (select settlement_id
    from recovery
    where to_date(Recovery.Recovery_Date, 'DD-MON-RR') between
    TO_DATE(v_lowdate, 'DD-MON-RR') and
    TO_DATE(v_highdate, 'DD-MON-RR')
    AND recovery_transaction_internal in
    ('05', '50', '52', '51'))
    and r.event_id in
    (select event_id
    from event_end_user eeu
    where eeu.active_flag = 'Y'
    and eeu.owner_flag = 'Y'
    and eeu.end_user_id in
    (select end_user_id
    from end_user
    where end_user.research_internal_user = 'Y'));
    CURSOR RECOVERY_INFO_NC IS
    SELECT distinct Event.Event_ID,
    Event_Case.Event_Case_ID,
    TO_CHAR(Recovery.Recovery_Date, 'FMMONTHYYYY') As Recovery_Month,
    Major_Client.Major_Client_Name AS Major_Company,
    -- Client.Client_Name AS Company,
    -- nvl(client.legacy_client_id,'DC')||'-'||substr(Client.Client_Name,1,55) AS Company, /* SWL 04/01/04 52653 */
    substr(nvl(client.legacy_client_id,
    decode(client.client_id,
    1,
    'DC',
    client.client_code)) || '-' ||
    Client.Client_Name,
    1,
    60) AS Company,
    Event.Client_Policy_Identifier ||
    Event_Case.Relation_To_Insured_code as Client_Policy_Identifier,
    Client.Account_Number as Recovery_Account,
    Employer_Group.Employer_Group_Code,
    Event_Case.Fee_Schedule_Code,
    '(' || recovery.recovery_transaction_internal || ')' ||
    l.recovery_transaction_descripti, --fml 110276
    recovery.settlement_id,
    trim(client.gl_num), -- *002*
    nvl(trim(client.net_billable), 'N'), -- *003*
    recovery.amount,-- *006*
    recovery.recovery_id,
    event.event_type_code,
    event.date_typed,
    Client.ACC_CLIENT_ID,
    Recovery_Revenue_GL_Num,
    Funds_Due_GL_num
    FROM Recovery,
    Settlement,
    Event_Case,
    Event,
    Employer_Group,
    Client,
    Major_Client,
    recovery_transaction_lookup l
    Where to_date(Recovery.Recovery_Date, 'DD-MON-RR') between
    TO_DATE(v_lowdate, 'DD-MON-RR') and
    TO_DATE(v_highdate, 'DD-MON-RR')
    AND Settlement.Settlement_id = Recovery.Settlement_id
    AND Settlement.Event_Case_ID = Event_Case.Event_Case_id
    AND Event_Case.Event_ID = Event.Event_ID
    AND Event.Employer_Group_ID = Employer_Group.Employer_Group_ID(+)
    AND Event.Client_ID = Client.Client_ID
    AND Client.Major_Client_id = Major_Client.Major_Client_ID(+)
    and recovery.settlement_id in
    (select settlement_id
    from recovery
    where to_date(Recovery.Recovery_Date, 'DD-MON-RR') between
    TO_DATE(v_lowdate, 'DD-MON-RR') and
    TO_DATE(v_highdate, 'DD-MON-RR')
    --001
    AND recovery.recovery_transaction_internal in
    ('05', '50', '52', '51')
    and    client.invoice_flag = 'N'   *005* commenting
    /* SWL 05/03/05 #71231 */
    and event.event_id in
    (select event_id
    from event_end_user eeu
    where eeu.active_flag = 'Y'
    and eeu.owner_flag = 'Y'
    and eeu.end_user_id in
    (select end_user_id
    from end_user
    where end_user.research_internal_user = 'Y'))
    and recovery.recovery_transaction_internal =
    l.recovery_transaction_internal --fml 110276
    order by event.event_id, recovery.amount; -- *006*
    /* SWL 05/03/05 #71231 */
    --end of 001
    -- *006*
    CURSOR get_recovery_nc(vevent_id event.event_id%type) IS
    SELECT sum(r.amount)
    FROM Recovery r
    Where to_date(r.Recovery_Date, 'DD-MON-RR') between
    TO_DATE(v_lowdate, 'DD-MON-RR') and
