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TABLE: OKL.OKL_LINES_INTERFACE

Object Details
Object Name: OKL_LINES_INTERFACE
Object Type: TABLE
Owner: OKL
FND Design Data: TableOKL.OKL_LINES_INTERFACE
Subobject Name:
Status: VALID


OKL_LINES_INTERFACE stores information used to create contract line detail during Lease contract open interface import.
Note that one row in this table creates, during import process, one top line and more than one contract sub-line.
rep:scope public
Product: OKL
Display Name: OKL Contract Line Open Interface
Category: BUSINESS_ENTITY OKL_CONTRACT
Lifecycle: active


Storage Details
Tablespace: TablespaceAPPS_TS_INTERFACE
PCT Free: 10
PCT Used:
Indexes
Index Type Uniqueness Tablespace Column
OKL_LINES_INTERFACE_N1 NORMAL NONUNIQUE TablespaceAPPS_TS_INTERFACE ColumnCONTRACT_NUMBER_OLD
ColumnLINE_NUMBER
Columns
Name Datatype Length Mandatory Comments
CONTRACT_NUMBER_OLD VARCHAR2 (30) Yes Legacy Contract number. Used to link contract line records with imported contract.
LINE_NUMBER NUMBER
Yes Line number
LINE_TYPE VARCHAR2 (30) Yes Contract line type. Valid values are 'ASSET', 'SERVICE', 'FEE', 'USAGE'.
ASSET_NUMBER VARCHAR2 (15)
Asset number
LINK_ASSET_NUMBER VARCHAR2 (15)
For linking line to an asset line. Not in use.
ORIGINAL_COST NUMBER

Asset original unti cost.
TOTAL_UNITS NUMBER

Number of units of the asset.
AMOUNT NUMBER

Amount
STATUS VARCHAR2 (40)
Status
DATE_APPROVED DATE

Date of Approval.
DATE_SIGNED DATE

Date singed.
CURRENCY_CODE VARCHAR2 (3)
Currency code
INVENTORY_ORGANIZATION_NAME VARCHAR2 (240)
Inventory organization Name. Validated against HR_ALL_ORGANIZATION_UNITS.
INVENTORY_ORGANIZATION_ID NUMBER

Inventory organization ID. Validated against HR_ALL_ORGANIZATION_UNITS.
INVENTORY_ITEM_NAME VARCHAR2 (1000)
Inventory item Name. Validated against MTL_SYSTEM_ITEMS.SEGMENT1.
INVENTORY_ITEM_ID NUMBER

Inventory item ID. Validated against MTL_SYSTEM_ITEMS..
DESCRIPTION VARCHAR2 (1995)
User entered description
MODEL VARCHAR2 (40)
Asset model number.
MAKE VARCHAR2 (360)
Asset make.
YEAR_OF_MANUFACTURE NUMBER

Asset year of manufacture.
INSTALL_SITE_NUMBER VARCHAR2 (30)
Name of address installed at. Validated against OKX_PARTY_SITE_USES_V.PARTY_SITE_NUMBER with site use type as 'INSTALL_AT'.
INSTALL_SITE_ID NUMBER

ID of address installed at. Validated against OKX_PARTY_SITE_USES_V.ID1 with site use type as 'INSTALL_AT'.
RESIDUAL_PERCENT NUMBER

Residual value percent of total OEC for line.
RESIDUAL_AMOUNT NUMBER

Residual value amount.
RESIDUAL_AMOUNT_GUARANTEE NUMBER

Amount of residual value guaranteed.
RESIDUAL_AMOUNT_GUARANTEE_PV NUMBER

PV of residual guarantee amount.
GUARANTOR_TYPE_CODE VARCHAR2 (30)
Guarantor type for residual guarantee.
TRADE_IN_AMOUNT NUMBER

