The following lines contain the word 'select', 'insert', 'update' or 'delete':
PROCEDURE Insert_Row(p_Rowid IN OUT NOCOPY VARCHAR2,
p_Amount NUMBER,
p_Ce_Bank_Acct_Use_Id NUMBER,
p_Bank_Account_Name VARCHAR2,
p_Check_Date DATE,
p_Check_Id NUMBER,
p_Check_Number NUMBER,
p_Currency_Code VARCHAR2,
p_Last_Updated_By NUMBER,
p_Last_Update_Date DATE,
--IBY:SP p_Payment_Method_Lookup_Code VARCHAR2,
p_Payment_Type_Flag VARCHAR2,
p_Address_Line1 VARCHAR2 DEFAULT NULL,
p_Address_Line2 VARCHAR2 DEFAULT NULL,
p_Address_Line3 VARCHAR2 DEFAULT NULL,
p_Checkrun_Name VARCHAR2 DEFAULT NULL,
p_Check_Format_Id NUMBER DEFAULT NULL,
p_Check_Stock_Id NUMBER DEFAULT NULL,
p_City VARCHAR2 DEFAULT NULL,
p_Country VARCHAR2 DEFAULT NULL,
p_Created_By NUMBER DEFAULT NULL,
p_Creation_Date DATE DEFAULT NULL,
p_Last_Update_Login NUMBER DEFAULT NULL,
p_Status_Lookup_Code VARCHAR2 DEFAULT NULL,
p_Vendor_Name VARCHAR2 DEFAULT NULL,
p_Vendor_Site_Code VARCHAR2 DEFAULT NULL,
p_External_Bank_Account_Id NUMBER,
p_Zip VARCHAR2 DEFAULT NULL,
p_Bank_Account_Num VARCHAR2 DEFAULT NULL,
p_Bank_Account_Type VARCHAR2 DEFAULT NULL,
p_Bank_Num VARCHAR2 DEFAULT NULL,
p_Check_Voucher_Num NUMBER DEFAULT NULL,
p_Cleared_Amount NUMBER DEFAULT NULL,
p_Cleared_Date DATE DEFAULT NULL,
p_Doc_Category_Code VARCHAR2 DEFAULT NULL,
p_Doc_Sequence_Id NUMBER DEFAULT NULL,
p_Doc_Sequence_Value NUMBER DEFAULT NULL,
p_Province VARCHAR2 DEFAULT NULL,
p_Released_Date DATE DEFAULT NULL,
p_Released_By NUMBER DEFAULT NULL,
p_State VARCHAR2 DEFAULT NULL,
p_Stopped_Date DATE DEFAULT NULL,
p_Stopped_By NUMBER DEFAULT NULL,
p_Void_Date DATE DEFAULT NULL,
p_Attribute1 VARCHAR2 DEFAULT NULL,
p_Attribute10 VARCHAR2 DEFAULT NULL,
p_Attribute11 VARCHAR2 DEFAULT NULL,
p_Attribute12 VARCHAR2 DEFAULT NULL,
p_Attribute13 VARCHAR2 DEFAULT NULL,
p_Attribute14 VARCHAR2 DEFAULT NULL,
p_Attribute15 VARCHAR2 DEFAULT NULL,
p_Attribute2 VARCHAR2 DEFAULT NULL,
p_Attribute3 VARCHAR2 DEFAULT NULL,
p_Attribute4 VARCHAR2 DEFAULT NULL,
p_Attribute5 VARCHAR2 DEFAULT NULL,
p_Attribute6 VARCHAR2 DEFAULT NULL,
p_Attribute7 VARCHAR2 DEFAULT NULL,
p_Attribute8 VARCHAR2 DEFAULT NULL,
p_Attribute9 VARCHAR2 DEFAULT NULL,
p_Attribute_Category VARCHAR2 DEFAULT NULL,
p_Future_Pay_Due_Date DATE DEFAULT NULL,
p_Treasury_Pay_Date DATE DEFAULT NULL,
p_Treasury_Pay_Number NUMBER DEFAULT NULL,
-- Removed for bug 4277744
-- p_Ussgl_Transaction_Code VARCHAR2 DEFAULT NULL,
-- p_Ussgl_Trx_Code_Context VARCHAR2 DEFAULT NULL,
p_Withholding_Status_Lkup_Code VARCHAR2 DEFAULT NULL,
p_Reconciliation_Batch_Id NUMBER DEFAULT NULL,
p_Cleared_Base_Amount NUMBER DEFAULT NULL,
