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[Dependency Information]
Object Name: | PN_PAYMENT_ITEMS_V |
---|---|
Object Type: | VIEW |
Owner: | APPS |
FND Design Data: | ![]() |
Subobject Name: | |
Status: | VALID |
A supplementary view used to simplify forms coding.
Warning: Oracle does not recommend you query or alter datausing this view. It may change dramatically in subsequent minor or major
releases.
Name | Datatype | Length | Mandatory | Comments |
---|---|---|---|---|
ROW_ID | ROWID | (10) | ||
PAYMENT_ITEM_ID | NUMBER | Uniquely identifies a payment or a billing item row. | ||
LAST_UPDATE_DATE | DATE | Standard Who column - date when a user last updated this row. | ||
LAST_UPDATED_BY | NUMBER | Standard who column - user who last updated this row (foreign key to FND_USER.USER_ID). | ||
CREATION_DATE | DATE | Standard who column - user who last updated this row (foreign key to FND_USER.USER_ID). | ||
CREATED_BY | NUMBER | Standard who column - user who created this row (foreign key to FND_USER.USER_ID). | ||
LAST_UPDATE_LOGIN | NUMBER | Standard who column - operating system login of user who last updated this row (foreign key to FND_LOGINS.LOGIN_ID). | ||
DUE_DATE | DATE | Due date of a payment or billing item | ||
SET_OF_BOOKS_ID | NUMBER | General Ledger Set of Books used. Associates the row in GL_SETS_OF_BOOKS with the payment or billing item row. | ||
CURRENCY_CODE | VARCHAR2 | (15) | Functional currency code. | |
RATE | NUMBER | Currency conversion rate | ||
PAYMENT_ITEM_TYPE_LOOKUP_CODE | VARCHAR2 | (30) | Identifies the type of payment or billing item. Valid values: CASH and NORMALIZED. | |
PAYMENT_SCHEDULE_ID | NUMBER | Associates the payment schedule row in PN_PAYMENT_SCHEDULES_ALL with the payment or billing item row | ||
PAYMENT_TERM_ID | NUMBER | Associates the payment term row in PN_PAYMENT_TERMS_ALL with the payment or billing item row | ||
VENDOR_ID | NUMBER | Associates the row in PO_VENDORS with the payment or billing item. The data element is null for a billing item row. | ||
VENDOR_SITE_ID | NUMBER | Associates the row in PO_VENDOR_SITES with the payment or billing item. The data element is null for a billing item row. | ||
CUSTOMER_ID | NUMBER | Associates the customer row in HZ_CUST_ACCOUNTS with the transaction row. The data element is null for a payment item row. | ||
CUSTOMER_SITE_USE_ID | NUMBER | Associates the customer's bill to site with the transaction row. The data element is null for a payment item row. | ||
ACTUAL_AMOUNT | NUMBER | Actual amount to be paid or billed | ||
ESTIMATED_AMOUNT | NUMBER | The estimate amount to be paid or billed | ||
ACCOUNTED_AMOUNT | NUMBER | Holds value of actual amount in functional currency, converted using user defined conversion type | ||
ACCOUNTED_DATE | DATE | The date on which the accounted amount is calculated. | ||
PERIOD_FRACTION | NUMBER | Reserved for rent calculation. Please do not use. | ||
DESCRIPTION | VARCHAR2 | (50) | Obsolete. To be deleted | |