Trade in amount applied as capital reduction.
CAPITAL_REDUCTION_PERCENT NUMBER

Percent of direct capital reduction.
CAPITAL_REDUCTION_AMOUNT NUMBER

Amount of direct capital reduction.
INTERIM_INT_CAPITALIZED_AMT NUMBER

Amount of interim interest capitalized with asset line.
ASSET_CORPORATE_BOOK VARCHAR2 (15)
Name of corporate book post asset line in FA
ASSET_CATEGORY_SEGMENT1 VARCHAR2 (30)
Flexfield category segment in FA.
ASSET_CATEGORY_SEGMENT2 VARCHAR2 (30)
Flexfield category segment in FA.
ASSET_CATEGORY_SEGMENT3 VARCHAR2 (30)
Flexfield category segment in FA.
ASSET_CATEGORY_SEGMENT4 VARCHAR2 (30)
Flexfield category segment in FA.
ASSET_CATEGORY_SEGMENT5 VARCHAR2 (30)
Flexfield category segment in FA.
ASSET_CATEGORY_SEGMENT6 VARCHAR2 (30)
Flexfield category segment in FA.
ASSET_CATEGORY_SEGMENT7 VARCHAR2 (30)
Flexfield category segment in FA.
ASSET_CATEGORY_ID NUMBER

ID of asset category to assign asset in FA.
ASSET_LOCATION_SEGMENT1 VARCHAR2 (30)
Flexfield location segment in FA.
ASSET_LOCATION_SEGMENT2 VARCHAR2 (30)
Flexfield location segment in FA.
ASSET_LOCATION_SEGMENT3 VARCHAR2 (30)
Flexfield location segment in FA.
ASSET_LOCATION_SEGMENT4 VARCHAR2 (30)
Flexfield location segment in FA.
ASSET_LOCATION_SEGMENT5 VARCHAR2 (30)
Flexfield location segment in FA.
ASSET_LOCATION_SEGMENT6 VARCHAR2 (30)
Flexfield location segment in FA.
ASSET_LOCATION_SEGMENT7 VARCHAR2 (30)
Flexfield location segment in FA.
ASSET_LOCATION_ID NUMBER

ID of location to assign asset in FA.
DEPRECIATION_METHOD_ID NUMBER

Asset depreciation method ID.
DEPRECIATION_METHOD_CODE VARCHAR2 (12)
Asset depreciation method code.
LIFE_IN_MONTHS NUMBER

Depreciable life in months.
DEPRECIATION_RATE NUMBER

Depreciation rate.
SALVAGE_VALUE NUMBER

Amount of salvage value.
SALVAGE_VALUE_PERCENT NUMBER

Percentt of salvage value.
SALES_TAX_EXEMPT_FLAG VARCHAR2 (1)
Sales tax exempt flag. Valid values are 'Y' or 'N'.
SALES_TAX_EXEMPT_CERT_NUMBER VARCHAR2 (50)
Sales tax exempt certificate number.
SALES_TAX_OVERRIDE_FLAG VARCHAR2 (1)
Sales tax override flag. Valid values are 'Y' or 'N'.
SALES_TAX_OVERRIDE_RATE NUMBER

Sales tax override rate.
VAT_TAX_EXEMPT VARCHAR2 (1)
VAT tax exempt flag. Valid values are 'Y' or 'N'.
VAT_TAX_EXEMPT_CERT_NUMBER VARCHAR2 (50)
VAT tax exempt certificate number.
VAT_TAX_OVERRIDE_FLAG VARCHAR2 (1)
VAT tax override flag. Valid values are 'Y' or 'N'.
VAT_TAX_OVERRIDE_RATE NUMBER

VAT tax override rate.
LIEN_TYPE VARCHAR2 (30)
Type of lien on asset.
LIEN_FILING_NUMBER VARCHAR2 (50)
Lien filing number.
LIEN_FILING_DATE DATE

Lien filing date.
LIEN_FILING_STATUS VARCHAR2 (30)
Lien filing status.
LIENHOLDER_ID NUMBER

Lien holder ID. Validated against OKX_PARTIES_V.ID1.
LIENHOLDER_NUMBER VARCHAR2 (360)
Lien holder number. Validated against OKX_PARTIES_V.PARTY_NUMBER.
FILING_JURISDICTION VARCHAR2 (50)
Primary jurisdiction where lien is filed.
FILING_SUB_JURISDICTION VARCHAR2 (50)
Sub jurisdiction where lien is filed.
LIEN_EXPIRATION_DATE DATE