p_Cleared_Exchange_Rate NUMBER DEFAULT NULL,
p_Cleared_Exchange_Date DATE DEFAULT NULL,
p_Cleared_Exchange_Rate_Type VARCHAR2 DEFAULT NULL,
p_Address_Line4 VARCHAR2 DEFAULT NULL,
p_County VARCHAR2 DEFAULT NULL,
p_Address_Style VARCHAR2 DEFAULT NULL,
p_Org_Id NUMBER DEFAULT NULL,
p_Vendor_Id NUMBER,
p_Vendor_Site_Id NUMBER,
p_Exchange_Rate NUMBER DEFAULT NULL,
p_Exchange_Date DATE DEFAULT NULL,
p_Exchange_Rate_Type VARCHAR2 DEFAULT NULL,
p_Base_Amount NUMBER DEFAULT NULL,
p_Checkrun_Id NUMBER DEFAULT NULL,
p_global_attribute_category VARCHAR2 DEFAULT NULL,
p_global_attribute1 VARCHAR2 DEFAULT NULL,
p_global_attribute2 VARCHAR2 DEFAULT NULL,
p_global_attribute3 VARCHAR2 DEFAULT NULL,
p_global_attribute4 VARCHAR2 DEFAULT NULL,
p_global_attribute5 VARCHAR2 DEFAULT NULL,
p_global_attribute6 VARCHAR2 DEFAULT NULL,
p_global_attribute7 VARCHAR2 DEFAULT NULL,
p_global_attribute8 VARCHAR2 DEFAULT NULL,
p_global_attribute9 VARCHAR2 DEFAULT NULL,
p_global_attribute10 VARCHAR2 DEFAULT NULL,
p_global_attribute11 VARCHAR2 DEFAULT NULL,
p_global_attribute12 VARCHAR2 DEFAULT NULL,
p_global_attribute13 VARCHAR2 DEFAULT NULL,
p_global_attribute14 VARCHAR2 DEFAULT NULL,
p_global_attribute15 VARCHAR2 DEFAULT NULL,
p_global_attribute16 VARCHAR2 DEFAULT NULL,
p_global_attribute17 VARCHAR2 DEFAULT NULL,
p_global_attribute18 VARCHAR2 DEFAULT NULL,
p_global_attribute19 VARCHAR2 DEFAULT NULL,
p_global_attribute20 VARCHAR2 DEFAULT NULL,
p_transfer_priority VARCHAR2 DEFAULT NULL,
p_maturity_exchange_rate_type VARCHAR2 DEFAULT NULL,
p_maturity_exchange_date DATE DEFAULT NULL,
p_maturity_exchange_rate NUMBER DEFAULT NULL,
p_description VARCHAR2 DEFAULT NULL,
p_anticipated_value_date DATE DEFAULT NULL,
p_actual_value_date DATE DEFAULT NULL,
p_PAYMENT_METHOD_CODE VARCHAR2 DEFAULT NULL,
p_PAYMENT_PROFILE_ID NUMBER DEFAULT NULL,
p_BANK_CHARGE_BEARER VARCHAR2 DEFAULT NULL,
p_SETTLEMENT_PRIORITY VARCHAR2 DEFAULT NULL,
p_payment_document_id NUMBER DEFAULT NULL,
p_party_id NUMBER DEFAULT NULL,
p_party_site_id NUMBER DEFAULT NULL,
p_legal_entity_id NUMBER DEFAULT NULL,
p_payment_id NUMBER DEFAULT NULL,
p_calling_sequence VARCHAR2,
p_Remit_To_Supplier_Name VARCHAR2 DEFAULT NULL,
p_Remit_To_Supplier_Id Number DEFAULT NULL,
p_Remit_To_Supplier_Site VARCHAR2 DEFAULT NULL,
p_Remit_To_Supplier_Site_Id NUMBER DEFAULT NULL,
p_Relationship_Id NUMBER DEFAULT NULL,
P_paycard_authorization_number VARCHAR2 DEFAULT NULL,
P_paycard_reference_id NUMBER DEFAULT NULL
)
IS
CURSOR C IS SELECT rowid FROM ap_checks
WHERE check_id = p_Check_Id;
current_calling_sequence := 'AP_AC_TABLE_HANDLER_PKG.INSERT_ROW<-' ||
p_calling_sequence;
SELECT iban
