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January 2000
Oracler General Ledger Applications Technical Reference Manual Release 11i To order this book, ask for Part No. A8090002 Copyright E 1994, 2000. Oracle Corporation. All rights reserved. Major Contributors: Frank Colligan, Taite Darlington, Rashmi Goyal, Deborah Ogg Contributors: Christopher Andrews, John Kuruvilla, Rondy Ng, Holly Roland, and the entire General Ledger Development Team, past and present This Technical Reference Manual (TRM) in any form, software or printed matter, contains proprietary information of Oracle Corporation; it is provided under an Oracle Corporation agreement containing restrictions on use and disclosure and is also protected by copyright, patent, and other intellectual property law. Restrictions applicable to this TRM include, but are not limited to: (a) exercising either the same degree of care to safeguard the confidentiality of this TRM as you exercise to safeguard the confidentiality of your own most important Confidential Information or a reasonable degree of care, whichever is greater; (b) maintaining agreements with your employees and agents that protect the Confidential Information of third parties such as Oracle Corporation and instructing such employees and agents of these requirements for this TRM; (c) restricting disclosure of this TRM to those of your employees who have a need to know consistent with the purposes for which this TRM was disclosed to you; (d) maintaining this TRM at all times on your premises; (e) not removing or destroying any proprietary or confidential legends or markings placed upon this TRM in whatever form, software or printed matter; and (f) not reproducing or transmitting this TRM in any form or by any means, electronic or mechanical, for any purpose, without the express written permission of Oracle Corporation. You should not use this TRM in any form, software or printed matter, to create software that performs the same or similar functions as any Oracle Corporation products. The information in this TRM is subject to change without notice. If you find any problems in the TRM in any form, software or printed matter, please report them to us in writing. Oracle Corporation does not warrant that this TRM is errorfree. This TRM is provided to customer asis with no warranty of any kind. This TRM does not constitute Documentation as that term is defined in Oracles agreements. Reverse engineering of the Programs (software and documentation) associated with this TRM are prohibited. The Programs associated with this TRM are not intended for use in any nuclear, aviation, mass transit, medical, or other inherently dangerous applications. It shall be licensees responsibility to take all appropriate failsafe, backup, redundancy and other measures to ensure the safe use of such applications if the Programs are used for such purposes, and Oracle disclaims liability for any damages caused by such use of the Programs. Restricted Rights Legend This TRM and the Programs associated with this TRM delivered subject to the DOD FAR Supplement are commercial computer software and use, duplication and disclosure of the TRM and the Programs associated with this TRM shall be subject to the licensing restrictions set forth in the applicable Oracle license agreement. Otherwise, this TRM and the Programs associated with this TRM delivered subject to the Federal Acquisition Regulations are restricted computer software and use, duplication and disclosure of the TRM and the Programs associated with this TRM shall be subject to the restrictions in FAR 52.22714, Rights in Data General, including Alternate III (June 1987). Oracle Corporation, 500 Oracle Parkway, Redwood City, CA 94065. Oracle is a registered trademark, and CASE*Exchange, Enabling the Information Age, Hyper*SQL, NLS*Workbench, Oracle7, Oracle8, Oracle 8i, Oracle Access, Oracle Application Object Library, Oracle Discoverer, Oracle Financials, Oracle Quality, Oracle Web Customers, Oracle Web Employees, Oracle Work in Process, Oracle Workflow, PL/SQL, Pro*Ada, Pro*C, Pro*COBOL, Pro*FORTRAN, Pro*Pascal, Pro*PL/I, SmartClient, SQL*Connect, SQL*Forms, SQL*Loader, SQL*Menu, SQL*Net, SQL*Plus, and SQL*Report are trademarks or registered trademarks of Oracle Corporation. Other names may be trademarks of their respective owners.
CAUTION
his Technical Reference Manual in any form software or printed matter contains proprietary, confidential information that is the exclusive property of Oracle Corporation. If you do not have a valid contract with Oracle for the use of this Technical Reference Manual or have not signed a nondisclosure agreement with Oracle covering this Technical Reference Manual, then you received this document in an unauthorized manner and are not legally entitled to possess or read it. Use, duplication, and disclosure are subject to restrictions stated in your contract with Oracle Corporation.
Contents
Chapter 1 Introduction . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1 1
Chapter 2
HighLevel Design . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Overview of HighLevel Design . . . . . . . . . . . . . . . . . . . . . . . . . . . Summary Database Diagram . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Database Diagrams . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Public Table List . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Public View List . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Forms and Table View List . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Internal View List . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Multilingual View List . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Module List . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
21 22 26 2 10 2 23 2 35 2 36 2 43 2 44 2 45
Chapter 3
Detailed Design . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3 1 Overview of Detailed Design . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3 2 Table and View Definitions . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3 3 Index
CHAPTER
Introduction
he Oracle General Ledger Applications Technical Reference Manual provides the information you need to understand the underlying structure of Oracle General Ledger and Public Sector General Ledger. After reading this manual, you should be able to convert your existing applications data, integrate your existing applications with your Oracle General Ledger application, and write custom reports for your Oracle General Ledger application, as well as read data that you need to perform other tasks. This chapter introduces you to the Oracle General Ledger Applications Technical Reference Manual, and explains how to use it.
Introduction
At Oracle, we design and build applications using Oracle Designer, our systems design technology that provides a complete environment to support developers through all stages of a systems life cycle. Because we use a repositorybased design toolset, all the information regarding the underlying structure and processing of our applications is available to us online. Using Oracle Designer, we can present this information to you in the form of a technical reference manual. This Oracle General Ledger Applications Technical Reference Manual contains detailed, uptodate information about the underlying structure of Oracle General Ledger and Public Sector General Ledger. As we design and build new releases of Oracle General Ledger applications, we update our Oracle Designer repository to reflect our enhancements. As a result, we can always provide you with an Oracle General Ledger Applications Technical Reference Manual that contains the latest technical information as of the publication date. Note that after the publication date we may have added new indexes to Oracle General Ledger and Public Sector General Ledger to improve performance. About this Manual This manual describes the Oracle Applications Release 11i data model, as used by Oracle General Ledger; it discusses the database we include with a fresh install of Oracle Applications Release 11i. If you have not yet upgraded to Release 11i, your database may differ from the database we document in this book. If you have upgraded from a previous release, you might find it helpful to use this manual with the appropriate Oracle Applications Product Update Notes manual. The product update notes list database changes and seed data changes in Oracle General Ledger and Public Sector General Ledger between releases. The Oracle Applications Product Update Notes Release 11 manual describes the changes between Release 10.7 and Release 11, and the Oracle Applications Product Update Notes Release 11i manual describes the changes between Release 11 and Release 11i. You can contact your Oracle representative to confirm that you have the latest technical information for Oracle General Ledger. You can also use OracleMetaLink which is accessible through Oracles Support Web Center (http://www.oracle.com/support/elec_sup).
Audience
The Oracle General Ledger Applications Technical Reference Manual provides useful guidance and assistance to: Technical End Users Consultants Systems Analysts System Administrators Other MIS professionals This manual assumes that you have a basic understanding of structured analysis and design, and of relational databases. It also assumes that you are familiar with Oracle Application Object Library and your Oracle General Ledger application. If you are not familiar with the above products, we suggest that you attend one or more of the training classes available through Oracle Education (see: Other Information Sources: page 1 9). Public Sector and Other Industryspecific Products For certain products, including Oracle General Ledger, Oracle provides several distinct software versions tailored for a specific industry or vertical, containing additional functionality not present in the base or nonverticalspecific product. The data model for Oracle General Ledger supports a superset of all the functionality used by a verticalspecific version of Oracle General Ledger, including the Oracle Public Sector Financials version of Oracle General Ledger. Therefore, you can use this manual in conjunction with Oracle Public Sector General Ledger, Oracle Public Sector Payables, Oracle Public Sector Purchasing, or Oracle Public Sector Receivables.
Suppose you are writing a report to list the journal entry sources you have defined in your Oracle General Ledger application. You should use the Table List in Chapter 2 to locate the table GL_JE_SOURCES. Then you can examine the column descriptions in the Table and View Definitions section of Chapter 3 to learn what columns you should display in your report and how you should display them.
You are responsible for the support and upgrade of the logic within the procedures that you write, which may be affected by changes between releases of Oracle Applications. Do not rely on upward compatibility of the data model Oracle reserves the right to change the structure of Oracle General Ledger applications tables, and to change the meaning of, add, or delete lookup codes and other data in future releases. We do not guarantee the upward compatibility of the Oracle General Ledger applications data model. For example, if you write a report that identifies concurrent requests that end in Error status by selecting directly from Oracle Application Object Library tables, we do not guarantee that your report will work properly after an upgrade.
Attention: Oracle does not support any customization of Oracle Application Object Library tables or modules, not even by Oracle consultants. (Oracle Application Object Library tables generally have names beginning with FND_%.) Accordingly, this manual does not contain detailed information about most Oracle Application Object Library tables used by your Oracle General Ledger application.
Relationship A relationship describes any significant way in which two tables may be associated. For example, rows in the Journal Headers table may have a onetomany relationship with rows in the Journal Lines table. Database Diagram A database diagram is a graphic representation of application tables and the relationships between them. Summary Database Diagram A summary database diagram shows the most important application tables and the relationships between them. It omits tables and relationships that contribute little to the understanding of the application data model. Typically, a summary database diagram shows tables that contain key reference and transaction data. Module A module is a program or procedure that implements one or more business functions, or parts of a business function, within an application. Modules include forms, concurrent programs and reports, and subroutines. Application Building Block An application building block is a set of tables and modules (forms, reports, and concurrent programs) that implement closelyrelated database objects and their associated processing. Said another way, an application building block is a logical unit of an application. QuickCodes QuickCodes let you define general purpose, static lists of values for window fields. QuickCodes allow you to base your program logic on lookup codes while displaying userfriendly names in a list of values window. QuickCodes simplify name and language changes by letting you change the names your end users see, while the codes in your underlying programs remain the same.
Form A form is a module comprised of closely related windows that are used together to perform a task. For example, the Enter Journals form in Oracle General Ledger includes the Enter Journals window, the Batch window, and the More Actions window among others. The Enter Journals window is the main window, and from it, you can use buttons to navigate to other windows in the form. The form name usually corresponds to the main window in the form, and is frequently a window you open directly from the Navigator.
Oracle General Ledger User Guide Oracle Public Sector General Ledger User Guide Your user guide provides you with all the information you need to use your Release 11i Oracle General Ledger application. Each user guide is organized for fast, easy access to detailed information in a function and taskoriented organization. Oracle Global Financial Applications Technical Reference Manual This manual describes additional tables and views that have been added to support features that meet statutory requirements and common business practices in your country or region. The Appendix of this manual also describes how the GLOBAL_ATTRIBUTE columns of your base product tables are used in your country or region. CountrySpecific Manuals Use these manuals to meet statutory requirements and common business practices in your country or region. They also describe additional features added to Oracle General Ledger to meet those requirements. Look for a user guide appropriate to your country; for example, see the Oracle Financials for the Czech Republic User Guide for more information about using this software in the Czech Republic. Oracle SelfService Web Applications Online Documentation This documentation describes how Oracle SelfService Web Applications enable companies to provide a selfservice and secure Web interface for employees, customers, and suppliers. Employees can change their personal status, submit expense reports, or request supplies. Customers can check on their orders, and suppliers can share production schedules with their trading partners. This documentation is available in HTML only. Oracle Applications Flexfields Guide This guide provides flexfields planning, setup and reference information for the Oracle General Ledger implementation team, as well as for users responsible for the ongoing maintenance of Oracle Applications product data. This manual also provides information on creating custom reports on flexfields data.
Oracle Workflow Guide This manual explains how to define new workflow business processes as well as customize existing Oracle Applicationsembedded workflow processes. You also use this guide to complete the setup steps necessary for any Oracle Applications product that includes workflowenabled processes. Oracle Alert User Guide This manual explains how to define periodic and event alerts to monitor the status of your Oracle Applications data. Multiple Reporting Currencies in Oracle Applications If you use the Multiple Reporting Currencies feature to report and maintain accounting records in more than one currency, use this manual before implementing Oracle General Ledger. This manual details additional steps and setup considerations for implementing Oracle General Ledger with this feature. Oracle Financials Open Interfaces Guide This book contains a brief summary of all open interface discussions in all Oracle Financial Applications user guides. Oracle Manufacturing, Distribution, Sales and Service Open Interfaces Manual This manual contains uptodate information about integrating with other Oracle Manufacturing applications and with your other systems. This documentation includes open interfaces found in Oracle Manufacturing. Oracle Applications Messages Manual The Oracle Applications Messages Manual contains the text of numbered error messages in Oracle Applications. (Oracle Applications messages begin with the prefix APP.) It also provides information on the actions you take if you get a message. Note: This manual is available only in HTML format.
Oracle Public Sector Financials Messages Manual This manual contains the text of numbered error messages in Oracle Public Sector Financials and related Oracle Applications products. (Oracle Applications messages begin with the prefix APP.) It also provides information on the actions you take if you get a message. Note: This manual is available only in HTML format.
Oracle Applications System Administrator s Guide This manual provides planning and reference information for the Oracle Applications System Administrator. It contains information on how to define security, customize menus and manage concurrent processing. Oracle Applications Product Update Notes This book contains a summary of each new feature we added since Release 11, as well as information about database changes and seed data changes that may affect your operations or any custom reports you have written. If you are upgrading from Release 10.7 you also need to read Oracle Applications Product Update Notes Release 11. Oracle SelfService Web Applications Implementation Manual This manual describes the setup steps for Oracle SelfService Web Applications and the Web Applications Dictionary. Oracle Applications Implementation Wizard User Guide If you are implementing more than one Oracle product, you can use the Oracle Applications Implementation Wizard to coordinate your setup activities. This guide describes how to use the wizard.
Other Information
Training Oracle Education offers a complete set of training courses to help you and your staff master Oracle Applications. We can help you develop a training plan that provides thorough training for both your project team and your end users. We will work with you to organize courses appropriate to your job or area of responsibility. Training professionals can show you how to plan your training throughout the implementation process so that the right amount of information is delivered to key people when they need it the most. You can attend courses at any one of our many Educational Centers, or you can arrange for our trainers to teach at your facility. In addition, we can tailor standard courses or develop custom courses to meet your needs.
Support From onsite support to central support, our team of experienced professionals provides the help and information you need to keep your Oracle General Ledger application working for you. This team includes your Technical Representative, Account Manager, and Oracles large staff of consultants and support specialists with expertise in your business area, managing an Oracle server, and your hardware and software environment.
About Oracle
Oracle Corporation develops and markets an integrated line of software products for database management, applications development, decision support, and office automation, as well as Oracle Applications, an integrated suite of more than 75 software modules for financial management, supply chain management, manufacturing, project systems, human resources, and sales and service management. Oracle products are available for mainframes, minicomputers, personal computers, network computers, and personal digital assistants, allowing organizations to integrate different computers, different operating systems, different networks, and even different database management systems, into a single, unified computing and information resource. Oracle is the worlds leading supplier of software for information management, and the worlds second largest software company. Oracle offers its database, tools, and applications products, along with related consulting, education, and support services, in over 145 countries around the world.
Thank You
Thanks for using Oracle General Ledger applications and this technical reference manual! We appreciate your comments and feedback. At the back of this manual is a Reader s Comment Form that you can use to explain what you like or dislike about your Oracle General Ledger application or this technical reference manual. Mail your comments to the following address or call us directly at (650) 5067000. Oracle Applications Documentation Manager Oracle Corporation 500 Oracle Parkway Redwood Shores, California 94065 U.S.A. Or, send electronic mail to [email protected].
CHAPTER
HighLevel Design
his chapter presents a highlevel design for Oracle General Ledger and Public Sector General Ledger that satisfies the business needs we specify during Strategy and Analysis. It contains database diagrams for Oracle General Ledger and Public Sector General Ledger application building blocks, lists of database tables and views, and a list of modules.
Database Diagrams
The Database Diagrams section graphically represents all Oracle General Ledger applications tables and the relationships between them, organized by building block. Use this section to quickly learn what tables each Oracle General Ledger application building block uses, and how those tables interrelate. Then, you can refer to the Table and View Definitions
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22 Oracle General Ledger Applications Technical Reference Manual
sections of Chapter 3 for more detailed information about each of those tables.
Table Lists
The Table List sections list the Oracle General Ledger applications tables. Because a product might not include at least one table for each type, this Technical Reference Manual might not include each of the following sections. Public Tables Use the Public Table List section to quickly identify the tables you are most interested in. Then, you can refer to the Table and View Definitions sections of Chapter 3 for more detailed information about those tables. In addition, this manual may contain full documentation for one or more of the following Application Object Library tables: FND_DUAL, FND_CURRENCIES, and FND_COMMON_LOOKUPS. Internal Tables This section includes a list of private, internal tables used by Oracle General Ledger; we do not provide additional documentation for these tables.
View Lists
The View List sections list the Oracle General Ledger views, with one section for each type of view. Because a product might not include at least one view for each type, this Technical Reference Manual might not include each of the following sections. Use this section to quickly identify the views you are most interested in. Then, you can refer to the Table and View Definitions sections of Chapter 3 for more detailed information about those views. Public Views This section lists views that may be useful for your custom reporting or other data requirements. The list includes a description of the view,
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HighLevel Design 23
and the page in Chapter 3 that gives detailed information about the public view. Web Views This section lists views that you may need to configure your SelfService Web applications. The list includes a description of the view, and the page in Chapter 3 that gives detailed information about the web view. Forms and Table Views This section lists supplementary views that are not essential to the Release 11i data model, but simplify coding or improve performance for Oracle Developer. Internal Views This section includes each private, internal view that Oracle General Ledger uses. Multiple Reporting Currency Views This list includes views that were created to support the Multiple Reporting Currencies feature.
Module List
The Module List section briefly describes each of the Oracle General Ledger applications modules. This section lists forms, reports, and concurrent programs. A form is a module comprised of closely related windows that are used together to perform a task. For example, the Enter Journals form in Oracle General Ledger includes the Enter Journals window, the Batch window, and the More Actions window. The Enter Journals window is the main window, and from it, you can use buttons to navigate to other windows in the form. The form name usually corresponds to the main window in the form, and is frequently a window you can open directly from the Navigator. The Reports and Concurrent Programs lists include processes you can submit from the Submit Requests window or other windows, as well as processes that are submitted automatically by Oracle General Ledger.
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24 Oracle General Ledger Applications Technical Reference Manual
Use your user s guide to learn more about reports and concurrent processes.
Arc
EMP
Primary key column (#*) Mandatory column (*)
# * EMPNO * DEPTNO
DEPT
Values in the foreign key must match the primary key
# * DEPTNO * DNAME
Tables are the basic unit of storage in the database. A hand symbol preceding the title in the tables title bar indicates that the table is not owned by this application but shared with another. Foreign key constraint is a type of referential integrity constraint for checking the integrity of data entered in a specific column or set of columns. This specified column or set of columns is known as the foreign key. Delete rule indicator determines the action to be taken when an attempt is made to delete a related row in a join table. A line through the foreign key constraint, as shown on the above diagram, indicates that this action is restricted. Arcs specify that, for any given row in a table, a value must be entered in one of the arc columns. The remaining columns within the arc must be null.
Database Diagrams
This section graphically represents most of the significant Oracle General Ledger applications tables and the relationships between them, organized by building block. Use this section to quickly learn what tables each Oracle General Ledger application building block uses, and how these tables interrelate. Then, you can refer to the Table and View Definitions sections of Chapter 3 for more detailed information about each of those tables. This section contains a database diagram for each of the following Oracle General Ledger application building blocks: Diagram 1: Diagram 2: Diagram 3: Diagram 4: Diagram 5: Diagram 6: Diagram 7: Diagram 8: Diagram 9: Diagram 10: Setting Up Journals Journal Formulas Journal Import Budgets Budgetary Control GCS (Global Consolidation System) GIS (Global Intercompany System) Oracle Financial Analyzer Link Financial Statement Generator
Some tables, especially important reference tables, appear in more than one database diagram. When several building blocks use a table, we show that table in each appropriate database diagram. Setting Up Diagram 1 shows the tables and relationships associated with entering information regarding your set of books, such as your chart of accounts structure and functional currency. Journals Diagram 2 shows the tables and relationships that store the structure of a journal entry batch.
Journal Formulas Diagram 3 shows the tables and relationships associated with entering formulas during journal entry batch creation. Related functions include MassAllocations, MassBudgeting, Recurring Formulas, and Budget Formulas. Journal Import Diagram 4 shows the tables and relationships associated with Journal Import, the Oracle General Ledger applications program you use to create journal entries from accounting data in feeder systems such as accounts receivable and accounts payable. Budgets Diagram 5 shows the tables and relationships associated with entering budget information, such as budget names, budget organizations, period, and amounts. Budgetary Control Diagram 6 shows the tables and relationships associated with entering budgetary control information such as funds checking, funds reservation, budgetary control groups, and United States Standard General Ledger (USSGL) account codes. GCS (Global Consolidation System) Diagram 7 shows the tables and relationships associated with GCS. Related functions include creating consolidation mappings and mapping sets, transferring consolidation data, running translation, and creating eliminating entries. GIS (Global Intercompany System) Diagram 8 shows the tables and relationships associated with your Oracle General Ledger applications GIS feature. Related functions include entering and approving intercompany transactions, defining and generating recurring intercompany transactions, and running the Intercompany Transfer program.
Oracle Financial Analyzer Link Diagram 9 shows the tables and relationships associated with exporting Oracle General Ledger data for further analysis with Oracle Financial Analyzer. Financial Statement Generator Diagram 10 shows the tables and relationships associated with defining customized financial reports.
Diagram 1: Setting Up
Diagram 2: Journals
Diagram 5: Budgets
Description Supplier payment data (See page 3 8) Detailed invoice records (See page 3 16) Invoice distribution line information (See page 3 24) Payables system defaults and parameters (See page 3 37) Oracle Financials system parameters and defaults (See page 3 47) Applications registered with Oracle Application Object Library Compiled information about key flexfields Compiled information about key flexfield structures Operating system and ORACLE process IDs for concurrent managers Concurrent programs Concurrent requests information Currencies enabled for use at your site (See page 3 51) Structure names for descriptive flexfields Document sequences registered with Oracle Application Object Library Assigns a sequence to a document
FND_APPLICATION
FND_DOC_SEQUENCE_ASSIGNMENTS
FND_DOC_SEQUENCE_CATEGORIES FND_DUAL
Document category definitions Dummy base table used by a form block that does not have a real base table (for commit purposes) (See page 3 54) Flexfield hierarchy name for flexfield values Flexfield validation tables Valid values for flexfield segments Child value ranges for key flexfield segment values Value sets used by both key and descriptive flexfields Application forms registered with Oracle Application Object Library Registration information about key flexfields Key flexfield segments setup information and correspondences between table columns and key flexfield segments Key flexfield structure information Oracle Applications products installed at your site Key flexfield qualifiers Values of flexfield qualifiers for different segments of key flexfield structures Reporting attributes Tables registered in applications Application users Summary/Detail account hierarchies (See page 3 55) MassAllocations and MassBudget batches (See page 3 56) MassAllocations and MassBudget formulas (See page 3 58) MassAllocations and MassBudget formula lines (See page 3 60) History of MassAllocation and MassBudget runs (See page 3 63)
FND_ID_FLEXS FND_ID_FLEX_SEGMENTS
GL_ALLOC_FORMULA_LINES
GL_ALLOC_HISTORY
GL_ALLOC_INTERIM_1
Temporary table for MassAllocations and MassBudgets (See page 3 64) Temporary table for MassAllocations and MassBudgets (See page 3 66) Temporary table for MassAllocations and MassBudgets (See page 3 68) Temporary table for MassAllocations and MassBudgets (See page 3 70) Application product groups that use Oracle General Ledger accounting periods (See page 3 76) Archive account balances (See page 3 77) Archive journal batches (See page 3 79) Archive daily aggregate balances (See page 3 82) Archive journal headers (See page 3 94) History of the archive and purges of journals and balances (See page 3 98) Archive journal entry lines (See page 3 100) Archive table for GL_IMPORT_REFERENCES (See page 3 104) Journal approval authorization limits for employees (See page 3 105) Individual automatic posting criteria (See page 3 106) Sets of automatic posting criteria (See page 3 108) Reversal criteria for generating automatic journal reversals (See page 3 110) Assignments of MassAllocation, Mass Budgets, Mass Encumbrances, recurring or projects batches to a allocation set (See page 3 112) History of all batches included in an allocation set run (See page 3 114)
GL_ALLOC_INTERIM_2
GL_ALLOC_INTERIM_3
GL_ALLOC_TARGETS
GL_APPLICATION_GROUPS
GL_ARCHIVE_LINES GL_ARCHIVE_REFERENCES
GL_AUTHORIZATION_LIMITS
GL_AUTO_ALLOC_BATCHES
GL_AUTO_ALLOC_BATCH_HISTORY
GL_AUTO_ALLOC_BAT_HIST_DET
Status of concurrent program submitted for each step in the allocation set (See page 3 116) Reverse journal batches generated by AutoAllocation rollback process (See page 3 117) Autoallocation set definition for stepdown or parallel allocations (See page 3 118) History of allocation set runs (See page 3 120) Account balances for both detail and summary accounts (See page 3 122) Budgetary control concurrency table (See page 3 124) Budgetary control concurrency table (See page 3 125) Budgetary control events (Summary Templates and Budget Assignment Ranges) (See page 3 126) Budgetary control options (See page 3 127) Budgetary control option details (See page 3 128) Budgetary control queue table (See page 3 130) Budgetary control packet processing sequence (See page 3 135) Budgetary control period boundaries (See page 3 136) Budget definitions (See page 3 138) Budget organization accounts (See page 3 140) Budget organization account ranges (See page 3 142) Budget formula batches (See page 3 146) Budget organization definitions (See page 3 147) Frozen account ranges for a budget or budget organization (See page 3 149) Upload budget data from external sources (See page 3 152) Budget posting interim balances (See page 3 155) Status of budget period ranges (open/not open) (See page 3 158)
GL_AUTO_ALLOC_REV_BATCHES
GL_AUTO_ALLOC_SETS
GL_AUTO_ALLOC_SET_HISTORY GL_BALANCES
GL_BUDGET_RANGE_INTERIM
Interim table to hold budget balances entered in the Enter Budget Amounts and Enter Budget Journals forms (See page 3 159) Budget type definitions (See page 3 163) Budget version definitions (See page 3 164) Ranges of encumbrance accounts to carry across fiscal years (See page 3 166) Account combinations (See page 3 169) Concurrent process internal locking mechanism (See page 3 174) Oracle General Ledger concurrent schedule definitions (See page 3 175) Consolidation definitions (See page 3 176) Account ranges for consolidating balances (See page 3 178) Audit data for consolidation run (See page 3 181) History of consolidation runs (See page 3 183) Consolidation sets (See page 3 186) Transaction method consolidation batches (See page 3 188) Consolidation account rules (See page 3 189) Consolidation subsidiary segment hierarchies (See page 3 192) Consolidation segment rules (See page 3 193) Assignments of consolidations to consolidation sets (See page 3 195) Daily aggregate balances for both detail and summary accounts (See page 3 196) Foreign currency daily conversion rate types (See page 3 211) Daily conversion rates for foreign currency transactions (See page 3 212)
GL_CODE_COMBINATIONS GL_CONCURRENCY_CONTROL
GL_CONCURRENT_SCHEDULES
GL_CONSOLIDATION GL_CONSOLIDATION_ACCOUNTS
GL_CONS_SEGMENT_MAP GL_CONS_SET_ASSIGNMENTS
GL_DAILY_BALANCES
GL_DAILY_CONVERSION_TYPES
GL_DAILY_RATES
Import daily conversion rates (See page 3 214) Date to period mappings (See page 3 217) Sequential numbering audit table (See page 3 218) Newly created summary account combinations (See page 3 219) Intercompany elimination history (See page 3 221) Intercompany elimination journals (See page 3 223) Intercompany elimination set definitions (See page 3 225) Intercompany elimination account mappings (See page 3 227) Intercompany elimination balancing options. (See page 3 229) Encumbrance type definitions (See page 3 231) Freeze budget organizations for particular budgets (See page 3 232) Foreign currency translation rates for historical accounts (See page 3 233) Historical translation rates account ranges (See page 3 235) Automatic account generation mapping rules for the Global Intercompany System (See page 3 238) Clearing accounts (See page 3 240) Global Intercompany System import execution control (See page 3 241) Transactional data for import into Global Intercompany System (See page 3 242) Recurring intercompany batches (See page 3 245) History of recurring intercompany batch runs (See page 3 247) Recurring intercompany transaction lines (See page 3 248) Recurring intercompany transactions (See page 3 250)
GL_ELIM_BAL_OPTIONS
GL_ENCUMBRANCE_TYPES GL_ENTITY_BUDGETS
GL_HISTORICAL_RATES
GL_HISTORICAL_RATE_RANGES GL_IEA_AUTOGEN_MAP
GL_IEA_CLEARING_ACCOUNTS GL_IEA_IMPORT_REGISTRY
GL_IEA_INTERFACE
GL_IEA_RECUR_BATCHES GL_IEA_RECUR_HISTORY
GL_IEA_RECUR_LINES GL_IEA_RECUR_TRANSACTIONS
GL_IEA_SEGMENT_MAP
Automatic account generation segment mapping rules for the Global Intercompany System (See page 3 252) Automatic account generation individual segment mapping rules for the Global Intercompany System (See page 3 254) Subsidiary definitions (See page 3 256) Intercompany transactions (See page 3 258) Intercompany transaction lines (See page 3 263) Intercompany transaction types (See page 3 265) Crossreferences between subledgers and Oracle General Ledgers Journal Entries (See page 3 267) Assignments of intercompany due to and due from accounts to a source, category, and balancing segment value. (See page 3 269) Intercompany transactions processing rules (See page 3 271) Import journal entry batches (See page 3 273) Journal import execution control (See page 3 277) Imported journal entry batches (See page 3 278) Journal entry batches (See page 3 282) Journal entry categories (See page 3 286) Journal entry headers (See page 3 287) Journal entry lines (See page 3 292) Journal entry sources (See page 3 296) Interface table for RXi Oracle General Ledger journal reports. (See page 3 298) Assignments of reporting sets of books to primary sets of books (See page 3 300) Multiple reporting currency conversion rules for Oracle General Ledger (See page 3 301)
GL_IEA_SEGMENT_RULE_MAP
GL_INTERCOMPANY_ACCOUNTS
GL_INTERCOMPANY_ACC_SETS
GL_MC_BOOK_ASSIGNMENTS
GL_MC_CONVERSION_RULES
GL_MC_REPORTING_OPTIONS
Multiple reporting currency conversion options by application (See page 3 303) History of upgrade for each application and reporting set of books (See page 3 306) Exchange rates used for the multiple reporting currency upgrade programs (See page 3 308) Mass maintenance request account mappings (See page 3 309) Mass maintenance request definitions (See page 3 311) Net income accounts (See page 3 313) Natural account value mappings for financial items (See page 3 314) Financial items (See page 3 315) The new table stores the summarized financial metrics. (See page 3 316) Summarized financial data needed for Business Intelligence System reports (See page 3 317) Calendar period definitions (See page 3 319) Calendar definitions (See page 3 321) Calendar period statuses (See page 3 322) Calendar period types (See page 3 324) Posting interim balances (See page 3 325) Recurring journal entry and budget formula batches (See page 3 328) Recurring journal entry and budget formula headers (See page 3 330) Recurring journal entry and recurring budget formula target lines (See page 3 332) Recurring journal entry and budget formula lines (See page 3 333) Revaluation default gain/loss account (See page 3 336)
GL_MC_UPGRADE_HISTORY
GL_MC_UPGRADE_RATES
GL_MOVEMERGE_ACCOUNTS
GL_OASIS_FIN_ITEMS GL_OASIS_FIN_METRICS
GL_OASIS_SUMMARY_DATA
GL_RECURRING_HEADERS
GL_RECURRING_LINES
GL_RECURRING_LINE_CALC_RULES
GL_REVALUATION
Revaluation account ranges (See page 3 337) Rollup group usages (See page 3 340) Constant row multipliers (See page 3 341) Interface table for countryspecific trial balance reports (See page 3 342) Segment value and period usages (See page 3 344) Segment value inheritance history (See page 3 345) Set of books definitions (See page 3 346) Stock split or dividend (See page 3 350) Number of shares outstanding (See page 3 351) Statistical units of measure (See page 3 353) Interim table storage parameters (See page 3 354) Temporary table for Summarization (See page 3 355) Summary account templates (See page 3 356) Additional suspense accounts for source/category combinations (See page 3 359) System setup information (See page 3 360) System feature usage (See page 3 361) Setup tax options (See page 3 362) Setup tax options for natural account values (See page 3 364) Newly created account combinations (See page 3 366) Transaction calendar definitions (See page 3 368) Business vs. nonbusiness days for transaction calendars (See page 3 370) Feeder system journal transaction rate exceptions (See page 3 372) Foreign currency translated interim balances (See page 3 374)
GL_SEGMENT_FREQUENCIES GL_SEGVAL_INHERIT_HISTORY GL_SETS_OF_BOOKS GL_SHARES_ACTIVITY GL_SHARES_OUTSTANDING GL_STAT_ACCOUNT_UOM GL_STORAGE_PARAMETERS GL_SUMMARY_INTERIM GL_SUMMARY_TEMPLATES GL_SUSPENSE_ACCOUNTS
GL_TRANSACTION_RATE_EXCEPTIONS
GL_TRANSLATION_INTERIM
GL_TRANSLATION_RATES GL_TRANSLATION_STATUSES
Foreign currency translation rates (See page 3 376) Foreign currency translation status of periods (See page 3 378) Foreign currency translation history (See page 3 380) USSGL account pairings (See page 3 382) USSGL transaction codes (See page 3 383) Feeder system journal details calculated using weighted average rates (See page 3 384) Allocation rule definitions (See page 3 386) Information for allocation runs (See page 3 390) Purchase order distributions (See page 3 394) Document headers (for purchase orders, purchase agreements, quotations, RFQs) (See page 3 400) Requisition headers (See page 3 407) Database link definitions (See page 3 411) Financial Analyzer dimensions (See page 3 412) Financial Analyzer dimension segment mappings (See page 3 414) Financial Analyzer hierarchies (See page 3 416) Financial Analyzer hierarchy segment mappings (See page 3 418) Financial Analyzer extract/load request tracking (See page 3 419) Segment ranges for filters (See page 3 421) Filters (See page 3 423) Financial Analyzer financial data sets (See page 3 425) Financial Analyzer financial data set segment sort order (See page 3 427) Assignments of financial data items to financial data sets (See page 3 429)
RG_DSS_HIERARCHIES RG_DSS_HIERARCHY_DETAILS
RG_DSS_REQUESTS
RG_DSS_SYSTEM_VARIABLES
RG_DSS_VARIABLES RG_DSS_VAR_DIMENSIONS
Financial Analyzer financial data items (See page 3 430) Financial Analyzer financial data item dimensions (See page 3 433) Financial Analyzer financial data item selections (See page 3 434) Financial Analyzer financial data item summary templates (See page 3 436) Report definitions (See page 3 438) Row and column definitions (See page 3 441) Assignments of account ranges to rows and columns (See page 3 444) Row and column set definitions (See page 3 452) Calculations defined for rows and columns (See page 3 454) Assignments of account ranges to content sets (See page 3 456) Content set definitions (See page 3 464) Assignments of report display groups to report display sets (See page 3 466) Report display group definitions (See page 3 468) Report display set definitions (See page 3 469) Exception conditions for columns (See page 3 471) Symbols used to indicate exceptions (See page 3 473) Assignments of budgets, encumbrances, and currencies to reports (See page 3 475) Report request tracking and assignments of reports to report sets (See page 3 477) Report set definitions (See page 3 480) Amount types used in rows and columns (See page 3 482)
RG_DSS_VAR_SELECTIONS
RG_DSS_VAR_TEMPLATES
RG_REPORT_AXIS_SETS RG_REPORT_CALCULATIONS
RG_REPORT_CONTENT_OVERRIDES
RG_REPORT_CONTENT_SETS RG_REPORT_DISPLAYS
RG_REPORT_REQUESTS
RG_REPORT_SETS RG_REPORT_STANDARD_AXES
RG_REPORT_SUB_REQUEST_RUNS
Sub request information for parallel content sets (See page 3 484) Row order definitions (See page 3 485) Assignments of segments to row orders (See page 3 487) Query information for specific amount types (See page 3 489) Sizes of selected Oracle General Ledger tables (See page 3 490)
RG_TABLE_SIZES
Description Review accounts for all budget organizations (See page 3 72) Review transactions associated with all encumbrance types (See page 3 73) Review all of your journal entry categories (See page 3 74) Review all of your journal entry sources (See page 3 75) No view description No view description No view description
GL_ALL_ENC_TYPES_VIEW
GL_BUDGETS_NAME_V GL_BUDGETS_NO_JOURNALS_V GL_BUDGETS_REQUIRE_JOURNALS_V GL_BUDGETS_SOURCE_BUDGETS_V GL_BUDGETS_TARGET_BUDGETS_V GL_BUDGETS_V GL_BUDGETS_WITH_DATES_V GL_BUDGET_ASSIGNMENTS_V GL_BUDGET_ASSIGNMENT_RANGES_V GL_BUDGET_DEPENDENT_AMTS_V GL_BUDGET_DEP_BALANCES_V GL_BUDGET_DETAIL_BALANCES_V GL_BUDGET_ENTITIES_CURRENT_V GL_BUDGET_ENTITIES_UNFROZEN_V GL_BUDGET_JOURNALS_V GL_BUDGET_TRANSFER_V GL_BUD_ASSGNMNT_PRD_RANGES_V GL_BUD_PERIOD_RANGES_V GL_BUD_REC_BATCHES_V GL_CODE_COMBINATIONS_V GL_CONSOLIDATION_AUDIT_V GL_CONSOLIDATION_HISTORY_V GL_CONSOLIDATION_NAMES_V GL_CONSOLIDATION_V GL_CONS_BUDGET_NAMES_V GL_CONS_BUDGET_PERIODS_V GL_CONS_MAP_SET_V GL_CONS_ROLLUP_RANGES_V GL_CONS_SEGMENT_ACTIONS_V GL_CONS_SEGMENT_MAP_V
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GL_CONS_SET_ASSIGNMENTS_V GL_CONS_SET_ASSIGN_V GL_CONS_SET_NAMES_V GL_CONTROL_BUDGET_BALANCES_V GL_DAILY_BALANCES_V GL_DAILY_CONVERSION_TYPES_V GL_DAILY_RATES_V GL_DETAIL_AVERAGE_BALANCES_V GL_DETAIL_BALANCES_V GL_ELIMINATION_HISTORY_V GL_ELIM_SET_HISTORY_V GL_ENCUMBRANCE_TYPES_CURRENT_V GL_ENCUMBRANCE_TYPES_V GL_ENTITY_BUDGETS_V GL_FUNCTIONAL_BALANCES_V GL_HISTORICAL_RATES_V GL_IEA_AUTOGEN_MAP_V GL_IEA_RECUR_BATCHES_V GL_IEA_RECUR_TRANSACTIONS_V GL_IEA_SEGMENT_MAP_V GL_IEA_SEGMENT_RULE_MAP_V GL_IEA_SUBSIDIARIES_MAP_V GL_IEA_SUBS_ACTIVE_V GL_IEA_TRANSACTIONS_V GL_IEA_TRANSACTION_TYPES_MAP_V GL_IEA_TRANSACTION_TYPES_V GL_IEA_TYPES_ACTIVE_V GL_INTERCOMPANY_ACCTS_V GL_INTERCOMPANY_ACC_SETS_V GL_INTERCO_ACCT_V
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GL_INTERFACE_GROUPS_V GL_INTERFACE_SOURCES_V GL_JE_BATCHES_HEADERS_V GL_JE_BATCHES_LOV_V GL_JE_BATCHES_POST_V GL_JE_BATCHES_V GL_JE_CATEGORIES_V GL_JE_CATEGORY_NAMES_V GL_JE_CONS_BALANCES_V GL_JE_HEADERS_LOV_V GL_JE_HEADERS_REVERSE_V GL_JE_HEADERS_V GL_JE_JOURNAL_LINES_V GL_JE_LINES_V GL_JE_SOURCES_V GL_JE_SOURCE_NAMES_V GL_JOURNAL_REPORTS_ITF_V GL_LOOKUPS_AMOUNT_TYPES_V GL_LOOKUPS_AVG_AMOUNT_TYPES_V GL_LOOKUPS_BATCH_TYPE_V GL_LOOKUPS_BOUNDARIES_V GL_LOOKUPS_BUDGET_INQ1_V GL_LOOKUPS_BUDGET_INQ3_V GL_LOOKUPS_BUDGET_STATUSES_V GL_LOOKUPS_FACTORS_V GL_LOOKUPS_MJE_BATCH_STATUS_V GL_LOOKUPS_MJE_FUNDS_STATUS_V GL_LOOKUPS_PERIOD_STATUSES_V GL_LOOKUPS_RATE_TYPE_V GL_LOOKUPS_YES_NO_V
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HighLevel Design 2 39
GL_MC_BOOK_ASSIGNMENTS_V GL_PERIODS_AND_TYPES_V GL_PERIODS_V GL_PERIOD_NAMES_ALL_V GL_PERIOD_SETS_V GL_PERIOD_STATUSES_ACTUAL_V GL_PERIOD_STATUSES_BUD_UPD_V GL_PERIOD_STATUSES_BUD_V GL_PERIOD_STATUSES_ENC_V GL_PERIOD_STATUSES_FIRST_60_V GL_PERIOD_STATUSES_NAME_V GL_PERIOD_STATUSES_REV_BUD_V GL_PERIOD_STATUSES_V GL_PERIOD_STAT_BUD_PERA_V GL_PERIOD_TYPES_V GL_RECURRING_BATCHES_V GL_RECURRING_HEADERS_V GL_RECURRING_VALID_PERIODS_V GL_SEGMENT_MAP_CONS_V GL_SETS_OF_BOOKS_V GL_SOB_NAMES_V GL_STAT_ACCOUNT_UOM_V GL_STORAGE_PARAMETERS_QF_V GL_STORAGE_PARAMETERS_V GL_SUMMARY_AVERAGE_BALANCES_V GL_SUMMARY_BALANCES_V GL_SUMMARY_CODE_COMBS_V GL_SUMMARY_COMBINATIONS_V GL_SUMMARY_TEMPLATES_NAMES_V GL_SUSPENSE_ACCOUNTS_LOV_V
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2 40 Oracle General Ledger Applications Technical Reference Manual
GL_SUSPENSE_ACCOUNTS_V GL_TRANSACTION_CALENDAR_V GL_TRANSACTION_CODES_ACTIVE_V GL_TRANSLATION_RATES_CURR_V GL_TRANSLATION_RATES_PERIODS_V GL_TRANSLATION_RATES_V GL_TRANSLATION_STATUSES_V GL_TRANSLATION_TRACKING_V GL_TRANS_BUDGET_PERIODS_V GL_TRANS_PERIODS_BSV_V GL_VARIANCE_BALANCES_V GL_VARIANCE_SEC_BALANCES_V RG_BUDGETS_V RG_CURRENCIES_V RG_DSS_DIM_SEGMENTS_V RG_DSS_HIERARCHIES_V RG_DSS_HIERARCHY_DETAILS_V RG_DSS_REQUESTS_V RG_DSS_SEG_RANGE_SETS_V RG_DSS_SYSTEM_SEG_ORDER_V RG_DSS_SYSTEM_VARIABLES_V RG_DSS_VARIABLES_V RG_DSS_VAR_DIMENSIONS_V RG_DSS_VAR_SELECTIONS_V RG_DSS_VAR_TEMPLATES_V RG_ENCUMBRANCES_V RG_FACTOR_V RG_LEVEL_OF_DETAIL_V RG_PERIOD_YEARS_V RG_REPORTS_V
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HighLevel Design 2 41
RG_REPORT_AXES_V RG_REPORT_AXIS_SETS_V RG_REPORT_DISPLAYS_V RG_REPORT_DISPLAY_GROUPS_V RG_REPORT_DISPLAY_SETS_V RG_REPORT_NAME_V RG_REPORT_REQUESTS_V RG_REPORT_SET_NAME_V RG_REPORT_STANDARD_AXES_V RG_ROW_SEGMENT_SEQUENCES_V
Module List
This section lists each form, report and concurrent program comprising Oracle General Ledger.
Forms
APXTADTC ARXSUVAT FNDFFMCV FNDFFMDC FNDFFMHL FNDFFMIS FNDFFMSA FNDFFMSV FNDFFMVS FNDFFSRA FNDFFSRN FNDNLDCX FNDPOMSV FNDRSRUN FNDRSSET FNDSNASQ FNDSNDSQ GLXACCMB GLXACINT GLXACSUM GLXACSUS GLXALGEN GLXALVAS GLXALWKB GLXBDCAL GLXBDDEF
Tax Codes Tax Codes and Rates Define CrossValidation Rule Define Descriptive Flexfield Segments Define Rollup Groups Define Key Flexfield Segments Define Shorthand Aliases Define Segment Values Define Value Set Assign Security Rules Define Security Rule Define Currency Update Personal Profile Values Run Reports Administer Report Sets Assign Document Sequences Define Document Sequences GL Accounts Intercompany Accounts Summary Accounts Suspense Accounts Generate AutoAllocation View AutoAllocation Status AutoAllocation Workbench Calculate Budget Amounts Define Budget
GLXBDENT GLXBDFRZ GLXBDORG GLXBDUPL GLXBDXFR GLXCODEF GLXCOMST GLXCOPRG GLXCORST GLXCORUN GLXCOWRK GLXELDEF GLXELGEN GLXFCRVL GLXFCXLT GLXIECLA GLXIEENT GLXIEGEN GLXIEMAP GLXIEREC GLXIESUB GLXIETYP GLXIQACC GLXIQAVG GLXIQBCT GLXIQBUD GLXIQCDR GLXIQFUN GLXJEENT GLXJEPST GLXJEREV
Enter Budget Amounts / Enter Budget Journals Freeze Budget Define Budget Organization Upload Budgets Budget Transfer Consolidation Mappings Consolidation Mapping Sets Purge Consolidation Audit Data Transfer Consolidation Data Set Transfer Consolidation Data Consolidation Workbench Elimination Sets Generate Eliminations Revalue Balances Translate Balances Intercompany Clearing Accounts Enter Intercompany Transaction Generate Recurring Transactions GIS AutoAccounting Rules Define Recurring Intercompany Transaction Batches Subsidiaries Intercompany Transaction Types Account Inquiry Average Balance Inquiry Budgetary Control Transactions Budget Inquiry Account Inquiry (Consolidation Drilldown / Mass Maintenance Drilldown) Funds Available Inquiry Enter Journals / Enter Encumbrances Post Journals Reverse Journals
GLXJICOR GLXJIDEL GLXJIRUN GLXMADEF GLXMAGEN GLXMCRSA GLXMMWKB GLXOAFIS GLXOCPER GLXOCYCF GLXRJDEF GLXRJGEN GLXRTDLY GLXRTHST GLXRTPER GLXRTTYP GLXSTAPO GLXSTARV GLXSTBCG GLXSTBKS GLXSTCAL GLXSTCAT GLXSTCPC GLXSTEAL GLXSTENC GLXSTGTC GLXSTPRG GLXSTPTY GLXSTSCH GLXSTSPM
Correct Journal Import Data Delete Journal Import Data Import Journals Define MassAllocations / Define MassBudgets Generate MassAllocation Journals / Generate MassBudget Journals Assign Reporting Sets of Books Mass Maintenance Workbench Financial Item Open and Close Periods YearEnd Carry Forward Define Recurring Journal Formula / Define Budget Formula Generate Recurring Journals Daily Rates Historical Rates Period Rates Conversion Rate Types AutoPost Criteria Sets Reversal Criteria Budgetary Control Group Set of Books Accounting Calendar Journal Categories Concurrent Program Controls Journal Authorization Limits Encumbrance Types Government Transaction Codes Archive and Purge Period Types Submission Schedules Storage Parameters
GLXSTSRC GLXSTSTK GLXSTTAX GLXSTTRC GLXSTUOM RGXAUCP RGXGDAXS RGXGDCOG RGXGDCON RGXGDCOS RGXGDDBL RGXGDDIM RGXGDFAS RGXGDHIR RGXGDORD RGXGDREP RGXGDRGS RGXGDRST RGXGDVAR RGXGRRST RGXGVREQ
Journal Sources Common Stock Tax Options Transaction Calendar Statistical Units of Measure AutoCopy Column Set / Row Set Display Group Content Set Display Set Define Database Links Dimension Financial Data Set Hierarchy Row Order Define Financial Report Filter Financial Report Set Financial Data Run Financial Reports Transfer Requests
Reports
GLACTANP GLCRDR GLGVFNAV GLGVOPEN GLRFCLD GLRFGNJ
Account Analysis with Payables Detail Report (132/180 char) Consolidation Journals Report Funds Available Analysis Report Open Encumbrance Balance with Transaction Detail Report Foreign Currency General Ledger Report Foreign Currency Journals Report (132/180 char)
GLRGNJ GLRGNL GLRJED GLRSGNJ GLRTB2 GLRTBD GLRTR1 GLTDCJ GLXACDAL GLXACSDL GLXACSDW GLXAVADT GLXAVTRB GLXBCRBC GLXBCSD GLXBOR GLXBTB GLXCAR GLXCLVAL GLXCOCRR GLXDDA GLXETB GLXIETRB GLXIETRD GLXIEUAT GLXJETAX GLXRBCR GLXRBDHR GLXRBJRN
General Journals Report (132/180 char) General Ledger Report (132/180 char) Account Analysis Report / Foreign Currency Account Analysis Report Journals by Document Number Report Summary 2 Trial Balance Report Detail Trial Balance / Foreign Currency Detail Trial Balance Summary 1 Trial Balance / Foreign Currency Summary 1 Trial Balance Dual Currency Journals Report Inactive Accounts Listing Account Analysis with Subledger Detail (132 char) Account Analysis with Subledger Detail (180 char) Average Balance Audit Report Average Trial Balance Report Budgetary Control Transactions Report Summary/Detail Budget Report Budget Organization Range Listing Budget Trial Balance Report Consolidation Audit Report Calendar Validation Report Consolidation Rules Report Consolidation Exception Report: Disabled Parent Accounts Encumbrance Trial Balance Report Intercompany Transactions Trial Balance Intercompany Transactions Detail Report Unapproved Intercompany Transactions Listing Tax Journals Report Master/Detail Budget Report Budget Hierarchy Listing Budget Journals by Flexfield Report
GLXRBUDA GLXRDRTS GLXRLACH GLXRLBOL GLXRLCOA GLXRLFBL GLXRLHST GLXRLMAB GLXRLRFL GLXRLRUD GLXRLRUR GLXRLSEG GLXRLSUS GLXRLTCL GLXRLVAT GLXRPRTS GLXRSUOM GLXUSA GLXXTB GLYRLBGE GLYRLGLG GLYRLJGE GLYRLJRE RGUWUR RGXCOLD RGXCOLS RGXCOND RGXCONS RGXRORDD RGXROWD RGXROWS
Unbudgeted Master/Detail Accounts Report Daily Conversion Rates Listing Account Hierarchy Report Budget Organization Listing Chart of Accounts Listing Frozen Budgets Accounts Listing Historical Rates Listing MassAllocation Formula Listing Recurring Formula Listing Rollup Detail Listing Rollup Range Listing Segment Values Listing Suspense Accounts Listing Transaction Code Listing ValueAdded Tax Report Period Rates Listing Units of Measure Listing Consolidation Exception Report: Unmapped Subsidiary Accounts Translation Trial Balance Report Expanded Trial Balance Report Journal Entry Report Journal Line Report Journal Batch Summary Report Where Used Report Column Set Detail Listing Column Set Summary Listing Content Set Detail Listing Content Set Summary Listing Row Order Detail Listing Row Set Detail Listing Row Set Summary Listing
Report Detail Listing Report Summary Listing Report Set Detail Listing Report Set Summary Listing
Concurrent Programs
GLAMAS GLAVAL GLBAAC GLBAAR GLBBSU GLBCMP GLBCRE GLBDBO GLBMBO GLBOYR GLCCON GLCPCA GLCRVL GLELIM GLEOYR GLFYCF GLGVHS GLGVPR GLHRRT GLIDEL GLIGEN GLIIMP GLIXFR
Generate MassAllocation and MassBudget journals Validate MassAllocations and MassBudgets Create a new budget organization from an existing organization Assign accounts to budget organizations Upload budget data from GL_BUDGET_INTERFACE Maintain period map table Create a new budget by copying an existing budget Delete a budget organization Maintain budget organizations Open a new budget year Transfer consolidation data Purge consolidation audit data Revalue foreign currency amounts Generate intercompany eliminations Open a new encumbrance year Carry forward yearend encumbrances or budgets Maintain reporting attribute values Maintain the account structure for reporting attributes Assign historical rates to accounts Delete intercompany transactions Generate recurring intercompany transactions Import Global Intercompany System intercompany transactions Transfer intercompany transactions to GL_INTERFACE
GLLDEL GLLEZL GLMERP GLMMMP GLMRCU GLNSVI GLOOAP GLOSUM GLPARV GLPAUTOP GLPPOS GLPRBE GLPREV GLPRJE GLPURGE GLPURGEC GLSBRP GLSMST GLSTPM GLSWPR GLTATR GLTCAL GLTRRG GLTTRC GLTTRN GLUENC
Delete invalid Journal Import data from GL_INTERFACE Import journal entries from GL_INTERFACE Maintain euro period rates Moves balances between accounts and mass creates new accounts Create opening balance journals in reporting sets of books Propogate segment value attribute changes to code combinations Open new accounting period Collect financial item data for BIS Automatically reverse journals and post their reversals Automatically post journal entries with selected attributes Post journal entries Run budget formula Reverse journal entry Run recurring journal entry formula Archive and purge balances and journals Archive and Purge child program Post budget amounts Maintain summary templates Add and delete summary accounts Create journals from budgetary control packets Translates your average balances Calculate historical weighted average rates Gather translation details to compute weighted averages Mark account balances in periods with modified rate as out of date Translate functional currency account balances Upgrade encumbrance balances
Provide batch process for funds checking/reservation Create balance sheet or income statement closing journals AutoCopy reports and report components Extract balances Extract segment values Optimizer Financial Statement Generator FSG Controller
CHAPTER
Detailed Design
his chapter presents a detailed design for implementing Oracle General Ledger and Public Sector General Ledger. It contains detailed definitions of tables and views that you may need to reference to write custom reports or use for other data extraction.
Foreign Keys
To help you understand the relationships between tables, we list each foreign key contained in a table. For each foreign key in a table, we list the primary key table name (the table to which a foreign key refers), its corresponding primary key columns, and the foreign key columns that refer to those primary key columns. When the primary key table has a composite primary key, we list each column of the composite key sequentially. If a table contains two or more distinct foreign keys that refer to the same primary key table, we repeat the primary key table name and list each of the distinct foreign keys separately.
QuickCodes Columns
When a database column contains a QuickCodes value, which we implement using a foreign key to FND_LOOKUPS, MFG_LOOKUPS,
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Detailed Design 33
or to some other lookup table, we list the QuickCodes type (lookup type) to which the QuickCodes value must belong and a complete list of QuickCodes values and meanings. Some QuickCodes can be defined by you in the application. These values are designated as Userdefined.
Column Descriptions
We list the important characteristics of each column in a table or view. These characteristics include whether the column is part of the tables primary key, whether Oracle8i requires a value for this column, and the data type of the column. We also give you a brief description of how your Oracle General Ledger application uses the column. When a column is part of a tables primary key, we append the notation (PK) to the name of that column. To help you understand which columns your Oracle General Ledger application uses and which columns it does not use, we alert you to any unused column. When no module uses a database column, we show one of the following legends in the Description column: Not currently used No longer used Your Oracle General Ledger application does not use this column, although the column might be used in a future release. Your Oracle General Ledger application no longer uses this column. AutoInstall installs this column. Subsequent versions of your Oracle General Ledger application might not include this column. Your Oracle General Ledger application no longer uses this column. If you upgraded your software from an earlier version, you may still have this column, depending upon whether you chose to delete it during an upgrade process. If you install your Oracle General Ledger application, you do not have this column.
No longer installed
Standard Who Columns Most Oracle General Ledger applications tables contain standard columns to support \ Row Who. When your program or SQL*Plus command selects a row from a table, use these columns to determine
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34 Oracle General Ledger Applications Technical Reference Manual
who last updated the row. If your program or SQL*Plus command updates or inserts a row in an interface table, you must populate each of the five standard Who columns:
LAST_UPDATE_DATE LAST_UPDATED_BY
Date when a user last updated this row User who last updated this row (foreign key to FND_USER.USER_ID) Date when this row was created User who created this row (foreign key to FND_USER.USER_ID) Operating system login of user who last updated this row (foreign key to FND_LOGINS.LOGIN_ID). You should set this to NULL, or to 0 if NULL is not allowed
CREATION_DATE CREATED_BY
LAST_UPDATE_LOGIN
Since every table containing Who columns has several foreign keys to the tables FND_USER and FND_LOGINS, we do not include the foreign key columns LAST_UPDATED_BY, CREATED_BY, or LAST_UPDATE_LOGIN in a tables list of foreign keys. Additional Who Columns for Concurrent Programs Some Oracle General Ledger applications tables also contain several additional Who columns to distinguish between changes a user makes with a form and changes a concurrent program makes. When a concurrent program updates or inserts a row in a table, the concurrent program populates the following additional Who columns:
REQUEST_ID
Concurrent request ID of program that last updated this row (foreign key to FND_CONCURRENT_REQUESTS.REQUEST_ID) Application ID of program that last updated this row (foreign key to FND_APPLICATION.APPLICATION_ID) Program ID of program that last updated this row (foreign key to FND_CONCURRENT_PROGRAM.CONCURRENT_PROGRAM_ID) Date when a program last updated this row
PROGRAM_APPLICATION_ID
PROGRAM_ID
PROGRAM_UPDATE_DATE
Since every table containing these additional Who columns has several foreign keys to the tables FND_CONCURRENT_REQUESTS, FND_APPLICATION, and FND_CONCURRENT_PROGRAM, we do not include the foreign key columns REQUEST_ID, PROGRAM_APPLICATION_ID, or PROGRAM_ID in a tables list of foreign keys. Columns Reserved for CountrySpecific Localizations Some tables have GLOBAL_ATTRIBUTE columns which support additional features added to Oracle General Ledger to meet statutory requirements and common business practices in your country or region. For details on these columns, refer to the Appendix in Oracle Financials Regional Technical Reference Manual. To read more about the features that these columns support, look for a User Guide appropriate to your country; for example, see the Oracle Financials for the Czech Republic User Guide.
Indexes
If an Oracle General Ledger applications table uses an Oracle8i index, we list the database columns that comprise that index, in sequential order. Note: The indexes we document in this manual correspond to unique keys we specified during product development and testing. In some cases, we may add additional indexes during the porting process to finetune performance on specific platforms; therefore, there may be minor differences between the indexes documented in this book and the indexes for production versions of Oracle General Ledger.
Sequences
Your Oracle General Ledger application uses Oracle8i sequence generators to generate unique integers. If any table column gets its value from an Oracle8i sequence generator, we list the name of the corresponding sequence generator and the name of the column that stores the unique integer.
Database Triggers
If a table has one or more active database triggers, we provide a brief explanation of each database trigger and when it fires.
View Derivation
For each Oracle General Ledger applications view you may need to reference, we include important elements from the SQL statement that defines or creates a view. By studying this view definition, you can understand exactly how a view derives its contents.
AP_CHECKS_ALL
AP_CHECKS_ALL stores information about payments issued to suppliers or refunds received from suppliers. You need one row for each payment you issue to a supplier or refund received from a supplier. Your Oracle Payables application uses this information to record payments you make to suppliers or refunds you receive from suppliers. Your Oracle Payables application stores the supplier name and bank account name for auditing purposes, in case either one is changed after you create the payment. Your Oracle Payables application stores address information for all payments. If you allow changes to the supplier payment address on manual payments or Quick payments, your Oracle Payables application maintains the new address information in this table. Your Oracle Payables application uses BANK_ACCOUNT_NUM, BANK_NUM, and BANK_ACCOUNT_TYPE for the supplier s bank information when you use the Electronic payment method. Your Oracle Payables application stores a dummy value for CHECK_STOCK_ID for refunds, thus, CHECK_STOCK_ID should not be treated as a foreign key to AP_CHECK_STOCKS_ALL in the case of refunds.
Foreign Keys Primary Key Table AP_BANK_ACCOUNTS_ALL AP_BANK_ACCOUNTS_ALL AP_CHECK_FORMATS AP_CHECK_STOCKS_ALL AP_DOC_SEQUENCE_AUDIT AP_INV_SELECTION_CRITERIA_ALL AP_INV_SELECTION_CRITERIA_ALL FND_CURRENCIES FND_DOCUMENT_SEQUENCES FND_DOC_SEQUENCE_CATEGORIES GL_DAILY_CONVERSION_TYPES GL_DAILY_CONVERSION_TYPES GL_DAILY_CONVERSION_TYPES GL_USSGL_TRANSACTION_CODES PO_VENDORS PO_VENDOR_SITES_ALL QuickCodes Columns Column PAYMENT_METHOD_LOOKUP_CODE
Primary Key Column BANK_ACCOUNT_ID BANK_ACCOUNT_ID CHECK_FORMAT_ID CHECK_STOCK_ID DOC_SEQUENCE_ID DOC_SEQUENCE_VALUE CHECKRUN_NAME CHECKRUN_ID CURRENCY_CODE DOC_SEQUENCE_ID CODE CONVERSION_TYPE CONVERSION_TYPE CONVERSION_TYPE USSGL_TRANSACTION_CODE VENDOR_ID VENDOR_SITE_ID
Foreign Key Column BANK_ACCOUNT_ID EXTERNAL_BANK_ACCOUNT_ID CHECK_FORMAT_ID CHECK_STOCK_ID DOC_SEQUENCE_ID DOC_SEQUENCE_VALUE CHECKRUN_NAME CHECKRUN_ID CURRENCY_CODE DOC_SEQUENCE_ID DOC_CATEGORY_CODE EXCHANGE_RATE_TYPE CLEARED_EXCHANGE_RATE_TYPE MATURITY_EXCHANGE_RATE_TYPE USSGL_TRANSACTION_CODE VENDOR_ID VENDOR_SITE_ID
(Continued) QuickCodes Type PAYMENT TYPE A M Q R CHECK STATE CLEARED CLEARED BUT UNACCOUNTED ISSUED NEGOTIABLE OVERFLOW RECONCILED RECONCILED UNACCOUNTED SET UP SPOILED STOP INITIATED UNCONFIRMED SET UP VOIDED QuickCodes Table AP_LOOKUP_CODES Batch Manual Quick Refund AP_LOOKUP_CODES Cleared Cleared but Unaccounted Issued Negotiable Overflow Reconciled Reconciled Unaccounted Set Up Spoiled Stop Initiated Unconfirmed Set Up Voided
PAYMENT_TYPE_FLAG
STATUS_LOOKUP_CODE
Column Descriptions Name AMOUNT BANK_ACCOUNT_ID BANK_ACCOUNT_NAME CHECK_DATE CHECK_ID (PK) CHECK_NUMBER CURRENCY_CODE LAST_UPDATED_BY LAST_UPDATE_DATE PAYMENT_METHOD_LOOKUP_CODE PAYMENT_TYPE_FLAG ADDRESS_LINE1 ADDRESS_LINE2 ADDRESS_LINE3 CHECKRUN_NAME CHECK_FORMAT_ID CHECK_STOCK_ID CITY COUNTRY CREATED_BY CREATION_DATE LAST_UPDATE_LOGIN STATUS_LOOKUP_CODE VENDOR_NAME VENDOR_SITE_CODE ZIP BANK_ACCOUNT_NUM BANK_ACCOUNT_TYPE
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER NUMBER(15) VARCHAR2(80) DATE NUMBER(15) NUMBER(15) VARCHAR2(15) NUMBER(15) DATE VARCHAR2(25) VARCHAR2(25) VARCHAR2(35) VARCHAR2(35) VARCHAR2(35) VARCHAR2(30) NUMBER(15) NUMBER(15) VARCHAR2(25) VARCHAR2(25) NUMBER(15) DATE NUMBER(15) VARCHAR2(25) VARCHAR2(80) VARCHAR2(15) VARCHAR2(20) VARCHAR2(30)
Description Payment amount Bank account identifier Bank account name Payment date Payment identifier Payment number Currency code Standard Who column Standard Who column Name of payment method Flag that indicates the payment type First address line of payment Second address line of payment Third address line of payment Payment batch name Check format identifier Payment document identifier City Country Standard Who column Standard Who column Standard Who column Status of payment (for example, NEGOTIABLE, SET UP, SPOILED) Supplier name Supplier site code State or province postal code Suppliers bank account number for electronic payment purposes Suppliers bank account type code for electronic payment purposes
NULL VARCHAR2(25)
(Continued) Null? Type NULL VARCHAR2(25) NULL NULL NULL NULL NUMBER(16) NUMBER DATE VARCHAR2(30) Description Suppliers bank number for electronic payment purposes Payment voucher number Payment cleared amount Payment cleared date Sequential Numbering (voucher number) document category for payment Sequential Numbering document sequence identifier Voucher number (sequential numbering) for payment No longer used No longer used User that released stop payment State No longer used User that recorded stop payment Payment void date Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield structure defining column Negotiable date for future dated payment Date payment processed through internal clearing organization Number assigned to payment processed through internal clearing organization
CHECK_VOUCHER_NUM CLEARED_AMOUNT CLEARED_DATE DOC_CATEGORY_CODE DOC_SEQUENCE_ID DOC_SEQUENCE_VALUE PROVINCE RELEASED_AT RELEASED_BY STATE STOPPED_AT STOPPED_BY VOID_DATE ATTRIBUTE1 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE_CATEGORY FUTURE_PAY_DUE_DATE TREASURY_PAY_DATE TREASURY_PAY_NUMBER
NULL NUMBER NULL NUMBER NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(18) NUMBER(15) VARCHAR2(25) VARCHAR2(18) NUMBER(15) DATE VARCHAR2(150)
NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL DATE NULL DATE NULL NUMBER(15)
(Continued) Null? Type NULL VARCHAR2(30) Description Transaction code for creating US Standard General Ledger journal entries NULL VARCHAR2(30) USSGL Transaction Code Descriptive Flexfield context column NULL VARCHAR2(25) No longer used NULL NUMBER(15) Supports integration with Oracle Cash Management NULL NUMBER Payment cleared amount in functional currency NULL NUMBER Exchange rate at which the payment cleared, for foreign currency payments only NULL DATE Date clearing exchange rate is effective, usually accounting date of a transaction NULL VARCHAR2(30) Exchange rate type at payment clearing time, for foreign currency payments only NULL VARCHAR2(35) Fourth address line of payment. Used for flexible address formatting NULL VARCHAR2(25) Used for flexible address formatting. Also used for matching AP and AR addresses NULL VARCHAR2(30) Used as context value in FAF descr flexs. Do not populate. Instead, join to FND_TERRITORIES where territory_code=country NULL NUMBER(15) Organization identifier NULL NUMBER(15) Supplier identifier. Supports integration with Oracle Cash Management NULL NUMBER(15) Supplier site identifier. Supports integration with Oracle Cash Management NULL NUMBER Exchange rate for foreign currency payment NULL DATE Date exchange rate is effective. Usually the accounting date of the transaction NULL VARCHAR2(30) Exchange rate for foreign currency payment NULL NUMBER Payment amount in functional currency NULL NUMBER(15) Payment batch identifier NULL NUMBER(15) Concurrent request identifier NULL NUMBER Cleared payment error amount NULL NUMBER Cleared payment charges amount NULL NUMBER Cleared payment error amount in functional currency NULL NUMBER Cleared payment charges amount in functional currency NULL VARCHAR2(25) Set by and used by Positive Pay Report to select records NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality
USSGL_TRANSACTION_CODE USSGL_TRX_CODE_CONTEXT WITHHOLDING_STATUS_LOOKUP_CODE RECONCILIATION_BATCH_ID CLEARED_BASE_AMOUNT CLEARED_EXCHANGE_RATE CLEARED_EXCHANGE_DATE CLEARED_EXCHANGE_RATE_TYPE ADDRESS_LINE4 COUNTY ADDRESS_STYLE
EXCHANGE_RATE_TYPE BASE_AMOUNT CHECKRUN_ID REQUEST_ID CLEARED_ERROR_AMOUNT CLEARED_CHARGES_AMOUNT CLEARED_ERROR_BASE_AMOUNT CLEARED_CHARGES_BASE_AMOUNT POSITIVE_PAY_STATUS_CODE GLOBAL_ATTRIBUTE_CATEGORY GLOBAL_ATTRIBUTE1
(Continued) Null? Type Description NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(25) Transfer priority NULL NUMBER(15) External bank account identifier NULL NUMBER Stamp duty tax amount for globalization NULL NUMBER Stamp duty tax amount in functional currency for globalization NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and payment cleared amount pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and currency conversion rate of cleared payment pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and currency conversion date of cleared payment pairs
GLOBAL_ATTRIBUTE2 GLOBAL_ATTRIBUTE3 GLOBAL_ATTRIBUTE4 GLOBAL_ATTRIBUTE5 GLOBAL_ATTRIBUTE6 GLOBAL_ATTRIBUTE7 GLOBAL_ATTRIBUTE8 GLOBAL_ATTRIBUTE9 GLOBAL_ATTRIBUTE10 GLOBAL_ATTRIBUTE11 GLOBAL_ATTRIBUTE12 GLOBAL_ATTRIBUTE13 GLOBAL_ATTRIBUTE14 GLOBAL_ATTRIBUTE15 GLOBAL_ATTRIBUTE16 GLOBAL_ATTRIBUTE17 GLOBAL_ATTRIBUTE18 GLOBAL_ATTRIBUTE19 GLOBAL_ATTRIBUTE20 TRANSFER_PRIORITY EXTERNAL_BANK_ACCOUNT_ID STAMP_DUTY_AMT STAMP_DUTY_BASE_AMT MRC_CLEARED_BASE_AMOUNT
MRC_CLEARED_EXCHANGE_RATE
MRC_CLEARED_EXCHANGE_DATE
(Continued) Null? Type Description NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and currency conversion rate type at clearing time pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and currency conversion rate pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and currency conversion date pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and currency conversion rate type pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and payment amount pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and cleared payment error base amount pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and cleared payment charges base amount pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and stamp duty tax pairs NULL DATE Date maturity exchange rate is effective, usually the maturity date for the payment NULL VARCHAR2(30) Exchange rate type at future dated payment maturity time, for foreign currency payments only NULL NUMBER Exchange rate at future dated payment maturity time, for foreign currency payments only NULL VARCHAR2(240) Description NULL DATE Actual Value Date. For use by Cash Management NULL DATE Anticipated Value Date. For use by Cash Management NULL DATE Date and time user released stop payment NULL DATE Date and time user recorded stop payment NULL VARCHAR2(2000) Multiple reporting currencies only: Concatenated string of reporting set of books id and currency conversion date at maturity time pairs
MRC_CLEARED_EXCHANGE_RATE_TYPE
MRC_EXCHANGE_RATE
MRC_EXCHANGE_DATE
MRC_EXCHANGE_RATE_TYPE
MRC_BASE_AMOUNT
MRC_CLEARED_ERROR_BASE_AMOUNT
MRC_CLEARED_CHARGES_BASE_AMT
MRC_STAMP_DUTY_BASE_AMT
MATURITY_EXCHANGE_DATE MATURITY_EXCHANGE_RATE_TYPE
(Continued) Null? Type Description NULL VARCHAR2(2000) Multiple reporting currencies only: Concatenated string of reporting set of books id and currency conversion rate at maturity time pairs NULL VARCHAR2(2000) Multiple reporting currencies only: Concatenated string of reporting set of books id and currency conversion type at maturity time pairs
MRC_MATURITY_EXG_RATE
MRC_MATURITY_EXG_RATE_TYPE
Indexes Index Name AP_CHECKS_N1 AP_CHECKS_N2 AP_CHECKS_N3 AP_CHECKS_N4 AP_CHECKS_N5 AP_CHECKS_N6 AP_CHECKS_N7 AP_CHECKS_N8 AP_CHECKS_U1 AP_CHECKS_U2 AP_CHECKS_U3
Index Type NOT NOT NOT NOT NOT NOT NOT NOT UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE
Sequence 1 1 1 1 1 2 2 5 1 1 2 1 2
Column Name CHECK_DATE CHECK_NUMBER CHECKRUN_NAME PAYMENT_TYPE_FLAG REQUEST_ID VENDOR_ID VENDOR_SITE_ID CHECKRUN_ID CHECK_ID CHECK_STOCK_ID CHECK_NUMBER DOC_SEQUENCE_ID DOC_SEQUENCE_VALUE
Database Triggers Trigger Trigger Trigger Trigger Name Time Level Event : : : : AX_AP_CHECKS_BRI1 BEFORE ROW INSERT
This trigger captures information needed to create subledger accounting events when Oracle Payables and the set of books used is defined as a subledger in the Global Accounting Engine application. This trigger may insert/update/delete rows in the AX_DOCUMENT_STATUSES and AX_EVENTS tables. This trigger captures accounting events for Oracle Payables payment transactions. It fires right before a payment is created. Trigger Trigger Trigger Trigger Name Time Level Event : : : : AX_AP_CHECKS_ARU1 AFTER ROW UPDATE
This trigger captures information needed to create subledger accounting events when Oracle Payables and the set of books used is defined as a subledger in the Global Accounting Engine application. This trigger may insert/update/delete rows in the AX_DOCUMENT_STATUSES and AX_EVENTS tables. This trigger captures accounting events for Oracle Payables payment transactions. It fires after a row is updated. Trigger Trigger Trigger Trigger Name Time Level Event : : : : AX_AP_CHECKS_ARU2 AFTER ROW UPDATE
This trigger captures information needed to create subledger accounting events when Oracle Payables and the set of books used is defined as a subledger in the Global Accounting Engine application. This trigger may insert/update/delete rows in the AX_DOCUMENT_STATUSES and AX_EVENTS tables. This trigger captures accounting events for Oracle Payables payment transactions. It fires after a not null document sequence is assigned to the payment. Trigger Trigger Trigger Trigger Name Time Level Event : : : : AP_MRC_CHECKS_BIUD BEFORE ROW INSERT, UPDATE, DELETE
This MRC trigger exists only when you install the Multiple Reporting Currencies feature. It is executed when you perform an insert, update, or delete statement on the table AP_CHECKS_ALL. For each record being inserted/updated/deleted in AP_CHECKS_ALL, this trigger inserts/updates/deletes corresponding reporting currency records in the MRC subtable, AP_MC_CHECKS. In addition, this trigger also populates the MRC VARCHAR2 columns in AP_CHECKS_ALL.
AP_INVOICES_ALL
AP_INVOICES_ALL contains records for invoices you enter. There is one row for each invoice you enter. An invoice can have one or more invoice distribution lines. An invoice can also have one or more scheduled payments. An invoice of type EXPENSE REPORT must relate to a row in AP_EXPENSE_REPORT_HEADERS_ALL unless the record has been purged from AP_EXPENSE_REPORT_HEADERS_ALL. Your Oracle Payables application uses the INTEREST type invoice for interest that it calculates on invoices that are overdue. Your Oracle Payables application links the interest invoice to the original invoice by inserting the INVOICE_ID in the AP_INVOICE_RELATIONSHIPS table. This table corresponds to the Invoices window.
