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VIEW: APPS.CE_222_RECONCILED_V

Object Details
Object Name: CE_222_RECONCILED_V
Object Type: VIEW
Owner: APPS
FND Design Data: ViewCE.CE_222_RECONCILED_V
Subobject Name:
Status: VALID

View Type

A public view which may be useful for custom reporting or other data
requirements.


The CE_222_RECONCILED_V view contains the AR cash receipt reconciliation information that is used for unreconciling. The reconciliation data selected in this view is consolidated with other transaction reconciliation data, such as GLjournal entries, if any, into the CE_RECONCILED_TRANSACTIONS_V view.


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Columns
Name Datatype Length Mandatory Comments
ROW_ID ROWID (10)
Database row identifier
MULTI_SELECT CHAR (1)
Column used internally
STATEMENT_LINE_ID NUMBER (15) Yes Statement line indentifier
BANK_ACCOUNT_ID NUMBER (15) Yes Bank account identifier
TRX_ID NUMBER (15) Yes Transaction identifier, cash receipt history identifier
TRX_TYPE VARCHAR2 (20)
Transaction type, RECEIPT
TYPE_MEANING VARCHAR2 (80)
Transaction type meaning, Receipt
TRX_NUMBER VARCHAR2 (30)
Transaction number, receipt number
CURRENCY_CODE VARCHAR2 (15) Yes Transaction currency code
TRX_CURRENCY_TYPE VARCHAR2 (10)
Transaction currency type
AMOUNT NUMBER

Transaction amount
BANK_ACCOUNT_AMOUNT NUMBER

Transaction amount in bank currency
AMOUNT_CLEARED NUMBER

Cleared amount in bank currency including bank charges and errors
GL_DATE DATE
Yes GL date
STATUS_DSP VARCHAR2 (80)
Transaction status description
STATUS VARCHAR2 (30)
Transaction status
TRX_DATE DATE
Yes Transaction date
CLEARED_DATE DATE
Yes Date this receipt was cleared
MATURITY_DATE DATE

Maturity date, due date
EXCHANGE_RATE_DATE DATE

Date used in determining currency exchange rate
EXCHANGE_RATE_TYPE VARCHAR2 (30)
Currency exchange rate type
EXCHANGE_RATE NUMBER

Currency exchange rate
BANK_CHARGES NUMBER

Bank charge amount
BANK_ERRORS NUMBER

Bank error amount, Null
BATCH_NAME VARCHAR2 (20)
Batch name
BATCH_ID NUMBER (15)
Batch identifier
AGENT_NAME VARCHAR2 (360)
Agent name, customer name
CUSTOMER_NAME VARCHAR2 (360)
Customer name
VENDOR_NAME VARCHAR2 (0)
Vendor name, Null
CUSTOMER_ID NUMBER (15)
Customer identifier
SUPPLIER_ID NUMBER

Vendor identifier, Null
REFERENCE_TYPE_DSP VARCHAR2 (80)
Reference type description
REFERENCE_TYPE VARCHAR2 (30)
Reference type
REFERENCE_ID NUMBER (15)
Reference identifier
CREATION_DATE DATE
Yes Standard Who column
CREATED_BY NUMBER (15) Yes Standard Who column
LAST_UPDATE_DATE DATE
Yes Standard Who column
LAST_UPDATED_BY NUMBER (15) Yes Standard Who column
STATEMENT_HEADER_ID NUMBER (15) Yes Statement identifier
CASH_RECEIPT_ID NUMBER (15) Yes Cash receipt identifier
BANK_BRANCH_ID NUMBER (15) Yes Bank branch identifier
RECEIPT_DATE DATE
Yes Receipt date
POSTED_FLAG VARCHAR2 (1)
GL posting flag
POSTED_DATE DATE

GL posting date
LINE_TYPE_MEANING VARCHAR2 (80) Yes Statement line type meaning
STATEMENT_LINE_NUMBER NUMBER (15) Yes Statement line number
STATEMENT_LINE_DATE DATE
Yes Statement line date
STATEMENT_LINE_AMOUNT NUMBER
Yes Statement line amount
STATEMENT_LINE_STATUS_MEANING VARCHAR2 (30) Yes Statement line status
STATEMENT_LINE_TYPE_MEANING VARCHAR2 (240)
Statement line Transaction Code type meaning
STATEMENT_HEADER_NUMBER VARCHAR2 (50) Yes Statement header number
STATEMENT_HEADER_DATE DATE
Yes Statement header date
BANK_ACCOUNT_NAME VARCHAR2 (100) Yes Bank account name
BANK_ACCOUNT_NUM VARCHAR2 (30)
Bank account number
BANK_CURRENCY_CODE VARCHAR2 (15)
Bank currency code
STATEMENT_DOC_SEQUENCE_VALUE NUMBER