INTO l_iban_number
FROM IBY_PAYEE_ALL_BANKACCT_V /* External Bank Uptake */
WHERE ext_bank_account_id = P_External_Bank_Account_Id
AND party_id = P_party_id;
debug_info := 'Insert into ap_checks';
INSERT INTO ap_checks_all(
amount,
ce_bank_acct_use_id,
bank_account_name,
check_date,
check_id,
check_number,
currency_code,
last_updated_by,
last_update_date,
--IBY:SP payment_method_lookup_code,
payment_type_flag,
address_line1,
address_line2,
address_line3,
checkrun_name,
check_format_id,
check_stock_id,
city,
country,
created_by,
creation_date,
last_update_login,
status_lookup_code,
vendor_name,
vendor_site_code,
external_bank_account_id,
zip,
bank_account_num,
iban_number,
bank_account_type,
bank_num,
check_voucher_num,
cleared_amount,
cleared_date,
doc_category_code,
doc_sequence_id,
doc_sequence_value,
province,
released_date,
released_by,
state,
stopped_date,
stopped_by,
void_date,
attribute1,
attribute10,
attribute11,
attribute12,
attribute13,
attribute14,
attribute15,
attribute2,
attribute3,
attribute4,
attribute5,
attribute6,
attribute7,
attribute8,
attribute9,
attribute_category,
future_pay_due_date,
treasury_pay_date,
treasury_pay_number,
-- ussgl_transaction_code, -Bug 4277744
-- ussgl_trx_code_context, -Bug 4277744
withholding_status_lookup_code,
reconciliation_batch_id,
cleared_base_amount,
cleared_exchange_rate,
cleared_exchange_date,
cleared_exchange_rate_type,
address_line4,
county,
address_style,
vendor_id,
vendor_site_id,
exchange_rate,
exchange_date,
exchange_rate_type,
base_amount,
checkrun_id,
global_attribute_category,
global_attribute1,
global_attribute2,
global_attribute3,
global_attribute4,
global_attribute5,
global_attribute6,
global_attribute7,
global_attribute8,
global_attribute9,
global_attribute10,
global_attribute11,
global_attribute12,
global_attribute13,
global_attribute14,
global_attribute15,
global_attribute16,
global_attribute17,
global_attribute18,
global_attribute19,
global_attribute20,
transfer_priority,
maturity_exchange_rate_type,
maturity_exchange_date,
maturity_exchange_rate,
description,
anticipated_value_date,
actual_value_date,
org_id,
payment_method_code,
payment_profile_id,
bank_charge_bearer,
settlement_priority,
payment_document_id,
party_id,
party_site_id,
legal_entity_id,
payment_id,
Remit_To_Supplier_Name,
Remit_To_Supplier_Id,
Remit_To_Supplier_Site,
Remit_To_Supplier_Site_Id,
Relationship_Id,
paycard_authorization_number,
paycard_reference_id
) VALUES (
p_Amount,
p_Ce_Bank_Acct_Use_Id,
substr(p_Bank_Account_Name,1,80),
trunc(p_Check_Date), /* Added trunc for bug11821919 */
p_Check_Id,
p_Check_Number,
p_Currency_Code,
