TABLE
|
DESCRIPTION
|
CE_BANK_STMT_INT_MAP
|
Stores the definitions of the mapping templates
|
CE_BANK_STMT_MAP_HDR
|
This table maps the columns the Bank Statement
Headers Interface table (CE_STATEMENT_HEADERS_INT_ALL) to the columns in the intermediate table (CE_STMT_INT_TMP).
|
CE_BANK_STMT_MAP_LINE
|
Maps the columns in the Bank Statement
Lines Interface table (CE_STATEMENT_LINES_INTERFACE) to the columns in
the intermediate table (CE_STMT_INT_TMP).
|
CE_TRANSACTION_CODES
|
This
table stores pre-determined codes between you and your bank to identify
the types of transactions for matching statement lines. For
automatically created statement lines, a transaction code defines the
rules for creating these statement lines. Each transaction code is
associated with a bank account.
CREATE_MISC_TRX_FLAG specifies whether a miscellaneous transaction, such as charges, should be created for statement lines during the automatic reconciliation process. This table corresponds to the Bank Transaction Codes form. |
CE_STMT_INT_TMP
|
Intermediate table, which stores the
information loaded from a bank statement file. This table is populated
by the SQL*Loader script.
|
CE_SQLLDR_ERRORS
|
Records the errors encountered by the Bank
Statement Loader program when loading data from the bank statement file
into the intermediate table
|
CE_STATEMENT_HEADERS_INT
|
The CE_STATEMENT_HEADERS_INTtable stores information about bank statement details for importing.
Each row contains the bank statement number, bank account number,
control balances, and other statement- related information. After
populating this table, you can run the Bank Statement Import program to
transfer the statement information into the CE_STATEMENT_HEADERS_ALL
table.
The Bank Statement Interface form allows you to modify the statement interface information or to correct any errors encountered while uploading the data. |
CE_STATEMENT_LINES_INTERFACE
|
This
table stores information about bank statement line details for open
interface. Each row contains the bank statement number, bank account
number, statement line amount, and others. After populating this table,
you can run the Bank Statement Import program to transfer the statement
line information into the CE_STATEMENT_LINES table.
The Bank Statement Interface form allows you to modify the statement line interface information or correct any errors encountered while uploading the data. |
CE_HEADER_INTERFACE_ERRORS
|
This
table stores information about errors that occurred while importing
bank statements. Each row includes the statement number, bank account
number, and error message name for retrieving the actual error messages. A record is written to this table for each error while running the Bank Statement Import program.
You can review the errors on the Bank Statement Interface form or on the AutoReconciliation Execution report |
CE_LINE_INTERFACE_ERRORS
|
This
table stores information about errors that occurred while importing
bank statement lines. Each row includes statement number, statement line
number, bank account number, and error message name for retrieving the
actual error messages. A record is written to this table for each error
while running the Bank Statement Import program.
You can review the errors on the Bank Statement Interface form or on the AutoReconciliation Execution report. |
CE_ARCH_INTERFACE_HEADERS
|
This
table stores archived statement interface information. Each row in this
table corresponds to an archived CE_STATEMENT_HEADERS_INT_ALL record.
This table is populated when you run the Archive/Purge Bank Statements
program and choose to archive, or by the AutoReconciliation program once
you enable your system options to automatically purge and archive
statement interface tables.
|
CE_STATEMENT_HEADERS_ALL
|
This table stores bank statements. Each
row in this table contains the statement name, statement date, GL date,
bank account identifier, and other information about the statement. This
table corresponds to the Bank Statement window of the Bank Statements form.
Once you have marked your statement as complete, the STATEMENT_COMPLETE_FLAG is set to Y, and you can no longer modify or update the statement. AUTO_LOADED_FLAG is set to Y when your statement is uploaded from the interface table using the Bank Statement Import program |
CE_STATEMENT_LINES
|
This table stores information about bank
statement lines. Each row in this table stores the statement header
identifier, statement line number, associated transaction type, and
transaction amount associated with the statement line.
This table corresponds to the Bank Statement Lines window of the Bank Statements form |
CE_STATEMENT_RECONCILS_ALL
|
This
table stores information about reconciliation history or audit trail.
Each row represents an action performed against a statement line.
|
CE_RECONCILIATION_ERRORS
|
This
table stores information about errors that occurred while reconciling a
bank statement. Each row includes the statement line identifier and
error message name for retrieving the actual error messages. A record is
written to this table for each error while running the
AutoReconciliation program.
You can review the errors on the Bank Statements form or on the AutoReconciliation Execution report. |
Wednesday, 11 September 2013
Tables related to Cash Management Bank Statement Open Interface in Oracle Apps
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