COMMENTS | VARCHAR2 | (240) | Obsolete. To be deleted | |
TRANSFERRED_TO_AP_FLAG | VARCHAR2 | (1) | Identifies whether this transaction has been transferred to Oracle Accounts Payable interface tables. Valid values: Y - Transferred, N- Not Transferred. The data element is null for a billing item row. | |
AP_INVOICE_NUM | VARCHAR2 | (50) | Stores the invoice number generated by Oracle Accounts Payable for a payment item. The data element is null for a billing item row. | |
ENTERED_BY_LEASE | VARCHAR2 | (1) | Identify whether this transaction was created through the lease process or during Authorizing payment or billing items. Valid values: N - Not created by lease, NULL - Created by lease. | |
CUST_SHIP_SITE_ID | NUMBER | (15) | Customer Site Id for customer ship to site. | |
CUST_SHIP_SITE_USE | VARCHAR2 | (40) | Site use identifier | |
PAYMENT_PURPOSE | VARCHAR2 | (80) | Identifies the purpose of the term, for example whether it is for rent, operating expense, insurance, etc. | |
PAYMENT_TERM_TYPE | VARCHAR2 | (80) | Identifies the type of the term, fore example, base, escalation, pre-payment, etc. | |
ONE_TIME | VARCHAR2 | (1) | The frequency of the term, specifying how often this term will come into effect, for example, monthly, annually, etc. | |
CODE_COMBINATION_ID | NUMBER | Associates the account id in GL_CODE_COMBINATIONS table with the lease term | ||
TERM_NORMALIZE_FLAG | VARCHAR2 | (1) | Identify whether the Items related to the term need to be Normalized. valid Values: Y - Normalize, N - Don not Normalize | |
TERM_ACTUAL_AMOUNT | NUMBER | The amount to be paid or billed | ||
TERM_ESTIMATED_AMOUNT | NUMBER | The estimated amount to be paid or billed | ||
VENDOR_NAME | VARCHAR2 | (240) | Supplier name | |
VENDOR_NUMBER | VARCHAR2 | (30) | Supplier number | |
CUSTOMER_NUMBER | VARCHAR2 | (30) | Account Number | |
VENDOR_SITE | VARCHAR2 | (15) | Site code name | |
TAX_FLAG | VARCHAR2 | (0) | Tax Flag | |
CUSTOMER_NAME | VARCHAR2 | (360) | Name of this party | |
CUSTOMER_SITE_USE | VARCHAR2 | (40) | Site use identifier | |
GROUPING_RULE_ID | NUMBER | (15) | Associates the grouping rule name in PN_PAY_GROUP_RULES_ALL with the payment item. | |
INV_GROUP_NAME | VARCHAR2 | (30) | Grouping rule name | |
ADJ_START_DATE | DATE | Start Date of adjustment item created. | ||
ADJ_END_DATE | DATE | End Date of adjustment item created | ||
LAST_ADJUSTMENT_TYPE_CODE | VARCHAR2 | (30) | Code for last Adjustment Type, as a result of which the adjustment item has been created. | |
ATTRIBUTE_CATEGORY | VARCHAR2 | (30) | Descriptive flexfield structure definition 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 | |
CUST_TRX_TYPE_ID | NUMBER | (15) | Transaction Type Id to be passed to AR. | |
DISTRIBUTION_SET_ID | NUMBER | (15) | Distribution Set Id to be passed into AP. | |
AP_AR_TERM_ID | NUMBER | (15) | Payment Term Id for calculation of Term date. | |
PROJECT_ID | NUMBER | (15) | Project Id for calculating account id in AP. | |