Foreign Keys Primary Key Table AP_AWT_GROUPS AP_BATCHES_ALL AP_DOC_SEQUENCE_AUDIT AP_RECURRING_PAYMENTS_ALL AP_TERMS_TL FND_CURRENCIES FND_CURRENCIES FND_DOCUMENT_SEQUENCES FND_DOC_SEQUENCE_CATEGORIES GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_DAILY_CONVERSION_TYPES GL_DAILY_CONVERSION_TYPES GL_SETS_OF_BOOKS GL_USSGL_TRANSACTION_CODES PA_EXPENDITURE_TYPES PA_EXP_ORGS_IT PA_PROJECTS_ALL PA_TASKS PO_HEADERS_ALL PO_VENDORS PO_VENDOR_SITES_ALL QuickCodes Columns Column INVOICE_TYPE_LOOKUP_CODE
Primary Key Column GROUP_ID BATCH_ID DOC_SEQUENCE_VALUE DOC_SEQUENCE_ID RECURRING_PAYMENT_ID TERM_ID CURRENCY_CODE CURRENCY_CODE DOC_SEQUENCE_ID CODE CODE_COMBINATION_ID CODE_COMBINATION_ID CONVERSION_TYPE CONVERSION_TYPE SET_OF_BOOKS_ID USSGL_TRANSACTION_CODE EXPENDITURE_TYPE ORGANIZATION_ID PROJECT_ID TASK_ID PO_HEADER_ID VENDOR_ID VENDOR_SITE_ID
Foreign Key Column AWT_GROUP_ID BATCH_ID DOC_SEQUENCE_VALUE DOC_SEQUENCE_ID RECURRING_PAYMENT_ID TERMS_ID INVOICE_CURRENCY_CODE PAYMENT_CURRENCY_CODE DOC_SEQUENCE_ID DOC_CATEGORY_CODE ACCTS_PAY_CODE_COMBINATION_ID PA_DEFAULT_DIST_CCID EXCHANGE_RATE_TYPE PAYMENT_CROSS_RATE_TYPE SET_OF_BOOKS_ID USSGL_TRANSACTION_CODE EXPENDITURE_TYPE EXPENDITURE_ORGANIZATION_ID PROJECT_ID TASK_ID PO_HEADER_ID VENDOR_ID VENDOR_SITE_ID
QuickCodes Type INVOICE TYPE AWT CREDIT DEBIT EXPENSE REPORT INTEREST
QuickCodes Table AP_LOOKUP_CODES Withholding tax invoice Credit memo Debit memo Employee expense report Interest invoice
(Continued) QuickCodes Type MIXED PREPAYMENT QUICKDEFAULT QUICKMATCH STANDARD QuickCodes Table Mixed type invoice Prepayments and advances PO default standard invoice QuickMatch standard invoice Standard invoice AP_LOOKUP_CODES Check Clearing Electronic Wire AP_LOOKUP_CODES Not paid Partially paid Fully paid AP_LOOKUP_CODES Credit Card eCommerce Gateway ERS Invoice Gateway Intercompany Oracle Assets Oracle Projects Oracle Property Manager Oracle Projects InterCompany Invoices Oracle Projects InterProject Invoices Recurring Invoice Return to Supplier SelfService Applications Payables Expense Reports
PAYMENT_METHOD_LOOKUP_CODE
PAYMENT METHOD CHECK CLEARING EFT WIRE INVOICE PAYMENT STATUS N P Y SOURCE CREDIT CARD EDI GATEWAY ERS INVOICE GATEWAY Intercompany Oracle Assets Oracle Project Accounting Oracle Property Manager PA_IC_INVOICES PA_IP_INVOICES RECURRING INVOICE RTS SelfService XpenseXpress
PAYMENT_STATUS_FLAG
SOURCE
Column Descriptions Name INVOICE_ID (PK) LAST_UPDATE_DATE LAST_UPDATED_BY VENDOR_ID INVOICE_NUM SET_OF_BOOKS_ID INVOICE_CURRENCY_CODE PAYMENT_CURRENCY_CODE
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(50) NUMBER(15) VARCHAR2(15) VARCHAR2(15)
Description Invoice identifier Standard Who column Standard Who column Supplier identifier Invoice number Set of books identifier Currency code of invoice Currency code of payment (must be same as INVOICE_CURRENCY_CODE or have a fixed rate relationship) Exchange rate between invoice and payment; in Release 11 the value is always 1 unless they are associated fixedrate currencies Invoice amount Supplier site identifier Amount paid Amount of discount taken Invoice date
PAYMENT_CROSS_RATE
(Continued) Null? Type NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(25) VARCHAR2(240) NUMBER(15) NUMBER Description Source of invoice Type of invoice Description Invoice batch identifier Amount of invoice applicable to a discount Tax amount Payment terms identifier Date used with payment terms to calculate scheduled payment of an invoice Name of payment method Name of pay group Accounting Flexfield identifier for accounts payable liability account Flag that indicates if invoice has been paid (Y, N, or P) Standard Who column Standard Who column Invoice amount in functional currency, only used for foreign currency invoices Tax code Standard Who column Pay invoice on separate payment document flag Purchase order identifier for invoices with QUICKMATCH and PO DEFAULT types, and prepayments associated with purchase order Freight amount used to calculate invoice amount available for discount and provide defaults for automatic proration Date invoice items received Date invoice received Voucher number; validated (Sequential Numbering enabled) or nonvalidated (Sequential Numbering not enabled) Invoice amount approved through manual authorization for payment (used for reference purposes only) Recurring invoice identifier Exchange rate for foreign currency invoice Exchange rate type for foreign currency invoice Date exchange rate is effective, usually accounting date of a transaction
SOURCE INVOICE_TYPE_LOOKUP_CODE DESCRIPTION BATCH_ID AMOUNT_APPLICABLE_TO_DISCOUNT TAX_AMOUNT TERMS_ID TERMS_DATE PAYMENT_METHOD_LOOKUP_CODE PAY_GROUP_LOOKUP_CODE ACCTS_PAY_CODE_COMBINATION_ID PAYMENT_STATUS_FLAG CREATION_DATE CREATED_BY BASE_AMOUNT VAT_CODE LAST_UPDATE_LOGIN EXCLUSIVE_PAYMENT_FLAG PO_HEADER_ID
NULL NUMBER NULL NUMBER(15) NULL DATE NULL VARCHAR2(25) NULL VARCHAR2(25) NULL NUMBER(15) NULL VARCHAR2(1) NULL DATE NULL NUMBER(15) NULL NUMBER NULL VARCHAR2(15) NULL NUMBER(15) NULL VARCHAR2(1) NULL NUMBER(15)
FREIGHT_AMOUNT
NULL NUMBER
APPROVED_AMOUNT
NULL NUMBER
(Continued) Null? Type NULL DATE Description Date associated with a prepayment after which you can apply the prepayment against invoices. Only used for temporary prepayments. Column is null for permanent prepayments and other invoice types No longer used Sequential Numbering (voucher number) document sequence identifier Voucher number (Sequential Numbering) for invoice Sequential Numbering (voucher number) document category Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield structure defining column Status of manual authorization invoice approval (used for reference purposes only) Description of manual authorization invoice approval (used for reference purposes only) No longer used Status that indicates if invoice can be posted (either Available or N column is populated, but not used) No longer used Person authorizing a prepayment
EARLIEST_SETTLEMENT_DATE
ORIGINAL_PREPAYMENT_AMOUNT DOC_SEQUENCE_ID DOC_SEQUENCE_VALUE DOC_CATEGORY_CODE ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 ATTRIBUTE_CATEGORY APPROVAL_STATUS APPROVAL_DESCRIPTION
NULL NUMBER NULL NUMBER NULL NUMBER NULL VARCHAR2(30) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(25) NULL VARCHAR2(240)
INVOICE_DISTRIBUTION_TOTAL POSTING_STATUS
PREPAY_FLAG AUTHORIZED_BY
(Continued) Null? Type NULL DATE NULL NUMBER(15) Description Date invoice cancelled User ID of person who cancelled an invoice NULL NUMBER Original amount of cancelled invoice NULL NUMBER Column for recording the original amount of an invoice until cancellation completes successfully NULL VARCHAR2(30) Oracle Projects Descriptive Flexfield context column NULL VARCHAR2(30) Default transaction code for creating US Standard General Ledger journal entries (Oracle Public Sector Payables) NULL VARCHAR2(30) USSGL Transaction Code Descriptive Flexfield context column NULL NUMBER(15) Identifier for project used to build default Accounting Flexfield NULL NUMBER(15) Identifier for project task used to build default Accounting Flexfield NULL VARCHAR2(30) Project expenditure type used to build default Accounting Flexfield NULL DATE Project expenditure item date used to build default Accounting Flexfield NULL NUMBER(22,5) Project item quantity used to build default Accounting Flexfield NULL NUMBER(15) Identifier for project organization used to build default Accounting Flexfield NULL NUMBER(15) Identifier for projectrelated invoice default Accounting Flexfield (defaults to invoice distribution lines) NULL NUMBER No longer used NULL NUMBER Amount of invoice that has been paid NULL VARCHAR2(1) Flag to indicate if Automatic Withholding Tax has been calculated automatically (A), or manually (M) NULL NUMBER(15) Withholding tax group identifier NULL VARCHAR2(30) Reference information from Oracle Projects expense reports NULL VARCHAR2(30) Reference information from Oracle Projects expense reports NULL NUMBER(15) Organization identifier NULL NUMBER Reserved for future use NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality
TEMP_CANCELLED_AMOUNT
PROJECT_ACCOUNTING_CONTEXT USSGL_TRANSACTION_CODE
(Continued) Null? Type Description NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(1) Flag that indicates whether tax amount is automatically calculated for the tax code entered on an invoice. Possible values are: Y for header level, L for line level, T for tax code level and N for no automatic tax calculation NULL VARCHAR2(30) Cross currency payment rate type (only valid value in this release is EMU Fixed) NULL DATE Cross currency payment rate date NULL NUMBER Invoice amount in the payment currency NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books ID and invoice amount in the reporting currency pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books ID and currency conversion rate pairs
GLOBAL_ATTRIBUTE3 GLOBAL_ATTRIBUTE4 GLOBAL_ATTRIBUTE5 GLOBAL_ATTRIBUTE6 GLOBAL_ATTRIBUTE7 GLOBAL_ATTRIBUTE8 GLOBAL_ATTRIBUTE9 GLOBAL_ATTRIBUTE10 GLOBAL_ATTRIBUTE11 GLOBAL_ATTRIBUTE12 GLOBAL_ATTRIBUTE13 GLOBAL_ATTRIBUTE14 GLOBAL_ATTRIBUTE15 GLOBAL_ATTRIBUTE16 GLOBAL_ATTRIBUTE17 GLOBAL_ATTRIBUTE18 GLOBAL_ATTRIBUTE19 GLOBAL_ATTRIBUTE20 AUTO_TAX_CALC_FLAG
MRC_EXCHANGE_RATE
(Continued) Null? Type Description NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books ID and currency conversion rate type pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books ID and currency conversion date pairs NOT NULL DATE Accounting date to default to invoice distributions NULL NUMBER(15) Reserved for use by Oracle Grants Management
MRC_EXCHANGE_RATE_TYPE
MRC_EXCHANGE_DATE
GL_DATE AWARD_ID
Indexes Index Name AP_INVOICES_N1 AP_INVOICES_N10 AP_INVOICES_N11 AP_INVOICES_N12 AP_INVOICES_N13 AP_INVOICES_N14 AP_INVOICES_N2 AP_INVOICES_N3 AP_INVOICES_N4 AP_INVOICES_N5 AP_INVOICES_N6 AP_INVOICES_N7 AP_INVOICES_N8 AP_INVOICES_N9 AP_INVOICES_U1 AP_INVOICES_U2 AP_INVOICES_U3
Index Type NOT UNIQUE NOT UNIQUE NOT UNIQUE NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE
Sequence 1 1 1 2 2 5 5 1 1 1 1 1 1 1 1 1 1 2 3 1 2
Column Name BATCH_ID PO_HEADER_ID PROJECT_ID TASK_ID VOUCHER_NUM DOC_SEQUENCE_VALUE GLOBAL_ATTRIBUTE1 VENDOR_ID PAYMENT_STATUS_FLAG INVOICE_AMOUNT INVOICE_DATE INVOICE_NUM VENDOR_SITE_ID CREATION_DATE INVOICE_TYPE_LOOKUP_CODE INVOICE_ID VENDOR_ID INVOICE_NUM ORG_ID DOC_SEQUENCE_ID DOC_SEQUENCE_VALUE
Database Triggers Trigger Trigger Trigger Trigger Name Time Level Event : : : : AX_AP_INVOICES_ARU1 AFTER ROW UPDATE
This trigger captures information needed to create subledger accounting events when Oracle Payables and the set of books used is defined as a subledger in the Global Accounting Engine application. This trigger may insert/update/delete rows in the AX_DOCUMENT_STATUSES and AX_EVENTS tables. This trigger captures accounting events for Oracle Payables invoices. It fires right after the invoice is canceled.
: : : :
This trigger captures information needed to create subledger accounting events when Oracle Payables and the set of books used is defined as a subledger in the Global Accounting Engine application. This trigger may insert/update/delete rows in the AX_DOCUMENT_STATUSES and AX_EVENTS tables. This trigger captures accounting events for Oracle Payables invoices. It fires right after a document sequence is assigned to the invoice. Trigger Trigger Trigger Trigger Name Time Level Event : : : : AX_AP_INVOICES_ARU3 AFTER ROW UPDATE
This trigger captures information needed to create subledger accounting events when Oracle Payables and the set of books used is defined as a subledger in the Global Accounting Engine application. This trigger may insert/update/delete rows in the AX_DOCUMENT_STATUSES and AX_EVENTS tables. This trigger captures accounting events for Oracle Payables invoices. It fires right after the vendor on the invoice is changed. Trigger Trigger Trigger Trigger Name Time Level Event : : : : AX_AP_INVOICES_BRDI1 BEFORE ROW INSERT, DELETE
This trigger captures information needed to create subledger accounting events when Oracle Payables and the set of books used is defined as a subledger in the Global Accounting Engine application. This trigger may insert/update/delete rows in the AX_DOCUMENT_STATUSES and AX_EVENTS tables. This trigger captures accounting events for Oracle Payables invoices. It fires right before the invoice is created or deleted. Trigger Trigger Trigger Trigger Name Time Level Event : : : : AP_MRC_INVOICES_BIUD BEFORE ROW INSERT, UPDATE, DELETE
This MRC trigger exists only when you install the Multiple Reporting Currencies feature. It is executed when you perform an insert, update, or delete statement on the table AP_INVOICES_ALL. For each record being inserted/updated/deleted in AP_INVOICES_ALL, this trigger inserts/updates/deletes corresponding reporting currency records in the MRC subtable, AP_MC_INVOICES. In addition, this trigger also populates the MRC VARCHAR2 columns in AP_INVOICES_ALL.
AP_INVOICE_DISTRIBUTIONS_ALL
AP_INVOICE_DISTRIBUTIONS_ALL holds the distribution line information that you enter for invoices. There is a row for each invoice distribution. A distribution line must be associated with an invoice. An invoice can have multiple distribution lines. Your Oracle Payables application automatically creates rows in this table when you: 1. 2. 3. 4. 5. 6. choose a distribution set at the invoice level import expense reports match an invoice to a purchase order or receipt; it uses information from the matched purchase order or receipt import invoices via the Open Interface Import process select to automatically calculate tax select to automatically do withholding.
Each invoice distribution line has its own accounting date. When you account for an invoice, your Oracle Payables application creates accounting events, accounting entry headers and accounting entry lines for those distribution lines that have accounting dates included in the selected accounting date range for the Payables Accounting Process. The accounting entries can then be transferred over to General Ledger by running the Transfer to General Ledger process which creates journal entries. Values for POSTED_FLAG may be Y for accounted distributions or N for distributions that have not been accounted. Values for ACCRUAL_POSTED_FLAG may be Y if distribution has been accounted and system is setup for accrual basis accounting or N if either distribution has not been accounted or accrual basis accounting is not used. Values for CASH_POSTED_FLAG may be Y if distribution has been accounted and system is set up for cash basis accounting, N if either distribution has not been accounted or system is not setup for cash basis accounting or P if distribution has been partially accounted in the cash set of books. The MATCH_STATUS_FLAG indicates the approval status for the distribution. Values for the MATCH_STATUS_FLAG can be null or N for invoice distributions that Approval has not tested or T for
Oracle Proprietary, Confidential InformationUse Restricted by Contract
3 24 Oracle General Ledger Applications Technical Reference Manual
distributions that have been tested or A for distributions that have been tested and approved. Invoice distributions may be interfaced over/from Oracle Assets or Oracle Projects. Your Oracle Payables application sets the ASSETS_ADDITION_FLAG to U for distributions not tested by Oracle Assets; Oracle Assets then adjusts this flag after it tests a distribution for assignment as an asset. To avoid the same invoice distribution being interfaced to both Oracle Projects and Oracle Assets, you must interface any projectrelated invoice distribution to Oracle Projects before you can interface it to Oracle Assets. If the projectrelated invoice distribution is charged to a capital project in Oracle Projects, Oracle Projects sets the ASSET_ADDITION_FLAG to P when the PA_ADDITION_FLAG is set to Y, Z or T. Oracle Assets only picks up invoice distributions with the ASSET_ADDITION_FLAG set to U and if projectrelated, with the PA_ADDITION_FLAG set to Y, Z, or T. PA_ADDITION_FLAG tracks the status of projectrelated supplier invoice distribution lines and expense report distribution lines. For supplier invoice distributions entered via Oracle Payables, the PA_ADDITION_FLAG is set to N if the distribution is projectrelated, otherwise it is set to E and it is updated by Oracle Projects when the distribution is processed by the Oracle Projects Interface Supplier Invoice process. Oracle Projects sets the PA_ADDITION_FLAG to Y or Z after the item is successfully processed, or may be set to a rejection code if the line is rejected during transfer to Oracle Projects; see QuickCodes listing for all the errors. You must correct the rejection reason an try to retransfer the line. For supplier invoice adjustment lines interfaced from Oracle Projects to Oracle Payables (which must net to zero with another line), the value for the PA_ADDITION_FLAG is set to T. For expense report distributions interfaced from Oracle Projects to Oracle Payables via Invoice Import, this value is set to N. This row is never picked up by the Interface Supplier Invoices process based on the AP_INVOICES.INVOICE_TYPE_LOOKUP_CODE = EXPENSE REPORT. For expense report adjustment lines interfaced from Oracle Projects to Oracle Payables which net to zero with another line, this value is set to T. Both lines are associated with the original invoice by the Oracle Projects Interface Expense Reports to AP process.
Oracle Proprietary, Confidential InformationUse Restricted by Contract
Detailed Design 3 25
Values for the ENCUMBERED_FLAG are as follows: Y indicates a regular distribution that has been successfully encumbered by Payables; W indicates a regular distribution that has been encumbered in advisory mode even though insufficient funds existed; H indicates a regular distribution that has not been encumbered because it was put on hold; N or null indicates a regular line that has not been encumbered because it has not been looked at yet; D is the same as Y for a reversal distribution line; X is the same as W for a reversal distribution line; P is the same as H for a reversal distribution line; R indicates a line to be ignored by encumbrance and approval code because neither the original nor the reversal distributions were looked at and they offset each other so, they can be ignored. This table corresponds to the Distributions window.
Foreign Keys Primary Key Table AP_ACCOUNTING_EVENTS_ALL AP_AWT_GROUPS AP_AWT_GROUPS AP_AWT_TAX_RATES_ALL AP_BATCHES_ALL AP_INCOME_TAX_REGIONS AP_INVOICES_ALL AP_INVOICES_ALL AP_INVOICES_ALL AP_INVOICE_DISTRIBUTIONS_ALL AP_INVOICE_PAYMENTS_ALL AP_TAX_CODES_ALL FND_CURRENCIES GL_BC_PACKETS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_DAILY_CONVERSION_TYPES GL_SETS_OF_BOOKS GL_USSGL_TRANSACTION_CODES PA_EXPENDITURE_TYPES PA_EXP_ORGS_IT PA_PROJECTS_ALL PA_TASKS PO_DISTRIBUTIONS_ALL RCV_TRANSACTIONS QuickCodes Columns Column DIST_MATCH_TYPE
Primary Key Column ACCOUNTING_EVENT_ID GROUP_ID GROUP_ID TAX_RATE_ID BATCH_ID REGION_SHORT_NAME INVOICE_ID INVOICE_ID INVOICE_ID INVOICE_DISTRIBUTION_ID INVOICE_PAYMENT_ID TAX_ID CURRENCY_CODE PACKET_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CONVERSION_TYPE SET_OF_BOOKS_ID USSGL_TRANSACTION_CODE EXPENDITURE_TYPE ORGANIZATION_ID PROJECT_ID TASK_ID PO_DISTRIBUTION_ID TRANSACTION_ID
Foreign Key Column ACCOUNTING_EVENT_ID AWT_GROUP_ID AWT_ORIGIN_GROUP_ID AWT_TAX_RATE_ID BATCH_ID INCOME_TAX_REGION INVOICE_ID PARENT_INVOICE_ID AWT_INVOICE_ID PREPAY_DISTRIBUTION_ID AWT_INVOICE_PAYMENT_ID TAX_CODE_ID RECEIPT_CURRENCY_CODE PACKET_ID DIST_CODE_COMBINATION_ID RATE_VAR_CODE_COMBINATION_ID PRICE_VAR_CODE_COMBINATION_ID EXCHANGE_RATE_TYPE SET_OF_BOOKS_ID USSGL_TRANSACTION_CODE EXPENDITURE_TYPE EXPENDITURE_ORGANIZATION_ID PROJECT_ID TASK_ID PO_DISTRIBUTION_ID RCV_TRANSACTION_ID
QuickCodes Table AP_LOOKUP_CODES Item distribution Matched to Purchase Order Item distribution Matched to Receipt Not Matched
(Continued) QuickCodes Type OR QuickCodes Table Other Charge distribution matched to Receipt ap_lookup_codes Done No Yes AP_LOOKUP_CODES Withholding Tax Freight ICMS IPI Item Miscellaneous Prepayment Tax PA_LOOKUPS Accumulation error (obsolete in V4) No open PA period Task does not allow charges Outside project dates Nonproject related invoice distributions Outside task dates Project level transaction controls violated Task level transaction controls violated Invalid project/task combination New line not yet processed by Oracle Projects Project is closed Transaction control extension violated Temporary status used during processing Adjustment line transferred from Oracle Projects Invalid data (catchall error) Burdening error Transferred to Oracle Projects Net zero adjustment line. Never transferred to PA
FINAL_MATCH_FLAG
FINAL MATCH CODE D N Y INVOICE DISTRIBUTION TYPE AWT FREIGHT ICMS IPI ITEM MISCELLANEOUS PREPAY TAX PA_ADDITION_FLAG A B C D E I J K M N P Q S T V X Y Z
LINE_TYPE_LOOKUP_CODE
PA_ADDITION_FLAG
Description Accounting date Flag that indicates if distribution has been accounted for in the accrual set of books (Y or N)
(Continued) Null? Type NOT NULL VARCHAR2(1) Description Flag that indicates if distribution has been transferred into Oracle Assets (U, Y, or N) NULL VARCHAR2(1) Flag that indicates if distribution line is tracked in Oracle Assets (Y or N) NULL VARCHAR2(1) Flag that indicates if distribution has been accounted for in the cash set of books (Y or N) NULL NUMBER(15) Distribution line number NULL NUMBER(15) Accounting flexfield identifier for account associated with a distribution line NULL NUMBER(15) Invoice identifier NULL NUMBER(15) Standard Who column NULL DATE Standard Who column NULL VARCHAR2(25) Name of line type NULL VARCHAR2(15) Accounting period name NULL NUMBER(15) Set of books identifier NULL NUMBER(15) No longer used NULL NUMBER Invoice distribution amount NULL NUMBER Amount of invoice in functional currency, only used for foreign currency invoices NULL NUMBER Price variance amount in functional currency for invoice distribution line matched to a purchase order or receipt NULL NUMBER(15) Invoice batch identifier NULL NUMBER(15) Standard Who column NULL DATE Standard Who column NULL VARCHAR2(240) Description NULL NUMBER Amount of exchange rate variance for invoice distribution line matched to a purchase order or receipt NULL VARCHAR2(1) Final match indicator for distribution line matched to a purchase order. NULL VARCHAR2(10) Reporting region for distribution line for 1099 supplier NULL NUMBER Amount of price variance in invoice currency for invoice distribution line matched to a purchase order or receipt NULL NUMBER(15) Standard Who column NULL VARCHAR2(1) Approval status NULL VARCHAR2(1) Flag that indicates if invoice distribution line has been accounted NULL NUMBER(15) Purchase order distribution line identifier for purchase order or receipt matched invoice distributions NULL NUMBER(15) Concurrent Who column NULL NUMBER(15) Concurrent Who column NULL DATE Concurrent Who column
ASSETS_ADDITION_FLAG
ASSETS_TRACKING_FLAG CASH_POSTED_FLAG
NOT NOT
DISTRIBUTION_LINE_NUMBER DIST_CODE_COMBINATION_ID
(PK)
INVOICE_ID (PK) LAST_UPDATED_BY LAST_UPDATE_DATE LINE_TYPE_LOOKUP_CODE PERIOD_NAME SET_OF_BOOKS_ID ACCTS_PAY_CODE_COMBINATION_ID AMOUNT BASE_AMOUNT BASE_INVOICE_PRICE_VARIANCE
(Continued) Null? Type NULL NUMBER NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(1) NULL VARCHAR2(10) NULL NUMBER NULL NULL NULL NULL VARCHAR2(15) NUMBER NUMBER VARCHAR2(1) Description Quantity billed for purchase order or receipt matched invoice distributions Accounting Flexfield identifier for exchange rate variance account for distribution line Concurrent Who column Flag that indicates if distribution line is reversing another distribution line 1099 type Unit price for purchase order or receipt matched invoice distributions No longer used No longer used No longer used Flag indicating encumbrance status of distribution line Date exchange rate is effective for foreign currency invoices Exchange rate for a foreign currency invoice Exchange rate type for a foreign currency invoice No longer used Accounting Flexfield identifier for price variance account associated with a distribution line matched to a purchase order or receipt No longer used Amount associated with a distribution line for measuring statistical quantities No longer used Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column Descriptive Flexfield segment column
QUANTITY_INVOICED RATE_VAR_CODE_COMBINATION_ID REQUEST_ID REVERSAL_FLAG TYPE_1099 UNIT_PRICE VAT_CODE AMOUNT_ENCUMBERED BASE_AMOUNT_ENCUMBERED ENCUMBERED_FLAG EXCHANGE_DATE EXCHANGE_RATE EXCHANGE_RATE_TYPE PRICE_ADJUSTMENT_FLAG PRICE_VAR_CODE_COMBINATION_ID
NULL DATE NULL NUMBER NULL VARCHAR2(30) NULL VARCHAR2(1) NULL NUMBER(15)
QUANTITY_UNENCUMBERED STAT_AMOUNT AMOUNT_TO_POST ATTRIBUTE1 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6
NULL NUMBER NULL NUMBER NULL NUMBER NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150)
(Continued) Null? Type Description NULL VARCHAR2(150) Descriptive Flexfield segment column NULL VARCHAR2(150) Descriptive Flexfield segment column NULL VARCHAR2(150) Descriptive Flexfield segment column NULL VARCHAR2(150) Descriptive Flexfield structure defining column NULL NUMBER No longer used NULL NUMBER(15) No longer used NULL DATE Date for project expenditure item used to build Accounting Flexfield for projectrelated distribution line NULL NUMBER(15) Identifier for project organization used to build Accounting Flexfield for projectrelated distribution line NULL VARCHAR2(30) Project expenditure type used to build Accounting Flexfield for projectrelated distribution line NULL NUMBER(15) No longer used NULL NUMBER(15) Identifier for invoice matched to a credit or debit memo NULL VARCHAR2(1) Flag that indicates if project related invoice distributions have been transferred into Oracle Projects NULL NUMBER(22,5) Project item quantity used to build Accounting Flexfield for projectrelated distribution line NULL NUMBER No longer used NULL NUMBER No longer used NULL NUMBER Amount of prepayment that can still be applied to an invoice NULL VARCHAR2(30) Oracle Projects Descriptive Flexfield context column NULL NUMBER(15) Identifier for project used to build Accounting Flexfield for projectrelated distribution line NULL NUMBER(15) Identifier for project task used to build Accounting Flexfield for projectrelated distribution line NULL VARCHAR2(30) Transaction code for creating US Standard General Ledger journal entries (Oracle Public Sector Payables) NULL VARCHAR2(30) USSGL Transaction Code Descriptive Flexfield context column NULL DATE No longer used NULL NUMBER(15) No longer used NULL NUMBER Quantity variance amount for invoice distribution lines matched to purchase order or receipt
EXPENDITURE_ORGANIZATION_ID
EXPENDITURE_TYPE
PA_QUANTITY
TASK_ID
USSGL_TRANSACTION_CODE
(Continued) Null? Type NULL NUMBER Description Quantity variance amount in functional currency for invoice distribution lines matched to purchase order or receipt Budgetary control packet identifier for lines that fail funds checking Flag to determine if distribution is subject to withholding tax (Y, N, null) Withholding tax group identifier Withholding tax rate identifier Amount subject to withholding tax Refers to the withholding tax invoice created from this distribution Foreign key to AP_AWT_GROUPS; refers to the parent withholding tax group; this column is only populated for automatically created withholding tax distributions Reference information from Oracle Projects expense reports or other external source invoice loading program Reference information from Oracle Projects expense reports or other external source invoice loading program Organization identifier No longer used Refers to the parent invoice payment. This column is populated only for automatically created withholding tax distributions at payment time Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality
BASE_QUANTITY_VARIANCE
NULL NUMBER(15) NULL VARCHAR2(1) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER NULL NUMBER(15) NULL NUMBER(15)
REFERENCE_1
NULL VARCHAR2(30)
REFERENCE_2
NULL VARCHAR2(30)
GLOBAL_ATTRIBUTE_CATEGORY GLOBAL_ATTRIBUTE1 GLOBAL_ATTRIBUTE2 GLOBAL_ATTRIBUTE3 GLOBAL_ATTRIBUTE4 GLOBAL_ATTRIBUTE5 GLOBAL_ATTRIBUTE6 GLOBAL_ATTRIBUTE7 GLOBAL_ATTRIBUTE8 GLOBAL_ATTRIBUTE9 GLOBAL_ATTRIBUTE10
NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150)
(Continued) Null? Type Description NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(1) Indicates whether the amount in the AMOUNT column includes tax. Used for Automatic Tax Calculation NULL VARCHAR2(1) Flag indicating whether tax has automatically been calculated on the distribution NULL NUMBER(15) Value to identify each item line to which you want to prorate NULL VARCHAR2(1) Indicates whether receipts verified NULL VARCHAR2(1) Indicates whether receipts required NULL VARCHAR2(1) Indicates whether receipts missing NULL VARCHAR2(240) Expense justification NULL VARCHAR2(80) Expense group NULL DATE Date when incurred expense started. Used for Expense Reports NULL DATE Date when incurred expense ended. Used for Expense Reports NULL VARCHAR2(15) Currency code of receipt. Used for Expense Reports NULL NUMBER Exchange rate for currency of receipt. Used for Expense Reports NULL NUMBER Amount in receipt currency. Used for Expense Reports NULL NUMBER Daily expense amount. Used for Expense Reports NULL NUMBER SelfService Web Applications parameter identifier NULL VARCHAR2(240) Reason for expense adjustment NULL NUMBER(15) Reserved for use by Oracle Grants Management NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and expense account associated with distribution line pairs
GLOBAL_ATTRIBUTE11 GLOBAL_ATTRIBUTE12 GLOBAL_ATTRIBUTE13 GLOBAL_ATTRIBUTE14 GLOBAL_ATTRIBUTE15 GLOBAL_ATTRIBUTE16 GLOBAL_ATTRIBUTE17 GLOBAL_ATTRIBUTE18 GLOBAL_ATTRIBUTE19 GLOBAL_ATTRIBUTE20 AMOUNT_INCLUDES_TAX_FLAG
TAX_CALCULATED_FLAG LINE_GROUP_NUMBER RECEIPT_VERIFIED_FLAG RECEIPT_REQUIRED_FLAG RECEIPT_MISSING_FLAG JUSTIFICATION EXPENSE_GROUP START_EXPENSE_DATE END_EXPENSE_DATE RECEIPT_CURRENCY_CODE RECEIPT_CONVERSION_RATE RECEIPT_CURRENCY_AMOUNT DAILY_AMOUNT WEB_PARAMETER_ID ADJUSTMENT_REASON AWARD_ID MRC_DIST_CODE_COMBINATION_ID
(Continued) Null? Type Description NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and invoice in primary currency pairs, only applicable for foreign currency invoices NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and price variance amount in primary currency for invoice distribution line matched to a purchase order pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and currency conversion rate variance for invoice distribution line matched to a purchase order pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and currency conversion rate variance account for distribution line pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and currency conversion date pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and currency conversion rate pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id and currency conversion rate type pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id, currency conversion rate from receipt currency to reporting functional currency pairs NULL VARCHAR2(25) Flag that indicates type of distribution match NULL NUMBER(15) Receipt identifier for receipt matched invoice distributions NOT NULL NUMBER(15) Unique identifier for this table NULL NUMBER(15) Invoice distribution identifier for distribution being reversed by the current distribution NULL NUMBER Tax recovery rate for distribution. Used when partially recoverable tax is enabled
MRC_BASE_INV_PRICE_VARIANCE
MRC_EXCHANGE_RATE_VARIANCE
MRC_RATE_VAR_CCID
MRC_EXCHANGE_DATE
MRC_EXCHANGE_RATE
MRC_EXCHANGE_RATE_TYPE
MRC_RECEIPT_CONVERSION_RATE
(Continued) Null? Type NULL VARCHAR2(1) Description Y or N indicates if the user overwrote the default tax recovery rate. If the user overwrote the recovery rate, this overwritten rate is recorded and should not be redefault. Null indicates no nonrecoverable tax enabled NULL VARCHAR2(1) Indicates whether this tax line is recoverable or not. Used for tax lines NULL VARCHAR2(1) Indicates if the user overwrote the tax code. (Y or N). Tax code is not redefaulted after user overwrites it NULL NUMBER(15) The tax code that was used on this distribution for the invoice date NULL NUMBER(15) Identifier of the corresponding receivable intercompany invoice in Oracle Receivables NULL NUMBER(15) Line number of the corresponding receivable intercompany invoice in Oracle Receivables NULL VARCHAR2(1) Indicates the processing status of this invoice line by Oracle Projects in the Receiver Operating Unit NULL VARCHAR2(80) Third party document number. Used for Expense Reports NULL VARCHAR2(80) Third party name. Used for Expense Reports NULL VARCHAR2(240) Third party reference. Used for Expense Reports NULL VARCHAR2(80) Third party tax registration number. Used for Expense Reports NULL VARCHAR2(80) Third party tax identification number. Used for Expense Reports NULL VARCHAR2(5) Country where services or goods were originated. Used for Expense Reports NULL VARCHAR2(25) UOM used for the quantity invoiced during matching of this distributions NULL NUMBER(22,5) Burdenable Raw Cost NULL NUMBER(15) Accounting event identifier. Refers to the accounting event that accounted for the distribution NULL NUMBER(15) Invoice distribution identifier for the distribution on the prepayment that originated the prepayment application represented by the current distribution NULL NUMBER(15) Credit card transaction identifier NULL NUMBER This column is only used during the upgrade t create accounting entries for Cash basis accounting
TAX_RECOVERY_OVERRIDE_FLAG
TAX_RECOVERABLE_FLAG TAX_CODE_OVERRIDE_FLAG
PA_CC_PROCESSED_CODE
PREPAY_DISTRIBUTION_ID
CREDIT_CARD_TRX_ID UPGRADE_POSTED_AMT
(Continued) Null? Type NULL NUMBER Description This column is only used during the upgrade t create accounting entries for Cash basis accounting Inventory transfer status indicates whether the invoice distribution has been processed by the transfer invoice variance program. A value of N indicates that the distribution has not been transferred. A value of NULL indicates that either the distribution was transferred or is not eligible for transfer to inventory valuation. The default value of this column at the time of distribution creation is N
UPGRADE_BASE_POSTED_AMT
INVENTORY_TRANSFER_STATUS
NULL VARCHAR2(1)
Indexes Index Name AP_INVOICE_DISTRIBUTIONS_N10 AP_INVOICE_DISTRIBUTIONS_N11 AP_INVOICE_DISTRIBUTIONS_N12 AP_INVOICE_DISTRIBUTIONS_N13 AP_INVOICE_DISTRIBUTIONS_N14 AP_INVOICE_DISTRIBUTIONS_N15 AP_INVOICE_DISTRIBUTIONS_N16 AP_INVOICE_DISTRIBUTIONS_N17 AP_INVOICE_DISTRIBUTIONS_N18 AP_INVOICE_DISTRIBUTIONS_N19 AP_INVOICE_DISTRIBUTIONS_N2 AP_INVOICE_DISTRIBUTIONS_N3 AP_INVOICE_DISTRIBUTIONS_N4 AP_INVOICE_DISTRIBUTIONS_N5 AP_INVOICE_DISTRIBUTIONS_N6 AP_INVOICE_DISTRIBUTIONS_N7 AP_INVOICE_DISTRIBUTIONS_N8 AP_INVOICE_DISTRIBUTIONS_N9 AP_INVOICE_DISTRIBUTIONS_U1 AP_INVOICE_DISTRIBUTIONS_U2 Sequences Sequence AP_INVOICE_DISTRIBUTIONS_S
Index Type NOT NOT NOT NOT UNIQUE UNIQUE UNIQUE UNIQUE
Sequence 1 1 1 1 2 1 3 5 1 2 5 5 5 1 1 1 1 1 1 1 1 1 2 5
Column Name RATE_VAR_CODE_COMBINATION_ID PRICE_VAR_CODE_COMBINATION_ID PARENT_INVOICE_ID PROJECT_ID TASK_ID PA_ADDITION_FLAG PROJECT_ID REQUEST_ID AWT_INVOICE_PAYMENT_ID AWT_INVOICE_ID RCV_TRANSACTION_ID ACCOUNTING_EVENT_ID INVENTORY_TRANSFER_STATUS POSTED_FLAG DIST_CODE_COMBINATION_ID ACCOUNTING_DATE BATCH_ID ASSETS_ADDITION_FLAG PO_DISTRIBUTION_ID ACCRUAL_POSTED_FLAG CASH_POSTED_FLAG INVOICE_ID DISTRIBUTION_LINE_NUMBER INVOICE_DISTRIBUTION_ID
NOT UNIQUE NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE
Database Triggers
: : : :
This trigger captures information needed to create subledger accounting events when Oracle Payables and the set of books used is defined as a subledger in the Global Accounting Engine application. This trigger may insert/update/delete rows in the AX_DOCUMENT_STATUSES and AX_EVENTS tables. This trigger captures accounting events related to Oracle Payables invoices. It fires right after each invoice distribution line s matching status, accrual posting flag, or accounting date is changed. Trigger Trigger Trigger Trigger Name Time Level Event : : : : AX_AP_INVOICE_DIST_ARDI1 AFTER ROW INSERT, DELETE
This trigger captures information needed to create subledger accounting events when Oracle Payables and the set of books used is defined as a subledger in the Global Accounting Engine application. This trigger may insert/update/delete rows in the AX_DOCUMENT_STATUSES and AX_EVENTS tables. This trigger captures accounting events related to Oracle Payables invoices. It fires right after each invoice distribution line is created or deleted. Trigger Trigger Trigger Trigger Name Time Level Event : : : : AP_MRC_INVOICE_DISTS_BIUD BEFORE ROW INSERT, UPDATE, DELETE
This MRC trigger exists only when you install the Multiple Reporting Currencies feature. It is executed when you perform an insert, update, or delete statement on the table AP_INVOICE_DISTRIBUTIONS_ALL. For each record being inserted/updated/deleted in AP_INVOICE_DISTRIBUTIONS_ALL, this trigger inserts/updates/deletes corresponding reporting currency records in the MRC subtable, AP_MC_INVOICE_DISTS. In addition, this trigger also populates the MRC VARCHAR2 columns in AP_INVOICE_DISTRIBUTIONS_ALL. Trigger Trigger Trigger Trigger Name Time Level Event : : : : JL_BR_AP_TAX_HOLDS BEFORE ROW UPDATE
This trigger prevents Payables from automatically creating Tax Variance and Tax Amount Range holds when Brazilian taxes exist. This trigger is installed and active only if Latin American Localizations have been installed. The validation is performed when the current country is Brazil.
AP_SYSTEM_PARAMETERS_ALL
AP_SYSTEM_PARAMETERS_ALL contains the parameters and defaults you define for operating your Oracle Payables application system. This table contains information such as your set of books, your functional currency and your default bank account and payment terms. Your Oracle Payables application also uses this information to determine default values that cascade down to supplier and invoice entry. This table corresponds to the Payables Options window. There is only one row in this table. There is no primary key for this table.
Foreign Keys Primary Key Table AP_AWT_GROUPS AP_BANK_ACCOUNTS_ALL AP_EXPENSE_REPORTS_ALL AP_INCOME_TAX_REGIONS AP_TERMS_TL AP_TERMS_TL AP_TERMS_TL FND_CURRENCIES FND_CURRENCIES FND_CURRENCIES GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_DAILY_CONVERSION_TYPES GL_SETS_OF_BOOKS GL_USSGL_TRANSACTION_CODES HR_LOCATIONS_ALL QuickCodes Columns Column ACCOUNTING_METHOD_OPTION
Primary Key Column GROUP_ID BANK_ACCOUNT_ID EXPENSE_REPORT_ID REGION_SHORT_NAME TERM_ID TERM_ID TERM_ID CURRENCY_CODE CURRENCY_CODE CURRENCY_CODE CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CONVERSION_TYPE SET_OF_BOOKS_ID USSGL_TRANSACTION_CODE LOCATION_ID
Foreign Key Column DEFAULT_AWT_GROUP_ID BANK_ACCOUNT_ID EXPENSE_REPORT_ID INCOME_TAX_REGION TERMS_ID EMPLOYEE_TERMS_ID PREPAYMENT_TERMS_ID BASE_CURRENCY_CODE INVOICE_CURRENCY_CODE PAYMENT_CURRENCY_CODE ACCTS_PAY_CODE_COMBINATION_ID SALES_TAX_CODE_COMBINATION_ID DISC_LOST_CODE_COMBINATION_ID DISC_TAKEN_CODE_COMBINATION_ID TRANS_GAIN_CODE_COMBINATION_ID PREPAY_CODE_COMBINATION_ID GAIN_CODE_COMBINATION_ID LOSS_CODE_COMBINATION_ID INTEREST_ACCTS_PAY_CCID RATE_VAR_GAIN_CCID RATE_VAR_LOSS_CCID FREIGHT_CODE_COMBINATION_ID ROUNDING_ERROR_CCID DEFAULT_EXCHANGE_RATE_TYPE SET_OF_BOOKS_ID USSGL_TRANSACTION_CODE LOCATION_ID
QuickCodes Table AP_LOOKUP_CODES Selects accrual basis accounting Selects cash basis accounting AP_LOOKUP_CODES Batch invoice approval only
APPROVALS_OPTION
(Continued) QuickCodes Type BOTH QuickCodes Table Batch and optional online invoice approval AP_LOOKUP_CODES Return prorated discount to all expense accounts System level discount account Return prorated discount to tax accounts, rest to discount AP_LOOKUP_CODES Payment Document Supplier Site AP_LOOKUP_CODES Payment Issue Payment Maturity AP_LOOKUP_CODES GL date defaults to invoice date GL date defaults to receipt date or invoice date GL date defaults to system date GL date defaults to receipt date or system date AP_LOOKUP_CODES Account segment value overlay Balancing segment overlay AP_LOOKUP_CODES Match to Purchase Order Match to Receipt AP_LOOKUP_CODES Pay on discount date Pay on due date AP_LOOKUP_CODES Selects accrual basis accounting Selects cash basis accounting No secondary accounting method in use AP_LOOKUP_CODES Current date Goods received date Invoice date Invoice received date
DISCOUNT_DISTRIBUTION_METHOD
FUTURE_DATED_PMT_ACCT_SOURCE
FUTURE PAY ACCT SOURCE BANK ACCOUNT SUPPLIER SITE FUTURE PAY LIAB RELIEF ISSUE MATURITY GL DATE OPTIONS I N S Y
FUTURE_DATED_PMT_LIAB_RELIEF
GL_DATE_FROM_RECEIPT_FLAG
LIABILITY_POST_LOOKUP_CODE
MATCH_OPTION
MATCH_OPTION P R PAY DATE BASIS DISCOUNT DUE SECONDARY ACCOUNTING METHOD Accrual Cash None
PAY_DATE_BASIS_LOOKUP_CODE
SECONDARY_ACCOUNTING_METHOD
TERMS_DATE_BASIS
Null? Type NOT NOT NOT NOT NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) VARCHAR2(15)
Description Standard Who column Standard Who column Set of books identifier Functional currency code
(Continued) Null? Type NOT NULL VARCHAR2(1) Description Flag that indicates if scheduled payments automatically recalculate for Automatic Interest Calculation (Y or N) Flag that indicates whether interest invoices are automatically created for past due invoice payments (Y or N) Default invoice currency code Default payment currency code (must be same as INVOICE_CURRENCY_CODE or must be an associated fixedrate currency) No longer used Default bank account for automatic payment processes No longer used Flag that indicates if batch control feature is used (Y or N) Default terms Flag that indicates if available discount for supplier will be taken, regardless of when invoice is paid (Y or N) Basis used for selecting invoices for payment Accounting Flexfield identifier for accounts payable liability account No longer used No longer used Accounting Flexfield identifier for discounts taken account No longer used No longer used Value that indicates if advances will be applied to employee expense reports (Y or N) Number of days added to system date to calculate settlement date for a prepayment No longer used Number of days between normal payment printing cycles, used to determine Pay Through Date for automatic payment batch Federal Tax Identification number of your company Location identifier for headquarters location of your company (prints on 1099 forms) Flag that indicates if suppliers are automatically created from employees for whom expense reports have been entered (Y or N) Employee terms identifier
RECALC_PAY_SCHEDULE_FLAG
AUTO_CALCULATE_INTEREST_FLAG
INVOICE_CURRENCY_CODE PAYMENT_CURRENCY_CODE
NULL VARCHAR2(1) NULL NUMBER(15) NULL VARCHAR2(25) NULL VARCHAR2(1) NULL NUMBER(15) NULL VARCHAR2(1)
NULL VARCHAR2(25) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(4)
EMPLOYEE_TERMS_ID
NULL NUMBER(15)
(Continued) Null? Type NULL VARCHAR2(25) NULL NUMBER(2) NULL NUMBER(15) NULL VARCHAR2(1) Description Name of Pay Group used for payment of employee expense reports Payment priority number for payment of employee expense reports Accounting Flexfield identifier for prepayment account Flag that indicates if popup window will display during invoice entry to confirm that invoice date can be used as default for invoice number (Y or N) Flag that indicates if changes to supplier payment address on manual payments or Quick payments is allowed (Y or N) Exchange rate type Accounting Flexfield identifier for account to which realized exchange rate gains are posted Accounting Flexfield identifier for account to which realized exchange rate losses are posted Flag that indicates if exchange rates must be entered for multiple currency invoices and payments (Y or N) Flag that indicates if multiple currency features used (Y or N) Date used as accounting date during invoice entry Flag that indicates if tax amount excluded from invoice amount when invoice amount applicable to discount calculated (Y or N) Flag that instructs Oracle Payables to check that tax name on invoice line is same as tax name on corresponding purchase order shipment (Y or N) Accounting method used with primary set of books No longer used No longer used No longer used No longer used No longer used No longer used Flag that indicates if check replacement for Quick Payments is allowed (Y or N) Flag that indicates if immediate online printing for Quick Payments is allowed (Y or N) Number which identifies your company as a user of electronic funds transfer services to bank or clearing organization
UPDATE_PAY_SITE_FLAG
NULL VARCHAR2(1)
MATCH_ON_TAX_FLAG
NULL VARCHAR2(1)
NULL VARCHAR2(25) NULL NULL NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(1)
NULL VARCHAR2(1)
EFT_USER_NUMBER
NULL VARCHAR2(30)
(Continued) Null? Type NULL NUMBER NULL VARCHAR2(25) NULL VARCHAR2(1) NULL VARCHAR2(25) NULL VARCHAR2(1) NULL VARCHAR2(25) NULL NUMBER(15) NULL VARCHAR2(1) NULL NUMBER Description Maximum amount of a payment batch Name of supplier Pay Group Flag that indicates if tax entry is required during invoice entry (Y or N) Method used for approving invoices Flag that indicates if payment date can be prior to system date (Y or N) Accounting method used for secondary set of books Secondary set of books identifier No longer used Minimum interest amount owed on past due invoice for interest invoice to be automatically created Accounting Flexfield identifier for interest expense account Date used together with payment terms and invoice amount to create invoice scheduled payment No longer used Flag that indicates whether tax amount is automatically calculated for the sales tax name entered on an invoice (Y or N) Flag that indicates whether offsetting, balancing accounting entries are automatically created for invoice and payment distributions (Y or N) Code for method used to build offsetting Accounting Flexfields for invoice and payment distributions (Automatic Offsets/Fund Accounting) Accounting Flexfield identifier for interest liability account No longer used Method for distributing discount amounts taken on invoice payments Not used (never implemented) Flag that indicates whether your organization participates in the Combined Filing Program for income tax reporting Default income tax region assigned to invoice distribution lines for 1099 suppliers
INTEREST_CODE_COMBINATION_ID TERMS_DATE_BASIS
ALLOW_FUTURE_PAY_FLAG AUTO_TAX_CALC_FLAG
AUTOMATIC_OFFSETS_FLAG
NULL VARCHAR2(1)
LIABILITY_POST_LOOKUP_CODE
NULL VARCHAR2(25)
NULL NUMBER(15) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL NUMBER(15) NULL VARCHAR2(1)
INCOME_TAX_REGION
NULL VARCHAR2(10)
(Continued) Null? Type NULL VARCHAR2(1) Description Flag that indicates whether you use supplier tax region or default tax region as default for 1099 invoice distribution lines Default Hold Unmatched Invoices value for suppliers created from employees on an expense report Flag that indicates whether you can match to a purchase order distribution line or match only across an entire purchase order shipment Flag that indicates whether you allow final matching to purchase orders Flag that indicates whether you can override the matching Accounting Flexfield for an invoice distribution line matched to a purchase order distribution line Flag that indicates whether you allow adjustments to paid invoices USSGL Transaction Code for automatically generated interest invoices USSGL Transaction Code Descriptive Flexfield context column Flag that indicates whether you can override the default document category (Sequential Numbering) for invoices Flag that indicates whether you can override the default document category (Sequential Numbering) for payments Default Automatic Interest Calculation value that defaults to suppliers (Y or N) No longer used Accounting Flexfield identifier for account used to record exchange rate gains for invoices matched to purchase orders Accounting Flexfield identifier for account used to record exchange rate losses for invoices matched to purchase order Enter Yes to transfer descriptive flexfield information from a purchase order distribution during purchase order matching Flag to indicate whether Automatic Withholding Tax is allowed (Y or N) Default Withholding Tax group for new suppliers
INCOME_TAX_REGION_FLAG
HOLD_UNMATCHED_INVOICES_FLAG
NULL VARCHAR2(1)
ALLOW_DIST_MATCH_FLAG
NULL VARCHAR2(1)
ALLOW_FINAL_MATCH_FLAG ALLOW_FLEX_OVERRIDE_FLAG
PAY_DOC_CATEGORY_OVERRIDE
NULL VARCHAR2(1)
RATE_VAR_LOSS_CCID
NULL NUMBER(15)
TRANSFER_DESC_FLEX_FLAG
NULL VARCHAR2(1)
ALLOW_AWT_FLAG DEFAULT_AWT_GROUP_ID
(Continued) Null? Type NULL VARCHAR2(1) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Flag to indicate whether override of withholding tax amount is allowed (Y, N, null) Indicates when system should automatically withhold tax (Never, Approval, Payment) Indicates when the system should automatically create withholding tax invoices (Never, Approval, Payment) Flag to indicate whether the discount amount is included in withholding tax calculation Flag to indicate whether the tax amount is included in the withholding tax calculation Organization identifier Flag to indicate if cash clearing account is used Flag that indicates whether a freight distribution is automatically created Accounting Flexfield identifier for accounts payable freight account Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality
AWT_INCLUDE_DISCOUNT_AMT AWT_INCLUDE_TAX_AMT ORG_ID RECON_ACCOUNTING_FLAG AUTO_CREATE_FREIGHT_FLAG FREIGHT_CODE_COMBINATION_ID GLOBAL_ATTRIBUTE_CATEGORY GLOBAL_ATTRIBUTE1 GLOBAL_ATTRIBUTE2 GLOBAL_ATTRIBUTE3 GLOBAL_ATTRIBUTE4 GLOBAL_ATTRIBUTE5 GLOBAL_ATTRIBUTE6 GLOBAL_ATTRIBUTE7 GLOBAL_ATTRIBUTE8 GLOBAL_ATTRIBUTE9 GLOBAL_ATTRIBUTE10 GLOBAL_ATTRIBUTE11 GLOBAL_ATTRIBUTE12 GLOBAL_ATTRIBUTE13 GLOBAL_ATTRIBUTE14 GLOBAL_ATTRIBUTE15 GLOBAL_ATTRIBUTE16 GLOBAL_ATTRIBUTE17
NULL VARCHAR2(1) NULL VARCHAR2(1) NULL NUMBER(15) NULL VARCHAR2(1) NULL VARCHAR2(1) NULL NUMBER(15) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150)
(Continued) Null? Type Description NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(1) Flag to indicate whether user can charge remitto bank at payment creation time. NULL VARCHAR2(1) No longer used NULL VARCHAR2(1) Flag to indicate whether user can change the tax calculation method at the supplier level NULL VARCHAR2(1) Flag to indicate if supplier invoice amount includes tax NULL VARCHAR2(1) Flag to indicate if user can change Amount Includes Tax check box during invoice entry NULL VARCHAR2(15) VAT code NULL VARCHAR2(1) Flag to indicate if Bank Charge feature is used NULL VARCHAR2(1) Default bank charge bearer NULL NUMBER(15) Rounding error account code combination NULL VARCHAR2(25) No longer used NULL VARCHAR2(1) Flag that indicates whether you want to take the tax from a purchase order when you match an invoice to a purchase order shipment NULL VARCHAR2(1) Flag that indicates whether you want to default tax from the supplier site when you enter an invoice NULL VARCHAR2(1) Flag that indicates whether you want to default tax from the supplier when you enter an invoice NULL VARCHAR2(1) Flag that indicates whether you want to default tax from the natural account when you enter an invoice NULL VARCHAR2(1) Flag that indicates whether you want to default tax from Financials Options when you enter an invoice NULL VARCHAR2(1) Flag that indicates whether you want to default tax from the invoice header when you enter an invoice NULL VARCHAR2(1) Flag that indicates whether you want to default tax from the distribution set or expense report template when you enter an invoice NULL NUMBER Indicates the priority of tax from the purchase order source in your tax defaulting hierarchy NULL NUMBER Indicates the priority of tax from the supplier source in your tax defaulting hierarchy
GLOBAL_ATTRIBUTE18 GLOBAL_ATTRIBUTE19 GLOBAL_ATTRIBUTE20 ALLOW_SUPPLIER_BANK_OVERRIDE USE_MULTIPLE_SUPPLIER_BANKS AUTO_TAX_CALC_OVERRIDE AMOUNT_INCLUDES_TAX_FLAG AMOUNT_INCLUDES_TAX_OVERRIDE VAT_CODE USE_BANK_CHARGE_FLAG BANK_CHARGE_BEARER ROUNDING_ERROR_CCID ROUNDING_ERROR_POST_OPTION TAX_FROM_PO_FLAG
TAX_FROM_VENDOR_SITE_FLAG
TAX_FROM_VENDOR_FLAG
TAX_FROM_ACCOUNT_FLAG
TAX_FROM_SYSTEM_FLAG
TAX_FROM_INV_HEADER_FLAG
TAX_FROM_TEMPLATE_FLAG
TAX_HIER_PO_SHIPMENT
TAX_HIER_VENDOR
(Continued) Null? Type NULL NUMBER Description Indicates the priority of tax from the supplier site source in your tax defaulting hierarchy NUMBER Indicates the priority of tax from the account source in your tax defaulting hierarchy NUMBER Indicates the priority of tax from the Financials Options source in your tax defaulting hierarchy NUMBER Indicates the priority of tax from the invoice header source in your tax defaulting hierarchy NUMBER Indicates the priority of tax from the template source in your tax defaulting hierarchy VARCHAR2(1) Flag that indicates you want to enforce the rule to default tax from the natural account VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id, functional currency pairs VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting set of books id VARCHAR2(25) Flag to indicate whether to match invoices to purchase orders (P) or receipts (R) VARCHAR2(30) Level at which Payables will calculate gain and loss, either Payment or Payment Line VARCHAR2(30) Time when Payables will account for payments, either Always (payment and clearing) or Clearing Only VARCHAR2(30) Time when Payables will account for gain and loss, either Always (payment and clearing) or Clearing Only VARCHAR2(30) Specifies the source for the future dated payment account VARCHAR2(30) Specifies when the liability for future dated payments is relieved VARCHAR2(1) Option that allows the user to change the default values for program parameters when the user submits the transfer to GL process NUMBER(15) Not currently used VARCHAR2(1) GL Interface Transfer Summary Level. Detail (D), summarized by accounting date (A), summarized by accounting period (P) VARCHAR2(1) Option for submitting Journal Import to Oracle General Ledger at the same time as the transfer to GL process
TAX_HIER_VENDOR_SITE
TAX_HIER_ACCOUNT TAX_HIER_SYSTEM
NULL NULL
TAX_HIER_INVOICE
NULL
WHEN_TO_ACCOUNT_GAIN_LOSS
NULL
GL_TRANSFER_PROCESS_DAYS GL_TRANSFER_MODE
NULL NULL
GL_TRANSFER_SUBMIT_JOURNAL_IMP
NULL
(Continued) Null? Type NULL VARCHAR2(1) Description If this option is set to Y then all MRC reporting SOBs will automatically be selected for transfer with the same selection criteria as the main SOBs Default expense report template Default terms for prepayment
INCLUDE_REPORTING_SOB
EXPENSE_REPORT_ID PREPAYMENT_TERMS_ID
FINANCIALS_SYSTEM_PARAMS_ALL
FINANCIALS_SYSTEM_PARAMETERS_ALL contains options and defaults you share between your Oracle Payables application, and your Oracle Purchasing and Oracle Assets applications. You can define these options and defaults according to the way you run your business. This table corresponds to the Financials Options window. There is only one row in this table. There is no primary key for this table.
Foreign Keys Primary Key Table AP_TERMS_TL FND_CURRENCIES FND_CURRENCIES GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_ENCUMBRANCE_TYPES GL_ENCUMBRANCE_TYPES GL_ENCUMBRANCE_TYPES GL_SETS_OF_BOOKS HR_LOCATIONS_ALL HR_LOCATIONS_ALL QuickCodes Columns Column MANUAL_VENDOR_NUM_TYPE
Primary Key Column TERM_ID CURRENCY_CODE CURRENCY_CODE CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID ENCUMBRANCE_TYPE_ID ENCUMBRANCE_TYPE_ID ENCUMBRANCE_TYPE_ID SET_OF_BOOKS_ID LOCATION_ID LOCATION_ID
Foreign Key Column TERMS_ID INVOICE_CURRENCY_CODE PAYMENT_CURRENCY_CODE ACCTS_PAY_CODE_COMBINATION_ID PREPAY_CODE_COMBINATION_ID DISC_TAKEN_CODE_COMBINATION_ID RES_ENCUMB_CODE_COMBINATION_ID RATE_VAR_CODE_COMBINATION_ID RATE_VAR_GAIN_CCID RATE_VAR_LOSS_CCID FUTURE_DATED_PAYMENT_CCID REQ_ENCUMBRANCE_TYPE_ID PURCH_ENCUMBRANCE_TYPE_ID INV_ENCUMBRANCE_TYPE_ID SET_OF_BOOKS_ID BILL_TO_LOCATION_ID SHIP_TO_LOCATION_ID
QuickCodes Type MANUAL VENDOR NUMBER ALPHANUMERIC NUMERIC MATCH_OPTION P R PAYMENT METHOD CHECK CLEARING EFT WIRE PAY DATE BASIS DISCOUNT DUE TERMS DATE BASIS Current Goods Received Invoice Invoice Received
QuickCodes Table AP_LOOKUP_CODES Alphanumeric number Numeric number AP_LOOKUP_CODES Match to Purchase Order Match to Receipt AP_LOOKUP_CODES Check Clearing Electronic Wire AP_LOOKUP_CODES Pay on discount date Pay on due date AP_LOOKUP_CODES Current date Goods received date Invoice date Invoice received date
MATCH_OPTION
PAYMENT_METHOD_LOOKUP_CODE
PAY_DATE_BASIS_LOOKUP_CODE
TERMS_DATE_BASIS
(Continued) QuickCodes Type VENDOR NUMBER ENTRY AUTOMATIC MANUAL HOME_OFFICE H O FOB QuickCodes Table AP_LOOKUP_CODES Automatic entry of numbers Manual entry of numbers FND_COMMON_LOOKUPS Home Office AR_LOOKUPS
USER_DEFINED_VENDOR_NUM_CODE
EXPENSE_CHECK_ADDRESS_FLAG
FOB_LOOKUP_CODE Column Descriptions Name LAST_UPDATE_DATE LAST_UPDATED_BY SET_OF_BOOKS_ID PAYMENT_METHOD_LOOKUP_CODE USER_DEFINED_VENDOR_NUM_CODE VENDOR_NUM_START_NUM SHIP_TO_LOCATION_ID BILL_TO_LOCATION_ID SHIP_VIA_LOOKUP_CODE FOB_LOOKUP_CODE TERMS_ID ALWAYS_TAKE_DISC_FLAG
Null? Type NOT NOT NOT NOT NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) VARCHAR2(25)
Description Standard Who column Standard Who column Set of books identifier Payment method default used during supplier entry Method of entering supplier numbers Next automatic supplier number (Oracle Payables applications update as you enter suppliers) Shipto location identifier, default used during supplier entry Billto location identifier, default used during supplier entry Type of shipping method, default used during supplier entry Type of free on board, default used during supplier entry Payment terms identifier, default used during supplier entry Flag that indicates if available discount for a supplier will be taken, regardless of when the invoice is paid (Y or N), default used during supplier entry Basis Oracle Payables applications use for selecting invoices for payment (DUE or DISCOUNT), default used during supplier entry Currency code for invoices, default used during supplier entry Currency code for payments, default used during supplier entry Accounting Flexfield identifier for the accounts payable liability account, default used during supplier entry Accounting Flexfield identifier for the prepayment account, default used during supplier entry
NULL VARCHAR2(25) NULL NUMBER NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL NUMBER(15) NULL VARCHAR2(1)
PAY_DATE_BASIS_LOOKUP_CODE
NULL VARCHAR2(25)
PREPAY_CODE_COMBINATION_ID
NULL NUMBER(15)
(Continued) Null? Type NULL NUMBER(15) NULL NUMBER(3) NULL VARCHAR2(1) Description Accounting Flexfield identifier for the discount taken account Maximum number of future periods allowed Flag that indicates if Oracle Purchasing creates an encumbrance journal entry when a requisition is entered (Y) or when the requisition is approved (N) Accounting Flexfield identifier for the reserve for encumbrance account Flag that indicates if Oracle Purchasing will create an encumbrance journal entry when a purchase requisition is created (Y or N) Requisition encumbrance type identifier Flag that indicates if Oracle Purchasing will create an encumbrance journal entry when a purchase order is created Purchase order encumbrance type identifier Identifier for encumbrance type assigned to invoice encumbrances Type of supplier number Oracle Payables uses for either automatic or manual supplier number entry Inventory organization identifier Standard Who column Standard Who column Standard Who column Freight terms Flag that indicates if supplier site is a RFQ only site Number of days in receipt acceptance period Business group identifier associated with Oracle Purchasing Employee address for expense checks (H for home or O for office), default used during employee entry Date Oracle Payables uses together with payment terms and invoice amount to create an invoice scheduled payment, default used during supplier entry Flag that indicates whether you use approval hierarchies that are based on the positions you define for employees Not used Default Hold Unmatched Invoices value for supplier (Y or N)
RES_ENCUMB_CODE_COMBINATION_ID REQ_ENCUMBRANCE_FLAG
REQ_ENCUMBRANCE_TYPE_ID PURCH_ENCUMBRANCE_FLAG
NULL NUMBER(15) NULL NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) VARCHAR2(25) VARCHAR2(1)
TERMS_DATE_BASIS
NULL VARCHAR2(25)
USE_POSITIONS_FLAG
NULL VARCHAR2(1)
RATE_VAR_CODE_COMBINATION_ID HOLD_UNMATCHED_INVOICES_FLAG
(Continued) Null? Type NULL VARCHAR2(1) Description Default Pay Alone value for suppliers; defaults from supplier to invoices for supplier Not used ValueAdded Tax registration number for your organization European Union (EU)) member state for your organization Accounting Flexfield identifier for account used to record exchange rate gains for invoices matched to purchase orders Accounting Flexfield identifier for account used to record exchange rate losses for invoices matched to purchase orders Organization identifier Bank charge bearer Valueadded tax code Flag to indicate whether to match invoices to purchase orders (P) or receipts (R) Y or N indicates if nonrecoverable tax is enabled or disabled in the system Default rounding rule for tax calculation (Up, Down, Nearest) Precision. Used for Automatic Tax Calculation Minimum accountable unit. Used for Automatic Tax Calculation Default recovery rate for tax codes. Only used if partially recoverable tax is enabled Flag that indicates if the recoverable portion of tax should be encumbered in the Cash set of books (Y or N) Accounting Flexfield identifier for future dated payment account default for Suppliers and Bank accounts
EXCLUSIVE_PAYMENT_FLAG
RATE_VAR_LOSS_CCID
NULL NUMBER(15)
ORG_ID BANK_CHARGE_BEARER VAT_CODE MATCH_OPTION NON_RECOVERABLE_TAX_FLAG TAX_ROUNDING_RULE PRECISION MINIMUM_ACCOUNTABLE_UNIT DEFAULT_RECOVERY_RATE CASH_BASIS_ENC_NR_TAX
NULL VARCHAR2(1) NULL VARCHAR2(30) NULL NUMBER(1) NULL NUMBER NULL NUMBER NULL VARCHAR2(30)
FUTURE_DATED_PAYMENT_CCID
NULL NUMBER(15)
FND_CURRENCIES
FND_CURRENCIES stores information about currencies. Each row includes the currency code (CURRENCY_CODE) established by ISO (International Standards Organization) standard, the name of the currency (NAME), a flag to indicate whether the currency is enabled for use at your site (ENABLED_FLAG), a flag to indicate if this is a currency or a statistical unit (CURRENCY_FLAG), and the territory code of the issuing country (ISSUING_TERRITORY_CODE). Each row also includes the number of digits to the right of the decimal point (PRECISION), the extended precision (EXTENDED_PRECISION), the symbol denoting the currency, a description of the currency, and descriptive flexfield attribute columns. There is also information on when the currency becomes active and inactive, and the minimum accountable unit for the currency. You need one row for each currency defined with Oracle Application Object Library. Oracle Application Object Library uses this information to display dynamic currency values. You can also use this information to assign a currency to a set of books.
Foreign Keys Primary Key Table FND_TERRITORIES QuickCodes Columns Column CURRENCY_FLAG
ENABLED_FLAG
Column Descriptions Name CURRENCY_CODE (PK) LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN ENABLED_FLAG CURRENCY_FLAG DESCRIPTION ISSUING_TERRITORY_CODE PRECISION
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(15) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(1) VARCHAR2(1)
Description
Currency code Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Enabled flag Flag to indicate if the currency is a statistical unit or a currency NULL VARCHAR2(240) Description NULL VARCHAR2(2) The territory code of the country issuing the currency NULL NUMBER(1) Maximum number of digits to the right of decimal point
(Continued) Null? Type NULL NUMBER(2) NULL VARCHAR2(4) NULL DATE NULL DATE NULL NUMBER NULL VARCHAR2(80) NOT NULL VARCHAR2(1) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Extended precision The symbol denoting the currency The date when the currency code becomes active The date the currency code expires Minimum accountable unit for the currency Attribute category for the currency Flag to indicate whether or not the currency is defined in ISO4217 Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality
EXTENDED_PRECISION SYMBOL START_DATE_ACTIVE END_DATE_ACTIVE MINIMUM_ACCOUNTABLE_UNIT CONTEXT ISO_FLAG ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 GLOBAL_ATTRIBUTE_CATEGORY GLOBAL_ATTRIBUTE1 GLOBAL_ATTRIBUTE2 GLOBAL_ATTRIBUTE3 GLOBAL_ATTRIBUTE4 GLOBAL_ATTRIBUTE5 GLOBAL_ATTRIBUTE6 GLOBAL_ATTRIBUTE7 GLOBAL_ATTRIBUTE8 GLOBAL_ATTRIBUTE9 GLOBAL_ATTRIBUTE10 GLOBAL_ATTRIBUTE11 GLOBAL_ATTRIBUTE12 GLOBAL_ATTRIBUTE13 GLOBAL_ATTRIBUTE14
NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150)
(Continued) Null? Type Description NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL VARCHAR2(150) Reserved for countryspecific functionality NULL DATE The date from which this currencys value becomes derived from the related currency. If this value is null or later than the computation date, then the other derive_ columns are undefined. NULL VARCHAR2(8) Indicates whether the currency has a special relationship with other currencies. Currently, only EURO (Euro currency), EMU (European Monetary Union currency), and NULL (no special relationship) are possible values. NULL NUMBER Multiple applied to the base currency to derive this currency. Only used for the derived currency in a relationship.
DERIVE_TYPE
DERIVE_FACTOR
Sequence 2 1
FND_DUAL
FND_DUAL stores a dummy constant value. You always need at least one row in this table. Oracle Application Object Library provides this table as a base table for forms that only submit concurrent requests (such as reporting forms) and therefore need to perform a commit cycle without updating an application database table. Such forms generally insert a record into this table (usually the value 1). You should delete rows from this table occasionally, but you should always leave at least one row in this table (for a form that may update a record instead of inserting one).
Column Descriptions Name DUMMY
GL_ACCOUNT_HIERARCHIES
GL_ACCOUNT_HIERARCHIES stores lists of the detail accounts associated with each summary account. When you create a summary account, the list of its detail accounts is stored in this table, one detail account per row. This table stores one such list for each summary account. This table stores the template id in addition to the summary code combination id and is maintained by the Add/Delete Summary Templates program each time you add or delete a summary template. It is also maintained by Posting and various other Oracle General Ledger programs whenever you create a new detail account.
Foreign Keys Primary Key Table GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_SETS_OF_BOOKS GL_SUMMARY_TEMPLATES Column Descriptions Name SET_OF_BOOKS_ID SUMMARY_CODE_COMBINATION_ID DETAIL_CODE_COMBINATION_ID TEMPLATE_ID LAST_UPDATED_BY LAST_UPDATE_DATE ORDERING_VALUE (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL DATE NOT NULL VARCHAR2(25)
Description Accounting books defining column Summary account key flexfield combination defining column Detail account key flexfield combination defining column Summary template defining column Standard Who column Standard Who column Key flexfield account segment value
Sequence 1 2 1 2 3 4
GL_ALLOC_BATCHES
GL_ALLOC_BATCHES stores information about MassAllocation and MassBudget batches. Each row includes a batchs unique ID, name, status, and description. This table corresponds to the Define MassAllocations and Define MassBudget windows of the Define MassAllocations and Define MassBudgets forms. You need one row for each MassAllocation or MassBudget batch. ACTUAL_FLAG values are A or E for MassAllocation batches and B for MassBudget batches, denoting the balance type associated with your allocation entries. VALIDATION_STATUS is N when you first define, or have recently changed but not validated a MassAllocation or MassBudget batch, and V after your batch has been successfully validated. If you submit your batch for validation, and it completes with errors, your VALIDATION_STATUS column contains the value E. VALIDATION_REQUEST_ID is the concurrent request id associated with the MassAllocation Validation Program run that validated your batch.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS QuickCodes Columns Column ACTUAL_FLAG
VALIDATION_STATUS
Column Descriptions Name ALLOCATION_BATCH_ID NAME CHART_OF_ACCOUNTS_ID VALIDATION_STATUS ACTUAL_FLAG LAST_UPDATE_DATE LAST_UPDATED_BY (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(39) NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL DATE NOT NULL NUMBER(15)
Description Mass allocation batch defining column Mass allocation batch name Key flexfield structure defining column Batch validation result, valid or error Balance type (Actual, Budget, or Encumbrance) Standard Who column Standard Who column
(Continued) Null? Type NOT NULL DATE NOT NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(240) Description Standard Who column Standard Who column Standard Who column Batch validation request id Mass allocation batch description
Sequence 1 1 2
GL_ALLOC_FORMULAS
GL_ALLOC_FORMULAS stores information about MassAllocation and MassBudget formulas. Each row includes a formulas ID, name, and description. There is a onetomany relationship between MassAllocation/MassBudget batches and MassAllocation/MassBudget formulas. This table corresponds to the Formula window of the Define MassAllocations and Define MassBudgets forms. You need one row for each MassAllocation or Massbudget formula. VALIDATION_STATUS is N when you first define, or have recently changed but not validated a MassAllocation or MassBudget formula, and V after your formula has been successfully validated. If you submit a formula for validation, and it completes with errors, your VALIDATION_STATUS contains the value E. RUN_SEQUENCE is not used.
Foreign Keys Primary Key Table GL_ALLOC_BATCHES GL_JE_CATEGORIES_TL QuickCodes Columns Column FULL_ALLOCATION_FLAG
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS Error In Process Not Validated Validated
VALIDATION_STATUS
Column Descriptions Name ALLOCATION_FORMULA_ID ALLOCATION_BATCH_ID NAME RUN_SEQUENCE JE_CATEGORY_NAME FULL_ALLOCATION_FLAG VALIDATION_STATUS LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN DESCRIPTION (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL
Description
Mass allocation formula defining column NUMBER(15) Mass allocation batch defining column VARCHAR2(39) Formula name NUMBER(6) Not currently used VARCHAR2(25) Journal entry category VARCHAR2(1) Full cost pool allocation flag VARCHAR2(1) Formula validation result DATE Standard Who column NUMBER(15) Standard Who column DATE Standard Who column NUMBER(15) Standard Who column NUMBER(15) Standard Who column VARCHAR2(240) Formula description
Sequence 1 1 2
GL_ALLOC_FORMULA_LINES
GL_ALLOC_FORMULA_LINES stores information about MassAllocation and MassBudget formula lines. This table corresponds to the Formula window of the Define MassAllocations and Define MassBudgets forms. There are four or five lines associated with each MassBudget formula, and there are five lines associated with each MassAllocation formula. Each row includes the allocation formula ID, line number, and other information about the line. Line numbers 1, 2, 3, 4, and 5 correspond to rows A, B, C, T, and O, respectively, on the Define MassAllocations and Define MassBudgets forms. Segment values are stored in the SEGMENT columns appropriate to the chart of accounts structure. Segment types (C, L, or S) are stored as a concatenated string in the SEGMENT_TYPES_KEY column. LINE_TYPE is E for lines 1, 2, and 3, T for line 4, and O for line 5. OPERATOR is always E and is not used. SEGMENT_BREAK_KEY is not used.
Foreign Keys Primary Key Table FND_CURRENCIES GL_ALLOC_FORMULAS GL_BUDGET_VERSIONS GL_ENCUMBRANCE_TYPES QuickCodes Columns Column ACTUAL_FLAG
QuickCodes Type BATCH_TYPE A B E PTD_YTD PJTD PTD QTD YTD ALLOCATION_LINE_TYPE 1 2 3 4 5 PERIOD CODE C L P MA_TRANSACTION_CURRENCY A F
QuickCodes Table GL_LOOKUPS A B E GL_LOOKUPS PJTD PTD QTD YTD GL_LOOKUPS A B C Target Offset GL_LOOKUPS Current Period Year Ago, Same Period Previous Period GL_LOOKUPS All Functional
AMOUNT_TYPE
LINE_NUMBER
RELATIVE_PERIOD
TRANSACTION_CURRENCY
Column Descriptions Name ALLOCATION_FORMULA_ID LINE_NUMBER LINE_TYPE OPERATOR LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN AMOUNT RELATIVE_PERIOD (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(3) NOT NULL DATE NOT NULL NUMBER(15) NULL DATE NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER NULL VARCHAR2(25)
Description Mass allocation formula defining column Formula line number (1,2,3,4 or 5) Formula line type (Entered, Target, or Offset) Not currently used (Always E) Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Formula line amount Relative position of the accounting period whose balance is to be used in the allocation formula Accounting period Currency Transaction currency lookup (Functional or all) Balance type (Actual, Budget, or Encumbrance) Budget version defining column Encumbrance type defining column Amount type Concatenated string of segment types (C, L, or S) Not currently used Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment
PERIOD_NAME CURRENCY_CODE TRANSACTION_CURRENCY ACTUAL_FLAG BUDGET_VERSION_ID ENCUMBRANCE_TYPE_ID AMOUNT_TYPE SEGMENT_TYPES_KEY SEGMENT_BREAK_KEY SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21 SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27
NULL VARCHAR2(15) NULL VARCHAR2(15) NULL VARCHAR2(1) NULL VARCHAR2(1) NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(15) NULL VARCHAR2(60) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(60) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25)
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield segment Key flexfield segment Key flexfield segment
Sequence 1 2
GL_ALLOC_FORMULA_LINES_U1
GL_ALLOC_HISTORY
GL_ALLOC_HISTORY stores one row for each batch produced by generating MassAllocation and MassBudget journals. Use information in this table to determine when you generated your MassAllocation and MassBudget journals, and for which accounting periods. RUN_STATUS is S for a selected batch or C for a successful run.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS GL_ALLOC_BATCHES GL_SETS_OF_BOOKS Column Descriptions Name ALLOCATION_BATCH_ID NAME SET_OF_BOOKS_ID REQUEST_ID (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(39) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(1) VARCHAR2(15) VARCHAR2(15) NUMBER(15) NUMBER(15) DATE DATE NUMBER(15) DATE NUMBER(15) DATE NUMBER(15)
Description Allocation batch defining column Allocation Batch name Accounting books defining column Allocation concurrent request id Allocation program run status Start accounting period End accounting period End accounting period number End accounting period year Journal effective date Calculation effective date Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column
RUN_STATUS FROM_PERIOD_NAME TO_PERIOD_NAME TO_PERIOD_NUM TO_PERIOD_YEAR JOURNAL_EFFECTIVE_DATE CALCULATION_EFFECTIVE_DATE LAST_UPDATED_BY LAST_UPDATE_DATE CREATED_BY CREATION_DATE LAST_UPDATE_LOGIN Indexes Index Name GL_ALLOC_HISTORY_N1
Sequence 1 2
GL_ALLOC_INTERIM_1
GL_ALLOC_INTERIM_1 is a temporary table used by MassAllocations and MassBudgeting. This table is dropped and recreated each time you generate MassAllocation or MassBudget journals. This table stores one row for each account that line A of your formula accesses. For example, if your MassAllocation formula loops on your Cost Center segment in line A, there will be one row in this table for each child Cost Center referenced. FORMULA_LINE_NUMBER is always 1 in this table. MassAllocations and MassBudgeting dynamically create a nonunique index on this table which varies depending on your chart of accounts structure and the formula you run.
Foreign Keys Primary Key Table GL_ALLOC_FORMULA_LINES
Column Descriptions Name FORMULA_ID FORMULA_LINE_NUMBER ENTERED_AMOUNT ACCOUNTED_AMOUNT SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21 SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER NOT NULL NUMBER NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25)
Description Mass allocation/budget formula defining column Allocation/budget formula line number Amount in entered currency Amount in base currency Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield segment Key flexfield segment Key flexfield segment
Sequence 1
GL_ALLOC_INTERIM_1_N1
GL_ALLOC_INTERIM_2
GL_ALLOC_INTERIM_2 is a temporary table used by MassAllocations and MassBudgeting. This table is dropped and recreated each time you generate MassAllocation or MassBudget journals. This table stores one row for each account that line B of your formula accesses. For example, if your MassAllocation formula loops on your Cost Center segment in line B, there will be one row in this table for each child Cost Center referenced. FORMULA_LINE_NUMBER is always 2 in this table. MassAllocations and MassBudgeting dynamically create a nonunique index on this table which varies depending on your chart of accounts structure and the formula you run.
Foreign Keys Primary Key Table GL_ALLOC_FORMULA_LINES
Column Descriptions Name FORMULA_ID FORMULA_LINE_NUMBER ENTERED_AMOUNT ACCOUNTED_AMOUNT SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21 SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER NOT NULL NUMBER NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25)
Description Mass allocation/budget formula defining column Allocation/Budget formula line number Amount in entered currency Amount in base currency Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield segment Key flexfield segment Key flexfield segment
Sequence 1
GL_ALLOC_INTERIM_2_N1
GL_ALLOC_INTERIM_3
GL_ALLOC_INTERIM_3 is a temporary table used by MassAllocations and MassBudgeting. This table is dropped and recreated each time you generate MassAllocation or MassBudget journals. This table stores one row for each account that line C of your formula accesses. For example, if your MassAllocation formula loops on your Cost Center segment in line C, there will be one row in this table for each child Cost Center referenced. FORMULA_LINE_NUMBER is always 3 in this table. MassAllocations and MassBudgeting dynamically create a nonunique index on this table which varies depending on your chart of accounts structure and the formula you run.
Foreign Keys Primary Key Table GL_ALLOC_FORMULA_LINES
Column Descriptions Name FORMULA_ID FORMULA_LINE_NUMBER ENTERED_AMOUNT ACCOUNTED_AMOUNT SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21 SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER NOT NULL NUMBER NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25)
Description Mass allocation/budget formula defining column Allocation/Budget formula line number Amount in entered currency Amount in base currency Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield segment Key flexfield segment Key flexfield segment
Sequence 1
GL_ALLOC_INTERIM_3_N1
GL_ALLOC_TARGETS
GL_ALLOC_TARGETS is a temporary table used by MassAllocations and MassBudgeting. This table is dropped and recreated each time you generate MassAllocation or MassBudget journals. This table stores one row for each target and offset line that your formula creates. For example, if your formula creates 10 target lines and one offset line, this table will have 11 rows. If MassAllocations tries to create a new code combination but fails to do so successfully, it puts negative numbers in the CODE_COMBINATION_ID and MESSAGE_NUMBER columns.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS GL_ALLOC_FORMULAS GL_CODE_COMBINATIONS Column Descriptions Name ALLOCATION_FORMULA_ID REQUEST_ID ENTERED_AMOUNT ACCOUNTED_AMOUNT JE_BATCH_ID JE_HEADER_ID JE_LINE_NUM PERIOD_NAME ACCOUNTING_DATE MAX_AMOUNT_FLAG DESCRIPTION CODE_COMBINATION_ID MESSAGE_NUMBER LINE_TYPE SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT NOT
Description
Mass Allocation/Budget formula defining column NULL NUMBER(15) Concurrent process request id NULL NUMBER Amount in entered currency NULL NUMBER Amount in base currency NULL NUMBER(15) Journal entry batch defining column NULL NUMBER(15) Journal entry header defining column NULL NUMBER(15) Journal entry line number NULL VARCHAR2(15) Accounting period NULL DATE Date Within target accounting period NULL VARCHAR2(1) Line with maximum allocated amount flag NULL VARCHAR2(240) Target line description NULL NUMBER(15) Key flexfield combination defining column NULL NUMBER(15) System message number NULL VARCHAR2(1) Formula line type (target) NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment
Column Descriptions Name SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21 SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27 SEGMENT28 SEGMENT29 SEGMENT30 Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) Description Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment
Sequence 1 1 2
GL_ALLOC_TARGETS_N1 GL_ALLOC_TARGETS_N2
GL_ALL_BUD_ORGS_VIEW
GL_ALL_BUD_ORGS_VIEW is a view used by your Oracle General Ledger application so that you can choose to review the accounts or balances associated with all budget organizations at once. Now, you can use the word All in a list of values in your Oracle General Ledger application to see all Accounting Flexfields that are assigned to a budget organization. This view is used in the YearEnd Carry Forward form and program in your Oracle General Ledger application. There is one row in this view for each of your budget organizations, referred to by their BUDGET_ENTITY_ID.
View Definition CREATE VIEW GL_ALL_BUD_ORGS_VIEW as SELECT BUDGET_ENTITY_ID , NAME , SET_OF_BOOKS_ID , DESCRIPTION WHERE STATUS_CODE != D UNION SELECT 1 , MEANING , 1 , DESCRIPTION FROM GL_LOOKUPS WHERE LOOKUP_TYPE = LITERAL AND LOOKUP_CODE = ALL
Description
Budget Organization defining column NULL VARCHAR2(30) Budget Organization name NULL NUMBER Accounting books defining column NULL VARCHAR2(240) Budget Organization description
GL_ALL_ENC_TYPES_VIEW
GL_ALL_ENC_TYPES_VIEW is a view used by your Oracle General Ledger application so that you can choose to review the transactions associated with all encumbrance types at once. Now, you can use the word All in a list of values in your Oracle General Ledger application to see the account balances associated with all encumbrance types at once. This view is used in the YearEnd Carry Forward form and program in your Oracle General Ledger application. There is one row for each encumbrance type in this view, referred to by their ENCUMBRANCE_TYPE_ID.
View Definition CREATE VIEW GL_ALL_ENC_TYPES_VIEW as SELECT ENCUMBRANCE_TYPE_ID , ENCUMBRANCE_TYPE , DESCRIPTION WHERE ENABLED_FLAG = Y UNION SELECT 1 , MEANING , DESCRIPTION FROM GL_LOOKUPS WHERE LOOKUP_TYPE = LITERAL AND LOOKUP_CODE = ALL
Description
Encumbrance type defining column NULL VARCHAR2(30) Encumbrance type name NULL VARCHAR2(240) Encumbrance type description
GL_ALL_JE_CATEGORY_NAME_VIEW
GL_ALL_JE_CATEGORY_NAME_VIEW is a view used by your Oracle General Ledger application so that you can automatically post batches for all journal entry categories. Now, you can use the word All in the Category field of the AutoPost Criteria Sets form. When used, Oracle General Ledger s AutoPost program will select journal entries of all categories for posting (provided that its source name, balance type, and period match the other AutoPost options.)
View Definition CREATE VIEW GL_ALL_JE_CATEGORY_NAME_VIEW as SELECT C.JE_CATEGORY_NAME , C.USER_JE_CATEGORY_NAME DESCRIPTION FROM GL_JE_CATEGORIES C UNION SELECT L.LOOKUP_CODE , L.MEANING FROM GL_LOOKUPS L WHERE L.LOOKUP_TYPE = LITERAL AND L.LOOKUP_CODE = ALL
GL_ALL_JE_SOURCE_NAME_VIEW
GL_ALL_JE_SOURCE_NAME_VIEW is a view used by your Oracle General Ledger application so that you can automatically post batches for all journal entry sources. Now, you can use the word All in the Source field of the AutoPost Criteria Sets form. When used, Oracle General Ledger s AutoPost program will select journal entries of all sources for posting (provided that its category name, balance type, and period match the other AutoPost options.)
