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TABLE: PA.PA_DRAFT_INVOICE_ITEMS

Object Details
Object Name: PA_DRAFT_INVOICE_ITEMS
Object Type: TABLE
Owner: PA
FND Design Data: TablePA.PA_DRAFT_INVOICE_ITEMS
Subobject Name:
Status: VALID


PA_DRAFT_INVOICE_ITEMS stores the lines of a draft invoice. The
Generate Draft Invoice process creates an invoice line for each
billing event and for each grouping of expenditure items.
Groupings of expenditure items are determined by a
project's invoice formats.


Storage Details
Tablespace: TablespaceAPPS_TS_TX_DATA
PCT Free: 10
PCT Used:
Indexes
Index Type Uniqueness Tablespace Column
PA_DRAFT_INVOICE_ITEMS_U1 NORMAL UNIQUE TablespaceAPPS_TS_TX_IDX ColumnPROJECT_ID
ColumnDRAFT_INVOICE_NUM
ColumnLINE_NUM
PA_DRAFT_INVOICE_ITEMS_N1 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnTASK_ID
PA_DRAFT_INVOICE_ITEMS_N2 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnPROJECT_ID
ColumnEVENT_NUM
ColumnEVENT_TASK_ID
ColumnTASK_ID
PA_DRAFT_INVOICE_ITEMS_N3 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnPROJECT_ID
ColumnREQUEST_ID
PA_DRAFT_INVOICE_ITEMS_N4 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnSHIP_TO_ADDRESS_ID
PA_DRAFT_INVOICE_ITEMS_N5 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnPROGRAM_ID
ColumnRETN_DRAFT_INVOICE_NUM
ColumnRETN_DRAFT_INVOICE_LINE_NUM
PA_DRAFT_INVOICE_ITEMS_N6 NORMAL NONUNIQUE TablespaceAPPS_TS_TX_IDX ColumnPROJECT_ID
ColumnTASK_ID
ColumnFUNDING_CURRENCY_CODE
ColumnINVOICE_LINE_TYPE
Columns
Name Datatype Length Mandatory Comments
PROJECT_ID NUMBER (15) Yes The identifier of the project for which the invoice is generated
DRAFT_INVOICE_NUM NUMBER (15) Yes The draft invoice number to which the invoice line belongs
LINE_NUM NUMBER (15) Yes The sequential number that identifies and orders the draft invoice item for a draft invoice
LAST_UPDATE_DATE DATE
Yes Standard Who Column
LAST_UPDATED_BY NUMBER (15) Yes Standard Who Column
CREATION_DATE DATE
Yes Standard Who Column
CREATED_BY NUMBER (15) Yes Standard Who Column
AMOUNT NUMBER (22) Yes The amount to be billed for the draft invoice item
TEXT VARCHAR2 (240) Yes The invoice line description. For a line billing an event, this description is the event description. For a line billing expenditure items, this description is formatted according to the project invoice formats
INVOICE_LINE_TYPE VARCHAR2 (30) Yes The type of draft invoice line
REQUEST_ID NUMBER (15)
Standard Who Column
PROGRAM_APPLICATION_ID NUMBER (15)
Standard Who Column
PROGRAM_ID NUMBER (15)
Standard Who Column
PROGRAM_UPDATE_DATE DATE

Standard Who Column
UNEARNED_REVENUE_CR NUMBER (22)
No longer used
UNBILLED_RECEIVABLE_DR NUMBER (22)
No longer used
TASK_ID NUMBER (15)
The identifier of the top task. This column is populated if: the project is funded at top task level, or for expenditure item lines, the invoice format groups by Top Task, or for event lines, both invoice formats group by Top Task
EVENT_TASK_ID NUMBER (15)
The identifier of the task id to which the event, billed by the invoice line, is assigned
EVENT_NUM NUMBER (15)
The event number that is billed by the invoice line
SHIP_TO_ADDRESS_ID NUMBER (15)
The identifier of the ship-to address and used for taxation. This column is populated only if the invoice formats groups by work site and for events using the work site of the event task
TAXABLE_FLAG VARCHAR2 (1)
Obsolete
DRAFT_INV_LINE_NUM_CREDITED NUMBER (15)
The draft invoice line number that is credited by this invoice line
LAST_UPDATE_LOGIN NUMBER (15)
Standard Who Column
INV_AMOUNT NUMBER

The amount to be billed in the invoicing currency code for the draft invoice item.
OUTPUT_VAT_TAX_ID NUMBER

Identifier for default output tax code
OUTPUT_TAX_EXEMPT_FLAG VARCHAR2 (1)
Standard, Exempt, or required Allows the user to use Standard Exemption rules, force an exemption or require tax to a normally exempt invoice This is defaulted based on user setup
OUTPUT_TAX_EXEMPT_REASON_CODE VARCHAR2 (30)
Tax Exempt Reason for item lines that have tax_exempt_flag set to (E-exempt)
OUTPUT_TAX_EXEMPT_NUMBER VARCHAR2 (80)
Exemption Certificate Number for item lines that have tax_exempt_flag set to (E-exempt)
ACCT_AMOUNT NUMBER

