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TABLE: AP.AP_CHECKS_ALL

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


This tables holds data related to the payments issued to suppliers from Payments Workbench and Payments Manager(IBY) .
There is one row stored in this table for each payment issued to a supplier or refund received from a supplier. This table stores the information of supplier name, the bank account used for payment, the payment amount, payment date and other important details related to payment. Oracle Payables application stores address information for all payments. If there are changes to the supplier payment address on manual payments or Quick payments, then application maintains the new address information in this table. In case of electronic payments, the details of supplier's bank like BANK_ACCOUNT_NUM, BANK_NUM and BANK_ACCOUNT_TYPE are also maintained.


Storage Details
Tablespace: TablespaceAPPS_TS_TX_DATA
PCT Free: 10
PCT Used:
Indexes
Index Type Uniqueness Tablespace Column
AP_CHECKS_U1 NORMAL UNIQUE TablespaceAPPS_TS_TX_IDX ColumnCHECK_ID
AP_CHECKS_U3 NORMAL UNIQUE TablespaceAPPS_TS_TX_IDX ColumnDOC_SEQUENCE_ID
ColumnDOC_SEQUENCE_VALUE
AP_CHECKS_N1 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnCHECK_DATE
AP_CHECKS_N10 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnFUTURE_PAY_DUE_DATE
AP_CHECKS_N11 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnCE_BANK_ACCT_USE_ID
AP_CHECKS_N12 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnPAYMENT_ID
AP_CHECKS_N13 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnPAYMENT_INSTRUCTION_ID
AP_CHECKS_N2 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnCHECK_NUMBER
AP_CHECKS_N3 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnCHECKRUN_NAME
AP_CHECKS_N4 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnPAYMENT_TYPE_FLAG
AP_CHECKS_N5 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnREQUEST_ID
AP_CHECKS_N6 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnVENDOR_ID
AP_CHECKS_N7 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnVENDOR_SITE_ID
AP_CHECKS_N8 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnCHECKRUN_ID
AP_CHECKS_N9 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnCOMPLETED_PMTS_GROUP_ID
AP_FC_PAYMENT_N1 FUNCTION-BASED NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnNVL("ACTUAL_VALUE_DATE",NVL("ANTICIPATED_VALUE_DATE",NVL("FUTURE_PAY_DUE_DATE","CHECK_DATE")))
Columns
Name Datatype Length Mandatory Comments
AMOUNT NUMBER
Yes Indicates payment amount in payment currency.
BANK_ACCOUNT_ID NUMBER (15)
No longer used
BANK_ACCOUNT_NAME VARCHAR2 (80) Yes The bank account name from which payment is made.
CHECK_DATE DATE
Yes Payment date
CHECK_ID NUMBER (15) Yes Unique internal Identifier for this record. Generated using a database sequence.
CHECK_NUMBER NUMBER (15) Yes Payment number
CURRENCY_CODE VARCHAR2 (15) Yes Indicates payment currency code in which payment is made.
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.
LAST_UPDATE_DATE DATE
Yes Standard Who column - date when a user last updated this row.
PAYMENT_METHOD_LOOKUP_CODE VARCHAR2 (25)
Indicates the payment method.
PAYMENT_TYPE_FLAG VARCHAR2 (25) Yes This flag indicates the payment type. The possible values are quick payments, manual payments, refunds etc.
ADDRESS_LINE1 VARCHAR2 (240)
First address line of payment
ADDRESS_LINE2 VARCHAR2 (240)
Second address line of payment
ADDRESS_LINE3 VARCHAR2 (240)
Third address line of payment
CHECKRUN_NAME VARCHAR2 (255)
This is the Payment Process Request Name in the payment manager.
CHECK_FORMAT_ID NUMBER (15)
This corresponds to the Payment Format attached to the payment. The payment format is attached to the payment documents.
CHECK_STOCK_ID NUMBER (15)
Unique identifier attached to the payment document
CITY VARCHAR2 (25)
City
COUNTRY VARCHAR2 (25)
Country
CREATED_BY NUMBER (15)
Standard who column - unique internal identifier of user who created this row. Foreign key to the USER_ID column of the FND_USER table.
CREATION_DATE DATE