View Definition CREATE VIEW GL_ALL_JE_SOURCE_NAME_VIEW as SELECT GLJES.JE_SOURCE_NAME , GLJES.USER_JE_SOURCE_NAME , GLL.DESCRIPTION FROM GL_LOOKUPS GLL WHERE GLL.LOOKUP_TYPE = LITERAL AND GLL.LOOKUP_CODE = ALL
GL_APPLICATION_GROUPS
GL_APPLICATION_GROUPS replaces FND_APPLICATION_GROUPS. It holds rows for individual application product groups. For each application product group listed in this table, Oracle General Ledger s Accounting Calendar form maintains a separate set of accounting period statuses. Thus for each period defined in the Accounting Calendar form, a row is inserted into GL_PERIOD_STATUSES for each row in GL_APPLICATION_GROUPS.
Foreign Keys Primary Key Table FND_APPLICATION Column Descriptions Name APPLICATION_ID (PK) GROUP_NAME (PK) LAST_UPDATED_BY LAST_UPDATE_DATE Indexes Index Name GL_APPLICATION_GROUPS_U1
Null? Type NOT NOT NOT NOT NULL NULL NULL NULL NUMBER(15) VARCHAR2(30) NUMBER(15) DATE
Description Application defining column Always PERIOD_STATUS Standard Who column Standard Who column
Sequence 1 2
GL_ARCHIVE_BALANCES
GL_ARCHIVE_BALANCES is used by Oracle General Ledger s Archive and Purge program to archive your account balances. When you archive your account balances for a period, your Oracle General Ledger application copies rows for that period from the GL_BALANCES table to this table. The columns in this table are identical to those in GL_BALANCES.
Foreign Keys Primary Key Table FND_CURRENCIES GL_BUDGET_VERSIONS GL_CODE_COMBINATIONS GL_ENCUMBRANCE_TYPES GL_PERIOD_TYPES GL_SETS_OF_BOOKS GL_SUMMARY_TEMPLATES QuickCodes Columns Column ACTUAL_FLAG
Primary Key Column CURRENCY_CODE BUDGET_VERSION_ID CODE_COMBINATION_ID ENCUMBRANCE_TYPE_ID PERIOD_TYPE SET_OF_BOOKS_ID TEMPLATE_ID
Foreign Key Column CURRENCY_CODE BUDGET_VERSION_ID CODE_COMBINATION_ID ENCUMBRANCE_TYPE_ID PERIOD_TYPE SET_OF_BOOKS_ID TEMPLATE_ID
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(1) NOT NULL DATE NOT NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(1) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(1) VARCHAR2(15) NUMBER(15) NUMBER(15) NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER
Description Accounting books defining column Key flexfield combination defining column Currency Accounting period Balance type (Actual, Budget, or Encumbrance) Standard Who column Standard Who column Budget version defining column Encumbrance batch defining column Flag indicating translated balance Not currently used Accounting period type Accounting period year Accounting period number Period net debit balance Period net credit balance Not currently used Quarter to date debit balance Quarter to date credit balance Not currently used
REVALUATION_STATUS PERIOD_TYPE PERIOD_YEAR PERIOD_NUM PERIOD_NET_DR PERIOD_NET_CR PERIOD_TO_DATE_ADB QUARTER_TO_DATE_DR QUARTER_TO_DATE_CR QUARTER_TO_DATE_ADB
(Continued) Null? Type NULL NUMBER NULL NUMBER NULL NUMBER NULL NULL NULL NULL NUMBER NUMBER NUMBER NUMBER Description Not currently used Accumulated project debit balance Accumulated project credit balance Not currently used Beginning debit balance Beginning credit balance Period net debit balance, base currency Period net credit balance, base currency Beginning debit balance, base currency Beginning credit balance, base currency Summary template defining column Purchasing encumbrance column Purchasing encumbrance column
YEAR_TO_DATE_ADB PROJECT_TO_DATE_DR PROJECT_TO_DATE_CR PROJECT_TO_DATE_ADB BEGIN_BALANCE_DR BEGIN_BALANCE_CR PERIOD_NET_DR_BEQ PERIOD_NET_CR_BEQ BEGIN_BALANCE_DR_BEQ BEGIN_BALANCE_CR_BEQ TEMPLATE_ID ENCUMBRANCE_DOC_ID ENCUMBRANCE_LINE_NUM
NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15)
GL_ARCHIVE_BATCHES
GL_ARCHIVE_BATCHES is used by Oracle General Ledger s Archive and Purge program to archive your journal batches for a permanently closed fiscal year. When you archive your journal batches for a fiscal year, your Oracle General Ledger application copies rows for that year from the GL_JE_BATCHES table to this table. The columns in this table are identical to those in GL_JE_BATCHES.
Foreign Keys Primary Key Table GL_JE_BATCHES GL_SETS_OF_BOOKS QuickCodes Columns Column ACTUAL_FLAG
QuickCodes Table GL_LOOKUPS A B E GL_LOOKUPS Approved In Process Rejected Required Validation Failed N/A GL_LOOKUPS No Yes GL_LOOKUPS Failed In Process N/A Passed Required GL_LOOKUPS Funds reservation fails Batch total violation Unopened reporting period Post to not open period No journal entries Unopened reporting encumbrance year Bad suspense account Bad reserve account Processing Journal total violation Unbalanced IC JE Unbalanced JE by acct category Multiple problems
APPROVAL_STATUS_CODE
AVERAGE_JOURNAL_FLAG
BUDGETARY_CONTROL_STATUS
STATUS
(Continued) QuickCodes Type N O P Q R S T U V W X Z QuickCodes Table Bad intercompany account No reporting conversion information Posted Untaxed journal entry Unbalanced enc JE Selected Invalid conversion information Unposted Unapproved journal batch Enc JE with no enc type Unbalanced JE Invalid or no JE lines GL_LOOKUPS No Yes GL_LOOKUPS No Yes
STATUS_RESET_FLAG
YES/NO N Y YES/NO N Y
STATUS_VERIFIED
Description
LAST_UPDATE_DATE LAST_UPDATED_BY SET_OF_BOOKS_ID NAME STATUS STATUS_VERIFIED ACTUAL_FLAG AVERAGE_JOURNAL_FLAG DEFAULT_EFFECTIVE_DATE BUDGETARY_CONTROL_STATUS APPROVAL_STATUS_CODE CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN STATUS_RESET_FLAG DEFAULT_PERIOD_NAME UNIQUE_DATE EARLIEST_POSTABLE_DATE POSTED_DATE DATE_CREATED DESCRIPTION
Journal entry batch defining column NOT NULL DATE Standard Who column NOT NULL NUMBER(15) Standard Who column NOT NULL NUMBER(15) Accounting books defining column NOT NULL VARCHAR2(100) Name of journal entry batch NOT NULL VARCHAR2(1) Journal entry batch status NOT NULL VARCHAR2(1) Batch status verified by posting process (Y/N) NOT NULL VARCHAR2(1) Balance type (Actual, Budget, or Encumbrance) NOT NULL VARCHAR2(1) Y or N: Y Average journal, N Standard journal NOT NULL DATE Date within default accounting period NOT NULL VARCHAR2(1) Journal entry batch funds check status. NOT NULL VARCHAR2(1) Journal entry batch approval status. NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column NULL VARCHAR2(1) Select/Unselect flag (posting form) NULL VARCHAR2(15) Accounting period NULL VARCHAR2(30) Not currently used NULL DATE Earliest date batch can be posted NULL DATE Date batch was posted NULL DATE Date batch was created NULL VARCHAR2(240) Journal entry batch description
(Continued) Null? Type NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER(15) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Control total column Batch running total debit, entered currency Batch running total credit, entered currency Batch running total debit, base currency Batch running total credit, base currency Parent MRC batch defining column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column Organization defining column Budgetary control packet defining column Government transaction code Descriptive flexfield structure defining column Posting sequence number Posting concurrent request id Budgetary control packet defining column
RUNNING_TOTAL_ACCOUNTED_DR RUNNING_TOTAL_ACCOUNTED_CR PARENT_JE_BATCH_ID ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 CONTEXT ORG_ID PACKET_ID USSGL_TRANSACTION_CODE CONTEXT2 POSTING_RUN_ID REQUEST_ID UNRESERVATION_PACKET_ID
NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(30) NULL VARCHAR2(150) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15)
GL_ARCHIVE_DAILY_BALANCES
GL_ARCHIVE_DAILY_BALANCES is used by Oracle General Ledger s Archive and Purge program to archive your daily aggregate balances. When you archive your daily aggregate balances for a period, your Oracle General Ledger application copies rows for that period from the GL_DAILY_BALANCES table to this table. The columns in this table are identical to those in GL_DAILY_BALANCES.
Foreign Keys Primary Key Table FND_CURRENCIES GL_CODE_COMBINATIONS GL_PERIOD_TYPES GL_SETS_OF_BOOKS GL_SUMMARY_TEMPLATES Column Descriptions Name SET_OF_BOOKS_ID (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(1)
Description Accounting books defining column Key Flexfield combination defining column Currency E, C, U, O, T: E Entered, C Converted, U Cumulative, O Out of date translation, T Uptodate translation Always A: A Actual Accounting Period Start date of the accounting period End date of the accounting period Start date of the quarter containing the accounting period Start date of the fiscal year containing the accounting period Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Currency the balance was converted from Accounting period type Accounting period year Accounting period number Summary template defining column End of day balance for the last day in the previous period. This column is not used for translated balances.
ACTUAL_FLAG (PK) PERIOD_NAME (PK) PERIOD_START_DATE PERIOD_END_DATE QUARTER_START_DATE YEAR_START_DATE CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CONVERTED_FROM_CURRENCY PERIOD_TYPE PERIOD_YEAR PERIOD_NUM TEMPLATE_ID OPENING_PERIOD_AGGREGATE
NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(15) NOT NULL DATE NOT NULL DATE NOT NULL DATE NOT NULL DATE NOT NOT NOT NOT NOT (PK) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(15) VARCHAR2(15) NUMBER(15) NUMBER(15) NUMBER(15)
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this quarter before the 1st day of this accounting period. This column is not used for translated balances. Aggregate of the end balances of all days in this year before the 1st day of this accounting period. This column is not used for translated balances. End balance of the 1st day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 2nd day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 3rd day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 4th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 5th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 6th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 7th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 8th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 9th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 10th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 11th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 12th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 13th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 14th day of this accounting period
OPENING_QUARTER_AGGREGATE
OPENING_YEAR_AGGREGATE
NULL NUMBER
PERIOD_AGGREGATE1 PERIOD_AGGREGATE2
PERIOD_AGGREGATE3
NULL NUMBER
PERIOD_AGGREGATE4
NULL NUMBER
PERIOD_AGGREGATE5
NULL NUMBER
PERIOD_AGGREGATE6
NULL NUMBER
PERIOD_AGGREGATE7
NULL NUMBER
PERIOD_AGGREGATE8
NULL NUMBER
PERIOD_AGGREGATE9
NULL NUMBER
PERIOD_AGGREGATE10
NULL NUMBER
PERIOD_AGGREGATE11
NULL NUMBER
PERIOD_AGGREGATE12
NULL NUMBER
PERIOD_AGGREGATE13
NULL NUMBER
PERIOD_AGGREGATE14
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this period, up to and including the 15th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 16th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 17th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 18th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 19th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 20th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 21st day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 22nd day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 23rd day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 24th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 25th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 26th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 27th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 28th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 29th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 30th day of this accounting period
PERIOD_AGGREGATE15
PERIOD_AGGREGATE16
NULL NUMBER
PERIOD_AGGREGATE17
NULL NUMBER
PERIOD_AGGREGATE18
NULL NUMBER
PERIOD_AGGREGATE19
NULL NUMBER
PERIOD_AGGREGATE20
NULL NUMBER
PERIOD_AGGREGATE21
NULL NUMBER
PERIOD_AGGREGATE22
NULL NUMBER
PERIOD_AGGREGATE23
NULL NUMBER
PERIOD_AGGREGATE24
NULL NUMBER
PERIOD_AGGREGATE25
NULL NUMBER
PERIOD_AGGREGATE26
NULL NUMBER
PERIOD_AGGREGATE27
NULL NUMBER
PERIOD_AGGREGATE28
NULL NUMBER
PERIOD_AGGREGATE29
NULL NUMBER
PERIOD_AGGREGATE30
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this period, up to and including the 31st day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 32nd day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 33rd day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 34th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 35th day of this accounting period End of day balance for the 1st day of this accounting period. This column is only used for translated balances. End of day balance for the 2nd day of this accounting period. This column is only used for translated balances. End of day balance for the 3rd day of this accounting period. This column is only used for translated balances. End of day balance for the 4th day of this accounting period. This column is only used for translated balances. End of day balance for the 5th day of this accounting period. This column is only used for translated balances. End of day balance for the 6th day of this accounting period. This column is only used for translated balances. End of day balance for the 7th day of this accounting period. This column is only used for translated balances. End of day balance for the 8th day of this accounting period. This column is only used for translated balances. End of day balance for the 9th day of this accounting period. This column is only used for translated balances. End of day balance for the 10th day of this accounting period. This column is only used for translated balances. End of day balance for the 11th day of this accounting period. This column is only used for translated balances.
PERIOD_AGGREGATE31
PERIOD_AGGREGATE32
NULL NUMBER
PERIOD_AGGREGATE33
NULL NUMBER
PERIOD_AGGREGATE34
NULL NUMBER
PERIOD_AGGREGATE35
NULL NUMBER
END_OF_DAY1
NULL NUMBER
END_OF_DAY2
NULL NUMBER
END_OF_DAY3
NULL NUMBER
END_OF_DAY4
NULL NUMBER
END_OF_DAY5
NULL NUMBER
END_OF_DAY6
NULL NUMBER
END_OF_DAY7
NULL NUMBER
END_OF_DAY8
NULL NUMBER
END_OF_DAY9
NULL NUMBER
END_OF_DAY10
NULL NUMBER
END_OF_DAY11
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description End of day balance for the 12th day of this accounting period. This column is only used for translated balances. End of day balance for the 13th day of this accounting period. This column is only used for translated balances. End of day balance for the 14th day of this accounting period. This column is only used for translated balances. End of day balance for the 15th day of this accounting period. This column is only used for translated balances. End of day balance for the 16th day of this accounting period. This column is only used for translated balances. End of day balance for the 17th day of this accounting period. This column is only used for translated balances. End of day balance for the 18th day of this accounting period. This column is only used for translated balances. End of day balance for the 19th day of this accounting period. This column is only used for translated balances. End of day balance for the 20th day of this accounting period. This column is only used for translated balances. End of day balance for the 21st day of this accounting period. This column is only used for translated balances. End of day balance for the 22nd day of this accounting period. This column is only used for translated balances. End of day balance for the 23rd day of this accounting period. This column is only used for translated balances. End of day balance for the 24th day of this accounting period. This column is only used for translated balances. End of day balance for the 25th day of this accounting period. This column is only used for translated balances. End of day balance for the 26th day of this accounting period. This column is only used for translated balances. End of day balance for the 27th day of this accounting period. This column is only used for translated balances.
END_OF_DAY13
NULL NUMBER
END_OF_DAY14
NULL NUMBER
END_OF_DAY15
NULL NUMBER
END_OF_DAY16
NULL NUMBER
END_OF_DAY17
NULL NUMBER
END_OF_DAY18
NULL NUMBER
END_OF_DAY19
NULL NUMBER
END_OF_DAY20
NULL NUMBER
END_OF_DAY21
NULL NUMBER
END_OF_DAY22
NULL NUMBER
END_OF_DAY23
NULL NUMBER
END_OF_DAY24
NULL NUMBER
END_OF_DAY25
NULL NUMBER
END_OF_DAY26
NULL NUMBER
END_OF_DAY27
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description End of day balance for the 28th day of this accounting period. This column is only used for translated balances. End of day balance for the 29th day of this accounting period. This column is only used for translated balances. End of day balance for the 30th day of this accounting period. This column is only used for translated balances. End of day balance for the 31st day of this accounting period. This column is only used for translated balances. End of day balance for the 32nd day of this accounting period. This column is only used for translated balances. End of day balance for the 33rd day of this accounting period. This column is only used for translated balances. End of day balance for the 34th day of this accounting period. This column is only used for translated balances. End of day balance for the 35th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 1st day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 2nd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 3rd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 4th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 5th day of this accounting period. This column is only used for translated balances.
END_OF_DAY29
NULL NUMBER
END_OF_DAY30
NULL NUMBER
END_OF_DAY31
NULL NUMBER
END_OF_DAY32
NULL NUMBER
END_OF_DAY33
NULL NUMBER
END_OF_DAY34
NULL NUMBER
END_OF_DAY35
NULL NUMBER
QUARTER_AGGREGATE1
NULL NUMBER
QUARTER_AGGREGATE2
NULL NUMBER
QUARTER_AGGREGATE3
NULL NUMBER
QUARTER_AGGREGATE4
NULL NUMBER
QUARTER_AGGREGATE5
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this quarter, up to and including the 6th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 7th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 8th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 9th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 10th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 11th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 12th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 13th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 14th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 15th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 16th day of this accounting period. This column is only used for translated balances.
QUARTER_AGGREGATE6
QUARTER_AGGREGATE7
NULL NUMBER
QUARTER_AGGREGATE8
NULL NUMBER
QUARTER_AGGREGATE9
NULL NUMBER
QUARTER_AGGREGATE10
NULL NUMBER
QUARTER_AGGREGATE11
NULL NUMBER
QUARTER_AGGREGATE12
NULL NUMBER
QUARTER_AGGREGATE13
NULL NUMBER
QUARTER_AGGREGATE14
NULL NUMBER
QUARTER_AGGREGATE15
NULL NUMBER
QUARTER_AGGREGATE16
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this quarter, up to and including the 17th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 18th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 19th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 20th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 21st day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 22nd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 23rd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 24th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 25th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 26th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 27th day of this accounting period. This column is only used for translated balances.
QUARTER_AGGREGATE17
QUARTER_AGGREGATE18
NULL NUMBER
QUARTER_AGGREGATE19
NULL NUMBER
QUARTER_AGGREGATE20
NULL NUMBER
QUARTER_AGGREGATE21
NULL NUMBER
QUARTER_AGGREGATE22
NULL NUMBER
QUARTER_AGGREGATE23
NULL NUMBER
QUARTER_AGGREGATE24
NULL NUMBER
QUARTER_AGGREGATE25
NULL NUMBER
QUARTER_AGGREGATE26
NULL NUMBER
QUARTER_AGGREGATE27
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this quarter, up to and including the 28th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 29th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 30th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 31st day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 32nd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 33rd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 4th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 35th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 1st day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 2nd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 3rd day of this accounting period. This column is only used for translated balances.
QUARTER_AGGREGATE28
QUARTER_AGGREGATE29
NULL NUMBER
QUARTER_AGGREGATE30
NULL NUMBER
QUARTER_AGGREGATE31
NULL NUMBER
QUARTER_AGGREGATE32
NULL NUMBER
QUARTER_AGGREGATE33
NULL NUMBER
QUARTER_AGGREGATE34
NULL NUMBER
QUARTER_AGGREGATE35
NULL NUMBER
YEAR_AGGREGATE1
NULL NUMBER
YEAR_AGGREGATE2
NULL NUMBER
YEAR_AGGREGATE3
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this year, up to and including the 4th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 5th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 6th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 7th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 8th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 9th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 10th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 11th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 12th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 13th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 14th day of this accounting period. This column is only used for translated balances.
YEAR_AGGREGATE5
NULL NUMBER
YEAR_AGGREGATE6
NULL NUMBER
YEAR_AGGREGATE7
NULL NUMBER
YEAR_AGGREGATE8
NULL NUMBER
YEAR_AGGREGATE9
NULL NUMBER
YEAR_AGGREGATE10
NULL NUMBER
YEAR_AGGREGATE11
NULL NUMBER
YEAR_AGGREGATE12
NULL NUMBER
YEAR_AGGREGATE13
NULL NUMBER
YEAR_AGGREGATE14
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this year, up to and including the 15th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 16th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 17th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 18th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 19th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 20th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 21st day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 22nd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 23rd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 24th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 25th day of this accounting period. This column is only used for translated balances.
YEAR_AGGREGATE16
NULL NUMBER
YEAR_AGGREGATE17
NULL NUMBER
YEAR_AGGREGATE18
NULL NUMBER
YEAR_AGGREGATE19
NULL NUMBER
YEAR_AGGREGATE20
NULL NUMBER
YEAR_AGGREGATE21
NULL NUMBER
YEAR_AGGREGATE22
NULL NUMBER
YEAR_AGGREGATE23
NULL NUMBER
YEAR_AGGREGATE24
NULL NUMBER
YEAR_AGGREGATE25
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this year, up to and including the 27th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 27th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 28th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 29th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 30th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 31st day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 32nd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 33rd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 34th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 35th day of this accounting period. This column is only used for translated balances.
YEAR_AGGREGATE27
NULL NUMBER
YEAR_AGGREGATE28
NULL NUMBER
YEAR_AGGREGATE29
NULL NUMBER
YEAR_AGGREGATE30
NULL NUMBER
YEAR_AGGREGATE31
NULL NUMBER
YEAR_AGGREGATE32
NULL NUMBER
YEAR_AGGREGATE33
NULL NUMBER
YEAR_AGGREGATE34
NULL NUMBER
YEAR_AGGREGATE35
NULL NUMBER
GL_ARCHIVE_HEADERS
GL_ARCHIVE_HEADERS is used by Oracle General Ledger s Archive and Purge program to archive your journal entries for a permanently closed fiscal year. When you archive your journal entries for a fiscal year, your Oracle General Ledger application copies rows for that year from the GL_JE_HEADERS table to this table. The columns in this table are identical to those in GL_JE_HEADERS.
Foreign Keys Primary Key Table FND_CURRENCIES FND_FLEX_VALUES FND_FLEX_VALUES FND_FLEX_VALUES GL_BUDGET_VERSIONS GL_DAILY_CONVERSION_TYPES GL_ENCUMBRANCE_TYPES GL_JE_BATCHES GL_JE_CATEGORIES_TL GL_JE_HEADERS GL_JE_HEADERS GL_JE_SOURCES_TL GL_RECURRING_HEADERS GL_SETS_OF_BOOKS QuickCodes Columns Column ACCRUAL_REV_CHANGE_SIGN_FLAG
Primary Key Column CURRENCY_CODE FLEX_VALUE FLEX_VALUE FLEX_VALUE BUDGET_VERSION_ID CONVERSION_TYPE ENCUMBRANCE_TYPE_ID JE_BATCH_ID JE_CATEGORY_NAME JE_HEADER_ID JE_HEADER_ID JE_SOURCE_NAME RECURRING_HEADER_ID SET_OF_BOOKS_ID
Foreign Key Column CURRENCY_CODE ORIGINATING_BAL_SEG_VALUE DR_BAL_SEG_VALUE CR_BAL_SEG_VALUE BUDGET_VERSION_ID CURRENCY_CONVERSION_TYPE ENCUMBRANCE_TYPE_ID JE_BATCH_ID JE_CATEGORY ACCRUAL_REV_JE_HEADER_ID JE_HEADER_ID JE_SOURCE FROM_RECURRING_HEADER_ID SET_OF_BOOKS_ID
QuickCodes Type YES/NO N Y YES/NO N Y REVERSAL STATUS R BATCH_TYPE A B E YES/NO N Y YES/NO N Y YES/NO N Y TAX_STATUS
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS Not (yet) reversed Reversed GL_LOOKUPS A B E GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS
ACCRUAL_REV_FLAG
ACCRUAL_REV_STATUS
ACTUAL_FLAG
BALANCED_JE_FLAG
CONVERSION_FLAG
MULTI_BAL_SEG_FLAG
TAX_STATUS_CODE
Description
LAST_UPDATE_DATE LAST_UPDATED_BY SET_OF_BOOKS_ID NAME JE_CATEGORY JE_SOURCE PERIOD_NAME CURRENCY_CODE STATUS DATE_CREATED ACCRUAL_REV_FLAG MULTI_BAL_SEG_FLAG ACTUAL_FLAG CONVERSION_FLAG DEFAULT_EFFECTIVE_DATE TAX_STATUS_CODE CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN ENCUMBRANCE_TYPE_ID BUDGET_VERSION_ID BALANCED_JE_FLAG BALANCING_SEGMENT_VALUE JE_BATCH_ID FROM_RECURRING_HEADER_ID UNIQUE_DATE EARLIEST_POSTABLE_DATE POSTED_DATE ACCRUAL_REV_EFFECTIVE_DATE ACCRUAL_REV_PERIOD_NAME ACCRUAL_REV_STATUS ACCRUAL_REV_JE_HEADER_ID ACCRUAL_REV_CHANGE_SIGN_FLAG DESCRIPTION
Journal entry header defining column NOT NULL DATE Standard Who column NOT NULL NUMBER(15) Standard Who column NOT NULL NUMBER(15) Accounting books defining column NOT NULL VARCHAR2(100) Journal entry name NOT NULL VARCHAR2(25) Journal entry category NOT NULL VARCHAR2(25) Journal entry source NOT NULL VARCHAR2(15) Accounting period NOT NULL VARCHAR2(15) Currency NOT NULL VARCHAR2(1) Journal entry header status NOT NULL DATE Date journal entry header was created NOT NULL VARCHAR2(1) Reversed journal entry flag NOT NULL VARCHAR2(1) Multiple balancing segments flag NOT NULL VARCHAR2(1) Balance type (Actual, Budget, or Encumbrance) NULL VARCHAR2(1) Translated amounts flag NOT NULL DATE Journal entry effective date NOT NULL VARCHAR2(1) Tax status NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Encumbrance type defining column NULL NUMBER(15) Budget version defining column NULL VARCHAR2(1) Balance journal entry flag NULL VARCHAR2(25) Key flexfield structure balancing segment value NULL NUMBER(15) Journal entry batch defining column NULL NUMBER(15) Recurring batch header defining column NULL VARCHAR2(30) Not currently used NULL DATE Earliest date journal entry header can be posted NULL DATE Date journal entry header was posted NULL DATE Reversed journal entry effective date NULL VARCHAR2(15) Reversed journal entry accounting period NULL VARCHAR2(1) Reversed journal entry status NULL NUMBER(15) Reversed journal entry defining column NOT NULL VARCHAR2(1) Type of reversal: Y Change Sign, N Switch Dr/Cr NULL VARCHAR2(240) Journal entry header description
(Continued) Null? Type NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NULL NULL NULL NULL NUMBER VARCHAR2(10) DATE VARCHAR2(80) NUMBER(15) Description Control total column Header running total debits, expressed in the entered currency Header running total credit, entered currency Header running total debit, base currency Header running total credit, base currency Currency exchange rate Type of currency exchange rate Date of currency exchange rate Extra reference column Defining column for the parent journal entry in the primary MRC book Defining column for the journal entry reversed by this journal entry The originating balancing segment value specified in the header The intercompany mode for the journal. Valid values are 1 through 4 The balancing segment value used on the debit side of an intercompany journal. This column is meaningful only for intercompany modes 1 and 2 The balancing segment value used on the credit side of an intercompany journal. This column is meaningful only for intercompany modes 1 and 3. Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column Reserved for countryspecific localizations Reserved for countryspecific localizations Reserved for countryspecific localizations Reserved for countryspecific localizations Reserved for countryspecific localizations Reserved for countryspecific localizations
RUNNING_TOTAL_ACCOUNTED_DR RUNNING_TOTAL_ACCOUNTED_CR CURRENCY_CONVERSION_RATE CURRENCY_CONVERSION_TYPE CURRENCY_CONVERSION_DATE EXTERNAL_REFERENCE PARENT_JE_HEADER_ID REVERSED_JE_HEADER_ID ORIGINATING_BAL_SEG_VALUE INTERCOMPANY_MODE DR_BAL_SEG_VALUE
CR_BAL_SEG_VALUE
NULL VARCHAR2(25)
ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 CONTEXT GLOBAL_ATTRIBUTE_CATEGORY GLOBAL_ATTRIBUTE1 GLOBAL_ATTRIBUTE2 GLOBAL_ATTRIBUTE3 GLOBAL_ATTRIBUTE4 GLOBAL_ATTRIBUTE5
NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL
VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
NULL VARCHAR2(30) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150)
(Continued) Null? Type Description NULL VARCHAR2(150) Reserved for countryspecific localizations NULL VARCHAR2(150) Reserved for countryspecific localizations NULL VARCHAR2(150) Reserved for countryspecific localizations NULL VARCHAR2(150) Reserved for countryspecific localizations NULL VARCHAR2(150) Reserved for countryspecific localizations NULL VARCHAR2(30) Global Reconciliation Descriptive Flexfield context NULL VARCHAR2(240) Global Reconciliation Descriptive Flexfield segment NULL VARCHAR2(30) Government transaction code NULL VARCHAR2(150) Descriptive Flexfield segment column NULL NUMBER Sequential numbering sequence defining column NULL NUMBER Sequential numbering sequence value
GLOBAL_ATTRIBUTE6 GLOBAL_ATTRIBUTE7 GLOBAL_ATTRIBUTE8 GLOBAL_ATTRIBUTE9 GLOBAL_ATTRIBUTE10 JGZZ_RECON_CONTEXT JGZZ_RECON_REF USSGL_TRANSACTION_CODE CONTEXT2 DOC_SEQUENCE_ID DOC_SEQUENCE_VALUE
GL_ARCHIVE_HISTORY
GL_ARCHIVE_HISTORY stores information about the archiving and purging of the GL_BALANCES, GL_DAILY_BALANCES, GL_JE_BATCHES, GL_JE_HEADERS, and GL_JE_LINES tables by the Archive and Purge program. Each row records the number of GL_BALANCES, GL_DAILY_BALANCES, GL_JE_BATCHES, GL_JE_HEADERS, and GL_JE_LINES rows in a set of books which were archived and/or purged for a given fiscal year. Each row also stores the periods that have been archived and/or purged for that year, the date of archival, the date of purge, and the user IDs of the archiver and the purger. If you have archived and purged all of your balances or transactions data for a given fiscal year, then TOTAL_RECORDS_ARCHIVED should match TOTAL_RECORDS_PURGED. If you have archived only, then TOTAL_RECORDS_PURGED is 0.
Foreign Keys Primary Key Table FND_USER FND_USER GL_BUDGET_VERSIONS GL_SETS_OF_BOOKS QuickCodes Columns Column ACTUAL_FLAG
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL DATE NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(1)
Description Accounting books defining column Fiscal year data archived/purged Standard Who column Standard Who column A for all balances, or J for journal archiving and purging Budget version defining column Effective period number of the latest archived period within this fiscal year Effective period number of the latest purged period within this fiscal year Balance type (Actual, Budget, or Encumbrance)
(PK)
(Continued) Null? Type NULL VARCHAR2(1) NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER(15) Description A for archived, B for both archived and purged Date archived User who ran archive program Number of records archived Date purged User who ran purge program Number of records purged For internal use by the Archive/Purge Program For internal use by the Archive/Purge Program For internal use by the Archive/Purge Program For internal use by the Archive/Purge Program
ARCHIVE_DATE ARCHIVED_BY TOTAL_RECORDS_ARCHIVED PURGE_DATE PURGED_BY TOTAL_RECORDS_PURGED TOTAL_HEADERS_PURGED TOTAL_LINES_PURGED TOTAL_REFERENCES_PURGED MAX_JE_HEADER_ID
Sequence 1 2 3 4 5
GL_ARCHIVE_LINES
GL_ARCHIVE_LINES is used by Oracle General Ledger s Archive and Purge program to archive your journal lines for a permanently closed fiscal year. When you archive your journal lines for a fiscal year, your Oracle General Ledger application copies rows for that year from the GL_JE_LINES table to this table. The columns in this table are identical to those in GL_JE_LINES.
Foreign Keys Primary Key Table GL_CODE_COMBINATIONS GL_JE_LINES GL_SETS_OF_BOOKS QuickCodes Columns Column AMOUNT_INCLUDES_TAX_FLAG
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS Down Nearest Up GL_LOOKUPS Input Output
IGNORE_RATE_FLAG
TAXABLE_LINE_FLAG
TAX_LINE_FLAG
TAX_ROUNDING_RULE_CODE
TAX_TYPE_CODE
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) NUMBER(15)
Description Journal entry header defining column Journal entry line number Standard Who column Standard Who column Accounting books defining column Key flexfield combination defining column Accounting period Journal entry line debit amount in entered currency
(Continued) Null? Type NOT NULL NULL NULL NULL NULL VARCHAR2(1) DATE NUMBER(15) NUMBER(15) NUMBER Description Journal entry line status Standard Who column Standard Who column Standard Who column Journal entry line debit amount in entered currency Journal entry line credit amount in entered currency Journal entry line debit amount in base currency Journal entry line credit amount in base currency Journal entry line description Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column Descriptive flexfield context column
STATUS CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN ENTERED_DR ENTERED_CR ACCOUNTED_DR ACCOUNTED_CR DESCRIPTION REFERENCE_1 REFERENCE_2 REFERENCE_3 REFERENCE_4 REFERENCE_5 REFERENCE_6 REFERENCE_7 REFERENCE_8 REFERENCE_9 REFERENCE_10 ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 ATTRIBUTE16 ATTRIBUTE17 ATTRIBUTE18 ATTRIBUTE19 ATTRIBUTE20 CONTEXT CONTEXT2
NULL NUMBER NULL NUMBER NULL NUMBER NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
NULL VARCHAR2(150)
(Continued) Null? Type Description NULL VARCHAR2(150) Descriptive flexfield context column NULL VARCHAR2(240) Descriptive flexfield context column NULL VARCHAR2(15) Value Added Tax descriptive flexfield segment NULL VARCHAR2(20) Value added tax descriptive flexfield segment NULL NUMBER Value Added Tax descriptive flexfield segment NULL VARCHAR2(150) Value Added Tax descriptive flexfield segment NULL NUMBER Statistical amount column NULL VARCHAR2(1) Modify amounts if exchange rate changes NULL DATE Value added tax descriptive flexfield context column NULL VARCHAR2(30) Government transaction code NULL NUMBER Sequential numbering sequence defining column NULL NUMBER Sequential numbering sequence value NULL NUMBER Link to associated subledger data NULL VARCHAR2(30) Table containing associated subledger data NULL VARCHAR2(30) Reserved for countryspecific localizations NULL VARCHAR2(150) Reserved for countryspecific localizations NULL VARCHAR2(150) Reserved for countryspecific localizations NULL VARCHAR2(150) Reserved for countryspecific localizations NULL VARCHAR2(150) Reserved for countryspecific localizations NULL VARCHAR2(150) Reserved for countryspecific localizations NULL VARCHAR2(150) Reserved for countryspecific localizations NULL VARCHAR2(150) Reserved for countryspecific localizations NULL VARCHAR2(150) Reserved for countryspecific localizations NULL VARCHAR2(150) Reserved for countryspecific localizations NULL VARCHAR2(150) Reserved for countryspecific localizations NULL VARCHAR2(1) Global Reconciliation descriptive flexfield segment NULL DATE Global Reconciliation descriptive flexfield segment NULL NUMBER Global Reconciliation descriptive flexfield segment NULL VARCHAR2(240) Global Reconciliation descriptive flexfield segment NULL VARCHAR2(30) Global Reconciliation descriptive flexfield context NULL VARCHAR2(1) Taxable line flag for automatic tax calculations
INVOICE_IDENTIFIER INVOICE_AMOUNT NO1 STAT_AMOUNT IGNORE_RATE_FLAG INVOICE_DATE USSGL_TRANSACTION_CODE SUBLEDGER_DOC_SEQUENCE_ID SUBLEDGER_DOC_SEQUENCE_VALUE GL_SL_LINK_ID GL_SL_LINK_TABLE GLOBAL_ATTRIBUTE_CATEGORY GLOBAL_ATTRIBUTE1 GLOBAL_ATTRIBUTE2 GLOBAL_ATTRIBUTE3 GLOBAL_ATTRIBUTE4 GLOBAL_ATTRIBUTE5 GLOBAL_ATTRIBUTE6 GLOBAL_ATTRIBUTE7 GLOBAL_ATTRIBUTE8 GLOBAL_ATTRIBUTE9 GLOBAL_ATTRIBUTE10 JGZZ_RECON_STATUS JGZZ_RECON_DATE JGZZ_RECON_ID JGZZ_RECON_REF JGZZ_RECON_CONTEXT TAXABLE_LINE_FLAG
(Continued) Null? Type NULL VARCHAR2(1) Description Tax type (Input or Output) for automatic tax calculations NULL NUMBER(15) Tax code defining column for automatic tax calculations NULL VARCHAR2(1) Rounding rule used for automatic tax calculations NULL VARCHAR2(1) Amount includes tax flag for automatic tax calculations NULL VARCHAR2(50) Tax document identifier NULL DATE Tax document date NULL VARCHAR2(240) Tax customer name NULL VARCHAR2(240) Tax customer reference NULL VARCHAR2(50) Tax registration number NULL VARCHAR2(1) Automatically generated tax line flag NULL NUMBER(15) Tax group id for automatic tax calculations
GL_ARCHIVE_REFERENCES
GL_ARCHIVE_REFERENCES is used by Oracle General Ledger s Archive and Purge program to archive your journal import reference information from GL_IMPORT_REFERENCES. The columns in this table are identical to the ones in GL_IMPORT_REFERENCES. Oracle General Ledger automatically archives your subledger reference information when you select to archive journal information in the Archive and Purge form.
Foreign Keys Primary Key Table GL_JE_BATCHES GL_JE_LINES
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL DATE NOT NULL NUMBER(15) NULL DATE NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL NUMBER NULL NUMBER NULL NUMBER NULL VARCHAR2(30)
Description Journal entry batch defining column Journal entry header defining column Journal entry line number Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Sequential numbering sequence defining column Sequential numbering sequence value Link to associated subledger data Table containing associated subledger data
JE_LINE_NUM (PK) LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN REFERENCE_1 REFERENCE_2 REFERENCE_3 REFERENCE_4 REFERENCE_5 REFERENCE_6 REFERENCE_7 REFERENCE_8 REFERENCE_9 REFERENCE_10 SUBLEDGER_DOC_SEQUENCE_ID SUBLEDGER_DOC_SEQUENCE_VALUE GL_SL_LINK_ID GL_SL_LINK_TABLE
GL_AUTHORIZATION_LIMITS
GL_AUTHORIZATION_LIMITS stores information about authorization limits for employees. Each row contains an employee and the employees authorization limit. This table corresponds to the Journal Authorization Limits window of the Journal Authorization Limits form.
Foreign Keys Primary Key Table GL_SETS_OF_BOOKS Column Descriptions Name SET_OF_BOOKS_ID EMPLOYEE_ID (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Accounting books defining column. Employee id. Foreign key to per_people. Authorization limit for an employee. Standard Who column. Standard Who Column. Standard Who Column. Standard Who Column. Standard Who Column. Descriptive flexfield context Descriptive Flexfield Segment. Descriptive Flexfield Segment. Descriptive Flexfield Segment. Descriptive Flexfield Segment. Descriptive Flexfield Segment. Descriptive Flexfield Segment. Descriptive Flexfield Segment. Descriptive Flexfield Segment. Descriptive Flexfield Segment. Descriptive Flexfield Segment. Descriptive Flexfield Segment. Descriptive Flexfield Segment Descriptive Flexfield Segment. Descriptive Flexfield Segment. Descriptive Flexfield Segment.
(PK)
AUTHORIZATION_LIMIT CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name GL_AUTHORIZATION_LIMITS_U1
Sequence 1 2
GL_AUTOMATIC_POSTING_OPTIONS
GL_AUTOMATIC_POSTING_OPTIONS stores the criteria used by the AutoPost program to select journal entries for posting. Each row stores the priority of this AutoPost criteria and contains the balance type, period, source, and category criteria used to select journal entries. There is a onetomany relationship between AutoPost Criteria Sets in GL_AUTOMATIC_POSTING_SETS and AutoPost criteria in this table.
Foreign Keys Primary Key Table GL_AUTOMATIC_POSTING_SETS GL_JE_CATEGORIES_TL GL_JE_SOURCES_TL QuickCodes Columns Column ACTUAL_FLAG
Column Descriptions Name AUTOPOST_SET_ID (PK) ACTUAL_FLAG (PK) PERIOD_NAME (PK) (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(25) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(2) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Autopost set id Autopost criterion: balance type; can be A, B, or E Autopost criterion: journal batch posting period Autopost criterion: journal source name Autopost criterion: journal category name Posting priority Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
JE_SOURCE_NAME
JE_CATEGORY_NAME POSTING_PRIORITY LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14
(Continued) Null? Type Description NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield context column
Sequence 2 4 6 8 10
GL_AUTOMATIC_POSTING_SETS
GL_AUTOMATIC_POSTING_SETS stores the automatic posting sets you define using the AutoPost Criteria Sets form. Each row includes the name and description of your set and its set level criteria. There is a onetomany relationship between a row in this table and rows in the GL_AUTOMATIC_POSTING_OPTIONS table.
Foreign Keys Primary Key Table GL_SETS_OF_BOOKS Column Descriptions Name AUTOPOST_SET_ID SET_OF_BOOKS_ID (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(30) NOT NULL VARCHAR2(1) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(1) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(240) NUMBER(2)
Description Autopost set defining column Accounting books defining column Autopost set name Submit all priorities defined in the set for posting flag Autopost set enabled flag Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Description Number of top priorities in the set to be submitted for posting. Number of days before the Autopost process date that a journals effective date must be on or after Number of days after the Autopost process date that a journals effective date must be on or before Descriptive Flexfield Segment Descriptive Flexfield Segment Descriptive Flexfield Segment Descriptive Flexfield Segment Descriptive Flexfield Segment Descriptive Flexfield Segment Descriptive Flexfield Segment Descriptive Flexfield Segment Descriptive Flexfield Segment Descriptive Flexfield Segment Descriptive Flexfield Segment Descriptive Flexfield Segment Descriptive Flexfield Segment Descriptive Flexfield Segment Descriptive Flexfield Segment Descriptive flexfield context
AUTOPOST_SET_NAME SUBMIT_ALL_PRIORITIES_FLAG ENABLED_FLAG LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN DESCRIPTION NUM_OF_PRIORITY_OPTIONS EFFECTIVE_DAYS_BEFORE
NULL NUMBER(5)
EFFECTIVE_DAYS_AFTER
NULL NUMBER(5)
ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 CONTEXT
NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL
VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Sequence 1 1 2
GL_AUTOREVERSE_OPTIONS
GL_AUTOREVERSE_OPTIONS stores the automatic reversal options you define using the Reversal Criteria form. Each row includes the journal category and its reversal criteria. One row is inserted into this table for each set of books when a new journal category is created through the Journal Categories form. The REVERSAL_DATE_CODE column is only used in ADB NonConsolidation sets of books. Its value should be null for other sets of books.
Foreign Keys Primary Key Table GL_JE_CATEGORIES_TL GL_SETS_OF_BOOKS QuickCodes Columns Column AUTOPOST_REVERSAL_FLAG
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS Switch Dr/Cr Change Sign
AUTOREVERSE_FLAG
METHOD_CODE
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(30) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Accounting books defining column Journal entry category name Reversal method Rule used to default the reversal period Indicates if automatic reversal is enabled Indicates if reversals are to be automatically posted Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Rule used to default the reversal date Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
JE_CATEGORY_NAME (PK) METHOD_CODE REVERSAL_PERIOD_CODE AUTOREVERSE_FLAG AUTOPOST_REVERSAL_FLAG LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN REVERSAL_DATE_CODE ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6
Column Descriptions Name ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 CONTEXT
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive column flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield segment segment segment segment segment segment segment segment segment context
Sequence 2 4
GL_AUTO_ALLOC_BATCHES
GL_AUTO_ALLOC_BATCHES stores one row for each batch included in the allocation set. Each row includes step_number, batch_id, batch_name, batch_type, owner, and allocation method. For a stepdown allocation set, the STEP NUMBER specifies the sequence in which the batch should be generated and posted. BATCH_TYPE_CODE is either A, B, E, R or P for MassAllocation, MassBudgets, Encumbrances, Recurring, or Projects batches respectively. ALLOCATION_METHOD_CODE is I for incremental allocation or F for full allocation method. Owner represents the role name, defined in WF_ROLES table, who will receive the notification when any error occurs in stepdown allocation run.
Foreign Keys Primary Key Table GL_AUTO_ALLOC_SETS PA_ALLOC_RULES_ALL Column Descriptions Name ALLOCATION_SET_ID BATCH_ID (PK) (PK)
Description Allocation set defining column Defining column for Massallocation batch,Recurring Journal Batch, or Project batch. Batch type (MassAllocations,MassBudgets, MassEncumbrances, Recurring Journals, or Project) Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Sequence in which batch is to be generated by stepdown set. The owner/role specified for a Allocation batch who will receive a notification when any error occurs in Stepdown allocations set Allocation method used for batch generation. Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
BATCH_TYPE_CODE
(PK)
NULL VARCHAR2(100)
ALLOCATION_METHOD_CODE ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9
NULL VARCHAR2(1) NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Column Descriptions Name ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 CONTEXT Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive flexfield flexfield flexfield flexfield flexfield flexfield flexfield segment segment segment segment segment segment context
Sequence 1 2 3
GL_AUTO_ALLOC_BATCHES_U1
GL_AUTO_ALLOC_BATCH_HISTORY
GL_AUTO_ALLOC_BATCH_HISTORY stores, for every run of an allocation set, one row for each batch in the allocation set. Each row includes a unique auto_alloc_batch_id, as well as a batch_name, a batch_type, owner, and allocation method. This table is required as batches included in the allocation set can be modified after the request submission and before the request is executed. For stepdown allocation set, the STEP NUMBER specifies the sequence in which batch should be generated and posted. BATCH_TYPE_CODE is either A, B, E, R or P for MassAllocation, MassBudgets, Encumbrances, Recurring, or Projects batch respectively. ALLOCATION_METHOD_CODE is I for incremental allocation or F for full allocation method. Owner represents the role name, defined in WF_ROLES table, who will receive the notification, for this particular batch, when any error occurs in stepdown allocation run.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS GL_JE_BATCHES PA_ALLOC_RUNS_ALL Column Descriptions Name REQUEST_ID BATCH_ID (PK)
Description
(PK)
BATCH_TYPE_CODE
(PK)
NOT
ALLOCATION_METHOD_CODE GENERATED_JE_BATCH_ID
Auto allocation concurrent request id NULL NUMBER(15) Defining column for Massalocation batch, Recurring Journal batch, MassBudget batch, or Project batch. NULL VARCHAR2(1) Batch Type (Massallocations, MassBudgets, MassEncumbrances, Recurring Journals, or Project Allocations) NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER Sequence in which batch is to be generated for stepdown set. NULL VARCHAR2(100) The owner/role specified for a Allocation batch who will receive notifications when any error occurs in Allocations NULL VARCHAR2(1) Allocation method used for batch generation. NULL NUMBER(15) Defining column for generated journal batch
(Continued) Null? Type NULL NUMBER(15) Description Defining column for generated project rule id NULL VARCHAR2(150) Run status of each step in allocation set NULL VARCHAR2(1) Flag to indicate that step is generated and posted NULL VARCHAR2(1) Flag to indicate that all headers for the generated batch are reversed during rollback
Sequence 1 2 3 1 2
GL_AUTO_ALLOC_BAT_HIST_DET
GL_AUTO_ALLOC_BAT_HIST_DET stores one row for each concurrent program submitted for a batch in the allocation set. The View Allocation Step Status form is based on this table. RUN_MODE is N if program is executed for normal allocation set run or R if program is executed as part of rollback process for the allocation set. STATUS_CODE is C, R, P, or F for Completed, Running, Pending, or Failed, respectively. PROGRAM_NAME_CODE represents the concurrent program executable name.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS FND_CONCURRENT_REQUESTS Column Descriptions Name REQUEST_ID PROGRAM_NAME_CODE PARENT_REQUEST_ID STEP_NUMBER LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY RUN_MODE STATUS_CODE Indexes Index Name GL_AUTO_ALLOC_BAT_HIST_DET_N1 GL_AUTO_ALLOC_BAT_HIST_DET_N2
Description
Defining column for submitted concurrent request NOT NULL VARCHAR2(150) Concurrent program name code NOT NULL NUMBER(15) Auto allocate concurrent request id NOT NULL NUMBER(15) Sequence in which steps are generated NOT NULL DATE Standard Who column NOT NULL NUMBER(15) Standard Who column NOT NULL NUMBER(15) Standard Who column NOT NULL DATE Standard Who column NOT NULL NUMBER(15) Standard Who column NULL VARCHAR2(1) Normal or Rollback mode NULL VARCHAR2(150) Status of concurrent program
Sequence 1 2 1
GL_AUTO_ALLOC_REV_BATCHES
GL_AUTO_ALLOC_REV_BATCHES stores the reverse journal batches that are generated for a batch during AutoAllocation rollback process. BATCH_ID is the defining column for the batch included in the allocation set. BATCH_TYPE_CODE is either A, B, E, R, or P for MassAllocation, MassBudgets, Encumbrances, Recurring, or Projects batch respectively. Batches are reversed, as a part of rollback process, only if the allocation set doesnt have any project batch.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS FND_CONCURRENT_REQUESTS GL_JE_BATCHES GL_JE_HEADERS Column Descriptions Name REVERSAL_JE_HEADER_ID REVERSAL_JE_BATCH_ID REQUEST_ID PARENT_REQUEST_ID JE_BATCH_ID JE_HEADER_ID BATCH_TYPE_CODE (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(1)
Description Defining column of the reversal journal header. Defining column of the reversal batch Reverse Journal concurrent program request id Auto allocation concurrent request id Defining column for Journal batch for which reversal is generated. Defining column for Journal batch for which reversal is generated Batch Type (MassAllocations, MassBudgets, MassEncumbrances, Recurring Journals, or Project Allocations) Standard Who Column Standard Who column Standard who column Standard Who column Standard Who Column
LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY Indexes Index Name GL_AUTO_ALLOC_REV_BATCHES_N1 GL_AUTO_ALLOC_REV_BATCHES_N2 GL_AUTO_ALLOC_REV_BATCHES_U1
Sequence 5 10 5 10 5
GL_AUTO_ALLOC_SETS
GL_AUTO_ALLOC_SETS stores information about AutoAllocation sets. Each row includes the Allocation Sets unique id, name, type, owner, and description. ALLOCATION_SET_TYPE_CODE values are S for a step down allocation set or P for a parallel allocation set. ALLOCATION_CODE is GL if the allocation set is created by a GL responsibility or PA for a project responsibility. OWNER is null for a parallel allocation set and not null for a stepdown allocation set.
Foreign Keys Primary Key Table GL_SETS_OF_BOOKS Column Descriptions Name ALLOCATION_SET_ID SET_OF_BOOKS_ID (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(40) NOT NULL VARCHAR2(2) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(15)
Description Allocation set defining column Accounting sets of books defining column Allocation set type Allocation set name Responsibility used to create this record (GL for General Ledger and PA for Projects) Standard Who column Standard Who column Standard Who Column Standard Who column Standard Who column Organization Id for multi org installation. Used only for project autoallocation sets. Allocation set description Default contact specified for an Allocation set who will receive notifications when any error occurs in a Stepdown allocation set run Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
ALLOCATION_SET_TYPE_CODE ALLOCATION_SET_NAME ALLOCATION_CODE LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY ORG_ID DESCRIPTION OWNER
ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15
NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL
VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Sequence 5 5
GL_AUTO_ALLOC_SETS_N1 GL_AUTO_ALLOC_SETS_U1
GL_AUTO_ALLOC_SET_HISTORY
GL_AUTO_ALLOC_SET_HISTORY stores one row for each run of an Allocation set. Each row represents the allocation set definition at the time of the submission of the request. This table needs to store run time submission parameters for each allocation set run as well as allocation set definition, as the set can be modified after the request submission and before the request is executed. Use the information in this table to determine what submission parameter, like accounting periods, budget, effective date, etc. is used for each allocation set run. ALLOCATION_SET_TYPE_CODE values is S for step down allocation set or P for parallel allocation set. ALLOCATION_CODE is GL if allocation set is created by GL responsibility or PA for project responsibility.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS GL_AUTO_ALLOC_SETS GL_BUDGET_VERSIONS GL_SETS_OF_BOOKS Column Descriptions Name REQUEST_ID (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT
Description
ALLOCATION_SET_ID ALLOCATION_CODE ALLOCATION_SET_TYPE_CODE SET_OF_BOOKS_ID ALLOCATION_SET_NAME LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY ORG_ID DESCRIPTION OWNER
PERIOD_NAME BUDGET_VERSION_ID
Auto Allocation concurrent request id NULL NUMBER(15) Allocation set defining column NULL VARCHAR2(2) Responsibility used to create this record (GL for General Ledger and PA for Projects) NULL VARCHAR2(1) Set type ( StepDown or Parallel) NULL NUMBER(15) Accounting books defining column NULL VARCHAR2(40) Allocation set name NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Organization Id for multi org installation. Used only for project allocation sets. NULL VARCHAR2(240) Allocation set description NULL VARCHAR2(100) The owner/role specified for a Allocation set who will receive notifications when any error occurs in Allocations NULL VARCHAR2(15) Accounting period for creating journals NULL VARCHAR2(15) Defining column for budget to be used for recurring batch.
(Continued) Null? Type NULL DATE NULL NULL NULL NULL NULL NULL Description Journal effective date for creating journals DATE Calculation effective date for retrieving average balances. VARCHAR2(1) Code to determine whether to generate a standard or Average journal batch VARCHAR2(15) Accounting period for GL batch VARCHAR2(15) Accounting period for project batch DATE Expenditure item date for project VARCHAR2(1000) URL address of work flow monitor
Sequence 5 1 3 5
GL_BALANCES
GL_BALANCES stores actual, budget, and encumbrance balances for detail and summary accounts. This table stores functional currency, foreign currency, and statistical balances for each accounting period that has ever been opened. ACTUAL_FLAG is either A, B, or E for actual, budget, or encumbrance balances, respectively. If ACTUAL_FLAG is B, then BUDGET_VERSION_ID is required. If ACTUAL_FLAG is E, then ENCUMBRANCE_TYPE_ID is required. GL_BALANCES stores period activity for an account in the PERIOD_NET_DR and PERIOD_NET_CR columns. The table stores the period beginning balances in BEGIN_BALANCE_DR and BEGIN_BALANCE_CR. An accounts yeartodate balance is calculated as BEGIN_BALANCE_DR BEGIN_BALANCE_CR + PERIOD_NET_DR PERIOD_NET_CR. Detail and summary foreign currency balances that are the result of posted foreign currency journal entries have TRANSLATED_FLAG set to R, to indicate that the row is a candidate for revaluation. For foreign currency rows, the begin balance and period net columns contain the foreign currency balance, while the begin balance and period net BEQ columns contain the converted functional currency balance. Detail foreign currency balances that are the result of foreign currency translation have TRANSLATED_FLAG set to Y or N. N indicates that the translation is out of date (i.e., the account needs to be retranslated). Y indicates that the translation is current. Summary foreign currency balances that are the result of foreign currency translation have TRANSLATED_FLAG set to NULL. All summary account balances have TEMPLATE_ID not NULL. The columns that end in ADB are not used. Also, the REVALUATION_STATUS column is not used.
Foreign Keys Primary Key Table FND_CURRENCIES GL_BUDGET_VERSIONS GL_CODE_COMBINATIONS GL_ENCUMBRANCE_TYPES GL_PERIOD_TYPES GL_SETS_OF_BOOKS GL_SUMMARY_TEMPLATES QuickCodes Columns Column ACTUAL_FLAG
Primary Key Column CURRENCY_CODE BUDGET_VERSION_ID CODE_COMBINATION_ID ENCUMBRANCE_TYPE_ID PERIOD_TYPE SET_OF_BOOKS_ID TEMPLATE_ID
Foreign Key Column CURRENCY_CODE BUDGET_VERSION_ID CODE_COMBINATION_ID ENCUMBRANCE_TYPE_ID PERIOD_TYPE SET_OF_BOOKS_ID TEMPLATE_ID
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(1) NOT NULL DATE NOT NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(1) VARCHAR2(1) VARCHAR2(15) NUMBER(15) NUMBER(15) NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER
Description Accounting books defining column Key flexfield combination defining column Currency Accounting period Balance type (Actual, Budget, or Encumbrance Standard Who column Standard Who column Budget version defining column Encumbrance type defining column Translated balance flag Not currently used Accounting period type Accounting period year Accounting period number Period net debit balance Period net credit balance Not currently used Quarter to date debit balance Quarter to date credit balance Not currently used Not currently used Accumulated project debit balance (life to date balance) Accumulated project credit balance Not currently used Beginning debit balance Beginning credit balance Period net debit balance, base currency Period net credit balance, base currency Beginning debit balance, base currency Beginning credit balance, base currency Summary template defining column Purchasing encumbrance column Purchasing encumbrance column
LAST_UPDATE_DATE LAST_UPDATED_BY BUDGET_VERSION_ID (PK) ENCUMBRANCE_TYPE_ID (PK) TRANSLATED_FLAG (PK) REVALUATION_STATUS PERIOD_TYPE PERIOD_YEAR PERIOD_NUM PERIOD_NET_DR PERIOD_NET_CR PERIOD_TO_DATE_ADB QUARTER_TO_DATE_DR QUARTER_TO_DATE_CR QUARTER_TO_DATE_ADB YEAR_TO_DATE_ADB PROJECT_TO_DATE_DR PROJECT_TO_DATE_CR PROJECT_TO_DATE_ADB BEGIN_BALANCE_DR BEGIN_BALANCE_CR PERIOD_NET_DR_BEQ PERIOD_NET_CR_BEQ BEGIN_BALANCE_DR_BEQ BEGIN_BALANCE_CR_BEQ TEMPLATE_ID ENCUMBRANCE_DOC_ID ENCUMBRANCE_LINE_NUM Indexes Index Name GL_BALANCES_N1 GL_BALANCES_N2 GL_BALANCES_N3 GL_BALANCES_N4
NULL NUMBER NULL NULL NULL NULL NUMBER NUMBER NUMBER NUMBER
NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15)
Index Type NOT UNIQUE NOT UNIQUE NOT UNIQUE NOT UNIQUE
Sequence 1 2 1 1 2 1
GL_BC_DUAL
GL_BC_DUAL contains one row which the Funds Checker locks in row share mode right before it begins its SQL statement that checks funds consumed by earlier pending and accepted transactions in the budgetary control queue table. The lock is released after the Funds Checker executes a second SQL statement that checks posted funds available in GL_BALANCES. The purpose of this lock is to prevent the case where the Posting process commits its update of GL_BALANCES and delete of GL_BC_PACKETS in between the two separate SQL statements the Funds Checker has to run to check funds availability. Hence funds do not get counted twice. Posting will perform its update of GL_BALANCES and delete of GL_BC_PACKETS and then attempt to lock GL_BC_DUAL. If successful, Posting will commit its update and delete, and then release its lock. Otherwise Posting waits until all other Funds Checker processes release their locks on GL_BC_DUAL before committing. Posting requests its lock in exclusive mode.
Column Descriptions Name DUMMY
GL_BC_DUAL2
GL_BC_DUAL2 contains one row that the Funds Checker locks in row share mode when it needs to summarize detail transactions for those summary templates whose checking level is absolute or advisory. The Add/Delete Summary Templates program also contains logic to summarize accepted detail transactions by the template it is creating, if the template is absolute or advisory. It will lock GL_BC_DUAL2 in exclusive mode. The purpose for these locks is to prevent both programs from summarizing detail transactions, and also to avoid the case where neither does the summarization.
Column Descriptions Name DUMMY
GL_BC_EVENT_TIMESTAMPS
GL_BC_EVENT_TIMESTAMPS records the last time that a summary template was either created or deleted and the last time that a budget assignment range was either created or deleted.
Foreign Keys Primary Key Table FND_ID_FLEX_STRUCTURES QuickCodes Columns Column EVENT_CODE
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NULL DATE NOT NOT NOT NOT NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15)
Description Key flexfield structure defining column Budget assignment range or summary template Date with time in Hours24:Minutes:Seconds format Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column
DATE_TIMESTAMP LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN Indexes Index Name GL_BC_EVENT_TIMESTAMPS_U1
Sequence 1 2
GL_BC_OPTIONS
GL_BC_OPTIONS contains information about the budgetary control options you define using the Define Budgetary Control Option form. Each record includes the budgetary control options unique ID number, name and description.
Column Descriptions Name BC_OPTION_ID (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL VARCHAR2(30) DATE NUMBER(15) DATE NUMBER(15) VARCHAR2(240)
Description Budgetary control option defining column Budgetary control option name Standard Who column Standard Who column Standard Who column Standard Who column Budgetary control option description Standard Who column Descriptive flexfield context column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
BC_OPTION_NAME LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY DESCRIPTION LAST_UPDATE_LOGIN CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name GL_BC_OPTIONS_U1 GL_BC_OPTIONS_U2 Sequences Sequence GL_BC_OPTIONS_S
NULL NUMBER(15) NULL VARCHAR2(150) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Sequence 1 1
GL_BC_OPTION_DETAILS
GL_BC_OPTION_DETAILS contains the detail information pertaining to the budgetary control options you have defined. This table stores information about the OVERRIDE_AMOUNT, TOLERANCE_PERCENTAGE, and TOLERANCE_AMOUNT for each journal entry source/category combination for which you defined a budgetary control option.
Foreign Keys Primary Key Table GL_BC_OPTIONS GL_JE_CATEGORIES_TL GL_JE_SOURCES_TL QuickCodes Columns Column FUNDS_CHECK_LEVEL_CODE
Null? Type NOT NULL NUMBER(15) NOT NULL DATE NOT NULL NUMBER(15) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(1) NOT NULL DATE NOT NULL NUMBER(15) NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER(15) NULL VARCHAR2(150) NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Budgetary control option defining column Standard Who column Standard Who column Journal entry source user defined name Journal entry category user defined name Funds checking severity level Standard Who column Standard Who column Maximum transaction amount that can be used to override a funds check failure Percentage of funding budget that can be exceeded Allowable amount to exceed funding budget Standard Who column Descriptive flexfield context column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
FUNDS_CHECK_LEVEL_CODE CREATION_DATE CREATED_BY OVERRIDE_AMOUNT TOLERANCE_PERCENTAGE TOLERANCE_AMOUNT LAST_UPDATE_LOGIN CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9
Column Descriptions Name ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive flexfield flexfield flexfield flexfield flexfield flexfield segment segment segment segment segment segment
Sequence 1 2 3
GL_BC_OPTION_DETAILS_U1
GL_BC_PACKETS
GL_BC_PACKETS is Oracle General Ledger s main table for the Budgetary Control feature. This table stores the budgetary control packets that need to be approved before creating journal entries. A budgetary control packet contains information about a set of transaction(s) you want to approve before entering it into the system. The Funds Checker program evaluates these packets and updates the RESULT_CODE column in GL_BC_PACKETS with a lookup code signifying the result of the funds check. Once a packet passes its funds check and a journal entry batch is created, the packet is removed from GL_BC_PACKETS.
Foreign Keys Primary Key Table FND_CURRENCIES GL_BUDGET_VERSIONS GL_BUDGET_VERSIONS GL_CODE_COMBINATIONS GL_ENCUMBRANCE_TYPES GL_JE_BATCHES GL_JE_CATEGORIES_TL GL_JE_HEADERS GL_JE_LINES GL_JE_SOURCES_TL GL_SETS_OF_BOOKS GL_SUMMARY_TEMPLATES GL_USSGL_TRANSACTION_CODES QuickCodes Columns Column ACCOUNT_CATEGORY_CODE
Primary Key Column CURRENCY_CODE BUDGET_VERSION_ID BUDGET_VERSION_ID CODE_COMBINATION_ID ENCUMBRANCE_TYPE_ID JE_BATCH_ID JE_CATEGORY_NAME JE_HEADER_ID JE_HEADER_ID JE_LINE_NUM JE_SOURCE_NAME SET_OF_BOOKS_ID TEMPLATE_ID USSGL_TRANSACTION_CODE
Foreign Key Column CURRENCY_CODE BUDGET_VERSION_ID FUNDING_BUDGET_VERSION_ID CODE_COMBINATION_ID ENCUMBRANCE_TYPE_ID JE_BATCH_ID JE_CATEGORY_NAME JE_HEADER_ID JE_HEADER_ID JE_LINE_NUM JE_SOURCE_NAME SET_OF_BOOKS_ID TEMPLATE_ID USSGL_TRANSACTION_CODE
QuickCodes Type ACCOUNT_CATEGORY_CODE B P ACCOUNT TYPE A E L O R BATCH_TYPE A B E PTD_YTD PJTD PTD QTD YTD
QuickCodes Table GL_LOOKUPS Budgetary Proprietary GL_LOOKUPS A E L O R GL_LOOKUPS A B E GL_LOOKUPS PJTD PTD QTD YTD
ACCOUNT_TYPE
ACTUAL_FLAG
AMOUNT_TYPE
(Continued) QuickCodes Type BOUNDARY_TYPE J P Q Y DR_CR C D EFFECT_ON_FUNDS_CODE D I FUNDS_CHECK_LEVEL B D N FUNDS_CHECK_RESULT_CODE F00 F01 F02 F03 F04 F05 F06 F10 F11 F12 F13 F14 F15 F20 F21 F22 F23 F24 F25 F26 F27 F28 P00 P01 P02 P03 P04 P05 P10 QuickCodes Table GL_LOOKUPS Project Period Quarter Year GL_LOOKUPS CR DR GL_LOOKUPS Decreasing Increasing GL_LOOKUPS Absolute Advisory None GL_LOOKUPS Insufficient funds (detail) Insufficient funds (>summary) Insufficient funds (summary) Insufficient funds (pending) Insufficient funds (both) Insuff funds (<generated) Insuff funds (prop<assoc) Insufficient funds (budgetary) Insuff funds (>sum budgetary) Insuff funds (sum budgetary) Insuff funds (pend budgetary) Insuff funds (both budgetary) Insuff funds (budg<assoc) Nonexistent flexfield Disabled or expired flexfield Posting not allowed Budgeting not allowed Nonexistent period Period not open or future Period not in open budget year Frozen budget Expired USSGL transaction code Funds not reduced Funds check not required Not funding budget Foreign currency budget Add Summary program created Force passed funds check Passed funds check
DR_CR_CODE
EFFECT_ON_FUNDS_CODE
FUNDS_CHECK_LEVEL_CODE
RESULT_CODE
(Continued) QuickCodes Type P15 P20 P21 P22 P23 P25 P26 P27 QuickCodes Table Passed funds check (budgetary) Advisory warning Passed due to override Advisory warning (>summary) Passed due to override (sum) Advisory warning (budgetary) Passed due to override (gen) Advisory warning (>sum bud) GL_LOOKUPS Approved Checking Failed Check Pending Rejected Passed Check Fatal
STATUS_CODE
FUNDS_CHECK_STATUS_CODE A C F P R S T
Column Descriptions Name PACKET_ID SET_OF_BOOKS_ID JE_SOURCE_NAME JE_CATEGORY_NAME CODE_COMBINATION_ID ACTUAL_FLAG PERIOD_NAME PERIOD_YEAR PERIOD_NUM QUARTER_NUM CURRENCY_CODE STATUS_CODE LAST_UPDATE_DATE LAST_UPDATED_BY BUDGET_VERSION_ID ENCUMBRANCE_TYPE_ID TEMPLATE_ID ENTERED_DR ENTERED_CR ACCOUNTED_DR ACCOUNTED_CR USSGL_TRANSACTION_CODE ORIGINATING_ROWID
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(25) NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(15) NUMBER(15) NUMBER(15) NUMBER(15) VARCHAR2(15) VARCHAR2(1) DATE NUMBER(15) NUMBER(15) NUMBER(15)
Description Budgetary control packet defining column Accounting books defining column Journal entry source name Journal entry category name Key flexfield combination defining column Balance type (Actual, Budget, or Encumbrance) Accounting period Accounting period year Accounting period number Accounting period quarter Currency Funds check/reservation status Standard Who column Standard Who column Budget version defining column Encumbrance type defining column Summary template defining column Transaction debit amount in entered currency Transaction credit amount in entered currency Transaction debit amount in functional currency Transaction credit amount in functional currency Government transaction code Row id of originating budgetary or proprietary transaction for a USSGL generated budgetary or proprietary transaction
NULL NUMBER(15) NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL VARCHAR2(30) NULL ROWID
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(1) NULL NUMBER(15) NULL VARCHAR2(1) NULL VARCHAR2(4) NULL VARCHAR2(1) NULL NUMBER NULL NUMBER NULL NUMBER NULL VARCHAR2(1) NULL VARCHAR2(1) NULL VARCHAR2(1) NULL VARCHAR2(1) NULL VARCHAR2(3) NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NULL NULL NULL NUMBER NUMBER NUMBER VARCHAR2(100) Description Value of key flexfield account segment Automatically create encumbrance batch Budget version defining column of funding budget Funds checking severity level Amount type (Period to date, year to date, etc.) Budgetary control time interval end point Percentage of funding budget that can be exceeded Allowable amount to exceed funding budget Maximum transaction amount that can be used to override a funds check failure Debit or credit transaction Key flexfield combination type (Asset, liability, ..., Budgetary Dr/Cr) Key flexfield category (Proprietary or budgetary) Effect of transaction on funds available, increasing or decreasing Result of funds check/reservation Posted balance used in funds available calculation Posted balance used in funds available calculation Posted balance used in funds available calculation Balance approved, but not posted Balance approved, but not posted Balance approved, but not posted Balance pending funds check Balance pending funds check Balance pending funds check Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry batch name Journal entry batch defining column Journal entry header defining column Journal entry line number
ACCOUNT_SEGMENT_VALUE AUTOMATIC_ENCUMBRANCE_FLAG FUNDING_BUDGET_VERSION_ID FUNDS_CHECK_LEVEL_CODE AMOUNT_TYPE BOUNDARY_CODE TOLERANCE_PERCENTAGE TOLERANCE_AMOUNT OVERRIDE_AMOUNT DR_CR_CODE ACCOUNT_TYPE ACCOUNT_CATEGORY_CODE EFFECT_ON_FUNDS_CODE RESULT_CODE BUDGET_POSTED_BALANCE ACTUAL_POSTED_BALANCE ENCUMBRANCE_POSTED_BALANCE BUDGET_APPROVED_BALANCE ACTUAL_APPROVED_BALANCE ENCUMBRANCE_APPROVED_BALANCE BUDGET_PENDING_BALANCE ACTUAL_PENDING_BALANCE ENCUMBRANCE_PENDING_BALANCE REFERENCE1 REFERENCE2 REFERENCE3 REFERENCE4 REFERENCE5 JE_BATCH_NAME JE_BATCH_ID JE_HEADER_ID JE_LINE_NUM
NULL VARCHAR2(100) NULL VARCHAR2(100) NULL VARCHAR2(100) NULL VARCHAR2(100) NULL VARCHAR2(100) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15)
(Continued) Null? Type Description NULL VARCHAR2(240) Journal entry line description
Index Type NOT UNIQUE NOT UNIQUE NOT UNIQUE NOT UNIQUE
Sequence 1 1 6 1 1 2 3
GL_BC_PACKET_ARRIVAL_ORDER
GL_BC_PACKET_ARRIVAL_ORDER keeps track of the order in which budgetary control packets need to be processed. Each packet has a sequence number, with the higher priority being given to packets with the lower arrival sequence. GL_BC_PACKET_ARRIVAL_ORDER is also used to determine the impact of budgetary control packets on one another. The AFFECT_FUNDS_FLAG lets the Funds Checker determine if a packet already processed affects funds available.
Foreign Keys Primary Key Table GL_BC_PACKETS GL_SETS_OF_BOOKS QuickCodes Columns Column AFFECT_FUNDS_FLAG
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NULL DATE NOT NULL NUMBER(15)
Description Budgetary control packet defining column Accounting books defining column Budgetary control packet arrival order Affect packet has on funds availability of later arriving packets Standard Who column Standard Who column
Sequence 1 1 1 2 3 4
GL_BC_PERIOD_MAP
GL_BC_PERIOD_MAP was created to maximize the performance of a query on the GL_BALANCES table. The aforementioned query determines funds availability for journal entries. This table stores up to date information related to the accounting period(s) that need to be queried to perform a funds check.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS GL_BUDGET_VERSIONS GL_SETS_OF_BOOKS QuickCodes Columns Column ACTUAL_FLAG
BOUNDARY_CODE
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) (PK) NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(1) (PK) NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) DATE DATE NUMBER(15) NUMBER NUMBER(15) NUMBER(15) NUMBER(15) DATE
Description Accounting books defining column Budgetary control time interval end point Accounting period name for transaction awaiting funds check Transaction balance type (Actual, Budget, or Encumbrance) Budget version defining column Accounting period name for transactions that affect funds availability Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Concurrent process request id Extended Who column Extended Who column Extended Who column
(PK)
BUDGET_VERSION_ID QUERY_PERIOD_NAME
Sequence 1 2 3 4 5 1 2 3 4 5 6
Column Name SET_OF_BOOKS_ID TRANSACTION_PERIOD_NAME ACTUAL_FLAG BOUNDARY_CODE BUDGET_VERSION_ID SET_OF_BOOKS_ID TRANSACTION_PERIOD_NAME ACTUAL_FLAG BOUNDARY_CODE BUDGET_VERSION_ID QUERY_PERIOD_NAME
GL_BC_PERIOD_MAP_U2
UNIQUE
GL_BUDGETS
GL_BUDGETS stores information about your budgets. Each row includes a budgets name, first and last periods, date created, and status. This table corresponds to the Define Budget form. Oracle General Ledger supports only one budget type (STANDARD), so you can uniquely identify a row with only the budget name. The CURRENT_VERSION_ID column is not currently used.
Foreign Keys Primary Key Table GL_BUDGET_TYPES GL_SETS_OF_BOOKS QuickCodes Columns Column REQUIRE_BUDGET_JOURNALS_FLAG
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS Current Frozen Inactive Open Running Copy
STATUS
Column Descriptions Name BUDGET_TYPE (PK) BUDGET_NAME (PK) SET_OF_BOOKS_ID LAST_UPDATE_DATE LAST_UPDATED_BY STATUS DATE_CREATED REQUIRE_BUDGET_JOURNALS_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN CURRENT_VERSION_ID LATEST_OPENED_YEAR FIRST_VALID_PERIOD_NAME LAST_VALID_PERIOD_NAME DESCRIPTION DATE_CLOSED ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3
Null? Type NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(15) NOT NULL NUMBER(15) NOT NULL DATE NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NULL DATE NOT NULL VARCHAR2(1) NULL DATE NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(15) NULL VARCHAR2(15) NULL NULL NULL NULL NULL VARCHAR2(240) DATE VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Budget type (always STANDARD) Budget name Accounting books defining column Standard Who column Standard Who column Budgets status (Open, Closed, Current, etc.) Date budget was created Journals required for budget Standard Who column Standard Who column Standard Who column Not currently used Latest year of the budget that is open Begin accounting period for the budget Final accounting period for the budget Budget description Date budget was closed Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
(Continued) Null? Type NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive column flexfield flexfield flexfield flexfield flexfield flexfield segment segment segment segment segment context
Sequence 1 2
GL_BUDGET_ASSIGNMENTS
GL_BUDGET_ASSIGNMENTS stores the accounts that are assigned to each budget organization. Each row includes the currency assigned to the account and the entry code for the account. The entry code is either E for entered or C for calculated. This table corresponds to the Account Assignments window of the Define Budget Organization form.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS FND_CURRENCIES GL_BUDGET_ASSIGNMENT_RANGES GL_BUDGET_ENTITIES GL_BUDGET_VERSIONS GL_CODE_COMBINATIONS GL_SETS_OF_BOOKS QuickCodes Columns Column AMOUNT_TYPE
Primary Key Column REQUEST_ID CURRENCY_CODE RANGE_ID BUDGET_ENTITY_ID BUDGET_VERSION_ID CODE_COMBINATION_ID SET_OF_BOOKS_ID
Foreign Key Column REQUEST_ID CURRENCY_CODE RANGE_ID BUDGET_ENTITY_ID FUNDING_BUDGET_VERSION_ID CODE_COMBINATION_ID SET_OF_BOOKS_ID
QuickCodes Type PTD_YTD PJTD PTD QTD YTD YES/NO N Y BOUNDARY_TYPE J P Q Y ENTRY_CODE C E FUNDS_CHECK_LEVEL B D N
QuickCodes Table GL_LOOKUPS PJTD PTD QTD YTD GL_LOOKUPS No Yes GL_LOOKUPS Project Period Quarter Year GL_LOOKUPS Calculated Entered GL_LOOKUPS Absolute Advisory None
AUTOMATIC_ENCUMBRANCE_FLAG
BOUNDARY_CODE
ENTRY_CODE
FUNDS_CHECK_LEVEL_CODE
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15)
Description Accounting books defining column Budget version defining column Currency Key flexfield combination defining column Account range assignment defining column
(PK)
(Continued) Null? Type NOT NULL VARCHAR2(1) NOT NULL DATE NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NULL VARCHAR2(25) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(4) Description Method to determine account balance (Entered/Calculated) Standard Who column Standard Who column Automatically create encumbrance batch Funds checking severity level Key flexfield account segment value Standard Who column Standard Who column Standard Who column No longer used No longer used No longer used No longer used No longer used No longer used No longer used No longer used No longer used Amount type (Period to date, year to date, etc.) Budgetary control time interval end point Funding budget version defining column Extended Who column Extended Who column Extended Who column Concurrent program request id
LAST_UPDATE_DATE LAST_UPDATED_BY AUTOMATIC_ENCUMBRANCE_FLAG FUNDS_CHECK_LEVEL_CODE ORDERING_VALUE CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 CONTEXT AMOUNT_TYPE BOUNDARY_CODE FUNDING_BUDGET_VERSION_ID PROGRAM_APPLICATION_ID PROGRAM_ID PROGRAM_UPDATE_DATE REQUEST_ID Indexes Index Name GL_BUDGET_ASSIGNMENTS_N1 GL_BUDGET_ASSIGNMENTS_N2 GL_BUDGET_ASSIGNMENTS_U1
NULL VARCHAR2(1) NULL NUMBER(15) NULL NULL NULL NULL NUMBER(15) NUMBER(15) DATE NUMBER(15)
Sequence 1 1 1 2 3
GL_BUDGET_ASSIGNMENT_RANGES
GL_BUDGET_ASSIGNMENT_RANGES stores the account ranges that you want to assign to a budget organization. This table corresponds to the Account Ranges window of the Define Budget Organization form.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS FND_CURRENCIES GL_BUDGET_ENTITIES GL_BUDGET_VERSIONS GL_SETS_OF_BOOKS QuickCodes Columns Column AMOUNT_TYPE
QuickCodes Type PTD_YTD PJTD PTD QTD YTD YES/NO N Y BOUNDARY_TYPE J P Q Y ENTRY_CODE C E FUNDS_CHECK_LEVEL B D N GLBAAR_STATUSES A C I R
QuickCodes Table GL_LOOKUPS PJTD PTD QTD YTD GL_LOOKUPS No Yes GL_LOOKUPS Project Period Quarter Year GL_LOOKUPS Calculated Entered GL_LOOKUPS Absolute Advisory None GL_LOOKUPS Adding Current In Process Reporting
AUTOMATIC_ENCUMBRANCE_FLAG
BOUNDARY_CODE
ENTRY_CODE
FUNDS_CHECK_LEVEL_CODE
STATUS
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(1)
Description Budget organization defining column Accounting books defining column Currency Method to determine account balance (Entered/Calculated)
(Continued) Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NULL DATE NOT NULL VARCHAR2(1) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NUMBER(15) DATE VARCHAR2(1) NUMBER(15) NUMBER(15) NUMBER(15) VARCHAR2(25) Description Flexfield assignment range defining column Current status of assignment range Standard Who column Automatically create encumbrance batch Standard Who column Standard Who column Funds checking severity level Standard Who column Standard Who column Orders the account ranges Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column
LAST_UPDATE_DATE AUTOMATIC_ENCUMBRANCE_FLAG CREATED_BY CREATION_DATE FUNDS_CHECK_LEVEL_CODE LAST_UPDATED_BY LAST_UPDATE_LOGIN SEQUENCE_NUMBER SEGMENT1_LOW SEGMENT1_HIGH SEGMENT2_LOW SEGMENT2_HIGH SEGMENT3_LOW SEGMENT3_HIGH SEGMENT4_LOW SEGMENT4_HIGH SEGMENT5_LOW SEGMENT5_HIGH SEGMENT6_LOW SEGMENT6_HIGH SEGMENT7_LOW SEGMENT7_HIGH SEGMENT8_LOW SEGMENT8_HIGH SEGMENT9_LOW SEGMENT9_HIGH SEGMENT10_LOW SEGMENT10_HIGH SEGMENT11_LOW SEGMENT11_HIGH SEGMENT12_LOW
NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25)
Column Descriptions Name SEGMENT12_HIGH SEGMENT13_LOW SEGMENT13_HIGH SEGMENT14_LOW SEGMENT14_HIGH SEGMENT15_LOW SEGMENT15_HIGH SEGMENT16_LOW SEGMENT16_HIGH SEGMENT17_LOW SEGMENT17_HIGH SEGMENT18_LOW SEGMENT18_HIGH SEGMENT19_LOW SEGMENT19_HIGH SEGMENT20_LOW SEGMENT20_HIGH SEGMENT21_LOW SEGMENT21_HIGH SEGMENT22_LOW SEGMENT22_HIGH SEGMENT23_LOW SEGMENT23_HIGH SEGMENT24_LOW SEGMENT24_HIGH SEGMENT25_LOW SEGMENT25_HIGH SEGMENT26_LOW SEGMENT26_HIGH SEGMENT27_LOW
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range
Column Descriptions Name SEGMENT27_HIGH SEGMENT28_LOW SEGMENT28_HIGH SEGMENT29_LOW SEGMENT29_HIGH SEGMENT30_LOW SEGMENT30_HIGH AMOUNT_TYPE BOUNDARY_CODE CONTEXT
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(4) NULL VARCHAR2(1) NULL VARCHAR2(150) NULL NUMBER(15) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Amount type (Period to date, year to date, etc.) Budgetary control time interval end point Descriptive flexfield context column Funding budget version defining column Extended Who column Extended Who column Extended Who column Concurrent program request id Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
FUNDING_BUDGET_VERSION_ID PROGRAM_APPLICATION_ID PROGRAM_ID PROGRAM_UPDATE_DATE REQUEST_ID ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name GL_BUDGET_ASSIGNMENT_RANGES_N1 GL_BUDGET_ASSIGNMENT_RANGES_U1 GL_BUDGET_ASSIGNMENT_RANGES_U2
Sequence 1 2 3 1 1 2
GL_BUDGET_BATCHES
GL_BUDGET_BATCHES stores information about your budget formula batches. For each budget, it records when you last ran the formula batch and for which accounting periods you ran it. This table also tells you if your formula batch is frozen with respect to a budget. STATUS is F for frozen or U for unfrozen.
