Search Results revaluation
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Lookup Type: XTR_COMPANY_PARAMETER_CODE
12.1.1
product: XTR - Treasury , meaning: Company Parameter Code , description: Company Parameter Code ,
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Lookup Type: XTR_COMPANY_PARAMETER_CODE
12.2.2
product: XTR - Treasury , meaning: Company Parameter Code , description: Company Parameter Code ,
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Lookup Type: XTR_REVAL_FDNDR
12.1.1
product: XTR - Treasury , meaning: Future Dated NI Deal Revaluation , description: Future Dated NI Deal Revaluation ,
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Lookup Type: XTR_REVAL_FDNDR
12.2.2
product: XTR - Treasury , meaning: Future Dated NI Deal Revaluation , description: Future Dated NI Deal Revaluation ,
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Lookup Type: XTR_DISC_METHOD
12.1.1
product: XTR - Treasury , meaning: Revaluation - FX Discount Method , description: Revaluation - FX Discount Method ,
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Lookup Type: XTR_FRA_DISC_METHOD
12.1.1
product: XTR - Treasury , meaning: Revaluation - FRA Discount Method , description: Revaluation - FRA Discount Method ,
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Lookup Type: XTR_DISC_METHOD
12.2.2
product: XTR - Treasury , meaning: Revaluation - FX Discount Method , description: Revaluation - FX Discount Method ,
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Lookup Type: XTR_FRA_DISC_METHOD
12.2.2
product: XTR - Treasury , meaning: Revaluation - FRA Discount Method , description: Revaluation - FRA Discount Method ,
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Concurrent Program: XTRCCYGL
12.1.1
execution_filename: XTRCCYGL , product: XTR - Treasury , user_name: XTRCCYGL , description: Positions - Currency Gain/Loss Revaluation Report , argument_method: Standard , enabled: Yes , execution_method: Oracle Reports ,
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Concurrent Program: XTRREVGL
12.1.1
execution_filename: XTRREVGL , product: XTR - Treasury , user_name: XTRREVGL , description: Positions - Mark to Market Revaluation Summary Report , argument_method: Standard , enabled: Yes , execution_method: Oracle Reports ,
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Concurrent Program: XTRREVGL
12.2.2
execution_filename: XTRREVGL , product: XTR - Treasury , user_name: XTRREVGL , description: Positions - Mark to Market Revaluation Summary Report , argument_method: Standard , enabled: Yes , execution_method: Oracle Reports ,
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Concurrent Program: XTRFXREV
12.1.1
execution_filename: XTRFXREV , product: XTR - Treasury , user_name: XTRFXREV , description: FX Revaluation Report , argument_method: Standard , enabled: No , execution_method: Oracle Reports ,
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Concurrent Program: XTRFXREV
12.2.2
execution_filename: XTRFXREV , product: XTR - Treasury , user_name: XTRFXREV , description: FX Revaluation Report , argument_method: Standard , enabled: No , execution_method: Oracle Reports ,
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Concurrent Program: XTRCCYGL
12.2.2
execution_filename: XTRCCYGL , product: XTR - Treasury , user_name: XTRCCYGL , description: Positions - Currency Gain/Loss Revaluation Report , argument_method: Standard , enabled: Yes , execution_method: Oracle Reports ,
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Concurrent Program: XTRJRNAL
12.2.2
execution_filename: XTR_JOURNAL_PROCESS_P.Journals , product: XTR - Treasury , user_name: XTRJRNAL , description: Journal Processing , argument_method: Standard , enabled: Yes , execution_method: PL/SQL Stored Procedure ,
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Concurrent Program: XTRCCYGL_XML
12.2.2
product: XTR - Treasury , user_name: Positions - Currency Gain/Loss Revaluation Report (XML) , description: Positions - Currency Gain/Loss Revaluation Report , argument_method: Standard , enabled: Yes , execution_method: Java Concurrent Program ,
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Concurrent Program: XTRREVGL_XML
12.2.2
product: XTR - Treasury , user_name: Positions - Mark to Market Revaluation Summary Report (XML) , description: Positions - Mark to Market Revaluation Summary Report , argument_method: Standard , enabled: Yes , execution_method: Java Concurrent Program ,
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Lookup Type: XTR_REVAL_FABEV
12.2.2
product: XTR - Treasury , meaning: Revaluation - Currency Gain/Loss Calculation , description: Revaluation - Currency Gain/Loss Calculation ,
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Lookup Type: XTR_EVENT_CODE
12.1.1
product: XTR - Treasury , meaning: Batch Event Codes , description: Batch Event Codes ,
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Lookup Type: XTR_EVENT_CODE
12.2.2
product: XTR - Treasury , meaning: Batch Event Codes , description: Batch Event Codes ,
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Concurrent Program: XTRJRNAL
