Search Results ce_security_profiles_gt
Overview
CE_STATEMENT_RECON_GT_V is a security-filtered view owned by the APPS schema in Oracle Cash Management (CE). It exposes reconciliation records from the bank statement reconciliation process, presenting the data that links bank statement lines to the underlying transactions they have been reconciled against. The view derives its name from the "_GT" suffix convention, indicating that it is designed to operate in conjunction with a global temporary table used by the Cash Management security profile mechanism. Rather than returning all reconciliation rows in the database, the view restricts the result set to those records that fall within the organization and legal entity access privileges defined by the current user's Cash Management security profile.
This view plays a supporting role in Cash Management reporting, reconciliation inquiries, and integration flows where the application must present only the reconciliation activity that the logged-in user is authorized to see. It is particularly relevant to multi-organization deployments in Oracle EBS 12.1.1 and 12.2.2, where data segregation by operating unit, business group, and legal entity is enforced at query time.
Underlying Base Objects
The view is defined over a single primary base object, CE_STATEMENT_RECONCILS_ALL, which stores the reconciliation relationships between bank statement lines and the transactions, journal lines, or other reference records they reconcile. The documented referenced objects are:
- CE_STATEMENT_RECONCILS_ALL (SYNONYM) — the primary source of reconciliation rows.
- CE_SECURITY_PROFILES_GT (SYNONYM) — the global temporary table populated with the current user's authorized organization and legal entity identifiers.
The view applies an OR-based predicate against these two objects. Rows are returned when the reconciliation record's ORG_ID matches an organization in the security profile whose ORGANIZATION_TYPE is 'BUSINESS_GROUP' or 'OPERATING_UNIT', when its LEGAL_ENTITY_ID matches a profile entry of type 'LEGAL_ENTITY', or when the REFERENCE_TYPE is one of 'JE_LINE', 'ROI_LINE', or 'STATEMENT'. This third branch ensures that certain reconciliation record types are always accessible regardless of organization or legal entity filtering, reflecting their cross-organizational nature.
Key Columns
- STATEMENT_LINE_ID — Identifier of the bank statement line involved in the reconciliation.
- REFERENCE_TYPE / REFERENCE_ID — The type and identifier of the record reconciled to the statement line (for example, JE_LINE, ROI_LINE, or STATEMENT).
- JE_HEADER_ID — Journal entry header associated with the reconciliation, where applicable.
- ORG_ID / LEGAL_ENTITY_ID — The operating unit and legal entity used for security filtering.
- REFERENCE_STATUS, STATUS_FLAG, ACTION_FLAG — State indicators describing the reconciliation's progress and the action taken.
- CURRENT_RECORD_FLAG — Indicates whether the row is the current effective reconciliation record.
- AUTO_RECONCILED_FLAG — Distinguishes records created by automatic reconciliation from those created manually.
- AMOUNT — The reconciled amount.
- REQUEST_ID, PROGRAM_APPLICATION_ID, PROGRAM_ID, PROGRAM_UPDATE_DATE — Concurrent program audit columns identifying the process that created or last updated the row.
- Standard WHO columns (CREATED_BY, CREATION_DATE, LAST_UPDATED_BY, LAST_UPDATE_DATE) and ROWID.
Common Use Cases and Queries
The view is typically used in reconciliation inquiries, custom security-aware reports, and integration extracts where only authorized reconciliation data should be surfaced.
Retrieve reconciliations for a specific statement line:
SELECT statement_line_id, reference_type, reference_id, amount,
status_flag, auto_reconciled_flag
FROM apps.ce_statement_recon_gt_v
WHERE statement_line_id = :p_statement_line_id;
List auto-reconciled records visible to the current user:
SELECT reference_type, reference_id, org_id, legal_entity_id, amount FROM apps.ce_statement_recon_gt_v WHERE auto_reconciled_flag = 'Y' AND current_record_flag = 'Y';
Because the underlying security profile global temporary table is populated by the Cash Management security initialization, queries should be executed within an initialized session so the ORG_ID and LEGAL_ENTITY_ID predicates resolve correctly.