Date lien expires.
LIEN_CONTINUATION_NUMBER VARCHAR2 (50)
Number of lien continuation (filing extension).
LIEN_CONTINUATION_DATE DATE

Date extension is filed.
TITLE_TYPE VARCHAR2 (30)
Type of title for asset.
TITLE_ISSUER_NUMBER VARCHAR2 (60)
Title issuer number. Validated against OKX_PARTIES_V.PARTY_NUMBER.
TITLE_ISSUER_ID NUMBER

Title issuer ID. Validated against OKX_PARTIES_V.ID1.
TITLE_DATE DATE

Date on title.
TITLE_NUMBER VARCHAR2 (50)
Title number.
REGISTRATION_NUMBER VARCHAR2 (150)
Asset registration number.
ASSET_REGISTRATION_LOC_NAME VARCHAR2 (50)
Asset registration location name.
TITLE_CUSTODIAN_NAME VARCHAR2 (30)
Title custodian name.
PAYEE_SITE_NAME VARCHAR2 (240)
Payee site name.
SERIAL_NUMBER VARCHAR2 (100)
Serial number.
VENDOR_INVOICE_NUMBER VARCHAR2 (30)
Vendor invoice number.
VENDOR_INVOICE_DATE DATE

Vendor invoice date.
SHIP_TO_SITE_NUMBER VARCHAR2 (240)
Ship to site address. Validated against OKX_PARTY_SITE_USES_V.PARTY_SITE_NUMBER with site use type as 'SHIP_TO'.
SHIP_TO_SITE_ID NUMBER

Ship to site address ID. Validated against OKX_PARTY_SITE_USES_V.ID1 with site use type as 'SHIP_TO'.
START_DATE DATE

Start date
END_DATE DATE

End date
PASSTHROUGH_PERCENT NUMBER

Passthrough amount in percent.
PASSTHROUGH_BASIS_CODE VARCHAR2 (30)
Passthrough basis code.
FEE_CODE VARCHAR2 (150)
Stream type source for fee. Validated against OKL_STRMTYP_SOURCE_V.CODE.
USAGE_ITEM_NAME VARCHAR2 (1000)
Usage item name for Usage based billing. Validated against OKX_SYSTEM_ITEMS_V.NAME with usage item flag as 'Y'.
USAGE_ITEM_ID NUMBER

Usage item ID for Usage based billing. Validated against OKX_SYSTEM_ITEMS_V.ID1 with usage item flag as 'Y'.
PRICE_LIST_NAME VARCHAR2 (240)
Price list name for Usage based billing. Validated against OKX_LIST_HEADERS_V.NAME with list type code as 'PRL'.
PRICE_LIST_ID NUMBER

Price list ID for Usage based billing. Validated against OKX_LIST_HEADERS_V.ID1 with list type code as 'PRL'.
COUNTER_GROUP_NAME VARCHAR2 (30)
Counter group name for Usage based billing.
COUNTER_GROUP_ID NUMBER

Counter group ID for Usage based billing.
USAGE_BILL_FREQUENCY_CODE VARCHAR2 (30)
Usage bill frequency code.
MINIMUM_QTY_USAGE NUMBER

Minimum quantity to bill for in Usage based billing for the period.
DEFAULT_QTY_USAGE NUMBER

Default to bill for if reading not obtained for the current period.
AMCV_FLAG VARCHAR2 (1)
AMCV flag. Valid values are 'Y' or 'N'. If Y then bill based on average meter reading.
LEVEL_FLAG VARCHAR2 (1)
Level flag. Valid values are 'Y' or 'N'. If 'Y' then do levelling for counters for a usage line.
BASE_READING NUMBER

Base reading.
BASE_READING_UOM_CODE VARCHAR2 (3)
Base reading unit of measure. Validated against OKX_TUOM_V.UOM_CODE.
REAL_EST_INIT_DIRECT_COST NUMBER

Initial direct cost for real estate asset.
REAL_EST_OCCUPANCY NUMBER

Occupancy number for real estate asset
REAL_EST_DATE_LAST_INSP DATE

Last inspection date for real estate asset.
REAL_EST_DATE_NEXT_INSP DATE

Next inspection date for real estate asset.
REAL_EST_WTD_AVG_LIFE NUMBER

Weighted average life (in years) of real estate asset.
REAL_EST_BOND_EQ_YIELD NUMBER

