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TABLE: AP.AP_RECURRING_PAYMENTS_ALL

Object Details
Object Name: AP_RECURRING_PAYMENTS_ALL
Object Type: TABLE
Owner: AP
FND Design Data: TableSQLAP.AP_RECURRING_PAYMENTS_ALL
Subobject Name:
Status: VALID


AP_RECURRING_PAYMENTS_ALL contains information about
recurring invoices you define. You need one row for
each set of recurring invoices you arrange with a
supplier. Your Oracle Payables application uses this
information to help you create recurring invoices without
duplicating data entry.
Values for PAID_FLAG1 and PAID_FLAG2 may be 'Y' for Yes
or 'N' for No.
This table corresponds to the Recurring Invoices window.


Storage Details
Tablespace: TablespaceAPPS_TS_TX_DATA
PCT Free: 10
PCT Used:
Indexes
Index Type Uniqueness Tablespace Column
AP_RECURRING_PAYMENTS_U1 NORMAL UNIQUE TablespaceAPPS_TS_TX_IDX ColumnRECURRING_PAYMENT_ID
AP_RECURRING_PAYMENTS_U2 NORMAL UNIQUE TablespaceAPPS_TS_TX_IDX ColumnVENDOR_ID
ColumnRECURRING_PAY_NUM
ColumnORG_ID
AP_RECURRING_PAYMENTS_N1 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnRECURRING_PAY_NUM
AP_RECURRING_PAYMENTS_N2 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnVENDOR_SITE_ID
AP_RECURRING_PAYMENTS_N3 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnBATCH_ID
AP_RECURRING_PAYMENTS_N4 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnCONTROL_AMOUNT
AP_RECURRING_PAYMENTS_N5 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnCREATION_DATE
Columns
Name Datatype Length Mandatory Comments
RECURRING_PAYMENT_ID NUMBER (15) Yes Unique internal Identifier for this record. Generated using a database sequence.
LAST_UPDATE_DATE DATE
Yes Standard Who column - date when a user last updated this row.
LAST_UPDATED_BY NUMBER (15) Yes Standard who column - unique internal identifier user who last updated this row. Foreign key to the USER_ID column of the FND_USER table.
CREATION_DATE DATE
Yes Standard who column - date when this row was created.
CREATED_BY NUMBER (15) Yes Standard who column - unique internal identifier of user who created this row. Foreign key to the USER_ID column of the FND_USER table.
VENDOR_ID NUMBER (15) Yes The unique internal identifier of the supplier to which the recurring invoice belongs. Foreign key to the AP_SUPPLIERS table.
RECURRING_PAY_NUM VARCHAR2 (25) Yes This is the Recurring invoice template number and is unique for a supplier. This number concatenated with period name of the recurring invoice period will be used as invoice number while creating invoices for this template.
VENDOR_SITE_ID NUMBER (15) Yes The unique internal identifier for the payment site of the supplier. Foreign key to the AP_SUPPLIER_SITES_ALL table.
REC_PAY_PERIOD_TYPE VARCHAR2 (15) Yes This corresponds to the special calendar name associated with recurring invoice, represents the frequency of the recurring invoice.
NUM_OF_PERIODS NUMBER (15) Yes Total number of payments to be made over life of recurring invoice
FIRST_PERIOD VARCHAR2 (15) Yes First period for which a recurring invoice will be created
FIRST_PERIOD_NUM NUMBER (15) Yes Number of first period
AUTHORIZED_TOTAL NUMBER
Yes Amount authorized for creation of invoices.
CONTROL_AMOUNT NUMBER
Yes Total amount available for creation of invoices.
DISTRIBUTION_SET_ID NUMBER (15)
Distribution set identifier to be used in the generation of distributions for a Invoice line. Foreign key to the DISTRIBUTION_SET_ID of AP_DISTRIBUTION_SETS_ALL table.
TERMS_ID NUMBER (15) Yes Payment terms identifier. Foreign key to the TERMS_ID of the AP_TERMS_TL table.
SET_OF_BOOKS_ID NUMBER (15) Yes Ledger Unique Identifier
AMOUNT_APPLICABLE_TO_DISCOUNT NUMBER
Yes Amount of invoice applicable to a discount
PAYMENT_METHOD_LOOKUP_CODE VARCHAR2 (25)
No longer used
REM_PERIODS NUMBER (15)
Number of remaining periods
ACCOUNTING_DATE DATE