    TO_DATE(v_highdate, 'DD-MON-RR')
    AND r.event_id = vevent_id
    and r.settlement_id in
    (select settlement_id
    from recovery
    where to_date(Recovery.Recovery_Date, 'DD-MON-RR') between
    TO_DATE(v_lowdate, 'DD-MON-RR') and
    TO_DATE(v_highdate, 'DD-MON-RR'))
    AND recovery_transaction_internal in ('05', '50', '52', '51')
    and r.event_id in
    (select event_id
    from event_end_user eeu
    where eeu.active_flag = 'Y'
    and eeu.owner_flag = 'Y'
    and eeu.end_user_id in
    (select end_user_id
    from end_user
    where end_user.research_internal_user = 'Y'));
    CURSOR Recovery_Totals_Nc IS
    Select Recovery_Detail.Recovery_Id, /* SWL 07/01/04 59016 */
    max(NVL(Recovery_Detail.Fees_Percent, 0) +
    NVL(Recovery_Detail.Admin_Percent, 0)) as Total_Fee_Percent,
    max(NVL(Recovery_Detail.Fees_Percent, 0)) as Subrogation_Fee_Percent,
    max(NVL(Recovery.Amount, 0)) as Recovery_Amount, /* SWL 04/01/04 52653 */
    Sum(NVL(Recovery_detail.Fees, 0) + NVL(Recovery_Detail.Admin, 0)) as Total_Fee,
    Sum(NVL(Recovery_Detail.Fees_Taxes, 0) +
    NVL(Recovery_Detail.Admin_Taxes, 0)) as Total_Tax,
    Sum(NVL(Recovery_Detail.Admin_Taxes, 0)) as Administrative_tax,
    Sum(NVL(Recovery_Detail.Admin, 0)) as Total_Admin_Fee,
    sum(recovery.retained_by_client) as Non_cash_fee, --fml 110276
    sum(recovery.allocation_check_amount) as cash --fml 110276
    From Settlement, Recovery, Recovery_Detail
    Where Recovery.settlement_id = v_settlement_id
    And recovery.recovery_id = v_recovery_id
    And Settlement.Settlement_id = Recovery.Settlement_id
    And Recovery.Recovery_id = Recovery_detail.Recovery_id(+)
    and to_date(Recovery.Recovery_Date, 'DD-MON-RR') between
    TO_DATE(v_lowdate, 'DD-MON-RR') and
    TO_DATE(v_highdate, 'DD-MON-RR') /*SWL 12/03/04 */
    -- Group by Recovery_Detail.Fees_Percent; /* SWL 04/01/04 52653 */
    Group by Recovery_Detail.recovery_id;
    v_cash_recovery recovery_activity.cash_recovery%type;
    CURSOR Recovery_Totals_Positive_Nc IS
    -- Select Sum(Recovery.Amount) as Total_NonCash_Positive, /* SWL 04/01/04 52653 */
    Select max(Recovery.Amount) as Total_NonCash_Positive,
    Sum(NVL(Recovery_Detail.Fees_Taxes, 0) +
    NVL(Recovery_Detail.Admin_Taxes, 0)) as Total_NonCash_Tax_Positive
    From Settlement, Recovery, Recovery_detail
    Where Recovery.settlement_id = v_settlement_id
    And Settlement.Settlement_id = Recovery.Settlement_id
    and recovery.recovery_id = v_recovery_id /* SWL 07/01/04 59016 */
    And Recovery.Amount >= 0
    And Recovery.Recovery_id = Recovery_detail.Recovery_id(+)
    And Recovery.Recovery_Transaction_Internal in
    ('05', '50', '52', '51')
    -- Group by Recovery_Detail.Fees_Percent; /* SWL 04/01/04 52653 */
    Group by Recovery_Detail.recovery_id;
    CURSOR Recovery_Totals_Negative_Nc IS
    -- Select Sum(Recovery.Amount) as Total_NonCash_Negative, /* SWL 04/01/04 52653 */
    Select max(Recovery.Amount) as Total_NonCash_Negative,
    Sum(NVL(Recovery_Detail.Fees_Taxes, 0) +
    NVL(Recovery_Detail.Admin_Taxes, 0)) as Total_NonCash_Tax_Negative
    From Settlement, Recovery, Recovery_Detail
    Where Recovery.settlement_id = v_settlement_id
    And Settlement.Settlement_id = Recovery.Settlement_id
    and recovery.recovery_id = v_recovery_id /* SWL 07/01/04 59016 */