Bond yield equivalent tp yield on real estate asset.
REAL_EST_REFINANCE_AMT NUMBER

Refinanced amount for real estate asset.
REAL_EST_CREDIT_TENANT_FLAG VARCHAR2 (1)
Tenant providing credit indicator for real estate asset.
REAL_EST_PROPERTY_CLASS_CODE VARCHAR2 (30)
Property class code of real estate asset.
REAL_EST_COVERAGE_RATIO NUMBER

Coverage ratio of real estate asset.
REAL_EST_NET_CASH_FLOW NUMBER

Net cash flow on real estate asset.
REAL_EST_FUNDING_CATG_CODE VARCHAR2 (30)
Funding category code for real estate asset.
REAL_EST_APPRAISAL_FLAG VARCHAR2 (1)
Appraisal indicator for real estate asset.
REAL_EST_APPRAISAL_DATE DATE

Date of appraisal for reat estate asset.
REAL_EST_APPRAISAL_VALUE NUMBER

Value of appraisal for reat estate asset.
REAL_EST_CONCEPT_TYPE_CODE VARCHAR2 (30)
Concept type of real estate asset.
REAL_EST_DEAL_TYPE_CODE VARCHAR2 (30)
Deal type of real estate asset.
REAL_EST_GROSS_FOOTAGE NUMBER

Gross footage of real estate asset.
REAL_EST_NET_FOOTAGE_RENTABLE NUMBER

Net rentable footage of real estate asset.
REAL_EST_LETTER_ACCEPT_DATE DATE

Date of letter acceptance for real estate asset.
REAL_EST_ACCEPT_EXPIRE_DATE DATE

Date acceptance expires for real estate asset.
CAPITALIZED_INTEREST NUMBER

Capitalized interest.
TAX_COST NUMBER

Cost at Tax book.
TAX_BOOK VARCHAR2 (15)
Name of Tax book.
LIFE_IN_MONTHS_TAX NUMBER

Life in months in tax book.
DEPRN_METHOD_TAX VARCHAR2 (12)
Depreciation method in tax book.
DEPRN_RATE_TAX NUMBER

Depreciation rate in tax book.
PAYMENT_TERM VARCHAR2 (50)
Not in use.
PAYMENT_TERM_ID NUMBER

Not in use.
VENDOR_PAYSITE_ID NUMBER

Not in use.
VENDOR_PAYSITE_NAME VARCHAR2 (15)
Not in use.
VENDOR_PAYMENT_METHOD VARCHAR2 (30)
Not in use.
FEE_EXP_NO_OF_PERIODS NUMBER

Number of periods for fee expense.
FEE_EXP_FREQUENCY VARCHAR2 (80)
Frequecy for fee expense.
FEE_EXP_AMOUNT_PER_PERIOD NUMBER

Fee expense amount per period.
PROP_TAX_APPLICABLE VARCHAR2 (3)
Property Tax applicable flag. Valid values are 'Y' or 'N'.
PROP_TAX_LEASE_REP VARCHAR2 (3)
Property Tax Lease Reporting Flag. Valid values are 'Y' or 'N'.
FRENCH_TAX_CODE VARCHAR2 (30)
Localization French Tax - Tax Professionale Code.
FRENCH_TAX_NAME VARCHAR2 (150)
Localization - French Tax Professionale name
USAGE_TYPE_CODE VARCHAR2 (30)
Usage type code at Usage line level
FIXED_USAGE_QUANTITY NUMBER

Fixed quantity, mandatory when Usage type is Fixed per period
INITIAL_DIRECT_COST NUMBER

Initial direct cost for Fee line. Should not be greater than Fee Line amount
IN_SERVICE_DATE DATE

Asset date placed in service
LINK_ASSET_AMOUNT NUMBER

Service or fee linked asset amount
FEE_TYPE VARCHAR2 (30)
Fee type for financed fees
DEPRECIATION_COST NUMBER

Not being used. This column is left for future use only.
USAGE_PERIOD VARCHAR2 (3)
Usage Periiod (Used to create Service contract payment schedule)
USAGE_NO_OF_PERIOD NUMBER

