[Home] [Help]
[Dependency Information]
| Object Name: | XTR_BANK_ACCOUNTS# |
|---|---|
| Object Type: | VIEW |
| Owner: | XTR |
| Subobject Name: | |
| Status: | VALID |
| Name | Datatype | Length | Mandatory | Comments |
|---|---|---|---|---|
| ACCOUNT_NUMBER | VARCHAR2 | (20) | Yes | |
| AUDIT_INDICATOR | VARCHAR2 | (1) | ||
| AUTHORISED | VARCHAR2 | (1) | ||
| BANK_CODE | VARCHAR2 | (7) | ||
| BANK_NAME | VARCHAR2 | (50) | ||
| BANK_SHORT_CODE | VARCHAR2 | (80) | Yes | |
| CASHFLOWS_TO_CURRENT_DATE | NUMBER | |||
| CREATED_BY | VARCHAR2 | (30) | Yes | |
| CREATED_ON | DATE | Yes | ||
| CURRENCY | VARCHAR2 | (15) | Yes | |
| CURRENT_CASHFLOW_DATE | DATE | |||
| DEFAULT_ACCT | VARCHAR2 | (1) | ||
| DIRECT_DEBIT_AUTHORITY | VARCHAR2 | (1) | ||
| EFT_SCRIPT_NAME | VARCHAR2 | (50) | ||
| EFT_SCRIPT_OUTPUT_PATH | VARCHAR2 | (50) | ||
| CODE_COMBINATION_ID | NUMBER | (15) | ||
| GL_COMPANY_CODE | VARCHAR2 | (7) | ||
| INTEREST_CALCULATION_BASIS | VARCHAR2 | (4) | ||
| INTEREST_RATE | NUMBER | |||
| INTERNAL_PTY | VARCHAR2 | (1) | ||
| LOCATION | VARCHAR2 | (35) | Yes | |
| LIMIT_CODE | VARCHAR2 | (7) | ||
| OPENING_BALANCE | NUMBER | |||
| OPENING_BAL_HCE | NUMBER | |||
| PARTY_CODE | VARCHAR2 | (7) | Yes | |
| PARTY_PRIN_CCID | NUMBER | (15) | ||
| PARTY_INT_CCID | NUMBER | (15) | ||
| PARTY_TYPE | VARCHAR2 | (2) | ||
| PORTFOLIO_CODE | VARCHAR2 | (7) | ||
| PRIMARY_SETTLEMENT_METHOD | VARCHAR2 | (15) | ||
| PROJECTED_BALANCE | NUMBER | |||
| PROJECTED_BALANCE_DATE | DATE | |||
| PROJECTED_BALANCE_UPDATED_ON | DATE | |||
| SETOFF | VARCHAR2 | (5) | ||
| SETOFF_ACCOUNT_YN | VARCHAR2 | (1) | ||
| SETOFF_COMPANY | VARCHAR2 | (7) | ||
| STATEMENT_DATE | DATE | |||
| STREET | VARCHAR2 | (35) | Yes | |
| SUB_ACCOUNT_AT | VARCHAR2 | (100) | ||
| SUB_ACCOUNT_NUMBER | VARCHAR2 | (20) | ||
| UPDATED_BY | VARCHAR2 | (30) | ||
| UPDATED_ON | DATE | |||
| DOMICILED_CURRENCY | VARCHAR2 | (15) | ||
| YEAR_CALC_TYPE | VARCHAR2 | (15) | ||
| SWIFT_ID | VARCHAR2 | (50) | ||
| ATTRIBUTE_CATEGORY | VARCHAR2 | (30) | ||
| ATTRIBUTE1 | VARCHAR2 | (150) | ||
| ATTRIBUTE2 | VARCHAR2 | (150) | ||
| ATTRIBUTE3 | VARCHAR2 | (150) | ||
| ATTRIBUTE4 | VARCHAR2 | (150) | ||
| ATTRIBUTE5 | VARCHAR2 | (150) | ||
| ATTRIBUTE6 | VARCHAR2 | (150) | ||
| ATTRIBUTE7 | VARCHAR2 | (150) | ||
| ATTRIBUTE8 | VARCHAR2 | (150) | ||
| ATTRIBUTE9 | VARCHAR2 | (150) | ||
| ATTRIBUTE10 | VARCHAR2 | (150) | ||
