Search Results xtr_deals
Overview
The XTR_DEALS table is a core master data object within the Oracle E-Business Suite Treasury (XTR) module, specifically for versions 12.1.1 and 12.2.2. It serves as the central repository for recording and storing the fundamental attributes of all financial instrument deals entered into by an organization, excluding exposure transactions. Every executed transaction, such as a foreign exchange deal, money market deposit, or bond trade, is captured as a record in this table. Its primary role is to provide the single source of truth for deal inception data, which is subsequently referenced by numerous sub-modules for processing, settlement, revaluation, and reporting. The table's extensive network of foreign keys underscores its integral position in the Treasury data model, linking deals to counterparties, currencies, product definitions, accounting details, and statuses.
Key Information Stored
The table's structure is defined by its primary and foreign key relationships, which highlight its critical data elements. The primary key is DEAL_NO, a unique identifier for each transaction. Essential descriptive columns include DEAL_TYPE, PRODUCT_TYPE, and DEAL_SUBTYPE, which classify the financial instrument. Counterparty information is stored in CPARTY_CODE and RISKPARTY_CODE. Financial terms are captured in columns such as CURRENCY, CURRENCY_BUY, CURRENCY_SELL, REF_CCY, and CTY_CCY. The table also maintains vital lifecycle and control data, including STATUS_CODE (linked to XTR_DEAL_STATUSES), DEALER_CODE, PORTFOLIO_CODE, and references to revaluation batches via FIRST_REVAL_BATCH_ID and LAST_REVAL_BATCH_ID. Crucially, it holds foreign keys to the Cash Management module's CE_BANK_ACCT_USES_ALL table for accounting purposes, such as BUY_ACCT_USE_ID, SELL_ACCT_USE_ID, and MATURITY_ACCT_USE_ID.
Common Use Cases and Queries
This table is central to treasury operations and reporting. Common use cases include generating deal tickets and confirmations, populating position and risk management dashboards, feeding settlement and accounting entries, and supporting audit trails. Typical analytical queries involve joining to related master tables to produce comprehensive deal listings. For example, a report to list all active Foreign Exchange deals would join XTR_DEALS to XTR_DEAL_TYPES, XTR_COUNTERPARTIES, and XTR_MASTER_CURRENCIES. Another critical pattern is tracing accounting impacts by joining DEAL_NO to various XTR transaction tables (like XTR_DEAL_DATE_AMOUNTS) and then to the GL interface. Queries also frequently filter on STATUS_CODE to identify deals pending settlement or authorization, and on DEALER_CODE for performance analysis.
Related Objects
As indicated by its foreign keys, XTR_DEALS has dependencies and relationships with a wide array of objects within and beyond the XTR schema. Key related tables include:
- Master Definitions: XTR_DEAL_TYPES, XTR_PRODUCT_TYPES, XTR_DEAL_SUBTYPES, XTR_MASTER_CURRENCIES, XTR_BUY_SELL_COMBINATIONS.
- Counterparty & Limits: XTR_COUNTERPARTY_LIMITS (for both CPARTY and RISKPARTY).
- Lifecycle & Control: XTR_DEAL_STATUSES, XTR_DEALER_CODES, XTR_PORTFOLIOS, XTR_BATCHES.
- Instrument Specific: XTR_BOND_ISSUES, XTR_PAYMENT_SCHEDULE.
- Cross-Module Integration: CE_BANK_ACCT_USES_ALL (Cash Management) for bank account assignments.