Foreign Keys Primary Key Table GL_BUDGET_VERSIONS GL_RECURRING_BATCHES Column Descriptions Name BUDGET_VERSION_ID (PK) RECURRING_BATCH_ID (PK) LAST_UPDATE_DATE LAST_UPDATED_BY STATUS LAST_EXECUTED_DATE LAST_EXECUTED_START_PERIOD LAST_EXECUTED_END_PERIOD
Null? Type NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(1)
Description Budget version defining column Recurring batch defining column Standard Who column Standard Who column Batch status (Frozen or Unfrozen) Date batch last run Accounting period last run began with Accounting period last run ended with
Sequence 1 1 2
GL_BUDGET_ENTITIES
GL_BUDGET_ENTITIES stores information about your budget organizations. Each row includes the organization name, description, set of books ID, and optional password. Each row also stores the segment display order for the Enter Budget Amounts form. This table corresponds to the Define Budget Organization window of the Define Budget Organization form.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS GL_SETS_OF_BOOKS QuickCodes Columns Column BUDGET_PASSWORD_REQUIRED_FLAG
STATUS_CODE
Column Descriptions Name BUDGET_ENTITY_ID NAME SET_OF_BOOKS_ID LAST_UPDATE_DATE LAST_UPDATED_BY BUDGET_PASSWORD_REQUIRED_FLAG STATUS_CODE CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN ENCRYPTED_BUDGET_PASSWORD DESCRIPTION START_DATE END_DATE SEGMENT1_TYPE SEGMENT2_TYPE SEGMENT3_TYPE SEGMENT4_TYPE SEGMENT5_TYPE SEGMENT6_TYPE SEGMENT7_TYPE (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT
Description
Budget organization defining column NULL VARCHAR2(25) Budget organization name NULL NUMBER(15) Accounting books defining column NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL VARCHAR2(1) Budget Organization password required flag NULL VARCHAR2(1) Budget organization status (Current or Deleted) NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column NULL VARCHAR2(100) Encrypted budget organization password NULL VARCHAR2(240) Budget Organization description NULL DATE Date before which your Budget Organization is not active NULL DATE Date after which your Budget Organization is no longer active NULL NUMBER(15) Segment order column NULL NUMBER(15) Segment order column NULL NUMBER(15) Segment order column NULL NUMBER(15) Segment order column NULL NUMBER(15) Segment order column NULL NUMBER(15) Segment order column NULL NUMBER(15) Segment order column
Column Descriptions Name SEGMENT8_TYPE SEGMENT9_TYPE SEGMENT10_TYPE SEGMENT11_TYPE SEGMENT12_TYPE SEGMENT13_TYPE SEGMENT14_TYPE SEGMENT15_TYPE SEGMENT16_TYPE SEGMENT17_TYPE SEGMENT18_TYPE SEGMENT19_TYPE SEGMENT20_TYPE SEGMENT21_TYPE SEGMENT22_TYPE SEGMENT23_TYPE SEGMENT24_TYPE SEGMENT25_TYPE SEGMENT26_TYPE SEGMENT27_TYPE SEGMENT28_TYPE SEGMENT29_TYPE SEGMENT30_TYPE ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 CONTEXT
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) NUMBER(15) NUMBER(15) DATE NUMBER(15) Description Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Segment order column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column Extended Who column Extended Who column Extended Who column Concurrent program request id
Sequence 1 1 2
GL_BUDGET_FROZEN_RANGES
GL_BUDGET_FROZEN_RANGES stores the ranges of accounts that you enter in the Account Ranges window of the Freeze Budgets form.
Foreign Keys Primary Key Table GL_BUDGET_ENTITIES GL_BUDGET_VERSIONS Column Descriptions Name BUDGET_VERSION_ID BUDGET_ENTITY_ID CHART_OF_ACCOUNTS_ID RANGE_ID (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL DATE NOT NULL NUMBER(15) NULL DATE NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25)
Description Budget version defining column Budget Organization defining column Key flexfield structure defining column Key flexfield range defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column
LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN SEGMENT1_LOW SEGMENT1_HIGH SEGMENT2_LOW SEGMENT2_HIGH SEGMENT3_LOW SEGMENT3_HIGH SEGMENT4_LOW SEGMENT4_HIGH SEGMENT5_LOW SEGMENT5_HIGH SEGMENT6_LOW SEGMENT6_HIGH SEGMENT7_LOW SEGMENT7_HIGH SEGMENT8_LOW SEGMENT8_HIGH SEGMENT9_LOW
Column Descriptions Name SEGMENT9_HIGH SEGMENT10_LOW SEGMENT10_HIGH SEGMENT11_LOW SEGMENT11_HIGH SEGMENT12_LOW SEGMENT12_HIGH SEGMENT13_LOW SEGMENT13_HIGH SEGMENT14_LOW SEGMENT14_HIGH SEGMENT15_LOW SEGMENT15_HIGH SEGMENT16_LOW SEGMENT16_HIGH SEGMENT17_LOW SEGMENT17_HIGH SEGMENT18_LOW SEGMENT18_HIGH SEGMENT19_LOW SEGMENT19_HIGH SEGMENT20_LOW SEGMENT20_HIGH SEGMENT21_LOW SEGMENT21_HIGH SEGMENT22_LOW SEGMENT22_HIGH SEGMENT23_LOW SEGMENT23_HIGH SEGMENT24_LOW
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range
Column Descriptions Name SEGMENT24_HIGH SEGMENT25_LOW SEGMENT25_HIGH SEGMENT26_LOW SEGMENT26_HIGH SEGMENT27_LOW SEGMENT27_HIGH SEGMENT28_LOW SEGMENT28_HIGH SEGMENT29_LOW SEGMENT29_HIGH SEGMENT30_LOW SEGMENT30_HIGH
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high
Sequence 1
GL_BUDGET_INTERFACE
Use GL_BUDGET_INTERFACE to upload budget data into your Oracle General Ledger application from a spreadsheet program or other external source. Each row includes one fiscal year s worth of budget amounts for an account. When you load this table, you must supply all NOT NULL columns with data. In addition, you must supply a valid account combination in the SEGMENT columns appropriate to your chart of accounts structure. Finally, you must supply the budget amounts in the appropriate AMOUNT columns. For more information about this table, see the Oracle General Ledger User Guide.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS FND_CURRENCIES GL_BUDGET_ENTITIES GL_BUDGET_VERSIONS GL_CODE_COMBINATIONS GL_PERIOD_TYPES GL_SETS_OF_BOOKS QuickCodes Columns Column ACCOUNT_TYPE
Primary Key Column REQUEST_ID CURRENCY_CODE BUDGET_ENTITY_ID BUDGET_VERSION_ID CODE_COMBINATION_ID PERIOD_TYPE SET_OF_BOOKS_ID
Foreign Key Column REQUEST_ID CURRENCY_CODE BUDGET_ENTITY_ID BUDGET_VERSION_ID CODE_COMBINATION_ID PERIOD_TYPE SET_OF_BOOKS_ID
DR_FLAG
Column Descriptions Name BUDGET_NAME (PK) BUDGET_ENTITY_NAME CURRENCY_CODE FISCAL_YEAR UPDATE_LOGIC_TYPE BUDGET_ENTITY_ID SET_OF_BOOKS_ID CODE_COMBINATION_ID BUDGET_VERSION_ID PERIOD_TYPE DR_FLAG
Null? Type NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL VARCHAR2(15) VARCHAR2(25) VARCHAR2(15) NUMBER(15) VARCHAR2(1)
Description Budget version name Budget organization name Currency Fiscal year Method used to update budget balances (A for add, R for replace) Budget organization defining column Accounting books defining column Key flexfield combination defining column Budget version defining column Accounting period type Debit/Credit flag
NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(15) NULL VARCHAR2(1)
Column Descriptions Name STATUS ACCOUNT_TYPE LAST_UPDATE_DATE LAST_UPDATED_BY REQUEST_ID PERIOD1_AMOUNT PERIOD2_AMOUNT PERIOD3_AMOUNT PERIOD4_AMOUNT PERIOD5_AMOUNT PERIOD6_AMOUNT PERIOD7_AMOUNT PERIOD8_AMOUNT PERIOD9_AMOUNT PERIOD10_AMOUNT PERIOD11_AMOUNT PERIOD12_AMOUNT PERIOD13_AMOUNT PERIOD14_AMOUNT PERIOD15_AMOUNT PERIOD16_AMOUNT PERIOD17_AMOUNT PERIOD18_AMOUNT PERIOD19_AMOUNT PERIOD20_AMOUNT PERIOD21_AMOUNT PERIOD22_AMOUNT PERIOD23_AMOUNT PERIOD24_AMOUNT PERIOD25_AMOUNT PERIOD26_AMOUNT PERIOD27_AMOUNT PERIOD28_AMOUNT PERIOD29_AMOUNT PERIOD30_AMOUNT PERIOD31_AMOUNT PERIOD32_AMOUNT PERIOD33_AMOUNT PERIOD34_AMOUNT PERIOD35_AMOUNT PERIOD36_AMOUNT PERIOD37_AMOUNT PERIOD38_AMOUNT PERIOD39_AMOUNT PERIOD40_AMOUNT PERIOD41_AMOUNT PERIOD42_AMOUNT PERIOD43_AMOUNT PERIOD44_AMOUNT PERIOD45_AMOUNT PERIOD46_AMOUNT PERIOD47_AMOUNT PERIOD48_AMOUNT PERIOD49_AMOUNT
(Continued) Null? Type NULL VARCHAR2(1) NULL VARCHAR2(25) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER Description Line error status Key flexfield combination type (Asset, Liability, etc.) Standard Who column Standard Who column Concurrent program request id Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount
Column Descriptions Name PERIOD50_AMOUNT PERIOD51_AMOUNT PERIOD52_AMOUNT PERIOD53_AMOUNT PERIOD54_AMOUNT PERIOD55_AMOUNT PERIOD56_AMOUNT PERIOD57_AMOUNT PERIOD58_AMOUNT PERIOD59_AMOUNT PERIOD60_AMOUNT SEGMENT1 (PK) SEGMENT2 (PK) SEGMENT3 (PK) SEGMENT4 (PK) SEGMENT5 (PK) SEGMENT6 (PK) SEGMENT7 (PK) SEGMENT8 (PK) SEGMENT9 (PK) SEGMENT10 (PK) SEGMENT11 (PK) SEGMENT12 (PK) SEGMENT13 (PK) SEGMENT14 (PK) SEGMENT15 (PK) SEGMENT16 (PK) SEGMENT17 (PK) SEGMENT18 (PK) SEGMENT19 (PK) SEGMENT20 (PK) SEGMENT21 (PK) SEGMENT22 (PK) SEGMENT23 (PK) SEGMENT24 (PK) SEGMENT25 (PK) SEGMENT26 (PK) SEGMENT27 (PK) SEGMENT28 (PK) SEGMENT29 (PK) SEGMENT30 (PK) Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) Description Budget period Budget period Budget period Budget period Budget period Budget period Budget period Budget period Budget period Budget period Budget period Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield Key flexfield amount amount amount amount amount amount amount amount amount amount amount segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment
Sequence 1 2
GL_BUDGET_INTERFACE_N1
GL_BUDGET_INTERIM
GL_BUDGET_INTERIM is used internally by Oracle General Ledger applications to post budget balances to the GL_BALANCES table. Rows are added to this table whenever you run the budget posting program. The budget posting program updates the appropriate budget balances in GL_BALANCES based on the rows in this table, and then deletes the rows in this table that it used.
Foreign Keys Primary Key Table FND_CURRENCIES GL_BUDGET_ENTITIES GL_BUDGET_VERSIONS GL_CODE_COMBINATIONS GL_PERIOD_TYPES GL_SETS_OF_BOOKS GL_SUMMARY_TEMPLATES QuickCodes Columns Column ACCOUNT_TYPE
Primary Key Column CURRENCY_CODE BUDGET_ENTITY_ID BUDGET_VERSION_ID CODE_COMBINATION_ID PERIOD_TYPE SET_OF_BOOKS_ID TEMPLATE_ID
Foreign Key Column CURRENCY_CODE BUDGET_ENTITY_ID BUDGET_VERSION_ID CODE_COMBINATION_ID PERIOD_TYPE SET_OF_BOOKS_ID TEMPLATE_ID
DR_FLAG
Column Descriptions Name SET_OF_BOOKS_ID CODE_COMBINATION_ID CURRENCY_CODE BUDGET_VERSION_ID BUDGET_ENTITY_ID PERIOD_YEAR PERIOD_TYPE STATUS_NUMBER ACCOUNT_TYPE DR_FLAG TRANSLATED_FLAG TEMPLATE_ID PERIOD1_AMOUNT PERIOD2_AMOUNT PERIOD3_AMOUNT
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL NUMBER(15) NULL VARCHAR2(25) NULL VARCHAR2(1) NULL VARCHAR2(1) NULL NUMBER(15) NULL NUMBER NULL NUMBER NULL NUMBER
Description Accounting books defining column Key flexfield combination defining column Currency Budget version defining column Budget organization defining column Accounting period year Accounting period type Accounting period number Account type lookup (Asset, Liability, etc.) Debit amount flag Translated balance flag Summary template defining column Budget period amount Budget period amount Budget period amount
Column Descriptions Name PERIOD4_AMOUNT PERIOD5_AMOUNT PERIOD6_AMOUNT PERIOD7_AMOUNT PERIOD8_AMOUNT PERIOD9_AMOUNT PERIOD10_AMOUNT PERIOD11_AMOUNT PERIOD12_AMOUNT PERIOD13_AMOUNT PERIOD14_AMOUNT PERIOD15_AMOUNT PERIOD16_AMOUNT PERIOD17_AMOUNT PERIOD18_AMOUNT PERIOD19_AMOUNT PERIOD20_AMOUNT PERIOD21_AMOUNT PERIOD22_AMOUNT PERIOD23_AMOUNT PERIOD24_AMOUNT PERIOD25_AMOUNT PERIOD26_AMOUNT PERIOD27_AMOUNT PERIOD28_AMOUNT PERIOD29_AMOUNT PERIOD30_AMOUNT PERIOD31_AMOUNT PERIOD32_AMOUNT PERIOD33_AMOUNT PERIOD34_AMOUNT PERIOD35_AMOUNT PERIOD36_AMOUNT PERIOD37_AMOUNT PERIOD38_AMOUNT PERIOD39_AMOUNT PERIOD40_AMOUNT PERIOD41_AMOUNT PERIOD42_AMOUNT PERIOD43_AMOUNT PERIOD44_AMOUNT PERIOD45_AMOUNT PERIOD46_AMOUNT PERIOD47_AMOUNT PERIOD48_AMOUNT PERIOD49_AMOUNT PERIOD50_AMOUNT PERIOD51_AMOUNT PERIOD52_AMOUNT PERIOD53_AMOUNT PERIOD54_AMOUNT PERIOD55_AMOUNT PERIOD56_AMOUNT PERIOD57_AMOUNT
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER Description Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period period amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount amount
Column Descriptions Name PERIOD58_AMOUNT PERIOD59_AMOUNT PERIOD60_AMOUNT SUM10 SUM20 SUM30 SUM40 SUM50 SUM60 YEAR_TO_DATE SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21 SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27 SEGMENT28 SEGMENT29 SEGMENT30 LAST_UPDATE_DATE LAST_UPDATED_BY Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NOT NULL NOT NULL NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) DATE NUMBER(15) Description Budget period amount Budget period amount Budget period amount Period (1 10) budget sum Period (11 20) budget sum Period (21 30) budget sum Period (31 40) budget sum Period (41 50) budget sum Period (51 60) budget sum Year to date budget amount Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Standard Who column Standard Who column
Sequence 1 1
GL_BUDGET_INTERIM_N1 GL_BUDGET_INTERIM_N2
GL_BUDGET_PERIOD_RANGES
GL_BUDGET_PERIOD_RANGES stores the period ranges that you can budget to using the Enter Budget Amounts form. Each open year of your budget is divided into one or more period ranges. Each range spans up to 13 periods, and a range cannot cross a fiscal year. The Open Budget Year program inserts one row into this table for each period range in the year that you open. The Open_Flag column is always O.
Foreign Keys Primary Key Table GL_BUDGET_VERSIONS GL_PERIODS GL_PERIODS Column Descriptions Name BUDGET_VERSION_ID PERIOD_YEAR (PK) START_PERIOD_NAME START_PERIOD_NUM END_PERIOD_NAME END_PERIOD_NUM OPEN_FLAG LAST_UPDATE_DATE LAST_UPDATED_BY Indexes Index Name GL_BUDGET_PERIOD_RANGES_U1 (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NULL DATE NOT NULL NUMBER(15)
Description Budget version defining column Fiscal year accounting period falls in First accounting period of range Number of first accounting period of range Final accounting period of range Number of final accounting period of range Open range flag Standard Who column Standard Who column
Sequence 1 2 3
GL_BUDGET_RANGE_INTERIM
GL_BUDGET_RANGE_INTERIM is used internally by Oracle General Ledger applications to post budget balances that you enter using the Enter Budget Amounts form. When you enter budget amounts using the Enter Budget Amounts form, you add rows to this table. The budget posting program deletes those rows when it posts your budget amounts.
Foreign Keys Primary Key Table FND_CURRENCIES GL_BUDGET_ENTITIES GL_BUDGET_VERSIONS GL_CODE_COMBINATIONS GL_PERIOD_TYPES GL_SETS_OF_BOOKS QuickCodes Columns Column ACCOUNT_TYPE
DR_FLAG
Column Descriptions Name SET_OF_BOOKS_ID CODE_COMBINATION_ID CURRENCY_CODE BUDGET_VERSION_ID BUDGET_ENTITY_ID PERIOD_YEAR PERIOD_TYPE START_PERIOD_NAME START_PERIOD_NUM DR_FLAG STATUS_NUMBER LAST_UPDATE_DATE LAST_UPDATED_BY PERIOD1_AMOUNT PERIOD2_AMOUNT
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NULL NULL NULL NULL NUMBER(15) VARCHAR2(15) VARCHAR2(25) NUMBER(15)
Description Accounting books defining column Key flexfield combination defining column Currency Budget version defining column Budget Organization defining column Accounting period year Accounting period type Beginning accounting period Beginning accounting period number Debit/Credit flag 0 for new budget records, request id when Budget Posting starts Standard Who column Standard Who column Budget period amount Budget period amount
NOT NULL VARCHAR2(1) NOT NULL NUMBER(15) NOT NULL DATE NOT NULL NUMBER(15) NULL NUMBER NULL NUMBER
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) Description Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Budget period amount Old budget period amount Old budget period amount Old budget period amount Old budget period amount Old budget period amount Old budget period amount Old budget period amount Old budget period amount Old budget period amount Old budget period amount Old budget period amount Old budget period amount Old budget period amount Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment
PERIOD3_AMOUNT PERIOD4_AMOUNT PERIOD5_AMOUNT PERIOD6_AMOUNT PERIOD7_AMOUNT PERIOD8_AMOUNT PERIOD9_AMOUNT PERIOD10_AMOUNT PERIOD11_AMOUNT PERIOD12_AMOUNT PERIOD13_AMOUNT OLD_PERIOD1_AMOUNT OLD_PERIOD2_AMOUNT OLD_PERIOD3_AMOUNT OLD_PERIOD4_AMOUNT OLD_PERIOD5_AMOUNT OLD_PERIOD6_AMOUNT OLD_PERIOD7_AMOUNT OLD_PERIOD8_AMOUNT OLD_PERIOD9_AMOUNT OLD_PERIOD10_AMOUNT OLD_PERIOD11_AMOUNT OLD_PERIOD12_AMOUNT OLD_PERIOD13_AMOUNT SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21 SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27 SEGMENT28 SEGMENT29 SEGMENT30
(Continued) Null? Type NULL VARCHAR2(25) NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) VARCHAR2(15) Description Key flexfield combination type (Asset, Liability, etc.) Standard Who column Standard Who column Standard Who column Signs of amounts for budget journals Line description for budget journals Line description for budget journals Line description for budget journals Line description for budget journals Line description for budget journals Line description for budget journals Line description for budget journals Line description for budget journals Line description for budget journals Line description for budget journals Line description for budget journals Line description for budget journals Line description for budget journals Statistical amount for budget journals Statistical amount for budget journals Statistical amount for budget journals Statistical amount for budget journals Statistical amount for budget journals Statistical amount for budget journals Statistical amount for budget journals Statistical amount for budget journals Statistical amount for budget journals Statistical amount for budget journals Statistical amount for budget journals Statistical amount for budget journals Statistical amount for budget journals
CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN JE_DRCR_SIGN_REFERENCE JE_LINE_DESCRIPTION1 JE_LINE_DESCRIPTION2 JE_LINE_DESCRIPTION3 JE_LINE_DESCRIPTION4 JE_LINE_DESCRIPTION5 JE_LINE_DESCRIPTION6 JE_LINE_DESCRIPTION7 JE_LINE_DESCRIPTION8 JE_LINE_DESCRIPTION9 JE_LINE_DESCRIPTION10 JE_LINE_DESCRIPTION11 JE_LINE_DESCRIPTION12 JE_LINE_DESCRIPTION13 STAT_AMOUNT1 STAT_AMOUNT2 STAT_AMOUNT3 STAT_AMOUNT4 STAT_AMOUNT5 STAT_AMOUNT6 STAT_AMOUNT7 STAT_AMOUNT8 STAT_AMOUNT9 STAT_AMOUNT10 STAT_AMOUNT11 STAT_AMOUNT12 STAT_AMOUNT13
NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER
Sequence 1
GL_BUDGET_TYPES
GL_BUDGET_TYPES stores information about budget types. Oracle General Ledger supports only one budget type, STANDARD. Therefore, this table always contains only one row. This table has no foreign keys other than the standard Who columns.
Column Descriptions Name BUDGET_TYPE (PK)
Null? Type NOT NULL VARCHAR2(15) NOT NULL DATE NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NULL VARCHAR2(240) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150)
Description Budget type defining column (always STANDARD) Standard Who column Standard Who column Provide audit trail flag Budget type description Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flex context column
LAST_UPDATE_DATE LAST_UPDATED_BY AUDIT_TRAIL_FLAG DESCRIPTION ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 CONTEXT Indexes Index Name GL_BUDGET_TYPES_U1
Sequence 1
GL_BUDGET_VERSIONS
GL_BUDGET_VERSIONS stores information about budget versions. Oracle General Ledger does not support multiple versions of the same budget. Therefore, there is one row in this table for each row in the GL_BUDGETS table. The column VERSION_NUM is always set to 1.
Foreign Keys Primary Key Table GL_BUDGETS GL_BUDGET_TYPES GL_BUDGET_VERSIONS QuickCodes Columns Column STATUS
Column Descriptions Name BUDGET_VERSION_ID LAST_UPDATE_DATE LAST_UPDATED_BY BUDGET_TYPE BUDGET_NAME VERSION_NUM STATUS DATE_OPENED CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN DESCRIPTION DATE_ACTIVE DATE_ARCHIVED ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 CONTEXT CONTROL_BUDGET_VERSION_ID (PK)
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) DATE NUMBER VARCHAR2(15) VARCHAR2(15) VARCHAR2(15) VARCHAR2(1) DATE DATE NUMBER(15) NUMBER(15) VARCHAR2(240) DATE DATE VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Budget version defining column Standard Who column Standard Who column Budget type(only STANDARD is used) Budget Name Not currently used Version status lookup code Not currently used Standard Who column Standard Who column Standard Who column Budget version description Not currently used Not currently used Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column Control budget defining column
NULL NUMBER(15)
Sequence 1 2 1
GL_CARRYFORWARD_RANGES
GL_CARRYFORWARD_RANGES stores the low and high ranges of account values that you want to carry forward at year end. You can carry forward encumbrance amounts only, encumbrance plus encumbered budget, or funds available when you cross a fiscal year. This is the base table for the YearEnd Carry Forward form in your Oracle General Ledger application. CARRYFORWARD_RANGE_ID is unique for each Carry Forward request. This table has no foreign keys other than the standard Who columns.
Column Descriptions Name CARRYFORWARD_RANGE_ID LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN SEGMENT1_LOW SEGMENT1_HIGH SEGMENT2_LOW SEGMENT2_HIGH SEGMENT3_LOW SEGMENT3_HIGH SEGMENT4_LOW SEGMENT4_HIGH SEGMENT5_LOW SEGMENT5_HIGH SEGMENT6_LOW SEGMENT6_HIGH SEGMENT7_LOW SEGMENT7_HIGH SEGMENT8_LOW SEGMENT8_HIGH SEGMENT9_LOW SEGMENT9_HIGH
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL DATE NUMBER DATE NUMBER(15) NUMBER(15) VARCHAR2(25)
Description Carry forward process column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Key flexfield segment column Key flexfield segment range column Key flexfield segment column Key flexfield segment range column Key flexfield segment column Key flexfield segment range column Key flexfield segment column Key flexfield segment range column Key flexfield segment column Key flexfield segment range column Key flexfield segment column Key flexfield segment range column Key flexfield segment column Key flexfield segment range column Key flexfield segment column Key flexfield segment range column Key flexfield segment column Key flexfield segment range column defining
low range high low range high low range high low range high low range high low range high low range high low range high low range high
NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25)
Column Descriptions Name SEGMENT10_LOW SEGMENT10_HIGH SEGMENT11_LOW SEGMENT11_HIGH SEGMENT12_LOW SEGMENT12_HIGH SEGMENT13_LOW SEGMENT13_HIGH SEGMENT14_LOW SEGMENT14_HIGH SEGMENT15_LOW SEGMENT15_HIGH SEGMENT16_LOW SEGMENT16_HIGH SEGMENT17_LOW SEGMENT17_HIGH SEGMENT18_LOW SEGMENT18_HIGH SEGMENT19_LOW SEGMENT19_HIGH SEGMENT20_LOW SEGMENT20_HIGH SEGMENT21_LOW SEGMENT21_HIGH SEGMENT22_LOW SEGMENT22_HIGH SEGMENT23_LOW SEGMENT23_HIGH SEGMENT24_LOW SEGMENT24_HIGH
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high
Column Descriptions Name SEGMENT25_LOW SEGMENT25_HIGH SEGMENT26_LOW SEGMENT26_HIGH SEGMENT27_LOW SEGMENT27_HIGH SEGMENT28_LOW SEGMENT28_HIGH SEGMENT29_LOW SEGMENT29_HIGH SEGMENT30_LOW SEGMENT30_HIGH
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high
GL_CODE_COMBINATIONS
GL_CODE_COMBINATIONS stores valid account combinations for each Accounting Flexfield structure within your Oracle General Ledger application. Associated with each account are certain codes and flags, including whether the account is enabled, whether detail posting or detail budgeting is allowed, and others. Segment values are stored in the SEGMENT columns. Note that each Accounting Flexfield structure may use different SEGMENT columns within the table to store the flexfield value combination. Moreover, the SEGMENT columns that are used are not guaranteed to be in any order. The Oracle Application Object Library table FND_ID_FLEX_SEGMENTS stores information about which column in this table is used for each segment of each Accounting Flexfield structure. Summary accounts have SUMMARY_FLAG = Y and TEMPLATE_ID not NULL. Detail accounts have SUMMARY_FLAG = N and TEMPLATE_ID NULL.
Foreign Keys Primary Key Table FND_ID_FLEX_STRUCTURES GL_SUMMARY_TEMPLATES QuickCodes Columns Column ACCOUNT_TYPE
QuickCodes Table GL_LOOKUPS A E L O R GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes
DETAIL_BUDGETING_ALLOWED_FLAG
DETAIL_POSTING_ALLOWED_FLAG
ENABLED_FLAG
PRESERVE_FLAG
REFRESH_FLAG
Column Descriptions Name CODE_COMBINATION_ID LAST_UPDATE_DATE LAST_UPDATED_BY CHART_OF_ACCOUNTS_ID DETAIL_POSTING_ALLOWED_FLAG DETAIL_BUDGETING_ALLOWED_FLAG ACCOUNT_TYPE ENABLED_FLAG SUMMARY_FLAG SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21 SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27 SEGMENT28 SEGMENT29 SEGMENT30 DESCRIPTION TEMPLATE_ID ALLOCATION_CREATE_FLAG START_DATE_ACTIVE (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT NOT
Description
Key flexfield combination defining column NULL DATE Standard Who column NULL NUMBER Standard Who column NULL NUMBER(15) Key flexfield structure defining column NULL VARCHAR2(1) Detail posting flag NULL VARCHAR2(1) Detail budgeting flag NULL VARCHAR2(1) Key flexfield combination type (Asset, Liability, etc.) NULL VARCHAR2(1) Key flexfield enabled flag NULL VARCHAR2(1) Summary account flag NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(25) Key flexfield segment NULL VARCHAR2(240) Key flexfield description NULL NUMBER(15) Summary template defining column NULL VARCHAR2(1) Not currently used NULL DATE Date before which key flexfield combination is invalid
(Continued) Null? Type NULL DATE NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(60) Description Date after which key flexfield combination is invalid Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flex context column Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment
ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 CONTEXT SEGMENT_ATTRIBUTE1 SEGMENT_ATTRIBUTE2 SEGMENT_ATTRIBUTE3 SEGMENT_ATTRIBUTE4 SEGMENT_ATTRIBUTE5 SEGMENT_ATTRIBUTE6 SEGMENT_ATTRIBUTE7 SEGMENT_ATTRIBUTE8 SEGMENT_ATTRIBUTE9 SEGMENT_ATTRIBUTE10 SEGMENT_ATTRIBUTE11 SEGMENT_ATTRIBUTE12 SEGMENT_ATTRIBUTE13 SEGMENT_ATTRIBUTE14 SEGMENT_ATTRIBUTE15 SEGMENT_ATTRIBUTE16 SEGMENT_ATTRIBUTE17 SEGMENT_ATTRIBUTE18 SEGMENT_ATTRIBUTE19 SEGMENT_ATTRIBUTE20 SEGMENT_ATTRIBUTE21 SEGMENT_ATTRIBUTE22 SEGMENT_ATTRIBUTE23
NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60)
(Continued) Null? Type NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL NULL NULL NULL NULL NULL VARCHAR2(1) VARCHAR2(1) VARCHAR2(1) VARCHAR2(1) VARCHAR2(1) VARCHAR2(1) Description Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reporting attribute key flexfield segment Reserved for localization use Reserved for localization use Reserved for localization use Reserved for localization use Reserved for localization use Global reconciliation descriptive flexfield segment Global reconciliation descriptive flexfield context column Preserve segment value attributes flag Refresh segment value attributes flag
SEGMENT_ATTRIBUTE24 SEGMENT_ATTRIBUTE25 SEGMENT_ATTRIBUTE26 SEGMENT_ATTRIBUTE27 SEGMENT_ATTRIBUTE28 SEGMENT_ATTRIBUTE29 SEGMENT_ATTRIBUTE30 SEGMENT_ATTRIBUTE31 SEGMENT_ATTRIBUTE32 SEGMENT_ATTRIBUTE33 SEGMENT_ATTRIBUTE34 SEGMENT_ATTRIBUTE35 SEGMENT_ATTRIBUTE36 SEGMENT_ATTRIBUTE37 SEGMENT_ATTRIBUTE38 SEGMENT_ATTRIBUTE39 SEGMENT_ATTRIBUTE40 SEGMENT_ATTRIBUTE41 SEGMENT_ATTRIBUTE42 REFERENCE1 REFERENCE2 REFERENCE3 REFERENCE4 REFERENCE5 JGZZ_RECON_FLAG JGZZ_RECON_CONTEXT PRESERVE_FLAG REFRESH_FLAG
Sequence 1 1
GL_CONCURRENCY_CONTROL
GL_CONCURRENCY_CONTROL is used internally by Oracle General Ledger programs to prevent deadlock situations from arising.
Column Descriptions Name CONCURRENCY_CLASS (PK) CONCURRENCY_ENTITY_NAME CONCURRENCY_ENTITY_ID LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN Indexes Index Name GL_CONCURRENCY_CONTROL_U1 (PK)
Description
(PK)
Action that is being performed Entity for which action is being performed NOT NULL VARCHAR2(240) The internal ID of the entity for which the action is being performed NOT NULL DATE Standard Who column NOT NULL NUMBER Standard Who column NOT NULL DATE Standard Who column NOT NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column
Sequence 1 2 3
GL_CONCURRENT_SCHEDULES
GL_CONCURRENT_SCHEDULES stores the definitions of schedules created by users. Each schedule_name maps to a concurrent request class defined in the AOL table FND_CONC_RELEASE_CLASSES.
Foreign Keys Primary Key Table GL_PERIOD_SETS GL_PERIOD_TYPES Column Descriptions Name SCHEDULE_NAME PERIOD_SET_NAME PERIOD_TYPE RUN_DAY RUN_TIME ENABLED_FLAG LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 CONTEXT Indexes Index Name GL_CONCURRENT_SCHEDULES_U1
Null? Type NOT NULL VARCHAR2(20) NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(15) NOT NULL NUMBER(15) NOT NULL DATE NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(1) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(240) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Name of schedule as defined by the user Accounting calendar defining column Accounting period type defining column The day of the accounting period on which the schedule becomes active The time on run_day when the schedule becomes active. Enable/Disable schedule Standard Who Column Standard Who Column Standard Who Column Standard Who Column Standard Who Column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
Sequence 5
GL_CONSOLIDATION
GL_CONSOLIDATION stores information about your consolidation mappings. Each row includes a mappings ID, name, description, and other information. This table corresponds to the first window of the Consolidation Mappings form. You need one row for each consolidation mapping you define. FROM_SET_OF_BOOKS_ID is the subsidiary set of books ID. TO_SET_OF_BOOKS_ID is the parent set of books ID. METHOD is B for balances or T for transactions. FROM_LOCATION and FROM_ORACLE_ID are not used in this version of your Oracle General Ledger application.
Foreign Keys Primary Key Table FND_CURRENCIES GL_SETS_OF_BOOKS GL_SETS_OF_BOOKS QuickCodes Columns Column AUDIT_MODE_FLAG
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS Balances Summary Transactions GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS Average Standard & Average Standard
METHOD
RUN_JOURNAL_IMPORT_FLAG
SUMMARIZE_LINES_FLAG
USAGE_CODE
Column Descriptions Name CONSOLIDATION_ID (PK) TO_SET_OF_BOOKS_ID FROM_SET_OF_BOOKS_ID NAME USAGE_CODE LAST_UPDATE_DATE LAST_UPDATED_BY RUN_JOURNAL_IMPORT_FLAG
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(33) NOT NULL VARCHAR2(1) NOT NULL DATE NOT NULL NUMBER(15) NOT NULL VARCHAR2(1)
Description Consolidation defining column Parent accounting books defining column Subsidiary accounting books defining column Consolidation name Consolidation Usage (Standard, Average, or Standard & Average) Standard Who column Standard Who column Run journal import flag
(Continued) Null? Type NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NULL VARCHAR2(240) NULL VARCHAR2(1) NULL VARCHAR2(15) NULL DATE NULL DATE NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(80) VARCHAR2(30) DATE NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Run journal import in summary mode flag Run journal import in audit mode flag Consolidation description Consolidation method lookup (Balances, Transaction) Subsidiary currency (Functional or STAT) Date on which consolidation becomes valid Date on which consolidation becomes invalid No longer used No longer used Standard Who column Standard Who column Standard Who column Descriptive flex context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
SUMMARIZE_LINES_FLAG AUDIT_MODE_FLAG DESCRIPTION METHOD FROM_CURRENCY_CODE START_DATE_ACTIVE END_DATE_ACTIVE FROM_LOCATION FROM_ORACLE_ID CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 Indexes Index Name GL_CONSOLIDATION_U1 GL_CONSOLIDATION_U2 Sequences Sequence GL_CONSOLIDATION_S
Sequence 1 1
GL_CONSOLIDATION_ACCOUNTS
GL_CONSOLIDATION_ACCOUNTS stores the account ranges that you enter when you consolidate balances using the Transfer Consolidation Data form. This table corresponds to the Account Ranges window of the Transfer Consolidation Data form.
Foreign Keys Primary Key Table GL_CONSOLIDATION GL_CONSOLIDATION_HISTORY GL_SETS_OF_BOOKS Column Descriptions Name CONSOLIDATION_RUN_ID (PK)
Null? Type NOT NULL NUMBER NOT NOT NOT NOT NULL NULL NULL NULL NUMBER DATE NUMBER NUMBER(15)
Description Consolidation run process defining column Consolidation defining column Standard Who column Standard Who column Parent accounting books defining column Line number of the account range Standard Who column Standard Who column Standard Who column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column
CONSOLIDATION_ID (PK) LAST_UPDATE_DATE LAST_UPDATED_BY FROM_SET_OF_BOOKS_ID ELEMENT_SEQUENCE CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN SEGMENT1_LOW SEGMENT1_HIGH SEGMENT2_LOW SEGMENT2_HIGH SEGMENT3_LOW SEGMENT3_HIGH SEGMENT4_LOW SEGMENT4_HIGH SEGMENT5_LOW SEGMENT5_HIGH SEGMENT6_LOW SEGMENT6_HIGH SEGMENT7_LOW SEGMENT7_HIGH SEGMENT8_LOW (PK)
NOT NULL NUMBER NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) VARCHAR2(25)
NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25)
Column Descriptions Name SEGMENT8_HIGH SEGMENT9_LOW SEGMENT9_HIGH SEGMENT10_LOW SEGMENT10_HIGH SEGMENT11_LOW SEGMENT11_HIGH SEGMENT12_LOW SEGMENT12_HIGH SEGMENT13_LOW SEGMENT13_HIGH SEGMENT14_LOW SEGMENT14_HIGH SEGMENT15_LOW SEGMENT15_HIGH SEGMENT16_LOW SEGMENT16_HIGH SEGMENT17_LOW SEGMENT17_HIGH SEGMENT18_LOW SEGMENT18_HIGH SEGMENT19_LOW SEGMENT19_HIGH SEGMENT20_LOW SEGMENT20_HIGH SEGMENT21_LOW SEGMENT21_HIGH SEGMENT22_LOW SEGMENT22_HIGH SEGMENT23_LOW
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range
Column Descriptions Name SEGMENT23_HIGH SEGMENT24_LOW SEGMENT24_HIGH SEGMENT25_LOW SEGMENT25_HIGH SEGMENT26_LOW SEGMENT26_HIGH SEGMENT27_LOW SEGMENT27_HIGH SEGMENT28_LOW SEGMENT28_HIGH SEGMENT29_LOW SEGMENT29_HIGH SEGMENT30_LOW SEGMENT30_HIGH
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high
Sequence 1 2 3
GL_CONSOLIDATION_AUDIT
GL_CONSOLIDATION_AUDIT stores consolidation information when you transfer consolidation data in audit mode. You get one row in this table for each consolidation line that is fed to Journal Import. You can delete rows from this table using the Purge Consolidation Audit Data form. The Segment1 through Segment30 columns store the destination code combination of the consolidation line.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS GL_CODE_COMBINATIONS GL_CONSOLIDATION GL_SETS_OF_BOOKS GL_SETS_OF_BOOKS QuickCodes Columns Column ACTUAL_FLAG
QuickCodes Table GL_LOOKUPS A B E GL_LOOKUPS No Yes GL_LOOKUPS PJTD PTD QTD YTD
AVERAGE_CONSOLIDATION_FLAG
CONSOLIDATION_TYPE
Column Descriptions Name CONSOLIDATION_ID TO_PERIOD_NAME FROM_PERIOD_NAME TO_SET_OF_BOOKS_ID REQUEST_ID ACTUAL_FLAG CONSOLIDATION_TYPE ACCOUNTING_DATE AVERAGE_CONSOLIDATION_FLAG FROM_SET_OF_BOOKS_ID FROM_CODE_COMBINATION_ID ENTERED_DR ENTERED_CR
Null? Type NOT NULL NUMBER NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(15) NOT NULL NUMBER NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NOT NOT NOT NULL NULL NULL NULL VARCHAR2(4) DATE VARCHAR2(1) NUMBER
Description Consolidation defining column Parent accounting period name Subsidiary accounting period name Parent accounting books defining column Consolidation concurrent request defining column Balance type lookup (Actual, Budget, or Encumbrance) Consolidation type Accounting date Average consolidation flag Subsidiary accounting books defining column Subsidiary key flex account defining column Consolidated debit amount Consolidated credit amount
Column Descriptions Name SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21 SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27 SEGMENT28 SEGMENT29 SEGMENT30 Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) Description Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment
Sequence 1 2 3 1
GL_CONSOLIDATION_AUDIT_N1 GL_CONSOLIDATION_AUDIT_N2
GL_CONSOLIDATION_HISTORY
GL_CONSOLIDATION_HISTORY stores information about the consolidation data transfers youve made. One row is inserted into this table each time you transfer consolidation data. FROM_PERIOD_NAME is the subsidiarys accounting period name. TO_PERIOD_NAME is the parents accounting period name. ACTUAL_FLAG is A if you transfer actual amounts and B if you transfer budget amounts.
Foreign Keys Primary Key Table FND_CURRENCIES GL_BUDGET_VERSIONS GL_BUDGET_VERSIONS GL_CONSOLIDATION GL_CONSOLIDATION_SETS GL_PERIODS GL_PERIODS QuickCodes Columns Column ACTUAL_FLAG
Primary Key Column CURRENCY_CODE BUDGET_VERSION_ID BUDGET_VERSION_ID CONSOLIDATION_ID CONSOLIDATION_SET_ID PERIOD_NAME PERIOD_NAME
Foreign Key Column TO_CURRENCY_CODE FROM_BUDGET_VERSION_ID TO_BUDGET_VERSION_ID CONSOLIDATION_ID CONSOLIDATION_SET_ID FROM_PERIOD_NAME TO_PERIOD_NAME
QuickCodes Type BATCH_TYPE A B E PTD_YTD PJTD PTD QTD YTD YES/NO N Y CONSOLIDATION_METHOD B S T CONSOLIDATION_STATUS DD ID IF IG ND NI NT PD PF PG PS RV
QuickCodes Table GL_LOOKUPS A B E GL_LOOKUPS PJTD PTD QTD YTD GL_LOOKUPS No Yes GL_LOOKUPS Balances Summary Transactions GL_LOOKUPS Journal Deleted Imported Import Failed Importing No Data Transferred No Data Imported Not Transferred Posted Posting Failed Posting Selected for Posting Reversed
AMOUNT_TYPE
AVERAGE_CONSOLIDATION_FLAG
METHOD_FLAG
STATUS
(Continued) QuickCodes Type TD TF TG TS QuickCodes Table Transferred Transfer Failed Transferring Selected for Transfer
Column Descriptions Name CONSOLIDATION_RUN_ID CONSOLIDATION_ID FROM_PERIOD_NAME TO_PERIOD_NAME (PK) TO_CURRENCY_CODE METHOD_FLAG RUN_EASYLINK_FLAG ACTUAL_FLAG AVERAGE_CONSOLIDATION_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN FROM_BUDGET_NAME FROM_BUDGET_VERSION_ID TO_BUDGET_NAME TO_BUDGET_VERSION_ID AMOUNT_TYPE FROM_DATE AVERAGE_TO_PERIOD_NAME CONSOLIDATION_SET_ID OBSOLETE_CONSOLIDATION_FLAG STATUS REQUEST_ID GROUP_ID JE_BATCH_ID (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NUMBER(15) VARCHAR2(15) VARCHAR2(15) VARCHAR2(15) VARCHAR2(1)
Description Consolidation run process defining column Consolidation defining column Subsidiary period name Parent period name Parent currency Consolidation method (Balances, Transactions) Submit Journal Import process Balance type lookup (Actual, Budget, or Encumbrance) Average consolidation flag Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Subsidiary budget name Subsidiary budget defining column Parent budget name Parent budget defining column Amount type consolidated Subsidiary effective date Parent period name for average journals Consolidation set defining column Flag which indicates whether the current consolidation transfer is obsolete Consolidation status Id of the request currently processing this consolidation run (or journal batch) Group id of the consolidation data in journal import Defining column of the consolidation batch produced by journal import
NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(1) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(15) NUMBER(15) VARCHAR2(15) NUMBER(15) VARCHAR2(30) DATE VARCHAR2(15)
NULL NUMBER(15) NULL VARCHAR2(1) NULL VARCHAR2(2) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15)
Sequence 1 1 1 1 2
GL_CONSOLIDATION_SETS
GL_CONSOLIDATION_SETS stores the consolidation sets you define in the Consolidation Mapping Sets form. Each row contains the name of the consolidation mapping set, the ID of the parent set of books being consolidated to, the method of consolidation (Balances or Transactions), and other information. There is a onetomany relationship between rows in this table and rows in the GL_CONS_SET_ASSIGNMENTS table.
Foreign Keys Primary Key Table GL_SETS_OF_BOOKS QuickCodes Columns Column AUDIT_MODE_FLAG
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS Balances Summary Transactions GL_LOOKUPS No Yes GL_LOOKUPS No Yes
METHOD
RUN_JOURNAL_IMPORT_FLAG
SUMMARIZE_LINES_FLAG
Column Descriptions Name CONSOLIDATION_SET_ID TO_SET_OF_BOOKS_ID NAME RUN_JOURNAL_IMPORT_FLAG SUMMARIZE_LINES_FLAG AUDIT_MODE_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN METHOD DESCRIPTION CONTEXT (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT
Description
Consolidation set defining column NULL NUMBER(15) Parent accounting books defining column NULL VARCHAR2(30) Consolidation set name NULL VARCHAR2(1) Automatically run journal import flag NULL VARCHAR2(1) Run journal import in summary mode flag NULL VARCHAR2(1) Run journal import in audit mode flag NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column NULL VARCHAR2(1) Consolidation method (Balances or Transactions) NULL VARCHAR2(240) Consolidation set description NULL VARCHAR2(150) Descriptive flexfield context
Column Descriptions Name ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment
Sequence 1 1 2
GL_CONSOLIDATION_SETS_U1 GL_CONSOLIDATION_SETS_U2
GL_CONS_BATCHES
GL_CONS_BATCHES stores the journal entry batches you transfer when you use the transactions method of consolidation. This table corresponds to the Consolidation Batches window of the Transfer Consolidation Data form. When you transfer consolidation data using the transactions method, your Oracle General Ledger application stores one row in this table for each batch you transfer.
Foreign Keys Primary Key Table GL_CONSOLIDATION GL_CONSOLIDATION_HISTORY GL_JE_BATCHES Column Descriptions Name CONSOLIDATION_ID (PK) CONSOLIDATION_RUN_ID (PK) JE_BATCH_ID (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL DATE NOT NULL NUMBER(15) NULL DATE NULL NUMBER(15) NULL NUMBER(15)
Description Consolidation defining column Consolidation run process defining column Consolidation journal batch defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column
Sequence 1 2
GL_CONS_FLEXFIELD_MAP
GL_CONS_FLEXFIELD_MAP stores the account rules you define when you define a consolidation mapping. Each row contains a range of child accounts and the parent account they map to. This table corresponds to the Account Rules window of the Consolidation Mappings form.
Foreign Keys Primary Key Table GL_CODE_COMBINATIONS GL_CONSOLIDATION Column Descriptions Name FLEXFIELD_MAP_ID (PK)
Null? Type NOT NULL NUMBER NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NUMBER DATE NUMBER NUMBER DATE NUMBER(15) NUMBER(15) VARCHAR2(25)
Description Consolidation flexfield map defining column Consolidation defining column Standard Who column Standard Who column Parent key flex account defining column Standard Who column Standard Who column Standard Who column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column
CONSOLIDATION_ID LAST_UPDATE_DATE LAST_UPDATED_BY TO_CODE_COMBINATION_ID CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN SEGMENT1_LOW SEGMENT1_HIGH SEGMENT2_LOW SEGMENT2_HIGH SEGMENT3_LOW SEGMENT3_HIGH SEGMENT4_LOW SEGMENT4_HIGH SEGMENT5_LOW SEGMENT5_HIGH SEGMENT6_LOW SEGMENT6_HIGH SEGMENT7_LOW SEGMENT7_HIGH SEGMENT8_LOW SEGMENT8_HIGH SEGMENT9_LOW
NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25)
Column Descriptions Name SEGMENT9_HIGH SEGMENT10_LOW SEGMENT10_HIGH SEGMENT11_LOW SEGMENT11_HIGH SEGMENT12_LOW SEGMENT12_HIGH SEGMENT13_LOW SEGMENT13_HIGH SEGMENT14_LOW SEGMENT14_HIGH SEGMENT15_LOW SEGMENT15_HIGH SEGMENT16_LOW SEGMENT16_HIGH SEGMENT17_LOW SEGMENT17_HIGH SEGMENT18_LOW SEGMENT18_HIGH SEGMENT19_LOW SEGMENT19_HIGH SEGMENT20_LOW SEGMENT20_HIGH SEGMENT21_LOW SEGMENT21_HIGH SEGMENT22_LOW SEGMENT22_HIGH SEGMENT23_LOW SEGMENT23_HIGH SEGMENT24_LOW
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range
Column Descriptions Name SEGMENT24_HIGH SEGMENT25_LOW SEGMENT25_HIGH SEGMENT26_LOW SEGMENT26_HIGH SEGMENT27_LOW SEGMENT27_HIGH SEGMENT28_LOW SEGMENT28_HIGH SEGMENT29_LOW SEGMENT29_HIGH SEGMENT30_LOW SEGMENT30_HIGH ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 CONTEXT Indexes Index Name
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Key flexfield segment range column Key flexfield segment column Key flexfield segment range column Key flexfield segment column Key flexfield segment range column Key flexfield segment column Key flexfield segment range column Key flexfield segment column Key flexfield segment range column Key flexfield segment column Key flexfield segment range column Key flexfield segment column Key flexfield segment range column Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield high low range high low range high low range high low range high low range high low range high segment segment segment segment segment context
Sequence 1 1
GL_CONS_FLEX_HIERARCHIES
GL_CONS_FLEX_HIERARCHIES stores the subsidiary segment ranges that you define in the Subsidiary Segment Ranges section of the Segment Rules window of the Consolidation Mappings form. You need one row for each range that you define. Each row contains a range of child segment values and the parent segment value they map to. There is a onetomany relationship between a row in the GL_CONS_SEGMENT_MAP table and the rows in this table.
Foreign Keys Primary Key Table GL_CONS_SEGMENT_MAP Column Descriptions Name SEGMENT_MAP_ID (PK)
Null? Type NOT NULL NUMBER NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(25) NOT NULL DATE NOT NULL NUMBER NULL DATE NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150)
Description Subsidiary segment map defining column Parent segment value Subsidiary segment low range value Subsidiary segment high range value Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context
PARENT_FLEX_VALUE (PK) CHILD_FLEX_VALUE_LOW (PK) CHILD_FLEX_VALUE_HIGH LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 CONTEXT Indexes Index Name GL_CONS_FLEX_HIERARCHIES_N1 (PK)
Sequence 1 2
GL_CONS_SEGMENT_MAP
GL_CONS_SEGMENT_MAP stores the rules you define in the Segment Rules window of the Consolidation Mappings form. SEGMENT_MAP_TYPE is C for copy value rule, S for single value rule, and R for the Detail Ranges rollup rule, U for the Parent Ranges rollup rule, P for the Detail Parent rollup rule, and V for the Summary Parent rollup rule. SINGLE_VALUE is the parent set of books detail segment value you specify when you use the single value rule or the rollup rules. PARENT_ROLLUP_VALUE is the subsidiary set of books parent segment value that you specify when you use the Detail or Summary Parent rollup rules.
Foreign Keys Primary Key Table FND_FLEX_VALUE_SETS FND_FLEX_VALUE_SETS GL_CONSOLIDATION QuickCodes Columns Column SEGMENT_MAP_TYPE
QuickCodes Table GL_LOOKUPS Copy Value Detail Rollup Via Parent Detail Rollup Ranges Single Value Parent Rollup Ranges Parent Value
Null? Type NOT NULL NUMBER NOT NOT NOT NOT NOT NOT
Description
CONSOLIDATION_ID LAST_UPDATE_DATE LAST_UPDATED_BY TO_VALUE_SET_ID TO_APPLICATION_COLUMN_NAME SEGMENT_MAP_TYPE CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN FROM_VALUE_SET_ID FROM_APPLICATION_COLUMN_NAME PARENT_ROLLUP_VALUE SINGLE_VALUE ATTRIBUTE1 ATTRIBUTE2
Consolidation segment map defining column NULL NUMBER Consolidation defining column NULL DATE Standard Who column NULL NUMBER Standard Who column NULL NUMBER Parent segment value set defining column NULL VARCHAR2(30) Parent segment column name NULL VARCHAR2(1) Segment map type lookup NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER Subsidiary segment value set defining column NULL VARCHAR2(30) Subsidiary segment column name NULL VARCHAR2(25) Subsidiary set of books parent rollup value NULL VARCHAR2(25) Parent segment value for single value or rollup ranges rule NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment
Column Descriptions Name ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 CONTEXT Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Description flexfield flexfield flexfield flexfield segment segment segment context
Sequence 1 2 1
GL_CONS_SET_ASSIGNMENTS
GL_CONS_SET_ASSIGNMENTS stores information about the consolidation mappings in the consolidation sets that you define in the Consolidation Mapping Set form. For each mapping in a mapping set, there will be one row in this table.
Foreign Keys Primary Key Table GL_CONSOLIDATION GL_CONSOLIDATION_SETS GL_CONSOLIDATION_SETS Column Descriptions Name CONSOLIDATION_SET_ID (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Consolidation set defining column Consolidation id Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Child consolidation set defining column. Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
CONSOLIDATION_ID (PK) CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CHILD_CONSOLIDATION_SET_ID CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name GL_CONS_SET_ASSIGNMENTS_U1
Sequence 1 2
GL_DAILY_BALANCES
GL_DAILY_BALANCES stores daily aggregate balances for detail and summary balance sheet accounts in sets of books with average balances enabled. This table stores functional currency, foreign entered, statistical, and translated daily aggregate balances for each nonadjusting period that has ever been opened. When journal entries are posted, based on the actual accounting dates, Oracle General Ledger s Posting program starts aggregating your journal line amounts from the period and the corresponding aggregate column (offset from the period start date) to the last aggregate column (corresponding to the period end date) of the latest open nonadjusting period. Journal entries posted to adjusting periods will be treated as if they are posted to the corresponding nonadjusting periods which the accounting dates fall into. Since Oracle General Ledger currently only maintains actual daily aggregate balances, the ACTUAL_FLAG column is always A. The CURRENCY_TYPE, CURRENCY_CODE, and CONVERTED_FROM_CURRENCY columns serve to identify functional, foreign entered, statistical, and translated balances rows in GL_DAILY_BALANCES. There are six possible combinations: 1. CURRENCY_TYPE is U, CURRENCY_CODE is the functional currency, and CONVERTED_FROM_CURRENCY is NULL: The row contains cumulative functional currency balances from journals you entered in the functional currency plus all converted balances from your foreign currency journals. 2. CURRENCY_TYPE is E, CURRENCY_CODE is a foreign currency, and CONVERTED_FROM_CURRENCY is NULL: The row contains foreign currency balances from journals you entered in the currency specified in CURRENCY_CODE. 3. CURRENCY_TYPE is C, CURRENCY_CODE is the functional currency, and CONVERTED_FROM_CURRENCY is a foreign currency: The row contains functional currency balances converted from journals you entered in the foreign currency specified in CONVERTED_FROM_CURRENCY. 4. CURRENCY_TYPE is U, CURRENCY_CODE is STAT, and CONVERTED_FROM_CURRENCY is NULL: The row contains statistical balances from your statistical journal entries and/or the statistical portion of your mixed stat and monetary journal entries. 5. CURRENCY_TYPE is T, CURRENCY_CODE is a foreign currency, and CONVERTED_FROM_CURRENCY is NULL: The row contains
Oracle Proprietary, Confidential InformationUse Restricted by Contract
3 196 Oracle General Ledger Applications Technical Reference Manual
foreign currency balances you translated from your cumulative functional currency balances to the currency specified in CURRENCY_CODE. The translation is current. 6. CURRENCY_TYPE is O, CURRENCY_CODE is a foreign currency, and CONVERTED_FROM_CURRENCY is NULL: The row contains foreign currency balances you translated from your cumulative functional currency balances to the currency specified in CURRENCY_CODE. The translation is out of date. Through the aggregate columns, you can derive the four supported average amount types for nontranslated balances, period average to date (PATD), quarter average to date (QATD), year average to date (YATD), and end of date (EOD), using the following formulas: For a particular accounting date i,
PATD(i) = Period_Aggregate(k) / ( i Period_Start_Date + 1) QATD(i) = ( Opening_Quarter_Aggregate + Period_Aggregate(k) ) / ( i Quarter_Start_Date + 1) YATD(i) = ( Opening_Year_Aggregate + Period_Aggregate(k) ) / ( i Year_Start_Date + 1) EOD(i) = Period_Aggregate(1), for k=1, OR = Period_Aggregate(k) Period_Aggregate(k1), for k>1
where k is the aggregate column index. k is 1 + the offset from the start date of the period that date i is in.
For translated average balances, Oracle General Ledger automatically maintains PATD and EOD by default. For translation performance and storage reasons, you can optionally choose to maintain QATD and/or YATD when you define your average balances set of books. Unlike nontranslated aggregate balances where end of date, quarter, and year aggregates are derived, these aggregates are stored in separate physical columns. The following formulas derive the four average amount types for translated balances: For a particular accounting date i,
PATD(i) = Period_Aggregate(k) / ( i Period_Start_Date + 1) QATD(i) = Quarter_Aggregate(k) / ( i Quarter_Start_Date + 1) Oracle Proprietary, Confidential InformationUse Restricted by Contract
Detailed Design 3 197
where k is the aggregate column index. k is 1 + the offset from the start date of the period that date i is in.
For nontranslated balances, END_OF_DAY, QUARTER_AGGREGATE, and YEAR_AGGREGATE columns are always NULL. For translated balances, QUARTER_AGGREGATE or YEAR_AGGREGATE columns are NULL if you choose not to maintain translated QATD or YATD. OPENING_QUARTER_AGGREGATE and OPENING_YEAR_AGGREGATE columns are always NULL. GL_DAILY_BALANCES maintains at the account level each balance sheet account posted to an average balances set of books. For income statement accounts, Oracle General Ledger s Posting program summarizes balances posted into net income account rows on a per balancing segment value basis. For detail account rows, TEMPLATE_ID is always NULL. For summary account rows, TEMPLATE_ID has ids of the corresponding summary templates.
Foreign Keys Primary Key Table FND_CURRENCIES GL_CODE_COMBINATIONS GL_PERIOD_TYPES GL_SETS_OF_BOOKS GL_SUMMARY_TEMPLATES Column Descriptions Name SET_OF_BOOKS_ID (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL VARCHAR2(15) VARCHAR2(1) VARCHAR2(1) VARCHAR2(15) DATE
Description Accounting books defining column Key Flexfield combination defining column Currency Currency type Always A Accounting Period Start date of the accounting period End date of the accounting period Start date of the quarter containing the accounting period Start date of the fiscal year containing the accounting period
CODE_COMBINATION_ID CURRENCY_CODE (PK) CURRENCY_TYPE (PK) ACTUAL_FLAG (PK) PERIOD_NAME (PK) PERIOD_START_DATE PERIOD_END_DATE QUARTER_START_DATE YEAR_START_DATE
(Continued) Null? Type NOT NOT NOT NOT NOT (PK) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(15) VARCHAR2(15) NUMBER(15) NUMBER(15) NUMBER(15) Description Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Currency the balance was converted from Accounting period type Accounting period year Accounting period number Summary template defining column End of day balance of the last day of the previous period Aggregate of the end balances of all days in this quarter before the 1st day of this accounting period. This column is not used for translated balances. Aggregate of the end balances of all days in this year before the 1st day of this accounting period. This column is not used for translated balances. End balance of the 1st day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 2nd day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 3rd day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 4th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 5th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 5th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 8th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 8th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 9th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 10th day of this accounting period
CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CONVERTED_FROM_CURRENCY PERIOD_TYPE PERIOD_YEAR PERIOD_NUM TEMPLATE_ID OPENING_PERIOD_AGGREGATE
OPENING_QUARTER_AGGREGATE
OPENING_YEAR_AGGREGATE
NULL NUMBER
PERIOD_AGGREGATE1 PERIOD_AGGREGATE2
PERIOD_AGGREGATE3
NULL NUMBER
PERIOD_AGGREGATE4
NULL NUMBER
PERIOD_AGGREGATE5
NULL NUMBER
PERIOD_AGGREGATE6
NULL NUMBER
PERIOD_AGGREGATE7
NULL NUMBER
PERIOD_AGGREGATE8
NULL NUMBER
PERIOD_AGGREGATE9
NULL NUMBER
PERIOD_AGGREGATE10
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this period, up to and including the 11th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 12th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 13th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 14th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 15th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 16th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 17th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 18th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 19th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 20th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 21st day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 22nd day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 23rd day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 24th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 25th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 26th day of this accounting period
PERIOD_AGGREGATE11
PERIOD_AGGREGATE12
NULL NUMBER
PERIOD_AGGREGATE13
NULL NUMBER
PERIOD_AGGREGATE14
NULL NUMBER
PERIOD_AGGREGATE15
NULL NUMBER
PERIOD_AGGREGATE16
NULL NUMBER
PERIOD_AGGREGATE17
NULL NUMBER
PERIOD_AGGREGATE18
NULL NUMBER
PERIOD_AGGREGATE19
NULL NUMBER
PERIOD_AGGREGATE20
NULL NUMBER
PERIOD_AGGREGATE21
NULL NUMBER
PERIOD_AGGREGATE22
NULL NUMBER
PERIOD_AGGREGATE23
NULL NUMBER
PERIOD_AGGREGATE24
NULL NUMBER
PERIOD_AGGREGATE25
NULL NUMBER
PERIOD_AGGREGATE26
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this period, up to and including the 26th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 28th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 29th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 30th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 31st day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 32nd day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 33rd day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 34th day of this accounting period Aggregate of the end balances of all days in this period, up to and including the 35th day of this accounting period End of day balance for the 1st day of this accounting period. This column is only used for translated balances. End of day balance for the 2nd day of this accounting period. This column is only used for translated balances. End of day balance for the 3rd day of this accounting period. This column is only used for translated balances. End of day balance for the 3rd day of this accounting period. This column is only used for translated balances. End of day balance for the 5th day of this accounting period. This column is only used for translated balances. End of day balance for the 6th day of this accounting period. This column is only used for translated balances. End of day balance for the 7th day of this accounting period. This column is only used for translated balances.
PERIOD_AGGREGATE27
PERIOD_AGGREGATE28
NULL NUMBER
PERIOD_AGGREGATE29
NULL NUMBER
PERIOD_AGGREGATE30
NULL NUMBER
PERIOD_AGGREGATE31
NULL NUMBER
PERIOD_AGGREGATE32
NULL NUMBER
PERIOD_AGGREGATE33
NULL NUMBER
PERIOD_AGGREGATE34
NULL NUMBER
PERIOD_AGGREGATE35
NULL NUMBER
END_OF_DAY1
NULL NUMBER
END_OF_DAY2
NULL NUMBER
END_OF_DAY3
NULL NUMBER
END_OF_DAY4
NULL NUMBER
END_OF_DAY5
NULL NUMBER
END_OF_DAY6
NULL NUMBER
END_OF_DAY7
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description End of day balance for the 8th day of this accounting period. This column is only used for translated balances. End of day balance for the 9th day of this accounting period. This column is only used for translated balances. End of day balance for the 10th day of this accounting period. This column is only used for translated balances. End of day balance for the 11th day of this accounting period. This column is only used for translated balances. End of day balance for the 12th day of this accounting period. This column is only used for translated balances. End of day balance for the 13th day of this accounting period. This column is only used for translated balances. End of day balance for the 14th day of this accounting period. This column is only used for translated balances. End of day balance for the 15th day of this accounting period. This column is only used for translated balances. End of day balance for the 16th day of this accounting period. This column is only used for translated balances. End of day balance for the 17th day of this accounting period. This column is only used for translated balances. End of day balance for the 18th day of this accounting period. This column is only used for translated balances. End of day balance for the 19th day of this accounting period. This column is only used for translated balances. End of day balance for the 20th day of this accounting period. This column is only used for translated balances. End of day balance for the 21st day of this accounting period. This column is only used for translated balances. End of day balance for the 22nd day of this accounting period. This column is only used for translated balances. End of day balance for the 23rd day of this accounting period. This column is only used for translated balances.
END_OF_DAY9
NULL NUMBER
END_OF_DAY10
NULL NUMBER
END_OF_DAY11
NULL NUMBER
END_OF_DAY12
NULL NUMBER
END_OF_DAY13
NULL NUMBER
END_OF_DAY14
NULL NUMBER
END_OF_DAY15
NULL NUMBER
END_OF_DAY16
NULL NUMBER
END_OF_DAY17
NULL NUMBER
END_OF_DAY18
NULL NUMBER
END_OF_DAY19
NULL NUMBER
END_OF_DAY20
NULL NUMBER
END_OF_DAY21
NULL NUMBER
END_OF_DAY22
NULL NUMBER
END_OF_DAY23
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description End of day balance for the 24th day of this accounting period. This column is only used for translated balances. End of day balance for the 25th day of this accounting period. This column is only used for translated balances. End of day balance for the 26th day of this accounting period. This column is only used for translated balances. End of day balance for the 27th day of this accounting period. This column is only used for translated balances. End of day balance for the 28th day of this accounting period. This column is only used for translated balances. End of day balance for the 29th day of this accounting period. This column is only used for translated balances. End of day balance for the 30th day of this accounting period. This column is only used for translated balances. End of day balance for the 31st day of this accounting period. This column is only used for translated balances. End of day balance for the 32nd day of this accounting period. This column is only used for translated balances. End of day balance for the 33rd day of this accounting period. This column is only used for translated balances. End of day balance for the 34th day of this accounting period. This column is only used for translated balances. End of day balance for the 35th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 1st day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 2nd day of this accounting period. This column is only used for translated balances.
END_OF_DAY25
NULL NUMBER
END_OF_DAY26
NULL NUMBER
END_OF_DAY27
NULL NUMBER
END_OF_DAY28
NULL NUMBER
END_OF_DAY29
NULL NUMBER
END_OF_DAY30
NULL NUMBER
END_OF_DAY31
NULL NUMBER
END_OF_DAY32
NULL NUMBER
END_OF_DAY33
NULL NUMBER
END_OF_DAY34
NULL NUMBER
END_OF_DAY35
NULL NUMBER
QUARTER_AGGREGATE1
NULL NUMBER
QUARTER_AGGREGATE2
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this quarter, up to and including the 3rd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 4th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 5th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 6th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 7th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 8th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 9th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 10th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 11th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 12th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 13th day of this accounting period. This column is only used for translated balances.
QUARTER_AGGREGATE3
QUARTER_AGGREGATE4
NULL NUMBER
QUARTER_AGGREGATE5
NULL NUMBER
QUARTER_AGGREGATE6
NULL NUMBER
QUARTER_AGGREGATE7
NULL NUMBER
QUARTER_AGGREGATE8
NULL NUMBER
QUARTER_AGGREGATE9
NULL NUMBER
QUARTER_AGGREGATE10
NULL NUMBER
QUARTER_AGGREGATE11
NULL NUMBER
QUARTER_AGGREGATE12
NULL NUMBER
QUARTER_AGGREGATE13
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this quarter, up to and including the 13th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 15th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 16th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 17th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 18th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 19th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 20th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 21st day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 22nd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 23rd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 24th day of this accounting period. This column is only used for translated balances.
QUARTER_AGGREGATE14
QUARTER_AGGREGATE15
NULL NUMBER
QUARTER_AGGREGATE16
NULL NUMBER
QUARTER_AGGREGATE17
NULL NUMBER
QUARTER_AGGREGATE18
NULL NUMBER
QUARTER_AGGREGATE19
NULL NUMBER
QUARTER_AGGREGATE20
NULL NUMBER
QUARTER_AGGREGATE21
NULL NUMBER
QUARTER_AGGREGATE22
NULL NUMBER
QUARTER_AGGREGATE23
NULL NUMBER
QUARTER_AGGREGATE24
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this quarter, up to and including the 25th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 26th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 27th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 28th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 29th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 30th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 31st day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 32nd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 33rd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 4th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this quarter, up to and including the 35th day of this accounting period. This column is only used for translated balances.
QUARTER_AGGREGATE25
QUARTER_AGGREGATE26
NULL NUMBER
QUARTER_AGGREGATE27
NULL NUMBER
QUARTER_AGGREGATE28
NULL NUMBER
QUARTER_AGGREGATE29
NULL NUMBER
QUARTER_AGGREGATE30
NULL NUMBER
QUARTER_AGGREGATE31
NULL NUMBER
QUARTER_AGGREGATE32
NULL NUMBER
QUARTER_AGGREGATE33
NULL NUMBER
QUARTER_AGGREGATE34
NULL NUMBER
QUARTER_AGGREGATE35
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this year, up to and including the 1st day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 2nd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 3rd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 4th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 5th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 6th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 7th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 7th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 9th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 10th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 11th day of this accounting period. This column is only used for translated balances.
YEAR_AGGREGATE2
NULL NUMBER
YEAR_AGGREGATE3
NULL NUMBER
YEAR_AGGREGATE4
NULL NUMBER
YEAR_AGGREGATE5
NULL NUMBER
YEAR_AGGREGATE6
NULL NUMBER
YEAR_AGGREGATE7
NULL NUMBER
YEAR_AGGREGATE8
NULL NUMBER
YEAR_AGGREGATE9
NULL NUMBER
YEAR_AGGREGATE10
NULL NUMBER
YEAR_AGGREGATE11
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this year, up to and including the 12th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 13th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 14th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 15th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 16th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 17th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 18th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 19th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 19th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 21st day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 22nd day of this accounting period. This column is only used for translated balances.
YEAR_AGGREGATE13
NULL NUMBER
YEAR_AGGREGATE14
NULL NUMBER
YEAR_AGGREGATE15
NULL NUMBER
YEAR_AGGREGATE16
NULL NUMBER
YEAR_AGGREGATE17
NULL NUMBER
YEAR_AGGREGATE18
NULL NUMBER
YEAR_AGGREGATE19
NULL NUMBER
YEAR_AGGREGATE20
NULL NUMBER
YEAR_AGGREGATE21
NULL NUMBER
YEAR_AGGREGATE22
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this year, up to and including the 23rd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 24th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 25th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 27th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 27th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 28th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 29th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 30th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 31st day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 32nd day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 33rd day of this accounting period. This column is only used for translated balances.
YEAR_AGGREGATE24
NULL NUMBER
YEAR_AGGREGATE25
NULL NUMBER
YEAR_AGGREGATE26
NULL NUMBER
YEAR_AGGREGATE27
NULL NUMBER
YEAR_AGGREGATE28
NULL NUMBER
YEAR_AGGREGATE29
NULL NUMBER
YEAR_AGGREGATE30
NULL NUMBER
YEAR_AGGREGATE31
NULL NUMBER
YEAR_AGGREGATE32
NULL NUMBER
YEAR_AGGREGATE33
NULL NUMBER
(Continued) Null? Type NULL NUMBER Description Aggregate of the end balances of all days in this year, up to and including the 34th day of this accounting period. This column is only used for translated balances. Aggregate of the end balances of all days in this year, up to and including the 35th day of this accounting period. This column is only used for translated balances.
YEAR_AGGREGATE35
NULL NUMBER
Index Type NOT UNIQUE NOT UNIQUE NOT UNIQUE NOT UNIQUE
Sequence 1 2 3 1 1 2 1
GL_DAILY_CONVERSION_TYPES
GL_DAILY_CONVERSION_TYPES stores daily conversion rate types and their descriptions. This table corresponds to the Conversion Rate Types form. This table has no foreign keys other than the standard Who columns.
Column Descriptions Name CONVERSION_TYPE (PK) USER_CONVERSION_TYPE LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN DESCRIPTION ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 CONTEXT Indexes Index Name GL_DAILY_CONVERSION_TYPES_U1 GL_DAILY_CONVERSION_TYPES_U2 Sequences Sequence GL_DAILY_CONVERSION_TYPES_S
Null? Type NOT NULL VARCHAR2(30) NOT NULL VARCHAR2(30) NOT NULL DATE NOT NULL NUMBER(15) NULL DATE NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(240) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150)
Description Conversion type name Conversion type user defined name Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Conversion type description Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context
Sequence 1 1
GL_DAILY_RATES
GL_DAILY_RATES stores the daily conversion rates for foreign currency transactions. It replaces the GL_DAILY_CONVERSION_RATES table. It stores the rate to use when converting between two currencies for a given conversion date and conversion type. Each row in this table has a corresponding inverse row in which the from and to currencies are switched. For example, if this table contains a row with a from_currency of YEN, a to_currency of CND, a conversion_type of Spot, and a conversion_date of January 1, 1997, it will also contain a row with a from_currency of CND, a to_currency of YEN, a conversion_type of Spot, and a conversion_date of January 1, 1997. In general, this row will contain a rate that is the inverse of the matching row. Customers should never insert directly into this table. They should instead insert into the GL_DAILY_RATES_INTERFACE table. Data inserted into the GL_DAILY_RATES_INTERFACE table will be automatically copied into this table.
Foreign Keys Primary Key Table FND_CURRENCIES FND_CURRENCIES GL_DAILY_CONVERSION_TYPES QuickCodes Columns Column STATUS_CODE
Column Descriptions Name FROM_CURRENCY (PK) TO_CURRENCY (PK) CONVERSION_DATE (PK) CONVERSION_TYPE (PK) CONVERSION_RATE STATUS_CODE CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(15) VARCHAR2(15) DATE VARCHAR2(30) NUMBER VARCHAR2(1) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description From currency To currency Currency conversion date Currency conversion type Currency conversion rate Daily balances up to date flag Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
Column Descriptions Name ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield segment segment segment segment segment segment segment segment segment segment segment segment
Sequence 1 2 3 4
GL_DAILY_RATES_U1
GL_DAILY_RATES_INTERFACE
GL_DAILY_RATES_INTERFACE is the interface you use to create, update, and delete daily conversion rates. Customers should use this table to load rates into the GL_DAILY_RATES table. To use this table to insert/update rates into GL_DAILY_RATES, insert rows into it with a FROM_CURRENCY, a TO_CURRENCY, a FROM_CONVERSION_DATE, a TO_CONVERSION_DATE, a USER_CONVERSION_TYPE, a CONVERSION_RATE, a MODE of I, and, optionally, an INVERSE_CONVERSION_RATE. Oracle General Ledger will automatically create rows in GL_DAILY_RATES for each date between the FROM_CONVERSION_DATE and the TO_CONVERSION_DATE, using the specified FROM_CURRENCY, TO_CURRENCY, USER_CONVERSION_TYPE, and CONVERSION_RATE. It will also automatically insert the inverse rows, switching the FROM_CURRENCY and TO_CURRENCY and using the INVERSE_CONVERSION_RATE, if provided, or, otherwise, taking the inverse of the CONVERSION_RATE provided. If these rows already exist, it will update these rows with the new rates instead. For example, if you specified a FROM_CURRENCY of USD, a TO_CURRENCY of CND, a FROM_CONVERSION_DATE of January 1, 1997, a TO_CONVERSION_DATE of January 3, 1997, a USER_CONVERSION_TYPE of Spot, a CONVERSION_RATE of 1.377, an INVERSION_CONVERSION_RATE of NULL, and a MODE of I, Oracle General Ledger will automatically create three rows in GL_DAILY_RATES with a FROM_CURRENCY of USD, a TO_CURRENCY of CND, a CONVERSION_TYPE of Spot, a CONVERSION_RATE of 1.377, and with CONVERSION_DATEs of January 1, 1997, January 2, 1997, and January 3, 1997. It would also automatically create the three inverse rows in GL_DAILY_RATES with a FROM_CURRENCY of CND, a TO_CURRENCY of USD, a CONVERSION_TYPE of Spot, a CONVERSION_RATE of 0.7262, and with CONVERSION_DATEs of January 1, 1997, January 2, 1997, and January 3, 1997. To use this table to delete rows from GL_DAILY_RATES, insert rows into it with a FROM_CURRENCY, a TO_CURRENCY, a FRO M_CONVERSION_DATE, a TO_CONVERSION_DATE, a USER_CONVERSION_TYPE, a dummy CONVERSION_RATE, and a MODE of D. Any rates in GL_DAILY_RATES with a date between the FROM_CONVERSION_DATE and TO_CONVERSION_DATE and with
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that FROM_CURRENCY, TO_CURRENCY, and USER_CONVERSION_TYPE will be deleted automatically. The corresponding inverse rows will also be deleted. The insert/update/delete is all done automatically by database triggers on GL_DAILY_RATES_INTERFACE. No import programs need to be run. Note that when inserting into this table you must specify the USER_CONVERSION_TYPE, not the CONVERSION_TYPE. Oracle General Ledger will automatically convert the USER_CONVERSION_TYPE to the CONVERSION_TYPE when it maintains GL_DAILY_RATES.
Foreign Keys Primary Key Table FND_CURRENCIES FND_CURRENCIES FND_USER GL_DAILY_CONVERSION_TYPES QuickCodes Columns Column LAUNCH_RATE_CHANGE
Null? Type NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(15) NOT NULL DATE NOT NOT NOT NOT
Description
(PK)
(PK) (PK)
From currency To currency Start of date range for which this rate is valid NULL DATE End of date range for which this rate is valid NULL VARCHAR2(30) User currency conversion type NULL NUMBER Currency conversion rate NULL VARCHAR2(1) Import mode (D delete any matching rows from gl_daily_rates, I insert/update rows in gl_daily_rates, X invalid row) NULL NUMBER Inverse of the currency conversion rate NULL NUMBER(15) ID of the user who is adding the rows NULL VARCHAR2(1) Automatically launch rate change program flag NULL VARCHAR2(30) Error code for unsuccessful rows NULL VARCHAR2(150) Descriptive flexfield context NULL VARCHAR2(150) Descriptive flexfield segment
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(1) Description Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Used internally during the copy of rates to the gl_daily_rates table. Do not put a value into this column
ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 USED_FOR_AB_TRANSLATION
Database Triggers Trigger Trigger Trigger Trigger Name Time Level Event : : : : GL_DAILY_RATES_INTERFACE_AI AFTER STATEMENT INSERT, UPDATE, DELETE
The GL_DAILY_RATES_INTERFACE_AI trigger maintains the GL_DAILY_RATES table based upon the rows inserted into the GL_DAILY_RATES_INTERFACE table. When a row is inserted into the GL_DAILY_RATES_INTERFACE table, this trigger validates the row. If the row is valid, it executes the appropriate insert/update/delete action on the GL_DAILY_RATES table, then deletes the row from GL_DAILY_RATES_INTERFACE. If the row is invalid, it updates the rows ERROR_CODE with the error condition and leaves the row in GL_DAILY_RATES_INTERFACE.
GL_DATE_PERIOD_MAP
GL_DATE_PERIOD_MAP stores the correlation between dates and nonadjusting periods for each accounting calendar and period type combination. Oracle General Ledger inserts or updates records in this table as you define, maintain, or extend your accounting calendar in the Accounting Calendar form. There is always a onetoone correspondence between dates and nonadjusting periods since your accounting calendar must not have any gap or overlap between nonadjusting periods.
Foreign Keys Primary Key Table GL_PERIOD_SETS GL_PERIOD_TYPES Column Descriptions Name PERIOD_SET_NAME (PK)
Null? Type NOT NULL VARCHAR2(15) NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL DATE VARCHAR2(15) VARCHAR2(15) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15)
Description Period Set (Calendar) defining column Accounting date Accounting period Period Type defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column
ACCOUNTING_DATE (PK) PERIOD_NAME (PK) PERIOD_TYPE (PK) CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN Indexes Index Name GL_DATE_PERIOD_MAP_N1 GL_DATE_PERIOD_MAP_U1
Sequence 1 2 1 2 3 4
GL_DOC_SEQUENCE_AUDIT
GL_DOC_SEQUENCE_AUDIT stores all the sequence values created for document sequences that are assigned to Oracle General Ledger. It is used to provide a completeness check for each transaction created in Oracle General Ledger. Application Object Library (AOL) user exits populate this table automatically.
Column Descriptions Name DOC_SEQUENCE_ID DOC_SEQUENCE_ASSIGNMENT_ID DOC_SEQUENCE_VALUE CREATION_DATE CREATED_BY Indexes Index Name GL_DOC_SEQUENCE_AUDIT_U1
Null? Type NOT NULL NUMBER NOT NULL NUMBER NOT NULL NUMBER NOT NULL DATE NOT NULL NUMBER
Description Sequential numbering sequence defining column Sequential numbering sequence assignment defining column Sequential numbering sequence value Standard Who column Standard Who column
Sequence 1 2
GL_DYNAMIC_SUMM_COMBINATIONS
GL_DYNAMIC_SUMM_COMBINATIONS is used by the Application Object Library (AOL) user exit that maintains account hierarchies and budget organizations by adding dynamically created accounts. This table temporarily stores new parent accounts that are created. The AOL flex routine determines which detail accounts fall under this parent and adds the parent/detail relationship to GL_ACCOUNT_HIERARCHIES.
