AP Table Relation Oracle Apps
ORACLE PAYABLE TABLE RELATION | ||
Source Table | Dependent Table | Condition |
AP_INVOICE_LINES_ALL AIL | ZX_LINES_SUMMARY ZLS | AIL.invoice_id=ZLS.trx_id and ZLS.application_id = 200 and ZLS.entity_code = 'AP_INVOICES' and ZLS.event_class_code in ('STANDARD INVOICES', 'PREPAYMENT INVOICES', 'EXPENSE REPORTS') and AIL.summary_tax_line_id=ZLS.summary_tax_line_id |
AP_INVOICE_LINES_ALL AIL | ZX_LINES ZL | AIL.invoice_id=ZL.trx_id and ZL.application_id = 200 and ZL.entity_code = 'AP_INVOICES' and ZL.event_class_code in ('STANDARD INVOICES', 'PREPAYMENT INVOICES', 'EXPENSE REPORTS') and AIL.line_number=ZL.trx_line_number |
AP_INVOICE_DISTRIBUTIONS_ALL AID | ZX_REC_NREC_DIST ZD | AID.invoice_id=ZD.trx_id and ZD.application_id = 200 and ZD.entity_code = 'AP_INVOICES' and ZD.event_class_code in ('STANDARD INVOICES', 'PREPAYMENT INVOICES', 'EXPENSE REPORTS') and AID.summary_tax_line_id = ZD.summary_tax_line_id and AID.detail_tax_dist_id = ZD.rec_nrec_tax_dist_id |
AP_SELF_ASSESSED_TAX_DIST_ALL ASTD | ZX_REC_NREC_DIST ZD | ASTD.invoice_id=ZD.trx_id and ZD.application_id = 200 and ZD.entity_code = 'AP_INVOICES' and ZD.event_class_code in ('STANDARD INVOICES', 'PREPAYMENT INVOICES', 'EXPENSE REPORTS') and ASTD.summary_tax_line_id = ZD.summary_tax_line_id and ASTD.detail_tax_dist_id=ZD.rec_nrec_tax_dist_id and ZD.self_assessed_flag='Y' |
AP_INVOICE_LINES_ALL AIL | ZX_LINES_DET_FACTORS ZLDF | AIL.invoice_id=ZLDF.trx_id and ZLDF.application_id = 200 and ZLDF.entity_code = 'AP_INVOICES' and ZLDF.event_class_code in ('STANDARD INVOICES', 'PREPAYMENT INVOICES', 'EXPENSE REPORTS') and AIL.line_number=ZLDF.trx_line_number |
AP_INVOICE_DISTRIBUTIONS_ALL or AP_SELF_ASSESSED_TAX_DIST_ALL AID | XLA_EVENTS XE | Actual Event: -------------- xe.event_id = aid.accounting_event_id and xe.application_id = 200 Budgetary Event: ----------------- xe.event_id = aid.bc_event_id and xe.application_id = 200 |
AP_INVOICE_DISTRIBUTIONS_ALL or AP_SELF_ASSESSED_TAX_DIST_ALL AID | RCV_TRANSACTIONS RT | aid.rcv_transaction_id = rt.transaction_id |
AP_INVOICE_DISTRIBUTIONS_ALL or AP_SELF_ASSESSED_TAX_DIST_ALL AID | GL_CODE_COMBINATIONS GCC | aid.dist_code_combination_id=gcc.code_combination_id |
AP_PAYMENT_HISTORY_ALL APH | XLA_EVENTS XE | aph.accounting_event_id = xe.event_id and xe.application_id = 200 |
AP_INVOICE_PAYMENTS_ALL AIP | XLA_EVENTS XE | aip.accounting_event_id = xe.event_id and xe.application_id = 200 |
AP_INVOICE_DISTRIBUTIONS_ALL or AP_SELF_ASSESSED_TAX_DIST_ALL AID | PO_DISTRIBUTIONS_ALL | PD aid.po_distribution_id = pd.po_distribution_id |
AP_INVOICES_ALL AI | PO_HEADERS_ALL PH | ai.po_header_id = ph.po_header_id |
AP_SUPPLIER_SITES_ALL ASS | HZ_PARTY_SITES HPS | ass.party_site_id = hps.party_site_id |
AP_SUPPLIERS AS | HZ_PARTIES HP | as.party_id = hp.party_id |
AP_PRERPAY_APP_DISTS or AP_PAYMENT_HIST_DISTS APA | XLA_EVENTS XE | apa.accounting_event_id = xe.event_id xe.application_id = 200 |
AP_PREPAY_HISTORY_ALL APH | XLA_EVENTS XE | aph.accounting_event_id = xe.event_id and xe.application_id = 200 |
AP_INVOICES_ALL AI | XLA.XLA_TRANSACTION_ENTITIES XTE | ai.invoice_id = nvl(xte.source_id_int_1, -99) and xte.entity_code = 'AP_INVOICES' and xte.application_id = 200 |
AP_CHECKS_ALL AC | XLA.XLA_TRANSACTION_ENTITIES XTE | ac.check_id = nvl(xte.source_id_int_1, -99) and xte.entity_code = 'AP_PAYMENTS' and xte.application_id =200 |
Comments
Post a Comment