p_Last_Updated_By,
p_Last_Update_Date,
--IBY:SP p_Payment_Method_Lookup_Code,
p_Payment_Type_Flag,
p_Address_Line1,
p_Address_Line2,
p_Address_Line3,
p_Checkrun_Name,
p_Check_Format_Id,
p_Check_Stock_Id,
p_City,
p_Country,
p_Created_By,
p_Creation_Date,
p_Last_Update_Login,
p_Status_Lookup_Code,
p_Vendor_Name,
p_Vendor_Site_Code,
p_External_Bank_Account_Id,
p_Zip,
p_Bank_Account_Num,
l_iban_number,
p_Bank_Account_Type,
p_Bank_Num,
p_Check_Voucher_Num,
p_Cleared_Amount,
p_Cleared_Date,
p_Doc_Category_Code,
p_Doc_Sequence_Id,
p_Doc_Sequence_Value,
p_Province,
p_Released_Date,
p_Released_By,
p_State,
p_Stopped_Date,
p_Stopped_By,
p_Void_Date,
p_Attribute1,
p_Attribute10,
p_Attribute11,
p_Attribute12,
p_Attribute13,
p_Attribute14,
p_Attribute15,
p_Attribute2,
p_Attribute3,
p_Attribute4,
p_Attribute5,
p_Attribute6,
p_Attribute7,
p_Attribute8,
p_Attribute9,
p_Attribute_Category,
p_Future_Pay_Due_Date,
p_Treasury_Pay_Date,
p_Treasury_Pay_Number,
-- p_Ussgl_Transaction_Code, -Bug 4277744
-- p_Ussgl_Trx_Code_Context, -Bug 4277744
p_Withholding_Status_Lkup_Code,
p_Reconciliation_Batch_Id,
p_Cleared_Base_Amount,
p_Cleared_Exchange_Rate,
p_Cleared_Exchange_Date,
p_Cleared_Exchange_Rate_Type,
p_Address_Line4,
p_County,
DECODE(p_Address_Style, 'DEFAULT', NULL, p_Address_Style),
p_Vendor_Id,
p_Vendor_Site_Id,
p_Exchange_Rate,
p_Exchange_Date,
p_Exchange_Rate_Type,
p_Base_Amount,
p_Checkrun_Id,
p_global_attribute_category,
p_global_attribute1,
p_global_attribute2,
p_global_attribute3,
p_global_attribute4,
p_global_attribute5,
p_global_attribute6,
p_global_attribute7,
p_global_attribute8,
p_global_attribute9,
p_global_attribute10,
p_global_attribute11,
p_global_attribute12,
p_global_attribute13,
p_global_attribute14,
p_global_attribute15,
p_global_attribute16,
p_global_attribute17,
p_global_attribute18,
p_global_attribute19,
p_global_attribute20,
p_transfer_priority,
p_maturity_exchange_rate_type,
p_maturity_exchange_date,
p_maturity_exchange_rate,
p_description,
p_anticipated_value_date,
p_actual_value_date,
p_org_id,
p_payment_method_code,
p_payment_profile_id,
p_bank_charge_bearer,
p_settlement_priority,
p_payment_document_id,
p_party_id,
p_party_site_id,
p_legal_entity_id,
p_payment_id,
p_Remit_To_Supplier_Name,
p_Remit_To_Supplier_Id,
p_Remit_To_Supplier_Site,
p_Remit_To_Supplier_Site_Id,
p_Relationship_Id ,
p_paycard_authorization_number,
P_paycard_reference_id
);
END Insert_Row;
PROCEDURE Update_Row(p_Rowid VARCHAR2,
p_Amount NUMBER,
p_Ce_Bank_Acct_Use_Id NUMBER,
p_Bank_Account_Name VARCHAR2,
p_Check_Date DATE,
p_Check_Id NUMBER,
p_Check_Number NUMBER,
p_Currency_Code VARCHAR2,
