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Object Name: | XTR_BANK_BALANCES# |
---|---|
Object Type: | VIEW |
Owner: | XTR |
Subobject Name: | |
Status: | VALID |
Name | Datatype | Length | Mandatory | Comments |
---|---|---|---|---|
ACCOUNT_NUMBER | VARCHAR2 | (20) | Yes | |
ACCUM_INT_BFWD | NUMBER | Yes | ||
ACCUM_INT_CFWD | NUMBER | Yes | ||
AUDIT_INDICATOR | VARCHAR2 | (1) | ||
BALANCE_ADJUSTMENT | NUMBER | |||
BALANCE_CFLOW | NUMBER | |||
BALANCE_DATE | DATE | Yes | ||
COMPANY_CODE | VARCHAR2 | (7) | Yes | |
INTEREST | NUMBER | Yes | ||
INTEREST_RATE | NUMBER | Yes | ||
INTEREST_SETTLED | NUMBER | Yes | ||
INTEREST_SETTLED_HCE | NUMBER | Yes | ||
NO_OF_DAYS | NUMBER | Yes | ||
SETOFF | VARCHAR2 | (5) | ||
STATEMENT_BALANCE | NUMBER | |||
UPDATED_BY | VARCHAR2 | (30) | ||
UPDATED_ON | DATE | |||
LIMIT_CODE | VARCHAR2 | (7) | ||
CREATED_BY | VARCHAR2 | (30) | Yes | |
CREATED_ON | DATE | Yes | ||
ACCRUAL_INTEREST | NUMBER | |||
FIRST_BATCH_ID | NUMBER | (15) | ||
LAST_BATCH_ID | NUMBER | (15) | ||
EXCHANGE_RATE | NUMBER | |||
AVERAGE_EXCHANGE_RATE | NUMBER | |||
ROUNDING_TYPE | VARCHAR2 | (1) | ||
DAY_COUNT_TYPE | VARCHAR2 | (1) | ||
ORIGINAL_AMOUNT | NUMBER | |||
ONE_DAY_FLOAT | NUMBER | |||
TWO_DAY_FLOAT | NUMBER | |||
BANK_ACCT_USE_ID | NUMBER | (15) | ||
CE_BANK_ACCOUNT_BALANCE_ID | NUMBER | (15) |
Cut, paste (and edit) the following text to query this object:
SELECT ACCOUNT_NUMBER
, ACCUM_INT_BFWD
, ACCUM_INT_CFWD
, AUDIT_INDICATOR
, BALANCE_ADJUSTMENT
, BALANCE_CFLOW
, BALANCE_DATE
, COMPANY_CODE
, INTEREST
, INTEREST_RATE
, INTEREST_SETTLED
, INTEREST_SETTLED_HCE
, NO_OF_DAYS
, SETOFF
, STATEMENT_BALANCE
, UPDATED_BY
, UPDATED_ON
, LIMIT_CODE
, CREATED_BY
, CREATED_ON
, ACCRUAL_INTEREST
, FIRST_BATCH_ID
, LAST_BATCH_ID
, EXCHANGE_RATE
, AVERAGE_EXCHANGE_RATE
, ROUNDING_TYPE
, DAY_COUNT_TYPE
, ORIGINAL_AMOUNT
, ONE_DAY_FLOAT
, TWO_DAY_FLOAT
, BANK_ACCT_USE_ID
, CE_BANK_ACCOUNT_BALANCE_ID
FROM XTR.XTR_BANK_BALANCES#;
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