[Home] [Help]
| Product: | XTR - Treasury |
|---|---|
| Description: | |
| Implementation/DBA Data: |
APPS.XTR_PAYMENT_SCHEDULE_V
|
SELECT DEAL_TYPE
, PRODUCT_TYPE
, DEAL_SUBTYPE
, PAYMENT_SCHEDULE_CODE
, DESCRIPTION
, DEFAULT_YN
, PAYMENT_FREQUENCY
, POST_MONTHS_FORWARD
, CALC_TYPE
, ADJUST_ON_SETTLE
, INTEREST_ACTION
, JAN_YN
, FEB_YN
, MAR_YN
, APR_YN
, MAY_YN
, JUN_YN
, JUL_YN
, AUG_YN
, SEP_YN
, OCT_YN
, NOV_YN
, DEC_YN
, MIN_POSTINGS
, POSTING_FREQ
, NEXT_POSTING_DUE
FROM XTR_PAYMENT_SCHEDULE