    And Recovery.Amount < 0
    And Recovery.Recovery_id = Recovery_detail.Recovery_id(+)
    And Recovery.Recovery_Transaction_Internal in
    ('05', '50', '52', '51')
    Group by Recovery_Detail.recovery_id;
    -- Group by Recovery_Detail.Fees_Percent; /* SWL 04/01/04 52653 */
    /* SWL 11/10/03 # 52743 */
    CURSOR Event_Client_Unit IS
    Select e.Client_Field_Data as Unit
    From Event_Client_Field e, recovery r
    Where r.Event_ID = e.Event_ID
    AND r.Recovery_ID = V_Recovery_ID
    AND e.Client_Field_Name = 'UNIT';
    CURSOR Bill_totals IS
    Select mv_billdetail_case_sum.sum_paid as TOTAL_MEDICAL
    From mv_billdetail_case_sum
    where mv_billdetail_case_sum.event_id = V_Event_ID;
    CURSOR NonCash_Fee IS
    Select NVL(Sum(Recovery.Amount), 0) as Total_NonCash_Fee
    From Settlement, Recovery
    Where Recovery.Recovery_ID = V_Recovery_ID
    And Settlement.Settlement_id = Recovery.Settlement_id
    And Recovery.
    Recovery_Transaction_Internal in ('05', '50', '52', '51');
    /* SWL 04/01/04 52653 */
    CURSOR Recovery_Totals IS
    Select round(avg(NVL(Recovery_Detail.Fees_Percent, 0) +
    NVL(Recovery_Detail.Admin_Percent, 0)),
    2) as Total_Fee_Percent,
    round(avg(NVL(Recovery_Detail.Fees_Percent, 0)), 2) as Subrogation_Fee_Percent,
    max(NVL(Recovery.Amount, 0)) as Recovery_Amount,
    Sum(NVL(Recovery_detail.Fees, 0) + NVL(Recovery_Detail.Admin, 0)) as Total_Fee,
    Sum(NVL(Recovery_Detail.Fees_Taxes, 0) +
    NVL(Recovery_Detail.Admin_Taxes, 0)) as Total_Tax,
    Sum(NVL(Recovery_Detail.Admin_Taxes, 0)) as Administrative_tax,
    Sum(NVL(Recovery_Detail.Admin, 0)) as Total_Admin_Fee
    From Settlement, Recovery, Recovery_Detail
    Where Recovery.Recovery_ID = V_Recovery_ID
    And Settlement.Settlement_id = Recovery.Settlement_id
    And Recovery.Recovery_id = Recovery_detail.Recovery_id(+)
    Group by Recovery_Detail.recovery_id;
    CURSOR Recovery_Totals_Positive IS
    /* Select Sum(Recovery.Amount) as Total_NonCash_Positive,
    Sum(NVL(Recovery_Detail.Fees_Taxes,0)+ NVL(Recovery_Detail.Admin_Taxes,0)) as Total_NonCash_Tax_Positive
    */ /* SWL 04/01/04 52653 */
    Select max(Recovery.Amount) as Total_NonCash_Positive,
    Sum(NVL(Recovery_Detail.Fees_Taxes, 0) +
    NVL(Recovery_Detail.Admin_Taxes, 0)) as Total_NonCash_Tax_Positive
    From Settlement, Recovery, Recovery_detail
    Where Recovery.Recovery_ID = V_Recovery_ID
    And Settlement.Settlement_id = Recovery.Settlement_id
    And Recovery.Amount >= 0
    And Recovery.Recovery_id = Recovery_detail.Recovery_id(+)
    And Recovery.Recovery_Transaction_Internal in ('04', '17', '15') /*SWL 10/05/04 #63919*/--*009* added 15
    Group by Recovery_Detail.recovery_id;
    -- Group by Recovery_Detail.Fees_Percent; /* SWL 04/01/04 52653 */
    CURSOR Recovery_NonFEE_Positive IS
    Select Sum(NVL(Recovery_Detail.Fees, 0) + NVL(Recovery_Detail.Admin, 0)) as Total_NonCash_Fee_Positive
    From Settlement, Recovery, Recovery_detail
    Where Recovery.Recovery_ID = V_Recovery_ID
    And Settlement.Settlement_id = Recovery.Settlement_id
    And Recovery.Amount >= 0
    And Recovery.Recovery_id = Recovery_detail.Recovery_id(+)
    And Recovery.Recovery_Transaction_Internal in
    ('05', '50', '52', '51')
    Group by Recovery_Detail.recovery_id;
    -- Group by Recovery_Detail.Fees_Percent; /* SWL 04/01/04 52653 */
