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APPS.IGS_FI_DEPOSITS_PRCSS dependencies on IGS_FI_PRC_BALANCES

Line 572: igs_fi_prc_balances.update_balances ( p_party_id => l_cur_fi_credits.party_id,

568: -- Update the holds and standard balance accordingly with the reversed amount
569: -- Balance date is updated to sysdate
570:
571: -- Update balances of balance type 'STANDARD'
572: igs_fi_prc_balances.update_balances ( p_party_id => l_cur_fi_credits.party_id,
573: p_balance_type => 'STANDARD',
574: p_balance_date => TRUNC(SYSDATE),
575: p_amount => ABS(NVL(l_cur_fi_credits.amount,0)), --Amount always passed as +ve
576: p_source => 'CREDIT',

Line 587: igs_fi_prc_balances.update_balances ( p_party_id => l_cur_fi_credits.party_id,

583: RETURN;
584: END IF;
585:
586: -- Update balances of balance type 'HOLDS'
587: igs_fi_prc_balances.update_balances ( p_party_id => l_cur_fi_credits.party_id,
588: p_balance_type => 'HOLDS',
589: p_balance_date => TRUNC(SYSDATE),
590: p_amount => ABS(NVL(l_cur_fi_credits.amount,0)), --Amount always passed as +ve
591: p_source => 'CREDIT',

Line 1086: igs_fi_prc_balances.update_balances ( p_party_id => l_cur_fi_credits.party_id,

1082:
1083:
1084: -- Call update balances to update holds and standard balances
1085: -- Update balances of balance type 'STANDARD'
1086: igs_fi_prc_balances.update_balances ( p_party_id => l_cur_fi_credits.party_id,
1087: p_balance_type => 'STANDARD',
1088: p_balance_date => TRUNC(SYSDATE),
1089: p_amount => NVL((-1)*l_cur_fi_credits.amount,0), --Amount always passed as -ve
1090: p_source => 'CREDIT',

Line 1102: igs_fi_prc_balances.update_balances ( p_party_id => l_cur_fi_credits.party_id,

1098: RETURN;
1099: END IF;
1100:
1101: -- Update balances of balance type 'HOLDS'
1102: igs_fi_prc_balances.update_balances ( p_party_id => l_cur_fi_credits.party_id,
1103: p_balance_type => 'HOLDS',
1104: p_balance_date => TRUNC(SYSDATE),
1105: p_amount => NVL((-1)*l_cur_fi_credits.amount,0), --Amount always passed as +ve
1106: p_source => 'CREDIT',