Usage Number of Periods (Used to create Service contract Payment schedule)
ASSET_KEY_ID NUMBER

Identifier of Asset Key flexfield in FA
ASSET_KEY_SEGMENT1 VARCHAR2 (30)
Flexfield asset key segment of FA
ASSET_KEY_SEGMENT2 VARCHAR2 (30)
Flexfield asset key segment of FA
ASSET_KEY_SEGMENT3 VARCHAR2 (30)
Flexfield asset key segment of FA
ASSET_KEY_SEGMENT4 VARCHAR2 (30)
Flexfield asset key segment of FA
ASSET_KEY_SEGMENT5 VARCHAR2 (30)
Flexfield asset key segment of FA
ASSET_KEY_SEGMENT6 VARCHAR2 (30)
Flexfield asset key segment of FA
ASSET_KEY_SEGMENT7 VARCHAR2 (30)
Flexfield asset key segment of FA
ASSET_KEY_SEGMENT8 VARCHAR2 (30)
Flexfield asset key segment of FA
ASSET_KEY_SEGMENT9 VARCHAR2 (30)
Flexfield asset key segment of FA
ASSET_KEY_SEGMENT10 VARCHAR2 (30)
Flexfield asset key segment of FA
TERMINATION_QUOTE_ID NUMBER

Termination Quote Identifier
TERMINATION_QUOTE_NUMBER NUMBER

Termination Quote Number
PROP_TAX_BILL_METHOD VARCHAR2 (35)
Billing method code for Property Tax
PROP_TAX_AS_CONTRACT_YN VARCHAR2 (1)
Flag to indicate default property tax rule from contract header
STREAM_PURPOSE_CODE VARCHAR2 (35)
The purpose code of the stream type
EXPLICIT_NEW_LINE_FLAG VARCHAR2 (1)
Flag to indicate creation of new line
SUBSIDY_ID NUMBER

Asset Subsidy identifier
SUBSIDY_NAME VARCHAR2 (30)
Asset Subsidy Number
SUBSIDY_OVERRIDE_AMOUNT NUMBER

Amount to override default subsidy value
SUBSIDY_PARTY_ID NUMBER

Subsidy Party identifier
SUBSIDY_PARTY_NAME VARCHAR2 (240)
Subsidy Party Name
SUBSIDY_REFND_PAYSITE_ID NUMBER

Subsidy party payment site identifier
SUBSIDY_REFND_PAYSITE_CODE VARCHAR2 (15)
Subsidy party payment site code
SUBSIDY_REFND_PAYTERM_ID NUMBER

Subsidy Payment term identifier
SUBSIDY_REFND_PAYTERM_NAME VARCHAR2 (50)
Subsidy Payment term name
SUBSIDY_REFND_PAYMETHOD_CODE VARCHAR2 (30)
Subsidy Payment method code
SUBSIDY_REFND_PAYGROUP_CODE VARCHAR2 (30)
Subsidy Pay group Code
PTH_BASE_PAYOUT_BASIS VARCHAR2 (30)
Pass through Base term payout basis
PTH_BASE_STREAM_CODE VARCHAR2 (150)
Pass through base term stream type code
PTH_BASE_STREAM_PURPOSE_CODE VARCHAR2 (30)
Pass through base term stream purpose code
PTH_START_DATE DATE

Pass through Start Date
PTH_EVG_PAYOUT_BASIS VARCHAR2 (30)
Pass through evergreen term payout basis
PTH_PAYOUT_BASIS_FORMULA VARCHAR2 (150)
Pass through payout basis formula
PTH_EVG_STREAM_CODE VARCHAR2 (150)
Pass through evergreen term stream type code
PTH_EVG_STREAM_PURPOSE_CODE VARCHAR2 (30)
Pass through evergreen term stream purpose code
ST_UPDATE_LINES_FROM_CONTRACT VARCHAR2 (1)
Update sales tax parameters from contract flag
ST_TRANSFER_OF_TITLE VARCHAR2 (1)
Sales tax transfer of title flag
ST_SALE_AND_LEASE_BACK VARCHAR2 (1)
Sales Tax Sale and Lease back flag
ST_PURCHASE_OF_LEASE VARCHAR2 (1)
Sales Tax Purchase of Lease flag
ST_EQUIPMENT_USAGE VARCHAR2 (30)
Sales Tax usage of equipment
ST_EQUIPMENT_AGE NUMBER

