ONT
|
Order
Management
|
OE_ORDER_HEADERS_ALL
|
OE_ORDER_HEADERS_ALL
stores header information for orders in Order Management.
|
OE_ORDER_LINES_ALL
|
OE_ORDER_LINES_ALL
stores information for all order lines in Oracle Order Management.
|
OE_ORDER_SOURCES
|
Feeder
System Names that create orders in Order Management tables.
|
OE_ORDER_HOLDS_ALL
|
This
table stores information of all the orders and lines that are on hold and the
link to hold sources and hold releases.
|
OE_SALES_CREDITS
|
This
table stores information about sales credits.
|
OE_TRANSACTION_TYPES_ALL
|
This
table stores information about the order and line transaction types
|
WSH_DELIVERY_ASSIGNMENTS
|
Delivery
Assignments
|
WSH_DELIVERY_DETAILS
|
Delivery
Details
|
WSH_NEW_DELIVERIES
|
Deliveries
|
WSH_TRIPS
|
Trips
|
WSH_TRIP_STOPS
|
Trip
Stops
|
|
|
PO
|
Purchasing
|
PO_ACTION_HISTORY
|
Document
approval and control action history table
|
PO_AGENTS
|
Buyers
table
|
PO_DISTRIBUTIONS_ALL
|
Purchase
order distributions
|
PO_HEADERS_ALL
|
Document
headers (for purchase orders, purchase agreements, quotations, RFQs)
|
PO_LINES_ALL
|
Purchase
document lines (for purchase orders, purchase agreements, quotations,
RFQs)
|
PO_LINE_LOCATIONS_ALL
|
Document
shipment schedules (for purchase orders, purchase agreements, quotations,
RFQs)
|
PO_RELEASES_ALL
|
Purchase
order releases
|
PO_LINES_ARCHIVE_ALL
|
Archived
purchase order lines
|
PO_LINE_LOCATIONS_ARCHIVE_ALL
|
Archived
purchase order shipments
|
PO_HEADERS_ARCHIVE_ALL
|
Archived
purchase orders
|
PO_LINE_TYPES_B
|
Line
types
|
PO_RELEASES_ARCHIVE_ALL
|
Archived
releases
|
PO_REQUISITION_HEADERS_ALL
|
Requisition
headers
|
PO_REQUISITION_LINES_ALL
|
Requisition
lines
|
PO_REQ_DISTRIBUTIONS_ALL
|
Requisition
distributions
|
RCV_TRANSACTIONS
|
Receiving
transactions
|
RCV_SHIPMENT_HEADERS
|
Shipment
and receipt header information
|
RCV_SHIPMENT_LINES
|
Receiving
shipment line information
|
|
|
INV
|
Inventory
|
MTL_CATEGORIES_B
|
Code
combinations table for Item Category
|
MTL_CATEGORY_SETS_B
|
Category
Sets
|
MTL_CUSTOMER_ITEMS
|
Customer
item Information
|
MTL_CUSTOMER_ITEM_XREFS
|
Relationships
between customer items and inventory items
|
MTL_DEMAND
|
Sales
order demand and reservations
|
MTL_DEMAND_HISTORIES
|
Sales
order demand and reservations
|
MTL_ITEM_LOCATIONS
|
Definitions
for stock locators
|
MTL_ITEM_REVISIONS_B
|
Item
revisions
|
MTL_ITEM_TEMPLATES_B
|
Item
template definitions
|
MTL_ITEM_TEMPL_ATTRIBUTES
|
Item
attributes and attribute values for a template
|
MTL_LOT_NUMBERS
|
Lot
number definitions
|
MTL_MATERIAL_TRANSACTIONS
|
Material
transaction table
|
MTL_MATERIAL_TRANSACTIONS_TEMP
|
Temporary
table for processing material transactions
|
MTL_ONHAND_QUANTITIES_DETAIL
|
FIFO
quantities by control level and receipt
|
MTL_PARAMETERS
|
Inventory
control options and defaults
|
MTL_RESERVATIONS
|
Reservations
|