Standard who column - date when this row was created.
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.
STATUS_LOOKUP_CODE VARCHAR2 (25)
Indicates the current status of payment. The possible payment status can be Negotiable, Set up, Spoiled, Cleared etc
VENDOR_NAME VARCHAR2 (240)
Supplier name
VENDOR_SITE_CODE VARCHAR2 (15)
The Supplier site code of payment.
ZIP VARCHAR2 (20)
State or province postal code
BANK_ACCOUNT_NUM VARCHAR2 (30)
Supplier's bank account number for electronic payment purposes
BANK_ACCOUNT_TYPE VARCHAR2 (25)
Supplier's bank account type code for electronic payment purposes
BANK_NUM VARCHAR2 (30)
Supplier's bank number for electronic payment purposes
CHECK_VOUCHER_NUM NUMBER (16)
No Longer Used
CLEARED_AMOUNT NUMBER

Amount disbursed by the bank as on the cleared date. This information is also stored in Cash management
CLEARED_DATE DATE

Date when the bank disbursed the payment. This information is also stored in Cash management.
DOC_CATEGORY_CODE VARCHAR2 (30)
Sequential Numbering (voucher number) document category for payment
DOC_SEQUENCE_ID NUMBER

Sequential Numbering document sequence identifier
DOC_SEQUENCE_VALUE NUMBER

Voucher number (sequential numbering) for payment
PROVINCE VARCHAR2 (150)
No longer used
RELEASED_AT VARCHAR2 (18)
No longer used
RELEASED_BY NUMBER (15)
User that released stop payment
STATE VARCHAR2 (150)
State
STOPPED_AT VARCHAR2 (18)
No longer used
STOPPED_BY NUMBER (15)
User that recorded stop payment
VOID_DATE DATE

Payment void date
ATTRIBUTE1 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
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
ATTRIBUTE_CATEGORY VARCHAR2 (150)
Descriptive flexfield structure definition column.
FUTURE_PAY_DUE_DATE DATE

Negotiable date for future dated payment
TREASURY_PAY_DATE DATE

No Longer Used
TREASURY_PAY_NUMBER NUMBER (15)
No Longer Used
USSGL_TRANSACTION_CODE VARCHAR2 (30)
Transaction code for creating US Standard General Ledger journal entries
USSGL_TRX_CODE_CONTEXT VARCHAR2 (30)
USSGL Transaction Code Descriptive Flexfield context column
WITHHOLDING_STATUS_LOOKUP_CODE VARCHAR2 (25)
No longer used
RECONCILIATION_BATCH_ID NUMBER (15)
No Longer Used
CLEARED_BASE_AMOUNT NUMBER

Payment cleared amount in functional currency
CLEARED_EXCHANGE_RATE NUMBER

This is the exchange rate at which the payment is cleared. This is used only for foreign currency payments.
CLEARED_EXCHANGE_DATE DATE

This is the date used for calculating the exchange rate for the payments disbursed. This is used only for foreign currency payments.
CLEARED_EXCHANGE_RATE_TYPE VARCHAR2 (30)
This is the exchange rate type like Spot, Corporate etc taken for payment clearing. This is used only for foreign currency payments
ADDRESS_LINE4 VARCHAR2 (240)
Fourth address line of payment. Used for flexible address formatting
COUNTY VARCHAR2 (150)
Used for flexible address formatting. Also used for matching AP and AR addresses
ADDRESS_STYLE VARCHAR2 (30)
Used as context value in FAF descr flexs. Do not populate. Instead, join to FND_TERRITORIES where territory_code=country
ORG_ID NUMBER (15)
Unique internal identifier of the Operating Unit to which the payment belongs
VENDOR_ID NUMBER (15)
This is the unique identifier of supplier. In Cash management, these fields are used to Find Transactions by Supplier so that these transactions can be cleared.
VENDOR_SITE_ID NUMBER (15)
This is the unique identifier of supplier site. In Cash management, these fields are used to Find Transactions by Supplier so that these transactions can be cleared
EXCHANGE_RATE NUMBER

