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PACKAGE: APPS.CN_LEDGER_JOURNAL_ENTRIES_API
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1 PACKAGE CN_LEDGER_JOURNAL_ENTRIES_API AUTHID CURRENT_USER as
2 /* $Header: cnsbjes.pls 115.3 2001/10/29 17:12:39 pkm ship $ */
3
4 /*
5 Date Name Description
6 ---------------------------------------------------------------------------+
7 29-DEC-94 A. Lower Created package
8
9
10 Name : CN_LEDGER_JOURNAL_ENTRIES_API
11 Purpose : Holds functions for accessing and procedures for setting
12 properties of journal entries.
13
14 Notes :
15
16 */
17
18 --+
19 -- Procedure name
20 -- New_JE
21 -- Purpose
22 -- An API function which returns the journal entry ID of a newly created
23 -- entry.
24 --+
25
26 FUNCTION New_JE (X_batch_id NUMBER,
27 X_salesrep_id NUMBER,
28 X_period_id NUMBER,
29 X_account NUMBER,
30 X_credit NUMBER,
31 X_debit NUMBER,
32 X_date DATE) return NUMBER;
33
34 --+
35 -- Procedure name
36 -- New_JE
37 -- Purpose
38 -- An API function which returns the journal entry ID of a newly created
39 -- entry.
40 --+
41
42 FUNCTION New_JE (X_batch_id NUMBER,
43 X_salesrep_id NUMBER,
44 X_period_id NUMBER,
45 X_account NUMBER,
46 X_credit NUMBER,
47 X_debit NUMBER,
48 X_date DATE,
49 X_reason VARCHAR2) return NUMBER;
50
51 FUNCTION New_JE (X_batch_id NUMBER,
52 X_salesrep_id NUMBER,
53 X_period_id NUMBER,
54 x_role_id NUMBER,
55 x_credit_type_id NUMBER,
56 X_account NUMBER,
57 X_credit NUMBER,
58 X_debit NUMBER,
59 X_date DATE) return NUMBER;
60
61 PROCEDURE Names_From_IDs (X_batch_id NUMBER,
62 X_who_name IN OUT VARCHAR2,
63 X_reason IN OUT VARCHAR2,
64 X_posted IN OUT VARCHAR2,
65 X_srp_period_id NUMBER,
66 X_balance_id NUMBER,
67 X_salesrep_name IN OUT VARCHAR2,
68 X_account_name IN OUT VARCHAR2,
69 X_period_name IN OUT VARCHAR2,
70 X_salesrep_id IN OUT NUMBER,
71 X_period_id IN OUT NUMBER);
72
73 END CN_LEDGER_JOURNAL_ENTRIES_API;