Accounting date
RELEASED_AMOUNT NUMBER

Total amount of invoices created with a recurring invoice
BATCH_ID NUMBER (15)
Batch identifier
ACCTS_PAY_CODE_COMBINATION_ID NUMBER (15)
Accounting Flexfield identifier for accounts payable liability account
INVOICE_CURRENCY_CODE VARCHAR2 (15) Yes Currency code of the invoice. Foreign key to the FND_CURRENCIES table.
PAYMENT_CURRENCY_CODE VARCHAR2 (15) Yes Currency code of payment. If the Invoice Currency is not a fixed-rate currency, then the Payment Currency will be the same as the INVOICE_CURRENCY_CODE. For fixed-rate currency such as euro or another EMU currency it can be different to INVOICE_CURRENCY_CODE
INVOICE_BASE_RATE NUMBER (10)
No longer used
PAY_GROUP_LOOKUP_CODE VARCHAR2 (25)
Name of the Paygroup associated with recurring invoice defintion used to pay a category of suppliers or invoices in the same payment batch. Possible values for this column are derived from FND_LOOKUP_VALUES for lookup_type 'PAY GROUP'
TAX_AMOUNT NUMBER

Amount of tax
PAYMENT_INVOICE_CROSS_RATE NUMBER (10)
No longer used
EXCHANGE_RATE NUMBER

Exchange rate between invoice currency and functional currency for a foreign currency recurring invoice
NEXT_PERIOD VARCHAR2 (15)
Name of next recurring invoice period
NEXT_PAYMENT NUMBER

Amount of next recurring invoice
INCREMENT_PERCENT NUMBER (10)
Percent change by which recurring invoices will increase or decrease per period
NUM_OF_PERIODS_REM NUMBER (15)
Number of recurring invoice periods remaining
SPECIAL_PAYMENT_AMOUNT1 NUMBER

Amount of first special payment
SPECIAL_PERIOD_NAME1 VARCHAR2 (30)
Name of period in which first special payment made
SPECIAL_PAYMENT_AMOUNT2 NUMBER

Amount of second special payment
SPECIAL_PERIOD_NAME2 VARCHAR2 (30)
Name of period in which second special payment made
DESCRIPTION VARCHAR2 (240)
Description
PAID_FLAG1 VARCHAR2 (1)
Flag that indicates if first special payment has been paid (Y or N)
PAID_FLAG2 VARCHAR2 (1)
Flag that indicates if second special payment has been made
HOLD_LOOKUP_CODE VARCHAR2 (25)
Name of hold or release code
HOLD_REASON VARCHAR2 (240)
Description of hold
APPROVED_BY NUMBER (15)
Name of person who submitted Payables Invoice Validation for validated recurring invoice.
EXPIRY_DATE DATE

Date after which invoices cannot be created using recurring invoice definition
ATTRIBUTE_CATEGORY VARCHAR2 (150)
Descriptive flexfield structure definition column.
ATTRIBUTE1 VARCHAR2 (150)
Descriptive flexfield segment
ATTRIBUTE2 VARCHAR2 (150)
Descriptive flexfield segment
ATTRIBUTE3 VARCHAR2 (150)
Descriptive flexfield segment
ATTRIBUTE4 VARCHAR2 (150)
Descriptive flexfield segment
ATTRIBUTE5 VARCHAR2 (150)
Descriptive flexfield segment
ATTRIBUTE6 VARCHAR2 (150)
Descriptive flexfield segment
ATTRIBUTE7 VARCHAR2 (150)
Descriptive flexfield segment
ATTRIBUTE8 VARCHAR2 (150)
Descriptive flexfield segment
ATTRIBUTE9 VARCHAR2 (150)
Descriptive flexfield segment
ATTRIBUTE10 VARCHAR2 (150)
Descriptive flexfield segment
ATTRIBUTE11 VARCHAR2 (150)
Descriptive flexfield segment
ATTRIBUTE12 VARCHAR2 (150)
Descriptive flexfield segment
ATTRIBUTE13 VARCHAR2 (150)
Descriptive flexfield segment
ATTRIBUTE14 VARCHAR2 (150)
Descriptive flexfield segment
ATTRIBUTE15 VARCHAR2 (150)
Descriptive flexfield segment
EXCHANGE_RATE_TYPE VARCHAR2 (30)
Exchange rate type for foreign currency recurring invoice. Payables uses following five types of exchange rates:� User� Spot� Corporate� User-Defined� EMU Fixed
PAYMENT_CROSS_RATE NUMBER
Yes Exchange rate between invoice and payment. The value is always 1 unless they are associated fixed-rate currencies such as euro or another EMU currency
EXCHANGE_DATE DATE