Exchange rate for foreign currency payment
EXCHANGE_DATE DATE

This is the date on which the exchange rate is effective. Applicable for foreign currency payments.
EXCHANGE_RATE_TYPE VARCHAR2 (30)
This is the exchange rate type like Spot, Corporate etc used for foreign currency payments
BASE_AMOUNT NUMBER

This is the Payment amount in functional currency. This is derived using the payment amount and the exchange rate
CHECKRUN_ID NUMBER (15)
This is the unique identifier assigned to the payment process request.
REQUEST_ID NUMBER (15)
Concurrent Program who column - concurrent request id of the program that last updated this row. Foreign key to FND_CONCURRENT_REQUESTS.REQUEST_ID.
CLEARED_ERROR_AMOUNT NUMBER

This is the payment error amount calculated on clearing the payments. This is calculated in cash management.
CLEARED_CHARGES_AMOUNT NUMBER

This is the bank charges amount calculated on clearing the payments. This is calculated in cash management.
CLEARED_ERROR_BASE_AMOUNT NUMBER

This is the payment error amount expressed in functional currency
CLEARED_CHARGES_BASE_AMOUNT NUMBER

This is the payment charges amount expressed in functional currency
POSITIVE_PAY_STATUS_CODE VARCHAR2 (25)
This is the status set by and used by Positive Pay Report to select records.
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
TRANSFER_PRIORITY VARCHAR2 (25)
This indicates the priority for transfer of electronic payments. Applicable for bank charge users only. Values are Any, Express or Normal.
EXTERNAL_BANK_ACCOUNT_ID NUMBER (15)
Unique internal identifier for the supplier bank account associated with payment. Foreign key to the IBY_EXT_BANK_ACCOUNTS table
STAMP_DUTY_AMT NUMBER

Stamp duty tax amount for globalization
STAMP_DUTY_BASE_AMT NUMBER

Stamp duty tax amount in functional currency for globalization
MRC_CLEARED_BASE_AMOUNT VARCHAR2 (2000)
No Longer Used
MRC_CLEARED_EXCHANGE_RATE VARCHAR2 (2000)
No Longer Used
MRC_CLEARED_EXCHANGE_DATE VARCHAR2 (2000)
No Longer Used
MRC_CLEARED_EXCHANGE_RATE_TYPE VARCHAR2 (2000)
No Longer Used
MRC_EXCHANGE_RATE VARCHAR2 (2000)
No Longer Used
MRC_EXCHANGE_DATE VARCHAR2 (2000)
No Longer Used
MRC_EXCHANGE_RATE_TYPE VARCHAR2 (2000)
No Longer Used
MRC_BASE_AMOUNT VARCHAR2 (2000)
No Longer Used
MRC_CLEARED_ERROR_BASE_AMOUNT VARCHAR2 (2000)
No Longer Used
MRC_CLEARED_CHARGES_BASE_AMT VARCHAR2 (2000)
No Longer Used
MRC_STAMP_DUTY_BASE_AMT VARCHAR2 (2000)
No Longer Used
MATURITY_EXCHANGE_DATE DATE

This is the date used for identifying exchange rate on matured payments. This is usually the maturity date for the payment.
MATURITY_EXCHANGE_RATE_TYPE VARCHAR2 (30)
This is the exchange rate type at future dated payment maturity time. This is applicable for foreign currency payments only.
MATURITY_EXCHANGE_RATE NUMBER

This is the exchange rate used at future dated payment maturity time. This is applicable for foreign currency payments only
DESCRIPTION VARCHAR2 (240)
This is the payment description.
ACTUAL_VALUE_DATE DATE