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Table: XTR_DEALS
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_DEALS, object_name:XTR_DEALS, status:VALID, product: XTR - Treasury , description: Information for all financial instrument deals except exposure transactions , implementation_dba_data: XTR.XTR_DEALS ,
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Table: XTR_DEALS
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_DEALS, object_name:XTR_DEALS, status:VALID, product: XTR - Treasury , description: Information for all financial instrument deals except exposure transactions , implementation_dba_data: XTR.XTR_DEALS ,
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Table: XTR_BANK_ACCOUNTS
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_BANK_ACCOUNTS, object_name:XTR_BANK_ACCOUNTS, status:VALID, product: XTR - Treasury , description: Bank account information , implementation_dba_data: XTR.XTR_BANK_ACCOUNTS ,
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Table: XTR_BANK_ACCOUNTS
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_BANK_ACCOUNTS, object_name:XTR_BANK_ACCOUNTS, status:VALID, product: XTR - Treasury , description: Bank account information , implementation_dba_data: XTR.XTR_BANK_ACCOUNTS ,
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Table: XTR_COUNTERPARTY_LIMITS
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_COUNTERPARTY_LIMITS, object_name:XTR_COUNTERPARTY_LIMITS, status:VALID, product: XTR - Treasury , description: Counterparty limits information including limit and utilization amounts , implementation_dba_data: XTR.XTR_COUNTERPARTY_LIMITS ,
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Table: XTR_BUY_SELL_COMBINATIONS
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_BUY_SELL_COMBINATIONS, object_name:XTR_BUY_SELL_COMBINATIONS, status:VALID, product: XTR - Treasury , description: Buy and sell currency combination information , implementation_dba_data: XTR.XTR_BUY_SELL_COMBINATIONS ,
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Table: XTR_BUY_SELL_COMBINATIONS
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_BUY_SELL_COMBINATIONS, object_name:XTR_BUY_SELL_COMBINATIONS, status:VALID, product: XTR - Treasury , description: Buy and sell currency combination information , implementation_dba_data: XTR.XTR_BUY_SELL_COMBINATIONS ,
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Table: XTR_COUNTERPARTY_LIMITS
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_COUNTERPARTY_LIMITS, object_name:XTR_COUNTERPARTY_LIMITS, status:VALID, product: XTR - Treasury , description: Counterparty limits information including limit and utilization amounts , implementation_dba_data: XTR.XTR_COUNTERPARTY_LIMITS ,
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Table: XTR_BATCHES
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_BATCHES, object_name:XTR_BATCHES, status:VALID, product: XTR - Treasury , description: This table stores the fundamental information for each batch process. , implementation_dba_data: XTR.XTR_BATCHES ,
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Table: XTR_BATCHES
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_BATCHES, object_name:XTR_BATCHES, status:VALID, product: XTR - Treasury , description: This table stores the fundamental information for each batch process. , implementation_dba_data: XTR.XTR_BATCHES ,
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View: XTR_NI_ELIGIBLE_DEALS_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:XTR.XTR_NI_ELIGIBLE_DEALS_V, object_name:XTR_NI_ELIGIBLE_DEALS_V, status:VALID, product: XTR - Treasury , description: Based on table three tables xtr_rollover_transactions, xtr_deals, xtr_company_parameters. , implementation_dba_data: APPS.XTR_NI_ELIGIBLE_DEALS_V ,
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View: XTR_NI_ELIGIBLE_DEALS_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:XTR.XTR_NI_ELIGIBLE_DEALS_V, object_name:XTR_NI_ELIGIBLE_DEALS_V, status:VALID, product: XTR - Treasury , description: Based on table three tables xtr_rollover_transactions, xtr_deals, xtr_company_parameters. , implementation_dba_data: APPS.XTR_NI_ELIGIBLE_DEALS_V ,
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Table: XTR_PORTFOLIOS
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_PORTFOLIOS, object_name:XTR_PORTFOLIOS, status:VALID, product: XTR - Treasury , description: Company portfolio information , implementation_dba_data: XTR.XTR_PORTFOLIOS ,
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Table: XTR_INTERFACE_ERRORS
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_INTERFACE_ERRORS, object_name:XTR_INTERFACE_ERRORS, status:VALID, product: XTR - Treasury , description: This table contains all the errors generated by the transfer from the Xtr_Deals_Interface to the Xtr_Deals table. , implementation_dba_data: XTR.XTR_INTERFACE_ERRORS ,
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Table: XTR_CONFIRMATION_DETAILS
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_CONFIRMATION_DETAILS, object_name:XTR_CONFIRMATION_DETAILS, status:VALID, product: XTR - Treasury , description: Confirmation letter details , implementation_dba_data: XTR.XTR_CONFIRMATION_DETAILS ,
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Table: XTR_CONFIRMATION_DETAILS
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_CONFIRMATION_DETAILS, object_name:XTR_CONFIRMATION_DETAILS, status:VALID, product: XTR - Treasury , description: Confirmation letter details , implementation_dba_data: XTR.XTR_CONFIRMATION_DETAILS ,
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Table: XTR_ACCRLS_AMORT