MTL_SECONDARY_INVENTORIES
|
Subinventory
definitions
|
MTL_SECONDARY_LOCATORS
|
Item-subinventory-locator
assignments
|
MTL_SERIAL_NUMBERS
|
Serial
number definitions
|
MTL_SYSTEM_ITEMS_B
|
Inventory
item definitions
|
MTL_TRANSACTION_ACCOUNTS
|
Material
transaction distributions
|
MTL_TRANSACTION_TYPES
|
Inventory
Transaction Types Table
|
MTL_TXN_REQUEST_HEADERS
|
Move
Order headers table
|
MTL_TXN_REQUEST_LINES
|
Move
order lines table
|
MTL_UNIT_TRANSACTIONS
|
Serial
number transactions
|
|
|
GL
|
General
Ledger
|
GL_CODE_COMBINATIONS
|
Stores
valid account combinations
|
GL_SETS_OF_BOOKS
|
Stores
information about the sets of books
|
GL_IMPORT_REFERENCES
|
Stores
individual transactions from subledgers
|
GL_DAILY_RATES
|
Stores
the daily conversion rates for foreign currency Transactions
|
GL_PERIODS
|
Stores
information about the accounting periods
|
GL_JE_HEADERS
|
Stores
journal entries
|
GL_JE_LINES
|
Stores
the journal entry lines that you enter in the Enter Journals form
|
GL_JE_BATCHES
|
Stores
journal entry batches
|
GL_BALANCES
|
Stores
actual, budget, and encumbrance balances for detail and summary accounts
|
GL_BUDGETS
|
Stores
Budget definitions
|
GL_INTERFACE
|
Import
journal entry batches
|
GL_BUDGET_INTERFACE
|
Upload
budget data from external sources
|
GL_DAILY_RATES_INTERFACE
|
Import
daily conversion rates
|
|
|
AR
|
Accounts
Receivables
|
RA_CUST_TRX_TYPES_ALL
|
Transaction
type for invoices, commitments and credit memos
|
RA_CUSTOMER_TRX_ALL
|
Header-level
information about invoices, debit memos, chargebacks, commitments and credit
memos
|
RA_CUSTOMER_TRX_LINES_ALL
|
Invoice,
debit memo, chargeback, credit memo and commitment lines
|
RA_CUST_TRX_LINE_GL_DIST_ALL
|
Accounting
records for revenue, unearned revenue and unbilled receivables
|
RA_CUST_TRX_LINE_SALESREPS_ALL
|
Sales
credit assignments for transactions
|
AR_ADJUSTMENTS_ALL
|
Pending
and approved invoice adjustments
|
RA_BATCHES_ALL
|
|
AR_CASH_RECEIPTS_ALL
|
Detailed
receipt information
|
AR_CASH_RECEIPT_HISTORY_ALL
|
History
of actions and status changes in the life cycle of a receipt
|
AR_PAYMENT_SCHEDULES_ALL
|
All
transactions except adjustments and miscellaneous cash receipts
|
AR_RECEIVABLE_APPLICATIONS_ALL
|
Accounting
information for cash and credit memo applications
|
AR_TRANSACTION_HISTORY_ALL
|
Life
cycle of a transaction
|
HZ_CUST_ACCOUNTS
|
Stores
information about customer accounts.
|
HZ_CUSTOMER_PROFILES
|
Credit
information for customer accounts and customer account sites
|
HZ_CUST_ACCT_SITES_ALL
|
Stores
all customer account sites across all operating units
|
HZ_CUST_ACCT_RELATE_ALL
|
Relationships
between customer accounts
|
HZ_CUST_CONTACT_POINTS
|
This
table is no longer used
|
HZ_CUST_PROF_CLASS_AMTS
|
Customer
profile class amount limits for each currency
|
HZ_CUST_SITE_USES_ALL
|
Stores
business purposes assigned to customer account sites.