The Functional Currency amount of that has been accounted in Oracle ReceivablesThis column is populated in the Transfer Invoice to Oracle Receivables process
ROUNDING_AMOUNT NUMBER

The Functional Rounding amount This column is populated in the Transfer Invoice to Oracle Receivables process
UNBILLED_ROUNDING_AMOUNT_DR NUMBER

The Functional Currency Unbilled Receivable Rounding amount This column is populated in the Transfer Invoice to Oracle Receivables process
UNEARNED_ROUNDING_AMOUNT_CR NUMBER

The Functional Currency Unearned Revenue Rounding amount This column is populated in the Transfer Invoice to Oracle Receivables process
TRANSLATED_TEXT VARCHAR2 (240)
The translated text of the invoice line.This will be in the language defined in invoice header.
CC_REV_CODE_COMBINATION_ID NUMBER

Identifier of the GL account for intercompany revenue. Used only for intercompany invoices
CC_PROJECT_ID NUMBER

Identifier of the cross charged project for which the invoice line was created This is populated for intercompany invoices only
CC_TAX_TASK_ID NUMBER

Identifier of the task on which non-recoverable tax for the cross charged project will be charged
PROJFUNC_CURRENCY_CODE VARCHAR2 (15)
Project functional currency code
PROJFUNC_BILL_AMOUNT NUMBER

Bill Amount in the project functional currency. This is calculated by applying the conversion rules set up for project functional currency during invoice generation.
PROJECT_CURRENCY_CODE VARCHAR2 (15)
Bill Amount in the project currency. This is calculated by applying the conversion rules set up for project currency during invoice generation.
PROJECT_BILL_AMOUNT NUMBER

Bill Amount in the project currency. This is calculated by applying the conversion rules set up for project currency during invoice generation.
FUNDING_CURRENCY_CODE VARCHAR2 (15)
Funding currency code
FUNDING_BILL_AMOUNT NUMBER

Bill Amount in the funding currency. This is calculated by applying the conversion rules set up for funding currency during invoice generation.
FUNDING_RATE_DATE DATE

Exchange rate date to use for conversion from bill transaction currency to funding currency if Fixed Date rate date type is used during invoice generation (only for events
FUNDING_EXCHANGE_RATE NUMBER

Exchange rate to use for conversion from bill transaction currency to funding currency during invoice generation (only for events)
FUNDING_RATE_TYPE VARCHAR2 (30)
Exchange rate type to use for conversion from bill transaction currency to funding currency during invoice generation (only for events)
INVPROC_CURRENCY_CODE VARCHAR2 (15)
Invoice processing currency code
BILL_TRANS_CURRENCY_CODE VARCHAR2 (15)
Transaction currency code
BILL_TRANS_BILL_AMOUNT NUMBER

Bill Amount in the transaction currency. This is calculated by applying the conversion rules set up for transaction currency during invoice generation.
RETN_BILLING_METHOD VARCHAR2 (30)
This indicates how the retention invoice is generated. Applicable only for retention invoices.
RETN_PERCENT_COMPLETE NUMBER

Audit column for percent complete percentage. Applicable only if the billing method is "Percent Complete".
RETN_TOTAL_RETENTION NUMBER

Audit column for total retention amount . Applicable only if the billing method is total retention amount.
RETN_BILLING_CYCLE_ID NUMBER (15)
Audit column for billing cycle method. Applicable only if the billing method is retention billing cycle. This is the billing cycle method which is used to derive the retention billing percentage or retention billing amount.
RETN_CLIENT_EXTENSION_FLAG VARCHAR2 (1)
Audit column for client extension flag. Applicable only if the invoice is retention invoice.
RETN_BILLING_PERCENTAGE NUMBER

Audit column for billing percentage which is used to bill the retained amount by applying on total unbilled retained amount. Applicable only if the invoice is retention invoice.
RETN_BILLING_AMOUNT NUMBER

Audit column for retention billing amount. this is amount which is used to bill the retained amount. Applicable only if the invoice is retention invoice.
RETENTION_RULE_ID NUMBER (15)
Audit column for retention setup. Applicable only if the invoice is project invoice and invoice line type is retention.
RETAINED_AMOUNT NUMBER

Retained Amount for only Events
RETN_DRAFT_INVOICE_NUM NUMBER

Project Invoice number. Applicable for Events only.This will be used to drilldown the retention line from invoice review screen.
RETN_DRAFT_INVOICE_LINE_NUM NUMBER

Project Invoice retention line number. This will be used to drilldown the retention line from invoice review screen.
CREDIT_AMOUNT NUMBER

Line level credit amount used during the credit invoice processing. Applicable only for concession and write off line level credits.
CREDIT_PROCESS_FLAG VARCHAR2 (1)
Flag indicating whether the invoice line is selected for credit invoice processing. Applicable only for concession and write off line level credits.
OUTPUT_TAX_CLASSIFICATION_CODE VARCHAR2 (50)
eTax change
INV_RATE_TYPE VARCHAR2 (30)
Exchange rate type used to convert the amount from IPC to IC.
INV_RATE_DATE DATE