Date exchange rate is effective, usually accounting date of a transaction
LAST_UPDATE_LOGIN NUMBER (15)
Standard who column - operating system login of user who last updated this row. Foreign key to the LOGIN_ID column of the FND_LOGINS table.
TAX_NAME VARCHAR2 (15)
No Longer Used
EXCLUSIVE_PAYMENT_FLAG VARCHAR2 (1)
This flag indicates to pay this invoice using separate payment document.This columns corresponds to 'Pay alone' checkbox of Payment Tab.
AWT_GROUP_ID NUMBER (15)
Withholding Tax group identifier at Invoice Validation time. This column correspods to 'Invoice Withholding Tax Group'
ORG_ID NUMBER (15)
Unique internal identifier of the Operating Unit.
PO_HEADER_ID NUMBER (15)
Purchase order header identifier. Used for PO matching. Validated against PO_HEADERS_ALL.PO_HEADER_ID
PO_LINE_ID NUMBER (15)
Purchase order line identifier. Used for PO matching. Validated against PO_LINES_ALL.PO_LINE_ID
LINE_LOCATION_ID NUMBER (15)
Purchase order line location identifier. Used for PO matching. Validated against PO_LINE_LOCATIONS_ALL.LINE_LOCATION_ID
GLOBAL_ATTRIBUTE_CATEGORY VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE1 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE2 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE3 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE4 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE5 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE6 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE7 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE8 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE9 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE10 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE11 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE12 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE13 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE14 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE15 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE16 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE17 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE18 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE19 VARCHAR2 (150)
Reserved for country-specific functionality
GLOBAL_ATTRIBUTE20 VARCHAR2 (150)
Reserved for country-specific functionality
EXTERNAL_BANK_ACCOUNT_ID VARCHAR2 (15)
Unique internal identifier for the supplier bank account associated with Invoice. Foreign key to the IBY_EXT_BANK_ACCOUNTS table
APPROVAL_REQUIRED_FLAG VARCHAR2 (1)
Indicates whether invoice is subject to the Invoice Approval Workflow process (Y or N)
USSGL_TRANSACTION_CODE VARCHAR2 (30)
Transaction Code for creating US Standard General Ledger journal entries (Oracle Public Sector Payables)/
FIRST_AMOUNT NUMBER

Amount of first invoice created b the template, excluding any special payment such as a deposit
LEGAL_ENTITY_ID NUMBER (15)
Legal entity identifier
TAXATION_COUNTRY VARCHAR2 (30)
The country in which the transaction is deemed to have taken place for taxation purposes. E-Business Tax will set the context of other tax drivers such as Product Fiscal Classification based on the value of this field.
TAX_CONTROL_AMOUNT NUMBER

Optional, user-enterable value to ensure that the calculated tax will be the same as on the physical document.
PRIMARY_INTENDED_USE VARCHAR2 (30)
Tax Driver: The purpose for which a product may be used. The actual use will be stored at the distribution level.
PRODUCT_FISC_CLASSIFICATION VARCHAR2 (240)
Tax Driver: Product Fiscal Classification identifies the taxable nature of an Inventory item for tax determination or tax reporting purposes.
USER_DEFINED_FISC_CLASS VARCHAR2 (240)
Tax Driver: User Defined Fiscal Classification used to to classify any tax requirement that you cannot define using the seeded fiscal classification types. This column corresponds to 'Fiscal Classification' of Invoice Workbench
TRX_BUSINESS_CATEGORY VARCHAR2 (240)
Tax Driver: Transaction category assigned. Transaction business category used to identify and classify your business transactions for tax calculation purpose.
REQUESTER_ID NUMBER (15)
Requester of goods or services on invoice. Used by Invoice Workflow Approval process to generate list of approvers. Valid values from active HR employees. Validated against PER_ALL_PEOPLE_F.PERSON_ID
ITEM_DESCRIPTION VARCHAR2 (240)
Item description
MANUFACTURER VARCHAR2 (30)
Name of manufacturer
MODEL_NUMBER VARCHAR2 (40)
Model information
PO_RELEASE_ID NUMBER