Sales Tax age of equipment
FEE_PURPOSE_CODE VARCHAR2 (30)
Sales Tax Fee Line stream purpose code
ST_ASSET_UPFRONT_TAX VARCHAR2 (30)
Sales tax upfront tax type code
ATTRIBUTE_CATEGORY VARCHAR2 (150)
Descriptive flexfield category column
ATTRIBUTE1 VARCHAR2 (150)
Descriptive column
ATTRIBUTE2 VARCHAR2 (150)
Descriptive column
ATTRIBUTE3 VARCHAR2 (150)
Descriptive column
ATTRIBUTE4 VARCHAR2 (150)
Descriptive column
ATTRIBUTE5 VARCHAR2 (150)
Descriptive column
ATTRIBUTE6 VARCHAR2 (150)
Descriptive column
ATTRIBUTE7 VARCHAR2 (150)
Descriptive column
ATTRIBUTE8 VARCHAR2 (150)
Descriptive column
ATTRIBUTE9 VARCHAR2 (150)
Descriptive column
ATTRIBUTE10 VARCHAR2 (150)
Descriptive column
ATTRIBUTE11 VARCHAR2 (150)
Descriptive column
ATTRIBUTE12 VARCHAR2 (150)
Descriptive column
ATTRIBUTE13 VARCHAR2 (150)
Descriptive column
ATTRIBUTE14 VARCHAR2 (150)
Descriptive column
ATTRIBUTE15 VARCHAR2 (150)
Descriptive column
DOWN_PAYMENT_RECEIVER_CODE VARCHAR2 (30)
Down Payment Receiver Code
CAPITALIZE_DOWN_PAYMENT_YN VARCHAR2 (3)
Capitalize Down Payment Yes or No
DATE_FUNDING_EXPECTED DATE