p_Last_Updated_By NUMBER,
p_Last_Update_Date DATE,
--IBY:SP p_Payment_Method_Lookup_Code VARCHAR2,
p_Payment_Type_Flag VARCHAR2,
p_Address_Line1 VARCHAR2 DEFAULT NULL,
p_Address_Line2 VARCHAR2 DEFAULT NULL,
p_Address_Line3 VARCHAR2 DEFAULT NULL,
p_Checkrun_Name VARCHAR2 DEFAULT NULL,
p_Check_Format_Id NUMBER DEFAULT NULL,
p_Check_Stock_Id NUMBER DEFAULT NULL,
p_City VARCHAR2 DEFAULT NULL,
p_Country VARCHAR2 DEFAULT NULL,
p_Last_Update_Login NUMBER DEFAULT NULL,
p_Status_Lookup_Code VARCHAR2 DEFAULT NULL,
p_Vendor_Name VARCHAR2 DEFAULT NULL,
p_Vendor_Site_Code VARCHAR2 DEFAULT NULL,
p_External_Bank_Account_Id NUMBER,
p_Zip VARCHAR2 DEFAULT NULL,
p_Bank_Account_Num VARCHAR2 DEFAULT NULL,
p_Bank_Account_Type VARCHAR2 DEFAULT NULL,
p_Bank_Num VARCHAR2 DEFAULT NULL,
p_Check_Voucher_Num NUMBER DEFAULT NULL,
p_Cleared_Amount NUMBER DEFAULT NULL,
p_Cleared_Date DATE DEFAULT NULL,
p_Doc_Category_Code VARCHAR2 DEFAULT NULL,
p_Doc_Sequence_Id NUMBER DEFAULT NULL,
p_Doc_Sequence_Value NUMBER DEFAULT NULL,
p_Province VARCHAR2 DEFAULT NULL,
p_Released_Date DATE DEFAULT NULL,
p_Released_By NUMBER DEFAULT NULL,
p_State VARCHAR2 DEFAULT NULL,
p_Stopped_Date DATE DEFAULT NULL,
p_Stopped_By NUMBER DEFAULT NULL,
p_Void_Date DATE DEFAULT NULL,
p_Attribute1 VARCHAR2 DEFAULT NULL,
p_Attribute10 VARCHAR2 DEFAULT NULL,
p_Attribute11 VARCHAR2 DEFAULT NULL,
p_Attribute12 VARCHAR2 DEFAULT NULL,
p_Attribute13 VARCHAR2 DEFAULT NULL,
p_Attribute14 VARCHAR2 DEFAULT NULL,
p_Attribute15 VARCHAR2 DEFAULT NULL,
p_Attribute2 VARCHAR2 DEFAULT NULL,
p_Attribute3 VARCHAR2 DEFAULT NULL,
p_Attribute4 VARCHAR2 DEFAULT NULL,
p_Attribute5 VARCHAR2 DEFAULT NULL,
p_Attribute6 VARCHAR2 DEFAULT NULL,
p_Attribute7 VARCHAR2 DEFAULT NULL,
p_Attribute8 VARCHAR2 DEFAULT NULL,
p_Attribute9 VARCHAR2 DEFAULT NULL,
p_Attribute_Category VARCHAR2 DEFAULT NULL,
p_Future_Pay_Due_Date DATE DEFAULT NULL,
p_Treasury_Pay_Date DATE DEFAULT NULL,
p_Treasury_Pay_Number NUMBER DEFAULT NULL,
-- Removed for bug 4277744
-- p_Ussgl_Transaction_Code VARCHAR2 DEFAULT NULL,
-- p_Ussgl_Trx_Code_Context VARCHAR2 DEFAULT NULL,
p_Withholding_Status_Lkup_Code VARCHAR2 DEFAULT NULL,
p_Reconciliation_Batch_Id NUMBER DEFAULT NULL,
p_Cleared_Base_Amount NUMBER DEFAULT NULL,
p_Cleared_Exchange_Rate NUMBER DEFAULT NULL,
p_Cleared_Exchange_Date DATE DEFAULT NULL,
p_Cleared_Exchange_Rate_Type VARCHAR2 DEFAULT NULL,
p_Address_Line4 VARCHAR2 DEFAULT NULL,
p_County VARCHAR2 DEFAULT NULL,
p_Address_Style VARCHAR2 DEFAULT NULL,
p_Org_Id NUMBER DEFAULT NULL,
p_Vendor_Id NUMBER,
p_Vendor_Site_Id NUMBER,
p_Exchange_Rate NUMBER DEFAULT NULL,
p_Exchange_Date DATE DEFAULT NULL,