Purchase order release identifier. Used for PO matching. Validated against PO_RELEASES_ALL.PO_RELEASE_ID
REMITTANCE_MESSAGE1 VARCHAR2 (150)
Remittance message for use in payment processing.
REMITTANCE_MESSAGE2 VARCHAR2 (150)
Remittance message for use in payment processing
REMITTANCE_MESSAGE3 VARCHAR2 (150)
Remittance message for use in payment processing
PAYMENT_REASON_CODE VARCHAR2 (30)
Payment reason code
PAYMENT_METHOD_CODE VARCHAR2 (30)
Name of the payment method used to pay the supplier site. Foreign key from the table IBY_PAYMENT_METHODS_B
BANK_CHARGE_BEARER VARCHAR2 (30)
Bearer of bank charge cost. Bank charge bearers are defined as the lookup IBY_BANK_CHARGE_BEARER
SETTLEMENT_PRIORITY VARCHAR2 (30)
The priority with which the financial institution or payment system should settle payment for this document. The available values for this column come from the FND lookup IBY_SETTLEMENT_PRIORITY
PAYMENT_REASON_COMMENTS VARCHAR2 (30)
Free text field available for entering a reason for the payment
DELIVERY_CHANNEL_CODE VARCHAR2 (30)
Delivery channel code
PAY_AWT_GROUP_ID NUMBER (15)
Withholding Tax group identifier at Payment time. This column corresponds to 'Payment Withholding Tax Group'
REMIT_TO_SUPPLIER_NAME VARCHAR2 (240)
Name of the supplier to whom invoice amount can be remitted
REMIT_TO_SUPPLIER_ID NUMBER (15)
Unique supplier identifier to whom invoice amount can be remitted
REMIT_TO_SUPPLIER_SITE VARCHAR2 (240)
Name of the supplier site to whom invoice amount can be remitted
REMIT_TO_SUPPLIER_SITE_ID NUMBER (15)
Unique supplier site identifier to whom invoice amount can be remitted
RELATIONSHIP_ID NUMBER (15)
Unique identifier to third party relationships of a supplier with another supplier. This column will be populated if the payment is made to the third party.
Query Text

Cut, paste (and edit) the following text to query this object:


