Results for “amb_context_code”
50+ results
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FUN_TRX_ACCT_DEFINITIONS stores the association between a ledger and SLA transaction account definition. This association is used to indicate to the Intercompany transaction entry process that user has defined account derivation rules in SL
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The XLA_DESc_PRIORTIES table stores priority information about descriptions
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FUN_TRX_ACCT_DEFINITIONS stores the association between a ledger and SLA transaction account definition. This association is used to indicate to the Intercompany transaction entry process that user has defined account derivation rules in SL
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The XLA_DESCRIPTIONS_TL table stores translated information about the descriptions.
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The XLA_DESCRIPT_DETAILS_TL table stores the translation details of a description.
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The XLA_PRODUCT_RULES_TL table stores translated information about Application Accounting Definitions.
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The XLA_SEG_RULES_TL table stores translated information about segment rules.
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This table stores the relationship between the subledger journal entry lines and the supporting reference detail values.
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This table stores the relationship between the subledger journal entry lines and the supporting reference detail values.
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This table stores the relationship between the subledger journal entry lines and the analytical detail values.
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The 'JA_CN_SUB_ACC_SOURCES_ALL' table stores subsidiary source information about project, third party and personnel, and which Key Flexfield 'Account Structure' is assigned to the ledger. The subsidiary source information is used to extract
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Store the analytical criteria for the application accounting definitions.
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View: XLA_ANALYTICAL_DTLS_VL 12.1.1
APPS.XLA_ANALYTICAL_DTLS_VL·↳ XLA_ANALYTICAL_DTLS_B·↳ XLA_ANALYTICAL_DTLS_TL·Explore XLA module →
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The XLA_DESCRIPTIONS_B table stores all descriptions created for an application. These descriptions are then attached to accounting header and line types.
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This table stores the relationship between the subledger journal entry lines and the analytical detail values.
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Table: XLA_RULES_T 12.1.1
Interface table to load ADR rules into SLA.
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The XLA_ANALYTICAL_HDRS_TL table stores the translated header information (name and description) for the Analytical criteria.
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The XLA_AAD_HDR_ACCT_ATTRS stores standard, system and custom sources assigned to an accounting attribute at the AAD level.
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The XLA_ACCT_LINE_TYPES_TL table stores translated information about accounting line type definitions.
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The XLA_DESCRIPT_DETAILS_B table stores the details of a description. It holds a string of literal and sources in the sequence in which they should appear in the description.A flexfield segment can be specified only if TRANSACTION_COA_ID is
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The XLA_MAPPING_SETS_TL table stores all translated information about mapping sets.
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The XLA_ANALYTICAL_DTLS_TL table stores the detail information for the Analytical Criterion.
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The XLA_PRODUCT_RULES_TL table stores translated information about Application Accounting Definitions.
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The XLA_ANALYTICAL_HDRS_TL table stores the translated header information (name and description) for the Analytical criteria.
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The XLA_TAB_ACCT_DEFS_TL table stores translated name and description for Transaction Account Definitions.
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The XLA_SEG_RULES_B table stores all account derivation. These account derivation rules are then attached to an accounting line type
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APPS.XLA_DESCRIPT_DETAILS_VL·↳ XLA_DESCRIPT_DETAILS_B·↳ XLA_DESCRIPT_DETAILS_TL·Explore XLA module →
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View: XLA_DESCRIPTIONS_FVL 12.1.1
APPS.XLA_DESCRIPTIONS_FVL·↳ FND_ID_FLEX_STRUCTURES_V·↳ XLA_APPLICATIONS_XVL·↳ XLA_DESCRIPTIONS_B·Explore XLA module →
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View: XLA_DESCRIPTIONS_FVL 12.2.2
APPS.XLA_DESCRIPTIONS_FVL·↳ FND_ID_FLEX_STRUCTURES_V·↳ XLA_APPLICATIONS_XVL·↳ XLA_DESCRIPTIONS_B·Explore XLA module →
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Table: XLA_RULES_T 12.2.2
Interface table to load ADR rules into SLA.
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The XLA_DESCRIPTIONS_B table stores all descriptions created for an application. These descriptions are then attached to accounting header and line types.
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The XLA_APPLI_AMB_CONTEXTS table stores the information for the application and the AMB contexts.
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The XLA_TAB_ACCT_DEF_DETAILS table stores the intersection of Transaction Account Definitions, Transaction Account Types and Account Derivation Rules.
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The XLA_DESCRIPTIONS_TL table stores translated information about the descriptions.
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The XLA_MAPPING_SETS_B table stores Mapping Sets created by End Users. These mapping sets are then used in the definition of account derivation rules.
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The XLA_SEG_RULES_TL table stores translated information about segment rules.
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The table stores the header information for cash flow item mapping. Each row includes Chart of Account ID, application id, event class code, and Supporting Reference code. There is a one-to-many relationship between the cash flow item mappi
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Store the analytical criteria for the application accounting definitions.
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The table stores the header information for cash flow item mapping. Each row includes Chart of Account ID, application id, event class code, and Supporting Reference code. There is a one-to-many relationship between the cash flow item mappi
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The XLA_ANALYTICAL_DTLS_TL table stores the detail information for the Analytical Criterion.
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The XLA_ACCT_LINE_TYPES_TL table stores translated information about accounting line type definitions.
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The 'JA_CN_SUB_ACC_SOURCES_ALL' table stores subsidiary source information about project, third party and personnel, and which Key Flexfield 'Account Structure' is assigned to the ledger. The subsidiary source information is used to extract
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The XLA_DESCRIPT_DETAILS_B table stores the details of a description. It holds a string of literal and sources in the sequence in which they should appear in the description.A flexfield segment can be specified only if TRANSACTION_COA_ID is
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The XLA_ACCTG_METHODS_RULES table stores the assignments for all Application Accounting Definitions (AAD) within each Subledger Accounting Method.
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View: XLA_ANALYTICAL_DTLS_VL 12.2.2
APPS.XLA_ANALYTICAL_DTLS_VL·↳ XLA_ANALYTICAL_DTLS_B·↳ XLA_ANALYTICAL_DTLS_TL·Explore XLA module →
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This table stores the journal lines definitions for the application accounting definitions.
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View: XLA_DESCRIPTIONS_VL 12.1.1
APPS.XLA_DESCRIPTIONS_VL·↳ XLA_DESCRIPTIONS_B·↳ XLA_DESCRIPTIONS_TL·Explore XLA module →
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View: XLA_DESCRIPTIONS_VL 12.2.2
APPS.XLA_DESCRIPTIONS_VL·↳ XLA_DESCRIPTIONS_B·↳ XLA_DESCRIPTIONS_TL·Explore XLA module →
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The XLA_ANALYTICAL_SOURCES table stores the assignment between the Analytical Criteria detail and the sources.
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The XLA_JLT_ACCT_ATTRS stores standard, system and custom sources assigned to an accounting attribute at the Journal Line Type level.