Actual Value Date. For use by Cash Management
ANTICIPATED_VALUE_DATE DATE

Anticipated Value Date. For use by Cash Management
RELEASED_DATE DATE

Date and time user released stop payment
STOPPED_DATE DATE

Date and time user recorded stop payment
MRC_MATURITY_EXG_DATE VARCHAR2 (2000)
No Longer Used
MRC_MATURITY_EXG_RATE VARCHAR2 (2000)
No Longer Used
MRC_MATURITY_EXG_RATE_TYPE VARCHAR2 (2000)
No Longer Used
IBAN_NUMBER VARCHAR2 (40)
International bank account number. Used internationally to uniquely identify the account of a customer at a financial institution. During bank entry, the system validates the value to ensure that it is a valid IBAN.
CE_BANK_ACCT_USE_ID NUMBER (15)
This is the Bank account identifier assigned by cash management to uniquely identify the bank accounts usage by various functions like Payables, Receivables etc.
PAYMENT_METHOD_CODE VARCHAR2 (30)
This is the unique identifier assigned to the payment method selected for payment.
PARTY_ID NUMBER (15)
This is the party identifier maintained for the supplier. This is maintained by Trading Community Architecture.
PARTY_SITE_ID NUMBER (15)
This is the party site identifier maintained for the supplier. This is maintained by Trading Community Architecture.
PAYMENT_PROFILE_ID NUMBER (15)
This is the Unique identifier assigned to the Payment Process Profile. This is maintained by Oracle Payments.
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'
BANK_CHARGE_BEARER VARCHAR2 (30)
Bearer of bank charge cost. Bank charge bearers are defined as the lookup IBY_BANK_CHARGE_BEARER.
LEGAL_ENTITY_ID NUMBER (15)
Legal entity identifier
PAYMENT_DOCUMENT_ID NUMBER (15)
Payment document identifier
COMPLETED_PMTS_GROUP_ID NUMBER (15)
This is the unique identifier assigned to the completed payments. This is maintained by Oracle Payments.
PAYMENT_ID NUMBER (15)
This is the unique identifier assigned to the payments in Oracle Payments.
PAYMENT_INSTRUCTION_ID NUMBER (15)
This is the unique identifier assigned to the payment instructions in Oracle Payments.
VOID_CHECK_NUMBER NUMBER (15)
Voided check number
VOID_CHECK_ID NUMBER (15)
Voided check unique identifier
REMIT_TO_SUPPLIER_NAME VARCHAR2 (240)
Name of the supplier to whom invoice amount will be remitted
REMIT_TO_SUPPLIER_ID NUMBER (15)
Unique supplier identifier to whom invoice amount will be remitted
REMIT_TO_SUPPLIER_SITE VARCHAR2 (240)
Name of the supplier site to whom invoice amount will be remitted
REMIT_TO_SUPPLIER_SITE_ID NUMBER (15)
Unique supplier site identifier to whom invoice amount will 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.
PAYCARD_AUTHORIZATION_NUMBER VARCHAR2 (30)
This is the authorization number captured for the payments made using payment card.
PAYCARD_REFERENCE_ID NUMBER (15)
Unique identifier for the payment card used for the payment.
Query Text

