Search Results multi_select
Overview
APPS.CE_REVERSAL_TRANSACTIONS_V is a Cash Management (CE) reporting view that exposes transactions eligible for reversal or unclearing within Oracle E-Business Suite 12.1.1 and 12.2.2. It is a UNION ALL view assembled from a family of version-specific reversal views, allowing a single query surface to return reversal candidates regardless of which bank statement reconciliation engine is active for the operating unit.
The view does not store data; it is a curated projection over the underlying reversal views. Its purpose is to support the Reversal and Unclear Transactions windows, the Auto Reconciliation workflow, and downstream reporting or integration extracts that need to enumerate clearable or unclearable treasury transactions. Because the object is owned by APPS and marked VALID, it can be referenced directly from custom reports, BI Publisher data models, or interface programs following standard EBS security and MOAC conventions.
Underlying Base Objects
The documented base objects reflect the view's composition and dependency chain:
CE_200_REVERSAL_V,CE_222_REVERSAL_V,CE_260_CF_REVERSAL_V,CE_999_REVERSAL_V— component reversal views unioned together, each tied to a reconciliation processing path. TheCE_200_REVERSAL_Vbranch is gated byCE_AUTO_BANK_MATCH.GET_200 = 1, a profile-driven switch.CE_AUTO_BANK_MATCH,CE_AUTO_BANK_CLEAR— packages supplying gating logic, status derivation, and clearing semantics.ARP_CASHBOOK— supplies bank account and currency context for the receipt side.IBY_FD_EXTRACT_GEN_PVT— payment instrument extraction logic used for disbursement-side attributes such as agent name and payment method.FND_GLOBAL— provides session context, includingORG_ID, for multi-org filtering.
The union structure means the view returns the same logical column set from each branch; the trailing TO_NUMBER(NULL) padding in the documented excerpt indicates columns appended in later branches to preserve positional alignment.
Key Columns
ROW_ID,TRX_ID,TRX_TYPE,TYPE_MEANING,TRX_NUMBER— unique identifier and transaction classification.BANK_ACCOUNT_ID,BANK_ACCOUNT_NUM,BANK_ACCOUNT_NAME,BANK_NAME,CE_BANK_ACCT_USE_ID— bank account context.CURRENCY_CODE,AMOUNT,BANK_ACCOUNT_AMOUNT,AMOUNT_CLEARED,BASE_AMOUNT— monetary values in transaction and bank currency.STATUS,STATUS_DSP,TRX_RECONCILED_FLAG— reconciliation state indicators.AGENT_NAME,AGENT_NUMBER,CUSTOMER_ID,SUPPLIER_ID— trading partner identity;AGENT_NAMEis the user-facing payee or remitter name.REVERSAL_CATEGORY,REVERSAL_CATEGORY_ID,REVERSAL_REASON,REVERSAL_REASON_ID,REVERSAL_COMMENTS— reversal classification attributes.GL_DATE,TRX_DATE,CLEARED_DATE,VALUE_DATE,MATURITY_DATE— accounting and clearing dates.BATCH_NAME,BATCH_ID,PAYMENT_METHOD,PAYMENT_METHOD_ID,CASH_RECEIPT_ID,REMITTANCE_NUMBER— batch, payment, and receipt references.STATEMENT_LINE_ID,STATEMENT_NUMBER,STATEMENT_LINE_AMOUNT— bank statement linkage.ORG_ID— operating unit discriminator for MOAC filtering.
Common Use Cases and Queries
Typical uses include populating reversal LOVs, driving Auto Reconciliation, and producing reconciliation audit extracts. When searching by agent_name, the view allows identification of all reversible or unclearable transactions associated with a given trading partner.
SELECT trx_number, trx_type, agent_name, amount,
currency_code, status_dsp, cleared_date, batch_name
FROM apps.ce_reversal_transactions_v
WHERE agent_name LIKE :p_agent_name
AND org_id = :p_org_id
ORDER BY trx_date;
Reversal-specific queries can filter on the reversal category and reason to report why transactions are candidates for reversal, while unclearing queries filter on the reconciliation flag to locate cleared items still eligible for reversal. Joining back to CE_BANK_ACCOUNTS or GL tables is common when building financial reconciliation reports.