Foreign Keys Primary Key Table GL_CODE_COMBINATIONS GL_SETS_OF_BOOKS GL_SUMMARY_TEMPLATES Column Descriptions Name DYNAMIC_GROUP_ID SET_OF_BOOKS_ID TEMPLATE_ID LAST_UPDATE_DATE LAST_UPDATED_BY CODE_COMBINATION_ID SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21 SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27 SEGMENT28
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL DATE NOT NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25)
Description Group defining column Accounting books defining column Summary template defining column Standard Who column Standard Who column Key flexfield defining column Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield segment Key flexfield segment
Sequence 1
GL_ELIMINATION_HISTORY
GL_ELIMINATION_HISTORY keeps track of the elimination sets which have been generated for each set of books. This table corresponds to the first window of the Generate Elimination Sets Form. For each elimination set which has been submitted for generation, there exists a row in this table. That row indicates the period, set of books id, and the request id associated for the particular run.
Foreign Keys Primary Key Table GL_ELIMINATION_SETS GL_JE_BATCHES GL_PERIODS GL_SETS_OF_BOOKS Column Descriptions Name ELIMINATION_RUN_ID REQUEST_ID ELIMINATION_SET_ID SET_OF_BOOKS_ID STATUS_CODE PERIOD_NAME CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN JE_BATCH_ID CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(2) VARCHAR2(15) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Elimination run process defining column Intercompany elimination request id Intercompany elimination set defining column Accounting books defining column Elimination status Elimination period Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Batch id generated by the eliminations program Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
Sequence 1 2 3 4
GL_ELIMINATION_JOURNALS
GL_ELIMINATION_JOURNALS stores information about your journals for an elimination set. This table corresponds to the journal definition section of the Define Elimination Mappings window of the Define Elimination Set form. For each journal in an elimination set, there exists a row in this table. That row indicates the journal name, category, currency, amount_type, and other information.
Foreign Keys Primary Key Table FND_CURRENCIES GL_ELIMINATION_SETS GL_JE_CATEGORIES_TL QuickCodes Columns Column AMOUNT_TYPE
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(100) VARCHAR2(25) VARCHAR2(15) VARCHAR2(4) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Intercompany elimination set defining column Elimination journal defining column Elimination journal name Journal entry category Currency Amount type (YTD, QTD, PTD, etc.) Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
JOURNAL_NAME JE_CATEGORY CURRENCY_CODE AMOUNT_TYPE CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13
(Continued) Null? Type Description NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment
Sequence 1 2 1 2
GL_ELIM_JOURNALS_U1 GL_ELIM_JOURNALS_U2
GL_ELIMINATION_SETS
GL_ELIMINATION_SETS stores information about your elimination set definitions. Each row includes an elimination set id, name, description and other information. This table corresponds to the first window of the Define Elimination Set Form. The LAST_EXECUTED_PERIOD column indicates the last period for which the elimination set was submitted for generation. The ELIMINATION_COMPANY column will contain a balancing segment value associated with your set of books chart of accounts.
Foreign Keys Primary Key Table GL_SETS_OF_BOOKS Column Descriptions Name ELIMINATION_SET_ID NAME SET_OF_BOOKS_ID TRACK_ELIMINATION_STATUS_FLAG
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(40) NOT NULL NUMBER(15) NOT NULL VARCHAR2(1)
Description Intercompany elimination set defining column Elimination set name Accounting books defining column Indicates whether this elimination set should be considered in determining the elimination status Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Date before which the elimination set is not active Date after which the elimination set is not active Elimination company Last executed period for the elimination set Elimination set description Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN START_DATE_ACTIVE END_DATE_ACTIVE ELIMINATION_COMPANY LAST_EXECUTED_PERIOD DESCRIPTION CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14
NULL DATE NULL VARCHAR2(25) NULL VARCHAR2(15) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(240) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Sequence 5 5 7
GL_ELIMINATION_SETS_U1 GL_ELIMINATION_SETS_U2
GL_ELIM_ACCOUNTS_MAP
GL_ELIM_ACCOUNTS_MAP stores source and target account mappings for an elimination set. This table corresponds to the account mapping section of the Define Elimination Mappings window of the Define Elimination Set form. For each account mapping for a journal in an elimination set, there exists a row in this table. That row indicates the line number, source and target segments for an account mapping.
Foreign Keys Primary Key Table GL_ELIMINATION_JOURNALS Column Descriptions Name JOURNAL_ID (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25)
Description Elimination journal defining column Line number for account mapping Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment
LINE_NUMBER (PK) CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN SOURCE_SEGMENT1 SOURCE_SEGMENT2 SOURCE_SEGMENT3 SOURCE_SEGMENT4 SOURCE_SEGMENT5 SOURCE_SEGMENT6 SOURCE_SEGMENT7 SOURCE_SEGMENT8 SOURCE_SEGMENT9 SOURCE_SEGMENT10 SOURCE_SEGMENT11 SOURCE_SEGMENT12 SOURCE_SEGMENT13 SOURCE_SEGMENT14 SOURCE_SEGMENT15 SOURCE_SEGMENT16 SOURCE_SEGMENT17 SOURCE_SEGMENT18 SOURCE_SEGMENT19 SOURCE_SEGMENT20 SOURCE_SEGMENT21 SOURCE_SEGMENT22 SOURCE_SEGMENT23 SOURCE_SEGMENT24 SOURCE_SEGMENT25 SOURCE_SEGMENT26 SOURCE_SEGMENT27 SOURCE_SEGMENT28 SOURCE_SEGMENT29 SOURCE_SEGMENT30
Column Descriptions Name TARGET_SEGMENT1 TARGET_SEGMENT2 TARGET_SEGMENT3 TARGET_SEGMENT4 TARGET_SEGMENT5 TARGET_SEGMENT6 TARGET_SEGMENT7 TARGET_SEGMENT8 TARGET_SEGMENT9 TARGET_SEGMENT10 TARGET_SEGMENT11 TARGET_SEGMENT12 TARGET_SEGMENT13 TARGET_SEGMENT14 TARGET_SEGMENT15 TARGET_SEGMENT16 TARGET_SEGMENT17 TARGET_SEGMENT18 TARGET_SEGMENT19 TARGET_SEGMENT20 TARGET_SEGMENT21 TARGET_SEGMENT22 TARGET_SEGMENT23 TARGET_SEGMENT24 TARGET_SEGMENT25 TARGET_SEGMENT26 TARGET_SEGMENT27 TARGET_SEGMENT28 TARGET_SEGMENT29 TARGET_SEGMENT30 CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
Sequence 1 2
GL_ELIM_ACCOUNTS_MAP_U1
GL_ELIM_BAL_OPTIONS
GL_ELIM_BAL_OPTIONS stores information for balancing options defined for an elimination set. This table corresponds to the Balancing Options window of the Define Elimination Set form. For the balancing options in an elimination set, there exists a row in this table. If the value of the BALANCING_OPTION_CODE is A, which corresponds to Use net difference accounts, then the NET_DR_DIFFERENCE_CCID and the NET_CR_DIFFERENCE_CCID columns will also be populated. If the value of the BALANCING_OPTION_CODE is R, which corresponds to Use threshold rules, then the THRESHOLD_RULE and other corresponding threshold columns will be populated. If the value of the BALANCING_OPTION_CODE column is U, which corresponds to Create unbalanced journal, then the net difference account and the threshold columns will not contain any values.
Foreign Keys Primary Key Table GL_ELIMINATION_SETS Column Descriptions Name ELIMINATION_SET_ID (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(1) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) VARCHAR2(1) NUMBER(15) NUMBER NUMBER NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Intercompany elimination set defining column Balancing option code Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Net debit difference account Net credit difference account Threshold rule Constant threshold amount Threshold journal percentage Threshold account percentage Threshold account Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
BALANCING_OPTION_CODE CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN NET_DR_DIFFERENCE_CCID NET_CR_DIFFERENCE_CCID THRESHOLD_RULE THRESHOLD_AMOUNT THRESHOLD_JOURNAL_PERCENT THRESHOLD_ACCOUNT_PERCENT THRESHOLD_CCID CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13
(Continued) Null? Type Description NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment
Sequence 5
GL_ELIM_BAL_OPTIONS_U1
GL_ENCUMBRANCE_TYPES
GL_ENCUMBRANCE_TYPES stores information about encumbrance types, including their IDs and descriptions. This table corresponds to the Encumbrance Types form. This table has no foreign keys, other than the standard Who columns.
QuickCodes Columns Column ENABLED_FLAG
Column Descriptions Name ENCUMBRANCE_TYPE_ID ENCUMBRANCE_TYPE ENABLED_FLAG LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN DESCRIPTION Indexes Index Name GL_ENCUMBRANCE_TYPES_U1 GL_ENCUMBRANCE_TYPES_U2 Sequences Sequence GL_ENCUMBRANCE_TYPES_S (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL
Description
Encumbrance type defining column VARCHAR2(30) Encumbrance type name VARCHAR2(1) Encumbrance type enabled flag DATE Standard Who column NUMBER(15) Standard Who column DATE Standard Who column NUMBER(15) Standard Who column NUMBER(15) Standard Who column VARCHAR2(240) Encumbrance type description
Sequence 1 1
GL_ENTITY_BUDGETS
GL_ENTITY_BUDGETS stores information about the relation between budget organizations and budgets. In particular, this table tells you whether a budget is frozen with respect to a budget organization. This table corresponds to the Organizations section of the Freeze Budgets form. FROZEN_FLAG is Y if a budget is frozen or N if it is not frozen. You need one row for each combination of budget organization and budget.
Foreign Keys Primary Key Table GL_BUDGET_ENTITIES GL_BUDGET_VERSIONS QuickCodes Columns Column FROZEN_FLAG
Column Descriptions Name BUDGET_ENTITY_ID BUDGET_VERSION_ID LAST_UPDATE_DATE LAST_UPDATED_BY FROZEN_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 CONTEXT Indexes Index Name GL_ENTITY_BUDGETS_U1 (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) VARCHAR2(1) DATE NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Budget Organization defining column Budget version defining column Standard Who column Standard Who column Freeze budget organization flag Standard Who column Standard Who column Standard Who column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Description flexfield context
Sequence 1 2
GL_HISTORICAL_RATES
GL_HISTORICAL_RATES stores information about historical foreign currency translation rates. This table corresponds to the Historical Rates form. RATE_TYPE is H for historical, C for calculated, P for prior, or E for period.
Foreign Keys Primary Key Table FND_CURRENCIES GL_CODE_COMBINATIONS GL_PERIODS GL_SETS_OF_BOOKS QuickCodes Columns Column ACCOUNT_TYPE
QuickCodes Table GL_LOOKUPS A E L O R GL_LOOKUPS Calculated Daily Period Historical Prior Weighted Average GL_LOOKUPS No Yes
RATE_TYPE
UPDATE_FLAG
Null? Type NOT NULL NUMBER NOT NOT NOT NOT NULL NULL NULL NULL VARCHAR2(15) NUMBER(15) NUMBER(15) NUMBER
Description Accounting books defining column Accounting period Accounting period number Accounting period year Key flexfield combination defining column Translation target currency Historical rate updated flag Historical rate usage (Average or Standard) Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Currency rate type lookup Historical rate
(PK)
TARGET_CURRENCY (PK) UPDATE_FLAG USAGE_CODE (PK) LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN RATE_TYPE TRANSLATED_RATE
NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL DATE NOT NULL NUMBER NULL DATE NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(1) NULL NUMBER
(Continued) Null? Type NULL NUMBER NULL VARCHAR2(1) NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Historical amount Account type lookup (Asset, Liability, etc.) Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context
TRANSLATED_AMOUNT ACCOUNT_TYPE ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 CONTEXT Indexes Index Name GL_HISTORICAL_RATES_U1
Sequence 1 2 3 4 5
GL_HISTORICAL_RATE_RANGES
GL_HISTORICAL_RATE_RANGES stores the ranges of accounts for which you want to assign historical foreign currency translation rates. Each row contains the target currency, the period, the historical rate or amount, and the range of accounts for which the rate or amount is applicable. When rows are saved into this table, the Assign Historical Rates program is automatically started by Oracle General Ledger. The Assign Historical Rates program creates rows with this target currency, period, and rate or amount in the GL_HISTORICAL_RATES table for each account in the range. It then deletes the rows from the GL_HISTORICAL_RATE_RANGES table. This table corresponds to the Assign by Ranges window of the Historical Rates form.
Foreign Keys Primary Key Table FND_CURRENCIES GL_SETS_OF_BOOKS QuickCodes Columns Column STATUS Column Descriptions Name HISTORICAL_RANGE_ID SET_OF_BOOKS_ID TARGET_CURRENCY PERIOD_NAME LAST_UPDATE_DATE LAST_UPDATED_BY TRANSLATED_RATE TRANSLATED_AMOUNT STATUS CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN SEGMENT1_LOW SEGMENT1_HIGH SEGMENT2_LOW SEGMENT2_HIGH SEGMENT3_LOW (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(15) VARCHAR2(15) DATE NUMBER(15) NUMBER NUMBER VARCHAR2(1) DATE NUMBER(15) NUMBER(15) VARCHAR2(25)
Description Historical rate range defining column Accounting books defining column Translation target currency Accounting period Standard Who column Standard Who column Historical rate Historical amount Status column used internally by Assign Historical Rates program Standard Who column Standard Who column Standard Who column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column
Column Descriptions Name SEGMENT3_HIGH SEGMENT4_LOW SEGMENT4_HIGH SEGMENT5_LOW SEGMENT5_HIGH SEGMENT6_LOW SEGMENT6_HIGH SEGMENT7_LOW SEGMENT7_HIGH SEGMENT8_LOW SEGMENT8_HIGH SEGMENT9_LOW SEGMENT9_HIGH SEGMENT10_LOW SEGMENT10_HIGH SEGMENT11_LOW SEGMENT11_HIGH SEGMENT12_LOW SEGMENT12_HIGH SEGMENT13_LOW SEGMENT13_HIGH SEGMENT14_LOW SEGMENT14_HIGH SEGMENT15_LOW SEGMENT15_HIGH SEGMENT16_LOW SEGMENT16_HIGH SEGMENT17_LOW SEGMENT17_HIGH SEGMENT18_LOW
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range
Column Descriptions Name SEGMENT18_HIGH SEGMENT19_LOW SEGMENT19_HIGH SEGMENT20_LOW SEGMENT20_HIGH SEGMENT21_LOW SEGMENT21_HIGH SEGMENT22_LOW SEGMENT22_HIGH SEGMENT23_LOW SEGMENT23_HIGH SEGMENT24_LOW SEGMENT24_HIGH SEGMENT25_LOW SEGMENT25_HIGH SEGMENT26_LOW SEGMENT26_HIGH SEGMENT27_LOW SEGMENT27_HIGH SEGMENT28_LOW SEGMENT28_HIGH SEGMENT29_LOW SEGMENT29_HIGH SEGMENT30_LOW SEGMENT30_HIGH
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high
GL_IEA_AUTOGEN_MAP
GL_IEA_AUTOGEN_MAP stores the automatic account generation rules you define using the Define GIS Mapping form. Each row includes the sender and receiver chart of accounts to which these rules apply. There is a onetomany relationship between a row in this table and rows in the GL_IEA_SEGMENT_MAP table.
Foreign Keys Primary Key Table FND_ID_FLEX_STRUCTURES FND_ID_FLEX_STRUCTURES QuickCodes Columns Column USE_RECEIVER_CLEAR_RULES_FLAG
USE_RECEIVER_DIST_RULES_FLAG
USE_SENDER_CLEAR_RULES_FLAG
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Key flexfield structure defining column for the senders chart of accounts Key flexfield structure defining column for the receivers chart of accounts Sender clearing account rules enabled flag Receiver clearing account rules enabled flag Receiver distribution account rules enabled flag Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
USE_SENDER_CLEAR_RULES_FLAG USE_RECEIVER_CLEAR_RULES_FLAG USE_RECEIVER_DIST_RULES_FLAG LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9
Column Descriptions Name ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 CONTEXT
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive column flexfield flexfield flexfield flexfield flexfield flexfield flexfield segment segment segment segment segment segment context
Sequence 5 10
GL_IEA_CLEARING_ACCOUNTS
GL_IEA_CLEARING_ACCOUNTS contains the clearing accounts you define using the Intercompany Clearing Accounts form.
Foreign Keys Primary Key Table GL_IEA_SUBSIDIARIES Column Descriptions Name SUBSIDIARY_ID (PK) ACCOUNT_SEGMENT_VALUE CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name GL_IEA_CLEARING_ACCOUNTS_U1 (PK)
Null? Type NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) VARCHAR2(25) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Subsidiary defining column Natural account value Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
Sequence 1 2
GL_IEA_IMPORT_REGISTRY
GL_IEA_IMPORT_REGISTRY is an internal table. It is used by the GIS Import program to secure exclusive access to the rows in GL_IEA_INTERFACE that are selected by the GROUP_ID/TRANSACTION_TYPE_ID combination requested by the program.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS GL_IEA_TRANSACTION_TYPES Column Descriptions Name GROUP_ID TRANSACTION_TYPE_ID REQUEST_ID
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15)
Description Interface group defining column Transaction defining column Concurrent program request defining column
Sequence 5 10
GL_IEA_INTERFACE
GL_IEA_INTERFACE is used to import data into the Global Intercompany System from external systems. The data entered into this table is processed by the GIS Import program.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS FND_CURRENCIES GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_IEA_SUBSIDIARIES GL_IEA_SUBSIDIARIES GL_IEA_TRANSACTION_TYPES Column Descriptions Name GROUP_ID TRANSACTION_TYPE_ID TRANSACTION_STATUS_CODE CURRENCY_CODE GL_DATE SENDER_SUBSIDIARY_ID RECEIVER_SUBSIDIARY_ID LINE_TYPE TRANSACTION_NUMBER DESCRIPTION NOTE SENDER_CODE_COMBINATION_ID RECEIVER_CODE_COMBINATION_ID SENDER_SEGMENT1 SENDER_SEGMENT2 SENDER_SEGMENT3 SENDER_SEGMENT4 SENDER_SEGMENT5 SENDER_SEGMENT6 SENDER_SEGMENT7 SENDER_SEGMENT8 SENDER_SEGMENT9 SENDER_SEGMENT10 SENDER_SEGMENT11 SENDER_SEGMENT12 SENDER_SEGMENT13 SENDER_SEGMENT14 SENDER_SEGMENT15 SENDER_SEGMENT16 SENDER_SEGMENT17 SENDER_SEGMENT18
Primary Key Column REQUEST_ID CURRENCY_CODE CODE_COMBINATION_ID CODE_COMBINATION_ID SUBSIDIARY_ID SUBSIDIARY_ID TRANSACTION_TYPE_ID
Foreign Key Column REQUEST_ID CURRENCY_CODE SENDER_CODE_COMBINATION_ID SENDER_CODE_COMBINATION_ID SENDER_SUBSIDIARY_ID RECEIVER_SUBSIDIARY_ID TRANSACTION_TYPE_ID
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NOT NULL NOT NULL NOT NULL NOT NULL NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL
Description
Interface group defining column Transaction type defining column VARCHAR2(1) Transaction status VARCHAR2(15) Transaction currency DATE Accounting date for the transaction NUMBER(15) Sending subsidiary defining column NUMBER(15) Receiving subsidiary defining column VARCHAR2(1) Line type defining column (clearing or distribution) VARCHAR2(20) Transaction number VARCHAR2(240) Intercompany transaction description VARCHAR2(2000) Intercompany transaction note NUMBER(15) Key flexfield defining column NUMBER(15) Key flexfield defining column VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment VARCHAR2(25) Key flexfield segment
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) NUMBER NUMBER NUMBER(15) Description Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Transaction line debit amount Transaction line credit amount Defining column for user who last modified the row DATE Last modified date NUMBER(15) Key flexfield structure defining column NUMBER(15) Key flexfield structure defining column NUMBER(15) Concurrent program request ID VARCHAR2(1000) Status of row at completion
SENDER_SEGMENT19 SENDER_SEGMENT20 SENDER_SEGMENT21 SENDER_SEGMENT22 SENDER_SEGMENT23 SENDER_SEGMENT24 SENDER_SEGMENT25 SENDER_SEGMENT26 SENDER_SEGMENT27 SENDER_SEGMENT28 SENDER_SEGMENT29 SENDER_SEGMENT30 RECEIVER_SEGMENT1 RECEIVER_SEGMENT2 RECEIVER_SEGMENT3 RECEIVER_SEGMENT4 RECEIVER_SEGMENT5 RECEIVER_SEGMENT6 RECEIVER_SEGMENT7 RECEIVER_SEGMENT8 RECEIVER_SEGMENT9 RECEIVER_SEGMENT10 RECEIVER_SEGMENT11 RECEIVER_SEGMENT12 RECEIVER_SEGMENT13 RECEIVER_SEGMENT14 RECEIVER_SEGMENT15 RECEIVER_SEGMENT16 RECEIVER_SEGMENT17 RECEIVER_SEGMENT18 RECEIVER_SEGMENT19 RECEIVER_SEGMENT20 RECEIVER_SEGMENT21 RECEIVER_SEGMENT22 RECEIVER_SEGMENT23 RECEIVER_SEGMENT24 RECEIVER_SEGMENT25 RECEIVER_SEGMENT26 RECEIVER_SEGMENT27 RECEIVER_SEGMENT28 RECEIVER_SEGMENT29 RECEIVER_SEGMENT30 LINE_DEBIT LINE_CREDIT LAST_MODIFIED_BY LAST_MODIFICATION_DATE SENDER_CHART_OF_ACCOUNTS_ID RECEIVER_CHART_OF_ACCOUNTS_ID REQUEST_ID COMPLETION_STATUS_CODE
Sequence 5 10
GL_IEA_RECUR_BATCHES
GL_IEA_RECUR_BATCHES contains the recurring intercompany transaction batches you define using the Define Recurring Intercompany Transaction Batches form. Each row contains the batch name, the sending subsidiary, and other information. A row in this table has a onetomany relationship with the rows in the GL_IEA_RECUR_TRANSACTIONS table.
Foreign Keys Primary Key Table FND_USER GL_IEA_SUBSIDIARIES QuickCodes Columns Column AUTOSELECT_FLAG
Column Descriptions Name RECURRING_BATCH_ID NAME SENDING_SUBSIDIARY_ID AUTOSELECT_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN START_DATE_ACTIVE END_DATE_ACTIVE DESCRIPTION LAST_EXECUTED_BY LAST_EXECUTED_GL_DATE CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(25) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL VARCHAR2(1) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE
Description Recurring transaction batch defining column Recurring transaction batch name Sending subsidiary defining column Automatically select batch flag Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Date that recurring transaction batch becomes valid Date after which recurring transaction batch become invalid Recurring transaction batch description User who last executed this recurring transaction batch GL Date that this recurring transaction batch was last executed for Descriptive flexfield context Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column
NULL DATE NULL VARCHAR2(240) NULL NUMBER(15) NULL DATE NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) NUMBER NUMBER NUMBER DATE Description Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Enhanced Who column Enhanced Who column Enhanced Who column Enhanced Who column column column column column column column column column
ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 REQUEST_ID PROGRAM_APPLICATION_ID PROGRAM_ID PROGRAM_UPDATE_DATE Indexes Index Name GL_IEA_RECUR_BATCHES_N1 GL_IEA_RECUR_BATCHES_U1 GL_IEA_RECUR_BATCHES_U2
Sequence 1 1 1 2
GL_IEA_RECUR_HISTORY
GL_IEA_RECUR_HISTORY stores information about the Recurring Intercompany Transaction Batches you generate. One row is inserted into this table each time you generate a Recurring Intercompany Transaction Batch.
Foreign Keys Primary Key Table GL_IEA_RECUR_BATCHES Column Descriptions Name RECURRING_BATCH_ID TRANSACTION_RUN_ID (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(1) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER NUMBER NUMBER DATE
Description Recurring intercompany transaction batch defining column Recurring intercompany transaction batch run defining column Run status Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Enhanced Who column Enhanced Who column Enhanced Who column Enhanced Who column
RUN_STATUS CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN REQUEST_ID PROGRAM_APPLICATION_ID PROGRAM_ID PROGRAM_UPDATE_DATE Indexes Index Name GL_IEA_RECUR_HISTORY_N1 Sequences Sequence GL_IEA_RECUR_HISTORY_S
Sequence 1
GL_IEA_RECUR_LINES
GL_IEA_RECUR_LINES contains the Recurring Intercompany Transaction lines you define using the Define Recurring Intercompany Transaction Batches form. It contains both the sender and the receiver lines. Each row contains the line number, the account, the intercompany line debits or credits, and other information. There is a onetomany relationship between intercompany transactions in the GL_IEA_RECUR_TRANSACTIONS table and rows in this table.
Foreign Keys Primary Key Table GL_CODE_COMBINATIONS GL_IEA_RECUR_TRANSACTIONS Column Descriptions Name RECURRING_TRANSACTION_ID SENDER_RECEIVER_CODE LINE_NUMBER (PK) OFFSET_CCID CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN ENTERED_CR ENTERED_DR CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER
Description Recurring intercompany transaction defining column Line type (sender or receiver) Recurring intercompany transaction line defining column Offset key flexfield defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Intercompany transaction line debit amount Intercompany transaction line credit amount Descriptive flexfield context Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column
(PK)
NULL NUMBER NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Sequence 1 2 3
GL_IEA_RECUR_TRANSACTIONS
GL_IEA_RECUR_TRANSACTIONS contains the Recurring Intercompany Transactions you define using the Define Recurring Intercompany Transaction Batches form. Each row contains the transaction name, the receiving subsidiary, the transaction type, the transaction currency, the sender and receiver intercompany clearing accounts, and other information. There is a onetomany relationship between a row in this table and the rows in the GL_IEA_RECUR_LINES table.
Foreign Keys Primary Key Table FND_CURRENCIES FND_ID_FLEX_STRUCTURES GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_IEA_RECUR_BATCHES GL_IEA_SUBSIDIARIES GL_IEA_TRANSACTION_TYPES QuickCodes Columns Column STATUS
Primary Key Column CURRENCY_CODE ID_FLEX_NUM CODE_COMBINATION_ID CODE_COMBINATION_ID RECURRING_BATCH_ID SUBSIDIARY_ID TRANSACTION_TYPE_ID
Foreign Key Column CURRENCY_CODE RECEIVER_COA_ID SENDER_CLEARING_CCID RECEIVER_CLEARING_CCID RECURRING_BATCH_ID RECEIVING_SUBSIDIARY_ID TRANSACTION_TYPE_ID
Column Descriptions Name RECURRING_TRANSACTION_ID RECURRING_BATCH_ID TRANSACTION_TYPE_ID CURRENCY_CODE NAME RECEIVING_SUBSIDIARY_ID RECEIVER_COA_ID STATUS SENDER_CLEARING_CCID RECEIVER_CLEARING_CCID (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(25) NOT NULL NUMBER(15) NOT NULL NUMBER NOT NULL VARCHAR2(1) NOT NULL NUMBER(15) NULL NUMBER(15)
Description Recurring intercompany transaction defining column Recurring intercompany transaction batch defining column Transaction type defining column Transaction currency Recurring intercompany transaction name Receiving subsidiary defining column Receiving key flexfield structure defining column Status of newly generated transaction (New, Review, or Approved) Sender clearing key flexfield defining column Receiver clearing key flexfield defining column
(Continued) Null? Type NOT NULL VARCHAR2(25) NULL NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL Description Sender clearing natural account value VARCHAR2(25) Receiver clearing natural account value DATE Standard Who column NUMBER(15) Standard Who column DATE Standard Who column NUMBER(15) Standard Who column NUMBER(15) Standard Who column NUMBER Sender running total debits NUMBER Sender running total credits NUMBER Receiver running total debits NUMBER Receiver running total credits NUMBER Control total VARCHAR2(240) Recurring intercompany transaction description VARCHAR2(2000) Recurring intercompany transaction note VARCHAR2(150) Descriptive flexfield context VARCHAR2(150) Descriptive flexfield column VARCHAR2(150) Descriptive flexfield column VARCHAR2(150) Descriptive flexfield column VARCHAR2(150) Descriptive flexfield column VARCHAR2(150) Descriptive flexfield column VARCHAR2(150) Descriptive flexfield column VARCHAR2(150) Descriptive flexfield column VARCHAR2(150) Descriptive flexfield column VARCHAR2(150) Descriptive flexfield column VARCHAR2(150) Descriptive flexfield column VARCHAR2(150) Descriptive flexfield column VARCHAR2(150) Descriptive flexfield column VARCHAR2(150) Descriptive flexfield column VARCHAR2(150) Descriptive flexfield column VARCHAR2(150) Descriptive flexfield column
SENDER_CLEARING_ACCOUNT RECEIVER_CLEARING_ACCOUNT CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN SENDER_RUNNING_TOTAL_DR SENDER_RUNNING_TOTAL_CR RECEIVER_RUNNING_TOTAL_DR RECEIVER_RUNNING_TOTAL_CR CONTROL_TOTAL DESCRIPTION NOTE CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name GL_IEA_RECUR_TRANSACTIONS_U1 GL_IEA_RECUR_TRANSACTIONS_U2
Sequence 1 1 2
GL_IEA_SEGMENT_MAP
GL_IEA_SEGMENT_MAP stores the mapping rules you define in the segment rules window of the Define GIS Mapping form. Each row includes the source and target segment name and the mapping action. AutoAccount Generation will derive the target segment in the TO_APPLICATION_COLUMN_NAME column based on the source segment in the FROM_APPLICATION_COLUMN_NAME and the mapping action represented by the SEGMENT_MAP_TYPE_CODE. There is a onetomany relationship between a row in this table and rows in the GL_IEA_SEGMENT_RULE_MAP table. GENERATE_TYPE_CODE specifies the types of account that AutoAccount Generation will create. It can be one of three types: sender clearing, receiver clearing, or receiver distribution. When the generation type is sender clearing, we store the segment name of the sender s chart of accounts in the TO_APPLICATION_COLUMN_NAME column, and null in the FROM_ APPLICATION_COLUMN_NAME. Otherwise, we store the segment name of the receiver s chart of accounts in the TO_APPLICATION_COLUMN_NAME column, and the sender s segment name in the FROM_ APPLICATION_COLUMN_NAME. When a new mapping is created, for each generation type, we insert a row into this table for each segment of the target chart of accounts. If a sender s chart of account has three segments and receiver s chart of accounts has five segments, we will insert three rows with sender clearing generation type, five rows with receiver clearing generation type and five rows with receiver distribution generation type. The SINGLE_VALUE column is only used if SEGMENT_MAP_TYPE is AS. Its value should be null otherwise.
Foreign Keys Primary Key Table FND_ID_FLEX_STRUCTURES FND_ID_FLEX_STRUCTURES Column Descriptions Name SEGMENT_MAP_ID GENERATE_TYPE_CODE
Description Segment map defining column Indicates if the system generates Sender Clearing Accounts, Receiver Clearing Accounts or Receiver Distribution Accounts Key flexfield structure defining column for the senders chart of accounts
SENDER_CHART_OF_ACCT_ID
(Continued) Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(30) NOT NULL VARCHAR2(2) Description Key flexfield structure defining column for the receivers chart of accounts Segment column name of the target chart of accounts Determines the action the system will use to derive the segment values in its target chart of accounts Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Segment column name of the source chart of accounts The single detail segment value used when the segment map type is Assign Single Value Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column
LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN FROM_APPLICATION_COLUMN_NAME SINGLE_VALUE ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 CONTEXT
NULL VARCHAR2(25) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Sequence 5 1 5 10 15
GL_IEA_SEGMENT_RULE_MAP
GL_IEA_SEG_RULE_MAP stores a segments detail mapping rules you define in the detail rules window of the Define GIS Mapping form. GIS AutoAccount Generation uses the rules stored in this table when SEGMENT_MAP_TYPE is UR (Use Rules) in the GL_IEA_SEGMENT_MAP table. When the generation type is sender clearing, the FROM_SUBSIDIARY_ID and FROM_SEG_VALUE columns will always have a value that represents Other , and the TO_SUBSIDIARY_ID and TO_SEG_VALUE columns store the sender s subsidiary id and segment value. For other generation types, the FROM_SUBSIDIARY_ID and FROM_SEG_VALUE columns store the sender s subsidiary identifier and segment value, and the TO_SUBSIDIARY_ID and TO_SEG_VALUE columns store the receiver s subsidiary identifier and segment value.
Foreign Keys Primary Key Table GL_IEA_SEGMENT_MAP Column Descriptions Name SEGMENT_MAP_ID TRANSACTION_TYPE_ID TO_SUBSIDIARY_ID FROM_SUBSIDIARY_ID FROM_SEG_VALUE LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN TO_SEG_VALUE ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(30) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Segment map rule defining column GIS transaction type or 1 which represents Other Target subsidiary defining column or 1 which represents Other Source subsidiary defining column or 1 which represents Other Source segment value or a value greater than 25 characters long which represents Other Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Target segment value Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
(Continued) Null? Type NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive column flexfield flexfield flexfield flexfield flexfield segment segment segment segment context
Sequence 5 10 15 20 25
GL_IEA_SUBSIDIARIES
GL_IEA_SUBSIDIARIES contains the subsidiaries you define using the Subsidiaries form. Each row contains the subsidiary name, its set of books, its default currency, and its balancing segment value. It also contains the subsidiary type (Parent or Child) and instructions as to how the information should be transferred to your ledger.
Foreign Keys Primary Key Table FND_CURRENCIES FND_CURRENCIES FND_ID_FLEX_STRUCTURES GL_DAILY_CONVERSION_TYPES GL_SETS_OF_BOOKS GL_SETS_OF_BOOKS QuickCodes Columns Column AUTO_APPROVE_FLAG
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes
ENABLED_FLAG
REMOTE_INSTANCE_FLAG
VIEW_PARTNER_LINES_FLAG
Column Descriptions Name SUBSIDIARY_ID (PK) CHART_OF_ACCOUNTS_ID SET_OF_BOOKS_ID CURRENCY_CODE NAME COMPANY_VALUE SUBSIDIARY_TYPE_CODE ENABLED_FLAG AUTO_APPROVE_FLAG CONVERSION_TYPE_CODE CONVERSION_TYPE
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(1) NOT NOT NOT NOT NULL NULL NULL NULL VARCHAR2(1) VARCHAR2(1) VARCHAR2(1) VARCHAR2(30)
Description Subsidiary defining column Key flexfield structure defining column Accounting books defining column Currency Subsidiary name Subsidiary balancing segment value Subsidiary type (Parent or Child) Enabled flag Allow autoapproval flag Always D for Daily Rates Defining column for the conversion type to use when creating journal entries
(Continued) Null? Type NOT NULL VARCHAR2(1) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(1) Description Controls a subsidiarys ability to view its partners transaction lines Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Determines if the subsidiarys data should be transferred to a remote database instance Defining column of the set of books to transfer to Transfer currency code Notification contact name Notification threshold Subsidiary description Descriptive flexfield context Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column
VIEW_PARTNER_LINES_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN REMOTE_INSTANCE_FLAG TRANSFER_SET_OF_BOOKS_ID TRANSFER_CURRENCY_CODE CONTACT NOTIFICATION_THRESHOLD DESCRIPTION CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name GL_IEA_SUBSIDIARIES_U1 GL_IEA_SUBSIDIARIES_U2 Sequences Sequence GL_IEA_SUBSIDIARIES_S
NOT NULL NUMBER(15) NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(15) VARCHAR2(50) NUMBER VARCHAR2(240) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Sequence 1 1
GL_IEA_TRANSACTIONS
GL_IEA_TRANSACTIONS contains the Intercompany Transactions you define using the Enter Intercompany Transaction form. Each row contains the transaction type, the transaction currency, the transaction number, the sending and receiving subsidiaries, and various other information. There is a onetomany relationship between a row in this table and the rows in the GL_IEA_TRANSACTION_LINES table.
Foreign Keys Primary Key Table FND_CURRENCIES GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_IEA_RECUR_TRANSACTIONS GL_IEA_SUBSIDIARIES GL_IEA_SUBSIDIARIES GL_IEA_TRANSACTIONS GL_IEA_TRANSACTION_TYPES QuickCodes Columns Column RECEIVER_TRANSFER_FLAG
Primary Key Column CURRENCY_CODE CODE_COMBINATION_ID CODE_COMBINATION_ID RECURRING_TRANSACTION_ID SUBSIDIARY_ID SUBSIDIARY_ID TRANSACTION_ID TRANSACTION_TYPE_ID
Foreign Key Column CURRENCY_CODE RECEIVER_CLEARING_CCID SENDER_CLEARING_CCID FROM_RECURRING_TRANSACTION_ID SENDING_SUBSIDIARY_ID RECEIVING_SUBSIDIARY_ID REVERSE_TRANSACTION_ID TRANSACTION_TYPE_ID
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS Approved Delete Rejected New Review
SENDER_TRANSFER_FLAG
STATUS
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(20) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NULL NUMBER(15) NULL NUMBER(15)
Description Intercompany transaction defining column Transaction type defining column Transaction currency Transaction number Sending subsidiary defining column Receiving subsidiary defining column Transaction status Sender clearing key flexfield defining column Receiver clearing key flexfield defining column
(Continued) Null? Type NOT NULL DATE NULL DATE NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NOT NULL VARCHAR2(1) VARCHAR2(1) VARCHAR2(15) VARCHAR2(15) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER NUMBER VARCHAR2(1) Description Accounting date for the transaction Date the transaction was submitted Transferred to sender flag Transferred to receiver flag Sender accounting period Receiver accounting period Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Sender running total debits Sender running total credits Indicates if the sender clearing account segment values are generated, updated, or new Receiver running total debits Receiver running total credits Indicates if the receiver clearing account segment values are generated, updated, or new Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value
SENDER_TRANSFER_FLAG RECEIVER_TRANSFER_FLAG SENDER_PERIOD_NAME RECEIVER_PERIOD_NAME CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN SENDER_RUNNING_TOTAL_DR SENDER_RUNNING_TOTAL_CR SENDER_GENERATION_CODE RECEIVER_RUNNING_TOTAL_DR RECEIVER_RUNNING_TOTAL_CR RECEIVER_GENERATION_CODE SENDER_SEGMENT1 SENDER_SEGMENT2 SENDER_SEGMENT3 SENDER_SEGMENT4 SENDER_SEGMENT5 SENDER_SEGMENT6 SENDER_SEGMENT7 SENDER_SEGMENT8 SENDER_SEGMENT9 SENDER_SEGMENT10 SENDER_SEGMENT11 SENDER_SEGMENT12 SENDER_SEGMENT13 SENDER_SEGMENT14 SENDER_SEGMENT15 SENDER_SEGMENT16 SENDER_SEGMENT17 SENDER_SEGMENT18
NULL NUMBER NULL NUMBER NULL VARCHAR2(1) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25)
Column Descriptions Name SENDER_SEGMENT19 SENDER_SEGMENT20 SENDER_SEGMENT21 SENDER_SEGMENT22 SENDER_SEGMENT23 SENDER_SEGMENT24 SENDER_SEGMENT25 SENDER_SEGMENT26 SENDER_SEGMENT27 SENDER_SEGMENT28 SENDER_SEGMENT29 SENDER_SEGMENT30
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Sender clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value Receiver clearing account segment value
RECEIVER_SEGMENT1 RECEIVER_SEGMENT2 RECEIVER_SEGMENT3 RECEIVER_SEGMENT4 RECEIVER_SEGMENT5 RECEIVER_SEGMENT6 RECEIVER_SEGMENT7 RECEIVER_SEGMENT8 RECEIVER_SEGMENT9 RECEIVER_SEGMENT10 RECEIVER_SEGMENT11 RECEIVER_SEGMENT12 RECEIVER_SEGMENT13 RECEIVER_SEGMENT14 RECEIVER_SEGMENT15 RECEIVER_SEGMENT16 RECEIVER_SEGMENT17 RECEIVER_SEGMENT18
(Continued) Null? Type NULL VARCHAR2(25) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL Description Receiver clearing account segment value VARCHAR2(25) Receiver clearing account segment value VARCHAR2(25) Receiver clearing account segment value VARCHAR2(25) Receiver clearing account segment value VARCHAR2(25) Receiver clearing account segment value VARCHAR2(25) Receiver clearing account segment value VARCHAR2(25) Receiver clearing account segment value VARCHAR2(25) Receiver clearing account segment value VARCHAR2(25) Receiver clearing account segment value VARCHAR2(25) Receiver clearing account segment value VARCHAR2(25) Receiver clearing account segment value VARCHAR2(25) Receiver clearing account segment value NUMBER Sender conversion rate NUMBER Receiver conversion rate NUMBER Control total DATE Date the transaction was approved VARCHAR2(240) Intercompany transaction description VARCHAR2(2000) Intercompany transaction note VARCHAR2(150) Descriptive flexfield context VARCHAR2(150) Descriptive flexfield segment VARCHAR2(150) Descriptive flexfield segment VARCHAR2(150) Descriptive flexfield segment VARCHAR2(150) Descriptive flexfield segment VARCHAR2(150) Descriptive flexfield segment VARCHAR2(150) Descriptive flexfield segment VARCHAR2(150) Descriptive flexfield segment VARCHAR2(150) Descriptive flexfield segment VARCHAR2(150) Descriptive flexfield segment VARCHAR2(150) Descriptive flexfield segment VARCHAR2(150) Descriptive flexfield segment VARCHAR2(150) Descriptive flexfield segment VARCHAR2(150) Descriptive flexfield segment VARCHAR2(150) Descriptive flexfield segment VARCHAR2(150) Descriptive flexfield segment NUMBER Enhanced Who column NUMBER Enhanced Who column NUMBER Enhanced Who column DATE Enhanced Who column VARCHAR2(10) Sender transfer status VARCHAR2(10) Receiver transfer status NUMBER(15) Defining column of the recurring intercompany transaction that created this transaction
RECEIVER_SEGMENT19 RECEIVER_SEGMENT20 RECEIVER_SEGMENT21 RECEIVER_SEGMENT22 RECEIVER_SEGMENT23 RECEIVER_SEGMENT24 RECEIVER_SEGMENT25 RECEIVER_SEGMENT26 RECEIVER_SEGMENT27 RECEIVER_SEGMENT28 RECEIVER_SEGMENT29 RECEIVER_SEGMENT30 SENDER_CONVERSION_RATE RECEIVER_CONVERSION_RATE CONTROL_TOTAL APPROVED_DATE DESCRIPTION NOTE CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 REQUEST_ID PROGRAM_APPLICATION_ID PROGRAM_ID PROGRAM_UPDATE_DATE SENDER_TRANSFER_STATUS RECEIVER_TRANSFER_STATUS FROM_RECURRING_TRANSACTION_ID
(Continued) Null? Type NULL NUMBER(15) Description Defining column of the intercompany transaction that reverses this transaction
REVERSE_TRANSACTION_ID
Sequence 1 2 3 4 5 1 2 3 4 5 1 1
Column Name SENDING_SUBSIDIARY_ID STATUS SENDER_TRANSFER_FLAG SENDER_PERIOD_NAME SENDER_CLEARING_CCID RECEIVING_SUBSIDIARY_ID STATUS RECEIVER_TRANSFER_FLAG RECEIVER_PERIOD_NAME RECEIVER_CLEARING_CCID TRANSACTION_ID TRANSACTION_NUMBER
GL_IEA_TRANSACTIONS_N2
NOT UNIQUE
UNIQUE UNIQUE
GL_IEA_TRANSACTION_LINES
GL_IEA_TRANSACTION_LINES contains the Intercompany Transaction lines you define using the Enter Intercompany Transaction form. It contains both the sender and receiver lines. Each row contains a line number, the account, the intercompany line debits or credits, and other information. There is a onetomany relationship between an Intercompany Transaction in the GL_IEA_TRANSACTIONS table and lines in this table.
Foreign Keys Primary Key Table GL_CODE_COMBINATIONS GL_IEA_TRANSACTIONS Column Descriptions Name TRANSACTION_ID (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER NUMBER VARCHAR2(1) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25)
Description Intercompany transaction defining column Line type (Sender or Receiver) Line number Offset key flexfield defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Transaction line credit amount Transaction line debit amount Indicates if the account segments are generated, updated, or new Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column Key flexfield segment column
SENDER_RECEIVER_CODE LINE_NUMBER (PK) OFFSET_CCID CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN ENTERED_CR ENTERED_DR GENERATION_CODE SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) NUMBER NUMBER NUMBER DATE Description Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Enhanced Who column Enhanced Who column Enhanced Who column Enhanced Who column column column column column column column column column column context column column column column column column column column column column column column column column column
SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27 SEGMENT28 SEGMENT29 SEGMENT30 CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 REQUEST_ID PROGRAM_APPLICATION_ID PROGRAM_ID PROGRAM_UPDATE_DATE Indexes Index Name GL_IEA_TRANSACTION_LINES_U1
Sequence 1 2 3
GL_IEA_TRANSACTION_TYPES
GL_IEA_TRANSACTION_TYPES contains the Intercompany Transaction Types you define using the Intercompany Transaction Types form.
QuickCodes Columns Column ALLOW_INTEREST_ACCRUAL_FLAG
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes
ALLOW_INVOICING_FLAG
AUTO_APPROVE_FLAG
ENABLED_FLAG
VAT_TAXABLE_FLAG
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(1) VARCHAR2(1) VARCHAR2(1) VARCHAR2(1) VARCHAR2(1) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(240) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Transaction type defining column Transaction type name Allow autoapprove flag Enabled flag VAT taxable flag Allow interest accrual flag Allow invoicing flag Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Transaction type description Descriptive flexfield context Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column
NAME AUTO_APPROVE_FLAG ENABLED_FLAG VAT_TAXABLE_FLAG ALLOW_INTEREST_ACCRUAL_FLAG ALLOW_INVOICING_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN DESCRIPTION CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12
(Continued) Null? Type Description NULL VARCHAR2(150) Descriptive flexfield column NULL VARCHAR2(150) Descriptive flexfield column NULL VARCHAR2(150) Descriptive flexfield column
Sequence 1 1
GL_IMPORT_REFERENCES
GL_IMPORT_REFERENCES stores individual transactions from subledgers that have been summarized into Oracle General Ledger journal entry lines through the Journal Import process. You can specify the journal entry sources for which you want to maintain your transactions origin by entering Yes in the Import Journal References field of the Journal Sources form. For each source that has Import Journal References set to Yes, Oracle General Ledger will populate GL_IMPORT_REFERENCES with one record for each transaction in your feeder system.
Foreign Keys Primary Key Table GL_JE_BATCHES GL_JE_HEADERS GL_JE_LINES
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL DATE NOT NULL NUMBER(15) NULL DATE NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL NUMBER NULL NUMBER NULL NUMBER NULL VARCHAR2(30)
Description Journal entry batch defining column Journal entry header defining column Journal entry line number Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Sequence defining column Sequence value Link to associated subledger data Table containing associated subledger data
JE_LINE_NUM (PK) LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN REFERENCE_1 REFERENCE_2 REFERENCE_3 REFERENCE_4 REFERENCE_5 REFERENCE_6 REFERENCE_7 REFERENCE_8 REFERENCE_9 REFERENCE_10 SUBLEDGER_DOC_SEQUENCE_ID SUBLEDGER_DOC_SEQUENCE_VALUE GL_SL_LINK_ID GL_SL_LINK_TABLE
Sequence 1 2
Sequence 1 2 1 2 3
GL_INTERCOMPANY_ACCOUNTS
GL_INTERCOMPANY_ACCOUNTS stores information about the intercompany accounts you set up in your Oracle General Ledger application. This table corresponds to the Intercompany Accounts form. It specifies the Due To and Due From intercompany account pair for each combination of set of books ID, journal source name, journal category name, and the balancing segment value.
Foreign Keys Primary Key Table GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_JE_CATEGORIES_TL GL_JE_SOURCES_TL GL_SETS_OF_BOOKS QuickCodes Columns Column BAL_SEG_VALUE
QuickCodes Type LITERAL ALL EOP LAST N/A OTHER STANDARD TO VARIANCE
QuickCodes Table GL_LOOKUPS ALL End of Period Last N/A Other Standard TO Variance
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(30)
Description Accounting books defining column Journal entry source name Journal entry category name The balancing segment value. Any value exceeding 25 characters indicates a value of other The intercompany Due To account The intercompany Due From account Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
DUE_TO_CCID DUE_FROM_CCID LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5
NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL DATE NOT NULL NUMBER(15) NULL NUMBER(15) NULL DATE NULL NUMBER(15) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150)
Column Descriptions Name ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield segment segment segment segment segment segment segment segment segment segment
Sequence 1 2 3 4
GL_INTERCOMPANY_ACCOUNTS_U1
GL_INTERCOMPANY_ACC_SETS
GL_INTERCOMPANY_ACC_SETS stores each of the combinations of journal source and category for which you have defined intercompany accounts. It also stores the balancing options for that combination.
Foreign Keys Primary Key Table GL_JE_CATEGORIES_TL GL_JE_SOURCES_TL GL_SETS_OF_BOOKS QuickCodes Columns Column ALWAYS_BALANCE_FLAG
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(25) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Accounting books defining column Journal entry source Journal entry category Indicate whether to balance by summary or detail Balancing option to use when no clearing company is specified Indicates if intercompany transactions should always be balanced by clearing company Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Default balancing segment value Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
JE_SOURCE_NAME (PK) JE_CATEGORY_NAME (PK) BALANCE_BY_CODE BAL_SEG_RULE_CODE ALWAYS_BALANCE_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN DEFAULT_BAL_SEG_VALUE CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15
Sequence 1 2 3
GL_INTERFACE
GL_INTERFACE is the table you use to import journal entry batches through Journal Import. You insert rows in this table and then use the Import Journals form to create journal batches. You must supply values for all NOT NULL columns. For a complete description of how to load this table, see the Oracle General Ledger User Guide.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS FND_CURRENCIES FND_CURRENCIES FND_FLEX_VALUES GL_BUDGET_VERSIONS GL_CODE_COMBINATIONS GL_DAILY_CONVERSION_TYPES GL_ENCUMBRANCE_TYPES GL_JE_BATCHES GL_JE_CATEGORIES_TL GL_JE_HEADERS GL_JE_LINES GL_JE_SOURCES_TL GL_PERIODS GL_SETS_OF_BOOKS GL_USSGL_TRANSACTION_CODES QuickCodes Columns Column ACTUAL_FLAG
Primary Key Column REQUEST_ID CURRENCY_CODE CURRENCY_CODE FLEX_VALUE BUDGET_VERSION_ID CODE_COMBINATION_ID USER_CONVERSION_TYPE ENCUMBRANCE_TYPE_ID JE_BATCH_ID USER_JE_CATEGORY_NAME JE_HEADER_ID JE_HEADER_ID JE_LINE_NUM USER_JE_SOURCE_NAME PERIOD_NAME SET_OF_BOOKS_ID USSGL_TRANSACTION_CODE
Foreign Key Column REQUEST_ID CURRENCY_CODE FUNCTIONAL_CURRENCY_CODE ORIGINATING_BAL_SEG_VALUE BUDGET_VERSION_ID CODE_COMBINATION_ID USER_CURRENCY_CONVERSION_TYPE ENCUMBRANCE_TYPE_ID JE_BATCH_ID USER_JE_CATEGORY_NAME JE_HEADER_ID JE_HEADER_ID JE_LINE_NUM USER_JE_SOURCE_NAME PERIOD_NAME SET_OF_BOOKS_ID USSGL_TRANSACTION_CODE
AVERAGE_JOURNAL_FLAG
Column Descriptions Name STATUS SET_OF_BOOKS_ID ACCOUNTING_DATE CURRENCY_CODE DATE_CREATED CREATED_BY ACTUAL_FLAG USER_JE_CATEGORY_NAME
Null? Type NOT NULL VARCHAR2(50) NOT NULL NUMBER(15) NOT NULL DATE NOT NOT NOT NOT NULL NULL NULL NULL VARCHAR2(15) DATE NUMBER(15) VARCHAR2(1)
Description Journal Import status Accounting books defining column Effective date of the transaction Currency Standard Who column Standard Who column Balance type (actual, budget, or encumbrance) Journal entry category user defined name
(Continued) Null? Type NOT NULL VARCHAR2(25) NULL DATE NULL NUMBER NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER VARCHAR2(30) NUMBER VARCHAR2(1) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) NUMBER Description Journal entry source user defined name Date of exchange rate Encumbrance type defining column Budget version defining column Type of exchange rate Foreign currency exchange rate Average journal flag Originating balancing segment value Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Transaction debit amount, entered currency Transaction credit amount, entered currency Transaction debit amount, base currency Transaction credit amount, base currency Date of transaction Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column
USER_JE_SOURCE_NAME CURRENCY_CONVERSION_DATE ENCUMBRANCE_TYPE_ID BUDGET_VERSION_ID USER_CURRENCY_CONVERSION_TYPE CURRENCY_CONVERSION_RATE AVERAGE_JOURNAL_FLAG ORIGINATING_BAL_SEG_VALUE SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21 SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27 SEGMENT28 SEGMENT29 SEGMENT30 ENTERED_DR ENTERED_CR ACCOUNTED_DR ACCOUNTED_CR TRANSACTION_DATE REFERENCE1 REFERENCE2 REFERENCE3 REFERENCE4 REFERENCE5 REFERENCE6
NULL NUMBER NULL NUMBER NULL NUMBER NULL NULL NULL NULL NULL NULL NULL DATE VARCHAR2(100) VARCHAR2(240) VARCHAR2(100) VARCHAR2(100) VARCHAR2(240) VARCHAR2(100)
Column Descriptions Name REFERENCE7 REFERENCE8 REFERENCE9 REFERENCE10 REFERENCE11 REFERENCE12 REFERENCE13 REFERENCE14 REFERENCE15 REFERENCE16 REFERENCE17 REFERENCE18 REFERENCE19 REFERENCE20 REFERENCE21 REFERENCE22 REFERENCE23 REFERENCE24 REFERENCE25 REFERENCE26 REFERENCE27 REFERENCE28 REFERENCE29 REFERENCE30 JE_BATCH_ID PERIOD_NAME JE_HEADER_ID
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(240) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) NUMBER(15) Description Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal entry batch defining column Accounting period Journal entry header defining column Journal entry line number Key flexfield structure defining column Accounting books base currency Key flexfield combination defining column Date Journal Import created batch Not currently used Journal import status description Statistical amount Interface group defining column Concurrent program request id Sequential numbering sequence defining column Sequential numbering sequence value Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
NULL VARCHAR2(15) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(15) NULL NUMBER(15) NULL DATE NULL VARCHAR2(4) NULL VARCHAR2(240) NULL NULL NULL NULL NUMBER NUMBER(15) NUMBER(15) NUMBER
JE_LINE_NUM CHART_OF_ACCOUNTS_ID FUNCTIONAL_CURRENCY_CODE CODE_COMBINATION_ID DATE_CREATED_IN_GL WARNING_CODE STATUS_DESCRIPTION STAT_AMOUNT GROUP_ID REQUEST_ID SUBLEDGER_DOC_SEQUENCE_ID SUBLEDGER_DOC_SEQUENCE_VALUE ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9
NULL NUMBER NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Column Descriptions Name ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 ATTRIBUTE16 ATTRIBUTE17 ATTRIBUTE18 ATTRIBUTE19 ATTRIBUTE20 CONTEXT CONTEXT2 INVOICE_DATE TAX_CODE
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column Descriptive flexfield context column Value added tax descriptive flexfield column Value added tax descriptive flexfield column Value added tax descriptive flexfield column Value added tax descriptive flexfield column Descriptive flexfield context column Government transaction code Descriptive flexfield error message Global reconciliation reference Link to associated subledger data Table containing associated subledger data
NULL VARCHAR2(150) NULL DATE NULL VARCHAR2(15) NULL VARCHAR2(20) NULL NUMBER NULL VARCHAR2(150) NULL VARCHAR2(30) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL NUMBER NULL VARCHAR2(30)
Sequence 1 2 3 1 2 3 4 1 2 1 2 3
Column Name USER_JE_SOURCE_NAME SET_OF_BOOKS_ID GROUP_ID REQUEST_ID JE_HEADER_ID STATUS CODE_COMBINATION_ID SUBLEDGER_DOC_SEQUENCE_VALUE SUBLEDGER_DOC_SEQUENCE_ID REFERENCE26 REFERENCE22 REFERENCE23
GL_INTERFACE_N3 GL_INTERFACE_N4
GL_INTERFACE_CONTROL
GL_INTERFACE_CONTROL is used to control Journal Import execution. Whenever you start Journal Import from the Import Journals form, a row is inserted into this table for each source and group id that you specified. When Journal Import completes, it deletes these rows from the table.
Foreign Keys Primary Key Table GL_JE_SOURCES_TL GL_SETS_OF_BOOKS Column Descriptions Name JE_SOURCE_NAME STATUS INTERFACE_RUN_ID GROUP_ID SET_OF_BOOKS_ID PACKET_ID
Null? Type NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(1) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15)
Description Journal entry source Journal Import status Journal Import process defining column Interface group defining column Accounting books defining column Budgetary control packet defining column
Sequence 1 2 3
GL_INTERFACE_HISTORY
GL_INTERFACE_HISTORY stores the rows that are successfully imported from the GL_INTERFACE table through Journal Import. You use this information for historical reference only. Your Oracle General Ledger application adds rows to this table every time you successfully run Journal Import with the Archive Journal Import Data option enabled. Your Oracle General Ledger application does not use the information stored in this table.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS FND_CURRENCIES FND_CURRENCIES FND_FLEX_VALUES GL_BUDGET_VERSIONS GL_CODE_COMBINATIONS GL_DAILY_CONVERSION_TYPES GL_ENCUMBRANCE_TYPES GL_JE_BATCHES GL_JE_CATEGORIES_TL GL_JE_HEADERS GL_JE_LINES GL_JE_SOURCES_TL GL_SETS_OF_BOOKS QuickCodes Columns Column ACTUAL_FLAG
Primary Key Column REQUEST_ID CURRENCY_CODE CURRENCY_CODE FLEX_VALUE BUDGET_VERSION_ID CODE_COMBINATION_ID USER_CONVERSION_TYPE ENCUMBRANCE_TYPE_ID JE_BATCH_ID USER_JE_CATEGORY_NAME JE_HEADER_ID JE_HEADER_ID JE_LINE_NUM USER_JE_SOURCE_NAME SET_OF_BOOKS_ID
Foreign Key Column REQUEST_ID CURRENCY_CODE FUNCTIONAL_CURRENCY_CODE ORIGINATING_BAL_SEG_VALUE BUDGET_VERSION_ID CODE_COMBINATION_ID USER_CURRENCY_CONVERSION_TYPE ENCUMBRANCE_TYPE_ID JE_BATCH_ID USER_JE_CATEGORY_NAME JE_HEADER_ID JE_HEADER_ID JE_LINE_NUM USER_JE_SOURCE_NAME SET_OF_BOOKS_ID
AVERAGE_JOURNAL_FLAG
Column Descriptions Name STATUS SET_OF_BOOKS_ID ACCOUNTING_DATE CURRENCY_CODE DATE_CREATED CREATED_BY ACTUAL_FLAG USER_JE_CATEGORY_NAME
Null? Type NOT NULL VARCHAR2(50) NOT NULL NUMBER(15) NOT NULL DATE NOT NOT NOT NOT NULL NULL NULL NULL VARCHAR2(15) DATE NUMBER(15) VARCHAR2(1)
Description Journal import status Accounting books defining column Effective date of the transaction Currency Standard Who column Standard Who column Balance type (actual, budget,or encumbrance) Journal entry category user defined name
(Continued) Null? Type NOT NULL VARCHAR2(25) NULL NUMBER NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER DATE VARCHAR2(30) NUMBER VARCHAR2(1) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) NUMBER Description Journal entry source user defined name Encumbrance type defining column Budget version defining column Date of exchange rate Type of exchange rate Foreign currency exchange rate Average journal flag Originating balancing segment value Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Transaction debit amount, entered currency Transaction credit amount, entered currency Transaction credit amount, base currency Transaction debit amount, base currency Date of transaction Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column
USER_JE_SOURCE_NAME ENCUMBRANCE_TYPE_ID BUDGET_VERSION_ID CURRENCY_CONVERSION_DATE USER_CURRENCY_CONVERSION_TYPE CURRENCY_CONVERSION_RATE AVERAGE_JOURNAL_FLAG ORIGINATING_BAL_SEG_VALUE SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21 SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27 SEGMENT28 SEGMENT29 SEGMENT30 ENTERED_DR ENTERED_CR ACCOUNTED_DR ACCOUNTED_CR TRANSACTION_DATE REFERENCE1 REFERENCE2 REFERENCE3 REFERENCE4 REFERENCE5 REFERENCE6
NULL NUMBER NULL NUMBER NULL NUMBER NULL NULL NULL NULL NULL NULL NULL DATE VARCHAR2(100) VARCHAR2(240) VARCHAR2(100) VARCHAR2(100) VARCHAR2(240) VARCHAR2(100)
Column Descriptions Name REFERENCE7 REFERENCE8 REFERENCE9 REFERENCE10 REFERENCE11 REFERENCE12 REFERENCE13 REFERENCE14 REFERENCE15 REFERENCE16 REFERENCE17 REFERENCE18 REFERENCE19 REFERENCE20 REFERENCE21 REFERENCE22 REFERENCE23 REFERENCE24 REFERENCE25 REFERENCE26 REFERENCE27 REFERENCE28 REFERENCE29 REFERENCE30 JE_BATCH_ID PERIOD_NAME JE_HEADER_ID
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(240) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(100) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) NUMBER(15) Description Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal Import reference column Journal entry batch defining column Accounting period Journal entry header defining column Journal entry line number Key flexfield structure defining column Accounting books base currency Key flexfield combination defining column Date journal import created batch Not currently used Journal import status description Statistical amount Interface group defining column Concurrent program request id Sequence defining column Sequence value Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
NULL VARCHAR2(15) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(15) NULL NUMBER(15) NULL DATE NULL VARCHAR2(4) NULL VARCHAR2(240) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER NUMBER(15) NUMBER(15) NUMBER NUMBER VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
JE_LINE_NUM CHART_OF_ACCOUNTS_ID FUNCTIONAL_CURRENCY_CODE CODE_COMBINATION_ID DATE_CREATED_IN_GL WARNING_CODE STATUS_DESCRIPTION STAT_AMOUNT GROUP_ID REQUEST_ID SUBLEDGER_DOC_SEQUENCE_ID SUBLEDGER_DOC_SEQUENCE_VALUE ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11
Column Descriptions Name ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 ATTRIBUTE16 ATTRIBUTE17 ATTRIBUTE18 ATTRIBUTE19 ATTRIBUTE20 CONTEXT CONTEXT2 INVOICE_DATE TAX_CODE
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column NULL VARCHAR2(150) Descriptive flexfield context column NULL DATE Value added tax descriptive flexfield column NULL VARCHAR2(15) Value added tax descriptive flexfield column NULL VARCHAR2(20) Value added tax descriptive flexfield column NULL NUMBER Value added tax descriptive flexfield column NULL VARCHAR2(150) Descriptive flexfield context column NULL VARCHAR2(30) Government transaction code NULL VARCHAR2(240) Descriptive flexfield error message
GL_JE_BATCHES
GL_JE_BATCHES stores journal entry batches. Each row includes the batch name, description, status, running total debits and credits, and other information. This table corresponds to the Batch window of the Enter Journals form. STATUS is U for unposted, P for posted, S for selected, I for in the process of being posted. Other values of status indicate an error condition. STATUS_VERIFIED is N when you create or modify an unposted journal entry batch. The posting program changes STATUS_VERIFIED to I when posting is in process and Y after posting is complete.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS GL_JE_BATCHES GL_PERIODS GL_SETS_OF_BOOKS QuickCodes Columns Column ACTUAL_FLAG
QuickCodes Type BATCH_TYPE A B E JE_BATCH_APPROVAL_STATUS A I J R V Z AB_JOURNAL_TYPE N Y JE_BATCH_BC_STATUS F I N P R BATCH_STATUS * < <* > >*
QuickCodes Table GL_LOOKUPS A B E GL_LOOKUPS Approved In Process Rejected Required Validation Failed N/A GL_LOOKUPS No Yes GL_LOOKUPS Failed In Process N/A Passed Required GL_LOOKUPS Bad rounding account Bad rounding account Reserved for country cific functionality Reserved for country cific functionality Reserved for country cific functionality Reserved for country cific functionality
APPROVAL_STATUS_CODE
AVERAGE_JOURNAL_FLAG
BUDGETARY_CONTROL_STATUS
STATUS
(Continued) QuickCodes Type A A* AU B B* BF BU C C* D D* E E* EU F F* G G* H H* I J J* K K* L L* M M* N N* O O* P Q Q* R R* S T T* U V V* QuickCodes Table Funds reservation fails Funds reservation fails past Unopened period Batch total violation Batch total violation past Frozen or inactive budget Unopened budget year Unopened reporting period Unopened reporting period past Post to not open period Post to not open period past No journal entries No journal entries past Unopened encumbrance year Unopened reporting encumbrance year Unopened reporting encumbrance year past Bad suspense account Bad suspense account past Bad reserve account Bad reserve account past Underway Journal total violation Journal total violation past Unbalanced IC JE Unbalanced IC JE past Unbalanced JE by acct category Unbalanced JE by AC past Multiple problems Multiple problems past Bad intercompany account Bad intercompany account past No reporting conversion information No reporting conversion information past Posted Untaxed journal entry Untaxed journal entry past Unbalanced enc JE Unbalanced enc JE past Selected Invalid conversion information Invalid conversion info past Unposted Unapproved Unapproved past
(Continued) QuickCodes Type W W* X X* Z Z* QuickCodes Table Enc JE with no enc type Enc JE with no enc type past Unbalanced JE Unbalanced JE past Invalid or no JE lines Invalid or no JE lines past GL_LOOKUPS No Yes
STATUS_RESET_FLAG
YES/NO N Y
Null? Type NOT NULL NUMBER(15) NOT NULL DATE NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(100) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL DATE NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NULL NULL NULL NULL NOT NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) VARCHAR2(1) VARCHAR2(15) VARCHAR2(30) DATE DATE DATE VARCHAR2(240) NUMBER NUMBER
Description Journal entry batch defining column Standard Who column Standard Who column Accounting books defining column Name of journal entry batch Journal entry batch status Batch status verified by posting process Balance type (Actual, Budget, or Encumbrance) Date within default accounting period Average journal flag Journal entry batch funds check status Journal entry batch approval status Standard Who column Standard Who column Standard Who column No longer used Accounting period for batch No longer used Earliest date batch can be posted Date batch was posted Date batch was created Journal entry batch description Control total column Batch running total debit, entered currency Batch running total credit, entered currency Batch running total debit, base currency Batch running total credit, base currency Defining column of the parent batch in the primary MRC book Descriptive flexfield segment Descriptive flexfield segment
LAST_UPDATE_DATE LAST_UPDATED_BY SET_OF_BOOKS_ID NAME STATUS STATUS_VERIFIED ACTUAL_FLAG DEFAULT_EFFECTIVE_DATE AVERAGE_JOURNAL_FLAG BUDGETARY_CONTROL_STATUS APPROVAL_STATUS_CODE CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN STATUS_RESET_FLAG DEFAULT_PERIOD_NAME UNIQUE_DATE EARLIEST_POSTABLE_DATE POSTED_DATE DATE_CREATED DESCRIPTION CONTROL_TOTAL RUNNING_TOTAL_DR RUNNING_TOTAL_CR RUNNING_TOTAL_ACCOUNTED_DR RUNNING_TOTAL_ACCOUNTED_CR PARENT_JE_BATCH_ID ATTRIBUTE1 ATTRIBUTE2
NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER(15) NULL VARCHAR2(150) NULL VARCHAR2(150)
Column Descriptions Name ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 CONTEXT
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column NULL NUMBER(15) Budgetary control packet defining column NULL NUMBER(15) Packet defining column for last funds check of the batch NULL VARCHAR2(30) Government transaction code NULL VARCHAR2(150) Descriptive flexfield structure defining column NULL NUMBER(15) Posting sequence number NULL NUMBER(15) Posting concurrent request id NULL NUMBER(15) Organization defining column
UNRESERVATION_PACKET_ID PACKET_ID USSGL_TRANSACTION_CODE CONTEXT2 POSTING_RUN_ID REQUEST_ID ORG_ID Indexes Index Name GL_JE_BATCHES_N1 GL_JE_BATCHES_U1 GL_JE_BATCHES_U2
Sequence 1 1 1 2 3
GL_JE_CATEGORIES_TL
GL_JE_CATEGORIES_TL stores journal entry categories. Each row includes the category name and description. Each journal entry in your Oracle General Ledger application is assigned a journal entry category to identify its purpose. This table corresponds to the Journal Categories form. This table has no foreign keys, other than the standard Who columns.
Column Descriptions Name JE_CATEGORY_NAME LANGUAGE (PK) SOURCE_LANG (PK)
Null? Type NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(4) NOT NULL VARCHAR2(4)
Description Journal entry category Language Language the text will mirror. If text is not yet translated into LANGUAGE then any changes to the text in the source language row will be reflected here as well. Journal entry category user defined name Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Category description Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column
USER_JE_CATEGORY_NAME LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN DESCRIPTION ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 CONTEXT
NOT NULL VARCHAR2(25) NOT NULL DATE NOT NULL NUMBER(15) NULL DATE NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(240) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150)
Sequence 1 2 1 2
GL_JE_HEADERS
GL_JE_HEADERS stores journal entries. There is a onetomany relationship between journal entry batches and journal entries. Each row in this table includes the associated batch ID, the journal entry name and description, and other information about the journal entry. This table corresponds to the Journals window of the Enter Journals form. STATUS is U for unposted, P for posted. Other statuses indicate that an error condition was found. A complete list is below. CONVERSION_FLAG equal to N indicates that you manually changed a converted amount in the Journal Entry Lines zone of a foreign currency journal entry. In this case, the posting program does not reconvert your foreign amounts. This can happen only if your user profile option MULTIPLE_RATES_PER_JE is Yes. BALANCING_SEGMENT_VALUE is null if there is only one balancing segment value in your journal entry. If there is more than one, BALANCING_SEGMENT_VALUE is the greatest balancing segment value in your journal entry. Following is a list of STATUS codes for this table: > < U P 1 2 3 4 5 6 6 6 7 8 A B C D E F G H I Bad rounding account Reserved for country specific functionality Reserved for country specific functionality Unposted Posted Invalid currency code Invalid source Invalid category Invalid set of books Invalid set of books (Actual) Unopened period (Budget) Invalid budget version (Encumbrance) Invalid encumbrance type Invalid entry Invalid entry Code combination does not exist Multiple lines have code combination error Code combination: detail posting not allowed Multiple lines have code combination error Multiple lines have code combination error Code combination not enabled Multiple lines have code combination error Multiple lines have code combination error Multiple lines have code combination error
J K L M N O Q R T V Z
Foreign Keys Primary Key Table FND_CURRENCIES FND_FLEX_VALUES FND_FLEX_VALUES FND_FLEX_VALUES GL_BUDGET_VERSIONS GL_DAILY_CONVERSION_TYPES GL_ENCUMBRANCE_TYPES GL_JE_BATCHES GL_JE_CATEGORIES_TL GL_JE_HEADERS GL_JE_HEADERS GL_JE_HEADERS GL_JE_SOURCES_TL GL_RECURRING_HEADERS GL_SETS_OF_BOOKS QuickCodes Columns Column ACCRUAL_REV_CHANGE_SIGN_FLAG
Code combination not yet effective (date) Multiple lines have code combination error Multiple lines have code combination error Code combination past effective date Multiple lines have code combination error Multiple lines have code combination error Multiple lines have code combination error Multiple lines have code combination error Multiple lines have code combination error Multiple lines have code combination error Multiple lines have code combination error
Primary Key Column CURRENCY_CODE FLEX_VALUE FLEX_VALUE FLEX_VALUE BUDGET_VERSION_ID CONVERSION_TYPE ENCUMBRANCE_TYPE_ID JE_BATCH_ID JE_CATEGORY_NAME JE_HEADER_ID JE_HEADER_ID JE_HEADER_ID JE_SOURCE_NAME RECURRING_HEADER_ID SET_OF_BOOKS_ID
Foreign Key Column CURRENCY_CODE ORIGINATING_BAL_SEG_VALUE DR_BAL_SEG_VALUE CR_BAL_SEG_VALUE BUDGET_VERSION_ID CURRENCY_CONVERSION_TYPE ENCUMBRANCE_TYPE_ID JE_BATCH_ID JE_CATEGORY ACCRUAL_REV_JE_HEADER_ID PARENT_JE_HEADER_ID REVERSED_JE_HEADER_ID JE_SOURCE FROM_RECURRING_HEADER_ID SET_OF_BOOKS_ID
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS Not (yet) reversed Reversed GL_LOOKUPS A B E GL_LOOKUPS Not Required Required Taxed
ACCRUAL_REV_STATUS
ACTUAL_FLAG
TAX_STATUS_CODE
Column Descriptions Name LAST_UPDATE_DATE LAST_UPDATED_BY SET_OF_BOOKS_ID JE_CATEGORY JE_SOURCE PERIOD_NAME NAME CURRENCY_CODE STATUS
(Continued) Null? Type NOT NULL DATE NOT NULL NUMBER(15) NOT NULL NUMBER(15) Description Standard Who column Standard Who column Accounting books defining column NOT NULL VARCHAR2(25) Journal entry category NOT NULL VARCHAR2(25) Journal entry source NOT NULL VARCHAR2(15) Accounting period NOT NULL VARCHAR2(100) Journal entry header name NOT NULL VARCHAR2(15) Currency NOT NULL VARCHAR2(1) Journal entry header status lookup code NOT NULL DATE Date header created in GL NOT NULL VARCHAR2(1) Reversed journal entry flag NOT NULL VARCHAR2(1) Multiple balancing segment flag NOT NULL VARCHAR2(1) Balance type (Actual, Budget, or Encumbrance) NOT NULL DATE Journal entry effective date NOT NULL VARCHAR2(1) Journal entry tax status NULL VARCHAR2(1) Currency conversion flag NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Encumbrance type defining column NULL NUMBER(15) Budget version defining column NULL VARCHAR2(1) Balanced journal entry flag NULL VARCHAR2(25) Key flexfield structure balancing segment value NOT NULL NUMBER(15) Journal entry batch defining column NULL NUMBER(15) Recurring batch header defining column NULL VARCHAR2(30) No longer used NULL DATE Earliest date journal entry header can be posted NULL DATE Date journal entry header was posted NULL DATE Reversed journal entry effective date NULL VARCHAR2(15) Reversed journal entry reversal period NULL VARCHAR2(1) Reversed journal entry status NULL NUMBER(15) Reversed journal entry defining column NOT NULL VARCHAR2(1) Type of reversal (Change Sign or Switch Dr/Cr) NULL VARCHAR2(240) Journal entry description NULL NUMBER Control total column NULL NUMBER Journal entry running total, entered currency NULL NUMBER Journal entry running total, entered currency NULL NUMBER Journal entry running total, base currency NULL NUMBER Journal entry running total, base currency NULL NUMBER Currency exchange rate NULL VARCHAR2(30) Type of currency exchange rate
DATE_CREATED ACCRUAL_REV_FLAG MULTI_BAL_SEG_FLAG ACTUAL_FLAG DEFAULT_EFFECTIVE_DATE TAX_STATUS_CODE CONVERSION_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN ENCUMBRANCE_TYPE_ID BUDGET_VERSION_ID BALANCED_JE_FLAG BALANCING_SEGMENT_VALUE JE_BATCH_ID FROM_RECURRING_HEADER_ID UNIQUE_DATE EARLIEST_POSTABLE_DATE POSTED_DATE ACCRUAL_REV_EFFECTIVE_DATE ACCRUAL_REV_PERIOD_NAME ACCRUAL_REV_STATUS ACCRUAL_REV_JE_HEADER_ID ACCRUAL_REV_CHANGE_SIGN_FLAG DESCRIPTION CONTROL_TOTAL RUNNING_TOTAL_DR RUNNING_TOTAL_CR RUNNING_TOTAL_ACCOUNTED_DR RUNNING_TOTAL_ACCOUNTED_CR CURRENCY_CONVERSION_RATE CURRENCY_CONVERSION_TYPE
(Continued) Null? Type NULL DATE NULL VARCHAR2(80) NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(25) NULL NUMBER(15) NULL VARCHAR2(25) Description Currency conversion date Extra reference column Defining column of the parent journal entry in the primary MRC book Defining column of the journal entry that is reversed by this journal entry Originating balancing segment value Intercompany mode for the journal. Valid values are 1 through 4. Balancing segment value used on the debit side of an intercompany journal. This column is meaningful only for intercompany modes 1 and 2. Balancing segment value used on the credit side of an intercompany journal. This column is meaningful only for intercompany modes 1 and 3. Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Government transaction code Descriptive flexfield structure defining column
CR_BAL_SEG_VALUE
NULL VARCHAR2(25)
ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 CONTEXT GLOBAL_ATTRIBUTE_CATEGORY GLOBAL_ATTRIBUTE1 GLOBAL_ATTRIBUTE2 GLOBAL_ATTRIBUTE3 GLOBAL_ATTRIBUTE4 GLOBAL_ATTRIBUTE5 GLOBAL_ATTRIBUTE6 GLOBAL_ATTRIBUTE7 GLOBAL_ATTRIBUTE8 GLOBAL_ATTRIBUTE9 GLOBAL_ATTRIBUTE10 USSGL_TRANSACTION_CODE CONTEXT2
NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL
VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
NULL VARCHAR2(30) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(30) NULL VARCHAR2(150)
(Continued) Null? Type NULL NUMBER Description Sequential numbering sequence defining column NULL NUMBER Sequential numbering sequence value NULL VARCHAR2(30) Context column for Global Reconciliation Descriptive Flexfield NULL VARCHAR2(240) Global Reconciliation Descriptive Flexfield segment
Index Type NOT UNIQUE NOT UNIQUE NOT UNIQUE NOT UNIQUE UNIQUE UNIQUE
Sequence 1 1 2 1 2 1 1 1 2
Column Name JE_BATCH_ID PERIOD_NAME JE_CATEGORY DOC_SEQUENCE_VALUE DOC_SEQUENCE_ID PARENT_JE_HEADER_ID JE_HEADER_ID NAME JE_BATCH_ID
GL_JE_LINES
GL_JE_LINES stores the journal entry lines that you enter in the Enter Journals form. There is a onetomany relationship between journal entries and journal entry lines. Each row in this table stores the associated journal entry header ID, the line number, the associated code combination ID, and the debits or credits associated with the journal line. STATUS is U for unposted or P for posted.
Foreign Keys Primary Key Table GL_CODE_COMBINATIONS GL_JE_HEADERS GL_SETS_OF_BOOKS GL_USSGL_TRANSACTION_CODES QuickCodes Columns Column AMOUNT_INCLUDES_TAX_FLAG
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS Down Nearest Up GL_LOOKUPS Input Output
TAXABLE_LINE_FLAG
TAX_LINE_FLAG
TAX_ROUNDING_RULE_CODE
TAX_TYPE_CODE
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) NUMBER(15)
Description Journal entry header defining column Journal entry line number Standard Who column Standard Who column Accounting books defining column Key flexfield combination defining column Accounting period Journal entry line effective date Journal entry line status Standard Who column Standard Who column
JE_LINE_NUM (PK) LAST_UPDATE_DATE LAST_UPDATED_BY SET_OF_BOOKS_ID CODE_COMBINATION_ID PERIOD_NAME EFFECTIVE_DATE STATUS CREATION_DATE CREATED_BY
NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL DATE NOT NULL VARCHAR2(1) NULL DATE NULL NUMBER(15)
(Continued) Null? Type NULL NUMBER(15) NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL VARCHAR2(240) NULL VARCHAR2(20) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Standard Who column Journal entry line debit amount in entered currency Journal entry line credit amount in entered currency Journal entry line debit amount in base currency Journal entry line credit amount in base currency Journal entry line description Line type Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Journal entry line reference column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column Descriptive flexfield context column Value added tax descriptive flexfield column
LAST_UPDATE_LOGIN ENTERED_DR ENTERED_CR ACCOUNTED_DR ACCOUNTED_CR DESCRIPTION LINE_TYPE_CODE REFERENCE_1 REFERENCE_2 REFERENCE_3 REFERENCE_4 REFERENCE_5 REFERENCE_6 REFERENCE_7 REFERENCE_8 REFERENCE_9 REFERENCE_10 ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 ATTRIBUTE16 ATTRIBUTE17 ATTRIBUTE18 ATTRIBUTE19 ATTRIBUTE20 CONTEXT CONTEXT2 INVOICE_DATE
(Continued) Null? Type NULL VARCHAR2(15) NULL VARCHAR2(20) NULL NUMBER NULL VARCHAR2(150) NULL NUMBER NULL VARCHAR2(1) NULL VARCHAR2(150) NULL VARCHAR2(30) NULL NUMBER NULL VARCHAR2(150) NULL NUMBER NULL NUMBER NULL VARCHAR2(30) NULL VARCHAR2(30) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(1) NULL DATE NULL NUMBER NULL VARCHAR2(240) NULL VARCHAR2(30) NULL VARCHAR2(1) NULL VARCHAR2(1) Description Value added tax descriptive flexfield column Value added tax descriptive flexfield column Value added tax descriptive flexfield column Value added tax descriptive flexfield column Statistical Amount Modify amounts if exchange rate changes Descriptive flexfield context column Government transaction code Sequential numbering sequence defining column Descriptive flexfield structure defining column Sequential numbering sequence value Link to associated subledger data Table containing associated subledger data Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Global reconciliation descriptive flexfield segment Global reconciliation descriptive flexfield segment Global reconciliation descriptive flexfield segment Global reconciliation descriptive flexfield segment Global reconciliation descriptive flexfield context column Taxable line flag for automatic tax calculations Tax type (Input or Output) for automatic tax calculations
INVOICE_IDENTIFIER INVOICE_AMOUNT NO1 STAT_AMOUNT IGNORE_RATE_FLAG CONTEXT3 USSGL_TRANSACTION_CODE SUBLEDGER_DOC_SEQUENCE_ID CONTEXT4 SUBLEDGER_DOC_SEQUENCE_VALUE GL_SL_LINK_ID GL_SL_LINK_TABLE GLOBAL_ATTRIBUTE_CATEGORY GLOBAL_ATTRIBUTE1 GLOBAL_ATTRIBUTE2 GLOBAL_ATTRIBUTE3 GLOBAL_ATTRIBUTE4 GLOBAL_ATTRIBUTE5 GLOBAL_ATTRIBUTE6 GLOBAL_ATTRIBUTE7 GLOBAL_ATTRIBUTE8 GLOBAL_ATTRIBUTE9 GLOBAL_ATTRIBUTE10 JGZZ_RECON_STATUS JGZZ_RECON_DATE JGZZ_RECON_ID JGZZ_RECON_REF JGZZ_RECON_CONTEXT TAXABLE_LINE_FLAG TAX_TYPE_CODE
(Continued) Null? Type NULL NUMBER(15) Description Tax code defining column for automatic tax calculations NULL VARCHAR2(1) Rounding rule used for automatic tax calculations NULL VARCHAR2(1) Amount includes tax flag for automatic tax calculations NULL VARCHAR2(50) Tax document identifier NULL DATE Tax document date NULL VARCHAR2(240) Tax customer name NULL VARCHAR2(240) Tax customer reference NULL VARCHAR2(50) Tax registration number NULL VARCHAR2(1) Automatically generated tax line flag NULL NUMBER(15) Tax group id for automatic tax calculations
Sequence 1 2 1 2 1 2
GL_JE_SOURCES_TL
GL_JE_SOURCES_TL stores journal entry source names and descriptions. Each journal entry in your Oracle General Ledger application is assigned a source name to indicate how it was created. This table corresponds to the Journal Sources form. This table has no foreign keys other than the standard Who columns.