Expected Funding Date
ORIGINATION_INCOME NUMBER

Origination Income
AMOUNT_BALANCE_LEGACY NUMBER

Balance amount in legacy system
DT_EFFECTIVE_BALANCE_LEGACY DATE

Effective date of balance in legacy system
Query Text

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


SELECT CONTRACT_NUMBER_OLD
,      LINE_NUMBER
,      LINE_TYPE
,      ASSET_NUMBER
,      LINK_ASSET_NUMBER
,      ORIGINAL_COST
,      TOTAL_UNITS
,      AMOUNT
,      STATUS
,      DATE_APPROVED
,      DATE_SIGNED
,      CURRENCY_CODE
,      INVENTORY_ORGANIZATION_NAME
,      INVENTORY_ORGANIZATION_ID
,      INVENTORY_ITEM_NAME
,      INVENTORY_ITEM_ID
,      DESCRIPTION
,      MODEL
,      MAKE
,      YEAR_OF_MANUFACTURE
,      INSTALL_SITE_NUMBER
,      INSTALL_SITE_ID
,      RESIDUAL_PERCENT
,      RESIDUAL_AMOUNT
,      RESIDUAL_AMOUNT_GUARANTEE
,      RESIDUAL_AMOUNT_GUARANTEE_PV
,      GUARANTOR_TYPE_CODE
,      TRADE_IN_AMOUNT
,      CAPITAL_REDUCTION_PERCENT
,      CAPITAL_REDUCTION_AMOUNT
,      INTERIM_INT_CAPITALIZED_AMT
,      ASSET_CORPORATE_BOOK
,      ASSET_CATEGORY_SEGMENT1
,      ASSET_CATEGORY_SEGMENT2
,      ASSET_CATEGORY_SEGMENT3
,      ASSET_CATEGORY_SEGMENT4
,      ASSET_CATEGORY_SEGMENT5
,      ASSET_CATEGORY_SEGMENT6
,      ASSET_CATEGORY_SEGMENT7
,      ASSET_CATEGORY_ID
,      ASSET_LOCATION_SEGMENT1
,      ASSET_LOCATION_SEGMENT2
,      ASSET_LOCATION_SEGMENT3
,      ASSET_LOCATION_SEGMENT4
,      ASSET_LOCATION_SEGMENT5
,      ASSET_LOCATION_SEGMENT6
,      ASSET_LOCATION_SEGMENT7
,      ASSET_LOCATION_ID
,      DEPRECIATION_METHOD_ID
,      DEPRECIATION_METHOD_CODE
,      LIFE_IN_MONTHS
,      DEPRECIATION_RATE
,      SALVAGE_VALUE
,      SALVAGE_VALUE_PERCENT
,      SALES_TAX_EXEMPT_FLAG
,      SALES_TAX_EXEMPT_CERT_NUMBER
,      SALES_TAX_OVERRIDE_FLAG
,      SALES_TAX_OVERRIDE_RATE
,      VAT_TAX_EXEMPT
,      VAT_TAX_EXEMPT_CERT_NUMBER
,      VAT_TAX_OVERRIDE_FLAG
,      VAT_TAX_OVERRIDE_RATE
,      LIEN_TYPE
,      LIEN_FILING_NUMBER
,      LIEN_FILING_DATE
,      LIEN_FILING_STATUS
,      LIENHOLDER_ID
,      LIENHOLDER_NUMBER
,      FILING_JURISDICTION
,      FILING_SUB_JURISDICTION
,      LIEN_EXPIRATION_DATE
,      LIEN_CONTINUATION_NUMBER
,      LIEN_CONTINUATION_DATE
,      TITLE_TYPE
,      TITLE_ISSUER_NUMBER
,      TITLE_ISSUER_ID
,      TITLE_DATE
,      TITLE_NUMBER
,      REGISTRATION_NUMBER
,      ASSET_REGISTRATION_LOC_NAME
,      TITLE_CUSTODIAN_NAME
,      PAYEE_SITE_NAME
,      SERIAL_NUMBER
,      VENDOR_INVOICE_NUMBER
,      VENDOR_INVOICE_DATE
,      SHIP_TO_SITE_NUMBER
,      SHIP_TO_SITE_ID
,      START_DATE
,      END_DATE
,      PASSTHROUGH_PERCENT
,      PASSTHROUGH_BASIS_CODE
,      FEE_CODE
,      USAGE_ITEM_NAME
,      USAGE_ITEM_ID
,      PRICE_LIST_NAME
,      PRICE_LIST_ID
,      COUNTER_GROUP_NAME
,      COUNTER_GROUP_ID
,      USAGE_BILL_FREQUENCY_CODE
,      MINIMUM_QTY_USAGE
,      DEFAULT_QTY_USAGE
,      AMCV_FLAG
,      LEVEL_FLAG
,      BASE_READING
,      BASE_READING_UOM_CODE
,      REAL_EST_INIT_DIRECT_COST
,      REAL_EST_OCCUPANCY
,      REAL_EST_DATE_LAST_INSP
,      REAL_EST_DATE_NEXT_INSP
,      REAL_EST_WTD_AVG_LIFE
