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View: PAY_XLA_ESTIMATE_COSTS_V

Product: PAY - Payroll
Description:
Implementation/DBA Data: ViewAPPS.PAY_XLA_ESTIMATE_COSTS_V
View Text

SELECT PXE.EVENT_ID
, PC.COST_ID
, TGL_AA.ASSIGNMENT_ACTION_ID
, PC.ASSIGNMENT_ACTION_ID
, PXE.ACCOUNTING_DATE
, PC.COSTED_VALUE
, PC.DEBIT_OR_CREDIT
, DECODE(IV.UOM
, 'M'
, ET.OUTPUT_CURRENCY_CODE
, 'STAT')
, ETTL.ELEMENT_NAME
, KEY.COST_ALLOCATION_KEYFLEX_ID
, KEY.SEGMENT1
, KEY.SEGMENT2
, KEY.SEGMENT3
, KEY.SEGMENT4
, KEY.SEGMENT5
, KEY.SEGMENT6
, KEY.SEGMENT7
, KEY.SEGMENT8
, KEY.SEGMENT9
, KEY.SEGMENT10
, KEY.SEGMENT11
, KEY.SEGMENT12
, KEY.SEGMENT13
, KEY.SEGMENT14
, KEY.SEGMENT15
, KEY.SEGMENT16
, KEY.SEGMENT17
, KEY.SEGMENT18
, KEY.SEGMENT19
, KEY.SEGMENT20
, KEY.SEGMENT21
, KEY.SEGMENT22
, KEY.SEGMENT23
, KEY.SEGMENT24
, KEY.SEGMENT25
, KEY.SEGMENT26
, KEY.SEGMENT27
, KEY.SEGMENT28
, KEY.SEGMENT29
, KEY.SEGMENT30
FROM PAY_XLA_EVENTS PXE
, PAY_ASSIGNMENT_ACTIONS TGL_AA
, PAY_ACTION_INTERLOCKS COST_LOCK
, PAY_ASSIGNMENT_ACTIONS COST_AA
, PAY_PAYROLL_ACTIONS COST_PA
, PER_ALL_ASSIGNMENTS_F PERA
, PAY_COSTS PC
, PAY_INPUT_VALUES_F IV
, PAY_ELEMENT_TYPES_F ET
, PAY_ELEMENT_TYPES_F_TL ETTL
, PAY_COST_ALLOCATION_KEYFLEX KEY
WHERE TGL_AA.ASSIGNMENT_ACTION_ID = PXE.ASSIGNMENT_ACTION_ID
AND COST_LOCK.LOCKING_ACTION_ID = TGL_AA.ASSIGNMENT_ACTION_ID
AND COST_AA.ASSIGNMENT_ACTION_ID = COST_LOCK.LOCKED_ACTION_ID
AND COST_PA.PAYROLL_ACTION_ID = COST_AA.PAYROLL_ACTION_ID
AND COST_PA.ACTION_TYPE = 'EC'
AND PC.ASSIGNMENT_ACTION_ID = COST_AA.ASSIGNMENT_ACTION_ID
AND PC.TRANSFER_TO_GL_FLAG = 'Y'
AND IV.INPUT_VALUE_ID = PC.INPUT_VALUE_ID
AND COST_PA.EFFECTIVE_DATE BETWEEN IV.EFFECTIVE_START_DATE
AND IV.EFFECTIVE_END_DATE
AND ET.ELEMENT_TYPE_ID = IV.ELEMENT_TYPE_ID
AND COST_PA.EFFECTIVE_DATE BETWEEN ET.EFFECTIVE_START_DATE
AND ET.EFFECTIVE_END_DATE
AND ETTL.ELEMENT_TYPE_ID = ET.ELEMENT_TYPE_ID
AND ETTL.LANGUAGE (+) = USERENV('LANG')
AND PC.COST_ALLOCATION_KEYFLEX_ID = KEY.COST_ALLOCATION_KEYFLEX_ID
AND PERA.ASSIGNMENT_ID = COST_AA.ASSIGNMENT_ID
AND COST_PA.EFFECTIVE_DATE BETWEEN PERA.EFFECTIVE_START_DATE
AND PERA.EFFECTIVE_END_DATE
AND DECODE(PC.SOURCE_ID
, NULL
, COST_PA.EFFECTIVE_DATE
, PAY_SLA_PKG.GET_ECOST_ACCOUNTING_DATE(PERA.PAYROLL_ID
, COST_PA.EFFECTIVE_DATE)) = PXE.ACCOUNTING_DATE

Columns

Name
EVENT_ID
LINE_NUMBER
ASSIGNMENT_ACTION_ID
COST_ACTION_ID
ACCOUNTING_DATE
COSTED_VALUE
DEBIT_OR_CREDIT
CURRENCY_CODE
ELEMENT_NAME
COST_ALLOCATION_KEYFLEX_ID
SEGMENT1
SEGMENT2
SEGMENT3
SEGMENT4
SEGMENT5
SEGMENT6
SEGMENT7
SEGMENT8
SEGMENT9
SEGMENT10
SEGMENT11
SEGMENT12
SEGMENT13
SEGMENT14
SEGMENT15
SEGMENT16
SEGMENT17
SEGMENT18
SEGMENT19
SEGMENT20
SEGMENT21
SEGMENT22
SEGMENT23
SEGMENT24
SEGMENT25
SEGMENT26
SEGMENT27
SEGMENT28
SEGMENT29
SEGMENT30