SELECT RECURRING_PAYMENT_ID
,      LAST_UPDATE_DATE
,      LAST_UPDATED_BY
,      CREATION_DATE
,      CREATED_BY
,      VENDOR_ID
,      RECURRING_PAY_NUM
,      VENDOR_SITE_ID
,      REC_PAY_PERIOD_TYPE
,      NUM_OF_PERIODS
,      FIRST_PERIOD
,      FIRST_PERIOD_NUM
,      AUTHORIZED_TOTAL
,      CONTROL_AMOUNT
,      DISTRIBUTION_SET_ID
,      TERMS_ID
,      SET_OF_BOOKS_ID
,      AMOUNT_APPLICABLE_TO_DISCOUNT
,      PAYMENT_METHOD_LOOKUP_CODE
,      REM_PERIODS
,      ACCOUNTING_DATE
,      RELEASED_AMOUNT
,      BATCH_ID
,      ACCTS_PAY_CODE_COMBINATION_ID
,      INVOICE_CURRENCY_CODE
,      PAYMENT_CURRENCY_CODE
,      INVOICE_BASE_RATE
,      PAY_GROUP_LOOKUP_CODE
,      TAX_AMOUNT
,      PAYMENT_INVOICE_CROSS_RATE
,      EXCHANGE_RATE
,      NEXT_PERIOD
,      NEXT_PAYMENT
,      INCREMENT_PERCENT
,      NUM_OF_PERIODS_REM
,      SPECIAL_PAYMENT_AMOUNT1
,      SPECIAL_PERIOD_NAME1
,      SPECIAL_PAYMENT_AMOUNT2
,      SPECIAL_PERIOD_NAME2
,      DESCRIPTION
,      PAID_FLAG1
,      PAID_FLAG2
,      HOLD_LOOKUP_CODE
,      HOLD_REASON
,      APPROVED_BY
,      EXPIRY_DATE
,      ATTRIBUTE_CATEGORY
,      ATTRIBUTE1
,      ATTRIBUTE2
,      ATTRIBUTE3
,      ATTRIBUTE4
,      ATTRIBUTE5
,      ATTRIBUTE6
,      ATTRIBUTE7
,      ATTRIBUTE8
,      ATTRIBUTE9
,      ATTRIBUTE10
,      ATTRIBUTE11
,      ATTRIBUTE12
,      ATTRIBUTE13
,      ATTRIBUTE14
,      ATTRIBUTE15
,      EXCHANGE_RATE_TYPE
,      PAYMENT_CROSS_RATE
,      EXCHANGE_DATE
,      LAST_UPDATE_LOGIN
,      TAX_NAME
,      EXCLUSIVE_PAYMENT_FLAG
,      AWT_GROUP_ID
,      ORG_ID
,      PO_HEADER_ID
,      PO_LINE_ID
,      LINE_LOCATION_ID
,      GLOBAL_ATTRIBUTE_CATEGORY
,      GLOBAL_ATTRIBUTE1
,      GLOBAL_ATTRIBUTE2
,      GLOBAL_ATTRIBUTE3
,      GLOBAL_ATTRIBUTE4
,      GLOBAL_ATTRIBUTE5
,      GLOBAL_ATTRIBUTE6
,      GLOBAL_ATTRIBUTE7
,      GLOBAL_ATTRIBUTE8
,      GLOBAL_ATTRIBUTE9
,      GLOBAL_ATTRIBUTE10
,      GLOBAL_ATTRIBUTE11
,      GLOBAL_ATTRIBUTE12
,      GLOBAL_ATTRIBUTE13
,      GLOBAL_ATTRIBUTE14
,      GLOBAL_ATTRIBUTE15
,      GLOBAL_ATTRIBUTE16
,      GLOBAL_ATTRIBUTE17
,      GLOBAL_ATTRIBUTE18
,      GLOBAL_ATTRIBUTE19
,      GLOBAL_ATTRIBUTE20
,      EXTERNAL_BANK_ACCOUNT_ID
,      APPROVAL_REQUIRED_FLAG
,      USSGL_TRANSACTION_CODE
,      FIRST_AMOUNT
,      LEGAL_ENTITY_ID
,      TAXATION_COUNTRY
,      TAX_CONTROL_AMOUNT
,      PRIMARY_INTENDED_USE
,      PRODUCT_FISC_CLASSIFICATION
,      USER_DEFINED_FISC_CLASS
,      TRX_BUSINESS_CATEGORY
,      REQUESTER_ID
,      ITEM_DESCRIPTION
,      MANUFACTURER
,      MODEL_NUMBER
,      PO_RELEASE_ID
,      REMITTANCE_MESSAGE1
,      REMITTANCE_MESSAGE2
,      REMITTANCE_MESSAGE3
,      PAYMENT_REASON_CODE
,      PAYMENT_METHOD_CODE
,      BANK_CHARGE_BEARER
,      SETTLEMENT_PRIORITY
,      PAYMENT_REASON_COMMENTS
,      DELIVERY_CHANNEL_CODE
,      PAY_AWT_GROUP_ID
,      REMIT_TO_SUPPLIER_NAME
,      REMIT_TO_SUPPLIER_ID
,      REMIT_TO_SUPPLIER_SITE
,      REMIT_TO_SUPPLIER_SITE_ID
,      RELATIONSHIP_ID
FROM AP.AP_RECURRING_PAYMENTS_ALL;

Dependencies

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AP.AP_RECURRING_PAYMENTS_ALL does not reference any database object

AP.AP_RECURRING_PAYMENTS_ALL is referenced by following:

SchemaAPPS
SynonymAP_RECURRING_PAYMENTS
SynonymAP_RECURRING_PAYMENTS_ALL