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TABLE: OZF.OZF_SYS_PARAMETERS_ALL

Object Details
Object Name: OZF_SYS_PARAMETERS_ALL
Object Type: TABLE
Owner: OZF
FND Design Data: TableOZF.OZF_SYS_PARAMETERS_ALL
Subobject Name:
Status: VALID


OZF_SYS_PARAMETERS_ALL stores the system parameters for General Ledger interface


Storage Details
Tablespace: TablespaceAPPS_TS_SEED
PCT Free: 10
PCT Used:
Indexes
Index Type Uniqueness Tablespace Column
OZF_SYS_PARAMETERS_ALL_U1 NORMAL UNIQUE TablespaceAPPS_TS_SEED ColumnORG_ID
ColumnSET_OF_BOOKS_ID
OZF_SYS_PARAMETERS_ALL_N1 NORMAL NONUNIQUE TablespaceAPPS_TS_SEED ColumnSET_OF_BOOKS_ID
Columns
Name Datatype Length Mandatory Comments
SET_OF_BOOKS_ID NUMBER
Yes Set Of Books Unique identifier
OBJECT_VERSION_NUMBER NUMBER (9) Yes Sequential number used for database locking control when using HTML as a user interface
LAST_UPDATE_DATE DATE
Yes Standard WHO Column
LAST_UPDATED_BY NUMBER (15) Yes Standard WHO Column
CREATION_DATE DATE
Yes Standard WHO Column
CREATED_BY NUMBER (15) Yes Standard WHO Column
LAST_UPDATE_LOGIN NUMBER (15)
Standard WHO Column
REQUEST_ID NUMBER (15)
Standard WHO Column
PROGRAM_APPLICATION_ID NUMBER (15)
Standard WHO Column
PROGRAM_UPDATE_DATE DATE

Standard WHO Column
PROGRAM_ID NUMBER (15)
Standard WHO Column
CREATED_FROM VARCHAR2 (30)
Standard WHO Column
POST_TO_GL VARCHAR2 (1) Yes Indicated whether transactions will be posted to General Ledger
TRANSFER_TO_GL_IN VARCHAR2 (1) Yes Indicatess whether the transter to General Ledger is complete
AP_PAYMENT_TERM_ID NUMBER

AP Payment term Identifier
ROUNDING_LEVEL_FLAG VARCHAR2 (1)
Rounding level flag
GL_ID_ROUNDING NUMBER

General Ledger Rounding Account Identifier
GL_ID_DED_CLEARING NUMBER

General Ledger Deduction Clearing Account Identifier
GL_ID_DED_ADJ NUMBER

General Ledger Deduction Adjustment Account Identifier
GL_ID_ACCR_PROMO_LIAB NUMBER

General Ledger Accural Promotion Account Identifier
GL_ID_DED_ADJ_CLEARING NUMBER

General Ledger Deduction Adjustment Clearing Account Identifier
BILLBACK_TRX_TYPE_ID NUMBER

Debit Transaction Type Identifier
CM_TRX_TYPE_ID NUMBER

Credit Transaction Type Identifier
ATTRIBUTE_CATEGORY VARCHAR2 (150)
Descriptive Flexfield Structure Defining Column
ATTRIBUTE1 VARCHAR2 (150)
Descriptive Flexfield segment
ATTRIBUTE2 VARCHAR2 (150)
Descriptive Flexfield segment
ATTRIBUTE3 VARCHAR2 (150)
Descriptive Flexfield segment
ATTRIBUTE4 VARCHAR2 (150)
Descriptive Flexfield segment
ATTRIBUTE5 VARCHAR2 (150)
Descriptive Flexfield segment
ATTRIBUTE6 VARCHAR2 (150)
Descriptive Flexfield segment
ATTRIBUTE7 VARCHAR2 (150)
Descriptive Flexfield segment
ATTRIBUTE8 VARCHAR2 (150)
Descriptive Flexfield segment
ATTRIBUTE9 VARCHAR2 (150)
Descriptive Flexfield segment
ATTRIBUTE10 VARCHAR2 (150)
Descriptive Flexfield segment
ATTRIBUTE11 VARCHAR2 (150)
Descriptive Flexfield segment
ATTRIBUTE12 VARCHAR2 (150)
Descriptive Flexfield segment
ATTRIBUTE13 VARCHAR2 (150)
Descriptive Flexfield segment
ATTRIBUTE14 VARCHAR2 (150)
Descriptive Flexfield segment
ATTRIBUTE15 VARCHAR2 (150)
Descriptive Flexfield segment
ORG_ID NUMBER