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View: CE_STATEMENT_RECON_GT_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_STATEMENT_RECON_GT_V, object_name:CE_STATEMENT_RECON_GT_V, status:VALID, product: CE - Cash Management , implementation_dba_data: APPS.CE_STATEMENT_RECON_GT_V ,
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View: CE_STATEMENT_RECON_GT_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_STATEMENT_RECON_GT_V, object_name:CE_STATEMENT_RECON_GT_V, status:VALID, product: CE - Cash Management , implementation_dba_data: APPS.CE_STATEMENT_RECON_GT_V ,
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View: CE_BANK_ACCT_USES_GT_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_BANK_ACCT_USES_GT_V, object_name:CE_BANK_ACCT_USES_GT_V, status:VALID, product: CE - Cash Management , implementation_dba_data: APPS.CE_BANK_ACCT_USES_GT_V ,
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View: CE_BANK_ACCT_USES_GT_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_BANK_ACCT_USES_GT_V, object_name:CE_BANK_ACCT_USES_GT_V, status:VALID, product: CE - Cash Management , implementation_dba_data: APPS.CE_BANK_ACCT_USES_GT_V ,
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View: CE_222_TXN_FOR_BATCH_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_222_TXN_FOR_BATCH_V, object_name:CE_222_TXN_FOR_BATCH_V, status:VALID, product: CE - Cash Management , description: Available Remittance Batches for Reconciliation or Clearing. , implementation_dba_data: APPS.CE_222_TXN_FOR_BATCH_V ,
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View: CE_222_TXN_FOR_BATCH_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_222_TXN_FOR_BATCH_V, object_name:CE_222_TXN_FOR_BATCH_V, status:VALID, product: CE - Cash Management , description: Available Remittance Batches for Reconciliation or Clearing. , implementation_dba_data: APPS.CE_222_TXN_FOR_BATCH_V ,
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View: CE_801_TRANSACTIONS_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_801_TRANSACTIONS_V, object_name:CE_801_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available Payroll payments for reconciliation , implementation_dba_data: APPS.CE_801_TRANSACTIONS_V ,
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View: CE_801_TRANSACTIONS_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_801_TRANSACTIONS_V, object_name:CE_801_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available Payroll payments for reconciliation , implementation_dba_data: APPS.CE_801_TRANSACTIONS_V ,
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View: CE_BANK_ACCTS_CALC_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_BANK_ACCTS_CALC_V, object_name:CE_BANK_ACCTS_CALC_V, status:VALID, product: CE - Cash Management , implementation_dba_data: APPS.CE_BANK_ACCTS_CALC_V ,
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View: CE_BANK_ACCTS_CALC_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_BANK_ACCTS_CALC_V, object_name:CE_BANK_ACCTS_CALC_V, status:VALID, product: CE - Cash Management , implementation_dba_data: APPS.CE_BANK_ACCTS_CALC_V ,
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View: CE_801_RECONCILED_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_801_RECONCILED_V, object_name:CE_801_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled Payroll payments for unreconciling , implementation_dba_data: APPS.CE_801_RECONCILED_V ,
-
View: CE_801_RECONCILED_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_801_RECONCILED_V, object_name:CE_801_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled Payroll payments for unreconciling , implementation_dba_data: APPS.CE_801_RECONCILED_V ,
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View: CE_BANK_ACCTS_SEARCH_GT_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_BANK_ACCTS_SEARCH_GT_V, object_name:CE_BANK_ACCTS_SEARCH_GT_V, status:VALID, product: CE - Cash Management , implementation_dba_data: APPS.CE_BANK_ACCTS_SEARCH_GT_V ,
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View: CE_BANK_ACCTS_GT_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_BANK_ACCTS_GT_V, object_name:CE_BANK_ACCTS_GT_V, status:VALID, product: CE - Cash Management , implementation_dba_data: APPS.CE_BANK_ACCTS_GT_V ,
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View: CE_BANK_ACCTS_SEARCH_GT_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_BANK_ACCTS_SEARCH_GT_V, object_name:CE_BANK_ACCTS_SEARCH_GT_V, status:VALID, product: CE - Cash Management , implementation_dba_data: APPS.CE_BANK_ACCTS_SEARCH_GT_V ,
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View: CE_BANK_ACCTS_GT_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_BANK_ACCTS_GT_V, object_name:CE_BANK_ACCTS_GT_V, status:VALID, product: CE - Cash Management , implementation_dba_data: APPS.CE_BANK_ACCTS_GT_V ,
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View: CE_222_TRANSACTIONS_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_222_TRANSACTIONS_V, object_name:CE_222_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available AR receipts for reconciliation or clearing , implementation_dba_data: APPS.CE_222_TRANSACTIONS_V ,
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View: CE_222_TRANSACTIONS_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_222_TRANSACTIONS_V, object_name:CE_222_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available AR receipts for reconciliation or clearing , implementation_dba_data: APPS.CE_222_TRANSACTIONS_V ,
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View: CE_260_CF_REVERSAL_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_260_CF_REVERSAL_V, object_name:CE_260_CF_REVERSAL_V, status:VALID, product: CE - Cash Management , description: AR receipts for reversing or unclearing , implementation_dba_data: APPS.CE_260_CF_REVERSAL_V ,
-
View: CE_260_CF_REVERSAL_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_260_CF_REVERSAL_V, object_name:CE_260_CF_REVERSAL_V, status:VALID, product: CE - Cash Management , description: AR receipts for reversing or unclearing , implementation_dba_data: APPS.CE_260_CF_REVERSAL_V ,
-