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_ACCRLS_AMORT, object_name:XTR_ACCRLS_AMORT, status:VALID, product: XTR - Treasury , description: Accrual amounts for deal transactions , implementation_dba_data: XTR.XTR_ACCRLS_AMORT ,
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Table: XTR_PRODUCT_TYPES
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_PRODUCT_TYPES, object_name:XTR_PRODUCT_TYPES, status:VALID, product: XTR - Treasury , description: Product type information , implementation_dba_data: XTR.XTR_PRODUCT_TYPES ,
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Table: XTR_REVALUATION_DETAILS
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_REVALUATION_DETAILS, object_name:XTR_REVALUATION_DETAILS, status:VALID, product: XTR - Treasury , description: Revaluation results of Treasury deals , implementation_dba_data: XTR.XTR_REVALUATION_DETAILS ,
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Table: XTR_LIMIT_EXCESS_LOG
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_LIMIT_EXCESS_LOG, object_name:XTR_LIMIT_EXCESS_LOG, status:VALID, product: XTR - Treasury , description: Limit exceptions caused by deal transactions , implementation_dba_data: XTR.XTR_LIMIT_EXCESS_LOG ,
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Table: XTR_INTERFACE_ERRORS
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_INTERFACE_ERRORS, object_name:XTR_INTERFACE_ERRORS, status:VALID, product: XTR - Treasury , description: This table contains all the errors generated by the transfer from the Xtr_Deals_Interface to the Xtr_Deals table. , implementation_dba_data: XTR.XTR_INTERFACE_ERRORS ,
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Table: XTR_PAYMENT_SCHEDULE
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_PAYMENT_SCHEDULE, object_name:XTR_PAYMENT_SCHEDULE, status:VALID, product: XTR - Treasury , description: Payment schedule information for retail term money deals , implementation_dba_data: XTR.XTR_PAYMENT_SCHEDULE ,
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Table: XTR_PAYMENT_SCHEDULE
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_PAYMENT_SCHEDULE, object_name:XTR_PAYMENT_SCHEDULE, status:VALID, product: XTR - Treasury , description: Payment schedule information for retail term money deals , implementation_dba_data: XTR.XTR_PAYMENT_SCHEDULE ,
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Table: XTR_DEALER_CODES
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_DEALER_CODES, object_name:XTR_DEALER_CODES, status:VALID, product: XTR - Treasury , description: Treasury users information , implementation_dba_data: XTR.XTR_DEALER_CODES ,
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Table: XTR_DEAL_SUBTYPES
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_DEAL_SUBTYPES, object_name:XTR_DEAL_SUBTYPES, status:VALID, product: XTR - Treasury , description: Deal subtype information , implementation_dba_data: XTR.XTR_DEAL_SUBTYPES ,
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Table: XTR_DEAL_SUBTYPES
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_DEAL_SUBTYPES, object_name:XTR_DEAL_SUBTYPES, status:VALID, product: XTR - Treasury , description: Deal subtype information , implementation_dba_data: XTR.XTR_DEAL_SUBTYPES ,
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Table: XTR_PORTFOLIOS
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_PORTFOLIOS, object_name:XTR_PORTFOLIOS, status:VALID, product: XTR - Treasury , description: Company portfolio information , implementation_dba_data: XTR.XTR_PORTFOLIOS ,
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Table: XTR_LIMIT_EXCESS_LOG
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_LIMIT_EXCESS_LOG, object_name:XTR_LIMIT_EXCESS_LOG, status:VALID, product: XTR - Treasury , description: Limit exceptions caused by deal transactions , implementation_dba_data: XTR.XTR_LIMIT_EXCESS_LOG ,
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Table: XTR_DEAL_RETRO_TESTS
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_DEAL_RETRO_TESTS, object_name:XTR_DEAL_RETRO_TESTS, status:VALID, product: XTR - Treasury , description: Stores deal level retrospective effectiveness test and measurement details. , implementation_dba_data: XTR.XTR_DEAL_RETRO_TESTS ,
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Table: XTR_DEAL_STATUSES
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_DEAL_STATUSES, object_name:XTR_DEAL_STATUSES, status:VALID, product: XTR - Treasury , description: Deal status information , implementation_dba_data: XTR.XTR_DEAL_STATUSES ,
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Table: XTR_DEAL_STATUSES
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_DEAL_STATUSES, object_name:XTR_DEAL_STATUSES, status:VALID, product: XTR - Treasury , description: Deal status information , implementation_dba_data: XTR.XTR_DEAL_STATUSES ,
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Table: XTR_BOND_ISSUES
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_BOND_ISSUES, object_name:XTR_BOND_ISSUES, status:VALID, product: XTR - Treasury , description: Bond issues information , implementation_dba_data: XTR.XTR_BOND_ISSUES ,
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Table: XTR_BOND_ISSUES
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_BOND_ISSUES, object_name:XTR_BOND_ISSUES, status:VALID, product: XTR - Treasury , description: Bond issues information , implementation_dba_data: XTR.XTR_BOND_ISSUES ,
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Table: XTR_PARCEL_SPLITS
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_PARCEL_SPLITS, object_name:XTR_PARCEL_SPLITS, status:VALID, product: XTR - Treasury , description: Parcel split detail information for discounted securities deals , implementation_dba_data: XTR.XTR_PARCEL_SPLITS ,
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Table: XTR_PARCEL_SPLITS