|
HZ_LOCATIONS
|
Physical
addresses
|
HZ_ORG_CONTACTS
|
People
as contacts for parties
|
HZ_ORG_CONTACT_ROLES
|
Roles
played by organization contacts
|
HZ_PARTIES
|
Information
about parties such as organizations, people, and groups
|
HZ_PARTY_SITES
|
Links
party to physical locations
|
HZ_PARTY_SITE_USES
|
The way
that a party uses a particular site or address
|
HZ_RELATIONSHIPS
|
Relationships
between entities
|
HZ_RELATIONSHIP_TYPES
|
Relationship
types
|
|
|
CE
|
Cash
Management
|
CE_BANK_ACCOUNTS
|
This
table contains bank account information. Each bank account must be affiliated
with one bank branch.
|
CE_BANK_ACCT_BALANCES
|
This
table stores the internal bank account balances
|
CE_BANK_ACCT_USES_ALL
|
This
table stores information about your bank account uses.
|
CE_STATEMENT_HEADERS
|
Bank
statements
|
CE_STATEMENT_LINES
|
Bank
statement lines
|
CE_STATEMENT_HEADERS_INT
|
Open
interface for bank statements
|
CE_STATEMENT_LINES_INTERFACE
|
Open
interface for bank statement lines
|
CE_TRANSACTION_CODES
|
Bank
transaction codes
|
AP-
|
Accounts
Payables
|
Table
|
Name
Description
|
AP_ACCOUNTING_EVENTS_ALL
|
Accounting
events table
|
AP_AE_HEADERS_ALL
|
Accounting
entry headers table
|
AP_AE_LINES_ALL
|
Accounting
entry lines table
|
AP_BANK_ACCOUNTS_ALL
|
Bank
Account Details
|
AP_BANK_ACCOUNT_USES_ALL
|
Bank
Account Uses Information
|
AP_BANK_BRANCHES
|
Bank
Branches
|
AP_BATCHES_ALL
|
Summary
invoice batch information
|
AP_CHECKS_ALL
|
Supplier
payment data
|
AP_HOLDS_ALL
|
Invoice
hold information
|
AP_INVOICES_ALL
|
Detailed
invoice records
|
AP_INVOICE_LINES_ALL
|
AP_INVOICE_LINES_ALL
contains records for invoice lines entered manually, generated automatically
or imported from the Open Interface.
|
AP_INVOICE_DISTRIBUTIONS_ALL
|
Invoice
distribution line information
|
AP.AP_INVOICE_PAYMENTS_ALL
|
Invoice
payment records
|
AP_PAYMENT_DISTRIBUTIONS_ALL
|
Payment
distribution information
|
AP_PAYMENT_HISTORY_ALL
|
Maturity
and reconciliation history for Payments
|
AP_PAYMENT_SCHEDULES_ALL
|
Scheduled
payment information on invoices
|
AP_INTERFACE_REJECTIONS
|
Information
about data that could not be loaded by Payables Open Interface Import
|
AP_INVOICES_INTERFACE
|
Information
used to create an invoice using Payables Open Interface Import
|
AP_INVOICE_LINES_INTERFACE
|
Information
used to create one or more invoice distributions
|
AP_SUPPLIERS
|
AP_SUPPLIERS
stores information about your supplier level attributes.
|
AP_SUPPLIER_SITES_ALL
|
AP_SUPPLIER_SITES_ALL
stores information about your supplier site level attributes.