QuickCodes Columns Column JOURNAL_APPROVAL_FLAG
JOURNAL_REFERENCE_FLAG
Null? Type NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(4) NOT NULL VARCHAR2(4)
Description Journal entry source name Language Language the text will mirror. If text is not yet translated into LANGUAGE then any changes to the text in the source language row will be reflected here as well. Standard Who column Standard Who column Frozen source Journal entry source user defined name Populate GL_IMPORT_REFERENCES with reference information from subledger Journal approval flag Nonbusiness day rule (Roll Date, Leave Alone, or Fail) Standard Who column Standard Who column Standard Who column Journal entry source description Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column
LAST_UPDATE_DATE LAST_UPDATED_BY OVERRIDE_EDITS_FLAG USER_JE_SOURCE_NAME JOURNAL_REFERENCE_FLAG JOURNAL_APPROVAL_FLAG EFFECTIVE_DATE_RULE_CODE CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN DESCRIPTION ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 CONTEXT
NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) VARCHAR2(240) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Sequence 1 2
Sequence 1 2
GL_JOURNAL_REPORTS_ITF
GL_JOURNAL_REPORTS_ITF is the interface table for the various RXi GL Journal Reports. This table will be populated by the extract programs for the GL Journal Reports. This table will not be directly used to publish the reports, however. This view GL_JOURNAL_REPORTS_ITF_V will be used instead.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS GL_JE_BATCHES GL_JE_HEADERS GL_JE_LINES Column Descriptions Name REQUEST_ID BATCH_ID HEADER_ID CREATED_BY CREATION_DATE LAST_UPDATED_BY LAST_UPDATE_DATE LAST_UPDATE_LOGIN JE_LINE_NUM ORGANIZATION_NAME FUNCTIONAL_CURRENCY_CODE BATCH_STATUS BATCH_TYPE BATCH_JOURNAL_TYPE BATCH_APPROVAL_STATUS BATCH_BUDGET_CONTROL_STATUS EXCHANGE_TYPE DOC_SEQUENCE_NAME TAX_STATUS HEADER_ENCUMBRANCE_TYPE HEADER_BUDGET_NAME SUBLEDGER_DOC_SEQ_NAME TAX_CODE TAX_TYPE JE_ACCOUNT JE_ACCOUNT_DESC JE_BALANCE JE_BALANCE_DESC JE_NATACCT JE_NATACCT_DESC JE_CC
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(30) VARCHAR2(15) VARCHAR2(80) VARCHAR2(240)
Description Request defining column of the extract request Batch defining column Journal entry header defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Journal entry line number Accounting books name Functional currency code Batch status Batch type (Actual, Budget, or Encumbrance) Journal type (Standard or Average) Batch approval status Budgetary control status Currency conversion type Sequential numbering sequence name Journal entry tax status Encumbrance type Budget name Subledger sequential numbering sequence name Tax code Tax type (Input or Output) Account Account description Balancing segment value Balancing segment description Natural account segment value Natural account segment description Cost center segment value
NULL VARCHAR2(80) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(80) VARCHAR2(80) VARCHAR2(30) VARCHAR2(30) VARCHAR2(80) VARCHAR2(30) VARCHAR2(15) VARCHAR2(30) VARCHAR2(50) VARCHAR2(80) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240) VARCHAR2(240)
NULL VARCHAR2(240)
(Continued) Null? Type Description NULL VARCHAR2(240) Cost center segment description
Sequence 5
GL_JOURNAL_REPORTS_ITF_N1
GL_MC_BOOK_ASSIGNMENTS
GL_MC_BOOK_ASSIGNMENTS stores the reporting set of books assignments to each primary set of books.
Foreign Keys Primary Key Table GL_DAILY_CONVERSION_TYPES GL_SETS_OF_BOOKS GL_SETS_OF_BOOKS Column Descriptions Name PRIMARY_SET_OF_BOOKS_ID (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE VARCHAR2(15) VARCHAR2(1)
Description Primary set of books defining column Reporting set of books defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column First accounting date for MRC First accounting period for MRC Determines conversion option for initializing transactions and balances in this reporting book Currency conversion type to use for initializing MRC balances Currency conversion date to use for initializing MRC balances
INIT_CONVERSION_TYPE INIT_CONVERSION_DATE
Sequence 1 2
GL_MC_CONVERSION_RULES
GL_MC_CONVERSION_RULES stores information about the conversion rules that are used by Oracle General Ledger for the Multiple Reporting Currencies feature. Each row stores the primary set of books identifier, the reporting set of books identifier, the source name, the category name, the conversion type, the date basis, and the conversion rule. The conversion rule specifies if the source and category combination should be transferred to the reporting set of books. The date basis specifies how Oracle General Ledger should behave if conversion information is not found for a particular date. If the date basis is MATCH, then an error will be produced if conversion information is not found. If the date basis is EARLIEST, then Oracle General Ledger will search for conversion information defined for earlier dates.
Foreign Keys Primary Key Table GL_DAILY_CONVERSION_TYPES GL_JE_CATEGORIES_TL GL_JE_SOURCES_TL GL_MC_REPORTING_OPTIONS GL_SETS_OF_BOOKS GL_SETS_OF_BOOKS QuickCodes Columns Column DATE_BASIS
QuickCodes Table GL_LOOKUPS Use last rate Report error GL_LOOKUPS No Yes
INHERIT_CONVERSION_TYPE
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(15) NOT NULL DATE NOT NULL NUMBER(15) NOT NULL DATE
Description Reporting option defining column Primary accounting book defining column Reporting accounting book defining column Journal entry source Journal entry category Conversion rule (CONVERT / NOT CONVERT) Date rule use to convert the transaction Standard Who column Standard Who column Standard Who column
PRIMARY_SET_OF_BOOKS_ID
REPORTING_SET_OF_BOOKS_ID JE_SOURCE_NAME (PK) JE_CATEGORY_NAME (PK) CONVERSION_RULE DATE_BASIS LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE
(Continued) Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NULL VARCHAR2(30) NOT NULL VARCHAR2(1) NULL VARCHAR2(30) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(30) Description Standard Who column Standard Who column Conversion type to be used for converting between currencies Indicates whether to inherit conversion type from the original transaction Descriptive flexfield defining column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality
CREATED_BY LAST_UPDATE_LOGIN CONVERSION_TYPE INHERIT_CONVERSION_TYPE ATTRIBUTE_CATEGORY ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 GLOBAL_ATTRIBUTE_CATEGORY GLOBAL_ATTRIBUTE1 GLOBAL_ATTRIBUTE2 GLOBAL_ATTRIBUTE3 GLOBAL_ATTRIBUTE4 GLOBAL_ATTRIBUTE5 GLOBAL_ATTRIBUTE6 GLOBAL_ATTRIBUTE7 GLOBAL_ATTRIBUTE8 GLOBAL_ATTRIBUTE9 GLOBAL_ATTRIBUTE10
NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150)
Sequence 1 2 3
GL_MC_REPORTING_OPTIONS
GL_MC_REPORTING_OPTIONS is a table for the Multiple Reporting Currencies feature that stores reporting currency information for each primary set of books. There is one row in this table for each reporting currency of a particular primary set of books. This table corresponds to the Applications section of the Assign Reporting Sets of Books form. The columns PRIMARY_CURRENCY_CODE and REPORTING_CURRENCY_CODE are denormalized from the GL_SETS_OF_BOOKS table.
Foreign Keys Primary Key Table FND_CURRENCIES FND_CURRENCIES GL_DAILY_CONVERSION_TYPES GL_SETS_OF_BOOKS GL_SETS_OF_BOOKS GL_SETS_OF_BOOKS QuickCodes Columns Column DATE_BASIS
QuickCodes Table GL_LOOKUPS Use last rate Report error GL_LOOKUPS No Yes GL_LOOKUPS No Yes
ENABLED_FLAG
INHERIT_CONVERSION_TYPE
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NULL NULL NULL NULL VARCHAR2(15) VARCHAR2(15) NUMBER(15) VARCHAR2(15)
Description Reporting option defining column Primary accounting book defining column Reporting accounting book defining column Primary book currency Reporting book currency Application defining column Date rule to convert the translation Flag to indicate if record is active (Y / N) Date to start maintaining this reporting book Operating unit defining column Asset book being reported Standard Who column
PRIMARY_SET_OF_BOOKS_ID REPORTING_SET_OF_BOOKS_ID PRIMARY_CURRENCY_CODE REPORTING_CURRENCY_CODE APPLICATION_ID DATE_BASIS ENABLED_FLAG START_DATE ORG_ID FA_BOOK_TYPE_CODE LAST_UPDATE_DATE
NOT NULL VARCHAR2(1) NOT NULL DATE NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL DATE
(Continued) Null? Type NOT NOT NOT NOT NULL NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER(15) Description Standard Who column Standard Who column Standard Who column Standard Who column Secondary reporting set of books for Payables Conversion type to be used for converting between currencies Flag which indicates whether to inherit conversion type from the original transaction (Y/N) Last date to maintain this reporting book Descriptive flexfield defining column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality
LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN AP_SECONDARY_SET_OF_BOOKS_ID CONVERSION_TYPE INHERIT_CONVERSION_TYPE END_DATE ATTRIBUTE_CATEGORY ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 GLOBAL_ATTRIBUTE_CATEGORY GLOBAL_ATTRIBUTE1 GLOBAL_ATTRIBUTE2 GLOBAL_ATTRIBUTE3 GLOBAL_ATTRIBUTE4 GLOBAL_ATTRIBUTE5 GLOBAL_ATTRIBUTE6 GLOBAL_ATTRIBUTE7 GLOBAL_ATTRIBUTE8 GLOBAL_ATTRIBUTE9 GLOBAL_ATTRIBUTE10
NULL VARCHAR2(30) NOT NULL VARCHAR2(1) NULL DATE NULL VARCHAR2(30) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(30)
NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150)
Sequence 1 2 3 4 5 6
Sequence 1 2 3 4 1
UNIQUE
GL_MC_UPGRADE_HISTORY
GL_MC_UPGRADE_HISTORY is a Multiple Reporting Currencies table that stores upgrade information for each reporting set of books, each transaction table and period combination that has been upgraded. This table is only written to by the Payables, Receivables, and Purchasing MRC Transaction Upgrade programs. One row is inserted for each reporting set of books for each transaction table and period the upgrade program has processed. TABLE_NAME contains the name of the MRC transaction or subtable to be processed. CONVERSION_STATUS is either N for Not Converted S for Selected for Conversion C for Conversion Completed ROUNDING_STATUS is either N for Not Rounded S for Selected for Rounding C for Rounding Completed UPGRADE_RUN_ID is a sequence number. Every table converted in the same run will have the same UPGRADE_RUN_ID.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS GL_SETS_OF_BOOKS GL_SETS_OF_BOOKS Column Descriptions Name PRIMARY_SET_OF_BOOKS_ID REPORTING_SET_OF_BOOKS_ID APPLICATION_ID TABLE_NAME PERIOD_NAME CONVERSION_STATUS ROUNDING_STATUS UPGRADE_RUN_ID REQUEST_ID CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN LAST_PROCESSED_ID1 LAST_PROCESSED_ID2
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NULL NULL NULL NULL NUMBER(15) VARCHAR2(30) VARCHAR2(15) VARCHAR2(1)
Description Primary accounting book defining column Reporting accounting book defining column Application defining column Converted table name Accounting period Status code to indicate if the table is converted Status code to indicate if the records are rounded Upgrade run defining column Concurrent request defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column First defining column for the last record that was updated in the transaction table Second defining column for the last record that was updated in the transaction table
NOT NULL VARCHAR2(1) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(15)
NULL VARCHAR2(15)
Sequence 1 2 3 4 5
GL_MC_UPGRADE_RATES
GL_MC_UPGRADE_RATES is a Multiple Reporting Currencies temporary table used to cache the exchange rates for the Payables, Receivables, and Purchasing MRC Transaction Upgrade programs. When the user launches a Transaction Upgrade program, this table is populated with the conversion rates based on the Initial Conversion Rate Type and the Initial Conversion Date entered in the Assign Reporting Set of Books form. FROM_CURRENCY contains the transaction currencies identified by the upgrade program. TO_CURRENCY is the functional currency of the reporting set of books. On successful completion of the program the rows in this table are deleted.
Foreign Keys Primary Key Table FND_CURRENCIES FND_CURRENCIES Column Descriptions Name UPGRADE_RUN_ID FROM_CURRENCY TO_CURRENCY DENOMINATOR_RATE NUMERATOR_RATE CONVERSION_RATE PRECISION MINIMUM_ACCOUNTABLE_UNIT
Null? Type NOT NOT NOT NOT NULL NULL NULL NULL NUMBER(15) VARCHAR2(15) VARCHAR2(15) NUMBER
Description Upgrade run defining column From currency code To currency code Denominator that is used to calculate the conversion rate Numerator that is used to calculate the conversion rate Currency conversion rate Maximum number of digits to the right of the decimal point Minimum accountable unit for the currency
NOT NULL NUMBER NOT NULL NUMBER NULL NUMBER(1) NULL NUMBER
Sequence 1 2 3
GL_MOVEMERGE_ACCOUNTS
GL_MOVEMERGE_ACCOUNTS stores the account mappings for Mass Maintenance requests. Each row stores the Mass Maintenance request id and the source to target account mapping.
Foreign Keys Primary Key Table GL_MOVEMERGE_REQUESTS Column Descriptions Name MOVEMERGE_REQUEST_ID LINE_NUMBER (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25)
Description Mass maintenance request defining column Mass maintenance account line number Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Source key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment
CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN SOURCE_SEGMENT1 SOURCE_SEGMENT2 SOURCE_SEGMENT3 SOURCE_SEGMENT4 SOURCE_SEGMENT5 SOURCE_SEGMENT6 SOURCE_SEGMENT7 SOURCE_SEGMENT8 SOURCE_SEGMENT9 SOURCE_SEGMENT10 SOURCE_SEGMENT11 SOURCE_SEGMENT12 SOURCE_SEGMENT13 SOURCE_SEGMENT14 SOURCE_SEGMENT15 SOURCE_SEGMENT16 SOURCE_SEGMENT17 SOURCE_SEGMENT18 SOURCE_SEGMENT19 SOURCE_SEGMENT20 SOURCE_SEGMENT21 SOURCE_SEGMENT22 SOURCE_SEGMENT23 SOURCE_SEGMENT24 SOURCE_SEGMENT25 SOURCE_SEGMENT26 SOURCE_SEGMENT27 SOURCE_SEGMENT28 SOURCE_SEGMENT29 SOURCE_SEGMENT30 TARGET_SEGMENT1 TARGET_SEGMENT2 TARGET_SEGMENT3
Column Descriptions Name TARGET_SEGMENT4 TARGET_SEGMENT5 TARGET_SEGMENT6 TARGET_SEGMENT7 TARGET_SEGMENT8 TARGET_SEGMENT9 TARGET_SEGMENT10 TARGET_SEGMENT11 TARGET_SEGMENT12 TARGET_SEGMENT13 TARGET_SEGMENT14 TARGET_SEGMENT15 TARGET_SEGMENT16 TARGET_SEGMENT17 TARGET_SEGMENT18 TARGET_SEGMENT19 TARGET_SEGMENT20 TARGET_SEGMENT21 TARGET_SEGMENT22 TARGET_SEGMENT23 TARGET_SEGMENT24 TARGET_SEGMENT25 TARGET_SEGMENT26 TARGET_SEGMENT27 TARGET_SEGMENT28 TARGET_SEGMENT29 TARGET_SEGMENT30 CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Target key flexfield segment Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
Sequence 1 2
GL_MOVEMERGE_ACCOUNTS_U1
GL_MOVEMERGE_REQUESTS
GL_MOVEMERGE_REQUESTS stores Mass Maintenance request definitions. Each row stores the request name, the request type, and the request status. The status is set to NR initially. It is updated appropriately by the Mass Maintenance program to indicate the current status of the request.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS GL_SETS_OF_BOOKS QuickCodes Columns Column STATUS_CODE
QuickCodes Table GL_LOOKUPS Mass Creation Completed Mass Creation Failed Mass Creation In Process Move/Merge Completed Move/Merge Failed Move/Merge In Process New Purge Completed Purge Failed Purge In Process Reversal Completed Reversal Failed Reversal In Process Prevalidation Completed Prevalidation Failed Prevalidation In Process
Column Descriptions Name MOVEMERGE_REQUEST_ID NAME SET_OF_BOOKS_ID STATUS_CODE REQUEST_TYPE_CODE CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN DESCRIPTION CONCURRENT_REQUEST_ID (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT NOT NOT
Description
Mass maintenance request defining column NULL VARCHAR2(25) Mass maintenance request name NULL NUMBER(15) Accounting books defining column NULL VARCHAR2(2) Mass maintenance request status code NULL VARCHAR2(1) Mass maintenance request type code (Mass Creation or Move/Merge) NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column NULL VARCHAR2(240) Mass maintenance request description NULL NUMBER(15) Concurrent request defining column
(Continued) Null? Type NULL VARCHAR2(15) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Last period processed move/merge request Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield Descriptive flexfield by this context segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment
LAST_MOVEMERGE_PERIOD CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name GL_MOVEMERGE_REQUESTS_U1 GL_MOVEMERGE_REQUESTS_U2
Sequence 1 1 2
GL_NET_INCOME_ACCOUNTS
GL_NET_INCOME_ACCOUNTS stores the net income accounts for each balancing segment value of each set of books with average balances enabled. You specify a net income account template with a particular balancing segment value when you define an average balances set of books. The Set of Books form then inserts a record into this table with the set of books identifier and balancing segment value combination. As you post to different balancing segment values in that set of books, the Posting program creates new net income accounts by substituting the balancing segment values into the net income account template, and inserts corresponding records into this table.
Foreign Keys Primary Key Table GL_CODE_COMBINATIONS GL_SETS_OF_BOOKS Column Descriptions Name SET_OF_BOOKS_ID BAL_SEG_VALUE (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(25) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) DATE
Description Accounting books defining column Balancing segment value for which this account is the net income account Net income account Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Enhanced Who column Enhanced Who column Enhanced Who column Enhanced Who column
(PK)
CODE_COMBINATION_ID (PK) CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN REQUEST_ID PROGRAM_APPLICATION_ID PROGRAM_ID PROGRAM_UPDATE_DATE Indexes Index Name GL_NET_INCOME_ACCOUNTS_N1 GL_NET_INCOME_ACCOUNTS_U1
Sequence 1 1 2 3
GL_OASIS_FIN_ASSIGNMENTS
GL_OASIS_FIN_ASSIGNMENTS stores the natural account values that are assigned to each Financial Item. This table corresponds to the multirecord block of the Financial Item form.
Foreign Keys Primary Key Table GL_OASIS_FIN_ITEMS GL_SETS_OF_BOOKS QuickCodes Columns Column SUMMARY_FLAG
Column Descriptions Name SET_OF_BOOKS_ID (PK) FIN_ITEM_ID (PK) ACCOUNT_SEGMENT_VALUE SUMMARY_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name GL_OASIS_FIN_ASSIGNMENTS_U1
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) VARCHAR2(7) VARCHAR2(25) VARCHAR2(1) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Set of books defining column Financial item defining column Natural account segment value Summary flag Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
(PK)
Sequence 1 2 3
GL_OASIS_FIN_ITEMS
GL_OASIS_FIN_ITEMS stores information about Financial Items. Each row contains the name, description, and unique ID of one Financial Item. This table corresponds to the singlerecord block of the Financial Item form.
Column Descriptions Name FIN_ITEM_ID (PK) NAME CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN DESCRIPTION CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name GL_OASIS_FIN_ITEMS_U1
Null? Type NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(7) VARCHAR2(80) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(240) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Financial item defining column Financial item name Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Financial item description Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
Sequence 1
GL_OASIS_FIN_METRICS
GL_OASIS_FIN_METRICS stores the summarized financial metrics calculated by the Financial Item Data Collection program. These metrics are used to produce reports for the Oracle Business Intelligence System.
Foreign Keys Primary Key Table GL_SETS_OF_BOOKS Column Descriptions Name SET_OF_BOOKS_ID FIN_METRIC_CODE EFFECTIVE_PERIOD_NUM CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN REPORT_NAME REPORT_PARAMETERS QUARTER1_VALUE QUARTER2_VALUE QUARTER3_VALUE QUARTER4_VALUE YEAR_VALUE Indexes Index Name GL_OASIS_FIN_METRICS_U1
Null? Type NOT NULL NUMBER(15) NOT NULL NOT NULL NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL
Description
Accounting books defining column. VARCHAR2(30) Indicates the desired financial metric. NUMBER Effective period number of the current period ( the one the program was run for) DATE Standard Who column NUMBER(15) Standard Who column DATE Standard Who column NUMBER(15) Standard Who column VARCHAR2(240) Standard Who column VARCHAR2(2000) Name of the report associated with this metric VARCHAR2(2000) Parameters for the report associated with this metric NUMBER Value of the metric for quarter 1 NUMBER Value of the metric for quarter 2 NUMBER Value for the metric for quarter 3 NUMBER Value of the metric for quarter 4 VARCHAR2(240) YTD value of the metric
Sequence 1 2
GL_OASIS_SUMMARY_DATA
GL_OASIS_SUMMARY_DATA stores the data that has been collected about each Financial Item. This data is maintained at several drilldown levels. Each row contains the Financial Item ID, the drilldown level and segment values, the balance type, the period, and the periodtodate, quartertodate, and yeartodate balances. For the most summarized data, DRILLDOWN_SEGNUM1, DRILLDOWN_SEGNUM2, DRILLDOWN_SEGVAL1 and DRILLDOWN_SEGVAL2 will all be 1. Only one such row will exist per Financial Item, balance type, and period. That row will contain the total periodtodate, quartertodate, and yeartodate balance for that Financial Item, period, and balance type. For the data after one level of drilldown, DRILLDOWN_SEGNUM1 will be the segment number of the first drilldown segment (always the balancing segment) and DRILLDOWN_SEGVAL1 will be the associated segment value. DRILLDOWN_SEGNUM2 and DRILLDOWN_SEGVAL2 will both be 1. One such row will exist per Financial Item, balance type, period, and balancing segment value. That row will contain the total periodtodate, quartertodate, and yeartodate balance for that Financial Item, balancing segment value, period, and balance type. For the data at the lowest level of drilldown, DRILLDOWN_SEGNUM1 will be the segment number of the first drilldown segment and DRILLDOWN_SEGVAL1 will be the associated segment value, as before. However, DRILLDOWN_SEGNUM2 will be the segment number of the second drilldown segment (user chosen) and DRILLDOWN_SEGVAL2 will be the associated segment value. One such row will exist per Financial Item, balance type, period, balancing segment value, and secondary drilldown segment value. That row will contain the total periodtodate, quartertodate, and yeartodate balance for that Financial Item, balancing segment value, secondary drilldown segment value, period, and balance type. The RELATIVE_P ERIOD_POS is computed by multiplying the PERIOD_YEAR times the number of periods in a year and then adding the PERIOD_NUM.
Foreign Keys Primary Key Table GL_OASIS_FIN_ITEMS GL_SETS_OF_BOOKS
Column Descriptions Name SET_OF_BOOKS_ID (PK) FIN_ITEM_ID (PK) DRILLDOWN_SEGNUM1 (PK) DRILLDOWN_SEGNUM2 ACTUAL_FLAG (PK) DRILLDOWN_SEGVAL1 DRILLDOWN_SEGVAL2 (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(7) NOT NULL NUMBER(15)
Description
RELATIVE_PERIOD_POS PERIOD_NAME PERIOD_NUM PERIOD_YEAR QUARTER_NUM DRILLDOWN_SEGDESC1 DRILLDOWN_SEGDESC2 CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN PERIOD_TO_DATE QUARTER_TO_DATE YEAR_TO_DATE Indexes Index Name
Set of books defining column Financial item defining column Primary drilldown segment number (1 if there is no value) NOT NULL NUMBER(15) Secondary drilldown segment number (1 if there is no value) NOT NULL VARCHAR2(1) Balance type NOT NULL VARCHAR2(25) Primary drilldown segment value (1 if there is no value) NOT NULL VARCHAR2(25) Secondary drilldown segment value (1 if there is no value) NOT NULL NUMBER(15) Denormalized relative period position NOT NULL VARCHAR2(15) Period name NOT NULL NUMBER(15) Period number NOT NULL NUMBER(15) Period year NOT NULL NUMBER(15) Quarter number NULL VARCHAR2(240) Primary drilldown segment description NULL VARCHAR2(240) Secondary drilldown segment description NOT NULL DATE Standard Who column NOT NULL NUMBER(15) Standard Who column NOT NULL DATE Standard Who column NOT NULL NUMBER(15) Standard Who column NOT NULL NUMBER(15) Standard Who column NULL NUMBER(15) Periodtodate amount NULL NUMBER(15) Quartertodate amount NULL NUMBER(15) Yeartodate amount
Sequence 1 2 3 4 5 6 1 2 3 4 5 6 7 8
Column Name SET_OF_BOOKS_ID DRILLDOWN_SEGNUM1 DRILLDOWN_SEGNUM2 FIN_ITEM_ID ACTUAL_FLAG RELATIVE_PERIOD_POS SET_OF_BOOKS_ID FIN_ITEM_ID DRILLDOWN_SEGNUM1 DRILLDOWN_SEGNUM2 ACTUAL_FLAG DRILLDOWN_SEGVAL1 DRILLDOWN_SEGVAL2 RELATIVE_PERIOD_POS
GL_OASIS_SUMMARY_DATA_N1
GL_OASIS_SUMMARY_DATA_U1
UNIQUE
GL_PERIODS
GL_PERIODS stores information about the accounting periods you define using the Accounting Calendar form. Each row includes the start date and end date of the period, the period type, the fiscal year, the period number, and other information. There is a onetomany relationship between a row in the GL_PERIOD_SETS table and rows in this table.
Foreign Keys Primary Key Table GL_PERIOD_SETS GL_PERIOD_TYPES QuickCodes Columns Column ADJUSTMENT_PERIOD_FLAG
Column Descriptions Name PERIOD_SET_NAME (PK) PERIOD_NAME (PK) LAST_UPDATE_DATE LAST_UPDATED_BY START_DATE END_DATE YEAR_START_DATE QUARTER_START_DATE PERIOD_TYPE PERIOD_YEAR PERIOD_NUM QUARTER_NUM ENTERED_PERIOD_NAME ADJUSTMENT_PERIOD_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN DESCRIPTION ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4
Null? Type NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(15) NOT NULL DATE NOT NULL NUMBER(15) NOT NULL DATE NOT NULL DATE NULL DATE NULL DATE NOT NOT NOT NOT NULL NULL NULL NULL VARCHAR2(15) NUMBER(15) NUMBER(15) NUMBER(15)
Description Accounting calendar name System generated accounting period name Standard Who column Standard Who column Date on which accounting period begins Date on which accounting period ends Date on which the year containing this accounting period starts Date on which the quarter containing this accounting period starts Accounting period type Accounting period year Accounting period number Quarter number of accounting period User entered accounting period name Calendar period adjustment status Standard Who column Standard Who column Standard Who column Accounting period description Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(1) NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) VARCHAR2(240) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
(Continued) Null? Type NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive column flexfield flexfield flexfield flexfield flexfield segment segment segment segment context
Sequence 1 1 1 2 1 2 3 4
Column Name START_DATE END_DATE PERIOD_NAME PERIOD_SET_NAME PERIOD_SET_NAME PERIOD_TYPE PERIOD_YEAR PERIOD_NUM
GL_PERIOD_SETS
GL_PERIOD_SETS stores the calendars you define using the Accounting Calendar form. Each row includes the name and description of your calendar. There is a onetomany relationship between a row in this table and rows in the GL_PERIODS table. This table has no foreign keys other than the standard Who columns.
Column Descriptions Name PERIOD_SET_NAME (PK) LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN DESCRIPTION ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 CONTEXT
Null? Type NOT NULL VARCHAR2(15) NOT NULL DATE NOT NULL NUMBER(15) NULL DATE NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(240) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150)
Description Accounting calendar name Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Accounting calendar description Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column
Sequence 1
GL_PERIOD_STATUSES
GL_PERIOD_STATUSES stores the statuses of your accounting periods. Each row includes the accounting period name and status. Other applications maintain their calendars in this table, so each row also includes the relevant application identifier. CLOSING_STATUS is either O for open, F for future enterable, C for closed, P for permanently closed, or N for never opened. Note that you cannot successfully open a period in your Oracle General Ledger application by changing a periods status to O if it has never been opened before. You must use the Open and Close Periods form to properly open a period.
Foreign Keys Primary Key Table FND_APPLICATION GL_PERIODS GL_PERIOD_TYPES GL_SETS_OF_BOOKS QuickCodes Columns Column ADJUSTMENT_PERIOD_FLAG
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS Closed Future Entry Never Opened Open Permanently Closed GL_LOOKUPS No Yes
CLOSING_STATUS
ELIMINATION_CONFIRMED_FLAG
Column Descriptions Name APPLICATION_ID (PK) SET_OF_BOOKS_ID (PK) PERIOD_NAME (PK) LAST_UPDATE_DATE LAST_UPDATED_BY CLOSING_STATUS START_DATE END_DATE YEAR_START_DATE QUARTER_NUM
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL VARCHAR2(15) DATE NUMBER(15) VARCHAR2(1) DATE
Description Application defining column Accounting books defining column Accounting period name Standard Who column Standard Who column Accounting period status Date on which accounting period begins Date on which accounting period ends Date on which the year containing this accounting period starts Quarter number
(Continued) Null? Type NOT NULL DATE NOT NULL VARCHAR2(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NULL DATE NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(1) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) Description Date on which the quarter containing this accounting period starts Accounting period type Accounting period year Denormalized period number (period_year*10000 + period_num) Accounting period number Calendar period adjustment flag Standard Who column Standard Who column Standard Who column Elimination confirmed flag Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context
QUARTER_START_DATE PERIOD_TYPE PERIOD_YEAR EFFECTIVE_PERIOD_NUM PERIOD_NUM ADJUSTMENT_PERIOD_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN ELIMINATION_CONFIRMED_FLAG ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 CONTEXT Indexes Index Name GL_PERIOD_STATUSES_N1 GL_PERIOD_STATUSES_U1 GL_PERIOD_STATUSES_U2
Sequence 1 1 2 3 1 2 3 4
Column Name CLOSING_STATUS APPLICATION_ID SET_OF_BOOKS_ID PERIOD_NAME APPLICATION_ID SET_OF_BOOKS_ID EFFECTIVE_PERIOD_NUM CLOSING_STATUS
Database Triggers Trigger Trigger Trigger Trigger Name Time Level Event : : : : GL_MRC_PERIOD_STATUSES_AU AFTER STATEMENT UPDATE
The GL_MRC_PERIOD_STATUSES_AU trigger maintains the subledger period statuses for reporting sets of books. Whenever a subledger period is opened, closed, or permanently closed for a primary set of books, this trigger opens, closes, or permanently closes the corresponding subledger period in the associated reporting sets of books. Trigger Trigger Trigger Trigger Name Time Level Event : : : : GL_MRC_PERIOD_STATUSES_BRU BEFORE ROW UPDATE
The GL_MRC_PERIOD_STATUSES_BRU trigger caches data necessary for the GL_MRC_PERIOD_STATUSES_AU trigger. It also does some maintenance of period statuses necessary for the Global Accounting Engine.
GL_PERIOD_TYPES
GL_PERIOD_TYPES stores the period types you define using the Period Types form. Each row includes the period type name, the number of periods per fiscal year, and other information. YEAR_TYPE_IN_NAME is C for calendar or F for fiscal. This determines the systemassigned name of your accounting period in the Accounting Calendar form.
QuickCodes Columns Column YEAR_TYPE_IN_NAME
Column Descriptions Name PERIOD_TYPE (PK) LAST_UPDATE_DATE LAST_UPDATED_BY NUMBER_PER_FISCAL_YEAR YEAR_TYPE_IN_NAME USER_PERIOD_TYPE CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN DESCRIPTION ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 CONTEXT Indexes Index Name GL_PERIOD_TYPES_U1 GL_PERIOD_TYPES_U2 Sequences Sequence GL_PERIOD_TYPES_S
Null? Type NOT NOT NOT NOT NULL NULL NULL NULL VARCHAR2(15) DATE NUMBER(15) NUMBER(15)
Description Accounting period type name Standard Who column Standard Who column Number of periods per fiscal year Year type (Calendar or Fiscal) Calendar period type user defined name Standard Who column Standard Who column Standard Who column Accounting period type description Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context
NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(15) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) VARCHAR2(240) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Sequence 1 1
GL_POSTING_INTERIM
GL_POSTING_INTERIM is used by several programs in your Oracle General Ledger application to post balances to the GL_BALANCES table. The Posting program, the Translation program, and the Open Period program each drop this table and recreate it when they begin processing. This table is also used by the Add/Delete Summary Templates program and the Maintain Summary Templates program. There is one row in this table for each account to be updated in GL_BALANCES. The DR and CR columns in this table contain the incremental amounts which are added to the balances in GL_BALANCES.
Foreign Keys Primary Key Table FND_CURRENCIES GL_BUDGET_VERSIONS GL_CODE_COMBINATIONS GL_ENCUMBRANCE_TYPES GL_PERIOD_TYPES GL_SETS_OF_BOOKS GL_SUMMARY_TEMPLATES QuickCodes Columns Column ACCOUNT_TYPE
Primary Key Column CURRENCY_CODE BUDGET_VERSION_ID CODE_COMBINATION_ID ENCUMBRANCE_TYPE_ID PERIOD_TYPE SET_OF_BOOKS_ID TEMPLATE_ID
Foreign Key Column CURRENCY_CODE BUDGET_VERSION_ID CODE_COMBINATION_ID ENCUMBRANCE_TYPE_ID PERIOD_TYPE SET_OF_BOOKS_ID TEMPLATE_ID
ACTUAL_FLAG
Column Descriptions Name CODE_COMBINATION_ID PERIOD_NAME SET_OF_BOOKS_ID CURRENCY_CODE PERIOD_YEAR PERIOD_NUM PERIOD_TYPE ACCOUNT_TYPE BAL_SEG_VALUE
Null? Type NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL NUMBER(15) NOT NULL NULL NULL NULL NULL VARCHAR2(15) NUMBER(15) NUMBER(15) VARCHAR2(15) VARCHAR2(1)
Description Key flexfield combination defining column Accounting period Accounting books defining column Currency Accounting period year Accounting period number Accounting period type Account type lookup (Asset, Liability, etc.) Balancing segment value
NULL VARCHAR2(25)
(Continued) Null? Type NULL VARCHAR2(1) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(1) VARCHAR2(1) NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER Description Balance type lookup (Actual, Budget, or Encumbrance) Encumbrance type defining column Budget version defining column Summary template defining column Translated balance status flag Incremental amounts flag Period net debit amount Period net credit amount Quartertodate debit amount Quartertodate credit amount Projecttodate debit amount Projecttodate credit amount Begin balance debit amount Begin balance credit amount Period net debit amount in base currency Period net credit amount in base currency Begin balance debit amount in base currency Begin balance credit amount in base currency Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment
ENCUMBRANCE_TYPE_ID BUDGET_VERSION_ID TEMPLATE_ID TRANSLATED_FLAG INCREMENTAL_FLAG PERIOD_NET_DR PERIOD_NET_CR QUARTER_TO_DATE_DR QUARTER_TO_DATE_CR PROJECT_TO_DATE_DR PROJECT_TO_DATE_CR BEGIN_BALANCE_DR BEGIN_BALANCE_CR PERIOD_NET_DR_BEQ PERIOD_NET_CR_BEQ BEGIN_BALANCE_DR_BEQ BEGIN_BALANCE_CR_BEQ SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21 SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27 SEGMENT28 SEGMENT29 SEGMENT30
NULL NUMBER NULL NUMBER NULL NUMBER NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25)
Sequence 1 2 3 4 1
GL_POSTING_INTERIM_N2
NOT UNIQUE
GL_RECURRING_BATCHES
GL_RECURRING_BATCHES stores your journal entry formula batches and your budget formula batches. Each row includes the batch name, description, and other information. This table corresponds to the Recurring Batch section of the Define Recurring Journal Formula form and the Define Budget Formula form. BUDGET_FLAG is Y for a budget formula batch and N for a journal entry formula batch.
Foreign Keys Primary Key Table GL_BUDGET_VERSIONS GL_PERIOD_TYPES GL_SETS_OF_BOOKS QuickCodes Columns Column BUDGET_FLAG
Column Descriptions Name RECURRING_BATCH_ID LAST_UPDATE_DATE LAST_UPDATED_BY SET_OF_BOOKS_ID NAME BUDGET_FLAG ALLOCATION_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN BUDGET_IN_FORMULA_FLAG DESCRIPTION PERIOD_TYPE LAST_EXECUTED_PERIOD_NAME LAST_EXECUTED_DATE LAST_EXEC_JOURNAL_DATE LAST_EXEC_CALCULATION_DATE LAST_EXEC_BUDGET_VERSION_ID ATTRIBUTE1 (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT
Description
Recurring journal batch defining column NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Accounting books defining column NULL VARCHAR2(30) Recurring journal batch name NULL VARCHAR2(1) Recurring budget journal batch flag NULL VARCHAR2(1) No longer used(default = Y) NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column NULL VARCHAR2(1) Budget balances used in recurring journal entry formulas flag NULL VARCHAR2(240) Recurring journal batch description NULL VARCHAR2(15) Accounting period type NULL VARCHAR2(15) Period in which this batch last executed NULL DATE Date on which this batch last executed NULL DATE Journal effective date for which this batch was last executed NULL DATE Calculation effective date for which this batch was last executed NULL NUMBER(15) Budget for which this batch was last executed NULL VARCHAR2(150) Descriptive flexfield segment
Column Descriptions Name ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 CONTEXT Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield segment segment segment segment segment segment segment segment segment context
Sequence 1 1 2
GL_RECURRING_BATCHES_U1 GL_RECURRING_BATCHES_U2
GL_RECURRING_HEADERS
GL_RECURRING_HEADERS stores your journal entry formula headers and your budget formula headers. This table corresponds to the Journal Entry section of the Define Recurring Journal Formula form and the Define Budget Formula form.
Foreign Keys Primary Key Table FND_CURRENCIES GL_JE_CATEGORIES_TL GL_PERIOD_TYPES GL_RECURRING_BATCHES GL_SETS_OF_BOOKS Column Descriptions Name RECURRING_HEADER_ID LAST_UPDATE_DATE LAST_UPDATED_BY SET_OF_BOOKS_ID NAME JE_CATEGORY_NAME ENABLED_FLAG ALLOCATION_FLAG CURRENCY_CODE CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN RECURRING_BATCH_ID PERIOD_TYPE LAST_EXECUTED_PERIOD_NAME LAST_EXECUTED_DATE START_DATE_ACTIVE END_DATE_ACTIVE ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 CONTEXT (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL DATE NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NOT NULL NULL NULL VARCHAR2(30) VARCHAR2(25) VARCHAR2(1) VARCHAR2(1) VARCHAR2(15) DATE NUMBER(15) NUMBER(15) NUMBER(15) VARCHAR2(15) VARCHAR2(15)
Description Recurring header defining column Standard Who column Standard Who column Accounting books defining column Recurring header name Journal entry category name Not currently used No longer used Currency Standard Who column Standard Who column Standard Who column Recurring batch defining column Accounting period type Period that this recurring journal entry was last executed Date that this recurring journal entry was last executed Date that recurring journal entry becomes valid Date that recurring journal entry becomes invalid Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context
NULL DATE NULL DATE NULL DATE NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Sequence 1 1 1 2
GL_RECURRING_LINES
GL_RECURRING_LINES stores the target lines of your recurring journal and recurring budget formulas. This table corresponds to the Journal Entry Line window of the Define Recurring Journal Formula form and of the Define Budget Formula form.
Foreign Keys Primary Key Table FND_CURRENCIES GL_CODE_COMBINATIONS GL_RECURRING_HEADERS Column Descriptions Name RECURRING_HEADER_ID (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) NUMBER(15)
Description Recurring journal header defining column Recurring journal line number Standard Who column Standard Who column Key flexfield combination defining column Recurring formulas target line currency Standard Who column Standard Who column Standard Who column Recurring journal entry line description Userentered debit amount Userentered credit amount Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context
RECURRING_LINE_NUM (PK) LAST_UPDATE_DATE LAST_UPDATED_BY CODE_COMBINATION_ID ENTERED_CURRENCY_CODE CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN DESCRIPTION ENTERED_DR ENTERED_CR ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 CONTEXT Indexes Index Name GL_RECURRING_LINES_N1 GL_RECURRING_LINES_U1
NULL VARCHAR2(15) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) VARCHAR2(240) NUMBER NUMBER VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Sequence 1 1 2
GL_RECURRING_LINE_CALC_RULES
GL_RECURRING_LINE_CALC_RULES stores the formula lines of your recurring journal and recurring budget formulas. This table corresponds to the Formula section of the Define Recurring Journal Formula and the Define Budget Formula forms.
Foreign Keys Primary Key Table FND_CURRENCIES GL_CODE_COMBINATIONS GL_RECURRING_LINES GL_SUMMARY_TEMPLATES QuickCodes Columns Column ACTUAL_FLAG
QuickCodes Type BATCH_TYPE A B E PTD_YTD PJTD PTD QTD YTD OPERATOR * + / E PERIOD CODE C L P
QuickCodes Table GL_LOOKUPS A B E GL_LOOKUPS PJTD PTD QTD YTD GL_LOOKUPS * + / E GL_LOOKUPS Current Period Year Ago, Same Period Previous Period
AMOUNT_TYPE
OPERATOR
RELATIVE_PERIOD_CODE
Column Descriptions Name RECURRING_HEADER_ID RECURRING_LINE_NUM RULE_NUM (PK) LAST_UPDATE_DATE LAST_UPDATED_BY OPERATOR CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN AMOUNT PERIOD_TO_DATE_FLAG (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL DATE NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) NUMBER VARCHAR2(1)
Description Recurring journal header defining column Recurring journal line number Recurring journal formula step number Standard Who column Standard Who column Mathematical operator for this line Standard Who column Standard Who column Standard Who column Constant amount in formula line No longer used
(Continued) Null? Type NULL VARCHAR2(1) NULL VARCHAR2(15) NULL VARCHAR2(1) NULL VARCHAR2(30) NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Account balance flag (Actual, Budget, or Encumbrance) Currency Relative period lookup Amount type to use for formula step Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column Key flexfield structure defining column for recurring journal entry line Summary template defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column
CURRENCY_CODE RELATIVE_PERIOD_CODE AMOUNT_TYPE ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 CONTEXT ASSIGNED_CODE_COMBINATION TEMPLATE_ID SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21
NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25)
Column Descriptions Name SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27 SEGMENT28 SEGMENT29 SEGMENT30
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column Key flexfield structure defining column
Sequence 1 2 3
GL_REVALUATION
GL_REVALUATION stores the default gain/loss account which is used when you run Revaluation. The default account is always the last gain/loss account that you used for a particular set of books. You may choose to accept the default account or select a different account when you use the Revalue Balances form.
Foreign Keys Primary Key Table GL_CODE_COMBINATIONS GL_SETS_OF_BOOKS Column Descriptions Name CODE_COMBINATION_ID SET_OF_BOOKS_ID (PK)
Null? Type NOT NULL NUMBER NOT NULL NUMBER NOT NULL DATE NOT NULL NUMBER NULL DATE NULL NUMBER(15) NULL NUMBER(15)
Description Key flexfield combination defining column Accounting books defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column
Sequence 1
GL_REVALUATION_ACCOUNTS
GL_REVALUATION_ACCOUNTS stores the account ranges that you specify when you use the Revalue Balances form. Each time you run Revaluation, the ranges you specify are added to this table. This table has no foreign keys.
Foreign Keys Primary Key Table GL_SETS_OF_BOOKS Column Descriptions Name REVALUATION_RUN_ID LAST_UPDATE_DATE LAST_UPDATED_BY SET_OF_BOOKS_ID CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN SEGMENT1_LOW SEGMENT1_HIGH SEGMENT2_LOW SEGMENT2_HIGH SEGMENT3_LOW SEGMENT3_HIGH SEGMENT4_LOW SEGMENT4_HIGH SEGMENT5_LOW SEGMENT5_HIGH SEGMENT6_LOW SEGMENT6_HIGH SEGMENT7_LOW SEGMENT7_HIGH SEGMENT8_LOW SEGMENT8_HIGH SEGMENT9_LOW SEGMENT9_HIGH
Null? Type NOT NULL NUMBER NOT NULL DATE NOT NULL NUMBER NOT NULL NUMBER(15) NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) VARCHAR2(25)
Description Revaluation run process defining column Standard Who column Standard Who column Accounting books defining column Standard Who column Standard Who column Standard Who column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column Key flexfield segment low range column Key flexfield segment high range column
NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25)
Column Descriptions Name SEGMENT10_LOW SEGMENT10_HIGH SEGMENT11_LOW SEGMENT11_HIGH SEGMENT12_LOW SEGMENT12_HIGH SEGMENT13_LOW SEGMENT13_HIGH SEGMENT14_LOW SEGMENT14_HIGH SEGMENT15_LOW SEGMENT15_HIGH SEGMENT16_LOW SEGMENT16_HIGH SEGMENT17_LOW SEGMENT17_HIGH SEGMENT18_LOW SEGMENT18_HIGH SEGMENT19_LOW SEGMENT19_HIGH SEGMENT20_LOW SEGMENT20_HIGH SEGMENT21_LOW SEGMENT21_HIGH SEGMENT22_LOW SEGMENT22_HIGH SEGMENT23_LOW SEGMENT23_HIGH SEGMENT24_LOW SEGMENT24_HIGH
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high
Column Descriptions Name SEGMENT25_LOW SEGMENT25_HIGH SEGMENT26_LOW SEGMENT26_HIGH SEGMENT27_LOW SEGMENT27_HIGH SEGMENT28_LOW SEGMENT28_HIGH SEGMENT29_LOW SEGMENT29_HIGH SEGMENT30_LOW SEGMENT30_HIGH
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) Description Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column Key flexfield column Key flexfield range column segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high segment low range segment high
GL_ROLLUP_GROUP_SCORES
GL_ROLLUP_GROUP_SCORES stores selectivity information about your rollup groups. This table is automatically maintained whenever you run the GL Optimizer program. The information in this table is used to enhance performance when posting or when maintaining summary accounts.
Foreign Keys Primary Key Table FND_FLEX_VALUE_SETS Column Descriptions Name APPLICATION_COLUMN_NAME (PK) AVG_SCORE_PER_CHILD_RANGE FLEX_VALUE_SET_ID (PK)
Null? Type NOT NULL VARCHAR2(30) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER(15)
Description Key Flexfield segment column Average selectivity score for each child range in the rollup group Key Flexfield value set defining column Number of parent values that belong to the rollup group Number of rows in GL_CODE_COMBINATIONS that fall within the child ranges of the rollup group Rollup group defining column
NUMBER_OF_PARENT_VALUES SELECTIVITY_SCORE
Sequence 1 2 3
GL_ROW_MULTIPLIERS
GL_ROW_MULTIPLIERS stores information necessary to expand your period information in GL_PERIODS into your business day information in GL_TRANSACTION_DATES and into your datetoperiod mapping in GL_DATE_PERIOD_MAP.
Column Descriptions Name MULTIPLIER (PK) CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN Indexes Index Name GL_ROW_MULTIPLIERS_U1
Null? Type NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15)
Description Multiplier Standard Who Standard Who Standard Who Standard Who Standard Who column column column column column
Sequence 1
GL_RX_TRIAL_BALANCE_ITF
GL_RX_TRIAL_BALANCE_ITF stores the data for countryspecific RX trial balance reports. Each time a countryspecific RX trial balance report is run, a new set of data is inserted into this table.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS FND_CURRENCIES GL_SETS_OF_BOOKS QuickCodes Columns Column SUMMARY_FLAG
Column Descriptions Name REQUEST_ID PERIOD_NAME SET_OF_BOOKS_ID SET_OF_BOOKS_NAME CHART_OF_ACCOUNTS_ID CURRENCY_CODE BALANCING_SEGMENT ACCOUNT_SEGMENT BALANCING_DESCRIPTION ACCOUNT_DESCRIPTION SUMMARY_FLAG BEGIN_YEAR_BALANCE_DR BEGIN_YEAR_BALANCE_CR BEGIN_ADJ_PERIOD_NET_DR BEGIN_ADJ_PERIOD_NET_CR PRIOR_PERIODS_NET_DR PRIOR_PERIODS_NET_CR BEGIN_PERIOD_BALANCE_DR BEGIN_PERIOD_BALANCE_CR PERIOD_NET_DR PERIOD_NET_CR YEAR_TO_DATE_BALANCE_DR
Description
Concurrent request defining column NULL VARCHAR2(15) Current period name NULL NUMBER(15) Set of books defining column NULL VARCHAR2(30) Set of books name NULL NUMBER(15) Key flexfield structure defining column NULL VARCHAR2(15) Currency NULL VARCHAR2(25) Balancing Segment value NULL VARCHAR2(25) Natural account segment value NULL VARCHAR2(240) Balancing segment value description NULL VARCHAR2(240) Natural account segment value description NULL VARCHAR2(1) Summary data indicator NULL NUMBER Beginning of fiscal year debit balance NULL NUMBER Beginning of fiscal year balance NULL NUMBER Debit movement for beginning adjustment period NULL NUMBER Credit movement for beginning adjustment period NULL NUMBER Debit movement for previous regular periods NULL NUMBER Credit movement for previous regular periods NULL NUMBER Beginning of current period debit balance NULL NUMBER Beginning of current period credit balance NULL NUMBER Debit movement for current period NULL NUMBER Credit movement for current period NULL NUMBER Yeartodate debit balance
(Continued) Null? Type NULL NUMBER NULL NUMBER NULL NUMBER Description Yeartodate credit balance Net yeartodate debit balance Net yeartodate credit balance
Sequence 5
GL_SEGMENT_FREQUENCIES
GL_SEGMENT_FREQUENCIES stores statistical information about the data in the GL_CODE_COMBINATIONS and the GL_BALANCES tables. When you run the GL Optimizer program, that program first deletes all the rows in this table and then repopulates this table based on the current contents of GL_CODE_COMBINATIONS and GL_BALANCES. This table stores the number of rows in GL_BALANCES associated with each accounting period. It also stores the number of rows in GL_CODE_COMBINATIONS for each segment and segment value. You should run the GL Optimizer program at least once per accounting period to keep the data in this table current. The Oracle General Ledger applications Financial Statement Generator uses the information in this table to generate your financial reports as efficiently as possible. Other Oracle General Ledger programs also use this table to improve performance.
Column Descriptions Name STRUCTURE_ID SEGMENT_NAME (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(60) NOT NULL VARCHAR2(60) NOT NULL NUMBER(15)
Description Not currently used Segment name (either a segment column name, PERIOD, or PERIODAB) Segment value or period name Number of rows with this segment value or period name
Sequence 1 2
GL_SEGVAL_INHERIT_HISTORY
GL_SEGVAL_INHERIT_HISTORY keeps track of the segment value attribute maintenance records for each chart of accounts. For each chart of accounts for which the Segment Value Inheritance program has been run, there exists a row in this table. That row indicates the date and time on which the Segment Value Inheritance program was last run for this chart of accounts.
Foreign Keys Primary Key Table FND_ID_FLEX_STRUCTURES Column Descriptions Name CHART_OF_ACCOUNTS_ID LAST_RUN_DATE
Description Key flexfield structure defining column Date and time on which the Segment Value Inheritance program was last run for this chart of accounts Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Enhanced Who column Enhanced Who column Enhanced Who column Enhanced Who column
CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN REQUEST_ID PROGRAM_APPLICATION_ID PROGRAM_ID PROGRAM_UPDATE_DATE Indexes Index Name GL_SEGVAL_INHERIT_HISTORY_U1
Sequence 5
GL_SETS_OF_BOOKS
GL_SETS_OF_BOOKS stores information about the sets of books you define in your Oracle General Ledger application. Each row includes the set of books name, description, functional currency, and other information. This table corresponds to the Set of Books form.
Foreign Keys Primary Key Table FND_CURRENCIES FND_ID_FLEX_STRUCTURES GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_DAILY_CONVERSION_TYPES GL_PERIOD_SETS GL_PERIOD_TYPES GL_TRANSACTION_CALENDAR QuickCodes Columns Column ALLOW_INTERCOMPANY_POST_FLAG
Primary Key Column CURRENCY_CODE ID_FLEX_NUM CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CONVERSION_TYPE PERIOD_SET_NAME PERIOD_TYPE TRANSACTION_CALENDAR_ID
Foreign Key Column CURRENCY_CODE CHART_OF_ACCOUNTS_ID CUM_TRANS_CODE_COMBINATION_ID RET_EARN_CODE_COMBINATION_ID RES_ENCUMB_CODE_COMBINATION_ID NET_INCOME_CODE_COMBINATION_ID ROUNDING_CODE_COMBINATION_ID DAILY_TRANSLATION_RATE_TYPE PERIOD_SET_NAME ACCOUNTED_PERIOD_TYPE TRANSACTION_CALENDAR_ID
QuickCodes Type YES/NO N Y YES/NO N Y YES/NO N Y YES/NO N Y YES/NO N Y YES/NO N Y YES/NO N Y YES/NO N Y YES/NO N Y YES/NO
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS
CONSOLIDATION_SOB_FLAG
ENABLE_AUTOMATIC_TAX_FLAG
ENABLE_AVERAGE_BALANCES_FLAG
ENABLE_BUDGETARY_CONTROL_FLAG
ENABLE_JE_APPROVAL_FLAG
REQUIRE_BUDGET_JOURNALS_FLAG
SUSPENSE_ALLOWED_FLAG
TRACK_ROUNDING_IMBALANCE_FLAG
TRANSLATE_EOD_FLAG
(Continued) QuickCodes Type N Y QuickCodes Table No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes
TRANSLATE_QATD_FLAG
YES/NO N Y YES/NO N Y
TRANSLATE_YATD_FLAG
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(30) NOT NULL VARCHAR2(20) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(15) VARCHAR2(15) VARCHAR2(15) VARCHAR2(1) VARCHAR2(1) VARCHAR2(1) VARCHAR2(1) VARCHAR2(1) VARCHAR2(1)
Description Accounting books defining column Accounting books name Accounting books short name Key flexfield structure defining column Currency Accounting calendar name Accounting period type Suspense posting allowed flag Allow intercompany posting Track rounding imbalances flag Enable average balances flag Enable budgetary control flag Journal required for budget flag Enable journal entry approval flag Enable automatic tax flag Consolidation set of books flag Translate EOD balances flag Translated QATD balances flag Translate YATD balances flag MRC set of books type (Parent, Reporting, None) No longer used (defaults to N) Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Number of future enterable periods Latest opened accounting period Latest open year for encumbrances Retained earnings key flexfield defining column Cumulative translation adjustment key flexfield defining column Reserve for encumbrance key flexfield defining column
NAME SHORT_NAME CHART_OF_ACCOUNTS_ID CURRENCY_CODE PERIOD_SET_NAME ACCOUNTED_PERIOD_TYPE SUSPENSE_ALLOWED_FLAG ALLOW_INTERCOMPANY_POST_FLAG TRACK_ROUNDING_IMBALANCE_FLAG ENABLE_AVERAGE_BALANCES_FLAG ENABLE_BUDGETARY_CONTROL_FLAG REQUIRE_BUDGET_JOURNALS_FLAG ENABLE_JE_APPROVAL_FLAG ENABLE_AUTOMATIC_TAX_FLAG CONSOLIDATION_SOB_FLAG TRANSLATE_EOD_FLAG TRANSLATE_QATD_FLAG TRANSLATE_YATD_FLAG MRC_SOB_TYPE_CODE ALLOW_POSTING_WARNING_FLAG LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN FUTURE_ENTERABLE_PERIODS_LIMIT LATEST_OPENED_PERIOD_NAME LATEST_ENCUMBRANCE_YEAR RET_EARN_CODE_COMBINATION_ID CUM_TRANS_CODE_COMBINATION_ID RES_ENCUMB_CODE_COMBINATION_ID
NOT NULL VARCHAR2(1) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL VARCHAR2(1) VARCHAR2(1) VARCHAR2(1) VARCHAR2(1) VARCHAR2(1) VARCHAR2(1)
NOT NULL VARCHAR2(1) NOT NULL DATE NOT NULL NUMBER(15) NULL DATE NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(15) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15)
(Continued) Null? Type NULL NUMBER(15) NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(30) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(15) VARCHAR2(240) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(30) Description Net income key flexfield defining column Rounding imbalances key flexfield defining column Transaction Calendar defining column The rate type to be used for translation of average balances No longer used Accounting books description Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality Reserved for countryspecific functionality
NET_INCOME_CODE_COMBINATION_ID ROUNDING_CODE_COMBINATION_ID TRANSACTION_CALENDAR_ID DAILY_TRANSLATION_RATE_TYPE EARLIEST_UNTRANS_PERIOD_NAME DESCRIPTION ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 CONTEXT GLOBAL_ATTRIBUTE_CATEGORY GLOBAL_ATTRIBUTE1 GLOBAL_ATTRIBUTE2 GLOBAL_ATTRIBUTE3 GLOBAL_ATTRIBUTE4 GLOBAL_ATTRIBUTE5 GLOBAL_ATTRIBUTE6 GLOBAL_ATTRIBUTE7 GLOBAL_ATTRIBUTE8 GLOBAL_ATTRIBUTE9 GLOBAL_ATTRIBUTE10
NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150)
Sequence 1 1
GL_SHARES_ACTIVITY
GL_SHARES_ACTIVITY stores the stock split and stock dividend information you enter in the Common Stock form. Each record contains the activity type (split or dividend), the date on which the activity occurred, and either the split ratio (for stock splits) or the dividend (for stock dividends).
Foreign Keys Primary Key Table GL_SETS_OF_BOOKS Column Descriptions Name SET_OF_BOOKS_ID ACTIVITY_DATE (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL DATE (PK) NOT NULL VARCHAR2(30) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Accounting books defining column Date on which the activity occurred Activity type (Split or Dividend) Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Stock split ratio from Stock split ratio to Stock dividend percentage Descriptive flexfield context column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
(PK)
ACTIVITY_TYPE_CODE CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN SPLIT_RATIO_FROM SPLIT_RATIO_TO DIVIDEND_PERCENT CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name
Sequence 1 2 3
GL_SHARES_ACTIVITY_U1
GL_SHARES_OUTSTANDING
GL_SHARES_OUTSTANDING stores the number of shares outstanding information you enter in the Common Stocks form. Each record contains the fiscal year, the share measurement method (Basic or Diluted), the measurement type (Actual or Planned), and the number of shares outstanding for each quarter.
Foreign Keys Primary Key Table GL_SETS_OF_BOOKS Column Descriptions Name SET_OF_BOOKS_ID (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(30) NOT NULL VARCHAR2(30) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER
Description Accounting books defining column Fiscal year Share measurement method (Basic or Diluted) Measurement type (Actual or Planned) Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Number of shares outstanding in quarter 1 Number of shares outstanding in quarter 2 Number of shares outstanding in quarter 3 Number of shares outstanding in quarter 4 Descriptive flexfield context column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
(PK) (PK)
CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN Q1_NUMBER_OF_SHARES Q2_NUMBER_OF_SHARES Q3_NUMBER_OF_SHARES Q4_NUMBER_OF_SHARES CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15
NULL NUMBER NULL NUMBER NULL NUMBER NULL VARCHAR2(150) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Sequence 1 2 3 4
GL_STAT_ACCOUNT_UOM
GL_STAT_ACCOUNT_UOM stores the units of measure that you enter in the Statistical Units of Measure form.
Column Descriptions Name ACCOUNT_SEGMENT_VALUE UNIT_OF_MEASURE CHART_OF_ACCOUNTS_ID DESCRIPTION LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN Indexes Index Name GL_STAT_ACCOUNT_UOM_U1 (PK) (PK)
Description
Account segment value using this statistical unit of measure NOT NULL VARCHAR2(25) Statistical unit of measure name NOT NULL NUMBER(15) Key flexfield structure defining column NULL VARCHAR2(240) Statistical unit of measure description NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column
Sequence 1 2
GL_STORAGE_PARAMETERS
GL_STORAGE_PARAMETERS stores default storage parameters for interim tables in your Oracle General Ledger application. The storage parameter values determine the amount of space Oracle General Ledger allocates when it creates interim tables. You can update the values in this table by using the Storage Parameters form. There is a separate row in this table for each interim table in your Oracle General Ledger application. This table has no foreign keys.
QuickCodes Columns Column OBJECT_TYPE
Column Descriptions Name OBJECT_NAME (PK) LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN OBJECT_TYPE TABLESPACE_NAME INITIAL_EXTENT_SIZE_KB NEXT_EXTENT_SIZE_KB MAX_EXTENTS PCT_INCREASE PCT_FREE DESCRIPTION Indexes Index Name GL_STORAGE_PARAMETERS_U1
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(30) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(30) VARCHAR2(30) NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15)
Description
Table or index name Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Table or index Tablespace name Initial extent size in KBytes Next extent size in KBytes Maximum number of extents Percentage increase of new extent size NULL NUMBER(15) Percentage of free space reserved for future updates NULL VARCHAR2(240) Description
Sequence 1
GL_SUMMARY_INTERIM
GL_SUMMARY_INTERIM is used internally by Oracle General Ledger when creating summary templates that have a rollup group. This table holds the parentchild mappings for the rollup group, thus helping to improve performance when maintaining summary accounts.
Column Descriptions Name SOURCE_FLEX_VALUE TARGET_FLEX_VALUE Indexes Index Name GL_SUMMARY_INT_U1 (PK) (PK)
Sequence 1 2
GL_SUMMARY_TEMPLATES
GL_SUMMARY_TEMPLATES stores the summary account templates you define using the Summary Accounts form. Each row includes the set of books identifier, the start period name, the earliest budget name, the description, and the template contents. STATUS is usually F for Current. When you first add a template, STATUS is A until the Add/Delete Summary Templates program completes and sets STATUS to F. When you delete a template, STATUS is D until the Add/Delete Summary Templates program completes and deletes the row.
Foreign Keys Primary Key Table GL_BUDGET_VERSIONS GL_CODE_COMBINATIONS GL_SETS_OF_BOOKS QuickCodes Columns Column ACCOUNT_CATEGORY_CODE
QuickCodes Type ACCOUNT_CATEGORY_CODE B P PTD_YTD PJTD PTD QTD YTD BOUNDARY_TYPE J P Q Y DR_CR C D FUNDS_CHECK_LEVEL B D N SUMMARY_STATUS A D F
QuickCodes Table GL_LOOKUPS Budgetary Proprietary GL_LOOKUPS PJTD PTD QTD YTD GL_LOOKUPS Project Period Quarter Year GL_LOOKUPS CR DR GL_LOOKUPS Absolute Advisory None GL_LOOKUPS Adding Deleting Current
AMOUNT_TYPE
BOUNDARY_CODE
DR_CR_CODE
FUNDS_CHECK_LEVEL_CODE
STATUS
SET_OF_BOOKS_ID
(Continued) Null? Type NOT NULL VARCHAR2(1) NOT NOT NOT NOT NULL NULL NULL NULL DATE NUMBER(15) VARCHAR2(50) VARCHAR2(240) Description Status column used internally by summarization program Standard Who column Standard Who column Summary template name Summary template concatenated segments Account category Funds checking severity level Key flexfield combination defining column for maximum detail flexfield Start period name Amount type Budgetary control time interval end point Standard Who column Standard Who column Debit or credit Standard Who column Funding budget version defining column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary segment type column Summary template description Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
LAST_UPDATE_DATE LAST_UPDATED_BY TEMPLATE_NAME CONCATENATED_DESCRIPTION ACCOUNT_CATEGORY_CODE FUNDS_CHECK_LEVEL_CODE MAX_CODE_COMBINATION_ID START_ACTUALS_PERIOD_NAME AMOUNT_TYPE BOUNDARY_CODE CREATED_BY CREATION_DATE DR_CR_CODE LAST_UPDATE_LOGIN FUNDING_BUDGET_VERSION_ID SEGMENT1_TYPE SEGMENT2_TYPE SEGMENT3_TYPE SEGMENT4_TYPE SEGMENT5_TYPE SEGMENT6_TYPE SEGMENT7_TYPE SEGMENT8_TYPE SEGMENT9_TYPE SEGMENT10_TYPE SEGMENT11_TYPE SEGMENT12_TYPE SEGMENT13_TYPE SEGMENT14_TYPE SEGMENT15_TYPE SEGMENT16_TYPE SEGMENT17_TYPE SEGMENT18_TYPE SEGMENT19_TYPE SEGMENT20_TYPE SEGMENT21_TYPE SEGMENT22_TYPE SEGMENT23_TYPE SEGMENT24_TYPE SEGMENT25_TYPE SEGMENT26_TYPE SEGMENT27_TYPE SEGMENT28_TYPE SEGMENT29_TYPE SEGMENT30_TYPE DESCRIPTION ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3
NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NULL VARCHAR2(4) NULL VARCHAR2(1) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) DATE VARCHAR2(1) NUMBER(15) NUMBER(15) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(240) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Column Descriptions Name ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 CONTEXT Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive flexfield flexfield flexfield flexfield flexfield flexfield segment segment segment segment segment context
Sequence 1
GL_SUSPENSE_ACCOUNTS
GL_SUSPENSE_ACCOUNTS stores the additional suspense accounts you have specified for each source and category. This is the base table for the Suspense Accounts form in your Oracle General Ledger application. The posting program in your Oracle General Ledger application uses the suspense account you specify in the Suspense Accounts form to balance journal entries where running debits and running credits are not equal.
Foreign Keys Primary Key Table GL_CODE_COMBINATIONS GL_JE_CATEGORIES_TL GL_JE_SOURCES_TL GL_SETS_OF_BOOKS Column Descriptions Name SET_OF_BOOKS_ID (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(25) NOT NULL NUMBER(15) NOT NULL DATE NOT NULL NUMBER(15) NULL DATE NULL NUMBER(15) NULL NUMBER(15) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150) NULL VARCHAR2(150)
Description Accounting books defining column Journal entry source Journal entry category Key flexfield combination defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context
JE_SOURCE_NAME (PK) JE_CATEGORY_NAME (PK) CODE_COMBINATION_ID (PK) LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 CONTEXT Indexes Index Name GL_SUSPENSE_ACCOUNTS_U1
Sequence 1 2 3
GL_SYSTEM_SETUP
GL_SYSTEM_SETUP stores the information that you enter in the Concurrent Program Controls form in your Oracle General Ledger application. This information is used to optimize the performance of certain programs, including Journal Import and MassAllocations.
Foreign Keys Primary Key Table GL_SETS_OF_BOOKS QuickCodes Columns Column ARCHIVE_EASYLINK_FLAG
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(10) NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NULL VARCHAR2(30) NULL DATE NULL NUMBER(15) NULL NUMBER(15)
Description Accounting books defining column Key flexfield indexed segment Maximum number of records to process at a time Number of records to be buffered in memory from the table GL_CODE_COMBINATIONS Journal import archive flag Rollback segment used by programs maintaining large amounts of data Standard Who column Standard Who column Standard Who column
INDEXED_SEGMENT RECORDS_TO_PROCESS FLEX_CACHE_SIZE ARCHIVE_EASYLINK_FLAG ROLLBACK_SEGMENT CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN Indexes Index Name GL_SYSTEM_SETUP_U1
Sequence 1
GL_SYSTEM_USAGES
GL_SYSTEM_USAGES indicates whether a particular feature is being used by any user of the system. Currently, it only keeps track of whether average balances are enabled in any set of books in the system. AVERAGE_BALANCES_FLAG is initially N. It is set to Y when a set of books is created that has average balances enabled.
QuickCodes Columns Column AVERAGE_BALANCES_FLAG
Null? Type NOT NULL VARCHAR2(1) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15)
Description Average balances used in system flag Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column
GL_TAX_OPTIONS
GL_TAX_OPTIONS stores the tax option information defined in the Tax Options form. In a multiorg environment, this table will contain one record for each organization for which tax has been set up. In a nonmultiorg environment, this table will contain one record for each set of books for which tax has been set up. Each record contains the precision and minimum accountable unit to be used when generating tax lines, plus the calculation level, the default input and output tax codes and rounding rules, and other information. There is a onetomany relationship between a row in this table and rows in the GL_TAX_OPTION_ACCOUNTS table.
Foreign Keys Primary Key Table FND_CURRENCIES GL_SETS_OF_BOOKS QuickCodes Columns Column ALLOW_ROUNDING_OVERRIDE_FLAG
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS Down Nearest Up GL_LOOKUPS No Yes GL_LOOKUPS Down Nearest Up
INPUT_AMT_INCL_TAX_FLAG
INPUT_ROUNDING_RULE_CODE
OUTPUT_AMT_INCL_TAX_FLAG
OUTPUT_ROUNDING_RULE_CODE
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL NUMBER(15) NULL NUMBER NOT NULL VARCHAR2(1)
Description Accounting books defining column Organization defining column Currency for tax calculations Precision for tax calculations Minimum accountable unit for tax calculations Level at which the tax amount will be rounded (Line or Journal)
(Continued) Null? Type NOT NULL VARCHAR2(1) Description Determines whether you are allowed to change the rounding rule in the Manual Journal Entry form Default input rounding rule Default output rounding rule Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Default input tax code Default value for determining whether an input amount includes tax Default output tax code Default value for determining whether an output amount includes tax Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
ALLOW_ROUNDING_OVERRIDE_FLAG
INPUT_ROUNDING_RULE_CODE OUTPUT_ROUNDING_RULE_CODE CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN INPUT_TAX_CODE INPUT_AMT_INCL_TAX_FLAG OUTPUT_TAX_CODE OUTPUT_AMT_INCL_TAX_FLAG CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name GL_TAX_OPTIONS_U1
NULL VARCHAR2(50) NULL VARCHAR2(1) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Sequence 1 2
GL_TAX_OPTION_ACCOUNTS
GL_TAX_OPTION_ACCOUNTS stores the tax option information for each natural account value. Each record contains a natural account value, its default tax type (Input or Output), its default tax code, whether by default the amount includes tax, and whether the default tax code can be overridden in the Enter Journals form. There is a onetomany relationship between a row in the GL_TAX_OPTIONS table and rows in this table.
Foreign Keys Primary Key Table GL_SETS_OF_BOOKS QuickCodes Columns Column ALLOW_TAX_CODE_OVERRIDE_FLAG
AMOUNT_INCLUDES_TAX_FLAG
TAX_TYPE_CODE
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1)
Description Accounting books defining column Organization defining column Natural account value Tax type associated with this account Determines whether you are allowed to change the tax code for this account in the Manual Journal Entry form Default amount includes tax flag Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Default tax code associated with this account Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
(PK)
ALLOW_TAX_CODE_OVERRIDE_FLAG
AMOUNT_INCLUDES_TAX_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN TAX_CODE CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4
NOT NULL VARCHAR2(1) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER DATE NUMBER NUMBER VARCHAR2(50) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Column Descriptions Name ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield flexfield segment segment segment segment segment segment segment segment segment segment segment
Sequence 1 2 3 4
GL_TAX_OPTION_ACCOUNTS_U1
GL_TEMPORARY_COMBINATIONS
GL_TEMPORARY_COMBINATIONS is used by the Add/Delete Summary Templates program to temporarily hold the new accounts that it creates. These new accounts are inserted into the GL_CODE_COMBINATIONS table. The Add/Delete Summary Templates program deletes the rows from GL_TEMPORARY_COMBINATIONS that match its request identifier before it completes.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS GL_SUMMARY_TEMPLATES QuickCodes Columns Column ACCOUNT_TYPE
Column Descriptions Name REQUEST_ID LAST_UPDATE_DATE LAST_UPDATED_BY CHART_OF_ACCOUNTS_ID ACCOUNT_TYPE SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19
Null? Type NOT NULL NUMBER(15) NOT NULL DATE NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25)
Description Summarization concurrent request defining column Standard Who column Standard Who column Key flexfield structure defining column Account type lookup (Asset, Liability, etc.) Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment
Column Descriptions Name SEGMENT20 SEGMENT21 SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27 SEGMENT28 SEGMENT29 SEGMENT30 DESCRIPTION TEMPLATE_ID
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(240) Description Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Summary account combination description Summary template defining column No longer used Date on which account becomes enabled Date on which account becomes enabled Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context Key flexfield combination defining column
NULL NUMBER(15) NULL VARCHAR2(1) NULL DATE NULL DATE NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) NUMBER(15)
ALLOCATION_CREATE_FLAG START_DATE_ACTIVE END_DATE_ACTIVE ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 CONTEXT CODE_COMBINATION_ID
Sequence 1 1
GL_TRANSACTION_CALENDAR
GL_TRANSACTION_CALENDAR stores the transaction calendars you define using the Transaction Calendar form. Each row includes the name and description of one particular transaction calendar, as well as flags indicating whether each day of the week should default to a business or a nonbusiness day. There is a onetomany relationship between a row in this table and rows in the GL_TRANSACTION_DATES table.
QuickCodes Columns Column FRI_BUSINESS_DAY_FLAG
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes GL_LOOKUPS No Yes
MON_BUSINESS_DAY_FLAG
SAT_BUSINESS_DAY_FLAG
SUN_BUSINESS_DAY_FLAG
THU_BUSINESS_DAY_FLAG
TUE_BUSINESS_DAY_FLAG
WED_BUSINESS_DAY_FLAG
Column Descriptions Name TRANSACTION_CALENDAR_ID NAME MON_BUSINESS_DAY_FLAG TUE_BUSINESS_DAY_FLAG WED_BUSINESS_DAY_FLAG THU_BUSINESS_DAY_FLAG FRI_BUSINESS_DAY_FLAG (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1)
Description Transaction calendar defining column Name of the transaction calendar Indicates whether or not Monday defaults to a business day Indicates whether or not Tuesday defaults to a business day Indicates whether or not Wednesday defaults to a business day Indicates whether or not Thursday defaults to a business day Indicates whether or not Friday defaults to a business day
(Continued) Null? Type NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(240) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Indicates whether or not Saturday defaults to a business day Indicates whether or not Sunday defaults to a business day Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Transaction calendar description Descriptive flexfield context Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column
SAT_BUSINESS_DAY_FLAG SUN_BUSINESS_DAY_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN DESCRIPTION CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name GL_TRANSACTION_CALENDAR_U1 GL_TRANSACTION_CALENDAR_U2 Sequences Sequence GL_TRANSACTION_CALENDAR_S
Sequence 1 1
GL_TRANSACTION_DATES
GL_TRANSACTION_DATES stores business day information you define using the Transaction Calendar form. Each row includes the date, the day of the week and if that day is a business day or not. There is a onetomany relationship between the transaction calendars in GL_TRANSACTION_CALENDARS and the rows in this table.
Foreign Keys Primary Key Table GL_TRANSACTION_CALENDAR QuickCodes Columns Column BUSINESS_DAY_FLAG
QuickCodes Type YES/NO N Y DAYS_OF_WEEK FRI MON SAT SUN THU TUE WED
QuickCodes Table GL_LOOKUPS No Yes GL_LOOKUPS Friday Monday Saturday Sunday Thursday Tuesday Wednesday
DAY_OF_WEEK
Column Descriptions Name TRANSACTION_CALENDAR_ID TRANSACTION_DATE (PK) DAY_OF_WEEK BUSINESS_DAY_FLAG CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE VARCHAR2(3) VARCHAR2(1) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Transaction calendar defining column Transaction date Day of week Business day flag Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive flexfield context Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column
(Continued) Null? Type Description NULL VARCHAR2(150) Descriptive flexfield column NULL VARCHAR2(150) Descriptive flexfield column
Sequence 1 2
GL_TRANSACTION_DATES_U1
GL_TRANSACTION_RATE_EXCEPTIONS
This table is used to implement the Dual Currency feature. It holds rate exceptions for transactions from different source systems. Each record will be expanded into its corresponding journal details by each products own gather system. The resulting journal details are put in GL_WEIGHTED_AVG_DETAILS table.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS FND_CURRENCIES GL_SETS_OF_BOOKS QuickCodes Columns Column TRANSACTION_TYPE
QuickCodes Type TRANSACTION_TYPE AP_INVOICES AP_PAYMENTS ARRA_ADJ ARRA_CB ARRA_CM ARRA_CMAPP ARRA_DEP ARRA_DM ARRA_GUAR ARRA_INV ARRA_MISC ARRA_TRADE GL_MANUAL_JE YES/NO N Y
QuickCodes Table GL_LOOKUPS AP Invoices AP Payments Adjustment Chargeback Credit Memo Credit Memo Application Deposit Debit Memo Guarantee Invoice Miscellaneous Receipt Trade Receipt Manual Journal Entry GL_LOOKUPS No Yes
UPDATE_ALLOWED_FLAG
Column Descriptions Name TRANSACTION_TYPE (PK) IDENTIFIER1 (PK) IDENTIFIER2 (PK) SET_OF_BOOKS_ID (PK) TO_CURRENCY_CODE (PK) UPDATE_ALLOWED_FLAG TRANSLATION_RATE LAST_UPDATED_BY LAST_UPDATE_DATE CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN SOURCE_TABLE GL_DATE
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(30) NUMBER(15) NUMBER(15) NUMBER(15) VARCHAR2(15) VARCHAR2(1) NUMBER NUMBER(15) DATE DATE NUMBER(15) NUMBER(15) VARCHAR2(30) DATE
Description Type of transaction Source table identifier Source table identifier Accounting books defining column Translation currency Flag to allow/inhibit update Translation exchange rate Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Name of the transaction table Date of the transaction in GL_PERIODS
(Continued) Null? Type NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) NUMBER(15) NUMBER(15) DATE VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Reference column for more information Reference column for more information Reference column for more information Enhanced Who column Enhanced Who column Enhanced Who column Enhanced Who column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column
REQUEST_ID PROGRAM_APPLICATION_ID PROGRAM_ID PROGRAM_UPDATE_DATE ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 CONTEXT
Sequence 1 2 3 1 2 3 4 5
Column Name IDENTIFIER1 IDENTIFIER2 SOURCE_TABLE TRANSACTION_TYPE IDENTIFIER1 IDENTIFIER2 SET_OF_BOOKS_ID TO_CURRENCY_CODE
GL_TRANSLATION_INTERIM
GL_TRANSLATION_INTERIM is used by the Translation program to adjust accounts whose translated amounts in GL_BALANCES are out of date. Your translated amounts in GL_BALANCES can be out of date, for example, if you post new amounts to an account in a period that you have already translated. Another reason your translated amounts can be out of date is if you change your translation rates for an accounting period after you run Translation for that period. The Translation program drops and recreates this table each time it runs.