12.1.1
execution_filename: XTR_JOURNAL_PROCESS_P.Journals , product: XTR - Treasury , user_name: XTRJRNAL , description: Journal Processing , argument_method: Standard , enabled: Yes , execution_method: PL/SQL Stored Procedure ,
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Lookup Type: XTR_REVAL_FABEV
12.1.1
product: XTR - Treasury , meaning: Revaluation - Currency Gain/Loss Calculation , description: Revaluation - Currency Gain/Loss Calculation ,
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Concurrent Program: XTRCCYGL_XML
12.1.1
product: XTR - Treasury , user_name: Positions - Currency Gain/Loss Revaluation Report (XML) - Not Supported: Reserved For Future Use , description: Positions - Currency Gain/Loss Revaluation Report , argument_method: Standard , enabled: No , execution_method: Java Concurrent Program ,
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Concurrent Program: XTRREVGL_XML
12.1.1
product: XTR - Treasury , user_name: Positions - Mark to Market Revaluation Summary Report (XML) - Not Supported: Reserved For Future Use , description: Positions - Mark to Market Revaluation Summary Report , argument_method: Standard , enabled: No , execution_method: Java Concurrent Program ,
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Lookup Type: XTR_SL_PROC_END
12.1.1
product: XTR - Treasury , meaning: Streamline Accounting Subprocess Ending Point ,
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Lookup Type: XTR_DEAL_PRICE_MODELS
12.2.2
product: XTR - Treasury , meaning: Deal Price Models , description: Deal Price Models ,
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Lookup Type: XTR_SL_PROC_START
12.1.1
product: XTR - Treasury , meaning: Streamline Accounting Subprocess Starting Point ,
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Lookup Type: XTR_SL_PROC_END
12.2.2
product: XTR - Treasury , meaning: Streamline Accounting Subprocess Ending Point ,
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Lookup Type: XTR_SL_PROC_START
12.2.2
product: XTR - Treasury , meaning: Streamline Accounting Subprocess Starting Point ,
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Lookup Type: XTR_DEAL_PRICE_MODELS
12.1.1
product: XTR - Treasury , meaning: Deal Price Models , description: Deal Price Models ,
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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_REVALUATION_RATES
12.1.1
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_REVALUATION_RATES, object_name:XTR_REVALUATION_RATES, status:VALID, product: XTR - Treasury , description: Revaluation rates for a particular company in an end-of-period date , implementation_dba_data: XTR.XTR_REVALUATION_RATES ,
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Table: XTR_REVALUATION_RATES
12.2.2
owner:XTR, object_type:TABLE, fnd_design_data:XTR.XTR_REVALUATION_RATES, object_name:XTR_REVALUATION_RATES, status:VALID, product: XTR - Treasury , description: Revaluation rates for a particular company in an end-of-period date , implementation_dba_data: XTR.XTR_REVALUATION_RATES ,
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Concurrent Program: XTRJNLCA
12.1.1
execution_filename: XTR_JOURNAL_PROCESS_P.Journals , product: XTR - Treasury , user_name: XTRJRNAL , description: Journal Processing , argument_method: Standard , enabled: Yes , execution_method: PL/SQL Stored Procedure ,
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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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Concurrent Program: XTRJNLCA
12.2.2
execution_filename: XTR_JOURNAL_PROCESS_P.Journals , product: XTR - Treasury , user_name: XTRJRNAL , description: Journal Processing , argument_method: Standard , enabled: Yes , execution_method: PL/SQL Stored Procedure ,
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Lookup Type: XTR_HEDGE_MISC
12.1.1
product: XTR - Treasury , meaning: Miscellaneous Hedging lookup codes , description: Miscellaneous lookup codes used for Hedging ,
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Lookup Type: XTR_HEDGE_MISC
12.2.2
product: XTR - Treasury , meaning: Miscellaneous Hedging lookup codes , description: Miscellaneous lookup codes used for Hedging ,
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View: XTR_DISC_REVALUATION_DETAILS_V
12.1.1
owner:APPS, object_type:VIEW, fnd_design_data:XTR.XTR_DISC_REVALUATION_DETAILS_V, object_name:XTR_DISC_REVALUATION_DETAILS_V, status:VALID, product: XTR - Treasury , description: Revaluation results of Treasury deals, where user access to company information is enforced. , implementation_dba_data: APPS.XTR_DISC_REVALUATION_DETAILS_V ,
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View: XTR_DISC_REVALUATION_DETAILS_V
12.2.2
owner:APPS, object_type:VIEW, fnd_design_data:XTR.XTR_DISC_REVALUATION_DETAILS_V, object_name:XTR_DISC_REVALUATION_DETAILS_V, status:VALID, product: XTR - Treasury , description: Revaluation results of Treasury deals, where user access to company information is enforced. , implementation_dba_data: APPS.XTR_DISC_REVALUATION_DETAILS_V ,