p_Exchange_Rate_Type VARCHAR2 DEFAULT NULL,
p_Base_Amount NUMBER DEFAULT NULL,
p_Checkrun_Id NUMBER DEFAULT NULL,
p_global_attribute_category VARCHAR2 DEFAULT NULL,
p_global_attribute1 VARCHAR2 DEFAULT NULL,
p_global_attribute2 VARCHAR2 DEFAULT NULL,
p_global_attribute3 VARCHAR2 DEFAULT NULL,
p_global_attribute4 VARCHAR2 DEFAULT NULL,
p_global_attribute5 VARCHAR2 DEFAULT NULL,
p_global_attribute6 VARCHAR2 DEFAULT NULL,
p_global_attribute7 VARCHAR2 DEFAULT NULL,
p_global_attribute8 VARCHAR2 DEFAULT NULL,
p_global_attribute9 VARCHAR2 DEFAULT NULL,
p_global_attribute10 VARCHAR2 DEFAULT NULL,
p_global_attribute11 VARCHAR2 DEFAULT NULL,
p_global_attribute12 VARCHAR2 DEFAULT NULL,
p_global_attribute13 VARCHAR2 DEFAULT NULL,
p_global_attribute14 VARCHAR2 DEFAULT NULL,
p_global_attribute15 VARCHAR2 DEFAULT NULL,
p_global_attribute16 VARCHAR2 DEFAULT NULL,
p_global_attribute17 VARCHAR2 DEFAULT NULL,
p_global_attribute18 VARCHAR2 DEFAULT NULL,
p_global_attribute19 VARCHAR2 DEFAULT NULL,
p_global_attribute20 VARCHAR2 DEFAULT NULL,
p_transfer_priority VARCHAR2 DEFAULT NULL,
p_maturity_exchange_rate_type VARCHAR2 DEFAULT NULL,
p_maturity_exchange_date DATE DEFAULT NULL,
p_maturity_exchange_rate NUMBER DEFAULT NULL,
p_description VARCHAR2 DEFAULT NULL,
p_anticipated_value_date DATE DEFAULT NULL,
p_actual_value_date DATE DEFAULT NULL,
p_PAYMENT_METHOD_CODE VARCHAR2 DEFAULT NULL,
p_PAYMENT_PROFILE_ID NUMBER DEFAULT NULL,
p_BANK_CHARGE_BEARER VARCHAR2 DEFAULT NULL,
p_SETTLEMENT_PRIORITY VARCHAR2 DEFAULT NULL,
p_payment_document_id NUMBER DEFAULT NULL,
p_party_id NUMBER DEFAULT NULL,
p_party_site_id NUMBER DEFAULT NULL,
p_legal_entity_id NUMBER DEFAULT NULL,
p_payment_id NUMBER DEFAULT NULL,
p_calling_sequence VARCHAR2,
p_Remit_To_Supplier_Name VARCHAR2 DEFAULT NULL,
p_Remit_To_Supplier_Id Number DEFAULT NULL,
p_Remit_To_Supplier_Site VARCHAR2 DEFAULT NULL,
p_Remit_To_Supplier_Site_Id NUMBER DEFAULT NULL,
p_Relationship_Id NUMBER DEFAULT NULL,
P_paycard_authorization_number VARCHAR2 DEFAULT NULL,
P_paycard_reference_id NUMBER DEFAULT NULL
)
IS
current_calling_sequence VARCHAR2(2000);
current_calling_sequence := 'AP_AC_TABLE_HANDLER_PKG.UPDATE_ROW<-' ||
p_calling_sequence;
debug_info := 'Update ap_checks';
UPDATE ap_checks
SET
amount = p_Amount,
ce_bank_acct_use_id = p_Ce_Bank_Acct_Use_Id,
bank_account_name = substr(p_Bank_Account_Name,1,80),
check_date = trunc(p_Check_Date), /* Added trunc for bug11821919 */
check_id = p_Check_Id,
check_number = p_Check_Number,
currency_code = p_Currency_Code,
last_updated_by = p_Last_Updated_By,
last_update_date = p_Last_Update_Date,