View: CE_101_TRANSACTIONS_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_101_TRANSACTIONS_V, object_name:CE_101_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available GL journals for reconciliation , implementation_dba_data: APPS.CE_101_TRANSACTIONS_V ,
-
View: CE_101_TRANSACTIONS_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_101_TRANSACTIONS_V, object_name:CE_101_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available GL journals for reconciliation , implementation_dba_data: APPS.CE_101_TRANSACTIONS_V ,
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View: CE_801_EFT_RECONCILED_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_801_EFT_RECONCILED_V, object_name:CE_801_EFT_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled Payroll payments for unreconciling , implementation_dba_data: APPS.CE_801_EFT_RECONCILED_V ,
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View: CE_185_TRANSACTIONS_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_185_TRANSACTIONS_V, object_name:CE_185_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available Treasury transactions for reconciliation via Open Interface , implementation_dba_data: APPS.CE_185_TRANSACTIONS_V ,
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View: CE_801_EFT_TRANSACTIONS_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_801_EFT_TRANSACTIONS_V, object_name:CE_801_EFT_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , implementation_dba_data: APPS.CE_801_EFT_TRANSACTIONS_V ,
-
View: CE_801_EFT_TRANSACTIONS_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_801_EFT_TRANSACTIONS_V, object_name:CE_801_EFT_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , implementation_dba_data: APPS.CE_801_EFT_TRANSACTIONS_V ,
-
View: CE_222_REVERSAL_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_222_REVERSAL_V, object_name:CE_222_REVERSAL_V, status:VALID, product: CE - Cash Management , description: AR receipts for reversing or unclearing , implementation_dba_data: APPS.CE_222_REVERSAL_V ,
-
View: CE_185_RECONCILED_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_185_RECONCILED_V, object_name:CE_185_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled Treasury transactions for unreconciling via Open Interface , implementation_dba_data: APPS.CE_185_RECONCILED_V ,
-
View: CE_185_TRANSACTIONS_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_185_TRANSACTIONS_V, object_name:CE_185_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available Treasury transactions for reconciliation via Open Interface , implementation_dba_data: APPS.CE_185_TRANSACTIONS_V ,
-
View: CE_801_EFT_RECONCILED_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_801_EFT_RECONCILED_V, object_name:CE_801_EFT_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled Payroll payments for unreconciling , implementation_dba_data: APPS.CE_801_EFT_RECONCILED_V ,
-
View: CE_222_REVERSAL_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_222_REVERSAL_V, object_name:CE_222_REVERSAL_V, status:VALID, product: CE - Cash Management , description: AR receipts for reversing or unclearing , implementation_dba_data: APPS.CE_222_REVERSAL_V ,
-
View: CE_185_RECONCILED_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_185_RECONCILED_V, object_name:CE_185_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled Treasury transactions for unreconciling via Open Interface , implementation_dba_data: APPS.CE_185_RECONCILED_V ,
-
View: CE_260_CF_RECONCILED_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_260_CF_RECONCILED_V, object_name:CE_260_CF_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled cashflow receipts and payments for unreconciling , implementation_dba_data: APPS.CE_260_CF_RECONCILED_V ,
-
View: CE_260_CF_RECONCILED_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_260_CF_RECONCILED_V, object_name:CE_260_CF_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled cashflow receipts and payments for unreconciling , implementation_dba_data: APPS.CE_260_CF_RECONCILED_V ,
-
View: CE_200_TRANSACTIONS_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_200_TRANSACTIONS_V, object_name:CE_200_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available AP payments for reconciliation or clearing , implementation_dba_data: APPS.CE_200_TRANSACTIONS_V ,
-
View: CE_200_TRANSACTIONS_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_200_TRANSACTIONS_V, object_name:CE_200_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available AP payments for reconciliation or clearing , implementation_dba_data: APPS.CE_200_TRANSACTIONS_V ,
-
View: CE_222_RECONCILED_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_222_RECONCILED_V, object_name:CE_222_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled AR receipts for unreconciling , implementation_dba_data: APPS.CE_222_RECONCILED_V ,
-
View: CE_222_RECONCILED_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_222_RECONCILED_V, object_name:CE_222_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled AR receipts for unreconciling , implementation_dba_data: APPS.CE_222_RECONCILED_V ,
-
View: CE_260_CF_TRANSACTIONS_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_260_CF_TRANSACTIONS_V, object_name:CE_260_CF_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available cashflow payments/receipts for reconciliation or clearing , implementation_dba_data: APPS.CE_260_CF_TRANSACTIONS_V ,
-
View: CE_260_CF_TRANSACTIONS_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_260_CF_TRANSACTIONS_V, object_name:CE_260_CF_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available cashflow payments/receipts for reconciliation or clearing , implementation_dba_data: APPS.CE_260_CF_TRANSACTIONS_V ,
-
View: CE_200_RECONCILED_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_200_RECONCILED_V, object_name:CE_200_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled AP payments for unreconciling , implementation_dba_data: APPS.CE_200_RECONCILED_V ,
-
View: CE_200_RECONCILED_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_200_RECONCILED_V, object_name:CE_200_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled AP payments for unreconciling , implementation_dba_data: APPS.CE_200_RECONCILED_V ,