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[Dependency Information]
Object Name: | CE_260_CF_TRANSACTIONS_V |
---|---|
Object Type: | VIEW |
Owner: | APPS |
FND Design Data: | ![]() |
Subobject Name: | |
Status: | VALID |
Oracle Corporation does not support access to Oracle
applications data using this object, except from standard Oracle Applications programs.
Internal
Name | Datatype | Length | Mandatory | Comments |
---|---|---|---|---|
ROW_ID | ROWID | (10) | Database row identifier | |
MULTI_SELECT | CHAR | (1) | Column used internally | |
BANK_ACCOUNT_ID | NUMBER | (15) | Yes | Bank account identifier |
BANK_ACCOUNT_NAME | VARCHAR2 | (100) | Yes | Bank account name |
BANK_ACCOUNT_NUM | VARCHAR2 | (30) | Bank account number | |
BANK_NAME | VARCHAR2 | (360) | Yes | Bank name |
BANK_BRANCH_NAME | VARCHAR2 | (360) | Yes | Bank branch name |
TRX_ID | NUMBER | (15) | Yes | Transaction identifier, cashflow identifier |
TRX_TYPE | VARCHAR2 | (30) | Yes | Transaction type, RECEIPT/PAYMENT |
TYPE_MEANING | VARCHAR2 | (80) | Yes | Transaction type meaning, Receipt/Payment |
TRX_NUMBER | VARCHAR2 | (100) | Transaction number, cashflow number | |
CURRENCY_CODE | VARCHAR2 | (15) | Yes | Transaction currency code |
AMOUNT | NUMBER | Yes | Transaction amount | |
BANK_ACCOUNT_AMOUNT | NUMBER | Transaction amount in bank currency | ||
AMOUNT_CLEARED | NUMBER | Cleared amount in bank currency including bank charges and errors | ||
GL_DATE | DATE | GL date | ||
STATUS_DSP | VARCHAR2 | (80) | Yes | Transaction status description |
STATUS | VARCHAR2 | (30) | Yes | Transaction status |
TRX_DATE | DATE | Yes | Transaction date | |
CLEARED_DATE | DATE | Cleared date | ||
MATURITY_DATE | DATE | Maturity date, due date | ||
EXCHANGE_RATE_DATE | DATE | Date used in determining currency exchange rate | ||
EXCHANGE_RATE_TYPE | VARCHAR2 | (30) | Currency exchange rate type | |
USER_EXCHANGE_RATE_TYPE | VARCHAR2 | (30) | Currency exchange rate type description | |
EXCHANGE_RATE | NUMBER | Currency exchange rate | ||
BANK_CHARGES | NUMBER | Bank charge amount | ||
BANK_ERRORS | NUMBER | Bank error amount | ||
BATCH_NAME | VARCHAR2 | (40) | Batch name | |
BATCH_ID | NUMBER | Batch identifier | ||
AGENT_NAME | VARCHAR2 | (0) | Agent name, customer name | |
CUSTOMER_NAME | VARCHAR2 | (0) | Customer name | |
PAYMENT_METHOD | VARCHAR2 | (0) | Payment method | |
VENDOR_NAME | VARCHAR2 | (0) | Vendor name, Null | |
CUSTOMER_ID | NUMBER | (15) | Customer identifier | |
SUPPLIER_ID | NUMBER | Vendor identifier, Null | ||
REFERENCE_TYPE_DSP | VARCHAR2 | (0) | Reference type description | |
REFERENCE_TYPE | VARCHAR2 | (30) | Yes | Reference type |
REFERENCE_ID | NUMBER | Reference identifier | ||
ACTUAL_AMOUNT_CLEARED | NUMBER | Not used | ||
CREATION_DATE | DATE | Yes | Standard Who column | |
CREATED_BY | NUMBER | (15) | Yes | Standard Who column |
LAST_UPDATE_DATE | DATE | Yes | Standard Who column | |
LAST_UPDATED_BY | NUMBER | (15) | Yes | Standard Who column |
