Search Results ce.ce_bank_accounts
The CE_BANK_ACCOUNTS
table in Oracle E-Business Suite (EBS) 12.1.1 or 12.2.2 is a critical repository for storing bank account information within the Cash Management module. It serves as the foundation for managing bank accounts, facilitating transactions, reconciliations, and integration with other financial modules such as Accounts Payable (AP), Accounts Receivable (AR), and Treasury. Below is a detailed summary of its structure, functionality, and significance in Oracle EBS.
Table Overview
TheCE_BANK_ACCOUNTS
table stores comprehensive details about bank accounts registered in the system. Each record represents a unique bank account, whether internal (owned by the organization) or external (owned by customers, suppliers, or partners). The table is part of the CE
(Cash Management) schema and is central to financial operations, ensuring seamless integration with other Oracle modules.
Key Columns and Their Significance
- BANK_ACCOUNT_ID: Primary key, uniquely identifying each bank account record.
- BANK_ACCOUNT_NUM: Stores the actual bank account number, masked for security in some implementations.
- BANK_ACCOUNT_NAME: A user-defined name for the account, aiding in easy identification.
- CURRENCY_CODE: Specifies the account's currency, critical for multi-currency transactions.
- BANK_ID: Foreign key linking to
CE_BANKS_V
, identifying the bank where the account is held. - BRANCH_ID: Foreign key referencing
CE_BANK_BRANCHES
, specifying the bank branch. - ACCOUNT_TYPE: Classifies the account (e.g., Checking, Savings, or Credit Card).
- STATUS: Indicates whether the account is Active or Inactive.
- START_DATE and END_DATE: Define the account's operational period.
- IBAN_NUMBER: Stores International Bank Account Number (IBAN) for global transactions.
- AP_USE_ALLOWED_FLAG, AR_USE_ALLOWED_FLAG, XTR_USE_ALLOWED_FLAG: Flags controlling module-specific access (AP, AR, Treasury).
Functional Role in Oracle EBS
TheCE_BANK_ACCOUNTS
table enables:
- Bank Account Management: Centralizes account details, streamlining administration and compliance.
- Transaction Processing: Facilitates payments (AP), receipts (AR), and fund transfers (Treasury).
- Reconciliation: Integrates with
CE_STATEMENTS
for automated bank statement reconciliation. - Security: Supports masking of sensitive data (e.g., account numbers) via Oracle's Data Masking tools.
- Multi-Org Access Control (MOAC): Allows shared accounts across operating units while enforcing data security.
Integration with Other Modules
The table is referenced by:- AP_BANK_ACCOUNTS: Maps accounts for supplier payments.
- AR_CASH_RECEIPTS: Links customer receipts to bank accounts.
- XTR_BANK_ACCOUNTS: Supports treasury operations like investments and loans.
Technical Considerations
- Indexes: Optimized for queries on
BANK_ACCOUNT_ID
,BANK_ID
, andBRANCH_ID
. - Audit Trails: Changes are logged in
CE_BANK_ACCOUNTS_ALL
for compliance. - Validation: Enforces referential integrity with
CE_BANKS_V
andCE_BANK_BRANCHES
.
Conclusion
TheCE_BANK_ACCOUNTS
table is a cornerstone of Oracle EBS Cash Management, ensuring accurate bank account administration, secure transactions, and cross-module interoperability. Its design supports scalability, regulatory compliance, and operational efficiency, making it indispensable for organizations leveraging Oracle EBS 12.1.1 or 12.2.2 for financial management.
-
Table: CE_BANK_ACCOUNTS
12.2.2
owner:CE, object_type:TABLE, fnd_design_data:CE.CE_BANK_ACCOUNTS, object_name:CE_BANK_ACCOUNTS, status:VALID, product: CE - Cash Management , description: This table contains bank account information. Each bank account must be affiliated with one bank branch. , implementation_dba_data: CE.CE_BANK_ACCOUNTS ,
-
Table: CE_BANK_ACCOUNTS
12.1.1
owner:CE, object_type:TABLE, fnd_design_data:CE.CE_BANK_ACCOUNTS, object_name:CE_BANK_ACCOUNTS, status:VALID, product: CE - Cash Management , description: This table contains bank account information. Each bank account must be affiliated with one bank branch. , implementation_dba_data: CE.CE_BANK_ACCOUNTS ,