Organization Identifier
SECURITY_GROUP_ID NUMBER

Used in hosted environments
GL_REC_DED_ACCOUNT NUMBER

General Ledger Receivables Deduction Account Identifier
GL_REC_CLEARING_ACCOUNT NUMBER

General Ledger Receivables Clearing Account Identifier
AUTOPAY_REASON_CODE_ID NUMBER

Autopay reason code identifier
ACCOUNTING_METHOD_OPTION VARCHAR2 (25)
Accounting method option
GL_DATE_TYPE VARCHAR2 (30)
GL Date type used for defaulting on settlement
DAYS_DUE NUMBER

Grace days due for settling claims
CLAIM_TYPE_ID NUMBER

Claim type identifier used in defaulting deductions
REASON_CODE_ID NUMBER

Reason Code identifier used in defaulting deductions
AUTOPAY_CLAIM_TYPE_ID NUMBER

Claim type identifier used in defaulting autopay
AUTOPAY_FLAG VARCHAR2 (1)
Indicates whether autopay is made
AUTOPAY_PERIODICITY NUMBER

Duration in numbers for autopay
AUTOPAY_PERIODICITY_TYPE VARCHAR2 (30)
Duration type for autopay
BATCH_SOURCE_ID NUMBER

Receivables Batch Source
PAYABLES_SOURCE VARCHAR2 (30)
Payables Source for Invoice import
DEFAULT_OWNER_ID NUMBER

Default owner for imported claims
AUTO_ASSIGN_FLAG VARCHAR2 (1)
Flag to indicate if auto assignment is enabled using territories - assignment manager for claim owner
EXCHANGE_RATE_TYPE VARCHAR2 (30)
Default Exchange rate type used when creating claims
ORDER_TYPE_ID NUMBER

Transaction type id from Order Management
GL_BALANCING_FLEX_VALUE VARCHAR2 (150)
General Legder Balancing Segment Value
CB_TRX_TYPE_ID NUMBER

Chargeback Transaction Type Identifier
ADJ_REC_TRX_ID NUMBER

Receivables Activity Identifier for Transaction Write-off Activity
WO_REC_TRX_ID NUMBER

Receivables Activity Identifier for Deduction Write-off
NEG_WO_REC_TRX_ID NUMBER

Receivables Activity Identifier for Overpayment Write-off
POS_WRITE_OFF_THRESHOLD NUMBER

Write-off threshold for overpayments
NEG_WRITE_OFF_THRESHOLD NUMBER

Write-off threshold for Deduction
GL_ACCT_FOR_OFFINV_FLAG VARCHAR2 (1)
Indicates if posting to GL happens for Off-invoice discounts
PRORATE_EARNINGS_FLAG VARCHAR2 (1)
Indicates if earnings should be prorated among products
UN_EARNED_PAY_ALLOW_TO VARCHAR2 (30)
Flag that indicates whether payment of unearned earnings is allowed
UN_EARNED_PAY_THOLD_TYPE VARCHAR2 (30)
Threshold type for payment of unearned earnings
UN_EARNED_PAY_THOLD_AMOUNT NUMBER