Exchange rate date used to convert the amount from IPC to IC.
INV_EXCHANGE_RATE NUMBER

Exchange rate used to convert the amount from IPC to IC.
GLOBAL_ATTRIBUTE_CATEGORY VARCHAR2 (30)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE1 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE2 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE3 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE4 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE5 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE6 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE7 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE8 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE9 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE10 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE11 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE12 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE13 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE14 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE15 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE16 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE17 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE18 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE19 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE20 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE21 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE22 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE23 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE24 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE25 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE26 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE27 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE28 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE29 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
GLOBAL_ATTRIBUTE30 VARCHAR2 (240)
Global Descriptive Flexfield for storing Federal Financial codes.
PROVIDER_ORGANIZATION_ID NUMBER (15)
This is the ID of the Provider Organization.
RECEIVER_ORGANIZATION_ID NUMBER (15)
This is the ID of the Receiver Organization.
Query Text

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


SELECT PROJECT_ID
,      DRAFT_INVOICE_NUM
,      LINE_NUM
,      LAST_UPDATE_DATE
,      LAST_UPDATED_BY
,      CREATION_DATE
,      CREATED_BY
,      AMOUNT
,      TEXT
,      INVOICE_LINE_TYPE
,      REQUEST_ID
,      PROGRAM_APPLICATION_ID
,      PROGRAM_ID
,      PROGRAM_UPDATE_DATE
,      UNEARNED_REVENUE_CR
,      UNBILLED_RECEIVABLE_DR
,      TASK_ID
,      EVENT_TASK_ID
,      EVENT_NUM
,      SHIP_TO_ADDRESS_ID
,      TAXABLE_FLAG
,      DRAFT_INV_LINE_NUM_CREDITED
,      LAST_UPDATE_LOGIN
,      INV_AMOUNT
,      OUTPUT_VAT_TAX_ID
,      OUTPUT_TAX_EXEMPT_FLAG
,      OUTPUT_TAX_EXEMPT_REASON_CODE
,      OUTPUT_TAX_EXEMPT_NUMBER
,      ACCT_AMOUNT
,      ROUNDING_AMOUNT
,      UNBILLED_ROUNDING_AMOUNT_DR
,      UNEARNED_ROUNDING_AMOUNT_CR
,      TRANSLATED_TEXT
,      CC_REV_CODE_COMBINATION_ID
,      CC_PROJECT_ID
,      CC_TAX_TASK_ID
,      PROJFUNC_CURRENCY_CODE
,      PROJFUNC_BILL_AMOUNT
,      PROJECT_CURRENCY_CODE
,      PROJECT_BILL_AMOUNT
,      FUNDING_CURRENCY_CODE
,      FUNDING_BILL_AMOUNT
,      FUNDING_RATE_DATE
,      FUNDING_EXCHANGE_RATE
,      FUNDING_RATE_TYPE
,      INVPROC_CURRENCY_CODE
,      BILL_TRANS_CURRENCY_CODE
,      BILL_TRANS_BILL_AMOUNT
,      RETN_BILLING_METHOD
,      RETN_PERCENT_COMPLETE
,      RETN_TOTAL_RETENTION
,      RETN_BILLING_CYCLE_ID
,      RETN_CLIENT_EXTENSION_FLAG
,      RETN_BILLING_PERCENTAGE
,      RETN_BILLING_AMOUNT
,      RETENTION_RULE_ID
,      RETAINED_AMOUNT
,      RETN_DRAFT_INVOICE_NUM
,      RETN_DRAFT_INVOICE_LINE_NUM
,      CREDIT_AMOUNT
,      CREDIT_PROCESS_FLAG
,      OUTPUT_TAX_CLASSIFICATION_CODE
,      INV_RATE_TYPE
,      INV_RATE_DATE
,      INV_EXCHANGE_RATE
,      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
,      GLOBAL_ATTRIBUTE21
,      GLOBAL_ATTRIBUTE22
,      GLOBAL_ATTRIBUTE23
,      GLOBAL_ATTRIBUTE24
,      GLOBAL_ATTRIBUTE25
,      GLOBAL_ATTRIBUTE26
,      GLOBAL_ATTRIBUTE27
,      GLOBAL_ATTRIBUTE28
,      GLOBAL_ATTRIBUTE29
,      GLOBAL_ATTRIBUTE30
,      PROVIDER_ORGANIZATION_ID
,      RECEIVER_ORGANIZATION_ID
FROM PA.PA_DRAFT_INVOICE_ITEMS;

Dependencies

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PA.PA_DRAFT_INVOICE_ITEMS does not reference any database object

PA.PA_DRAFT_INVOICE_ITEMS is referenced by following:

SchemaPA
ViewPA_DRAFT_INVOICE_ITEMS#