    CURSOR Recovery_Totals_Negative IS
    /* Select Sum(Recovery.Amount) as Total_NonCash_Negative,*/ /* SWL 04/01/04 52653 */
    Select max(Recovery.Amount) as Total_NonCash_Negative,
    Sum(NVL(Recovery_Detail.Fees_Taxes, 0) +
    NVL(Recovery_Detail.Admin_Taxes, 0)) as Total_NonCash_Tax_Negative
    From Settlement, Recovery, Recovery_Detail
    Where Recovery.Recovery_ID = V_Recovery_ID
    And Settlement.Settlement_id = Recovery.Settlement_id
    And Recovery.Amount < 0
    And Recovery.Recovery_id = Recovery_detail.Recovery_id(+)
    And Recovery.Recovery_Transaction_Internal in ('04', '17', '15') /*SWL 10/05/04 #63919*/--*009* added 15
    Group by Recovery_Detail.recovery_id;
    -- Group by Recovery_Detail.Fees_Percent; /* SWL 04/01/04 52653 */
    CURSOR Recovery_NonFEE_Negative IS
    Select Sum(NVL(Recovery_Detail.Fees, 0) + NVL(Recovery_Detail.Admin, 0)) as Total_NonCash_Fee_Negative
    From Settlement, Recovery, Recovery_Detail
    Where Recovery.Recovery_ID = V_Recovery_ID
    And Settlement.Settlement_id = Recovery.Settlement_id
    And Recovery.Amount < 0
    And Recovery.Recovery_id = Recovery_detail.Recovery_id(+)
    And Recovery.Recovery_Transaction_Internal in
    ('05', '50', '52', '51')
    Group by Recovery_Detail.recovery_id;
    -- Group by Recovery_Detail.Fees_Percent; /* SWL 04/01/04 52653 */
    --This is a generic cursor which will be used to control the number of rows inserted into the recovery_activity table
    --There has to be 1 row inserted into the recovery_activity table for each detail record in the recovery_detail table.
    --However, if no recovery_detail record exists there will be only 1 insert into the recovery_activity table.
    CURSOR Control_Detail_Loop
    IS
    Select 1
    FROM Recovery,
    Recovery_Detail
    Where Recovery.Recovery_ID = Recovery_Detail.Recovery_ID(+)
    And Recovery.Recovery_ID = V_Recovery_ID;
    /* SWL 04/01/04 Commented since the only time there were more entries in rd for a recovery is when there is a split fees */
    /* accounting does not want this to be displayed in detail. They need this aggregated as a single fee entry so the recovery */
    /* activity table will now have a single entry corresponding to each recovery in the recovery table. (#52653) */
    CURSOR Control_Detail_Loop IS
    Select 1 FROM Recovery where Recovery.Recovery_ID = V_Recovery_ID;
    /* DJ 10/25/04 # 64633 start*/
    CURSOR Event_Client_Market IS
    Select e.Client_Field_Data as Market
    From Event_Client_Field e, recovery r
    Where r.Event_ID = e.Event_ID
    AND r.Recovery_ID = V_Recovery_ID
    AND e.Client_Field_Name = 'MARKET';
    /* DJ 10/25/04 # 64633 end*/
    v_cur_day integer := 0;
    -----dj
    v_vendor_fee_wh number;
    v_total_vendor_fee_wh number;
    v_rec_itc recovery_activity.recovery_transaction_internal%type;
    --v_settlement_id settlement.settlement_id%type;
    --*004* start
    function unbundled_fee(pevent_id event.event_id%type,
    plowdate date,
    phighdate date) return number is
    -- function variables
    v_fee number(18, 2) := 0;
    v_month_revenue unbundled_recoveries.monthly_revenue%type := 0;
    v_cum_revenue unbundled_recoveries.cum_revenue%type := 0;
    v_contract_fee_per unbundled_recoveries.contractual_fee_per%type := 0;
    v_prev_cum_revenue unbundled_recoveries.cum_revenue%type := 0;