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View: CE_REVERSAL_TRANSACTIONS_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_REVERSAL_TRANSACTIONS_V, object_name:CE_REVERSAL_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available transactions for reversal or unclearing , implementation_dba_data: APPS.CE_REVERSAL_TRANSACTIONS_V ,
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View: CE_REVERSAL_TRANSACTIONS_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_REVERSAL_TRANSACTIONS_V, object_name:CE_REVERSAL_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available transactions for reversal or unclearing , implementation_dba_data: APPS.CE_REVERSAL_TRANSACTIONS_V ,
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View: CE_AVAILABLE_BATCHES_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_AVAILABLE_BATCHES_V, object_name:CE_AVAILABLE_BATCHES_V, status:VALID, product: CE - Cash Management , description: Available batches for reconciliation , implementation_dba_data: APPS.CE_AVAILABLE_BATCHES_V ,
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View: CE_AVAILABLE_BATCHES_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_AVAILABLE_BATCHES_V, object_name:CE_AVAILABLE_BATCHES_V, status:VALID, product: CE - Cash Management , description: Available batches for reconciliation , implementation_dba_data: APPS.CE_AVAILABLE_BATCHES_V ,
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View: CE_RECONCILED_TRANSACTIONS_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_RECONCILED_TRANSACTIONS_V, object_name:CE_RECONCILED_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Reconciled transactions , implementation_dba_data: APPS.CE_RECONCILED_TRANSACTIONS_V ,
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View: CE_AVAILABLE_TRANSACTIONS_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_AVAILABLE_TRANSACTIONS_V, object_name:CE_AVAILABLE_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available transactions for reconciliation , implementation_dba_data: APPS.CE_AVAILABLE_TRANSACTIONS_V ,
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View: CE_AVAILABLE_TRANSACTIONS_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_AVAILABLE_TRANSACTIONS_V, object_name:CE_AVAILABLE_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available transactions for reconciliation , implementation_dba_data: APPS.CE_AVAILABLE_TRANSACTIONS_V ,
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View: CE_RECONCILED_TRANSACTIONS_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_RECONCILED_TRANSACTIONS_V, object_name:CE_RECONCILED_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Reconciled transactions , implementation_dba_data: APPS.CE_RECONCILED_TRANSACTIONS_V ,
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View: CE_999_TRANSACTIONS_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_999_TRANSACTIONS_V, object_name:CE_999_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available transactions for reconciliation via Open Interface , implementation_dba_data: APPS.CE_999_TRANSACTIONS_V ,
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View: CE_999_TRANSACTIONS_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_999_TRANSACTIONS_V, object_name:CE_999_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available transactions for reconciliation via Open Interface , implementation_dba_data: APPS.CE_999_TRANSACTIONS_V ,
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View: CE_999_RECONCILED_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_999_RECONCILED_V, object_name:CE_999_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled transactions for unreconciling via Open Interface , implementation_dba_data: APPS.CE_999_RECONCILED_V ,
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View: CE_999_RECONCILED_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_999_RECONCILED_V, object_name:CE_999_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled transactions for unreconciling via Open Interface , implementation_dba_data: APPS.CE_999_RECONCILED_V ,
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View: CE_999_REVERSAL_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_999_REVERSAL_V, object_name:CE_999_REVERSAL_V, status:VALID, product: CE - Cash Management , description: Open interface transactions for unclearing , implementation_dba_data: APPS.CE_999_REVERSAL_V ,
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View: CE_200_BATCHES_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_200_BATCHES_V, object_name:CE_200_BATCHES_V, status:VALID, product: CE - Cash Management , description: Available AP payment batches for reconciliation , implementation_dba_data: APPS.CE_200_BATCHES_V ,
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View: CE_999_REVERSAL_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_999_REVERSAL_V, object_name:CE_999_REVERSAL_V, status:VALID, product: CE - Cash Management , description: Open interface transactions for unclearing , implementation_dba_data: APPS.CE_999_REVERSAL_V ,
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View: CE_200_BATCHES_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_200_BATCHES_V, object_name:CE_200_BATCHES_V, status:VALID, product: CE - Cash Management , description: Available AP payment batches for reconciliation , implementation_dba_data: APPS.CE_200_BATCHES_V ,
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View: CE_200_GROUPS_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_200_GROUPS_V, object_name:CE_200_GROUPS_V, status:VALID, product: CE - Cash Management , description: Available AP/IBY payment Groups for reconciliation , implementation_dba_data: APPS.CE_200_GROUPS_V ,
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View: CE_222_BATCHES_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_222_BATCHES_V, object_name:CE_222_BATCHES_V, status:VALID, product: CE - Cash Management , description: Available AR remittance batches for reconciliation , implementation_dba_data: APPS.CE_222_BATCHES_V ,
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View: CE_222_BATCHES_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_222_BATCHES_V, object_name:CE_222_BATCHES_V, status:VALID, product: CE - Cash Management , description: Available AR remittance batches for reconciliation , implementation_dba_data: APPS.CE_222_BATCHES_V ,
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View: CE_260_TRANSACTIONS_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_260_TRANSACTIONS_V, object_name:CE_260_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available statement lines for reconciliation , implementation_dba_data: APPS.CE_260_TRANSACTIONS_V ,
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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 ,
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View: CE_260_TRANSACTIONS_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_260_TRANSACTIONS_V, object_name:CE_260_TRANSACTIONS_V, status:VALID, product: CE - Cash Management , description: Available statement lines for reconciliation , implementation_dba_data: APPS.CE_260_TRANSACTIONS_V ,
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View: CE_260_RECONCILED_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_260_RECONCILED_V, object_name:CE_260_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled statement lines for unreconciling , implementation_dba_data: APPS.CE_260_RECONCILED_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 ,
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View: CE_260_RECONCILED_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_260_RECONCILED_V, object_name:CE_260_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled statement lines for unreconciling , implementation_dba_data: APPS.CE_260_RECONCILED_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 ,
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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 ,
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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 ,
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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 ,
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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 ,
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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 ,
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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 ,
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View: CE_101_RECONCILED_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_101_RECONCILED_V, object_name:CE_101_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled GL journals for unreconciling , implementation_dba_data: APPS.CE_101_RECONCILED_V ,
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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 ,
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View: CE_101_RECONCILED_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_101_RECONCILED_V, object_name:CE_101_RECONCILED_V, status:VALID, product: CE - Cash Management , description: Reconciled GL journals for unreconciling , implementation_dba_data: APPS.CE_101_RECONCILED_V ,
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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 ,
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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 ,
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View: CE_200_REVERSAL_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_200_REVERSAL_V, object_name:CE_200_REVERSAL_V, status:VALID, product: CE - Cash Management , description: AP transactions for unclearing , implementation_dba_data: APPS.CE_200_REVERSAL_V ,
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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 ,
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View: CE_200_REVERSAL_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:CE.CE_200_REVERSAL_V, object_name:CE_200_REVERSAL_V, status:VALID, product: CE - Cash Management , description: AP transactions for unclearing , implementation_dba_data: APPS.CE_200_REVERSAL_V ,
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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 ,
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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_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 ,
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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_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 ,
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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 ,
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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 ,