Foreign Keys Primary Key Table FND_CURRENCIES GL_CODE_COMBINATIONS GL_PERIOD_TYPES GL_SETS_OF_BOOKS GL_SUMMARY_TEMPLATES QuickCodes Columns Column ACCOUNT_TYPE
ACTUAL_FLAG
Column Descriptions Name CODE_COMBINATION_ID PERIOD_NAME SET_OF_BOOKS_ID CURRENCY_CODE PERIOD_YEAR PERIOD_NUM PERIOD_TYPE ACCOUNT_TYPE BAL_SEG_VALUE ACTUAL_FLAG INCREMENTAL_FLAG PERIOD_NET_DR PERIOD_NET_CR QUARTER_TO_DATE_DR
Null? Type NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL NUMBER(15) NOT NULL NULL NULL NULL NULL VARCHAR2(15) NUMBER(15) NUMBER(15) VARCHAR2(15) VARCHAR2(1)
Description Key flexfield combination defining column Accounting period Accounting books defining column Currency Accounting period year Accounting period number Accounting period type Account type lookup (Asset, Liability, etc.) Balancing segment value Balance type lookup (Actual, Budget, or Encumbrance) Incremental amounts flag Period net debit amount Period net credit amount Quartertodate debit amount
NULL VARCHAR2(25) NULL VARCHAR2(1) NULL VARCHAR2(1) NOT NULL NUMBER NOT NULL NUMBER NOT NULL NUMBER
(Continued) Null? Type NOT NULL NUMBER NOT NULL NUMBER NOT NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) NUMBER(15) Description Quartertodate credit amount Projecttodate debit amount Projecttodate credit amount Begin balance debit amount Begin balance credit amount Period net debit amount in base currency Period net credit amount in base currency Begin balance debit amount in base currency Begin balance in credit amount in base currency Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Key flexfield segment Summary template defining column
QUARTER_TO_DATE_CR PROJECT_TO_DATE_DR PROJECT_TO_DATE_CR BEGIN_BALANCE_DR BEGIN_BALANCE_CR PERIOD_NET_DR_BEQ PERIOD_NET_CR_BEQ BEGIN_BALANCE_DR_BEQ BEGIN_BALANCE_CR_BEQ SEGMENT1 SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 SEGMENT6 SEGMENT7 SEGMENT8 SEGMENT9 SEGMENT10 SEGMENT11 SEGMENT12 SEGMENT13 SEGMENT14 SEGMENT15 SEGMENT16 SEGMENT17 SEGMENT18 SEGMENT19 SEGMENT20 SEGMENT21 SEGMENT22 SEGMENT23 SEGMENT24 SEGMENT25 SEGMENT26 SEGMENT27 SEGMENT28 SEGMENT29 SEGMENT30 TEMPLATE_ID
Sequence 1 2 3 4
GL_TRANSLATION_RATES
GL_TRANSLATION_RATES stores your period end and period average exchange rates. This table corresponds to the Period Rates form. Each row stores the target currency, the period name, the period average rate, and the period end rate.
Foreign Keys Primary Key Table FND_CURRENCIES GL_PERIODS GL_SETS_OF_BOOKS QuickCodes Columns Column ACTUAL_FLAG
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(1) NOT NULL NUMBER NOT NULL NUMBER NOT NULL NUMBER NOT NULL NUMBER NOT NULL NUMBER NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER VARCHAR2(1) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Accounting books defining column Accounting period Translation target currency Transaction balance type (Actual or Budget) Accounting period average exchange rate Numerator of the end of period exchange rate Denominator of the end of period exchange rate Numerator of the period average exchange rate Denominator of the period average exchange rate End of period exchange rate Rate out of date flag Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context
PERIOD_NAME (PK) TO_CURRENCY_CODE (PK) ACTUAL_FLAG (PK) AVG_RATE EOP_RATE_NUMERATOR EOP_RATE_DENOMINATOR AVG_RATE_NUMERATOR AVG_RATE_DENOMINATOR EOP_RATE UPDATE_FLAG LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 CONTEXT
Sequence 1 2 3 4
GL_TRANSLATION_STATUSES
GL_TRANSLATION_STATUSES stores information about the status of translation periods. Each row stores the period name, the target currency, the balancing segment value, and a flag to indicate if standard or average balances were translated. The valid values for STATUS are: C the translated balances are current; U the translated balances are not current; and N balances for the target currency have not been translated in this period.
Foreign Keys Primary Key Table FND_CURRENCIES GL_BUDGET_VERSIONS GL_PERIODS GL_SETS_OF_BOOKS QuickCodes Columns Column ACTUAL_FLAG
QuickCodes Table GL_LOOKUPS Actual Budget GL_LOOKUPS No Yes GL_LOOKUPS Current Never Translated Not Current
AVERAGE_TRANSLATION_FLAG
STATUS
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL VARCHAR2(15) VARCHAR2(25) VARCHAR2(15) VARCHAR2(1) VARCHAR2(1) VARCHAR2(1) DATE
Description Accounting books defining column Translation Period Balancing segment value Translation target currency Translate average balances flag Balance type (Actual or Budget) Translation status Date on which translation was last run for this period, set of books, currency, balancing segment value, actual flag, and budget. Standard Who column Standard Who column Standard Who Column Standard Who Column Standard Who Column Target budget version defining column Enhanced Who column
PERIOD_NAME (PK) BAL_SEG_VALUE (PK) TARGET_CURRENCY (PK) AVERAGE_TRANSLATION_FLAG ACTUAL_FLAG STATUS LAST_RUN_DATE
(PK)
NULL NUMBER(15)
(Continued) Null? Type NULL NUMBER(15) NULL NUMBER(15) NULL DATE Description Enhanced Who column Enhanced Who column Enhanced Who column
Sequence 1 2 3 4 5 6
GL_TRANSLATION_TRACKING
GL_TRANSLATION_TRACKING stores information about your foreign currency translation history. Each row stores the range of periods for which translation has been performed for each balancing segment value in each set of books. The EARLIEST_EVER columns store the earliest accounting period that has ever been translated for a given balancing segment value in a given set of books. The EARLIEST_NEVER columns store the earliest accounting period (following the EARLIEST_EVER period) that has never been translated for a given balancing segment value in a given set of books.
Foreign Keys Primary Key Table FND_CURRENCIES GL_BUDGET_VERSIONS GL_SETS_OF_BOOKS QuickCodes Columns Column ACTUAL_FLAG
AVERAGE_TRANSLATION_FLAG
Null? Type NOT NULL NUMBER NOT NULL VARCHAR2(15) NOT NULL VARCHAR2(1) NULL VARCHAR2(25) NOT NULL VARCHAR2(1) NULL NUMBER(15) NOT NULL VARCHAR2(15) NOT NULL NUMBER NOT NULL NUMBER NOT NULL VARCHAR2(15) NOT NULL NUMBER NOT NULL NUMBER NULL VARCHAR2(15)
Description Accounting books defining column Translation target currency Translate average balances flag Balancing segment value Transaction balance type (Actual or Budget) Target budget version defining column Earliest ever translated period name Earliest ever translated period number Earliest ever translated period year Earliest never translated period name Earliest never translated period number Earliest never translated period year Name of earliest period with obsolete translation records.
TARGET_CURRENCY (PK) AVERAGE_TRANSLATION_FLAG BAL_SEG_VALUE (PK) ACTUAL_FLAG (PK) TARGET_BUDGET_VERSION_ID EARLIEST_EVER_PERIOD_NAME EARLIEST_EVER_PERIOD_NUM EARLIEST_EVER_PERIOD_YEAR
(PK)
(Continued) Null? Type NULL NUMBER NOT NULL DATE NOT NULL NUMBER Description Number of earliest period with obsolete translation records. Standard Who column Standard Who column
Sequence 1 2 3 4 5
GL_USSGL_ACCOUNT_PAIRS
GL_USSGL_ACCOUNT_PAIRS has the budgetary account pairs that are automatically debited and credited when you generate a budgetary transaction. Each USSGL transaction code can have multiple pairs, with each pair being debited or credited accordingly.
Foreign Keys Primary Key Table GL_USSGL_TRANSACTION_CODES
Column Descriptions Name CHART_OF_ACCOUNTS_ID (PK) USSGL_TRANSACTION_CODE (PK) DR_ACCOUNT_SEGMENT_VALUE (PK) CR_ACCOUNT_SEGMENT_VALUE LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 CONTEXT (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(30) NOT NULL VARCHAR2(25) NOT NULL VARCHAR2(25) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER DATE NUMBER NUMBER VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Key flexfield defining column Government transaction code Key flexfield account segment value Key flexfield account segment value Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context column
Sequence 1 2 3 4
GL_USSGL_TRANSACTION_CODES
GL_USSGL_TRANSACTION_CODES stores user defined codes that tell Oracle General Ledger how to generate budgetary transactions from proprietary transactions. This allows Oracle General Ledger to support the requirements of the United States Standard General Ledger.
Column Descriptions Name CHART_OF_ACCOUNTS_ID (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL VARCHAR2(30) DATE NUMBER DATE NUMBER NUMBER DATE
Description Key flexfield structure defining column Government transaction code Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Date after which government transaction code is valid Date before which government transaction code is valid Government transaction code description Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context
NULL DATE NULL VARCHAR2(240) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(30) VARCHAR2(30)
ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 CONTEXT ASSOC_INTEREST_USSGL_CODE ASSOC_DISCOUNT_USSGL_CODE Indexes Index Name GL_USSGL_TRANSACTION_CODES_U1
Sequence 1 2
GL_WEIGHTED_AVG_DETAILS
GL_WEIGHTED_AVG_DETAILS table is used to implement the Dual Currency feature. It holds translation rates for journal details from different source systems. The translation rates can be regular exchange rates or rate exceptions users enter manually for specific journal details. The rates entered are used to calculate weighted average translation for each distinct account.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS FND_CURRENCIES GL_CODE_COMBINATIONS GL_SETS_OF_BOOKS QuickCodes Columns Column EXCEPTION_FLAG
QuickCodes Type RATE SOURCE N Y TRANSACTION_TYPE AP_INVOICES AP_PAYMENTS ARRA_ADJ ARRA_CB ARRA_CM ARRA_CMAPP ARRA_DEP ARRA_DM ARRA_GUAR ARRA_INV ARRA_MISC ARRA_TRADE GL_MANUAL_JE
QuickCodes Table GL_LOOKUPS Automatic Manual GL_LOOKUPS AP Invoices AP Payments Adjustment Chargeback Credit Memo Credit Memo Application Deposit Debit Memo Guarantee Invoice Miscellaneous Receipt Trade Receipt Manual Journal Entry
TRANSACTION_TYPE
Column Descriptions Name TRANSACTION_TYPE (PK) TRANSACTION_DETAIL_TYPE IDENTIFIER1 (PK) IDENTIFIER2 (PK) SET_OF_BOOKS_ID (PK) TO_CURRENCY_CODE (PK) PERIOD_NAME EXCEPTION_FLAG AMOUNTS_FILLED_FLAG LAST_UPDATED_BY LAST_UPDATE_DATE CREATION_DATE CREATED_BY (PK)
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(30) VARCHAR2(30) NUMBER(15) NUMBER(15) NUMBER(15) VARCHAR2(15) VARCHAR2(15) VARCHAR2(1) VARCHAR2(1) NUMBER(15) DATE DATE NUMBER(15)
Description Type of transaction Details of transaction lines Source table identifier Source table identifier Accounting books defining column Translation currency Accounting period Exception flag Flag to indicate amounts filled Standard Who column Standard Who column Standard Who column Standard Who column
(Continued) Null? Type NULL NUMBER(15) NULL VARCHAR2(30) NULL NUMBER(15) NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) NUMBER(15) NUMBER(15) DATE VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Standard Who column Name of transaction table Key flexfield combination defining column Debit amount in base currency Credit amount in base currency Debit amount in translated currency Credit amount in translated currency Translation exchange rate Translation amount to use when no rate is provided Enhanced Who column Enhanced Who column Enhanced Who column Enhanced Who column Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield context
LAST_UPDATE_LOGIN SOURCE_TABLE CODE_COMBINATION_ID ACCOUNTED_DR ACCOUNTED_CR TRANSLATED_DR TRANSLATED_CR TRANSLATION_RATE TRANSLATION_AMOUNT REQUEST_ID PROGRAM_APPLICATION_ID PROGRAM_ID PROGRAM_UPDATE_DATE ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 CONTEXT Indexes Index Name GL_WEIGHTED_AVG_DETAILS_N1 GL_WEIGHTED_AVG_DETAILS_U1
Sequence 1 2 3 1 2 3 4 5 6
Column Name IDENTIFIER1 IDENTIFIER2 SOURCE_TABLE TRANSACTION_TYPE TRANSACTION_DETAIL_TYPE IDENTIFIER1 IDENTIFIER2 SET_OF_BOOKS_ID TO_CURRENCY_CODE
PA_ALLOC_RULES_ALL
PA_ALLOC_RULES_ALL stores the information related to an allocation rule.
Foreign Keys Primary Key Table PA_EXPENDITURE_TYPES PA_EXPENDITURE_TYPES PA_PROJECTS_ALL PA_RESOURCE_LISTS_ALL_BG PA_RESOURCE_LISTS_ALL_BG PA_SYSTEM_LINKAGES PA_SYSTEM_LINKAGES PA_TASKS QuickCodes Columns Column ALLOCATION_METHOD
Primary Key Column EXPENDITURE_TYPE EXPENDITURE_TYPE PROJECT_ID RESOURCE_LIST_ID RESOURCE_LIST_ID FUNCTION FUNCTION TASK_ID
Foreign Key Column TARGET_EXP_TYPE OFFSET_EXP_TYPE OFFSET_PROJECT_ID ALLOC_RESOURCE_LIST_ID BASIS_RESOURCE_LIST_ID OFFSET_EXP_TYPE_CLASS TARGET_EXP_TYPE_CLASS OFFSET_TASK_ID
QuickCodes Type ALLOC_ALLOCATION_METHOD F I ALLOC_AMOUNT_TYPE FYTD ITD PTD QTD ALLOCT_BALANCE_CATEGORY A B ALLOC_ACTUAL_BASIS_BAL_TYPE TOT_BILLABLE_BURDENED_COST TOT_BILLABLE_RAW_COST TOT_BURDENED_COST TOT_LABOR_HOURS TOT_QUANTITY TOT_RAW_COST
QuickCodes Table PA_LOOKUPS Full Allocation Incremental Allocation PA_LOOKUPS FYTD ITD PTD QTD PA_LOOKUPS Actuals Budgets PA_LOOKUPS Total Billable/Capitalizable Burdened Cost Total Billable/Capitalizable Raw Cost Total Burdened Cost Total Labor Hours Total Quantity Total Raw Cost PA_LOOKUPS Use Client Extension Basis Target % and Prorate Target % and Spread Evenly Prorate Spread Evenly PA_LOOKUPS Business group Legal entity Operating unit PA_LOOKUPS Burdened Cost Raw Cost PA_LOOKUPS
BASIS_AMOUNT_TYPE
BASIS_BALANCE_CATEGORY
BASIS_BALANCE_TYPE
BASIS_METHOD
LIMIT_TARGET_PROJECTS_CODE
OFFSET_COST_TYPE
SOURCE_AMOUNT_TYPE
(Continued) QuickCodes Type FYTD ITD PTD QTD QuickCodes Table FYTD ITD PTD QTD PA_LOOKUPS Total Billable/Capitalizable Burdened Cost Total Billable/Capitalizable Raw Cost Total Burdened Cost Total Raw Cost PA_LOOKUPS Burdened Cost Raw Cost
SOURCE_BALANCE_TYPE
TARGET_COST_TYPE
ALLOC_COST_TYPE B R
Description
RULE_NAME ALLOCATION_METHOD TARGET_EXP_TYPE_CLASS TARGET_EXP_ORG_ID TARGET_EXP_TYPE TARGET_COST_TYPE CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN DESCRIPTION POOL_PERCENT PERIOD_TYPE SOURCE_AMOUNT_TYPE
SOURCE_BALANCE_CATEGORY SOURCE_BALANCE_TYPE
ALLOC_RESOURCE_LIST_ID
Allocation rule identification number NOT NULL VARCHAR2(60) Allocation rule name NOT NULL VARCHAR2(1) Allocation method It can be F (full allocation) or I (incremental allocation) NOT NULL VARCHAR2(30) Expenditure type class of allocation transactions NOT NULL NUMBER Expenditure organization of allocation transactions NOT NULL VARCHAR2(30) Expenditure type of allocation transactions NOT NULL VARCHAR2(1) Cost type of allocation transactions It can be R(raw) or B (burdened) NOT NULL DATE Standard Who Column NOT NULL NUMBER(15) Standard Who Column NOT NULL DATE Standard Who Column NOT NULL NUMBER(15) Standard Who Column NULL NUMBER(15) Standard Who Column NULL VARCHAR2(240) Allocation rule description NULL NUMBER Allocation percentage specified at rule level NULL VARCHAR2(2) Period type of GL (General Ledger) or PA (Oracle Projects) NULL VARCHAR2(4) If the period type is PA, source_amount_type can be ITD or PTD If the period type is GL, source _amount_type can be FYTD, QTD, or PTD NULL VARCHAR2(1) Source balance category A (Actuals) is only supported NULL VARCHAR2(30) Source balance type If the source category is actual, then actual balance type can be TOT_RAW_COST, TOT_BURDENED_COST, TOT_BILLABLE_RAW_COST or TOT_BILLABLE_BURDENED_COST NOT NULL NUMBER Resource List Identifier
(Continued) Null? Type NULL VARCHAR2(1) Description The flag indicates whether to create expenditure items automatically Y means release automatically Default to N Not currently used The flag indicates whether to allow duplicate target projects and tasksY means to allow duplicate target projects and tasks Expenditure type class of offset transactions Expenditure organization id of offset transactions Expenditure type of offset transactions Cost type of offset transactions It can be B (burdened) or R (raw) Offset method It can be N (none), A (source project and task), B (source project, use client extension for task), C (specific project and task) or D(use client extension for project and task) Offset project id Offset task id Basis method It can be S(spread evenly),P(prorate),C(use client extension basis),FS(target% and spread evenly) or FP(target% and prorate) Relative basis period If the period type is PA, source_amount_type can be ITD or PTD If the period type is GL, source_amount_type can be FYTD, QTD, or PTD Basis balance category It can be A (actuals) or B (budgets) Basis budget type code Basis budget entry method code Not in use Basis balance type If basis category is actual, then actual balance type can be TOT_RAW_COST, TOT_BURDENED_COST, TOT_BILLABLE_RAW_COST, TOT_BILLABLE_BURDENED_COST, TOT_QUANTITY or TOT_LABOR_HOURS If the basis category is budget, then budget balance type c Basis resource list identifier The flag indicates whether source extension exists Y means exist The flag indicates whether target client extension exists Y means exist Fixed source amount
AUTO_RELEASE_FLAG
IMP_WITH_EXCEPTION DUP_TARGETS_FLAG
NOT NULL VARCHAR2(30) NULL NUMBER NOT NULL VARCHAR2(30) NULL VARCHAR2(1) NULL VARCHAR2(1)
BASIS_RELATIVE_PERIOD BASIS_AMOUNT_TYPE
(Continued) Null? Type NULL DATE NULL DATE NULL NUMBER NULL VARCHAR2(30) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NOT NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(1) Description The date when the rule becomes effective The date when the rule becomes ineffective Operating unit identifier for multi_organization installations Descriptive flexfield context field Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Descriptive flexfield column Business organization level code that limits the selection of target projects
START_DATE_ACTIVE END_DATE_ACTIVE ORG_ID ATTRIBUTE_CATEGORY ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 LIMIT_TARGET_PROJECTS_CODE
Sequence 1 1
PA_ALLOC_RUNS_ALL
PA_ALLOC_RUNS_ALL stores all the information for an allocation run
Foreign Keys Primary Key Table PA_ALLOC_RULES_ALL PA_PERIODS_ALL QuickCodes Columns Column ALLOCATION_METHOD
QuickCodes Type ALLOC_ALLOCATION_METHOD F I ALLOC_AMOUNT_TYPE FYTD ITD PTD QTD ALLOCT_BALANCE_CATEGORY A B ALLOC_ACTUAL_BASIS_BAL_TYPE TOT_BILLABLE_BURDENED_COST TOT_BILLABLE_RAW_COST TOT_BURDENED_COST TOT_LABOR_HOURS TOT_QUANTITY TOT_RAW_COST
QuickCodes Table PA_LOOKUPS Full Allocation Incremental Allocation PA_LOOKUPS FYTD ITD PTD QTD PA_LOOKUPS Actuals Budgets PA_LOOKUPS Total Billable/Capitalizable Burdened Cost Total Billable/Capitalizable Raw Cost Total Burdened Cost Total Labor Hours Total Quantity Total Raw Cost PA_LOOKUPS Use Client Extension Basis Target % and Prorate Target % and Spread Evenly Prorate Spread Evenly PA_LOOKUPS Business group Legal entity Operating unit PA_LOOKUPS Burdened Cost Raw Cost PA_LOOKUPS Draft Failure Draft Success In Process Release Failure Release Success Reversed PA_LOOKUPS
BASIS_AMOUNT_TYPE
BASIS_BALANCE_CATEGORY
BASIS_BALANCE_TYPE
BASIS_METHOD
LIMIT_TARGET_PROJECTS_CODE
OFFSET_COST_TYPE
RUN_STATUS
SOURCE_AMOUNT_TYPE
(Continued) QuickCodes Type FYTD ITD PTD QTD QuickCodes Table FYTD ITD PTD QTD PA_LOOKUPS Total Billable/Capitalizable Burdened Cost Total Billable/Capitalizable Raw Cost Total Burdened Cost Total Raw Cost PA_LOOKUPS Burdened Cost Raw Cost
SOURCE_BALANCE_TYPE
TARGET_COST_TYPE
ALLOC_COST_TYPE B R
Column Descriptions Name RUN_ID RULE_ID RUN_PERIOD EXPND_ITEM_DATE DENOM_CURRENCY_CODE CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN FIXED_AMOUNT POOL_PERCENT PERIOD_TYPE SOURCE_AMOUNT_TYPE
Null? Type NOT NULL NUMBER NOT NULL NUMBER NOT NULL VARCHAR2(15) NOT NULL DATE NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(15) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER NUMBER
Description Allocation run identification number Allocation rule identification number Run period name Expenditure item date for an allocation run Denomination currency code Standard Who Column Standard Who Column Standard Who Column Standard Who Column Standard Who Column Fixed amount Allocation percentage specified at rule level Period type of GL (General Ledger) or PA (Oracle Projects) If the period type is PA , source_amount_type can be ITD or PTD. If the period type is GL, source_amount_type can be FYTD, QTD, or PTD Source balance category. It can only be A(actuals) Source balance type. If the source category is actual , then actual balance type can be TOT_RAW_COST, TOT_BURDENED_COST, TOT_BILLABLE_RAW_COST or TOT_BILLABLE_BURDENED_COST Resource list member id The flag indicates whether to create expenditure items automatically. Y means release automatically Allocation method. It can be F(full) or I(incremental) Default to N. Not currently used
SOURCE_BALANCE_CATEGORY SOURCE_BALANCE_TYPE
ALLOC_RESOURCE_LIST_ID AUTO_RELEASE_FLAG
ALLOCATION_METHOD IMP_WITH_EXCEPTION
(Continued) Null? Type NULL VARCHAR2(1) Description The flag indicates whether to allow duplicate target projects and tasks.Y means to allow duplicate target projects and tasks Expenditure type class of allocation transactions Expenditure organization of allocation transactions Expenditure type of allocation transactions Cost type of allocation transactions. It can be R (raw) or B (burdened) Expenditure type class of offset transactions Expenditure organization id of offset transactions Expenditure type of offset transactions Cost type of offset transactions. It can be B (burdened) or R (raw) Offset method. It can be N (none) , A (source project and task), B (source project, use client extension for task), C (specific project and task) or D(use client extension for project and task) Offset project id Offset task id Allocation run status. It can be DF (draft failure) , DS (draft success), RF (release failure), RV (run reverse) or RS (release success) Basis method. It can be S(spread evenly) ,P(prorated),C(client extension),FS(fixed and spread evenly) or FP(fixed and prorated) Relative basis period If the period type is PA , source_amount_type can be ITD or PTD. If the period type is GL, source_amount_type can be FYTD, QTD, or PTD Basis balance category. It can be A (actuals) or B (budgets) Basis budget type code Basis budget entry method code
NULL VARCHAR2(30) NULL NUMBER NULL VARCHAR2(30) NULL VARCHAR2(1) NULL VARCHAR2(30) NULL NUMBER NULL VARCHAR2(30) NULL VARCHAR2(1) NULL VARCHAR2(1)
BASIS_METHOD
NULL VARCHAR2(2)
BASIS_RELATIVE_PERIOD BASIS_AMOUNT_TYPE
(Continued) Null? Type NULL VARCHAR2(30) Description Basis balance type. If basis category is actual , then actual balance type can be TOT_RAW_COST, TOT_BURDENED_COST, TOT_BILLABLE_RAW_COST, TOT_BILLABLE_BURDENED_COST, TOT_QUANTITY or TOT_LABOR_HOURS. If the basis category is budget, then budget balance type can be BASE_RAW_COST, BASE_BURDENED_COST, BASE_QUANTITY or BASE_LABOR_QUANTITY Basis resource list member id Fiscal year of the run period Quarter number of the run period Period number Target expenditure group name Reversal target expenditure group name Offset expenditure group name Reversal offset expenditure group type Total source pool amount Allocated amount Total allocated amount Total offsetted amount Missing source project amount Missing target project amount Missing offset project amount Reversal date if the run is reversed Request id for the draft allocation run Creation date of request for a draft allocation Request id for the release allocation run Creation date of request for a release allocation Operating unit identifier for multi_organization installations Buiseness organization level code that limits the selection of target projects.
BASIS_BALANCE_TYPE
BASIS_RESOURCE_LIST_ID FISCAL_YEAR QUARTER PERIOD_NUM TARGET_EXP_GROUP REV_TARGET_EXP_GROUP OFFSET_EXP_GROUP REV_OFFSET_EXP_GROUP TOTAL_POOL_AMOUNT ALLOCATED_AMOUNT TOTAL_ALLOCATED_AMOUNT TOTAL_OFFSETTED_AMOUNT MISSING_SOURCE_PROJ_AMT MISSING_TARGET_PROJ_AMT MISSING_OFFSET_PROJ_AMT REVERSAL_DATE DRAFT_REQUEST_ID DRAFT_REQUEST_DATE RELEASE_REQUEST_ID RELEASE_REQUEST_DATE ORG_ID LIMIT_TARGET_PROJECTS_CODE
NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL VARCHAR2(50) NULL VARCHAR2(50) NULL VARCHAR2(50) NULL VARCHAR2(50) NULL NULL NULL NULL NULL NULL NULL NULL NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER NUMBER DATE
NULL NUMBER(15) NULL DATE NULL NUMBER(15) NULL DATE NULL NUMBER(15) NOT NULL VARCHAR2(1)
Sequence 1 1 2 3 4 1
PA_ALLOC_RUNS_U1
UNIQUE
PO_DISTRIBUTIONS_ALL
PO_DISTRIBUTIONS_ALL contains accounting distribution information for a purchase order shipment line. You need one row for each distribution line you attach to a purchase order shipment. There are four types of documents using distributions in Oracle Purchasing: Standard Purchase Orders Planned Purchase Orders Planned Purchase Order Releases Blanket Purchase Order Releases Each row includes the destination type, requestor ID, quantity ordered and deliverto location for the distribution. Oracle Purchasing uses this information to record accounting and requisition information for purchase orders and releases. PO_DISTRIBUTIONS_ALL is one of five tables storing purchase order and release information. Some columns in PO_DISTRIBUTIONS_ALL contain information only if certain conditions exist: If you autocreate this accounting distribution from a requisition, REQ_DISTRIBUTION_ID corresponds to the ID of the requisition distribution you copy on the purchase order. If you use a foreign currency on your purchase order, Oracle Purchasing stores currency conversion information in RATE and RATE_DATE. If you use encumbrance, GL_ENCUMBERED_DATE and GL_ENCUMBERED_PERIOD_NAME contain encumbrance information Oracle Purchasing uses to create journal entries in Oracle General Ledger. If you do not autocreate the purchase order from online requisitions, REQ_LINE_REFERENCE_NUM and REQ_HEADER_REFERENCE_NUM contain the requisition number and requisition line number of the corresponding paper requisition. These two columns are not foreign keys to another table. If the distribution corresponds to a blanket purchase order release, PO_RELEASE_ID identifies this release. If SOURCE_DISTRIBUTION_ID has a value, the distribution is part of a planned purchase order release.
If you cancel the distribution, Oracle Purchasing automatically updates QUANTITY_CANCELLED or GL_CANCELLED_DATE. Oracle Purchasing also enters UNENCUMBERED_AMOUNT if you use encumbrance. You enter distribution information in the Distributions window, accessible through the Purchase Orders and Releases windows.
Foreign Keys Primary Key Table BOM_RESOURCES GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_CODE_COMBINATIONS GL_DAILY_CONVERSION_RATES_R10 GL_SETS_OF_BOOKS GL_USSGL_TRANSACTION_CODES MTL_SECONDARY_INVENTORIES PA_TASKS PO_DISTRIBUTIONS_ALL PO_HEADERS_ALL PO_LINES_ALL PO_LINE_LOCATIONS_ALL PO_RELEASES_ALL PO_REQ_DISTRIBUTIONS_ALL WIP_ENTITIES WIP_LINES WIP_OPERATIONS
Primary Key Column RESOURCE_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CODE_COMBINATION_ID CONVERSION_RATE SET_OF_BOOKS_ID USSGL_TRANSACTION_CODE SECONDARY_INVENTORY_NAME ORGANIZATION_ID TASK_ID PO_DISTRIBUTION_ID PO_HEADER_ID PO_LINE_ID LINE_LOCATION_ID PO_RELEASE_ID DISTRIBUTION_ID WIP_ENTITY_ID ORGANIZATION_ID LINE_ID ORGANIZATION_ID WIP_ENTITY_ID ORGANIZATION_ID OPERATION_SEQ_NUM REPETITIVE_SCHEDULE_ID WIP_ENTITY_ID ORGANIZATION_ID OPERATION_SEQ_NUM RESOURCE_SEQ_NUM REPETITIVE_SCHEDULE_ID
Foreign Key Column BOM_RESOURCE_ID CODE_COMBINATION_ID BUDGET_ACCOUNT_ID ACCRUAL_ACCOUNT_ID VARIANCE_ACCOUNT_ID RATE SET_OF_BOOKS_ID USSGL_TRANSACTION_CODE DESTINATION_SUBINVENTORY DESTINATION_ORGANIZATION_ID TASK_ID SOURCE_DISTRIBUTION_ID PO_HEADER_ID PO_LINE_ID LINE_LOCATION_ID PO_RELEASE_ID REQ_DISTRIBUTION_ID WIP_ENTITY_ID DESTINATION_ORGANIZATION_ID WIP_LINE_ID DESTINATION_ORGANIZATION_ID WIP_ENTITY_ID DESTINATION_ORGANIZATION_ID WIP_OPERATION_SEQ_NUM WIP_REPETITIVE_SCHEDULE_ID WIP_ENTITY_ID DESTINATION_ORGANIZATION_ID WIP_OPERATION_SEQ_NUM WIP_RESOURCE_SEQ_NUM WIP_REPETITIVE_SCHEDULE_ID
WIP_OPERATION_RESOURCES
QuickCodes Table PO_LOOKUP_CODES Goods are expensed from the system upon delivery Goods are received into inventory upon delivery Goods are received into an outside operation upon delivery
(Continued) Null? Type NOT NULL DATE NOT NULL NUMBER NOT NULL NUMBER NOT NULL NUMBER NOT NULL NUMBER NOT NULL NUMBER NOT NULL NUMBER NOT NULL NUMBER NULL NULL NULL NULL NULL NUMBER DATE NUMBER NUMBER NUMBER Description Standard Who column Standard Who column Document header unique identifier Document line unique identifier Document shipment schedule unique identifier Set of Books unique identifier Unique identifier for the General Ledger charge account Quantity ordered on the distribution Standard Who column Standard Who column Standard Who column Release unique identifier Quantity delivered against the distribution Quantity invoiced by Oracle Payables against the distribution Quantity cancelled for the distribution Requisition number of the requisition line placed on this distribution Line number of the requisition line placed on the distribution Requisition distribution unique identifier Unique identifier for the delivery location Unique identifier for the requestor Currency conversion date Currency conversion rate Amount invoiced by Oracle Payables against the distribution Indicates whether the distribution was accrued Distribution encumbered flag Encumbered amount for distribution Quantity unencumbered on the distribution Amount unencumbered on the distribution Type of budgetary control approval failure Date the distribution was encumbered Period in which the distribution was encumbered Date the distribution was cancelled Final destination of the purchased items Final destination organization unique identifier
SET_OF_BOOKS_ID CODE_COMBINATION_ID QUANTITY_ORDERED LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY PO_RELEASE_ID QUANTITY_DELIVERED QUANTITY_BILLED QUANTITY_CANCELLED REQ_HEADER_REFERENCE_NUM REQ_LINE_REFERENCE_NUM REQ_DISTRIBUTION_ID DELIVER_TO_LOCATION_ID DELIVER_TO_PERSON_ID RATE_DATE RATE AMOUNT_BILLED ACCRUED_FLAG ENCUMBERED_FLAG ENCUMBERED_AMOUNT UNENCUMBERED_QUANTITY UNENCUMBERED_AMOUNT FAILED_FUNDS_LOOKUP_CODE GL_ENCUMBERED_DATE GL_ENCUMBERED_PERIOD_NAME GL_CANCELLED_DATE DESTINATION_TYPE_CODE DESTINATION_ORGANIZATION_ID
NULL NUMBER NULL NUMBER NULL VARCHAR2(25) NULL VARCHAR2(25) NULL NUMBER NULL NUMBER NULL NUMBER(9) NULL DATE NULL NUMBER NULL NUMBER NULL VARCHAR2(1) NULL VARCHAR2(1) NULL NUMBER NULL NUMBER NULL NUMBER NULL VARCHAR2(25) NULL DATE NULL VARCHAR2(15) NULL DATE NULL VARCHAR2(25) NULL NUMBER
(Continued) Null? Type NULL VARCHAR2(10) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) NUMBER Description Subinventory unique identifier for inventory purchases Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment WIP job or repetitive assembly identifier WIP operation sequence number within a routing WIP resource sequence number WIP repetitive schedule identifier WIP line identifier BOM resource unique identifier Unique identifier for the General Ledger budget account Unique identifier for the General Ledger accrual account Unique identifier for the General Ledger variance account Indicates whether distribution should be encumbered United States standard general ledger transaction code USSGL descriptive flexfield context column Protected descriptive flexfield context column for destination details Distribution number Unique identifier of the planned purchase order distribution that was referenced when creating this scheduled release distribution Standard Who column Standard Who column Standard Who column Standard Who column Project accounting project unique identifier Project accounting task unique identifier Project accounting expenditure type
DESTINATION_SUBINVENTORY ATTRIBUTE_CATEGORY ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 WIP_ENTITY_ID WIP_OPERATION_SEQ_NUM WIP_RESOURCE_SEQ_NUM WIP_REPETITIVE_SCHEDULE_ID WIP_LINE_ID BOM_RESOURCE_ID BUDGET_ACCOUNT_ID ACCRUAL_ACCOUNT_ID VARIANCE_ACCOUNT_ID PREVENT_ENCUMBRANCE_FLAG USSGL_TRANSACTION_CODE GOVERNMENT_CONTEXT DESTINATION_CONTEXT DISTRIBUTION_NUM SOURCE_DISTRIBUTION_ID
NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL NUMBER NULL VARCHAR2(1) NULL VARCHAR2(30) NULL VARCHAR2(30) NULL VARCHAR2(30) NOT NULL NUMBER NULL NUMBER
(Continued) Null? Type NULL VARCHAR2(30) NULL NULL NULL NULL NULL NULL NULL NULL Description Project accounting descriptive flexfield context column NUMBER Project accounting expenditure organization unique identifier DATE Date the distribution was finalclosed VARCHAR2(1) Indicates whether items are accrued upon receipt DATE Project accounting expenditure item date NUMBER Operating unit unique identifier NUMBER Primary key for the kanban card NUMBER(15) Award identifier VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting Set of Books ID and currency conversion date pairs VARCHAR2(2000) Multiple Reporting Currencies only: Concatenatedstring of reporting Set of Books ID and currency conversion rate pairs VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting Set of Books Id and encumbered amount for distribution pairs VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting Set of Books ID and amount unencumbered on the distribution pairs VARCHAR2(30) Project Manufacturing end item unit number VARCHAR2(1) Indicator of whether tax recovery should be used NUMBER Recoverable tax amount NUMBER Nonrecoverable tax amount NUMBER Percentage of tax that can be recovered
MRC_RATE
NULL
MRC_ENCUMBERED_AMOUNT
NULL
MRC_UNENCUMBERED_AMOUNT
NULL
Indexes Index Name PO_DISTRIBUTIONS_N1 PO_DISTRIBUTIONS_N10 PO_DISTRIBUTIONS_N11 PO_DISTRIBUTIONS_N12 PO_DISTRIBUTIONS_N2 PO_DISTRIBUTIONS_N3 PO_DISTRIBUTIONS_N4 PO_DISTRIBUTIONS_N5 PO_DISTRIBUTIONS_N6 PO_DISTRIBUTIONS_N7 PO_DISTRIBUTIONS_N8
Index Type NOT NOT NOT NOT NOT NOT NOT NOT UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE
Sequence 1 1 1 2 1 1 1 1 2 1 1 1 2 3 4 5
Column Name LINE_LOCATION_ID BUDGET_ACCOUNT_ID PO_RELEASE_ID SOURCE_DISTRIBUTION_ID REQ_DISTRIBUTION_ID PO_HEADER_ID PO_LINE_ID REQ_HEADER_REFERENCE_NUM REQ_LINE_REFERENCE_NUM DELIVER_TO_PERSON_ID GL_ENCUMBERED_DATE WIP_ENTITY_ID WIP_OPERATION_SEQ_NUM WIP_RESOURCE_SEQ_NUM DESTINATION_ORGANIZATION_ID WIP_REPETITIVE_SCHEDULE_ID
Sequence 1 2 1
Database Triggers Trigger Trigger Trigger Trigger Name Time Level Event : : : : PO_MRC_DISTRIBUTIONS_BIUD BEFORE ROW INSERT, UPDATE, DELETE
This MRC trigger only exists when you install the Multiple Reporting Currencies feature. It is executed when you perform an insert, update, or delete statement on the table PO_DISTRIBUTIONS_ALL. For each record being inserted/updated/deleted in PO_DISTRIBUTIONS_ALL, this trigger inserts/updates/deletes corresponding reporting currency records in the MRC subtable, PO_MC_DISTRIBUTIONS. In addition, this trigger also populates the MRC VARCHAR2 columns in PO_DISTRIBUTIONS_ALL.
PO_HEADERS_ALL
PO_HEADERS_ALL contains header information for your purchasing documents. You need one row for each document you create. There are six types of documents that use PO_HEADERS_ALL: RFQs Quotations Standard purchase orders Planned purchase orders Blanket purchase orders Contracts Each row contains buyer information, supplier information, brief notes, foreign currency information, terms and conditions information, and the status of the document. Oracle Purchasing uses this information to record information that is related to a complete document. PO_HEADER_ID is the unique systemgenerated primary key and is invisible to the user. SEGMENT1 is the systemassigned number you use to identify the document in forms and reports. Oracle Purchasing generates SEGMENT1 using the PO_UNIQUE_IDENTIFIER_CONT_ALL table if you choose to let Oracle Purchasing generate document numbers for you. SEGMENT1 is not unique for the entire table. Different document types can share the same numbers. You can uniquely identify a row in PO_HEADERS_ALL using SEGMENT1 and TYPE_LOOKUP_CODE or using PO_HEADER_ID. If APPROVED_FLAG is Y, the purchase order is approved. If your document type is a blanket purchase order, contract purchase order, RFQ, or quotation, Oracle Purchasing uses START_DATE and END_DATE to store the valid date range for the document. Oracle Purchasing only uses BLANKET_TOTAL_AMOUNT for blanket purchase orders or contract purchase orders. If you autocreate a quotation from an RFQ using the Copy Document window, Oracle Purchasing stores the foreign key to your original RFQ in FROM_HEADER_ID. Oracle Purchasing also uses FROM_TYPE_LOOKUP_CODE to indicate that you copied the quotation from an RFQ. Oracle Purchasing does not use SUMMARY_FLAG and
Oracle Proprietary, Confidential InformationUse Restricted by Contract
3 400 Oracle General Ledger Applications Technical Reference Manual
ENABLED_FLAG. Because future versions of Oracle Purchasing will use them, SUMMARY_FLAG and ENABLED_FLAG should always be N and Y respectively. You enter document header information in the Header region of the Purchase Orders, RFQs, and Quotations windows.
Foreign Keys Primary Key Table AP_TERMS_TL FND_CURRENCIES GL_DAILY_CONVERSION_TYPES GL_USSGL_TRANSACTION_CODES HR_LOCATIONS_ALL HR_LOCATIONS_ALL MTL_UNITS_OF_MEASURE_TL ORG_FREIGHT_TL PO_AGENTS PO_DOCUMENT_TYPES_ALL_B PO_DOCUMENT_TYPES_ALL_B PO_DOCUMENT_TYPES_ALL_B PO_HEADERS_ALL PO_VENDORS PO_VENDOR_CONTACTS PO_VENDOR_SITES_ALL QuickCodes Columns Column AUTHORIZATION_STATUS
Primary Key Column TERM_ID CURRENCY_CODE CONVERSION_TYPE USSGL_TRANSACTION_CODE LOCATION_ID LOCATION_ID UNIT_OF_MEASURE FREIGHT_CODE AGENT_ID DOCUMENT_SUBTYPE DOCUMENT_SUBTYPE DOCUMENT_SUBTYPE PO_HEADER_ID VENDOR_ID VENDOR_CONTACT_ID VENDOR_SITE_ID
Foreign Key Column TERMS_ID CURRENCY_CODE RATE_TYPE USSGL_TRANSACTION_CODE SHIP_TO_LOCATION_ID BILL_TO_LOCATION_ID QUOTE_WARNING_DELAY_UNIT SHIP_VIA_LOOKUP_CODE AGENT_ID TYPE_LOOKUP_CODE QUOTE_TYPE_LOOKUP_CODE FROM_TYPE_LOOKUP_CODE FROM_HEADER_ID VENDOR_ID VENDOR_CONTACT_ID VENDOR_SITE_ID
QuickCodes Type AUTHORIZATION STATUS APPROVED CANCELLED IN PROCESS INCOMPLETE PREAPPROVED REJECTED REQUIRES REAPPROVAL RETURNED
QuickCodes Table PO_LOOKUP_CODES Document has been Approved Document has been Cancelled Document is still undergoing Approval Document is not yet Complete Document is Approved but not yet Accepted Document as been Rejected Requires Reapproval Document has been Returned PO_LOOKUP_CODES The Document has been Approved The Document is Awaiting Printing The Document has been Cancelled The Document is Closed Closed For Invoice Closed For Receiving Finally Closed The Document is Frozen The Document is still undergoing Approval processing
CLOSED_CODE
DOCUMENT STATE APPROVED AWAITING PRINTING CANCELLED CLOSED CLOSED FOR INVOICE CLOSED FOR RECEIVING FINALLY CLOSED FROZEN IN PROCESS
(Continued) QuickCodes Type INCOMPLETE NOT ON HOLD NOT RESERVED ON HOLD OPEN PREAPPROVED PRINTED REJECTED REQUIRES REAPPROVAL RESERVED RETURNED UNFROZEN QuickCodes Table The Document is not yet complete The document is Not On Hold The document is Not Reserved The Document is On Hold The Document is Open The Document is Approved but not yet Accepted The Document has been Printed The Document has been Rejected The Document has been changed since it was Approved Funds have been Reserved for the Document The Document has been Returned by a Buyer The Document is Not Frozen AR_LOOKUPS PO_LOOKUP_CODES Bid Quotation Catalog Quotation PO_LOOKUP_CODES Active Closed In Process Printed
FOB_LOOKUP_CODE QUOTATION_CLASS_CODE
STATUS_LOOKUP_CODE
Null? Type NOT NULL NUMBER NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(9) VARCHAR2(25) DATE NUMBER VARCHAR2(20) VARCHAR2(1) VARCHAR2(1) VARCHAR2(20) VARCHAR2(20) VARCHAR2(20) VARCHAR2(20) DATE DATE NUMBER DATE NUMBER NUMBER NUMBER NUMBER
Description Document header unique identifier Buyer unique identifier Type of the document Standard Who column Standard Who column Document number Key Flexfield summary flag Key Flexfield enabled flag Key Flexfield segment column Key Flexfield segment column Key Flexfield segment column Key Flexfield segment column Key Flexfield start date Key Flexfield end date Standard Who column Standard Who column Standard Who column Supplier unique identifier Supplier site unique identifier Supplier contact unique identifier
AGENT_ID TYPE_LOOKUP_CODE LAST_UPDATE_DATE LAST_UPDATED_BY SEGMENT1 SUMMARY_FLAG ENABLED_FLAG SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 START_DATE_ACTIVE END_DATE_ACTIVE LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY VENDOR_ID VENDOR_SITE_ID VENDOR_CONTACT_ID
(Continued) Null? Type NULL NUMBER NULL NUMBER NULL NUMBER NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(25) NULL VARCHAR2(15) NULL NULL NULL NULL VARCHAR2(30) DATE NUMBER NUMBER Description Shipto location unique identifier Billto location unique identifier Payment terms unique identifier Type of carrier to be used Type of freeonboard terms for the document Type of freight terms for the document Status of the RFQ or Quotation Unique identifier for the currency Currency conversion rate type Currency conversion date Currency conversion rate Unique identifier of the RFQ used to autocreate a quotation Document type of the document used to autocreate another document Date the document becomes effective Expiration date of the document Amount agreed for the planned or blanket purchase order Authorization status of the purchase order Document revision number Date the document was last revised Indicates whether the purchase order is approved or not Date the purchase order was last approved Maximum amount that can be released against the purchase order (blanket, contract, or planned) Minimum amount that can be released against a blanket or planned purchase order Not currently used Note to the supplier Note to the receiver of the purchase order Number of times the document was printed Date the document was last printed No longer used Indicates whether the purchase order is a confirming order or not Descriptive comments for the document Date the supplier replied to the RFQ Method the supplier should use to reply to the RFQ
SHIP_TO_LOCATION_ID BILL_TO_LOCATION_ID TERMS_ID SHIP_VIA_LOOKUP_CODE FOB_LOOKUP_CODE FREIGHT_TERMS_LOOKUP_CODE STATUS_LOOKUP_CODE CURRENCY_CODE RATE_TYPE RATE_DATE RATE FROM_HEADER_ID FROM_TYPE_LOOKUP_CODE START_DATE END_DATE BLANKET_TOTAL_AMOUNT AUTHORIZATION_STATUS REVISION_NUM REVISED_DATE APPROVED_FLAG APPROVED_DATE AMOUNT_LIMIT
NULL VARCHAR2(25) NULL DATE NULL DATE NULL NUMBER NULL VARCHAR2(25) NULL NUMBER NULL DATE NULL VARCHAR2(1) NULL DATE NULL NUMBER
MIN_RELEASE_AMOUNT NOTE_TO_AUTHORIZER NOTE_TO_VENDOR NOTE_TO_RECEIVER PRINT_COUNT PRINTED_DATE VENDOR_ORDER_NUM CONFIRMING_ORDER_FLAG COMMENTS REPLY_DATE REPLY_METHOD_LOOKUP_CODE
NULL NUMBER NULL VARCHAR2(240) NULL VARCHAR2(240) NULL VARCHAR2(240) NULL NUMBER NULL DATE NULL VARCHAR2(25) NULL VARCHAR2(1) NULL VARCHAR2(240) NULL DATE NULL VARCHAR2(25)
(Continued) Null? Type NULL NULL NULL NULL DATE VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) Description Date the RFQ will be closed Type of quotation Class of quotation Warning delay unit of measure (Unused since release 7.0) Number of days prior to the expiration of the quotation that you want to be notified Number of the quotation for the supplier Indicates whether acceptance from the supplier is required or not Date by which the supplier should accept the purchase order Date the document was closed Indicates whether the purchase order is on hold or not Indicates whether a quote or RFQ requires approval Indicates whether the purchase order is cancelled or not Indicates whether you want to prevent this purchase order from being automatically rescheduled by your manufacturing application Date from which the purchase order is firmed Indicates whether the document is frozen or not Supply agreement flag for Supplier Scheduling EDI processed flag EDI processing status flag Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Describes the closure status of the document United States standard general ledger transaction code USSGL descriptive flexfield context column Standard Who column
RFQ_CLOSE_DATE QUOTE_TYPE_LOOKUP_CODE QUOTATION_CLASS_CODE QUOTE_WARNING_DELAY_UNIT QUOTE_WARNING_DELAY QUOTE_VENDOR_QUOTE_NUMBER ACCEPTANCE_REQUIRED_FLAG ACCEPTANCE_DUE_DATE CLOSED_DATE USER_HOLD_FLAG APPROVAL_REQUIRED_FLAG CANCEL_FLAG FIRM_STATUS_LOOKUP_CODE
NULL NUMBER NULL VARCHAR2(25) NULL VARCHAR2(1) NULL DATE NULL DATE NULL VARCHAR2(1) NULL VARCHAR2(1) NULL VARCHAR2(1) NULL VARCHAR2(30)
FIRM_DATE FROZEN_FLAG SUPPLY_AGREEMENT_FLAG EDI_PROCESSED_FLAG EDI_PROCESSED_STATUS ATTRIBUTE_CATEGORY ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 CLOSED_CODE USSGL_TRANSACTION_CODE GOVERNMENT_CONTEXT REQUEST_ID
NULL DATE NULL VARCHAR2(1) NULL VARCHAR2(1) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(1) VARCHAR2(10) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(25)
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER NUMBER DATE NUMBER Description Standard Who column Standard Who column Standard Who column Operating unit unique identifier VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(150) Reserved for countryspecific functionality VARCHAR2(25) Audit trail reference (needed for 832 EDI transaction) VARCHAR2(25) Audit trail reference (needed for 832 EDI transaction) VARCHAR2(8) Workflow approval item type VARCHAR2(240) Workflow approval item key VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting Set of Books ID and currency conversion rate type pairs
PROGRAM_APPLICATION_ID PROGRAM_ID PROGRAM_UPDATE_DATE ORG_ID GLOBAL_ATTRIBUTE_CATEGORY GLOBAL_ATTRIBUTE1 GLOBAL_ATTRIBUTE2 GLOBAL_ATTRIBUTE3 GLOBAL_ATTRIBUTE4 GLOBAL_ATTRIBUTE5 GLOBAL_ATTRIBUTE6 GLOBAL_ATTRIBUTE7 GLOBAL_ATTRIBUTE8 GLOBAL_ATTRIBUTE9 GLOBAL_ATTRIBUTE10 GLOBAL_ATTRIBUTE11 GLOBAL_ATTRIBUTE12 GLOBAL_ATTRIBUTE13 GLOBAL_ATTRIBUTE14 GLOBAL_ATTRIBUTE15 GLOBAL_ATTRIBUTE16 GLOBAL_ATTRIBUTE17 GLOBAL_ATTRIBUTE18 GLOBAL_ATTRIBUTE19 GLOBAL_ATTRIBUTE20 INTERFACE_SOURCE_CODE REFERENCE_NUM WF_ITEM_TYPE WF_ITEM_KEY MRC_RATE_TYPE
(Continued) Null? Type Description NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting Set of Books ID and currency conversion date pairs NULL VARCHAR2(2000) Multiple Reporting Currencies only: Concatenated string of reporting Set of Books ID and currency conversion rate pairs NULL NUMBER(15) Unique identifier for the procurement card used for the order NULL NUMBER Maximum percentage increase allowed in price/sales catalog update (832 EDI transaction) sent by supplier NULL VARCHAR2(25) Indicator of whether the purchase order will be paid upon receipt
MRC_RATE
PCARD_ID PRICE_UPDATE_TOLERANCE
PAY_ON_CODE
Indexes Index Name PO_HEADERS_N1 PO_HEADERS_N2 PO_HEADERS_N3 PO_HEADERS_N4 PO_HEADERS_N5 PO_HEADERS_U1 PO_HEADERS_U2
Index Type NOT UNIQUE NOT NOT NOT NOT UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE
Sequence 1 2 1 1 1 1 2 1 1 2 3
Column Name VENDOR_ID VENDOR_SITE_ID CREATION_DATE AGENT_ID FROM_HEADER_ID WF_ITEM_TYPE WF_ITEM_KEY PO_HEADER_ID SEGMENT1 TYPE_LOOKUP_CODE ORG_ID
Database Triggers Trigger Trigger Trigger Trigger Name Time Level Event : : : : PO_MRC_HEADERS_BIUD BEFORE ROW INSERT, UPDATE, DELETE
This MRC trigger only exists when you install the Multiple Reporting Currencies feature. It is executed when you perform an insert, update, or delete statement on the table PO_HEADERS_ALL. For each record being inserted/updated/deleted in PO_HEADERS_ALL, this trigger inserts/updates/deletes corresponding reporting currency records in the MRC subtable, PO_MC_HEADERS. In addition, this trigger also populates the MRC VARCHAR2 columns in PO_HEADERS_ALL.
PO_REQUISITION_HEADERS_ALL
PO_REQUISITION_HEADERS_ALL stores information about requisition headers. You need one row for each requisition header you create. Each row contains the requisition number, preparer, status, and description. REQUISITION_HEADER_ID is the unique systemgenerated requisition number. REQUISITION_HEADER_ID is invisible to the user. SEGMENT1 is the number you use to identify the requisition in forms and reports. Oracle Purchasing generates SEGMENT1 using the PO_UNIQUE_IDENTIFIER_CONTROL table if you choose to let Oracle Purchasing generate requisition numbers for you. PO_REQUISITION_HEADERS_ALL is one of three tables storing requisition information. PO_REQUISITION_HEADERS_ALL corresponds to the Header region of the Requisitions window. SEGMENT1 provides unique values for each row in the table in addition to REQUISITION_HEADER_ID.
Foreign Keys Primary Key Table GL_USSGL_TRANSACTION_CODES PO_REQUISITIONS_INTERFACE_ALL PO_REQUISITIONS_INTERFACE_ALL QuickCodes Columns Column AUTHORIZATION_STATUS
QuickCodes Type AUTHORIZATION STATUS APPROVED CANCELLED IN PROCESS INCOMPLETE PREAPPROVED REJECTED REQUIRES REAPPROVAL RETURNED
QuickCodes Table PO_LOOKUP_CODES Document has been Approved Document has been Cancelled Document is still undergoing Approval Document is not yet Complete Document is Approved but not yet Accepted Document as been Rejected Requires Reapproval Document has been Returned PO_LOOKUP_CODES The Document has been Approved The Document is Awaiting Printing The Document has been Cancelled The Document is Closed Closed For Invoice Closed For Receiving
CLOSED_CODE
DOCUMENT STATE APPROVED AWAITING PRINTING CANCELLED CLOSED CLOSED FOR INVOICE CLOSED FOR RECEIVING
(Continued) QuickCodes Type FINALLY CLOSED FROZEN IN PROCESS INCOMPLETE NOT ON HOLD NOT RESERVED ON HOLD OPEN PREAPPROVED PRINTED REJECTED REQUIRES REAPPROVAL RESERVED RETURNED UNFROZEN QuickCodes Table Finally Closed The Document is Frozen The Document is still undergoing Approval processing The Document is not yet complete The document is Not On Hold The document is Not Reserved The Document is On Hold The Document is Open The Document is Approved but not yet Accepted The Document has been Printed The Document has been Rejected The Document has been changed since it was Approved Funds have been Reserved for the Document The Document has been Returned by a Buyer The Document is Not Frozen PO_LOOKUP_CODES Purchase Agreement Purchase Order Quotation Purchase Order Release Requisition Request for Quotation
TYPE_LOOKUP_CODE
Column Descriptions Name REQUISITION_HEADER_ID PREPARER_ID LAST_UPDATE_DATE LAST_UPDATED_BY SEGMENT1 SUMMARY_FLAG ENABLED_FLAG SEGMENT2 SEGMENT3 SEGMENT4 SEGMENT5 START_DATE_ACTIVE END_DATE_ACTIVE LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY DESCRIPTION AUTHORIZATION_STATUS (PK)
Null? Type NOT NULL NUMBER NOT NOT NOT NOT NOT NOT
Description
Requisition header unique identifier NULL NUMBER(9) Unique identifier of the employee who prepared the requisition NULL DATE Standard Who column NULL NUMBER Standard Who column NULL VARCHAR2(20) Requisition number NULL VARCHAR2(1) Key flexfield summary flag NULL VARCHAR2(1) Key flexfield enabled flag NULL VARCHAR2(20) Key flexfield segment column NULL VARCHAR2(20) Key flexfield segment column NULL VARCHAR2(20) Key flexfield segment column NULL VARCHAR2(20) Key flexfield segment column NULL DATE Key flexfield start date NULL DATE Key flexfield end date NULL NUMBER Standard Who column NULL DATE Standard Who column NULL NUMBER Standard Who column NULL VARCHAR2(240) Description for requisition NULL VARCHAR2(25) Authorization status type
(Continued) Null? Type Description NULL VARCHAR2(240) Note to approver (Unused since release 8.0) NULL VARCHAR2(25) Requisition type NULL VARCHAR2(1) Indicates whether an internal requisition has been transferred to Order Management NULL VARCHAR2(30) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(1) Unused since release 7.0 NULL VARCHAR2(1) Unused since release 7.0 NULL VARCHAR2(1) Unused since release 7.0 NULL VARCHAR2(1) Unused since release 7.0 NULL DATE Unused since release 7.0 NULL VARCHAR2(1) Unused since release 7.0 NULL VARCHAR2(240) Unused since release 7.0 NULL VARCHAR2(1) Unused since release 7.0 NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(150) Descriptive flexfield segment NULL VARCHAR2(30) United States standard general ledger transaction code NULL VARCHAR2(30) USSGL descriptive flexfield context column NULL NUMBER Standard Who column NULL NUMBER Standard Who column NULL NUMBER Standard Who column NULL DATE Standard Who column NULL VARCHAR2(25) Source of requisition from Requisition Import NULL NUMBER Source requisition line identifier from Requisition Import NULL VARCHAR2(25) Close status NULL NUMBER Operating unit unique identifier NULL VARCHAR2(8) Approval workflow item type NULL VARCHAR2(240) Approval workflow item key NULL VARCHAR2(20) Purchase order number reserved in advance for an emergency requisition NULL NUMBER(15) Unique identifier for procurement card used for the order NULL VARCHAR2(25) Application source code, indicating the creation method for the requisition
NOTE_TO_AUTHORIZER TYPE_LOOKUP_CODE TRANSFERRED_TO_OE_FLAG ATTRIBUTE_CATEGORY ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ON_LINE_FLAG PRELIMINARY_RESEARCH_FLAG RESEARCH_COMPLETE_FLAG PREPARER_FINISHED_FLAG PREPARER_FINISHED_DATE AGENT_RETURN_FLAG AGENT_RETURN_NOTE CANCEL_FLAG ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 USSGL_TRANSACTION_CODE GOVERNMENT_CONTEXT REQUEST_ID PROGRAM_APPLICATION_ID PROGRAM_ID PROGRAM_UPDATE_DATE INTERFACE_SOURCE_CODE INTERFACE_SOURCE_LINE_ID CLOSED_CODE ORG_ID WF_ITEM_TYPE WF_ITEM_KEY EMERGENCY_PO_NUM PCARD_ID APPS_SOURCE_CODE
Indexes Index Name PO_REQUISITION_HEADERS_N1 PO_REQUISITION_HEADERS_N2 PO_REQUISITION_HEADERS_N3 PO_REQUISITION_HEADERS_N4 PO_REQUISITION_HEADERS_N5 PO_REQUISITION_HEADERS_U1 PO_REQUISITION_HEADERS_U2
Index Type NOT NOT NOT NOT NOT UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE UNIQUE
Sequence 1 1 1 1 1 2 1 1 2
Column Name PREPARER_ID CREATION_DATE AUTHORIZATION_STATUS TRANSFERRED_TO_OE_FLAG WF_ITEM_TYPE WF_ITEM_KEY REQUISITION_HEADER_ID SEGMENT1 ORG_ID
RG_DATABASE_LINKS
RG_DATABASE_LINKS stores information about the database links you define using the Database Links form. Each row includes the name of the link (NAME), the connect string (CONNECT_STRING), the domain name (DOMAIN_NAME), and the apps account (APPS_USERNAME) of the database you are linking to. The information stored here is used in the list of values for the Source Database field while submitting FSG Transfer requests.
Column Descriptions Name DATABASE_LINK_ID NAME DESCRIPTION CONNECT_STRING DOMAIN_NAME APPS_USERNAME LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name RG_DATABASE_LINKS_U1 RG_DATABASE_LINKS_U2 Sequences Sequence RG_DATABASE_LINKS_S (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(30) NULL VARCHAR2(240) NOT NULL VARCHAR2(150) NOT NULL VARCHAR2(150) NOT NULL VARCHAR2(30) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Database Link defining column Database Link name Database Link description Connect string for destination database Domain name for destination database Apps account username for destination database Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
Sequence 1 1
RG_DSS_DIMENSIONS
RG_DSS_DIMENSIONS stores information about the dimensions you define using the Dimension form. These dimensions are used to create corresponding dimensions in Financial Analyzer. Each record stores one dimensions information: the dimension name (NAME), the dimensions name in Financial Analyzer (OBJECT_NAME), the dimensions identifying prefix (OBJECT_PREFIX) that is used in the definitions of the hierarchies and variables in Financial Analyzer, the value prefix (VALUE_PREFIX) that is prefixed to dimension values so dimension values do not start with numeric characters, the dimension type (DIMENSION_TYPE), the dimension level (summary or detail) (LEVEL_CODE), the key flexfield code (ID_FLEX_CODE), and the key flexfield structure number (ID_FLEX_NUM). In addition, each record specifies what the row, column, and selector labels will be for the dimension value. The choices are V for segment value, D for segment description, and B for both. The dimension type may be primitive, singlesegment, multiplesegments, or time. A primitive dimension is a dimension that maps to one segment and includes all the segment values and account types of that segment. A single segment dimension is a dimension that maps to one segment but does not necessarily include all the segment values and account types of the segment. A multiple segment dimension is a dimension that has two or more segments mapped to it. A time dimension has no segments that map to it. There can only be one time dimension in RG_DSS_DIMENSIONS, and it is seeded during installation. The ID_FLEX_CODE and ID_FLEX_NUM columns are null only when the dimension is a time dimension. There is a onetomany relationship between a row in this table and rows in the RG_DSS_DIM_SEGMENTS table.
Foreign Keys Primary Key Table FND_ID_FLEX_STRUCTURES
Column Descriptions Name NAME OBJECT_NAME OBJECT_PREFIX VALUE_PREFIX ROW_LABEL COLUMN_LABEL SELECTOR_LABEL LEVEL_CODE DIMENSION_TYPE
(Continued) Null? Type NOT NULL VARCHAR2(60) NOT NULL VARCHAR2(16) NOT NULL VARCHAR2(6) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(1) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(4) NUMBER(15) VARCHAR2(240) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Dimension name Unique name of the dimension used by Financial Analyzer Dimensions identifying prefix Prefix of dimension values Value used for row label (Value, Description, or Both) Value used for column label (Value, Description, or Both) Value used for selector label (Value, Description, or Both) Dimension level (Summary or Detail) Dimension Type (Primitive, Single Segment, Multiple Segments, or Time) Not currently used Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Key flexfield code Key flexfield structure number Dimension description Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
DIMENSION_BY_CURRENCY LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN ID_FLEX_CODE ID_FLEX_NUM DESCRIPTION CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name RG_DSS_DIMENSIONS_U1 RG_DSS_DIMENSIONS_U2 RG_DSS_DIMENSIONS_U3 Sequences Sequence RG_DSS_DIMENSIONS_S
Sequence 1 1 1
RG_DSS_DIM_SEGMENTS
RG_DSS_DIM_SEGMENTS stores the mapping of segments to dimensions you define using the Dimension form. These mappings are used to create corresponding dimensions in Financial Analyzer. Each record stores one assignments information: the sequence number (SEQUENCE), the segment assigned (APPLICATION_COLUMN_NAME), the maximum size description (MAX_DESC_SIZE) used by Financial Analyzer for this segment, the filter (RANGE_SET_ID) used to limit the available values for that segment, and the account type (ACCOUNT_TYPE) used to limit the available values for that segment. An account type can only be specified if the segment assigned is the natural account segment. The valid account types are A for asset, L for liability, O for owner s equity, R for revenue, E for expense, or F for all. There is a onetomany relationship between a row in the RG_DSS_DIMENSIONS table and the rows in this table.
Foreign Keys Primary Key Table FND_ID_FLEX_SEGMENTS FND_ID_FLEX_STRUCTURES RG_DSS_DIMENSIONS RG_DSS_SEG_RANGE_SETS Column Descriptions Name DIMENSION_ID (PK) SEQUENCE (PK) APPLICATION_COLUMN_NAME ID_FLEX_CODE ID_FLEX_NUM MAX_DESC_SIZE LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY RANGE_SET_ID ACCOUNT_TYPE CONTEXT ATTRIBUTE1 ATTRIBUTE2
Primary Key Column ID_FLEX_CODE ID_FLEX_NUM APPLICATION_COLUMN_NAME ID_FLEX_NUM ID_FLEX_CODE DIMENSION_ID RANGE_SET_ID
Foreign Key Column ID_FLEX_CODE ID_FLEX_NUM APPLICATION_COLUMN_NAME ID_FLEX_NUM ID_FLEX_CODE DIMENSION_ID RANGE_SET_ID
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT NOT NOT
Description
Dimension defining column Sequence in which the segment appears in the dimension NULL VARCHAR2(30) Name of the column containing the segment NULL VARCHAR2(4) Key flexfield code NULL NUMBER(15) Key flexfield structure number NULL NUMBER(3) Maximum size of segment description used by Financial Analyzer NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Filter defining column NULL VARCHAR2(1) Account type (Asset, Liability, Owners Equity, Revenue, Expense, or All) NULL VARCHAR2(30) Descriptive Flexfield context NULL VARCHAR2(150) Descriptive Flexfield segment NULL VARCHAR2(150) Descriptive Flexfield segment
Column Descriptions Name ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield segment segment segment segment segment segment segment segment segment segment segment segment segment
Sequence 1 2 1 2
RG_DSS_DIM_SEGMENTS_U1 RG_DSS_DIM_SEGMENTS_U2
RG_DSS_HIERARCHIES
RG_DSS_HIERARCHIES stores the hierarchies you define using the Hierarchy form. Each row stores one hierarchys information: the hierarchy name (NAME), its description (DESCRIPTION), and the dimension (DIMENSION_ID) upon which it is based. There is a onetomany relationship between a row in this table and rows in the RG_DSS_HIERARCHY_DETAILS table.
Foreign Keys Primary Key Table FND_ID_FLEX_STRUCTURES RG_DSS_DIMENSIONS Column Descriptions Name HIERARCHY_ID (PK) NAME ID_FLEX_CODE ID_FLEX_NUM DIMENSION_ID LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY DESCRIPTION CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name RG_DSS_HIERARCHIES_U1 RG_DSS_HIERARCHIES_U2
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) VARCHAR2(60) VARCHAR2(4) NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(240) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Hierarchy defining column Hierarchy name Key flexfield code Key flexfield structure number Base dimension defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Hierarchy description Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
Sequence 1 1
RG_DSS_HIERARCHY_DETAILS
RG_DSS_HIERARCHY_DETAILS stores the individual segment hierarchies you define using the Hierarchy form. Each record stores one segment hierarchys information: the sequence (SEQUENCE), the segment used in the hierarchy (APPLICATION_COLUMN_NAME), and the root node of the segment hierarchy (ROOT_NODE). These individual segment hierarchy definitions are combined into a single hierarchy which is created in Financial Analyzer. There is a onetomany relationship between a row in RG_DSS_HIERARCHIES and the rows in this table.
Foreign Keys Primary Key Table RG_DSS_HIERARCHIES Column Descriptions Name HIERARCHY_ID (PK) SEQUENCE (PK) APPLICATION_COLUMN_NAME ROOT_NODE LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name RG_DSS_HIERARCHY_DETAILS_U1 RG_DSS_HIERARCHY_DETAILS_U2
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(30) NOT NULL VARCHAR2(60) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Hierarchy defining column Hierarchy detail sequence Name of the column containing the segment Topmost parent node of the hierarchy Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive Flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
Sequence 1 2 1 2
RG_DSS_REQUESTS
RG_DSS_REQUESTS stores information about the extraction and load requests. Each record stores one extract/load request: the name of the program (PROGRAM_TYPE), the parameters of the program, the location of the output file (FILE_SPEC), and the current status of the request (STATUS_FLAG). The valid statuses are P for Extracting, N for New, L for Loading, D for Loaded, C for Cancel, H for Launched, and E for Error.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS FND_ID_FLEX_STRUCTURES GL_BUDGET_VERSIONS GL_ENCUMBRANCE_TYPES GL_SETS_OF_BOOKS GL_SUMMARY_TEMPLATES RG_DSS_HIERARCHIES QuickCodes Columns Column BALANCE_TYPE
Primary Key Column REQUEST_ID ID_FLEX_NUM BUDGET_VERSION_ID ENCUMBRANCE_TYPE_ID SET_OF_BOOKS_ID TEMPLATE_ID HIERARCHY_ID
Foreign Key Column CONCURRENT_REQUEST_ID CHART_OF_ACCOUNTS_ID BUDGET_VERSION_ID ENCUMBRANCE_TYPE_ID SET_OF_BOOKS_ID TEMPLATE_ID HIERARCHY_ID
QuickCodes Table GL_LOOKUPS Actual Budget Both Encumbrance EOD PATD QATD YATD GL_LOOKUPS Detail Summary GL_LOOKUPS Balances Currency Hierarchy Load Calendar Rates Segment
LEVEL_CODE
PROGRAM_TYPE
Description Program type (Segment, Balances, Hierarchy, Currency, Rates, or Calendar) The request identifier of the current extract or load request
(Continued) Null? Type NOT NULL NUMBER(15) NOT Description Concurrent request identifier of the extraction run NULL VARCHAR2(1) Status of the extraction request (Extracting, New, Loading, Loaded, Cancel, Launched, Error) NULL VARCHAR2(1) Extraction level (Summary or Detail) NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column NULL VARCHAR2(240) Location of the extraction file NULL DATE Start time of the extraction process NULL DATE End time of the extraction process NULL DATE Start time of the load process NULL DATE End time of the load process NULL NUMBER(15) Key flexfield structure number NULL NUMBER(15) Accounting books defining column NULL VARCHAR2(15) From period NULL VARCHAR2(15) To period NULL VARCHAR2(4) Balance Type NULL NUMBER(15) Budget version defining column NULL NUMBER(15) Encumbrance defining column (1 total of all encumbrances, 2 for all encumbrances) NULL NUMBER(15) Summary template defining column (1 for all summary templates) NULL NUMBER(15) Day of period to be used (1 for last day in each period) NULL NUMBER(15) Hierarchy defining column NULL NUMBER(15) Accounting period year
CONCURRENT_REQUEST_ID STATUS_FLAG
LEVEL_CODE LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN FILE_SPEC EXTRACTION_START_DATE EXTRACTION_END_DATE LOAD_START_DATE LOAD_END_DATE CHART_OF_ACCOUNTS_ID SET_OF_BOOKS_ID FROM_PERIOD TO_PERIOD BALANCE_TYPE BUDGET_VERSION_ID ENCUMBRANCE_TYPE_ID NOT NOT NOT NOT NOT
TEMPLATE_ID DAY_OF_PERIOD HIERARCHY_ID PERIOD_YEAR Indexes Index Name RG_DSS_REQUESTS_N1 RG_DSS_REQUESTS_U1 Sequences Sequence RG_DSS_REQUESTS_S
Sequence 1 1
RG_DSS_SEG_RANGES
RG_DSS_SEG_RANGES stores information about the ranges of segment values included in a filter. You define these ranges using the Filters form. Each record stores the information about one range: the include or exclude flag (INCLUDE_FLAG) and the low (SEGMENT_LOW) and high (SEGMENT_HIGH) values of the segment range. There is a onetomany relationship between a row in the RG_DSS_SEG_RANGE_SETS table and the rows in this table.
Foreign Keys Primary Key Table RG_DSS_SEG_RANGE_SETS Column Descriptions Name RANGE_SET_ID RANGE_ID (PK) INCLUDE_FLAG SEGMENT_LOW SEGMENT_HIGH LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name RG_DSS_SEG_RANGES_N1 RG_DSS_SEG_RANGES_U1
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(1) NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(60) VARCHAR2(60) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Filter defining column Range defining column Include or Exclude segment ranges Low value of the range High value of the range Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
Sequence 1 1
RG_DSS_SEG_RANGE_SETS
RG_DSS_SEG_RANGE_SETS stores information about the filters you define in the Filters form. Each record stores one filter s information: the filter name (NAME) and the segment name (APPLICATION_COLUMN_NAME) used by this filter. There is a onetomany relationship between a row in this table and rows in the RG_DSS_SEG_RANGES table.
Foreign Keys Primary Key Table FND_ID_FLEX_SEGMENTS FND_ID_FLEX_STRUCTURES
Column Descriptions Name RANGE_SET_ID (PK) NAME APPLICATION_COLUMN_NAME ID_FLEX_CODE ID_FLEX_NUM LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY DESCRIPTION CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name RG_DSS_SEG_RANGE_SETS_N1 RG_DSS_SEG_RANGE_SETS_U1 RG_DSS_SEG_RANGE_SETS_U2
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(60) NOT NULL VARCHAR2(30) NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(4) NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(240) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Filter defining column Filter name Name of the column containing the segment used by the filter Key flexfield code Key flexfield structure number Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Filter description Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
Sequence 1 1 1
RG_DSS_SYSTEMS
RG_DSS_SYSTEMS stores information about the Financial Data Sets you define using the Financial Data Set form. Each record stores one financial data sets information: the financial data set name (NAME) and the financial data set freeze status (FREEZE_FLAG). There is a onetomany relationship between a row in this table and rows in the RG_DSS_SYSTEM_SEG_ORDER and RG_DSS_SYSTEM_VARIABLES tables.
Foreign Keys Primary Key Table FND_ID_FLEX_STRUCTURES GL_PERIOD_SETS QuickCodes Columns Column FREEZE_FLAG
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(60) VARCHAR2(1) VARCHAR2(4) NUMBER(15) VARCHAR2(15) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Financial data set defining column Financial data set name Flag to freeze the system Key flexfield code Key flexfield structure number Calendar defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
NAME FREEZE_FLAG ID_FLEX_CODE ID_FLEX_NUM PERIOD_SET_NAME LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15
Sequence 1 1
RG_DSS_SYSTEM_SEG_ORDER
RG_DSS_SYSTEM_SEG_ORDER stores information about the segment orders you define for your financial data set in the Financial Data Set form. Each record stores one segments information: the position it is in in the order (SEQUENCE) and the segment name (APPLICATION_COLUMN_NAME). There is a onetomany relationship between a row in the RG_DSS_SYSTEMS table and rows in this table.
Foreign Keys Primary Key Table FND_ID_FLEX_SEGMENTS FND_ID_FLEX_STRUCTURES RG_DSS_SYSTEMS Column Descriptions Name SYSTEM_ID SEQUENCE (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL VARCHAR2(30) NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(4) NUMBER(15) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Financial data set defining column Position of column in the sort order Name of column that contains the segment Key flexfield code Key flexfield structure number Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
APPLICATION_COLUMN_NAME ID_FLEX_CODE ID_FLEX_NUM CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15
Sequence 1 2 1 2
RG_DSS_SYSTEM_VARIABLES
RG_DSS_SYSTEM_VARIABLES stores information about the assignment of financial data items to financial data sets. You define these assignments using the Financial Data Set form. There is a onetomany relationship between a row in the RG_DSS_SYSTEMS table and rows in this table.
Foreign Keys Primary Key Table RG_DSS_SYSTEMS RG_DSS_VARIABLES Column Descriptions Name SYSTEM_ID VARIABLE_ID SYSTEM_VARIABLE_ID LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name RG_DSS_SYSTEM_VARIABLES_U1 RG_DSS_SYSTEM_VARIABLES_U2 (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Financial data set defining column Financial data item defining column Assignment defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
Sequence 1 1 2
RG_DSS_VARIABLES
RG_DSS_VARIABLES stores information about the financial data items you define using the Financial Data Item form. These financial data items are used to create corresponding financial data items in Financial Analyzer. Each record stores one financial data items information: the financial data item name (NAME), its name in Financial Analyzer (OBJECT_NAME), and the row, column, and selector label used for this financial data item in Financial Analyzer (OBJECT_LABEL). In addition, information is stored about the data content of the financial data item such as set of books id (SET_OF_BOOKS_ID), balance type (BALANCE_TYPE), currency type (CURRENCY_TYPE), currency (CURRENCY_CODE), and budget version (BUDGET_VERSION_ID). The valid values for the balance type are A for Actual and B for Budget. The valid values for the currency type are FE for Foreign Entered, FT for Foreign Translated, FO for Functional Only, SO for Statistical Only, and FS for Functional and Statistical. There is a onetomany relationship between a row in this table and rows in the RG_DSS_VAR_DIMENSIONS, RG_DSS_VAR_SELECTIONS, and RG_DSS_VAR_TEMPLATES tables.
Foreign Keys Primary Key Table FND_CURRENCIES FND_ID_FLEX_STRUCTURES GL_BUDGET_VERSIONS GL_ENCUMBRANCE_TYPES GL_SETS_OF_BOOKS QuickCodes Columns Column BALANCE_TYPE
QuickCodes Table GL_LOOKUPS Actual Budget Both Encumbrance EOD PATD QATD YATD GL_LOOKUPS Detail Summary GL_LOOKUPS Not Validated Validated
LEVEL_CODE
STATUS_CODE
Description
LEVEL_CODE STATUS_CODE OBJECT_NAME COLUMN_LABEL ID_FLEX_CODE ID_FLEX_NUM LAST_UPDATE_DATE LAST_UPDATED_BY CREATION_DATE CREATED_BY LAST_UPDATE_LOGIN CURRENCY_CODE BUDGET_VERSION_ID ENCUMBRANCE_TYPE_ID DESCRIPTION SEGMENT1_TYPE SEGMENT2_TYPE SEGMENT3_TYPE SEGMENT4_TYPE SEGMENT5_TYPE SEGMENT6_TYPE SEGMENT7_TYPE SEGMENT8_TYPE SEGMENT9_TYPE SEGMENT10_TYPE SEGMENT11_TYPE SEGMENT12_TYPE SEGMENT13_TYPE SEGMENT14_TYPE SEGMENT15_TYPE SEGMENT16_TYPE SEGMENT17_TYPE SEGMENT18_TYPE SEGMENT19_TYPE SEGMENT20_TYPE SEGMENT21_TYPE SEGMENT22_TYPE SEGMENT23_TYPE SEGMENT24_TYPE SEGMENT25_TYPE SEGMENT26_TYPE SEGMENT27_TYPE SEGMENT28_TYPE
NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT NOT
Financial data item defining column NULL VARCHAR2(60) Financial data item name NULL NUMBER(15) Set of books defining column NULL VARCHAR2(4) Balance Type NULL VARCHAR2(2) Currency type (Foreign Entered, Foreign Translated, Functional Only, Statistical Only, Functional and Statistical) NULL VARCHAR2(1) Financial data item level (Summary or Detail) NULL VARCHAR2(1) Financial data item status NULL VARCHAR2(16) Financial data item name in Financial Analyzer NULL VARCHAR2(30) Column, row, and selector label used in Financial Analyzer NULL VARCHAR2(4) Key flexfield code NULL NUMBER(15) Key flexfield structure number NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column NULL VARCHAR2(30) Currency code NULL NUMBER(15) Budget version defining column NULL NUMBER(15) Encumbrance type defining column NULL VARCHAR2(240) Financial data item description NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column NULL VARCHAR2(25) Segment type column
Column Descriptions Name SEGMENT29_TYPE SEGMENT30_TYPE CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(25) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Segment type column Segment type column Descriptive Flexfield Descriptive Flexfield Descriptive Flexfield Descriptive Flexfield Descriptive Flexfield Descriptive Flexfield Descriptive Flexfield Descriptive Flexfield Descriptive Flexfield Descriptive Flexfield Descriptive Flexfield Descriptive Flexfield Descriptive Flexfield Descriptive Flexfield Descriptive Flexfield Descriptive Flexfield
context segment segment segment segment segment segment segment segment segment segment segment segment segment segment segment
Sequence 1 1 1
RG_DSS_VAR_DIMENSIONS
RG_DSS_VAR_DIMENSIONS stores information about the assignments of dimensions to financial data items. You assign dimensions to your financial data items using the Financial Data Item form. Each record stores the sequence number (SEQUENCE) and dimension (DIMENSION_ID) for one assignment. There is a onetomany relationship between a row in the RG_DSS_VARIABLES table and the rows in this table.
Foreign Keys Primary Key Table RG_DSS_DIMENSIONS RG_DSS_VARIABLES Column Descriptions Name VARIABLE_ID (PK) SEQUENCE (PK) DIMENSION_ID LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name RG_DSS_VAR_DIMENSIONS_U1 RG_DSS_VAR_DIMENSIONS_U2
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Variable defining column Assignment sequence Dimension defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
Sequence 1 2 1 2
RG_DSS_VAR_SELECTIONS
RG_DSS_VAR_SELECTIONS stores the filter selections for your financial data items. You define this filter selection using the Financial Data Item form. Each record stores the segment name (APPLICATION_COLUMN_NAME) and filter (RANGE_SET_ID) for one filter selection. There is a onetomany mapping between a row in the RG_DSS_VARIABLES table and the rows in this table.
Foreign Keys Primary Key Table FND_ID_FLEX_SEGMENTS FND_ID_FLEX_STRUCTURES RG_DSS_SEG_RANGE_SETS RG_DSS_VARIABLES Column Descriptions Name VARIABLE_ID APPLICATION_COLUMN_NAME ID_FLEX_CODE ID_FLEX_NUM SELECTION_ID (PK) RANGE_SET_ID LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15
Primary Key Column ID_FLEX_CODE ID_FLEX_NUM APPLICATION_COLUMN_NAME ID_FLEX_CODE ID_FLEX_NUM RANGE_SET_ID VARIABLE_ID
Foreign Key Column ID_FLEX_CODE ID_FLEX_NUM APPLICATION_COLUMN_NAME ID_FLEX_CODE ID_FLEX_NUM RANGE_SET_ID VARIABLE_ID
Null? Type NOT NULL NUMBER(15) NOT NULL VARCHAR2(30) NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(4) NUMBER(15) NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Variable defining column Name of the column containing the segment Key flexfield code Key flexfield structure number Selection defining column Filter defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
Sequence 1 2 1
RG_DSS_VAR_TEMPLATES
RG_DSS_VAR_TEMPLATES stores the assignments of summary templates to financial data items. You assign templates to your financial data items using the Financial Data Item form. Each record stores the summary template (TEMPLATE_ID) for one assignment. There is a onetomany relationship between a row in the RG_DSS_VARIABLES table and the rows in this table.