    v_cum_ub_rec unbundled_recoveries.cum_ub_recoveries%type := 0;
    v_cum_inv_paid unbundled_recoveries.cum_inv_paid%type := 0;
    v_month_rec unbundled_recoveries.monthly_recoveries%type := 0;
    v_cum_rec unbundled_recoveries.cum_recoveries%type := 0;
    v_event_id event.event_id%type;
    begin
    --v_month_rec and v_cum_inv_paid
    begin
    select event_id,
    (select sum(r.amount)
    from recovery r
    where r.event_id = e.event_id
    and trunc(r.recovery_date) between plowdate and phighdate) as monthly_recoveries,
    -- *006* added cum_rec
    (select nvl(sum(r.amount), 0)
    from recovery r
    where r.event_id = e.event_id
    and trunc(r.recovery_date) <= trunc(phighdate)) as cum_recoveries,
    (select sum(decode(nvl(ex.client_invoice_closed, 'N'),
    'N',
    ex.paid_amount,
    ex.client_invoice_received))
    from expense ex
    where ex.event_id = e.event_id
    and upper(ex.status) = 'PAID'
    and trunc(ex.check_date) <= phighdate
    and trim(ex.orig_client_invoice_date) is not null
    and nvl(ex.client_invoice_dispute, 'Y') = 'N') as cum_invoiced_paid
    into v_event_id, v_month_rec, v_cum_rec, v_cum_inv_paid
    from event e
    where e.event_id = pevent_id;
    exception
    when no_data_found then
    v_event_id := 0;
    v_month_rec := 0;
    v_cum_rec := 0;
    v_cum_inv_paid := 0;
    when others then
    v_event_id := 0;
    v_month_rec := 0;
    v_cum_rec := 0;
    v_cum_inv_paid := 0;
    end;
    -- *007* start
    -- if event previously written to table, get values from table
    begin
    select nvl(ub.cum_revenue, 0)
    into v_prev_cum_revenue
    from unbundled_recoveries ub
    where ub.event_id = pevent_id
    and ub.month_id =
    (select max(a.month_id)
    from unbundled_recoveries a
    where a.event_id = pevent_id
    and a.month_id < to_char(v_lowdate, 'YYYYMM'));
    exception
    when no_data_found then
    v_prev_cum_revenue := 0;
    when others then
    v_prev_cum_revenue := 0;
    end;
    -- *007* end
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    begin
    select nvl(max(rd.fees_percent), 0)
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    where rd.recovery_id in
    (select r.recovery_id
    from recovery r,
    (select a.event_id, max(amount) as amount
    from recovery a
    where a.event_id = pevent_id
    and trunc(a.recovery_date) between plowdate and
    phighdate
    group by a.event_id) max_r
    where r.event_id = max_r.event_id
    and trunc(r.recovery_date) between plowdate and phighdate
    and r.amount = max_r.amount);
    exception
    when no_data_found then
    v_contract_fee_per := 0;
    when others then
    v_contract_fee_per := 0;
    end;
    v_cum_ub_rec := nvl(v_cum_rec, 0) - nvl(v_cum_inv_paid, 0);
    if ((nvl(v_cum_ub_rec, 0) > 0) and (nvl(v_month_rec, 0) <> 0)) then
    -- latest cumulative unbundled recoveries > 0
    v_cum_revenue := round(((v_contract_fee_per / 100) * v_cum_ub_rec),
    2);
    v_month_revenue := v_cum_revenue - v_prev_cum_revenue;
    end if;
    v_fee := v_month_revenue;
    return v_fee;
    exception
    when others then
    raise_application_error(-20106,
    substr('populate_recovery_activity.undebundled_fee: ' ||
    Sqlcode || Sqlerrm,
    1,
    500));
    return v_fee;
    end;

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