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


SELECT AMOUNT
,      BANK_ACCOUNT_ID
,      BANK_ACCOUNT_NAME
,      CHECK_DATE
,      CHECK_ID
,      CHECK_NUMBER
,      CURRENCY_CODE
,      LAST_UPDATED_BY
,      LAST_UPDATE_DATE
,      PAYMENT_METHOD_LOOKUP_CODE
,      PAYMENT_TYPE_FLAG
,      ADDRESS_LINE1
,      ADDRESS_LINE2
,      ADDRESS_LINE3
,      CHECKRUN_NAME
,      CHECK_FORMAT_ID
,      CHECK_STOCK_ID
,      CITY
,      COUNTRY
,      CREATED_BY
,      CREATION_DATE
,      LAST_UPDATE_LOGIN
,      STATUS_LOOKUP_CODE
,      VENDOR_NAME
,      VENDOR_SITE_CODE
,      ZIP
,      BANK_ACCOUNT_NUM
,      BANK_ACCOUNT_TYPE
,      BANK_NUM
,      CHECK_VOUCHER_NUM
,      CLEARED_AMOUNT
,      CLEARED_DATE
,      DOC_CATEGORY_CODE
,      DOC_SEQUENCE_ID
,      DOC_SEQUENCE_VALUE
,      PROVINCE
,      RELEASED_AT
,      RELEASED_BY
,      STATE
,      STOPPED_AT
,      STOPPED_BY
,      VOID_DATE
,      ATTRIBUTE1
,      ATTRIBUTE10
,      ATTRIBUTE11
,      ATTRIBUTE12
,      ATTRIBUTE13
,      ATTRIBUTE14
,      ATTRIBUTE15
,      ATTRIBUTE2
,      ATTRIBUTE3
,      ATTRIBUTE4
,      ATTRIBUTE5
,      ATTRIBUTE6
,      ATTRIBUTE7
,      ATTRIBUTE8
,      ATTRIBUTE9
,      ATTRIBUTE_CATEGORY
,      FUTURE_PAY_DUE_DATE
,      TREASURY_PAY_DATE
,      TREASURY_PAY_NUMBER
,      USSGL_TRANSACTION_CODE
,      USSGL_TRX_CODE_CONTEXT
,      WITHHOLDING_STATUS_LOOKUP_CODE
,      RECONCILIATION_BATCH_ID
,      CLEARED_BASE_AMOUNT
,      CLEARED_EXCHANGE_RATE
,      CLEARED_EXCHANGE_DATE
,      CLEARED_EXCHANGE_RATE_TYPE
,      ADDRESS_LINE4
,      COUNTY
,      ADDRESS_STYLE
,      ORG_ID
,      VENDOR_ID
,      VENDOR_SITE_ID
,      EXCHANGE_RATE
,      EXCHANGE_DATE
,      EXCHANGE_RATE_TYPE
,      BASE_AMOUNT
,      CHECKRUN_ID
,      REQUEST_ID
,      CLEARED_ERROR_AMOUNT
,      CLEARED_CHARGES_AMOUNT
,      CLEARED_ERROR_BASE_AMOUNT
,      CLEARED_CHARGES_BASE_AMOUNT
,      POSITIVE_PAY_STATUS_CODE
,      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
,      TRANSFER_PRIORITY
,      EXTERNAL_BANK_ACCOUNT_ID
,      STAMP_DUTY_AMT
,      STAMP_DUTY_BASE_AMT
,      MRC_CLEARED_BASE_AMOUNT
,      MRC_CLEARED_EXCHANGE_RATE
,      MRC_CLEARED_EXCHANGE_DATE
,      MRC_CLEARED_EXCHANGE_RATE_TYPE
,      MRC_EXCHANGE_RATE
,      MRC_EXCHANGE_DATE
,      MRC_EXCHANGE_RATE_TYPE
,      MRC_BASE_AMOUNT
,      MRC_CLEARED_ERROR_BASE_AMOUNT
,      MRC_CLEARED_CHARGES_BASE_AMT
,      MRC_STAMP_DUTY_BASE_AMT
,      MATURITY_EXCHANGE_DATE
,      MATURITY_EXCHANGE_RATE_TYPE
,      MATURITY_EXCHANGE_RATE
,      DESCRIPTION
,      ACTUAL_VALUE_DATE
,      ANTICIPATED_VALUE_DATE
,      RELEASED_DATE
,      STOPPED_DATE
,      MRC_MATURITY_EXG_DATE
,      MRC_MATURITY_EXG_RATE
,      MRC_MATURITY_EXG_RATE_TYPE
,      IBAN_NUMBER
,      CE_BANK_ACCT_USE_ID
,      PAYMENT_METHOD_CODE
,      PARTY_ID
,      PARTY_SITE_ID
,      PAYMENT_PROFILE_ID
,      SETTLEMENT_PRIORITY
,      BANK_CHARGE_BEARER
,      LEGAL_ENTITY_ID
,      PAYMENT_DOCUMENT_ID
,      COMPLETED_PMTS_GROUP_ID
,      PAYMENT_ID
,      PAYMENT_INSTRUCTION_ID
,      VOID_CHECK_NUMBER
,      VOID_CHECK_ID
,      REMIT_TO_SUPPLIER_NAME
,      REMIT_TO_SUPPLIER_ID
,      REMIT_TO_SUPPLIER_SITE
,      REMIT_TO_SUPPLIER_SITE_ID
,      RELATIONSHIP_ID
,      PAYCARD_AUTHORIZATION_NUMBER
,      PAYCARD_REFERENCE_ID
FROM AP.AP_CHECKS_ALL;

Dependencies

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AP.AP_CHECKS_ALL does not reference any database object

AP.AP_CHECKS_ALL is referenced by following:

SchemaAPPS
SynonymAP_CHECKS
SynonymAP_CHECKS_ALL