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TABLE: FA.FA_DISTRIBUTION_ACCOUNTS

Object Details
Object Name: FA_DISTRIBUTION_ACCOUNTS
Object Type: TABLE
Owner: FA
FND Design Data: TableOFA.FA_DISTRIBUTION_ACCOUNTS
Subobject Name:
Status: VALID


FA_DISTRIBUTION_ACCOUNTS stores information about all the account ccids for all the distributions in a book.
Run the Generate Accounts concurrent program for a book to create the account ccids for all the distributions for the book. The account ccids created in this table will be used by Depreciation and Create Journal Entries programs.


Storage Details
Tablespace: TablespaceAPPS_TS_TX_DATA
PCT Free: 10
PCT Used:
Indexes
Index Type Uniqueness Tablespace Column
FA_DISTRIBUTION_ACCOUNTS_U1 NORMAL UNIQUE TablespaceAPPS_TS_TX_IDX ColumnBOOK_TYPE_CODE
ColumnDISTRIBUTION_ID
Columns
Name Datatype Length Mandatory Comments
BOOK_TYPE_CODE VARCHAR2 (15) Yes Book Name
DISTRIBUTION_ID NUMBER
Yes Distribution Identification Number
ASSET_COST_ACCOUNT_CCID NUMBER (15)
Cost Account ccid
ASSET_CLEARING_ACCOUNT_CCID NUMBER (15)
Cost Clearing Account ccid
DEPRN_EXPENSE_ACCOUNT_CCID NUMBER (15)
Expense Account ccid
DEPRN_RESERVE_ACCOUNT_CCID NUMBER (15)
Accumulated Depreciation ccid
CIP_COST_ACCOUNT_CCID NUMBER (15)
CIP Cost Account ccid
CIP_CLEARING_ACCOUNT_CCID NUMBER (15)
CIP Clearing Account ccid
LAST_UPDATE_DATE DATE
Yes Standard Who column
LAST_UPDATED_BY NUMBER (15) Yes Standard Who column
CREATED_BY NUMBER (15)
Standard Who column
CREATION_DATE DATE

Standard Who column
LAST_UPDATE_LOGIN NUMBER (15)
Standard Who column
NBV_RETIRED_GAIN_CCID NUMBER (15)
NBV Retired ccid to use if retirement results in a gain
NBV_RETIRED_LOSS_CCID NUMBER (15)
NBV Retired ccid to use if retirement results in a loss
PROCEEDS_SALE_GAIN_CCID NUMBER (15)
Proceeds of Sale ccid to use if retirement results in a gain
PROCEEDS_SALE_LOSS_CCID NUMBER (15)
Proceeds of Sale ccid to use if retirement results in a loss
COST_REMOVAL_GAIN_CCID NUMBER (15)
Cost of Removal ccid to use if retirement results in a gain
COST_REMOVAL_LOSS_CCID NUMBER (15)
Cost of Removal ccid to use if retirement results in a loss
PROCEEDS_SALE_CLEARING_CCID NUMBER (15)
Proceeds of Sale Clearing ccid
COST_REMOVAL_CLEARING_CCID NUMBER (15)
Cost of Removal Clearing ccid
REVAL_RSV_GAIN_ACCOUNT_CCID NUMBER (15)
Proceeds of Sale ccid to use if retirement results in a gain
REVAL_RSV_LOSS_ACCOUNT_CCID NUMBER (15)
Proceeds of Sale ccid to use if retirement results in a loss
DEFERRED_EXP_ACCOUNT_CCID NUMBER (15)
Expense account ccid to use for deferred depreciation
DEFERRED_RSV_ACCOUNT_CCID NUMBER (15)
Reserve account ccid to use for deferred depreciation
DEPRN_ADJ_ACCOUNT_CCID NUMBER (15)
Depreciation Adjustment ccid to use for tax reserve adjustments
REVAL_AMORT_ACCOUNT_CCID NUMBER (15)
Revaluation reserve amortization ccid
REVAL_RSV_ACCOUNT_CCID NUMBER (15)
Revaluation reserve ccid
BONUS_EXP_ACCOUNT_CCID NUMBER (15)
Expense account ccid to use for bonus depreciation
BONUS_RSV_ACCOUNT_CCID NUMBER (15)
Reserve account ccid to use for bonus depreciation
IMPAIR_EXPENSE_ACCOUNT_CCID NUMBER (15)
Expense account ccid to use for impairments
IMPAIR_RESERVE_ACCOUNT_CCID NUMBER (15)
Reserve account ccid to use for impairments
CAPITAL_ADJ_ACCOUNT_CCID NUMBER (15)
Capital Adjustment Account Code Combination ID
GENERAL_FUND_ACCOUNT_CCID NUMBER (15)
General Fund Account Code Combination ID
REVAL_LOSS_ACCOUNT_CCID NUMBER (15)
Reval Loss Account Code Combination ID
Query Text

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


SELECT BOOK_TYPE_CODE
,      DISTRIBUTION_ID
,      ASSET_COST_ACCOUNT_CCID
,      ASSET_CLEARING_ACCOUNT_CCID
,      DEPRN_EXPENSE_ACCOUNT_CCID
,      DEPRN_RESERVE_ACCOUNT_CCID
,      CIP_COST_ACCOUNT_CCID
,      CIP_CLEARING_ACCOUNT_CCID
,      LAST_UPDATE_DATE
,      LAST_UPDATED_BY
,      CREATED_BY
,      CREATION_DATE
,      LAST_UPDATE_LOGIN
,      NBV_RETIRED_GAIN_CCID
,      NBV_RETIRED_LOSS_CCID
,      PROCEEDS_SALE_GAIN_CCID
,      PROCEEDS_SALE_LOSS_CCID
,      COST_REMOVAL_GAIN_CCID
,      COST_REMOVAL_LOSS_CCID
,      PROCEEDS_SALE_CLEARING_CCID
,      COST_REMOVAL_CLEARING_CCID
,      REVAL_RSV_GAIN_ACCOUNT_CCID
,      REVAL_RSV_LOSS_ACCOUNT_CCID
,      DEFERRED_EXP_ACCOUNT_CCID
,      DEFERRED_RSV_ACCOUNT_CCID
,      DEPRN_ADJ_ACCOUNT_CCID
,      REVAL_AMORT_ACCOUNT_CCID
,      REVAL_RSV_ACCOUNT_CCID
,      BONUS_EXP_ACCOUNT_CCID
,      BONUS_RSV_ACCOUNT_CCID
,      IMPAIR_EXPENSE_ACCOUNT_CCID
,      IMPAIR_RESERVE_ACCOUNT_CCID
,      CAPITAL_ADJ_ACCOUNT_CCID
,      GENERAL_FUND_ACCOUNT_CCID
,      REVAL_LOSS_ACCOUNT_CCID
FROM FA.FA_DISTRIBUTION_ACCOUNTS;

Dependencies

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FA.FA_DISTRIBUTION_ACCOUNTS does not reference any database object

FA.FA_DISTRIBUTION_ACCOUNTS is referenced by following:

SchemaFA
ViewFA_DISTRIBUTION_ACCOUNTS#