|
AP_SUPPLIER_CONTACTS
|
Stores
Supplier Contacts
|
|
|
FA
|
Fixed
Assets
|
FA_ADDITIONS_B
|
Descriptive
information about assets
|
FA_ADJUSTMENTS
|
Information
used by the posting program to generate journal entry lines in the general
ledger
|
FA_ASSET_HISTORY
|
Historical
information about asset reclassifications and unit adjustments
|
FA_ASSET_INVOICES
|
Accounts
payable and purchasing information for each asset
|
FA_BOOKS
|
Financial
information of each asset
|
FA_BOOK_CONTROLS
|
Control
information that affects all assets in a depreciation book
|
FA_CALENDAR_PERIODS
|
Detailed
calendar information
|
FA_CALENDAR_TYPES
|
General
calendar information
|
FA_CATEGORIES_B
|
Default
financial information for asset categories
|
FA_CATEGORY_BOOKS
|
Default
financial information for an asset category and depreciation book
combination
|
FA_DEPRN_DETAIL
|
Depreciation
amounts charged to the depreciation expense account in each distribution
line
|
FA_DEPRN_PERIODS
|
Information
about each depreciation period
|
FA_DEPRN_EVENTS
|
Information
about depreciation accounting events.
|
FA_DEPRN_SUMMARY
|
Depreciation
information at the asset level
|
FA_DISTRIBUTION_ACCOUNTS
|
Table
to store account ccids for all distributions for a book
|
FA_DISTRIBUTION_DEFAULTS
|
Distribution
set information
|
FA_DISTRIBUTION_HISTORY
|
Employee,
location, and Accounting Flexfield values assigned to each asset
|
FA_DISTRIBUTION_SETS
|
Header
information for distribution sets
|
FA_FORMULAS
|
Depreciation
rates for formula-based methods
|
FA_LOCATIONS
|
Location
flexfield segment value combinations
|
FA_MASS_ADDITIONS
|
Information
about assets that you want to automatically add to Oracle Assets from another
system
|
FA_METHODS
|
Depreciation
method information
|
FA_RETIREMENTS
|
Information
about asset retirements and reinstatements
|
|
|
HRMS
|
Human
Resource Management System
|
HR_ALL_ORGANIZATION_UNITS
|
Organization
unit definitions.
|
HR_ALL_POSITIONS_F
|
Position
definition information.
|
HR_LOCATIONS_ALL
|
Work
location definitions.
|
PER_ADDRESSES
|
Address
information for people
|
PER_ALL_PEOPLE_F
|
DateTracked
table holding personal information for employees, applicants and other
people.
|
PER_ALL_ASSIGNMENTS_F
|
Allocated
Tasks
|
PER_ANALYSIS_CRITERIA
|
Flexfield
combination table for the personal analysis key flexfield.
|
PER_ASSIGNMENT_EXTRA_INFO
|
Extra
information for an assignment.
|
PER_ASSIGNMENT_STATUS_TYPES
|
Predefined
and user defined assignment status types.
|
PER_CONTRACTS_F
|
The
details of a persons contract of employment
|
PER_CONTACT_RELATIONSHIPS
|
Contacts
and relationship details for dependents, beneficiaries, emergency contacts,
parents etc.
|
PER_GRADES
|
Grade
definitions for a business group.
|
PER_JOBS
|
Jobs
defined for a Business Group
|
PER_PAY_BASES
|
Definitions
of specific salary bases
|
PER_PAY_PROPOSALS
|
Salary
proposals and performance review information for employee assignments
|
PER_PEOPLE_EXTRA_INFO
|
Extra
information for a person
|
PER_PERIODS_OF_PLACEMENT
|
Periods
of placement details for a non-payrolled worker
|
PER_PERIODS_OF_SERVICE
|
Period
of service details for an employee.
|
PER_PERSON_ANALYSES
|
Special
information types for a person
|
PER_PERSON_TYPES
|
Person
types visible to specific Business Groups.
|
PER_PERSON_TYPE_USAGES_F
|
Identifies
the types a person may be.
|
PER_PHONES
|
PER_PHONES
holds phone numbers for current and ex-employees, current and ex-applicants
and employee contacts.