,      REAL_EST_BOND_EQ_YIELD
,      REAL_EST_REFINANCE_AMT
,      REAL_EST_CREDIT_TENANT_FLAG
,      REAL_EST_PROPERTY_CLASS_CODE
,      REAL_EST_COVERAGE_RATIO
,      REAL_EST_NET_CASH_FLOW
,      REAL_EST_FUNDING_CATG_CODE
,      REAL_EST_APPRAISAL_FLAG
,      REAL_EST_APPRAISAL_DATE
,      REAL_EST_APPRAISAL_VALUE
,      REAL_EST_CONCEPT_TYPE_CODE
,      REAL_EST_DEAL_TYPE_CODE
,      REAL_EST_GROSS_FOOTAGE
,      REAL_EST_NET_FOOTAGE_RENTABLE
,      REAL_EST_LETTER_ACCEPT_DATE
,      REAL_EST_ACCEPT_EXPIRE_DATE
,      CAPITALIZED_INTEREST
,      TAX_COST
,      TAX_BOOK
,      LIFE_IN_MONTHS_TAX
,      DEPRN_METHOD_TAX
,      DEPRN_RATE_TAX
,      PAYMENT_TERM
,      PAYMENT_TERM_ID
,      VENDOR_PAYSITE_ID
,      VENDOR_PAYSITE_NAME
,      VENDOR_PAYMENT_METHOD
,      FEE_EXP_NO_OF_PERIODS
,      FEE_EXP_FREQUENCY
,      FEE_EXP_AMOUNT_PER_PERIOD
,      PROP_TAX_APPLICABLE
,      PROP_TAX_LEASE_REP
,      FRENCH_TAX_CODE
,      FRENCH_TAX_NAME
,      USAGE_TYPE_CODE
,      FIXED_USAGE_QUANTITY
,      INITIAL_DIRECT_COST
,      IN_SERVICE_DATE
,      LINK_ASSET_AMOUNT
,      FEE_TYPE
,      DEPRECIATION_COST
,      USAGE_PERIOD
,      USAGE_NO_OF_PERIOD
,      ASSET_KEY_ID
,      ASSET_KEY_SEGMENT1
,      ASSET_KEY_SEGMENT2
,      ASSET_KEY_SEGMENT3
,      ASSET_KEY_SEGMENT4
,      ASSET_KEY_SEGMENT5
,      ASSET_KEY_SEGMENT6
,      ASSET_KEY_SEGMENT7
,      ASSET_KEY_SEGMENT8
,      ASSET_KEY_SEGMENT9
,      ASSET_KEY_SEGMENT10
,      TERMINATION_QUOTE_ID
,      TERMINATION_QUOTE_NUMBER
,      PROP_TAX_BILL_METHOD
,      PROP_TAX_AS_CONTRACT_YN
,      STREAM_PURPOSE_CODE
,      EXPLICIT_NEW_LINE_FLAG
,      SUBSIDY_ID
,      SUBSIDY_NAME
,      SUBSIDY_OVERRIDE_AMOUNT
,      SUBSIDY_PARTY_ID
,      SUBSIDY_PARTY_NAME
,      SUBSIDY_REFND_PAYSITE_ID
,      SUBSIDY_REFND_PAYSITE_CODE
,      SUBSIDY_REFND_PAYTERM_ID
,      SUBSIDY_REFND_PAYTERM_NAME
,      SUBSIDY_REFND_PAYMETHOD_CODE
,      SUBSIDY_REFND_PAYGROUP_CODE
,      PTH_BASE_PAYOUT_BASIS
,      PTH_BASE_STREAM_CODE
,      PTH_BASE_STREAM_PURPOSE_CODE
,      PTH_START_DATE
,      PTH_EVG_PAYOUT_BASIS
,      PTH_PAYOUT_BASIS_FORMULA
,      PTH_EVG_STREAM_CODE
,      PTH_EVG_STREAM_PURPOSE_CODE
,      ST_UPDATE_LINES_FROM_CONTRACT
,      ST_TRANSFER_OF_TITLE
,      ST_SALE_AND_LEASE_BACK
,      ST_PURCHASE_OF_LEASE
,      ST_EQUIPMENT_USAGE
,      ST_EQUIPMENT_AGE
,      FEE_PURPOSE_CODE
,      ST_ASSET_UPFRONT_TAX
,      ATTRIBUTE_CATEGORY
,      ATTRIBUTE1
,      ATTRIBUTE2
,      ATTRIBUTE3
,      ATTRIBUTE4
,      ATTRIBUTE5
,      ATTRIBUTE6
,      ATTRIBUTE7
,      ATTRIBUTE8
,      ATTRIBUTE9
,      ATTRIBUTE10
,      ATTRIBUTE11
,      ATTRIBUTE12
,      ATTRIBUTE13
,      ATTRIBUTE14
,      ATTRIBUTE15
,      DOWN_PAYMENT_RECEIVER_CODE
,      CAPITALIZE_DOWN_PAYMENT_YN
,      DATE_FUNDING_EXPECTED
,      ORIGINATION_INCOME
,      AMOUNT_BALANCE_LEGACY
,      DT_EFFECTIVE_BALANCE_LEGACY
FROM OKL.OKL_LINES_INTERFACE;

Dependencies

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OKL.OKL_LINES_INTERFACE does not reference any database object

OKL.OKL_LINES_INTERFACE is referenced by following:

SchemaOKL
ViewOKL_LINES_INTERFACE#