Foreign Keys Primary Key Table GL_SUMMARY_TEMPLATES RG_DSS_VARIABLES Column Descriptions Name VARIABLE_ID TEMPLATE_ID (PK) (PK)
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25) VARCHAR2(25)
Description Financial Data Item defining column Summary Template defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment Summary type flexfield segment
CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN SEGMENT1_TYPE SEGMENT2_TYPE SEGMENT3_TYPE SEGMENT4_TYPE SEGMENT5_TYPE SEGMENT6_TYPE SEGMENT7_TYPE SEGMENT8_TYPE SEGMENT9_TYPE SEGMENT10_TYPE SEGMENT11_TYPE SEGMENT12_TYPE SEGMENT13_TYPE SEGMENT14_TYPE SEGMENT15_TYPE SEGMENT16_TYPE SEGMENT17_TYPE SEGMENT18_TYPE SEGMENT19_TYPE SEGMENT20_TYPE SEGMENT21_TYPE SEGMENT22_TYPE SEGMENT23_TYPE SEGMENT24_TYPE SEGMENT25_TYPE SEGMENT26_TYPE SEGMENT27_TYPE SEGMENT28_TYPE
Column Descriptions Name SEGMENT29_TYPE SEGMENT30_TYPE CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(25) VARCHAR2(25) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Summary type flexfield segment Summary type flexfield segment Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
Sequence 1
RG_DSS_VAR_TEMPLATES_N1
RG_REPORTS
RG_REPORTS stores information about all of the reports currently defined in Financial Statement Generator, including the row and column sets associated with the report, any content set and row order that Financial Statement Generator uses, units of measure, and the budgets or encumbrances associated with the report. Each row includes a name, row set identifier, column set identifier, content set identifier, row order identifier and the unit of measure (currency) that each report uses. Each row contains information about one report defined in Financial Statement Generator. Financial Statement Generator uses this information to link a row, a column, and an optional content set and row order together into one report that you can submit for a report request. If a budget or encumbrance amount type is assigned to a row or column in a row set or column set, a budget or encumbrance must also be linked to the report. If a currency is assigned to particular rows or columns in a row set or column set, the currency assigned to the report that contains that row set and/or column set overrides the currencies in the rows or columns.
Foreign Keys Primary Key Table FND_CURRENCIES FND_ID_FLEX_STRUCTURES RG_REPORT_AXIS_SETS RG_REPORT_AXIS_SETS RG_REPORT_CONTENT_SETS RG_REPORT_DISPLAY_SETS RG_REPORT_PARAMETERS RG_ROW_ORDERS QuickCodes Columns Column MINIMUM_DISPLAY_LEVEL
Primary Key Column CURRENCY_CODE ID_FLEX_CODE ID_FLEX_NUM APPLICATION_ID AXIS_SET_ID AXIS_SET_ID CONTENT_SET_ID REPORT_DISPLAY_SET_ID PARAMETER_SET_ID ROW_ORDER_ID
Foreign Key Column UNIT_OF_MEASURE_ID ID_FLEX_CODE STRUCTURE_ID APPLICATION_ID COLUMN_SET_ID ROW_SET_ID CONTENT_SET_ID REPORT_DISPLAY_SET_ID PARAMETER_SET_ID ROW_ORDER_ID
QuickCodes Table RG_LOOKUPS Financial Analyst Supervisor Controller RG_LOOKUPS Spreadsheet Text Tab Delimited RG_LOOKUPS Calculate Then Round Round Then Calculate
OUTPUT_OPTION
ROUNDING_OPTION
Column Descriptions Name APPLICATION_ID REPORT_ID (PK) LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY NAME COLUMN_SET_ID ROW_SET_ID ROUNDING_OPTION OUTPUT_OPTION REPORT_TITLE REPORT_DISPLAY_SET_ID CONTENT_SET_ID ROW_ORDER_ID PARAMETER_SET_ID UNIT_OF_MEASURE_ID ID_FLEX_CODE STRUCTURE_ID SEGMENT_OVERRIDE PERIOD_SET_NAME MINIMUM_DISPLAY_LEVEL DESCRIPTION CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name RG_REPORTS_U1
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(30) NUMBER(15)
Description
NOT NULL NOT NULL NOT NULL NOT NULL NULL NULL NULL NOT NULL NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL
Application defining column Report defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Name for this report Defining column for the column set for this report NUMBER(15) Defining column for the row set for this report VARCHAR2(1) Report rounding method VARCHAR2(1) Output option VARCHAR2(240) Report title NUMBER(15) Defining column for the optional report display set for this report NUMBER(15) Defining column for the optional content set for this report NUMBER(15) Defining column for the optional row order for this report NUMBER(15) Parameter set for running this report VARCHAR2(30) Specific unit of measure or currency VARCHAR2(4) GL# or GLAT NUMBER(15) Key Flexfield structure defining column VARCHAR2(2000) Values of the segments to override at runtime VARCHAR2(15) No longer used NUMBER(15) Level of detail to run this predefined report at VARCHAR2(240) Description of the report VARCHAR2(30) Descriptive Flexfield context VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment
Sequence 1
Sequence 1 2
RG_REPORT_AXES
RG_REPORT_AXES stores information about all the rows and columns currently defined in Financial Statement Generator. Each row includes an axis set identifier to link the row or column to a row set or column set, a name, a currency and a parameter number to link the row or column to a specific budget or encumbrance. Each row also contains customizable formatting options. Each row contains information about one particular row or column currently defined in Financial Statement Generator.
Foreign Keys Primary Key Table FND_CURRENCIES RG_REPORT_AXIS_SETS RG_REPORT_STANDARD_AXES QuickCodes Columns Column CALCULATION_PRECEDENCE_FLAG
QuickCodes Type YES_NO N Y YES_NO N Y YES_NO N Y YES_NO N Y YES_NO N Y YES_NO N Y YES_NO N Y GL_DISPLAY_LEVEL 1 2 3 DISPLAY_UNITS 2 0 3 6 9
QuickCodes Table FND_LOOKUPS No Yes FND_LOOKUPS No Yes FND_LOOKUPS No Yes FND_LOOKUPS No Yes FND_LOOKUPS No Yes FND_LOOKUPS No Yes RG_LOOKUPS No Yes RG_LOOKUPS Financial Analyst Supervisor Controller RG_LOOKUPS Percentiles Units Thousands Millions Billions
CHANGE_SIGN_FLAG
CHANGE_VARIANCE_SIGN_FLAG
DISPLAY_ZERO_AMOUNT_FLAG
PAGE_BREAK_AFTER_FLAG
PAGE_BREAK_BEFORE_FLAG
DISPLAY_FLAG
DISPLAY_LEVEL
DISPLAY_UNITS
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT
Description
LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY AXIS_TYPE AXIS_NAME AMOUNT_ID STANDARD_AXIS_ID WIDTH POSITION STRUCTURE_ID UNIT_OF_MEASURE_ID PARAMETER_NUM PERIOD_OFFSET
DESCRIPTION DISPLAY_FLAG BEFORE_AXIS_STRING AFTER_AXIS_STRING NUMBER_CHARACTERS_INDENTED PAGE_BREAK_AFTER_FLAG PAGE_BREAK_BEFORE_FLAG NUMBER_LINES_SKIPPED_BEFORE NUMBER_LINES_SKIPPED_AFTER DISPLAY_LEVEL DISPLAY_ZERO_AMOUNT_FLAG CHANGE_SIGN_FLAG CHANGE_VARIANCE_SIGN_FLAG DISPLAY_UNITS
Application defining column Definine column for the column set or row set these axes belong to NULL NUMBER Sequence number for this column or row NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL NUMBER(15) Standard Who column NULL DATE Standard Who column NULL NUMBER(15) Standard Who column NULL VARCHAR2(1) Not currently used NULL VARCHAR2(30) Name of this column or row NULL NUMBER(15) Amount foreign key NULL NUMBER(15) Amount type for this column or row NULL NUMBER(15) No longer used NULL NUMBER(15) Position of column (columns only) NULL NUMBER(15) No longer used NULL VARCHAR2(30) Currency NULL NUMBER(15) Control value to tie this column or row to a budget, encumbrance, or currency NULL NUMBER(15) Number of periods or days this row or column value should be offset from the runtime period or day NULL VARCHAR2(240) Description of the column or row NULL VARCHAR2(1) Display flag indicating whether this row or column should be displayed on the report NULL VARCHAR2(10) Character to print on report before this row NULL VARCHAR2(10) Character to print on report after this row NULL NUMBER(15) Number of characters to indent when printing this row NULL VARCHAR2(1) Flag to indicate whether to insert a page break after this row NULL VARCHAR2(1) Flag to indicate whether to insert a page break before this row NULL NUMBER(15) Number of lines to skip before displaying this row NULL NUMBER(15) Number of lines to skip after displaying this row NULL NUMBER(15) Level of detail for this row or column NULL VARCHAR2(1) Flag indicating whether to display zeros for row or column NULL VARCHAR2(1) Flag to change sign of all the row or column values displayed on the report NULL VARCHAR2(1) Flag to change sign on row or column variances displayed NULL NUMBER(15) Units to display the row or column values on the report (thousands, hundreds, etc.)
(Continued) Null? Type NULL VARCHAR2(30) Description Format string of row or column values indicating number of characters and position of decimal point (e.g., 999.99) Flag to indicate whether row or column calculation overrides Descriptive flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Sequence for percentage divisor No longer used Character to print in report before the format mask Character to print in report after the format mask Width of the display format The precision to display the row or column values on the report Value of segment override
CALCULATION_PRECEDENCE_FLAG CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 PERCENTAGE_DIVISOR_SEQ TRANSACTION_FLAG FORMAT_BEFORE_TEXT FORMAT_AFTER_TEXT FORMAT_MASK_WIDTH DISPLAY_PRECISION SEGMENT_OVERRIDE_VALUE Indexes Index Name RG_REPORT_AXES_N1 RG_REPORT_AXES_U1
NULL VARCHAR2(1) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) NUMBER VARCHAR2(1) VARCHAR2(30)
Sequence 1 2 1 2
RG_REPORT_AXIS_CONTENTS
RG_REPORT_AXIS_CONTENTS stores information about all of the account assignments to rows and columns. Each row includes a specific account range, and an axis set identifier to link the account range to a specific row or column set. Each row also contains an axis sequence number to link the account range to a specific row or column. Financial Statement Generator uses this information to determine ranges of a report.
Foreign Keys Primary Key Table GL_SETS_OF_BOOKS RG_REPORT_AXES
RANGE_MODE
SIGN
Column Descriptions Name APPLICATION_ID AXIS_SET_ID AXIS_SEQ LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY RANGE_MODE SIGN DR_CR_NET_CODE
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(1)
Description Application defining column Defining column of the column set or row set these flexfield details refer to Sequence number of the column or row these flexfield details refer to Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Summary flag to indicate whether this flexfield range specifies summary values Sign for this flexfield range to indicate whether to add or subtract this range Activity type (e.g., debit, credit)
Column Descriptions Name SET_OF_BOOKS_ID SEGMENT1_LOW SEGMENT1_HIGH SEGMENT1_TYPE SEGMENT2_LOW SEGMENT2_HIGH SEGMENT2_TYPE SEGMENT3_LOW SEGMENT3_HIGH SEGMENT3_TYPE SEGMENT4_LOW SEGMENT4_HIGH SEGMENT4_TYPE SEGMENT5_LOW SEGMENT5_HIGH SEGMENT5_TYPE SEGMENT6_LOW SEGMENT6_HIGH SEGMENT6_TYPE SEGMENT7_LOW SEGMENT7_HIGH SEGMENT7_TYPE SEGMENT8_LOW SEGMENT8_HIGH SEGMENT8_TYPE SEGMENT9_LOW SEGMENT9_HIGH SEGMENT9_TYPE SEGMENT10_LOW SEGMENT10_HIGH SEGMENT10_TYPE SEGMENT11_LOW SEGMENT11_HIGH SEGMENT11_TYPE SEGMENT12_LOW SEGMENT12_HIGH SEGMENT12_TYPE SEGMENT13_LOW SEGMENT13_HIGH SEGMENT13_TYPE SEGMENT14_LOW SEGMENT14_HIGH SEGMENT14_TYPE SEGMENT15_LOW SEGMENT15_HIGH SEGMENT15_TYPE SEGMENT16_LOW SEGMENT16_HIGH SEGMENT16_TYPE SEGMENT17_LOW SEGMENT17_HIGH SEGMENT17_TYPE SEGMENT18_LOW
(Continued) Null? Type NULL NUMBER(15) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) Description Defining column for the accounting books associated with this flexfield Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment
Column Descriptions Name SEGMENT18_HIGH SEGMENT18_TYPE SEGMENT19_LOW SEGMENT19_HIGH SEGMENT19_TYPE SEGMENT20_LOW SEGMENT20_HIGH SEGMENT20_TYPE SEGMENT21_LOW SEGMENT21_HIGH SEGMENT21_TYPE SEGMENT22_LOW SEGMENT22_HIGH SEGMENT22_TYPE SEGMENT23_LOW SEGMENT23_HIGH SEGMENT23_TYPE SEGMENT24_LOW SEGMENT24_HIGH SEGMENT24_TYPE SEGMENT25_LOW SEGMENT25_HIGH SEGMENT25_TYPE SEGMENT26_LOW SEGMENT26_HIGH SEGMENT26_TYPE SEGMENT27_LOW SEGMENT27_HIGH SEGMENT27_TYPE SEGMENT28_LOW SEGMENT28_HIGH SEGMENT28_TYPE SEGMENT29_LOW SEGMENT29_HIGH SEGMENT29_TYPE SEGMENT30_LOW SEGMENT30_HIGH SEGMENT30_TYPE CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(60) VARCHAR2(60) VARCHAR2(1) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Descriptive flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
(Continued) Null? Type NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) Description Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials)
SEGMENT_ATTRIBUTE1_LOW SEGMENT_ATTRIBUTE1_HIGH SEGMENT_ATTRIBUTE1_TYPE SEGMENT_ATTRIBUTE2_LOW SEGMENT_ATTRIBUTE2_HIGH SEGMENT_ATTRIBUTE2_TYPE SEGMENT_ATTRIBUTE3_LOW SEGMENT_ATTRIBUTE3_HIGH SEGMENT_ATTRIBUTE3_TYPE SEGMENT_ATTRIBUTE4_LOW SEGMENT_ATTRIBUTE4_HIGH SEGMENT_ATTRIBUTE4_TYPE SEGMENT_ATTRIBUTE5_LOW SEGMENT_ATTRIBUTE5_HIGH SEGMENT_ATTRIBUTE5_TYPE SEGMENT_ATTRIBUTE6_LOW SEGMENT_ATTRIBUTE6_HIGH SEGMENT_ATTRIBUTE6_TYPE SEGMENT_ATTRIBUTE7_LOW SEGMENT_ATTRIBUTE7_HIGH SEGMENT_ATTRIBUTE7_TYPE SEGMENT_ATTRIBUTE8_LOW SEGMENT_ATTRIBUTE8_HIGH SEGMENT_ATTRIBUTE8_TYPE SEGMENT_ATTRIBUTE9_LOW SEGMENT_ATTRIBUTE9_HIGH SEGMENT_ATTRIBUTE9_TYPE SEGMENT_ATTRIBUTE10_LOW SEGMENT_ATTRIBUTE10_HIGH SEGMENT_ATTRIBUTE10_TYPE
(Continued) Null? Type NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) Description Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials)
SEGMENT_ATTRIBUTE11_LOW SEGMENT_ATTRIBUTE11_HIGH SEGMENT_ATTRIBUTE11_TYPE SEGMENT_ATTRIBUTE12_LOW SEGMENT_ATTRIBUTE12_HIGH SEGMENT_ATTRIBUTE12_TYPE SEGMENT_ATTRIBUTE13_LOW SEGMENT_ATTRIBUTE13_HIGH SEGMENT_ATTRIBUTE13_TYPE SEGMENT_ATTRIBUTE14_LOW SEGMENT_ATTRIBUTE14_HIGH SEGMENT_ATTRIBUTE14_TYPE SEGMENT_ATTRIBUTE15_LOW SEGMENT_ATTRIBUTE15_HIGH SEGMENT_ATTRIBUTE15_TYPE SEGMENT_ATTRIBUTE16_LOW SEGMENT_ATTRIBUTE16_HIGH SEGMENT_ATTRIBUTE16_TYPE SEGMENT_ATTRIBUTE17_LOW SEGMENT_ATTRIBUTE17_HIGH SEGMENT_ATTRIBUTE17_TYPE SEGMENT_ATTRIBUTE18_LOW SEGMENT_ATTRIBUTE18_HIGH SEGMENT_ATTRIBUTE18_TYPE SEGMENT_ATTRIBUTE19_LOW SEGMENT_ATTRIBUTE19_HIGH SEGMENT_ATTRIBUTE19_TYPE SEGMENT_ATTRIBUTE20_LOW SEGMENT_ATTRIBUTE20_HIGH SEGMENT_ATTRIBUTE20_TYPE
(Continued) Null? Type NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) Description Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials)
SEGMENT_ATTRIBUTE21_LOW SEGMENT_ATTRIBUTE21_HIGH SEGMENT_ATTRIBUTE21_TYPE SEGMENT_ATTRIBUTE22_LOW SEGMENT_ATTRIBUTE22_HIGH SEGMENT_ATTRIBUTE22_TYPE SEGMENT_ATTRIBUTE23_LOW SEGMENT_ATTRIBUTE23_HIGH SEGMENT_ATTRIBUTE23_TYPE SEGMENT_ATTRIBUTE24_LOW SEGMENT_ATTRIBUTE24_HIGH SEGMENT_ATTRIBUTE24_TYPE SEGMENT_ATTRIBUTE25_LOW SEGMENT_ATTRIBUTE25_HIGH SEGMENT_ATTRIBUTE25_TYPE SEGMENT_ATTRIBUTE26_LOW SEGMENT_ATTRIBUTE26_HIGH SEGMENT_ATTRIBUTE26_TYPE SEGMENT_ATTRIBUTE27_LOW SEGMENT_ATTRIBUTE27_HIGH SEGMENT_ATTRIBUTE27_TYPE SEGMENT_ATTRIBUTE28_LOW SEGMENT_ATTRIBUTE28_HIGH SEGMENT_ATTRIBUTE28_TYPE SEGMENT_ATTRIBUTE29_LOW SEGMENT_ATTRIBUTE29_HIGH SEGMENT_ATTRIBUTE29_TYPE SEGMENT_ATTRIBUTE30_LOW SEGMENT_ATTRIBUTE30_HIGH SEGMENT_ATTRIBUTE30_TYPE
(Continued) Null? Type NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) Description Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials)
SEGMENT_ATTRIBUTE31_LOW SEGMENT_ATTRIBUTE31_HIGH SEGMENT_ATTRIBUTE31_TYPE SEGMENT_ATTRIBUTE32_LOW SEGMENT_ATTRIBUTE32_HIGH SEGMENT_ATTRIBUTE32_TYPE SEGMENT_ATTRIBUTE33_LOW SEGMENT_ATTRIBUTE33_HIGH SEGMENT_ATTRIBUTE33_TYPE SEGMENT_ATTRIBUTE34_LOW SEGMENT_ATTRIBUTE34_HIGH SEGMENT_ATTRIBUTE34_TYPE SEGMENT_ATTRIBUTE35_LOW SEGMENT_ATTRIBUTE35_HIGH SEGMENT_ATTRIBUTE35_TYPE SEGMENT_ATTRIBUTE36_LOW SEGMENT_ATTRIBUTE36_HIGH SEGMENT_ATTRIBUTE36_TYPE SEGMENT_ATTRIBUTE37_LOW SEGMENT_ATTRIBUTE37_HIGH SEGMENT_ATTRIBUTE37_TYPE SEGMENT_ATTRIBUTE38_LOW SEGMENT_ATTRIBUTE38_HIGH SEGMENT_ATTRIBUTE38_TYPE SEGMENT_ATTRIBUTE39_LOW SEGMENT_ATTRIBUTE39_HIGH SEGMENT_ATTRIBUTE39_TYPE SEGMENT_ATTRIBUTE40_LOW SEGMENT_ATTRIBUTE40_HIGH SEGMENT_ATTRIBUTE40_TYPE
(Continued) Null? Type NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(1) Description Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials)
Sequence 1 2
RG_REPORT_AXIS_SETS
RG_REPORT_AXIS_SETS stores information about all of the row sets and column sets currently defined in Financial Statement Generator. Each row includes an axis set identifier, a row set name or a column set name, and a structure identifier to assign a specific chart of accounts to the row set or column set. Financial Statement Generator uses the report axis sets as the basis which many report axes, axis contents, and report calculations can be linked for later reporting.
Foreign Keys Primary Key Table FND_ID_FLEX_STRUCTURES
Column Descriptions Name APPLICATION_ID AXIS_SET_ID (PK) LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY NAME AXIS_SET_TYPE DISPLAY_IN_LIST_FLAG PERIOD_SET_NAME DESCRIPTION COLUMN_SET_HEADER ROW_SET_TITLE SEGMENT_NAME ID_FLEX_CODE STRUCTURE_ID CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(30) VARCHAR2(1) VARCHAR2(1) VARCHAR2(15) VARCHAR2(240) LONG VARCHAR2(240) VARCHAR2(30) VARCHAR2(4) NUMBER(15) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Application defining column Row set or column set defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Row set or column set name Row set or column set No longer used No longer used Row set or column set description Column set header No longer used Override segment GL# or GLAT Key flexfield structure defining column Descriptive flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
Column Descriptions Name ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield segment segment segment segment segment segment segment segment segment segment
Sequence 1 1 2 3
RG_REPORT_AXIS_SETS_U1 RG_REPORT_AXIS_SETS_U2
RG_REPORT_CALCULATIONS
RG_REPORT_CALCULATIONS stores information about all of the calculations defined in Financial Statement Generator. Each row includes an axis set identifier and an axis sequence which are used to link the calculations to a particular row or column. It also contains information about one specific calculation operation defined in Financial Statement Generator.
Foreign Keys Primary Key Table RG_REPORT_AXES RG_REPORT_AXES RG_REPORT_AXES RG_REPORT_AXES RG_REPORT_AXES
Primary Key Column AXIS_SET_ID AXIS_SEQ AXIS_SET_ID AXIS_SEQ AXIS_SET_ID AXIS_SEQ AXIS_SET_ID AXIS_NAME AXIS_SET_ID AXIS_NAME
Foreign Key Column AXIS_SET_ID AXIS_SEQ AXIS_SET_ID AXIS_SEQ_HIGH AXIS_SET_ID AXIS_SEQ_LOW AXIS_SET_ID AXIS_NAME_LOW AXIS_SET_ID AXIS_NAME_HIGH
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER NOT NULL NUMBER NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) DATE NUMBER(15)
Description Application defining column Defining column for the column set or row set these calculations belong to Sequence number of the column or row these calculations belong to Sequence number of the calculation step Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column
CALCULATION_SEQ
Column Descriptions Name OPERATOR AXIS_SEQ_LOW AXIS_SEQ_HIGH AXIS_NAME_LOW AXIS_NAME_HIGH CONSTANT CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name
(Continued) Null? Type NULL VARCHAR2(10) NULL NUMBER NULL NUMBER NULL VARCHAR2(30) NULL VARCHAR2(30) NULL NUMBER NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Operator to use in the calculation Sequence number range low to perform calculation with Sequence number range high to perform calculation with Name of column or row to perform calculation with Name of column or row to perform calculation with (same as axis_name_low) Constant value to perform calculation with Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
Sequence 1 2
RG_REPORT_CALCULATIONS_N1
RG_REPORT_CONTENT_OVERRIDES
RG_REPORT_CONTENT_OVERRIDES stores information about all of the content overrides defined in Financial Statement Generator. Each row includes a content set identifier and a specific set of override contents associated with the content set identifier. It also contains information about one set of content overrides. Financial Statement Generator links report content overrides to a override set. Financial Statement Generator then uses the combination of the content override and the report content set to override specific segment values in a row set or a column set.
Foreign Keys Primary Key Table RG_REPORT_CONTENT_SETS QuickCodes Columns Column RANGE_MODE
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(15)
Description Application defining column Defining column for the content set these flexfield ranges belong to Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Sequence number for this flexfield range Summary flag indicating whether summary values are in the flexfield range Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type
LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY OVERRIDE_SEQ (PK) RANGE_MODE SEGMENT1_LOW SEGMENT1_HIGH SEGMENT1_TYPE SEGMENT2_LOW SEGMENT2_HIGH SEGMENT2_TYPE SEGMENT3_LOW SEGMENT3_HIGH SEGMENT3_TYPE SEGMENT4_LOW SEGMENT4_HIGH SEGMENT4_TYPE
NULL VARCHAR2(1) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2)
Column Descriptions Name SEGMENT5_LOW SEGMENT5_HIGH SEGMENT5_TYPE SEGMENT6_LOW SEGMENT6_HIGH SEGMENT6_TYPE SEGMENT7_LOW SEGMENT7_HIGH SEGMENT7_TYPE SEGMENT8_LOW SEGMENT8_HIGH SEGMENT8_TYPE SEGMENT9_LOW SEGMENT9_HIGH SEGMENT9_TYPE SEGMENT10_LOW SEGMENT10_HIGH SEGMENT10_TYPE SEGMENT11_LOW SEGMENT11_HIGH SEGMENT11_TYPE SEGMENT12_LOW SEGMENT12_HIGH SEGMENT12_TYPE SEGMENT13_LOW SEGMENT13_HIGH SEGMENT13_TYPE SEGMENT14_LOW SEGMENT14_HIGH SEGMENT14_TYPE SEGMENT15_LOW SEGMENT15_HIGH SEGMENT15_TYPE SEGMENT16_LOW SEGMENT16_HIGH SEGMENT16_TYPE SEGMENT17_LOW SEGMENT17_HIGH SEGMENT17_TYPE SEGMENT18_LOW SEGMENT18_HIGH SEGMENT18_TYPE SEGMENT19_LOW SEGMENT19_HIGH SEGMENT19_TYPE SEGMENT20_LOW SEGMENT20_HIGH SEGMENT20_TYPE SEGMENT21_LOW SEGMENT21_HIGH SEGMENT21_TYPE SEGMENT22_LOW SEGMENT22_HIGH SEGMENT22_TYPE
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) Description Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Key Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield range segment range segment segment type range segment range segment segment type range segment range segment segment type range segment range segment segment type range segment range segment segment type range segment range segment segment type range segment range segment segment type range segment range segment segment type range segment range segment segment type range segment range segment segment type range segment range segment segment type range segment range segment segment type range segment range segment segment type range segment range segment segment type range segment range segment segment type range segment range segment segment type range segment range segment segment type range segment range segment segment type
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(60) VARCHAR2(60) VARCHAR2(2) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(60) Description Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Key Flexfield range segment Key Flexfield range segment Key Flexfield segment type Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials)
SEGMENT23_LOW SEGMENT23_HIGH SEGMENT23_TYPE SEGMENT24_LOW SEGMENT24_HIGH SEGMENT24_TYPE SEGMENT25_LOW SEGMENT25_HIGH SEGMENT25_TYPE SEGMENT26_LOW SEGMENT26_HIGH SEGMENT26_TYPE SEGMENT27_LOW SEGMENT27_HIGH SEGMENT27_TYPE SEGMENT28_LOW SEGMENT28_HIGH SEGMENT28_TYPE SEGMENT29_LOW SEGMENT29_HIGH SEGMENT29_TYPE SEGMENT30_LOW SEGMENT30_HIGH SEGMENT30_TYPE CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 SEGMENT_ATTRIBUTE1_LOW SEGMENT_ATTRIBUTE1_HIGH SEGMENT_ATTRIBUTE1_TYPE SEGMENT_ATTRIBUTE2_LOW SEGMENT_ATTRIBUTE2_HIGH SEGMENT_ATTRIBUTE2_TYPE SEGMENT_ATTRIBUTE3_LOW SEGMENT_ATTRIBUTE3_HIGH
NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60)
(Continued) Null? Type NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) Description Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials)
SEGMENT_ATTRIBUTE3_TYPE SEGMENT_ATTRIBUTE4_LOW SEGMENT_ATTRIBUTE4_HIGH SEGMENT_ATTRIBUTE4_TYPE SEGMENT_ATTRIBUTE5_LOW SEGMENT_ATTRIBUTE5_HIGH SEGMENT_ATTRIBUTE5_TYPE SEGMENT_ATTRIBUTE6_LOW SEGMENT_ATTRIBUTE6_HIGH SEGMENT_ATTRIBUTE6_TYPE SEGMENT_ATTRIBUTE7_LOW SEGMENT_ATTRIBUTE7_HIGH SEGMENT_ATTRIBUTE7_TYPE SEGMENT_ATTRIBUTE8_LOW SEGMENT_ATTRIBUTE8_HIGH SEGMENT_ATTRIBUTE8_TYPE SEGMENT_ATTRIBUTE9_LOW SEGMENT_ATTRIBUTE9_HIGH SEGMENT_ATTRIBUTE9_TYPE SEGMENT_ATTRIBUTE10_LOW SEGMENT_ATTRIBUTE10_HIGH SEGMENT_ATTRIBUTE10_TYPE SEGMENT_ATTRIBUTE11_LOW SEGMENT_ATTRIBUTE11_HIGH SEGMENT_ATTRIBUTE11_TYPE SEGMENT_ATTRIBUTE12_LOW SEGMENT_ATTRIBUTE12_HIGH SEGMENT_ATTRIBUTE12_TYPE SEGMENT_ATTRIBUTE13_LOW SEGMENT_ATTRIBUTE13_HIGH
(Continued) Null? Type NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) Description Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials)
SEGMENT_ATTRIBUTE13_TYPE SEGMENT_ATTRIBUTE14_LOW SEGMENT_ATTRIBUTE14_HIGH SEGMENT_ATTRIBUTE14_TYPE SEGMENT_ATTRIBUTE15_LOW SEGMENT_ATTRIBUTE15_HIGH SEGMENT_ATTRIBUTE15_TYPE SEGMENT_ATTRIBUTE16_LOW SEGMENT_ATTRIBUTE16_HIGH SEGMENT_ATTRIBUTE16_TYPE SEGMENT_ATTRIBUTE17_LOW SEGMENT_ATTRIBUTE17_HIGH SEGMENT_ATTRIBUTE17_TYPE SEGMENT_ATTRIBUTE18_LOW SEGMENT_ATTRIBUTE18_HIGH SEGMENT_ATTRIBUTE18_TYPE SEGMENT_ATTRIBUTE19_LOW SEGMENT_ATTRIBUTE19_HIGH SEGMENT_ATTRIBUTE19_TYPE SEGMENT_ATTRIBUTE20_LOW SEGMENT_ATTRIBUTE20_HIGH SEGMENT_ATTRIBUTE20_TYPE SEGMENT_ATTRIBUTE21_LOW SEGMENT_ATTRIBUTE21_HIGH SEGMENT_ATTRIBUTE21_TYPE SEGMENT_ATTRIBUTE22_LOW SEGMENT_ATTRIBUTE22_HIGH SEGMENT_ATTRIBUTE22_TYPE SEGMENT_ATTRIBUTE23_LOW SEGMENT_ATTRIBUTE23_HIGH
(Continued) Null? Type NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) Description Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials)
SEGMENT_ATTRIBUTE23_TYPE SEGMENT_ATTRIBUTE24_LOW SEGMENT_ATTRIBUTE24_HIGH SEGMENT_ATTRIBUTE24_TYPE SEGMENT_ATTRIBUTE25_LOW SEGMENT_ATTRIBUTE25_HIGH SEGMENT_ATTRIBUTE25_TYPE SEGMENT_ATTRIBUTE26_LOW SEGMENT_ATTRIBUTE26_HIGH SEGMENT_ATTRIBUTE26_TYPE SEGMENT_ATTRIBUTE27_LOW SEGMENT_ATTRIBUTE27_HIGH SEGMENT_ATTRIBUTE27_TYPE SEGMENT_ATTRIBUTE28_LOW SEGMENT_ATTRIBUTE28_HIGH SEGMENT_ATTRIBUTE28_TYPE SEGMENT_ATTRIBUTE29_LOW SEGMENT_ATTRIBUTE29_HIGH SEGMENT_ATTRIBUTE29_TYPE SEGMENT_ATTRIBUTE30_LOW SEGMENT_ATTRIBUTE30_HIGH SEGMENT_ATTRIBUTE30_TYPE SEGMENT_ATTRIBUTE31_LOW SEGMENT_ATTRIBUTE31_HIGH SEGMENT_ATTRIBUTE31_TYPE SEGMENT_ATTRIBUTE32_LOW SEGMENT_ATTRIBUTE32_HIGH SEGMENT_ATTRIBUTE32_TYPE SEGMENT_ATTRIBUTE33_LOW SEGMENT_ATTRIBUTE33_HIGH
(Continued) Null? Type NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) NULL VARCHAR2(60) NULL VARCHAR2(60) NULL VARCHAR2(2) Description Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials) Reporting Attribute Segment (Public Sector Financials)
SEGMENT_ATTRIBUTE33_TYPE SEGMENT_ATTRIBUTE34_LOW SEGMENT_ATTRIBUTE34_HIGH SEGMENT_ATTRIBUTE34_TYPE SEGMENT_ATTRIBUTE35_LOW SEGMENT_ATTRIBUTE35_HIGH SEGMENT_ATTRIBUTE35_TYPE SEGMENT_ATTRIBUTE36_LOW SEGMENT_ATTRIBUTE36_HIGH SEGMENT_ATTRIBUTE36_TYPE SEGMENT_ATTRIBUTE37_LOW SEGMENT_ATTRIBUTE37_HIGH SEGMENT_ATTRIBUTE37_TYPE SEGMENT_ATTRIBUTE38_LOW SEGMENT_ATTRIBUTE38_HIGH SEGMENT_ATTRIBUTE38_TYPE SEGMENT_ATTRIBUTE39_LOW SEGMENT_ATTRIBUTE39_HIGH SEGMENT_ATTRIBUTE39_TYPE SEGMENT_ATTRIBUTE40_LOW SEGMENT_ATTRIBUTE40_HIGH SEGMENT_ATTRIBUTE40_TYPE SEGMENT_ATTRIBUTE41_LOW SEGMENT_ATTRIBUTE41_HIGH SEGMENT_ATTRIBUTE41_TYPE SEGMENT_ATTRIBUTE42_LOW SEGMENT_ATTRIBUTE42_HIGH SEGMENT_ATTRIBUTE42_TYPE
Sequence 1 2
RG_REPORT_CONTENT_SETS
RG_REPORT_CONTENT_SETS stores information about all of the content sets currently defined in Financial Statement Generator. Each row includes a content set identifier, a name, and a structure identifier that links account assignments to the content set. Financial Statement Generator uses this information to link the content set to content overrides and then uses the combination of the content set and content overrides to override specific row or column account segment values at the report level.
Foreign Keys Primary Key Table FND_ID_FLEX_STRUCTURES
Column Descriptions Name APPLICATION_ID CONTENT_SET_ID (PK) LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY NAME REPORT_RUN_TYPE ID_FLEX_CODE STRUCTURE_ID DESCRIPTION CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(30) VARCHAR2(1)
Description Application defining column Content set defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Content set name Report run type (parallel or sequential) GL# or GLAT Key Flexfield structure defining column Content set description Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
NOT NULL VARCHAR2(4) NOT NULL NUMBER(15) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(240) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
(Continued) Null? Type Description NULL VARCHAR2(150) Descriptive Flexfield segment NULL VARCHAR2(150) Descriptive Flexfield segment
Sequence 1 1 2
RG_REPORT_CONTENT_SETS_U1 RG_REPORT_CONTENT_SETS_U2
RG_REPORT_DISPLAYS
RG_REPORT_DISPLAYS stores report display group assignments to report display sets. Each row includes a sequence number, a row group, a column group and a description. It also includes a display flag to determine whether the value will be displayed or not.
Foreign Keys Primary Key Table RG_REPORT_DISPLAY_GROUPS RG_REPORT_DISPLAY_GROUPS RG_REPORT_DISPLAY_SETS QuickCodes Columns Column DISPLAY_FLAG
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) VARCHAR2(1)
Description Report display group defining column Report display set defining column Display sequence in the display set Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Flag to determine whether the value will be displayed Row display group defining column Column display group defining column Report display descriptions context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
REPORT_DISPLAY_SET_ID SEQUENCE CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN DISPLAY_FLAG ROW_GROUP_ID COLUMN_GROUP_ID DESCRIPTION CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14
NULL NUMBER(15) NULL NUMBER(15) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(240) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Sequence 1 1 1 1 2
RG_REPORT_DISPLAY_GROUPS
RG_REPORT_DISPLAY_GROUPS stores report display groups information which is used in report display sets. Each row includes a row set identifier, a column set identifier and a range of sequences.
Foreign Keys Primary Key Table RG_REPORT_AXIS_SETS RG_REPORT_AXIS_SETS Column Descriptions Name REPORT_DISPLAY_GROUP_ID NAME CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN FROM_SEQUENCE TO_SEQUENCE DESCRIPTION ROW_SET_ID COLUMN_SET_ID CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name RG_REPORT_DISPLAY_GROUPS_U1 RG_REPORT_DISPLAY_GROUPS_U2 Sequences Sequence RG_REPORT_DISPLAY_GROUPS_S (PK)
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) VARCHAR2(30) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER NUMBER VARCHAR2(240) NUMBER(15) NUMBER(15) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Display group defining column Report display group name Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Starting axis sequence Ending axis sequence Report display group description Row set defining column Column set defining column Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
Sequence 1 1
RG_REPORT_DISPLAY_SETS
RG_REPORT_DISPLAY_SETS stores information about report display sets currently defined in Financial Statement Generator. Each row includes a report display set identifier, a report display set name, a row set identifier and a column set identifier. Financial Statement Generator uses the Display Set form to define report display sets for specific row and column sets or generic report display sets which work with any row and column set. You can even create report display sets which work with only one row set but without any column set or vice versa. You cannot delete a report display set if it is used in any report.
Foreign Keys Primary Key Table RG_REPORT_AXIS_SETS RG_REPORT_AXIS_SETS Column Descriptions Name REPORT_DISPLAY_SET_ID NAME CREATION_DATE CREATED_BY LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN ROW_SET_ID COLUMN_SET_ID DESCRIPTION CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name RG_REPORT_DISPLAY_SETS_N1 (PK)
Null? Type NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) VARCHAR2(30) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER(15) NUMBER(15) VARCHAR2(240) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Description Display set defining column Report display set name Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Row set defining column Column set defining column Report display set description Descriptive flexfield context Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment Descriptive flexfield segment
Sequence 1
Indexes (Continued) Index Name RG_REPORT_DISPLAY_SETS_N2 RG_REPORT_DISPLAY_SETS_U1 RG_REPORT_DISPLAY_SETS_U2 Sequences Sequence RG_REPORT_DISPLAY_SETS_S
Sequence 1 1 1
RG_REPORT_EXCEPTIONS
RG_REPORT_EXCEPTIONS stores information about the conditions that must be met in order for each exception to be true. Each row contains an axis set identifier, an axis sequence number, an exception identifier, and a condition. Financial Statement Generator uses this information to link exception conditions and the exception flag to a particular column in a column set. You can define only one flag and one set of conditions per column.
Foreign Keys Primary Key Table RG_REPORT_AXES
QuickCodes Table RG_LOOKUPS Less Than Less Than or Equal To Not Equal Equal Greater Than Greater Than or Equal To
Column Descriptions Name APPLICATION_ID AXIS_SET_ID AXIS_SEQ EXCEPTION_ID (PK) LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY CONDITION
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(2)
Description Application defining column Defining column for the column set the exception refers to Sequence number of the column the exception is defined on Exception defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Condition for this exception (>, CONSTANT NOT NULL NUMBER Constant value to compare column value against Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
Column Descriptions Name ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield segment segment segment segment segment segment segment
Sequence 1 2 3
RG_REPORT_EXCEPTIONS_N1
RG_REPORT_EXCEPTION_FLAGS
RG_REPORT_EXCEPTION_FLAGS stores information about all of the symbols used to indicate exceptions and descriptions of the symbols. Each row contains information about one particular symbol used to indicate an exception, the description of the symbol, an axis set identifier, an axis sequence number, and an exception identifier. Financial Statement Generator uses this information to link the exception flag to a set of exception conditions assigned in a particular column.
Foreign Keys Primary Key Table RG_REPORT_AXES RG_REPORT_EXCEPTIONS Column Descriptions Name APPLICATION_ID AXIS_SET_ID AXIS_SEQ EXCEPTION_ID (PK) LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY FLAG DESCRIPTION CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL NUMBER NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(1)
Description Application defining column Defining column for the column set this exception refers to Sequence number of the column this exception is defined on Exception defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Flag to use on the report to mark records meeting the exception Description of the exception that uses this flag Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
NULL VARCHAR2(30) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Sequence 1 1 2
RG_REPORT_PARAMETERS
RG_REPORT_PARAMETERS stores information about the budgets, encumbrances, and currencies associated with reports for Financial Statement Generator. Each row includes a parameter set identifier, a parameter identifier, a parameter number, and a data type to identify whether Financial Statement Generator is using budget, encumbrance, or currency information.
Foreign Keys Primary Key Table FND_CURRENCIES GL_BUDGET_VERSIONS GL_ENCUMBRANCE_TYPES QuickCodes Columns Column CURRENCY_TYPE
Column Descriptions Name PARAMETER_SET_ID (PK) LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY PARAMETER_NUM (PK) DATA_TYPE (PK)
Null? Type NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(15)
Description Parameter set defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Control value when defining rows or columns Indicates budget, encumbrance and currency data Indicates budget or encumbrance id Currency Type of currency ( translated or entered ) Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
NOT NULL VARCHAR2(1) NULL NUMBER(15) NULL VARCHAR2(30) NULL VARCHAR2(1) NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
PARAMETER_ID UNIT_OF_MEASURE_ID CURRENCY_TYPE CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14
Sequence 1 1 2 3
RG_REPORT_PARAMETERS_N1 RG_REPORT_PARAMETERS_U1
RG_REPORT_REQUESTS
RG_REPORT_REQUESTS stores information about the reports in a report set in Financial Statement Generator. It also tracks information about the report submissions. Each row includes a report identifier, a row set identifier, a column set identifier, and a sequence number for a report in a report set. Financial Statement Generator uses this information to join all of the report components together for creating financial statements. The report request may belong to, and be submitted for, analysis as part of a report set, or the report request may be submitted as an independent request.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS FND_CURRENCIES FND_ID_FLEX_STRUCTURES GL_SETS_OF_BOOKS RG_REPORTS RG_REPORT_CONTENT_SETS RG_REPORT_DISPLAY_SETS RG_REPORT_SETS RG_ROW_ORDERS QuickCodes Columns Column EXCEPTIONS_FLAG
Primary Key Column REQUEST_ID CURRENCY_CODE ID_FLEX_NUM ID_FLEX_CODE APPLICATION_ID SET_OF_BOOKS_ID REPORT_ID CONTENT_SET_ID REPORT_DISPLAY_SET_ID REPORT_SET_ID ROW_ORDER_ID
Foreign Key Column CONCURRENT_REQUEST_ID UNIT_OF_MEASURE_ID STRUCTURE_ID ID_FLEX_CODE APPLICATION_ID SET_OF_BOOKS_ID REPORT_ID CONTENT_SET_ID REPORT_DISPLAY_SET_ID REPORT_SET_ID ROW_ORDER_ID
QuickCodes Table RG_LOOKUPS No Yes RG_LOOKUPS No Yes RG_LOOKUPS Spreadsheet Text Tab Delimited RG_LOOKUPS Calculate Then Round Round Then Calculate
FORM_SUBMISSION_FLAG
OUTPUT_OPTION
ROUNDING_OPTION
Null? Type NOT NULL NUMBER(15) NOT NULL NUMBER(15) NOT NULL DATE
Description Application defining column Primary key for table Standard Who column
(Continued) Null? Type NOT NOT NOT NOT NULL NULL NULL NULL NULL NUMBER(15) NUMBER(15) DATE NUMBER(15) DATE Description Standard Who column Standard Who column Standard Who column Standard Who column Accounting date for which report is to be run NUMBER(15) Report defining column NUMBER Report sequence in the report set VARCHAR2(1) Flag used to indicate whether the request has been submitted by the form NUMBER(15) System generated id used to monitor job using concurrent manager NUMBER(15) Report set defining column NUMBER(15) Content set defining column NUMBER(15) Row order defining column VARCHAR2(1) Display only exception rows flag VARCHAR2(1) Rounding method NUMBER(15) Accounting books defining column NUMBER(15) Report display set defining column VARCHAR2(4) GL# or GLAT NUMBER(15) Key Flexfield structure defining column VARCHAR2(2000) Segment override value VARCHAR2(15) Period for which report is to be run VARCHAR2(30) Currency VARCHAR2(30) Descriptive Flexfield context VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(150) Descriptive Flexfield segment VARCHAR2(30) RG_RUNTIME_OPTION descriptive flexfield structure defining column VARCHAR2(1) Output option
LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY ACCOUNTING_DATE REPORT_ID SEQUENCE FORM_SUBMISSION_FLAG CONCURRENT_REQUEST_ID REPORT_SET_ID CONTENT_SET_ID ROW_ORDER_ID EXCEPTIONS_FLAG ROUNDING_OPTION SET_OF_BOOKS_ID REPORT_DISPLAY_SET_ID ID_FLEX_CODE STRUCTURE_ID SEGMENT_OVERRIDE PERIOD_NAME UNIT_OF_MEASURE_ID CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 RUNTIME_OPTION_CONTEXT OUTPUT_OPTION Indexes Index Name RG_REPORT_REQUESTS_N1 RG_REPORT_REQUESTS_N2
NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL
Sequence 1 1
Sequence 1 2 1
RG_REPORT_SETS
RG_REPORT_SETS stores information about all of the report sets defined in Financial Statement Generator. Each row includes a report set identifier, an application identifier and the name of the report set.
Foreign Keys Primary Key Table FND_CURRENCIES FND_ID_FLEX_STRUCTURES
Column Descriptions Name APPLICATION_ID REPORT_SET_ID (PK) LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY NAME ID_FLEX_CODE PERIOD_TYPE PERIOD_NAME STRUCTURE_ID DESCRIPTION CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6 ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 UNIT_OF_MEASURE_ID
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(30) VARCHAR2(4) VARCHAR2(15) VARCHAR2(15) NUMBER(15) VARCHAR2(240) VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(30)
Description Application defining column Report set defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Name of report set GL# or GLAT No longer used No longer used Key Flexfield structure defining column Description of the report set Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Default currency of the report set
Sequence 1
Sequence 1 2
RG_REPORT_STANDARD_AXES
RG_REPORT_STANDARD_AXES stores information about all the amount types used for reporting by Financial Statement Generator. This information is represented by periodtodate, quartertodate, and yeartodate budget, encumbrance, and actual amounts. Each row includes a standard axis identifier, a name, a class and the axis identifiers of those amount types used to create this one. Financial Statement Generator uses this information to define the contents of rows and columns in terms of whether the amounts are periodtodate, quartertodate, or yeartodate budget, encumbrance, or actual amounts. This table is seeded during installation.
Foreign Keys Primary Key Table RG_REPORT_STANDARD_AXES RG_REPORT_STANDARD_AXES RG_SIMPLE_WHERE_CLAUSES QuickCodes Columns Column AXIS1_OPERATOR
QuickCodes Table RG_LOOKUPS Multiply Add Subtract Divide RG_LOOKUPS Multiply Add Subtract Divide RG_LOOKUPS Calculated Primitive RG_LOOKUPS No Yes RG_LOOKUPS No Yes RG_LOOKUPS No Yes
AXIS2_OPERATOR
CLASS
DISPLAY_IN_STANDARD_LIST_FLAG
SIGN_FLAG
VARIANCE_FLAG
Column Descriptions Name APPLICATION_ID STANDARD_AXIS_ID (PK) LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY STANDARD_AXIS_NAME CLASS DISPLAY_IN_STANDARD_LIST_FLAG PRECEDENCE_LEVEL DATABASE_COLUMN SIMPLE_WHERE_NAME PERIOD_QUERY STANDARD_AXIS1_ID AXIS1_OPERATOR STANDARD_AXIS2_ID AXIS2_OPERATOR CONSTANT DESCRIPTION VARIANCE_FLAG SIGN_FLAG Indexes Index Name RG_REPORT_STANDARD_AXES_U1 RG_REPORT_STANDARD_AXES_U2
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(30) VARCHAR2(1)
Description
Application defining column Standard axis defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Name of standard axis Class of standard axis, calculated or primitive NOT NULL VARCHAR2(1) Indicated whether to display in quickpick NOT NULL NUMBER(2) Determine which precedence level this amount type should use in calculation NULL VARCHAR2(30) Indicates column in the data storage table to find the standard axis NULL VARCHAR2(30) Query for this standard axis NULL LONG Query to find the period name NULL NUMBER(15) First amount type that used to create this one NULL VARCHAR2(1) Operator used in first amount type NULL NUMBER(15) Second amount type that use to create this one NULL VARCHAR2(1) Operator used in second amount type NULL NUMBER Constant used for calculation NULL VARCHAR2(240) Description of the standard axis NULL VARCHAR2(1) Determine whether amount type is variance NULL VARCHAR2(1) No longer used
Sequence 1 1
RG_REPORT_SUB_REQUEST_RUNS
RG_REPORT_SUB_REQUEST_RUNS stores the override segment number and value to be used by the Financial Statement Generator program, along with a systemgenerated subrequest run identifier, the concurrent request identifier, and the override sequence number for the content. The values in the table are inserted by the FSG Controller program.
Foreign Keys Primary Key Table FND_CONCURRENT_REQUESTS Column Descriptions Name SUB_REQUEST_RUN_ID CREATED_BY CREATION_DATE LAST_UPDATED_BY LAST_UPDATE_DATE LAST_UPDATE_LOGIN PROGRAM_APPLICATION_ID PROGRAM_ID PROGRAM_UPDATE_DATE REQUEST_ID OVERRIDE_SEG_NUMBER OVERRIDE_SEG_NAME OVERRIDE_SEG_VALUE OVERRIDE_CONTENT_SEQ PARENT_REQUEST_ID PRINT_WIDTH Indexes Index Name RG_REPORT_SUB_REQUEST_RUNS_N1 Sequences Sequence RG_REPORT_SUB_REQUEST_RUNS_S
Null? Type NOT NULL NUMBER(15) NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) DATE NUMBER(15) DATE NUMBER(15) NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(4) VARCHAR2(30) VARCHAR2(60) NUMBER(15)
Description Sub request report defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Enhanced Who column Enhanced Who column Enhanced Who column Enhanced Who column Override segment number Override segment name Override segment value Sequence of the override content set Concurrent request defining column of the parent request Report width for printing
Sequence 1
RG_ROW_ORDERS
RG_ROW_ORDERS stores information about how to expand rows in a report. Each row includes a row order identifier, a row rank type (ascending or descending), the name and sequence number of the column used to rank the report and the row order name used to identify that particular row order. Financial Statement Generator uses this information to order the values in an expanded row, by linking that row order to a particular row and/or row ranking sequence.
Foreign Keys Primary Key Table FND_ID_FLEX_STRUCTURES
Column Descriptions Name APPLICATION_ID ROW_ORDER_ID (PK) LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY NAME ROW_RANK_TYPE ID_FLEX_CODE STRUCTURE_ID DESCRIPTION COLUMN_NUMBER COLUMN_NAME CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) VARCHAR2(30) VARCHAR2(1)
Description Application defining column Row order defining column Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Name of this row order Indicates whether report information is ranked in ascending or descending order GL# or GLAT Key Flexfield structure defining column Description of the row order The sequence number of the column used to rank your report The name of the column used to rank the report. Denormalized from RG_REPORT_AXES Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
NULL VARCHAR2(4) NULL NUMBER(15) NULL VARCHAR2(240) NULL NUMBER(15) NULL VARCHAR2(30) NULL NULL NULL NULL NULL NULL NULL VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Column Descriptions Name ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name RG_ROW_ORDERS_U1 RG_ROW_ORDERS_U2
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield segment segment segment segment segment segment segment segment segment
Sequence 1 1 2
RG_ROW_SEGMENT_SEQUENCES
RG_ROW_SEGMENT_SEQUENCES stores different segment sequence information currently defined in Financial Statement Generator. Financial Statement Generator uses this information to arrange segments and to link the segment arrangement in a particular row order.
Foreign Keys Primary Key Table RG_ROW_ORDERS QuickCodes Columns Column SEG_DISPLAY_TYPE
QuickCodes Table RG_LOOKUPS Value and Description Description Value RG_LOOKUPS Description Alphabetically Ranking Value Alphabetically
SEG_ORDER_TYPE
Column Descriptions Name APPLICATION_ID ROW_ORDER_ID ROW_SEGMENT_SEQUENCE_ID LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY SEGMENT_SEQUENCE SEG_ORDER_TYPE SEG_DISPLAY_TYPE STRUCTURE_ID SEGMENT_NAME SEGMENT_WIDTH CONTEXT ATTRIBUTE1 ATTRIBUTE2 ATTRIBUTE3 ATTRIBUTE4 ATTRIBUTE5 ATTRIBUTE6
Null? Type NOT NOT NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL NULL NULL NUMBER(15) NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(15)
Description Application defining column Row order defining column Primary key for table Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column The sequence that the flexfield segment appears on the report Indicates whether the segments are ordered alphabetically or by the column ranking Indicates whether the flexfield segment value and/or description is displayed Key Flexfield structure defining column The name of the segment used for sequencing. Denormalized from FND_ID_FLEX_SEGMENTS The number of characters that display on the report for a flexfield segment Descriptive Flexfield context Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment Descriptive Flexfield segment
(PK)
NOT NULL VARCHAR2(1) NOT NULL VARCHAR2(1) NOT NULL NUMBER(15) NULL VARCHAR2(30) NULL NUMBER(15) NULL NULL NULL NULL NULL NULL NULL VARCHAR2(30) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150)
Column Descriptions Name ATTRIBUTE7 ATTRIBUTE8 ATTRIBUTE9 ATTRIBUTE10 ATTRIBUTE11 ATTRIBUTE12 ATTRIBUTE13 ATTRIBUTE14 ATTRIBUTE15 Indexes Index Name
(Continued) Null? Type NULL NULL NULL NULL NULL NULL NULL NULL NULL VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) VARCHAR2(150) Description Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Descriptive Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield Flexfield segment segment segment segment segment segment segment segment segment
Sequence 1 1 2 3 1 2 3
RG_SIMPLE_WHERE_CLAUSES
RG_SIMPLE_WHERE_CLAUSES stores information about the values for columns in GL_BALANCES and GL_CODE_COMBINATIONS. Each row includes a name, a column name, and a value. Each row contains information for one value for one column in GL_CODE_COMBINATIONS and GL_BALANCES. Financial Statement Generator uses this information to determine whether the data returned from GL_BALANCES are budget, encumbrance, or actual values.
Column Descriptions Name SIMPLE_WHERE_NAME WHERE_COLUMN WHERE_VALUE
Description
Name of where clause used to load seeded amount types NOT NULL VARCHAR2(30) Name of column this where clause is defined on NOT NULL VARCHAR2(240) Value of the where column that the where clause is created with
RG_TABLE_SIZES
RG_TABLE_SIZES stores the number of rows in various Oracle General Ledger tables. Each row includes a table identifier and the number of rows in the table. Financial Statement Generator uses this information to optimize queries.
Column Descriptions Name LAST_UPDATE_DATE LAST_UPDATED_BY LAST_UPDATE_LOGIN CREATION_DATE CREATED_BY TABLE_ID (PK) NUMBER_ROWS Indexes Index Name RG_TABLE_SIZES_U1
Null? Type NOT NOT NOT NOT NOT NOT NOT NULL NULL NULL NULL NULL NULL NULL DATE NUMBER(15) NUMBER(15) DATE NUMBER(15) NUMBER(2) NUMBER(15)
Description Standard Who column Standard Who column Standard Who column Standard Who column Standard Who column Table defining column Number of records in this table
Sequence 1
Index
A
Application Building Block, 1 8
G
GLOBAL_ATTRIBUTE columns, 3 6
I
Indexes, 3 6 important note about, 3 6 Internal View List, 2 43
C
Column descriptions, 3 4 Columns, Who, 3 4 Concurrent Program List, 2 51 See also Concurrent Program Definitions countryspecific localizations, 3 6
L
Lookup types. See QuickCodes
M
Module List, 2 45 See also Module Definitions Modules, 1 8 Multilingual View List, 2 44
D
Database Diagram, 1 8 Summary Database Diagram, 1 8 database diagrams conventions, 2 7 summary, 2 6 Database triggers, 3 7
O
Oracle8 sequences. See Sequences
P F
Foreign keys, 3 3 Form, 1 9 Form List, 2 45 See also Form Definitions Forms and Table View List, 2 36 Public Table List, 2 23 Public View List, 2 35
Q
QuickCodes, 1 8 Columns that contain, 3 3
Index 1
R
Relationship, 1 8 Report List, 2 48 See also Report Definitions
S
Sequences, 3 6 summary database diagram. See database diagrams
T
Table and View Definitions AP_CHECKS_ALL, 3 8 AP_INVOICE_DISTRIBUTIONS_ALL, 3 24 AP_INVOICES_ALL, 3 16 AP_SYSTEM_PARAMETERS_ALL, 3 37 FINANCIALS_SYSTEM_PARAMS_ALL, 3 47 FND_CURRENCIES, 3 51 FND_DUAL, 3 54 GL_ACCOUNT_HIERARCHIES, 3 55 GL_ALL_BUD_ORGS_VIEW, 3 72 GL_ALL_ENC_TYPES_VIEW, 3 73 GL_ALL_JE_CATEGORY_NAME_VIEW, 3 74 GL_ALL_JE_SOURCE_NAME_VIEW, 3 75 GL_ALLOC_BATCHES, 3 56 GL_ALLOC_BATCHES_ACTIVE_V, 2 36 GL_ALLOC_BATCHES_LOV_V, 2 36 GL_ALLOC_BATCHES_V, 2 36 GL_ALLOC_FORMULA_LINES, 3 60 GL_ALLOC_FORMULA_LINES_V, 2 36 GL_ALLOC_FORMULAS, 3 58 GL_ALLOC_FORMULAS_LOV_V, 2 36 GL_ALLOC_FORMULAS_V, 2 36 GL_ALLOC_HISTORY, 3 63 GL_ALLOC_INTERIM_1, 3 64 GL_ALLOC_INTERIM_2, 3 66 GL_ALLOC_INTERIM_3, 3 68 GL_ALLOC_TARGETS, 3 70 GL_APPLICATION_GROUPS, 3 76
GL_ARCHIVE_BALANCES, 3 77 GL_ARCHIVE_BATCHES, 3 79 GL_ARCHIVE_DAILY_BALANCES, 3 82 GL_ARCHIVE_HEADERS, 3 94 GL_ARCHIVE_HISTORY, 3 98 GL_ARCHIVE_LINES, 3 100 GL_ARCHIVE_REFERENCES, 3 104 GL_AUTHORIZATION_LIMITS, 3 105 GL_AUTHORIZATION_LIMITS_V, 2 36 GL_AUTO_ALLOC_BAT_HIST_DET, 3 116 GL_AUTO_ALLOC_BAT_HIST_DET_V, 2 36 GL_AUTO_ALLOC_BATCH_HISTORY, 3 114 GL_AUTO_ALLOC_BATCH_HISTORY_V, 2 36 GL_AUTO_ALLOC_BATCHES, 3 112 GL_AUTO_ALLOC_BATCHES_V, 2 36 GL_AUTO_ALLOC_REV_BATCHES, 3 117 GL_AUTO_ALLOC_SET_HISTORY, 3 120 GL_AUTO_ALLOC_SET_HISTORY_V, 2 36 GL_AUTO_ALLOC_SETS, 3 118 GL_AUTO_ALLOC_SETS_V, 2 36 GL_AUTOMATIC_POSTING_OPTIONS, 3 106 GL_AUTOMATIC_POSTING_OPTIONS_V, 2 36 GL_AUTOMATIC_POSTING_SETS, 3 108 GL_AUTOMATIC_POSTING_SETS_V, 2 36 GL_AUTOREVERSE_OPTIONS, 3 110 GL_AUTOREVERSE_OPTIONS_V, 2 36 GL_AVGBAL_CALENDAR_V, 2 36 GL_BALANCES, 3 122 GL_BALANCES_V, 2 36 GL_BC_DUAL, 3 124 GL_BC_DUAL2, 3 125 GL_BC_EVENT_TIMESTAMPS, 3 126 GL_BC_OPTION_DETAILS, 3 128 GL_BC_OPTION_DETAILS_V, 2 36 GL_BC_OPTIONS, 3 127 GL_BC_PACKET_ARRIVAL_ORDER, 3 135 GL_BC_PACKETS, 3 130 GL_BC_PACKETS_V, 2 36 GL_BC_PERIOD_MAP, 3 136
Index 2
GL_BIS_IEA_TRAN_LINES_V, 2 43 GL_BIS_IEA_TRANS_RECEIVER_V, 2 43 GL_BIS_IEA_TRANS_SENDER_V, 2 43 GL_BUD_ASSGNMNT_PRD_RANGES_V, 2 37 GL_BUD_PERIOD_RANGES_V, 2 37 GL_BUD_REC_BATCHES_V, 2 37 GL_BUDGET_ASSIGNMENT_RANGES, 3 142 GL_BUDGET_ASSIGNMENT_RANGES_V, 2 37 GL_BUDGET_ASSIGNMENTS, 3 140 GL_BUDGET_ASSIGNMENTS_V, 2 37 GL_BUDGET_BATCHES, 3 146 GL_BUDGET_DEP_BALANCES_V, 2 37 GL_BUDGET_DEPENDENT_AMTS_V, 2 37 GL_BUDGET_DETAIL_BALANCES_V, 2 37 GL_BUDGET_ENTITIES, 3 147 GL_BUDGET_ENTITIES_CURRENT_V, 2 37 GL_BUDGET_ENTITIES_UNFROZEN_V, 2 37 GL_BUDGET_FROZEN_RANGES, 3 149 GL_BUDGET_INTERFACE, 3 152 GL_BUDGET_INTERIM, 3 155 GL_BUDGET_JOURNALS_V, 2 37 GL_BUDGET_PERIOD_RANGES, 3 158 GL_BUDGET_RANGE_INTERIM, 3 159 GL_BUDGET_TRANSFER_V, 2 37 GL_BUDGET_TYPES, 3 163 GL_BUDGET_VERSIONS, 3 164 GL_BUDGETS, 3 138 GL_BUDGETS_AUTOCOPY_V, 2 36 GL_BUDGETS_CONTROL_BUDGETS_V, 2 36 GL_BUDGETS_CURRENT_V, 2 36 GL_BUDGETS_NAME_V, 2 37 GL_BUDGETS_NO_JOURNALS_V, 2 37 GL_BUDGETS_REQUIRE_JOURNALS_V, 2 37 GL_BUDGETS_SOURCE_BUDGETS_V, 2 37 GL_BUDGETS_TARGET_BUDGETS_V, 2 37
GL_BUDGETS_V, 2 37 GL_BUDGETS_WITH_DATES_V, 2 37 GL_CARRYFORWARD_RANGES, 3 166 GL_CODE_COMBINATIONS, 3 169 GL_CODE_COMBINATIONS_KFV, 2 43 GL_CODE_COMBINATIONS_V, 2 37 GL_CONCURRENCY_CONTROL, 3 174 GL_CONCURRENT_SCHEDULES, 3 175 GL_CONS_BATCHES, 3 188 GL_CONS_BUDGET_NAMES_V, 2 37 GL_CONS_BUDGET_PERIODS_V, 2 37 GL_CONS_FLEX_HIERARCHIES, 3 192 GL_CONS_FLEXFIELD_MAP, 3 189 GL_CONS_FLEXFIELD_MAP_HIGH, 2 43 GL_CONS_FLEXFIELD_MAP_LOW, 2 43 GL_CONS_MAP_SET_V, 2 37 GL_CONS_ROLLUP_RANGES_V, 2 37 GL_CONS_SEGMENT_ACTIONS_V, 2 37 GL_CONS_SEGMENT_MAP, 3 193 GL_CONS_SEGMENT_MAP_V, 2 37 GL_CONS_SET_ASSIGN_V, 2 38 GL_CONS_SET_ASSIGNMENTS, 3 195 GL_CONS_SET_ASSIGNMENTS_V, 2 38 GL_CONS_SET_NAMES_V, 2 38 GL_CONSOLIDATION, 3 176 GL_CONSOLIDATION_ACCOUNTS, 3 178 GL_CONSOLIDATION_AUDIT, 3 181 GL_CONSOLIDATION_AUDIT_V, 2 37 GL_CONSOLIDATION_HISTORY, 3 183 GL_CONSOLIDATION_HISTORY_V, 2 37 GL_CONSOLIDATION_NAMES_V, 2 37 GL_CONSOLIDATION_SETS, 3 186 GL_CONSOLIDATION_V, 2 37 GL_CONTROL_BUDGET_BALANCES_V, 2 38 GL_DAILY_BALANCES, 3 196 GL_DAILY_BALANCES_V, 2 38 GL_DAILY_CONVERSION_TYPES, 3 211 GL_DAILY_CONVERSION_TYPES_V, 2 38 GL_DAILY_RATES, 3 212 GL_DAILY_RATES_INTERFACE, 3 214 GL_DAILY_RATES_V, 2 38 GL_DATE_PERIOD_MAP, 3 217 GL_DETAIL_AVERAGE_BALANCES_V, 2 38 GL_DETAIL_BALANCES_V, 2 38
Index 3
GL_DOC_SEQUENCE_AUDIT, 3 218 GL_DYNAMIC_SUMM_COMBINATIONS, 3 219 GL_ELIM_ACCOUNTS_MAP, 3 227 GL_ELIM_BAL_OPTIONS, 3 229 GL_ELIM_SET_HISTORY_V, 2 38 GL_ELIMINATION_HISTORY, 3 221 GL_ELIMINATION_HISTORY_V, 2 38 GL_ELIMINATION_JOURNALS, 3 223 GL_ELIMINATION_SETS, 3 225 GL_ENCUMBRANCE_TYPES, 3 231 GL_ENCUMBRANCE_TYPES_CURRENT_ V, 2 38 GL_ENCUMBRANCE_TYPES_V, 2 38 GL_ENTITY_BUDGETS, 3 232 GL_ENTITY_BUDGETS_V, 2 38 GL_FUNCTIONAL_BALANCES_V, 2 38 GL_HISTORICAL_RATE_RANGES, 3 235 GL_HISTORICAL_RATES, 3 233 GL_HISTORICAL_RATES_V, 2 38 GL_HR_EMPLOYEES_CURRENT_V, 2 43 GL_IEA_AUTOGEN_MAP, 3 238 GL_IEA_AUTOGEN_MAP_V, 2 38 GL_IEA_CLEARING_ACCOUNTS, 3 240 GL_IEA_IMPORT_REGISTRY, 3 241 GL_IEA_INTERFACE, 3 242 GL_IEA_RECUR_BATCHES, 3 245 GL_IEA_RECUR_BATCHES_V, 2 38 GL_IEA_RECUR_HISTORY, 3 247 GL_IEA_RECUR_LINES, 3 248 GL_IEA_RECUR_TRANSACTIONS, 3 250 GL_IEA_RECUR_TRANSACTIONS_V, 2 38 GL_IEA_SEGMENT_MAP, 3 252 GL_IEA_SEGMENT_MAP_V, 2 38 GL_IEA_SEGMENT_RULE_MAP, 3 254 GL_IEA_SEGMENT_RULE_MAP_V, 2 38 GL_IEA_SUBS_ACTIVE_V, 2 38 GL_IEA_SUBSIDIARIES, 3 256 GL_IEA_SUBSIDIARIES_MAP_V, 2 38 GL_IEA_TRANSACTION_LINES, 3 263 GL_IEA_TRANSACTION_TYPES, 3 265 GL_IEA_TRANSACTION_TYPES_MAP_V, 2 38 GL_IEA_TRANSACTION_TYPES_V, 2 38 GL_IEA_TRANSACTIONS, 3 258
GL_IEA_TRANSACTIONS_V, 2 38 GL_IEA_TYPES_ACTIVE_V, 2 38 GL_IMPORT_REFERENCES, 3 267 GL_INTERCO_ACCT_V, 2 38 GL_INTERCOMPANY_ACC_SETS, 3 271 GL_INTERCOMPANY_ACC_SETS_V, 2 38 GL_INTERCOMPANY_ACCOUNTS, 3 269 GL_INTERCOMPANY_ACCTS_V, 2 38 GL_INTERFACE, 3 273 GL_INTERFACE_CONTROL, 3 277 GL_INTERFACE_GROUPS_V, 2 39 GL_INTERFACE_HISTORY, 3 278 GL_INTERFACE_SOURCES_V, 2 39 GL_JE_BATCHES, 3 282 GL_JE_BATCHES_HEADERS_V, 2 39 GL_JE_BATCHES_LOV_V, 2 39 GL_JE_BATCHES_POST_V, 2 39 GL_JE_BATCHES_V, 2 39 GL_JE_CATEGORIES_TL, 3 286 GL_JE_CATEGORIES_V, 2 39 GL_JE_CATEGORIES_VL, 2 44 GL_JE_CATEGORY_NAMES_V, 2 39 GL_JE_CONS_BALANCES_V, 2 39 GL_JE_HEADERS, 3 287 GL_JE_HEADERS_LOV_V, 2 39 GL_JE_HEADERS_REVERSE_V, 2 39 GL_JE_HEADERS_V, 2 39 GL_JE_JOURNAL_LINES_V, 2 39 GL_JE_LINES, 3 292 GL_JE_LINES_V, 2 39 GL_JE_SOURCE_NAMES_V, 2 39 GL_JE_SOURCES_TL, 3 296 GL_JE_SOURCES_V, 2 39 GL_JE_SOURCES_VL, 2 44 GL_JOURNAL_REPORTS_ITF, 3 298 GL_JOURNAL_REPORTS_ITF_V, 2 39 GL_LOOKUPS, 2 44 GL_LOOKUPS_AMOUNT_TYPES_V, 2 39 GL_LOOKUPS_AVG_AMOUNT_TYPES_V, 2 39 GL_LOOKUPS_BATCH_TYPE_V, 2 39 GL_LOOKUPS_BOUNDARIES_V, 2 39 GL_LOOKUPS_BUDGET_INQ1_V, 2 39 GL_LOOKUPS_BUDGET_INQ3_V, 2 39 GL_LOOKUPS_BUDGET_STATUSES_V, 2 39 GL_LOOKUPS_FACTORS_V, 2 39
Index 4
GL_LOOKUPS_MJE_BATCH_STATUS_V, 2 39 GL_LOOKUPS_MJE_FUNDS_STATUS_V, 2 39 GL_LOOKUPS_PERIOD_STATUSES_V, 2 39 GL_LOOKUPS_RATE_TYPE_V, 2 39 GL_LOOKUPS_YES_NO_V, 2 39 GL_MC_BOOK_ASSIGNMENTS, 3 300 GL_MC_BOOK_ASSIGNMENTS_V, 2 40 GL_MC_CONVERSION_RULES, 3 301 GL_MC_REPORTING_OPTIONS, 3 303 GL_MC_UPGRADE_HISTORY, 3 306 GL_MC_UPGRADE_RATES, 3 308 GL_MOVEMERGE_ACCOUNTS, 3 309 GL_MOVEMERGE_REQUESTS, 3 311 GL_MRC_REPORTING_SOB_PROFILE_V, 2 43 GL_NET_INCOME_ACCOUNTS, 3 313 GL_OASIS_FIN_ASSIGNMENTS, 3 314 GL_OASIS_FIN_ITEMS, 3 315 GL_OASIS_FIN_METRICS, 3 316 GL_OASIS_SUMMARY_DATA, 3 317 GL_OASIS_SUMMARY_DATA_V, 2 43 GL_PERIOD_NAMES_ALL_V, 2 40 GL_PERIOD_SETS, 3 321 GL_PERIOD_SETS_V, 2 40 GL_PERIOD_STAT_BUD_PERA_V, 2 40 GL_PERIOD_STATUSES, 3 322 GL_PERIOD_STATUSES_ACTUAL_V, 2 40 GL_PERIOD_STATUSES_BUD_UPD_V, 2 40 GL_PERIOD_STATUSES_BUD_V, 2 40 GL_PERIOD_STATUSES_ENC_V, 2 40 GL_PERIOD_STATUSES_FIRST_60_V, 2 40 GL_PERIOD_STATUSES_NAME_V, 2 40 GL_PERIOD_STATUSES_REV_BUD_V, 2 40 GL_PERIOD_STATUSES_V, 2 40 GL_PERIOD_TYPES, 3 324 GL_PERIOD_TYPES_V, 2 40 GL_PERIODS, 3 319 GL_PERIODS_AND_TYPES_V, 2 40 GL_PERIODS_V, 2 40 GL_POSTING_INTERIM, 3 325 GL_RECURRING_BATCHES, 3 328
GL_RECURRING_BATCHES_V, 2 40 GL_RECURRING_HEADERS, 3 330 GL_RECURRING_HEADERS_V, 2 40 GL_RECURRING_LINE_CALC_RULES, 3 333 GL_RECURRING_LINES, 3 332 GL_RECURRING_VALID_PERIODS_V, 2 40 GL_REVALUATION, 3 336 GL_REVALUATION_ACCOUNTS, 3 337 GL_ROLLUP_GROUP_SCORES, 3 340 GL_ROW_MULTIPLIERS, 3 341 GL_RX_TRIAL_BALANCE_ITF, 3 342 GL_SEGMENT_FREQUENCIES, 3 344 GL_SEGMENT_MAP_CONS_V, 2 40 GL_SEGVAL_INHERIT_HISTORY, 3 345 GL_SETS_OF_BOOKS, 3 346 GL_SETS_OF_BOOKS_V, 2 40 GL_SHARES_ACTIVITY, 3 350 GL_SHARES_OUTSTANDING, 3 351 GL_SOB_NAMES_V, 2 40 GL_SRS_CLVAL_PERIOD_SET_V, 2 43 GL_SRS_GLRTB2_START_PERIOD, 2 43 GL_SRS_IEA_SUBS_V, 2 43 GL_SRS_LEDGER_BUD_ENCUM_NAME, 2 43 GL_SRS_LEDGER_PERIOD_START, 2 43 GL_STAT_ACCOUNT_UOM, 3 353 GL_STAT_ACCOUNT_UOM_V, 2 40 GL_STORAGE_PARAMETERS, 3 354 GL_STORAGE_PARAMETERS_QF_V, 2 40 GL_STORAGE_PARAMETERS_V, 2 40 GL_SUMMARY_AVERAGE_BALANCES_V, 2 40 GL_SUMMARY_BALANCES_V, 2 40 GL_SUMMARY_CODE_COMBS_V, 2 40 GL_SUMMARY_COMBINATIONS_V, 2 40 GL_SUMMARY_INTERIM, 3 355 GL_SUMMARY_TEMPLATES, 3 356 GL_SUMMARY_TEMPLATES_NAMES_V, 2 40 GL_SUSPENSE_ACCOUNTS, 3 359 GL_SUSPENSE_ACCOUNTS_LOV_V, 2 40 GL_SUSPENSE_ACCOUNTS_V, 2 41 GL_SYSTEM_SETUP, 3 360 GL_SYSTEM_USAGES, 3 361 GL_TAX_OPTION_ACCOUNTS, 3 364
Index 5
GL_TAX_OPTIONS, 3 362 GL_TEMPORARY_COMBINATIONS, 3 366 GL_TRANS_BUDGET_PERIODS_V, 2 41 GL_TRANS_PERIODS_BSV_V, 2 41 GL_TRANSACTION_CALENDAR, 3 368 GL_TRANSACTION_CALENDAR_V, 2 41 GL_TRANSACTION_CODES_ACTIVE_V, 2 41 GL_TRANSACTION_DATES, 3 370 GL_TRANSACTION_RATE_EXCEPTIONS, 3 372 GL_TRANSLATION_INTERIM, 3 374 GL_TRANSLATION_RATES, 3 376 GL_TRANSLATION_RATES_CURR_V, 2 41 GL_TRANSLATION_RATES_PERIODS_V, 2 41 GL_TRANSLATION_RATES_V, 2 41 GL_TRANSLATION_STATUSES, 3 378 GL_TRANSLATION_STATUSES_V, 2 41 GL_TRANSLATION_TRACKING, 3 380 GL_TRANSLATION_TRACKING_V, 2 41 GL_USSGL_ACCOUNT_PAIRS, 3 382 GL_USSGL_TRANSACTION_CODES, 3 383 GL_VARIANCE_BALANCES_V, 2 41 GL_VARIANCE_SEC_BALANCES_V, 2 41 GL_WEIGHTED_AVG_DETAILS, 3 384 GL_WF_ROLES_V, 2 43 PA_ALLOC_RULES_ALL, 3 386 PA_ALLOC_RUNS_ALL, 3 390 PO_DISTRIBUTIONS_ALL, 3 394 PO_HEADERS_ALL, 3 400 PO_REQUISITION_HEADERS_ALL, 3 407 RG_BUDGETS_V, 2 41 RG_CURRENCIES_V, 2 41 RG_DATABASE_LINKS, 3 411 RG_DSS_DIM_SEGMENTS, 3 414 RG_DSS_DIM_SEGMENTS_V, 2 41 RG_DSS_DIMENSIONS, 3 412 RG_DSS_HIERARCHIES, 3 416 RG_DSS_HIERARCHIES_V, 2 41 RG_DSS_HIERARCHY_DETAILS, 3 418 RG_DSS_HIERARCHY_DETAILS_V, 2 41 RG_DSS_REQUESTS, 3 419
RG_DSS_REQUESTS_V, 2 41 RG_DSS_SEG_RANGE_SETS, 3 423 RG_DSS_SEG_RANGE_SETS_V, 2 41 RG_DSS_SEG_RANGES, 3 421 RG_DSS_SYSTEM_SEG_ORDER, 3 427 RG_DSS_SYSTEM_SEG_ORDER_V, 2 41 RG_DSS_SYSTEM_VARIABLES, 3 429 RG_DSS_SYSTEM_VARIABLES_V, 2 41 RG_DSS_SYSTEMS, 3 425 RG_DSS_VAR_DIMENSIONS, 3 433 RG_DSS_VAR_DIMENSIONS_V, 2 41 RG_DSS_VAR_SELECTIONS, 3 434 RG_DSS_VAR_SELECTIONS_V, 2 41 RG_DSS_VAR_TEMPLATES, 3 436 RG_DSS_VAR_TEMPLATES_V, 2 41 RG_DSS_VARIABLES, 3 430 RG_DSS_VARIABLES_V, 2 41 RG_ENCUMBRANCES_V, 2 41 RG_FACTOR_V, 2 41 RG_LEVEL_OF_DETAIL_V, 2 41 RG_PERIOD_YEARS_V, 2 41 RG_REPORT_AXES, 3 441 RG_REPORT_AXES_V, 2 42 RG_REPORT_AXIS_CONTENTS, 3 444 RG_REPORT_AXIS_SETS, 3 452 RG_REPORT_AXIS_SETS_V, 2 42 RG_REPORT_CALCULATIONS, 3 454 RG_REPORT_CONTENT_OVERRIDES, 3 456 RG_REPORT_CONTENT_SETS, 3 464 RG_REPORT_DISPLAY_GROUPS, 3 468 RG_REPORT_DISPLAY_GROUPS_V, 2 42 RG_REPORT_DISPLAY_SETS, 3 469 RG_REPORT_DISPLAY_SETS_V, 2 42 RG_REPORT_DISPLAYS, 3 466 RG_REPORT_DISPLAYS_V, 2 42 RG_REPORT_EXCEPTION_FLAGS, 3 473 RG_REPORT_EXCEPTIONS, 3 471 RG_REPORT_NAME_V, 2 42 RG_REPORT_PARAMETERS, 3 475 RG_REPORT_REQUESTS, 3 477 RG_REPORT_REQUESTS_V, 2 42 RG_REPORT_SET_NAME_V, 2 42 RG_REPORT_SETS, 3 480 RG_REPORT_STANDARD_AXES, 3 482 RG_REPORT_STANDARD_AXES_V, 2 42
Index 6
RG_REPORT_SUB_REQUEST_RUNS, 3 484 RG_REPORTS, 3 438 RG_REPORTS_V, 2 41 RG_ROW_ORDERS, 3 485 RG_ROW_SEGMENT_SEQUENCES, 3 487 RG_ROW_SEGMENT_SEQUENCES_V, 2 42 RG_SIMPLE_WHERE_CLAUSES, 3 489 RG_SRS_DSS_BUD_ENC_V, 2 43 RG_SRS_DSS_DOP_V, 2 43 RG_SRS_DSS_HIERARCHIES_V, 2 43 RG_SRS_DSS_TEMPLATE_V, 2 43 RG_TABLE_SIZES, 3 490 Tables See also Table and View Definitions
Column descriptions, 3 4 Foreign keys, 3 3 Indexes. See Indexes Primary Keys, 3 4 QuickCodes Columns, 3 3 Who columns, 3 4, 3 5
V
View Definitions. See Table and View Definitions Views See also Table and View Definitions; View List Derivation, 3 7
Index 7
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