|
PER_SECURITY_PROFILES
|
Security
profile definitions to restrict user access to specific HRMS records
|
|
|
PAY
|
Payroll
|
PAY_ACTION_INFORMATION
|
Archived
data stored by legislation
|
PAY_ALL_PAYROLLS_F
|
Payroll
group definitions.
|
PAY_ASSIGNMENT_ACTIONS
|
Action
or process results, showing which assignments have been processed by a
specific payroll action, or process.
|
PAY_ELEMENT_CLASSIFICATIONS
|
Element
classifications for legislation and information needs.
|
PAY_ELEMENT_ENTRIES_F
|
Element
entry list for each assignment.
|
PAY_ELEMENT_ENTRY_VALUES_F
|
Actual
input values for specific element entries.
|
PAY_ELEMENT_LINKS_F
|
Eligibility
rules for an element type.
|
PAY_ELEMENT_TYPES_F
|
Element
definitions.
|
PAY_ELEMENT_TYPE_USAGES_F
|
Used to
store elements included or excluded from a defined run type.
|
PAY_ORG_PAYMENT_METHODS_F
|
Payment
methods used by a Business Group.
|
PAY_PAYMENT_TYPES
|
Types
of payment that can be processed by the system.
|
PAY_PAYROLL_ACTIONS
|
Holds
information about a payroll process.
|
PAY_PEOPLE_GROUPS
|
People
group flexfield information.
|
PAY_PERSONAL_PAYMENT_METHODS_F
|
Personal
payment method details for an employee.
|
PAY_RUN_RESULTS
|
Result
of processing a single element entry.
|
PAY_RUN_RESULT_VALUES
|
Result
values from processing a single element entry.
|
PAY_SECURITY_PAYROLLS
|
List of
payrolls and security profile access rules.
|
PAY_INPUT_VALUES_F
|
Input
value definitions for specific elements.
|
|
|
BOM
|
Bills
Of Material
|
BOM_DEPARTMENTS
|
Departments
|
BOM_DEPARTMENT_CLASSES
|
Department
classes
|
BOM_DEPARTMENT_RESOURCES
|
Resources
associated with departments
|
BOM_OPERATIONAL_ROUTINGS
|
Routings
|
BOM_OPERATION_NETWORKS
|
Routing
operation networks
|
BOM_OPERATION_RESOURCES
|
Resources
on operations
|
BOM_OPERATION_SEQUENCES
|
Routing
operations
|
BOM_OPERATION_SKILLS
|
|
BOM_RESOURCES
|
Resources,
overheads, material cost codes, and material overheads
|
BOM_STANDARD_OPERATIONS
|
Standard
operations
|
BOM_ALTERNATE_DESIGNATORS
|
Alternate
designators
|
BOM_COMPONENTS_B
|
Bill of
material components
|
BOM_STRUCTURES_B
|
Bills
of material
|
BOM_STRUCTURE_TYPES_B
|
Structure
Type master table
|
|
|
WIP
|
Work in
Process
|
WIP_DISCRETE_JOBS
|
Discrete
jobs
|
WIP_ENTITIES
|
Information
common to jobs and schedules
|
WIP_LINES
|
Production
lines
|
WIP_MOVE_TRANSACTIONS
|
Shop
floor move transactions
|
WIP_MOVE_TXN_ALLOCATIONS
|
Move
transaction allocations for repetitive schedules
|
WIP_OPERATIONS
|
Operations
necessary for jobs and schedules
|
WIP_OPERATION_NETWORKS
|
Operation
dependency
|
WIP_OPERATION_OVERHEADS
|
Overheads
for operations in an average costing organization
|
WIP_OPERATION_RESOURCES
|
Resources
necessary for operations
|
WIP_OPERATION_YIELDS
|
This
table keeps all costing information for operation yield costing.