| ATTRIBUTE11 | VARCHAR2 | (150) | ||
| ATTRIBUTE12 | VARCHAR2 | (150) | ||
| ATTRIBUTE13 | VARCHAR2 | (150) | ||
| ATTRIBUTE14 | VARCHAR2 | (150) | ||
| ATTRIBUTE15 | VARCHAR2 | (150) | ||
| AP_BANK_ACCOUNT_ID | NUMBER | (38) | ||
| ROUNDING_TYPE | VARCHAR2 | (1) | ||
| DAY_COUNT_TYPE | VARCHAR2 | (1) | ||
| PRICING_MODEL | VARCHAR2 | (30) | ||
| LEGAL_ACCOUNT_NAME | VARCHAR2 | (240) | ||
| TARGET_BALANCE | NUMBER | |||
| CASHFLOW_DISPLAY_ORDER | NUMBER | |||
| DUMMY_BANK_ACCOUNT_ID | NUMBER | |||
| BANK_BRANCH_ID | NUMBER | (15) | ||
| BANK_ACCT_USE_ID | NUMBER | (15) | ||
| MAX_TARGET_BALANCE | NUMBER | |||
| CASHPOOL_MIN_PAYMENT_AMT | NUMBER | |||
| CASHPOOL_MIN_RECEIPT_AMT | NUMBER | |||
| CASHPOOL_ROUND_FACTOR | NUMBER | |||
| CASHPOOL_ROUND_RULE | VARCHAR2 | (1) | ||
| CASHPOOL_ID | NUMBER | (15) | ||
| CE_BANK_ACCOUNT_ID | NUMBER | (15) | ||
| IBAN | VARCHAR2 | (50) |
Cut, paste (and edit) the following text to query this object:
SELECT ACCOUNT_NUMBER
, AUDIT_INDICATOR
, AUTHORISED
, BANK_CODE
, BANK_NAME
, BANK_SHORT_CODE
, CASHFLOWS_TO_CURRENT_DATE
, CREATED_BY
, CREATED_ON
, CURRENCY
, CURRENT_CASHFLOW_DATE
, DEFAULT_ACCT
, DIRECT_DEBIT_AUTHORITY
, EFT_SCRIPT_NAME
, EFT_SCRIPT_OUTPUT_PATH
, CODE_COMBINATION_ID
, GL_COMPANY_CODE
, INTEREST_CALCULATION_BASIS
, INTEREST_RATE
, INTERNAL_PTY
, LOCATION
, LIMIT_CODE
, OPENING_BALANCE
, OPENING_BAL_HCE
, PARTY_CODE
, PARTY_PRIN_CCID
, PARTY_INT_CCID
, PARTY_TYPE
, PORTFOLIO_CODE
, PRIMARY_SETTLEMENT_METHOD
, PROJECTED_BALANCE
, PROJECTED_BALANCE_DATE
, PROJECTED_BALANCE_UPDATED_ON
, SETOFF
, SETOFF_ACCOUNT_YN
, SETOFF_COMPANY
, STATEMENT_DATE
, STREET
, SUB_ACCOUNT_AT
, SUB_ACCOUNT_NUMBER
, UPDATED_BY
, UPDATED_ON
, DOMICILED_CURRENCY
, YEAR_CALC_TYPE
, SWIFT_ID
, ATTRIBUTE_CATEGORY
, ATTRIBUTE1
, ATTRIBUTE2
, ATTRIBUTE3
, ATTRIBUTE4
, ATTRIBUTE5
, ATTRIBUTE6
, ATTRIBUTE7
, ATTRIBUTE8
, ATTRIBUTE9
, ATTRIBUTE10
, ATTRIBUTE11
, ATTRIBUTE12
, ATTRIBUTE13
, ATTRIBUTE14
, ATTRIBUTE15
, AP_BANK_ACCOUNT_ID
, ROUNDING_TYPE
, DAY_COUNT_TYPE
, PRICING_MODEL
, LEGAL_ACCOUNT_NAME
, TARGET_BALANCE
, CASHFLOW_DISPLAY_ORDER
, DUMMY_BANK_ACCOUNT_ID
, BANK_BRANCH_ID
, BANK_ACCT_USE_ID
, MAX_TARGET_BALANCE
, CASHPOOL_MIN_PAYMENT_AMT
, CASHPOOL_MIN_RECEIPT_AMT
, CASHPOOL_ROUND_FACTOR
, CASHPOOL_ROUND_RULE
, CASHPOOL_ID
, CE_BANK_ACCOUNT_ID
, IBAN
FROM XTR.XTR_BANK_ACCOUNTS#;
XTR
XTR_BANK_ACCOUNTS
APPS
XTR_AU_BANK_ACCOUNTS_T
XTR_BANK_ACCOUNTS
|
|
|
|