Document sequence number
LINE_TRX_TYPE VARCHAR2 (30) Yes Line transaction type
REMITTANCE_NUMBER VARCHAR2 (30)
Remittance number, bank deposit number
CONTROL_END_BALANCE NUMBER

Statement control ending balance
APPLICATION_ID NUMBER

Application identifier, 222
COUNT_CLEARED NUMBER

Internal use
ACTUAL_AMOUNT_CLEARED NUMBER

Not used
CLEARING_TRX_TYPE VARCHAR2 (20)
Transaction type for clearing, CASH
REQUEST_ID NUMBER (15)
Reconciliation request identifier
INVOICE_TEXT VARCHAR2 (70)
Invoice Number
BANK_ACCOUNT_TEXT VARCHAR2 (60)
Customer bank account number
CUSTOMER_TEXT VARCHAR2 (80)
Customer name
VALUE_DATE DATE

Value date
CE_BANK_ACCT_USE_ID NUMBER (15) Yes Bank Account Use identifier
ORG_ID NUMBER (15)
Organization identifier
LEGAL_ENTITY_ID NUMBER

Legal Entity identifier
Query Text

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


SELECT ROW_ID
,      MULTI_SELECT
,      STATEMENT_LINE_ID
,      BANK_ACCOUNT_ID
,      TRX_ID
,      TRX_TYPE
,      TYPE_MEANING
,      TRX_NUMBER
,      CURRENCY_CODE
,      TRX_CURRENCY_TYPE
,      AMOUNT
,      BANK_ACCOUNT_AMOUNT
,      AMOUNT_CLEARED
,      GL_DATE
,      STATUS_DSP
,      STATUS
,      TRX_DATE
,      CLEARED_DATE
,      MATURITY_DATE
,      EXCHANGE_RATE_DATE
,      EXCHANGE_RATE_TYPE
,      EXCHANGE_RATE
,      BANK_CHARGES
,      BANK_ERRORS
,      BATCH_NAME
,      BATCH_ID
,      AGENT_NAME
,      CUSTOMER_NAME
,      VENDOR_NAME
,      CUSTOMER_ID
,      SUPPLIER_ID
,      REFERENCE_TYPE_DSP
,      REFERENCE_TYPE
,      REFERENCE_ID
,      CREATION_DATE
,      CREATED_BY
,      LAST_UPDATE_DATE
,      LAST_UPDATED_BY
,      STATEMENT_HEADER_ID
,      CASH_RECEIPT_ID
,      BANK_BRANCH_ID
,      RECEIPT_DATE
,      POSTED_FLAG
,      POSTED_DATE
,      LINE_TYPE_MEANING
,      STATEMENT_LINE_NUMBER
,      STATEMENT_LINE_DATE
,      STATEMENT_LINE_AMOUNT
,      STATEMENT_LINE_STATUS_MEANING
,      STATEMENT_LINE_TYPE_MEANING
,      STATEMENT_HEADER_NUMBER
,      STATEMENT_HEADER_DATE
,      BANK_ACCOUNT_NAME
,      BANK_ACCOUNT_NUM
,      BANK_CURRENCY_CODE
,      STATEMENT_DOC_SEQUENCE_VALUE
,      LINE_TRX_TYPE
,      REMITTANCE_NUMBER
,      CONTROL_END_BALANCE
,      APPLICATION_ID
,      COUNT_CLEARED
,      ACTUAL_AMOUNT_CLEARED
,      CLEARING_TRX_TYPE
,      REQUEST_ID
,      INVOICE_TEXT
,      BANK_ACCOUNT_TEXT
,      CUSTOMER_TEXT
,      VALUE_DATE
,      CE_BANK_ACCT_USE_ID
,      ORG_ID
,      LEGAL_ENTITY_ID
FROM APPS.CE_222_RECONCILED_V;

Dependencies

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APPS.CE_222_RECONCILED_V references the following:

SchemaAPPS
SynonymAR_BATCHES_ALL
SynonymAR_CASH_RECEIPTS_ALL
SynonymAR_CASH_RECEIPT_HISTORY_ALL
ViewAR_LOOKUPS
SynonymAR_PAYMENT_SCHEDULES_ALL
SynonymCE_BANK_ACCOUNTS
SynonymCE_BANK_ACCT_USES_ALL
ViewCE_LOOKUPS
SynonymCE_SECURITY_PROFILES_GT
SynonymCE_STATEMENT_HEADERS
SynonymCE_STATEMENT_LINES
SynonymCE_STATEMENT_RECONCILS_ALL
SynonymCE_SYSTEM_PARAMETERS
SynonymCE_TRANSACTION_CODES
SynonymGL_DAILY_CONVERSION_TYPES
SynonymGL_LEDGERS
SynonymHZ_CUST_ACCOUNTS
SynonymHZ_PARTIES
APPS.CE_222_RECONCILED_V is referenced by following:

SchemaAPPS
Package BodyCE_AUTO_BANK_MATCH - show dependent code
ViewCE_RECONCILED_TRANSACTIONS_V