|
WIP_TRANSACTIONS
|
WIP
resource transactions
|
WIP_TRANSACTION_ACCOUNTS
|
Debits
and credits due to resource transactions
|
|
|
FND
|
Appication
Object Library
|
FND_APPLICATION
|
Applications
registered with Oracle Application Object Library
|
FND_CONCURRENT_PROGRAMS
|
Concurrent
programs
|
FND_CONCURRENT_REQUESTS
|
Concurrent
requests information
|
FND_CURRENCIES
|
Currencies
enabled for use at your site
|
FND_DATA_GROUPS
|
Data
groups registered with Oracle Application Object Library
|
FND_FLEX_VALUES
|
Valid
values for flexfield segments
|
FND_FLEX_VALUE_HIERARCHIES
|
Child
value ranges for key flexfield segment values
|
FND_FLEX_VALUE_SETS
|
Value
sets used by both key and descriptive flexfields
|
FND_FORM
|
Application
forms registered with Oracle Application Object Library
|
FND_FORM_FUNCTIONS
|
Functionality
groupings
|
FND_ID_FLEXS
|
Registration
information about key flexfields
|
FND_ID_FLEX_SEGMENTS
|
Key
flexfield segments setup information and correspondences between table
columns and key flexfield segments
|
FND_ID_FLEX_STRUCTURES
|
Key
flexfield structure information
|
FND_LOOKUP_TYPES
|
Oracle
Application Object Library QuickCodes
|
FND_LOOKUP_VALUES
|
QuickCode
values
|
FND_MENUS
|
New
menu tabl for Release 10SC
|
FND_PROFILE_OPTIONS
|
User
profile options
|
FND_PROFILE_OPTION_VALUES
|
Values
of user profile options defined at different profile levels
|
FND_REQUEST_SETS
|
Reports
sets
|
FND_REQUEST_SET_PROGRAMS
|
Reports
within report sets
|
FND_REQUEST_SET_STAGES
|
Stores
request set stages
|
FND_RESPONSIBILITY
|
Responsibilities
|
FND_RESP_FUNCTIONS
|
Function
Security
|
FND_USER
|
Application
users
|
|
|
JA
|
Asia/Pacific
Localizations
|
JAI_CMN_BOE_HDRS
|
Stores
BOE header info when a BOE Invoice is created through IL
|
JAI_CMN_BOE_DTLS
|
Detail
table for BOE Invoices
|
JAI_CMN_TAXES_ALL
|
Master
table for Localization Taxes
|
JAI_CMN_TAX_CTGS_ALL
|
Stores
tax categories and their link to excise ITEM classes.
|
JAI_CMN_TAX_CTG_LINES
|
Stores
the tax lines for defined tax categories
|
JAI_CMN_VENDOR_SITES
|
Stores
excise account related information about vendors.
|
JAI_RGM_DEFINITIONS
|
Stores
regime information.
|
JAI_RGM_TAXES
|
This
table stores tax details for transactions having TCS tax type.
|
JAI_CMN_RG_23AC_I_TRXS
|
Stores
Information of RG23A/C records and known as Quantity Register.
|
JAI_CMN_RG_23AC_II_TRXS
|
Stores
Information of RG23A/C Part II Details. Also known as Amount Register
|
JAI_CMN_RG_23D_TRXS
|
Quantity
register for Trading Organizations
|
JAI_CMN_RG_BALANCES
|
Store
the current balances of RG23A, RG23C and PLA Registers
|
JAI_CMN_RG_PLA_TRXS
|
Stores
the Transaction Information of PLA Register.
|
JAI_CMN_RG_PLA_HDRS
|
Stores
PLA header Infomation when a PLA invoice is created in AP module
|
JAI_CMN_RG_PLA_DTLS
|
Stores
PLA Detail Information when a PLA Invoice is created in AP Module
|
|
|
QP
|
Advanced
Pricing
|
QP_LIST_HEADERS_B
|
QP_LIST_HEADERS_B
stores the header information for all lists. List types can be, for example,
Price Lists, Discount Lists or Promotions.
