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VIEW: APPS.PN_PAYMENT_ITEMS_V

Object Details
Object Name: PN_PAYMENT_ITEMS_V
Object Type: VIEW
Owner: APPS
FND Design Data: ViewPN.PN_PAYMENT_ITEMS_V
Subobject Name:
Status: VALID

View Type

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.

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Columns
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
Query Text

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;

Dependencies

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APPS.PN_PAYMENT_ITEMS_V references the following:

SchemaAPPS
PL/SQL PackageFND_GLOBAL - show dependent code
ViewFND_LOOKUPS
SynonymFND_LOOKUP_VALUES
SynonymHZ_CUST_ACCOUNTS_ALL
SynonymHZ_CUST_SITE_USES_ALL
SynonymHZ_PARTIES
SynonymPN_LEASES_ALL
SynonymPN_PAYMENT_ITEMS
SynonymPN_PAYMENT_TERMS_ALL
SynonymPN_PAY_GROUP_RULES
ViewPO_VENDORS
ViewPO_VENDOR_SITES_ALL

APPS.PN_PAYMENT_ITEMS_V is not referenced by any database object