--IBY:SP payment_method_lookup_code = p_Payment_Method_Lookup_Code,
payment_type_flag = p_Payment_Type_Flag,
address_line1 = p_Address_Line1,
address_line2 = p_Address_Line2,
address_line3 = p_Address_Line3,
checkrun_name = p_Checkrun_Name,
check_format_id = p_Check_Format_Id,
check_stock_id = p_Check_Stock_Id,
city = p_City,
country = p_Country,
last_update_login = p_Last_Update_Login,
status_lookup_code = p_Status_Lookup_Code,
vendor_name = p_Vendor_Name,
vendor_site_code = p_Vendor_Site_Code,
external_bank_account_id = p_External_Bank_Account_Id,
zip = p_Zip,
bank_account_num = p_Bank_Account_Num,
bank_account_type = p_Bank_Account_Type,
bank_num = p_Bank_Num,
check_voucher_num = p_Check_Voucher_Num,
cleared_amount = p_Cleared_Amount,
cleared_date = p_Cleared_Date,
doc_category_code = p_Doc_Category_Code,
doc_sequence_id = p_Doc_Sequence_Id,
doc_sequence_value = p_Doc_Sequence_Value,
province = p_Province,
released_date = p_Released_Date,
released_by = p_Released_By,
state = p_State,
stopped_date = p_Stopped_Date,
stopped_by = p_Stopped_By,
void_date = p_Void_Date,
attribute1 = p_Attribute1,
attribute10 = p_Attribute10,
attribute11 = p_Attribute11,
attribute12 = p_Attribute12,
attribute13 = p_Attribute13,
attribute14 = p_Attribute14,
attribute15 = p_Attribute15,
attribute2 = p_Attribute2,
attribute3 = p_Attribute3,
attribute4 = p_Attribute4,
attribute5 = p_Attribute5,
attribute6 = p_Attribute6,
attribute7 = p_Attribute7,
attribute8 = p_Attribute8,
attribute9 = p_Attribute9,
attribute_category = p_Attribute_Category,
future_pay_due_date = p_Future_Pay_Due_Date,
treasury_pay_date = p_Treasury_Pay_Date,
treasury_pay_number = p_Treasury_Pay_Number,
-- Removed for bug 4277744
-- ussgl_transaction_code = p_Ussgl_Transaction_Code,
-- ussgl_trx_code_context = p_Ussgl_Trx_Code_Context,
withholding_status_lookup_code = p_Withholding_Status_Lkup_Code,
reconciliation_batch_id = p_Reconciliation_Batch_Id,
cleared_base_amount = p_Cleared_Base_Amount,
cleared_exchange_rate = p_Cleared_Exchange_Rate,
cleared_exchange_date = p_Cleared_Exchange_Date,
cleared_exchange_rate_type = p_Cleared_Exchange_Rate_Type,
address_line4 = p_Address_Line4,
county = p_County,
address_style = DECODE(p_Address_Style,
'DEFAULT', NULL,
p_Address_Style),
vendor_id = p_Vendor_Id,
vendor_site_id = p_Vendor_Site_Id,
exchange_rate = p_Exchange_Rate,
exchange_date = p_Exchange_Date,
exchange_rate_type = p_Exchange_Rate_Type,
base_amount = p_Base_Amount,
checkrun_id = p_Checkrun_Id,
global_attribute_category = p_global_attribute_category,
global_attribute1 = p_global_attribute1,
global_attribute2 = p_global_attribute2,