Threshold amount for payment of unearned earnings
UN_EARNED_PAY_THOLD_FLAG VARCHAR2 (1)
Flag that indicates whether the threshold for unearned earnings can be overriden
HEADER_TOLERANCE_OPERAND NUMBER

Header tolerance operand
HEADER_TOLERANCE_CALC_CODE VARCHAR2 (30)
Header tolearance calculation code
LINE_TOLERANCE_OPERAND NUMBER

Line level tolerance operand
LINE_TOLERANCE_CALC_CODE VARCHAR2 (30)
Line tolerance calculation code
SHIP_DEBIT_ACCRUAL_FLAG VARCHAR2 (1)
Flag that Indicates whether to Create Accruals On Chargeback Claims
SHIP_DEBIT_CALC_TYPE VARCHAR2 (30)
Chargeback Calculation Basis Chargeback Calculation Basis
INVENTORY_TRACKING_FLAG VARCHAR2 (1)
Inventory Tracking Flag
END_CUST_RELATION_FLAG VARCHAR2 (1)
Create Relationship Between End User and Wholesaler
AUTO_TP_ACCRUAL_FLAG VARCHAR2 (1)
Run Third Party Accrual After Chargeback Calculation
QUOTA_UNIT VARCHAR2 (1)
SALES_CREDIT_DEFAULT_TYPE VARCHAR2 (30)
Sales Credit Default Type
NET_AMT_FOR_MASS_SETTLE_FLAG VARCHAR2 (1)
Route Mass Settlement Approval Based on Net Amount
CLAIM_TAX_INCL_FLAG VARCHAR2 (240)
Value will determins if claims and debit claims will be tax inclusive
GL_CONTRA_LIABILITY_ACCT NUMBER

General Ledger Contra Liability Account Identifier
GL_COST_ADJUSTMENT_ACCT NUMBER

General Ledger Cost Adjustment Account Identifier
GL_PP_ACCRUAL_ACCT NUMBER

General Ledger Price Protection Accrual Account Identifier
RULE_BASED VARCHAR2 (1)
Rule Based
APPROVAL_NEW_CREDIT VARCHAR2 (1)
Approval New Credit
APPROVAL_MATCHED_CREDIT VARCHAR2 (1)
Approval Matched Credit
CUST_NAME_MATCH_TYPE VARCHAR2 (50)
Cust Name Match Type
CREDIT_MATCHING_THOLD_TYPE VARCHAR2 (50)
Credit Matching Thold Type
CREDIT_TOLERANCE_OPERAND NUMBER

Credit Tolerance Operand
AUTOMATE_NOTIFICATION_DAYS NUMBER

Automate Notification Days
SSD_INC_ADJ_TYPE_ID NUMBER

Ship & Debit Increase Adjustment Type Identifier
SSD_DEC_ADJ_TYPE_ID NUMBER

Ship & Debit Decrease Adjustment Type Identifier
SSD_IMD_CLAIM_FLAG VARCHAR2 (1)
Flag for allowing immediate claims for Supplier Ship and Debit Batch
Query Text