|
QP_LIST_LINES
|
QP_LIST_LINES
stores all list lines for lists in QP_LIST_HEADERS_B.
|
QP_PRICE_FORMULAS_B
|
QP_PRICE_FORMULAS_B
stores the pricing formula header information.
|
QP_PRICE_FORMULA_LINES
|
QP_PRICE_FORMULA_LINES
stores each component that makes up the formula.
|
QP_PRICING_ATTRIBUTES
|
QP_PRICING_ATTRIBUTES
stores product information and pricing attributes.
|
QP_QUALIFIERS
|
QP_QUALIFIERS
stores qualifier attribute information.
|
|
|
XLA
|
Subledger
Accounting
|
XLA_EVENTS
|
The
XLA_EVENTS table record all information related to a specific event. This
table is created as a type XLA_ARRAY_EVENT_TYPE.
|
XLA_TRANSACTION_ENTITIES
|
The
table XLA_ENTITIES contains information about sub-ledger document or
transactions.
|
XLA_AE_HEADERS
|
The
XLA_AE_HEADERS table stores subledger journal entries. There is a one-to-many
relationship between accounting events and journal entry headers.
|
XLA_AE_LINES
|
The
XLA_AE_LINES table stores the subledger journal entry lines. There is a
one-to-many relationship between subledger journal entry headers and
subledger journal entry lines.
|
XLA_DISTRIBUTION_LINKS
|
The
XLA_DISTRIBUTION_LINKS table stores the link between transactions and
subledger journal entry lines.
|
XLA_ACCOUNTING_ERRORS
|
The
XLA_ACCOUNTING_ERRORS table stores the errors encountered during execution of
the Accounting Program.
|
XLA_ACCTG_METHODS_B
|
The
XLA_ACCTG_METHODS_B table stores Subledger Accounting Methods (SLAM) across
products. SLAMs provided by development are not chart of accounts specific.
Enabled SLAMs are assigned to ledgers.
|
XLA_EVENT_TYPES_B
|
The
XLA_EVENT_TYPES_B table stores all event types that belong to an event
class.
|
XLA_GL_LEDGERS
|
This
table contains ledger information used by subledger accounting.
|
Join the OracleApps88 Telegram group @OracleApps88to get more information on Oracle EBS R12/Oracle Fusion applications.
If you are facing any issues while copying the Code/Script or any issues with Posts, Please send a mail to OracleApp88@Yahoo.com or message me at @apps88 or +91 905 957 4321 in telegram.
If you are facing any issues while copying the Code/Script or any issues with Posts, Please send a mail to OracleApp88@Yahoo.com or message me at @apps88 or +91 905 957 4321 in telegram.
Thursday, April 5, 2012
Oracle APPS Important Tables
Subscribe to:
Post Comments (Atom)
If you are facing any issues while copying the Code/Script or any issues with Posts, Please send a mail to OracleApp88@Yahoo.com or message me at @apps88 or +91 905 957 4321 in telegram.
21 comments:
Excellent work. Really helpful.
Great to see this link its very helpful for every one who is technical and functional also
Thanks Friend Keep on doing !!!!! Great
Many Thanks
yes really excellent work
Its a great work...How to copy this table??
thanks for the post. It has really helped!!
Thx it helps
thanks
good collection
Hi need some help, how can i extract the details same as what placed in a line transaction flexfield in backend?
Thanks add verry much
Thank You
Thank you sir
Master table which stores entries of EBS
as temp table are
AP_INVOICE_INTERFACE
and AP_INVOICE_LINE_INTERFACE
nice work
VERY HELP FULL, THANKS
very helpful thanks. Appreciate the effort put in and sharing in a consolidated format
Thanks for info..... Please visit too.............
Thanks for information!!! Can you let me knew the link between Order and Receipt tables. I am unable to link between these.
very nice
how to get supplier deatails from PR and PO tables??
plz send the query
Post a Comment