REMITTANCE_NUMBER | VARCHAR2 | (40) | Cashflow number | |
CASH_RECEIPT_ID | NUMBER | Cash receipt identifier | ||
APPLICATION_ID | NUMBER | Application identifier, 260 | ||
COUNT_CLEARED | NUMBER | Internal use | ||
BANK_CURRENCY_CODE | VARCHAR2 | (15) | Bank currency code | |
TRX_CURRENCY_TYPE | VARCHAR2 | (10) | Transaction currency type | |
CODE_COMBINATION_ID | NUMBER | (15) | GL account code | |
PERIOD_NAME | VARCHAR2 | (0) | Accounting period name, Null | |
JOURNAL_ENTRY_NAME | VARCHAR2 | (0) | Journal entry name, Null | |
DOCUMENT_NUMBER | NUMBER | Document number, Null | ||
JOURNAL_ENTRY_LINE_NUMBER | NUMBER | Journal entry line number, Null | ||
CLEARING_TRX_TYPE | CHAR | (8) | Transaction type for clearing, CASH | |
JOURNAL_CATEGORY | VARCHAR2 | (0) | Journal category, Null | |
BASE_AMOUNT | NUMBER | Transaction amount in functional currency | ||
RECEIPT_CLASS_ID | NUMBER | Receipt class identifier | ||
RECEIPT_METHOD_ID | NUMBER | Receipt method identifier | ||
RECEIPT_CLASS_NAME | VARCHAR2 | (0) | Receipt class name | |
DEPOSIT_DATE | DATE | Deposit date | ||
INVOICE_TEXT | VARCHAR2 | (0) | ||
BANK_ACCOUNT_TEXT | VARCHAR2 | (30) | ||
CUSTOMER_TEXT | VARCHAR2 | (0) | ||
REVERSED_RECEIPT_FLAG | VARCHAR2 | (0) | Flag to indicate reversed receipt | |
CHECK_NUMBER | NUMBER | (15) | Check number, Null | |
VALUE_DATE | DATE | Value date | ||
CE_BANK_ACCT_USE_ID | VARCHAR2 | (0) | ||
LEGAL_ENTITY_ID | NUMBER | (15) | Yes | |
ORG_ID | NUMBER | |||
COUNTERPARTY | VARCHAR2 | (240) | Counterparty | |
TRXN_SUBTYPE | VARCHAR2 | (30) | Transaction Subtype | |
CASHFLOW_ID | NUMBER | (15) | Yes |
Cut, paste (and edit) the following text to query this object:
SELECT ROW_ID
, MULTI_SELECT
, BANK_ACCOUNT_ID
, BANK_ACCOUNT_NAME
, BANK_ACCOUNT_NUM
, BANK_NAME
, BANK_BRANCH_NAME
, TRX_ID
, TRX_TYPE
, TYPE_MEANING
, TRX_NUMBER
, CURRENCY_CODE
, AMOUNT
, BANK_ACCOUNT_AMOUNT
, AMOUNT_CLEARED
, GL_DATE
, STATUS_DSP
, STATUS
, TRX_DATE
, CLEARED_DATE
, MATURITY_DATE
, EXCHANGE_RATE_DATE
, EXCHANGE_RATE_TYPE
, USER_EXCHANGE_RATE_TYPE
, EXCHANGE_RATE
, BANK_CHARGES
, BANK_ERRORS
, BATCH_NAME
, BATCH_ID
, AGENT_NAME
, CUSTOMER_NAME
, PAYMENT_METHOD
, VENDOR_NAME
, CUSTOMER_ID
, SUPPLIER_ID
, REFERENCE_TYPE_DSP
, REFERENCE_TYPE
, REFERENCE_ID
, ACTUAL_AMOUNT_CLEARED
, CREATION_DATE
, CREATED_BY
, LAST_UPDATE_DATE
, LAST_UPDATED_BY
, REMITTANCE_NUMBER
, CASH_RECEIPT_ID
, APPLICATION_ID
, COUNT_CLEARED
, BANK_CURRENCY_CODE
, TRX_CURRENCY_TYPE
, CODE_COMBINATION_ID
, PERIOD_NAME
, JOURNAL_ENTRY_NAME
, DOCUMENT_NUMBER
, JOURNAL_ENTRY_LINE_NUMBER
, CLEARING_TRX_TYPE
, JOURNAL_CATEGORY
, BASE_AMOUNT
, RECEIPT_CLASS_ID
, RECEIPT_METHOD_ID
, RECEIPT_CLASS_NAME
, DEPOSIT_DATE
, INVOICE_TEXT
, BANK_ACCOUNT_TEXT
, CUSTOMER_TEXT
, REVERSED_RECEIPT_FLAG
, CHECK_NUMBER
, VALUE_DATE
, CE_BANK_ACCT_USE_ID
, LEGAL_ENTITY_ID
, ORG_ID
, COUNTERPARTY
, TRXN_SUBTYPE
, CASHFLOW_ID
FROM APPS.CE_260_CF_TRANSACTIONS_V;
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