DBA Data[Home] [Help]

APPS.XTR_IAC_TRANSFERS_PKG dependencies on XTR_DEAL_DATE_AMOUNTS_V

Line 478: insert into XTR_DEAL_DATE_AMOUNTS_V

474:
475: -------------------------------------------------------------------------
476: -- Paying side (bank account from)
477: -------------------------------------------------------------------------
478: insert into XTR_DEAL_DATE_AMOUNTS_V
479: (deal_type, amount_type, date_type, product_type,
480: deal_number, transaction_number, transaction_date,
481: currency, amount, hce_amount, amount_date,
482: cashflow_amount, company_code, account_no, action_code,

Line 501: insert into XTR_DEAL_DATE_AMOUNTS_V

497:
498: -------------------------------------------------------------------------
499: -- Receiving Side (Bank account to)
500: -------------------------------------------------------------------------
501: insert into XTR_DEAL_DATE_AMOUNTS_V
502: (deal_type, amount_type, date_type, product_type,
503: deal_number, transaction_number, transaction_date,
504: currency, amount, hce_amount, amount_date,
505: cashflow_amount, company_code, account_no, action_code,