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TABLE: FA.FA_JOURNAL_ENTRIES

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

***** Warning: Oracle Internal Use Only *****

Oracle Corporation does not support access to Oracle
applications data using this object, except from standard Oracle Applications programs.

Storage Details
Tablespace: TablespaceAPPS_TS_TX_DATA
PCT Free: 10
PCT Used:
Indexes
Index Type Uniqueness Tablespace Column
FA_JOURNAL_ENTRIES_U1 NORMAL UNIQUE TablespaceAPPS_TS_TX_IDX ColumnCJE_ID
FA_JOURNAL_ENTRIES_N1 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnSET_OF_BOOKS_ID
ColumnBOOK_TYPE_CODE
ColumnPERIOD_COUNTER
Columns
Name Datatype Length Mandatory Comments
CJE_ID NUMBER (15) Yes Entity identifier
SET_OF_BOOKS_ID NUMBER (15) Yes Set of books identification for GL set of books
BOOK_TYPE_CODE VARCHAR2 (15) Yes Book name
PERIOD_COUNTER NUMBER
Yes Period journal entries was run
ADDITION_BATCH_ID NUMBER (15)
Identifies the batch of journal entries posted to GL for capitalized asset additions
ADJUSTMENT_BATCH_ID NUMBER (15)
Identifies the batch of journal entries posted to GL for adjustments to capitalized assets
DEPRECIATION_BATCH_ID NUMBER (15)
Identifies the batch of journal entries posted to GL for depreciation expense and reserve
RECLASS_BATCH_ID NUMBER (15)
Identifies the batch of journal entries posted to GL for reclassifications of capitalized assets
RETIREMENT_BATCH_ID NUMBER (15)
Identifies the batch of journal entries posted to GL for retirements of capitalized assets
REVAL_BATCH_ID NUMBER (15)
Identifies the batch of journal entries posted to GL for revaluations of capitalized assets
TRANSFER_BATCH_ID NUMBER (15)
Identifies the batch of journal entries posted to GL for transfers of capitalized assets
CIP_ADDITION_BATCH_ID NUMBER (15)
Identifies the batch of journal entries posted to GL for CIP asset additions
CIP_ADJUSTMENT_BATCH_ID NUMBER (15)
Identifies the batch of journal entries posted to GL for adjustments to CIP assets
CIP_RECLASS_BATCH_ID NUMBER (15)
Identifies the batch of journal entries posted to GL for reclassifications to CIP assets
CIP_RETIREMENT_BATCH_ID NUMBER (15)
Identifies the batch of journal entries posted to GL for retirements of CIP assets
CIP_REVAL_BATCH_ID NUMBER (15)
Identifies the batch of journal entries posted to GL for revaluations of CIP assets
CIP_TRANSFER_BATCH_ID NUMBER (15)
Identifies the batch of journal entries posted to GL for transfers of CIP assets
DEPRN_ADJUSTMENT_BATCH_ID NUMBER (15)
Identifies the batch of journal entries posted to GL for depreciation adjustments of capitalized assets in tax books
JE_STATUS VARCHAR2 (1) Yes Status of the journal entry run C: Complete S: Submitted R: Running E: Error B: rolled Back
CREATED_BY NUMBER (15) Yes Standard Who column
CREATION_DATE DATE
Yes Standard Who column
LAST_UPDATED_BY NUMBER (15) Yes Standard Who column
LAST_UPDATE_LOGIN NUMBER (15)
Standard Who column
LAST_UPDATE_DATE DATE
Yes Standard Who column
ADDITION_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for assets Addition.additions.
ADJUSTMENT_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for capitalized assets adjustments.
DEPRECIATION_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for the depreciation of capitalized assets.
RECLASS_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for the reclassification of capitalized assets.
RETIREMENT_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for the retirement of capitalized assets.
REVAL_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for the revaluation of capitalized assets.
TRANSFER_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for the transfer of capitalized assets.
CIP_ADDITION_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for CIP assets additions.
CIP_ADJUSTMENT_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for CIP assets adjustments.
CIP_DEPRECIATION_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for CIP assets depreciation.
CIP_RECLASS_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for the reclassification of CIP assets.
CIP_RETIREMENT_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for CIP assets retirements.
CIP_REVAL_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for the revlauation of CIP assets.
CIP_TRANSFER_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for the transfer of CIP assets.
DEPRN_ADJUSTMENT_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for the depreciation adjustments of capitalized assets in tax books.
DEFERRED_DEPRN_GROUP_ID NUMBER (15)
System generated group identifier indicating the corresponding lines in the General Ledger Interface table for the deferred depreciation of assets.
DEFERRED_DEPRN_BATCH_ID NUMBER (15)
Identifies the batch of journal entries posted to General Ledger for deferred depreciation.
Query Text

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


SELECT CJE_ID
,      SET_OF_BOOKS_ID
,      BOOK_TYPE_CODE
,      PERIOD_COUNTER
,      ADDITION_BATCH_ID
,      ADJUSTMENT_BATCH_ID
,      DEPRECIATION_BATCH_ID
,      RECLASS_BATCH_ID
,      RETIREMENT_BATCH_ID
,      REVAL_BATCH_ID
,      TRANSFER_BATCH_ID
,      CIP_ADDITION_BATCH_ID
,      CIP_ADJUSTMENT_BATCH_ID
,      CIP_RECLASS_BATCH_ID
,      CIP_RETIREMENT_BATCH_ID
,      CIP_REVAL_BATCH_ID
,      CIP_TRANSFER_BATCH_ID
,      DEPRN_ADJUSTMENT_BATCH_ID
,      JE_STATUS
,      CREATED_BY
,      CREATION_DATE
,      LAST_UPDATED_BY
,      LAST_UPDATE_LOGIN
,      LAST_UPDATE_DATE
,      ADDITION_GROUP_ID
,      ADJUSTMENT_GROUP_ID
,      DEPRECIATION_GROUP_ID
,      RECLASS_GROUP_ID
,      RETIREMENT_GROUP_ID
,      REVAL_GROUP_ID
,      TRANSFER_GROUP_ID
,      CIP_ADDITION_GROUP_ID
,      CIP_ADJUSTMENT_GROUP_ID
,      CIP_DEPRECIATION_GROUP_ID
,      CIP_RECLASS_GROUP_ID
,      CIP_RETIREMENT_GROUP_ID
,      CIP_REVAL_GROUP_ID
,      CIP_TRANSFER_GROUP_ID
,      DEPRN_ADJUSTMENT_GROUP_ID
,      DEFERRED_DEPRN_GROUP_ID
,      DEFERRED_DEPRN_BATCH_ID
FROM FA.FA_JOURNAL_ENTRIES;

Dependencies

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FA.FA_JOURNAL_ENTRIES does not reference any database object

FA.FA_JOURNAL_ENTRIES is referenced by following:

SchemaFA
ViewFA_JOURNAL_ENTRIES#