global_attribute3 = p_global_attribute3,
global_attribute4 = p_global_attribute4,
global_attribute5 = p_global_attribute5,
global_attribute6 = p_global_attribute6,
global_attribute7 = p_global_attribute7,
global_attribute8 = p_global_attribute8,
global_attribute9 = p_global_attribute9,
global_attribute10 = p_global_attribute10,
global_attribute11 = p_global_attribute11,
global_attribute12 = p_global_attribute12,
global_attribute13 = p_global_attribute13,
global_attribute14 = p_global_attribute14,
global_attribute15 = p_global_attribute15,
global_attribute16 = p_global_attribute16,
global_attribute17 = p_global_attribute17,
global_attribute18 = p_global_attribute18,
global_attribute19 = p_global_attribute19,
global_attribute20 = p_global_attribute20,
transfer_priority = p_transfer_Priority,
maturity_exchange_rate_type = p_maturity_exchange_rate_type,
maturity_exchange_date = p_maturity_exchange_date,
maturity_exchange_rate = p_maturity_exchange_rate,
description = p_description,
anticipated_value_date = p_anticipated_value_date,
actual_value_date = p_actual_value_date,
org_id = p_org_id,
payment_method_code = p_payment_method_code,
payment_profile_id = p_payment_profile_id,
bank_charge_bearer = p_bank_charge_bearer,
settlement_priority = p_settlement_priority,
payment_document_id = p_payment_document_id,
party_id = p_party_id,
party_site_id = p_party_site_id,
legal_entity_id = p_legal_entity_id,
payment_id = p_payment_id,
Remit_To_Supplier_Name = p_Remit_To_Supplier_Name,
Remit_To_Supplier_Id = p_Remit_To_Supplier_Id,
Remit_To_Supplier_Site = p_Remit_To_Supplier_Site,
Remit_To_Supplier_Site_Id = p_Remit_To_Supplier_Site_Id ,
Relationship_Id = p_Relationship_Id,
paycard_authorization_number = p_paycard_authorization_number,
paycard_reference_id = P_paycard_reference_id
WHERE rowid = p_Rowid;
END Update_Row;
PROCEDURE Delete_Row(p_Rowid VARCHAR2,
p_calling_sequence VARCHAR2)
IS
current_calling_sequence VARCHAR2(2000);
current_calling_sequence := 'AP_AC_TABLE_HANDLER_PKG.DELETE_ROW<-' ||
p_calling_sequence;
debug_info := 'Delete from ap_checks';
DELETE FROM ap_checks
WHERE rowid = p_Rowid
RETURNING check_id
INTO l_check_id;
END Delete_Row;
PROCEDURE Update_Amounts(
P_check_id IN NUMBER,
P_amount IN NUMBER,
P_base_amount IN NUMBER,
P_calling_sequence IN VARCHAR2) IS
current_calling_sequence VARCHAR2(2000);
current_calling_sequence := 'ap_ac_table_handler_pkg.update_amounts<-'||
P_calling_sequence;
debug_info := 'update ap_checks amounts';
UPDATE ap_checks
SET amount = nvl(p_amount, amount),
base_amount = nvl(p_base_amount, base_amount)
WHERE check_id = p_check_id;
END Update_Amounts;