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Object Name: | FA_MC_DEPRN_DETAIL |
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Object Type: | TABLE |
Owner: | FA |
FND Design Data: | ![]() |
Subobject Name: | |
Status: | VALID |
FA_MC_DEPRN_DETAIL is an MRC sub-table of FA_ DEPRN_DETAIL.
FA_MC_DEPRN_DETAIL stores currency and financial information about
asset depreciation in each reporting book.
Tablespace: | ![]() |
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PCT Free: | 10 |
PCT Used: |
Index | Type | Uniqueness | Tablespace | Column |
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FA_MC_DEPRN_DETAIL_U1 | NORMAL | UNIQUE |
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FA_MC_DEPRN_DETAIL_N1 | NORMAL | NONUNIQUE |
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Name | Datatype | Length | Mandatory | Comments |
---|---|---|---|---|
SET_OF_BOOKS_ID | NUMBER | (15) | Yes | Reporting set of books identification number for GL sets of books |
BOOK_TYPE_CODE | VARCHAR2 | (15) | Yes | Book name |
ASSET_ID | NUMBER | (15) | Yes | Asset identification number |
PERIOD_COUNTER | NUMBER | (15) | Yes | Depreciation period |
DISTRIBUTION_ID | NUMBER | (15) | Yes | Identifies the distribution line that contains the asset |
DEPRN_SOURCE_CODE | VARCHAR2 | (1) | Yes | Indicates whether the depreciation record was created by the Books window (B), by running the Depreciation program (D), or by the Member Asset Tracking functionality (T). |
DEPRN_RUN_DATE | DATE | Yes | Date depreciation was run | |
DEPRN_AMOUNT | NUMBER | Yes | Depreciation expense allocated to the distribution line for the current period | |
YTD_DEPRN | NUMBER | Yes | Year-to-date depreciation expense allocated to the distribution line | |
DEPRN_RESERVE | NUMBER | Yes | Depreciation reserve for the asset allocated to the distribution line | |
ADDITION_COST_TO_CLEAR | NUMBER | Asset cost in row for period before period you added the asset | ||
COST | NUMBER | Asset cost | ||
DEPRN_ADJUSTMENT_AMOUNT | NUMBER | Depreciation adjustment amount | ||
DEPRN_EXPENSE_JE_LINE_NUM | NUMBER | (15) | Journal entry line number in GL for depreciation expense | |
DEPRN_RESERVE_JE_LINE_NUM | NUMBER | (15) | Journal entry line number in GL for depreciation reserve | |
REVAL_AMORT_JE_LINE_NUM | NUMBER | (15) | Journal entry line number in GL for amortization of revaluation reserve | |
REVAL_RESERVE_JE_LINE_NUM | NUMBER | (15) | Journal entry line number in GL for revaluation reserve | |
JE_HEADER_ID | NUMBER | (15) | Journal entry header in general ledger | |
REVAL_AMORTIZATION | NUMBER | Amount of revaluation reserve amortized during this period | ||
REVAL_DEPRN_EXPENSE | NUMBER | Portion of depreciation expense due to revaluation of the asset cost. Oracle Assets does not create any journal entries for this amount. It is for reporting only | ||
REVAL_RESERVE | NUMBER | For a period in which this asset was revalued: change in net book value due to revaluation of the asset cost and sometimes also revaluation of depreciation reserve. For all other periods: revaluation reserve amount after depreciation run | ||
YTD_REVAL_DEPRN_EXPENSE | NUMBER | Year-to-date depreciation expense due to revaluation. Oracle Assets does not create any journal entries for this amount. It is for reporting only | ||
SOURCE_DEPRN_AMOUNT | NUMBER | Depreciation expense allocated to the distribution line for the current period in the primary functional currency | ||
SOURCE_YTD_DEPRN | NUMBER | Year-to-date depreciation expense, in the primary functional currency, allocated to the distribution line | ||
SOURCE_DEPRN_RESERVE | NUMBER | Depreciation reserve, in the primary functional currency, for the asset allocated to the distribution line | ||
SOURCE_ADDITION_COST_TO_CLEAR | NUMBER | Asset cost in primary functional currency in row, for the period before the period you added the asset | ||
SOURCE_DEPRN_ADJUSTMENT_AMOUNT | NUMBER | Depreciation adjustment amount in the primary functional currency | ||
SOURCE_REVAL_AMORTIZATION | NUMBER | Amount of revaluation reserve, in primary functional currency, amortized during this period | ||