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_PARCEL_SPLITS, object_name:XTR_PARCEL_SPLITS, status:VALID, product: XTR - Treasury , description: Parcel split detail information for discounted securities deals , implementation_dba_data: XTR.XTR_PARCEL_SPLITS ,
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Table: XTR_REVALUATION_DETAILS
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_REVALUATION_DETAILS, object_name:XTR_REVALUATION_DETAILS, status:VALID, product: XTR - Treasury , description: Revaluation results of Treasury deals , implementation_dba_data: XTR.XTR_REVALUATION_DETAILS ,
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Table: XTR_DEAL_TYPES
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_DEAL_TYPES, object_name:XTR_DEAL_TYPES, status:VALID, product: XTR - Treasury , description: Deal type information , implementation_dba_data: XTR.XTR_DEAL_TYPES ,
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Table: XTR_ACCRLS_AMORT
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_ACCRLS_AMORT, object_name:XTR_ACCRLS_AMORT, status:VALID, product: XTR - Treasury , description: Accrual amounts for deal transactions , implementation_dba_data: XTR.XTR_ACCRLS_AMORT ,
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Table: XTR_PRODUCT_TYPES
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_PRODUCT_TYPES, object_name:XTR_PRODUCT_TYPES, status:VALID, product: XTR - Treasury , description: Product type information , implementation_dba_data: XTR.XTR_PRODUCT_TYPES ,
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Table: XTR_DEAL_RETRO_TESTS
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_DEAL_RETRO_TESTS, object_name:XTR_DEAL_RETRO_TESTS, status:VALID, product: XTR - Treasury , description: Stores deal level retrospective effectiveness test and measurement details. , implementation_dba_data: XTR.XTR_DEAL_RETRO_TESTS ,
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Table: XTR_DEALER_CODES
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_DEALER_CODES, object_name:XTR_DEALER_CODES, status:VALID, product: XTR - Treasury , description: Treasury users information , implementation_dba_data: XTR.XTR_DEALER_CODES ,
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Table: XTR_BILL_BOND_ISSUES
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_BILL_BOND_ISSUES, object_name:XTR_BILL_BOND_ISSUES, status:VALID, product: XTR - Treasury , description: Bill and bond issue serial numbers and information about the deals to which they are assigned , implementation_dba_data: XTR.XTR_BILL_BOND_ISSUES ,
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Table: XTR_BILL_BOND_ISSUES
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_BILL_BOND_ISSUES, object_name:XTR_BILL_BOND_ISSUES, status:VALID, product: XTR - Treasury , description: Bill and bond issue serial numbers and information about the deals to which they are assigned , implementation_dba_data: XTR.XTR_BILL_BOND_ISSUES ,
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Table: XTR_DEAL_TYPES
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_DEAL_TYPES, object_name:XTR_DEAL_TYPES, status:VALID, product: XTR - Treasury , description: Deal type information , implementation_dba_data: XTR.XTR_DEAL_TYPES ,
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Table: XTR_MASTER_CURRENCIES
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_MASTER_CURRENCIES, object_name:XTR_MASTER_CURRENCIES, status:VALID, product: XTR - Treasury , description: Currency information including its net maximum exposure, quotation basis, and year basis , implementation_dba_data: XTR.XTR_MASTER_CURRENCIES ,
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Table: XTR_MASTER_CURRENCIES
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_MASTER_CURRENCIES, object_name:XTR_MASTER_CURRENCIES, status:VALID, product: XTR - Treasury , description: Currency information including its net maximum exposure, quotation basis, and year basis , implementation_dba_data: XTR.XTR_MASTER_CURRENCIES ,
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Table: XTR_DEAL_DATE_AMOUNTS
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_DEAL_DATE_AMOUNTS, object_name:XTR_DEAL_DATE_AMOUNTS, status:VALID, product: XTR - Treasury , description: Deal transaction information grouped by date type, amount type, and amount action , implementation_dba_data: XTR.XTR_DEAL_DATE_AMOUNTS ,
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Table: XTR_ROLLOVER_TRANSACTIONS
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_ROLLOVER_TRANSACTIONS, object_name:XTR_ROLLOVER_TRANSACTIONS, status:VALID, product: XTR - Treasury , description: Information about transactions in bond, interest rate swap, negotiable instrument, short term money, retail term money, and wholesale term money deals , implementation_dba_data: XTR.XTR_ROLLOVER_TRANSACTIONS ,
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Table: XTR_DEAL_DATE_AMOUNTS
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_DEAL_DATE_AMOUNTS, object_name:XTR_DEAL_DATE_AMOUNTS, status:VALID, product: XTR - Treasury , description: Deal transaction information grouped by date type, amount type, and amount action , implementation_dba_data: XTR.XTR_DEAL_DATE_AMOUNTS ,
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Table: XTR_ROLLOVER_TRANSACTIONS
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_ROLLOVER_TRANSACTIONS, object_name:XTR_ROLLOVER_TRANSACTIONS, status:VALID, product: XTR - Treasury , description: Information about transactions in bond, interest rate swap, negotiable instrument, short term money, retail term money, and wholesale term money deals , implementation_dba_data: XTR.XTR_ROLLOVER_TRANSACTIONS ,