TASK_ID | NUMBER | (15) | Task Id for calculating account id in AP. | |
ORGANIZATION_ID | NUMBER | (15) | Organization Id for calculating account id in AP. | |
EXPENDITURE_TYPE | VARCHAR2 | (30) | Expenditure Type for calculating Account Id in AP. | |
EXPENDITURE_ITEM_DATE | DATE | Expenditure Item Date for calculating Account Id in AP. | ||
TAX_GROUP_ID | NUMBER | (15) | Tax Group Id for AP. | |
TAX_CODE_ID | NUMBER | (15) | Tax Code Id for AP/AR. | |
TAX_INCLUDED | VARCHAR2 | (1) | Tax included is an indicator to show that tax is included or not. | |
INV_RULE_ID | NUMBER | (15) | Invoice Rule Id to be passed into AR. | |
ACCOUNT_RULE_ID | NUMBER | (15) | Accounting Rule Id to be passed into AR. | |
SALESREP_ID | NUMBER | (15) | Salesperson Id to be passed into AR | |
CUST_PO_NUMBER | VARCHAR2 | (50) | Status of Index Payment Term. | |
RECEIPT_METHOD_ID | NUMBER | (15) | Receipt Method Id. | |
TERM_TEMPLATE_ID | NUMBER | (15) | Term Template ID of Term Template, which is used to default term details at term level | |
ORG_ID | NUMBER | (15) | Organization identifier | |
TAX_CLASSIFICATION_CODE | VARCHAR2 | (30) | Tax Classification Code | |
TCC_PAYMENT | VARCHAR2 | (80) | Tax Classification for a Payment Term | |
TCC_BILLING | VARCHAR2 | (80) | Tax Classification for a Billing Term |
Cut, paste (and edit) the following text to query this object:
SELECT ROW_ID
, PAYMENT_ITEM_ID
, LAST_UPDATE_DATE
, LAST_UPDATED_BY
, CREATION_DATE
, CREATED_BY
, LAST_UPDATE_LOGIN
, DUE_DATE
, SET_OF_BOOKS_ID
, CURRENCY_CODE
, RATE
, PAYMENT_ITEM_TYPE_LOOKUP_CODE
, PAYMENT_SCHEDULE_ID
, PAYMENT_TERM_ID
, VENDOR_ID
, VENDOR_SITE_ID
, CUSTOMER_ID
, CUSTOMER_SITE_USE_ID
, ACTUAL_AMOUNT
, ESTIMATED_AMOUNT
, ACCOUNTED_AMOUNT
, ACCOUNTED_DATE
, PERIOD_FRACTION
, DESCRIPTION
, COMMENTS
, TRANSFERRED_TO_AP_FLAG
, AP_INVOICE_NUM
, ENTERED_BY_LEASE
, CUST_SHIP_SITE_ID
, CUST_SHIP_SITE_USE
, PAYMENT_PURPOSE
, PAYMENT_TERM_TYPE
, ONE_TIME
, CODE_COMBINATION_ID
, TERM_NORMALIZE_FLAG
, TERM_ACTUAL_AMOUNT
, TERM_ESTIMATED_AMOUNT
, VENDOR_NAME
, VENDOR_NUMBER
, CUSTOMER_NUMBER
, VENDOR_SITE
, TAX_FLAG
, CUSTOMER_NAME
, CUSTOMER_SITE_USE
, GROUPING_RULE_ID
, INV_GROUP_NAME
, ADJ_START_DATE
, ADJ_END_DATE
, LAST_ADJUSTMENT_TYPE_CODE
, ATTRIBUTE_CATEGORY
, ATTRIBUTE1
, ATTRIBUTE2
, ATTRIBUTE3
, ATTRIBUTE4
, ATTRIBUTE5
, ATTRIBUTE6
, ATTRIBUTE7
, ATTRIBUTE8
, ATTRIBUTE9
, ATTRIBUTE10
, ATTRIBUTE11
, ATTRIBUTE12
, ATTRIBUTE13
, ATTRIBUTE14
, ATTRIBUTE15
, CUST_TRX_TYPE_ID
, DISTRIBUTION_SET_ID
, AP_AR_TERM_ID
, PROJECT_ID
, TASK_ID
, ORGANIZATION_ID
, EXPENDITURE_TYPE
, EXPENDITURE_ITEM_DATE
, TAX_GROUP_ID
, TAX_CODE_ID
, TAX_INCLUDED
, INV_RULE_ID
, ACCOUNT_RULE_ID
, SALESREP_ID
, CUST_PO_NUMBER
, RECEIPT_METHOD_ID
, TERM_TEMPLATE_ID
, ORG_ID
, TAX_CLASSIFICATION_CODE
, TCC_PAYMENT
, TCC_BILLING
FROM APPS.PN_PAYMENT_ITEMS_V;
APPS.PN_PAYMENT_ITEMS_V is not referenced by any database object
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