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


SELECT SET_OF_BOOKS_ID
,      OBJECT_VERSION_NUMBER
,      LAST_UPDATE_DATE
,      LAST_UPDATED_BY
,      CREATION_DATE
,      CREATED_BY
,      LAST_UPDATE_LOGIN
,      REQUEST_ID
,      PROGRAM_APPLICATION_ID
,      PROGRAM_UPDATE_DATE
,      PROGRAM_ID
,      CREATED_FROM
,      POST_TO_GL
,      TRANSFER_TO_GL_IN
,      AP_PAYMENT_TERM_ID
,      ROUNDING_LEVEL_FLAG
,      GL_ID_ROUNDING
,      GL_ID_DED_CLEARING
,      GL_ID_DED_ADJ
,      GL_ID_ACCR_PROMO_LIAB
,      GL_ID_DED_ADJ_CLEARING
,      BILLBACK_TRX_TYPE_ID
,      CM_TRX_TYPE_ID
,      ATTRIBUTE_CATEGORY
,      ATTRIBUTE1
,      ATTRIBUTE2
,      ATTRIBUTE3
,      ATTRIBUTE4
,      ATTRIBUTE5
,      ATTRIBUTE6
,      ATTRIBUTE7
,      ATTRIBUTE8
,      ATTRIBUTE9
,      ATTRIBUTE10
,      ATTRIBUTE11
,      ATTRIBUTE12
,      ATTRIBUTE13
,      ATTRIBUTE14
,      ATTRIBUTE15
,      ORG_ID
,      SECURITY_GROUP_ID
,      GL_REC_DED_ACCOUNT
,      GL_REC_CLEARING_ACCOUNT
,      AUTOPAY_REASON_CODE_ID
,      ACCOUNTING_METHOD_OPTION
,      GL_DATE_TYPE
,      DAYS_DUE
,      CLAIM_TYPE_ID
,      REASON_CODE_ID
,      AUTOPAY_CLAIM_TYPE_ID
,      AUTOPAY_FLAG
,      AUTOPAY_PERIODICITY
,      AUTOPAY_PERIODICITY_TYPE
,      BATCH_SOURCE_ID
,      PAYABLES_SOURCE
,      DEFAULT_OWNER_ID
,      AUTO_ASSIGN_FLAG
,      EXCHANGE_RATE_TYPE
,      ORDER_TYPE_ID
,      GL_BALANCING_FLEX_VALUE
,      CB_TRX_TYPE_ID
,      ADJ_REC_TRX_ID
,      WO_REC_TRX_ID
,      NEG_WO_REC_TRX_ID
,      POS_WRITE_OFF_THRESHOLD
,      NEG_WRITE_OFF_THRESHOLD
,      GL_ACCT_FOR_OFFINV_FLAG
,      PRORATE_EARNINGS_FLAG
,      UN_EARNED_PAY_ALLOW_TO
,      UN_EARNED_PAY_THOLD_TYPE
,      UN_EARNED_PAY_THOLD_AMOUNT
,      UN_EARNED_PAY_THOLD_FLAG
,      HEADER_TOLERANCE_OPERAND
,      HEADER_TOLERANCE_CALC_CODE
,      LINE_TOLERANCE_OPERAND
,      LINE_TOLERANCE_CALC_CODE
,      SHIP_DEBIT_ACCRUAL_FLAG
,      SHIP_DEBIT_CALC_TYPE
,      INVENTORY_TRACKING_FLAG
,      END_CUST_RELATION_FLAG
,      AUTO_TP_ACCRUAL_FLAG
,      QUOTA_UNIT
,      SALES_CREDIT_DEFAULT_TYPE
,      NET_AMT_FOR_MASS_SETTLE_FLAG
,      CLAIM_TAX_INCL_FLAG
,      GL_CONTRA_LIABILITY_ACCT
,      GL_COST_ADJUSTMENT_ACCT
,      GL_PP_ACCRUAL_ACCT
,      RULE_BASED
,      APPROVAL_NEW_CREDIT
,      APPROVAL_MATCHED_CREDIT
,      CUST_NAME_MATCH_TYPE
,      CREDIT_MATCHING_THOLD_TYPE
,      CREDIT_TOLERANCE_OPERAND
,      AUTOMATE_NOTIFICATION_DAYS
,      SSD_INC_ADJ_TYPE_ID
,      SSD_DEC_ADJ_TYPE_ID
,      SSD_IMD_CLAIM_FLAG
FROM OZF.OZF_SYS_PARAMETERS_ALL;

Dependencies

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OZF.OZF_SYS_PARAMETERS_ALL does not reference any database object

OZF.OZF_SYS_PARAMETERS_ALL is referenced by following:

SchemaOZF
ViewOZF_SYS_PARAMETERS_ALL#