SOURCE_REVAL_DEPRN_EXPENSE | NUMBER | Portion of depreciation expense, in the primary functional currency, due to revaluation of the asset cost. Oracle Assets does not create any journal entries for this amount. It is for reporting only. | ||
SOURCE_REVAL_RESERVE | NUMBER | For a period in which this asset was revalued: change in net book value due to revaluation of the asset cost and sometimes revaluation of depreciation reserve. For all other periods: revaluation reserve amount after depreciation run | ||
SOURCE_YTD_REVAL_DEPRN_EXPENSE | NUMBER | Year-to-date depreciation expense, in the primary functional currency, due to revaluation. Oracle Assets does not create any journal entries for this amount. It is for reporting only | ||
CONVERTED_FLAG | VARCHAR2 | (1) | Yes | Indicates whether amounts for this row have been converted to the reporting currency |
BONUS_DEPRN_AMOUNT | NUMBER | Bonus depreciation expense for this depreciation period. Amount included in deprn_amount | ||
BONUS_YTD_DEPRN | NUMBER | Bonus year-to-date depreciation expense. Amount included in ytd_deprn | ||
BONUS_DEPRN_RESERVE | NUMBER | Total bonus depreciation taken since the beginning of asset life. Amount included in deprn_reserve | ||
BONUS_DEPRN_ADJUSTMENT_AMOUNT | NUMBER | Bonus depreciation adjustment amount | ||
BONUS_DEPRN_EXP_JE_LINE_NUM | NUMBER | Journal entry line number in GL for bonus depreciation expense | ||
BONUS_DEPRN_RSV_JE_LINE_NUM | NUMBER | Journal entry line number in GL for bonus depreciation reserve | ||
DEPRN_EXPENSE_CCID | NUMBER | (15) | Code combination identifier for the distribution depreciation expense account. | |
DEPRN_RESERVE_CCID | NUMBER | (15) | Code combination identifier for the distribution depreciation reserve account. | |
BONUS_DEPRN_EXPENSE_CCID | NUMBER | (15) | Code combination identifier for the distribution bonus depreciation expense account | |
BONUS_DEPRN_RESERVE_CCID | NUMBER | (15) | Code combination identifier for the distribution bonus depreciation reserve account. | |
REVAL_AMORT_CCID | NUMBER | (15) | Code combination identifier for the distribution revaluation amortization account | |
REVAL_RESERVE_CCID | NUMBER | (15) | Code combination identifier for the distribution revaluation reserve account. | |
EVENT_ID | NUMBER | (38) | Event internal identifier | |
DEPRN_RUN_ID | NUMBER | (15) | Depreciation submission internal identifier | |
IMPAIRMENT_AMOUNT | NUMBER | Periodic Impairment amount | ||
YTD_IMPAIRMENT | NUMBER | Year-to-date Impairment amount | ||
IMPAIRMENT_RESERVE | NUMBER | (15) | Life-to-date Impairment amount | |
CAPITAL_ADJUSTMENT | NUMBER | Capital Adjustment Amount | ||
GENERAL_FUND | NUMBER | General Fund Amount |
Cut, paste (and edit) the following text to query this object:
SELECT SET_OF_BOOKS_ID
, BOOK_TYPE_CODE
, ASSET_ID
, PERIOD_COUNTER
, DISTRIBUTION_ID
, DEPRN_SOURCE_CODE
, DEPRN_RUN_DATE
, DEPRN_AMOUNT
, YTD_DEPRN
, DEPRN_RESERVE
, ADDITION_COST_TO_CLEAR
, COST
, DEPRN_ADJUSTMENT_AMOUNT
, DEPRN_EXPENSE_JE_LINE_NUM
, DEPRN_RESERVE_JE_LINE_NUM
, REVAL_AMORT_JE_LINE_NUM
, REVAL_RESERVE_JE_LINE_NUM
, JE_HEADER_ID
, REVAL_AMORTIZATION
, REVAL_DEPRN_EXPENSE
, REVAL_RESERVE
, YTD_REVAL_DEPRN_EXPENSE
, SOURCE_DEPRN_AMOUNT
, SOURCE_YTD_DEPRN
, SOURCE_DEPRN_RESERVE
, SOURCE_ADDITION_COST_TO_CLEAR
, SOURCE_DEPRN_ADJUSTMENT_AMOUNT
, SOURCE_REVAL_AMORTIZATION
, SOURCE_REVAL_DEPRN_EXPENSE
, SOURCE_REVAL_RESERVE
, SOURCE_YTD_REVAL_DEPRN_EXPENSE
, CONVERTED_FLAG
, BONUS_DEPRN_AMOUNT
, BONUS_YTD_DEPRN
, BONUS_DEPRN_RESERVE
, BONUS_DEPRN_ADJUSTMENT_AMOUNT
, BONUS_DEPRN_EXP_JE_LINE_NUM
, BONUS_DEPRN_RSV_JE_LINE_NUM
, DEPRN_EXPENSE_CCID
, DEPRN_RESERVE_CCID
, BONUS_DEPRN_EXPENSE_CCID
, BONUS_DEPRN_RESERVE_CCID
, REVAL_AMORT_CCID
, REVAL_RESERVE_CCID
, EVENT_ID
, DEPRN_RUN_ID
, IMPAIRMENT_AMOUNT
, YTD_IMPAIRMENT
, IMPAIRMENT_RESERVE
, CAPITAL_ADJUSTMENT
, GENERAL_FUND
FROM FA.FA_MC_DEPRN_DETAIL;
FA.FA_MC_DEPRN_DETAIL does not reference any database object
FA.FA_MC_DEPRN_DETAIL is referenced by following:
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