AR Table
|
Description
|
HZ_SRCH_CPTS
|
This
table stores the transformed data for the contact points in the interface
tables.
|
HZ_SRCH_CONTACTS
|
This
table stores the transformed data for the contacts in the interface tables.
|
HZ_SRCH_PSITES
|
This
table stores the transformed data for the addresses in the interface tables.
|
HZ_SRCH_PARTIES
|
This
table stores the transformed data for the parties in the interface tables.
|
HZ_STAGED_PARTY_SITES
|
|
HZ_STAGED_PARTIES
|
Party
information that is staged for DQM.
|
HZ_STAGED_CONTACT_POINTS |
Contact
point information that is staged for DQM.
|
HZ_STAGED_CONTACTS
|
Contact
information that is staged for DQM.
|
AR_TAX_EXTRACT_DCL_ITF
|
Reporting
and legal entities selected by the Tax Reporting Ledger Tax Extract program
|
AR_STATEMENT_HEADERS
|
Interim
table of statement header information
|
AR_LOCATION_COMBINATIONS
|
Defines
each distinct tax authority
|
AR_TAX_EXTR_SUB_COM_EXT
|
This
table is an extension to AR_TAX_EXTRACT_SUB_ITF to store the transaction tax
information from Oracle Receivables, Oracle Payables and Oracle General
Ledger.
|
AR_TAX_EXTRACT_SUB_ITF
|
Tax
Extract interface table
|
HZ_IMP_BATCH_SUMMARY
|
The
HZ_IMP_BATCH_SUMMARY table stores information about import batches
|
MTL_SYSTEM_ITEMS_B
|
Inventory
item definitions
|
HZ_CUSTOMER_MERGE_LOG
|
This
table is used to record account merge audit history
|
PSB_DATA_EXTRACTS
|
Data
extract definitions. All position related data are partitioned by data
extract.
|
OE_HEADERS_IFACE_ALL
|
This
is a multi-org table for sales order headers open interface.
|
PN_PAYMENT_TERMS_ALL
|
Payment
and billing terms defined in a lease
|
AR_DISTRIBUTIONS_ALL
|
Accounting
records for receipts
|
IGS_FI_CONTROL_ALL
|
This
table stores a flag to indicate if Oracle Accounts Receivables is installed
or not.
|
IGS_DA_REQ_BATCH
|
Storage
for Degree Audits on criteria for students in the request.
|
OE_LINES_IFACE_ALL
|
This
is a multi-org table for sales order lines open interface.
|
OE_HEADER_ACKS
|
This
tables stores information about the acknowledgements for Order Headers.
|
OP_ORDR_DTL
|
Order
detail (order lines).
|
OKC_K_ARTICLES_BH
|
History
table for OKC_K_ARTICLES_B.
|
OKC_K_ARTICLES_B
|
OKC_K_ARTICLES
holds the use of standard and non-standard ("custom", one-time use)
clauses in business documents. When associated with a document header, the
clause governs the entire document. When associated with a line, the article
govern
|
MTL_SYSTEM_ITEMS_INTERFACE
|
Inventory
Items Open Interface table
|
PN_TERM_TEMPLATES_ALL
|
PN_TERM_TEMPLATES_ALL
stores the payment/billing term details defaults.
|
AR_SYSTEM_PARAMETERS_ALL
|
Oracle
Receivables system options
|
AR_STATEMENT_LINE_CLUSTERS
|
Interim
table of transaction lines that appear on a statement
|
AR_CMGT_CREDIT_REQUESTS
|
The
AR_CMGT_CREDIT_REQUESTS table stores information for each credit request.
|
AR_CONS_INV_ALL
|
Information
about a consolidated billing invoice
|
MTL_MFG_PART_NUMBERS
|
Define
manufacturer part numbers
|
PQP_ASSIGNMENT_ATTRIBUTES_F
|
Table
to hold attribution required at assignment level for public sector payroll
|
JL_BR_AR_OCCURRENCE_DOCS_ALL
|
Occurrences
for collection documents
|
AHM_APPS_CONFIGURATIONS
|
This
table hold all Oracle Applications tables. TABLE_ID maps to FND_TABLES.
TABLE_CATEGORY holds whether the table is Global, Local SEED or Local
Transactional
|
MSC_ITEM_SUBSTITUTES
|
This
table stores all the Relationships between Item Substitutes for planning.
|
JTF_RS_SALESREPS
|
This
table stores information about salesreps. Salesrep_id is the primary key. If
resource category is 'OTHERS' then salesrep_number and org_id are unique.
|
IBY_INSTRHOLDER
|
IBY_INSTRHOLDER
stores the information about the holder of the instrument. A payment
instrument can be held by different users or payees or payers.
|
OE_PAYMENTS_IFACE_ALL
|
This
table is used to store Payments data to be imported into OE_PAYMENTS table.
This table will be used by Order Import Program.
|
OE_TRANSACTION_TYPES_ALL
|
This
table stores information about the order and line transaction types
|
OKL_CURE_PAYMENT_LINES
|
Stores
line level information for OKL CUREPAYMENTS
|
OKL_XTL_CSH_APPS_B
|
Receipt
application specifying amount applied to Receivables invoices
|
OKL_TXL_ADJSTS_LNS_B
|
Application
of OKL write offs to AR invoices
|
PA_IMPLEMENTATIONS_ALL
|
Information
about the configuration of an Oracle Projects installation
|
HZ_INT_DUP_RESULTS
|
The
HZ_INT_DUP_RESULTS table temporarily stores duplicate identification data
during the duplicate identification of interface tables.
|
HZ_IMP_INT_DEDUP_RESULTS
|
The
HZ_IMP_INT_DEDEUP_RESULTS table stores the set of duplicates identified as
part of the duplicate identification of interface tables.
|
HR_DM_TABLES
|
This
entity contains a HRMS table listing that will be processed by the data
migrator.
|
AR_CHANGE_MATRIX
|
This
table is no longer used.
|
AR_RECEIPT_METHOD_ACCOUNTS_ALL
|
Account
information for accounts used by payment methods
|
AR_ADJUSTMENTS_ALL
|
Pending
and approved invoice adjustments
|
AR_TAX_INTERFACE
|
Sales
tax rates import table
|
CE_UPG_BANK_ACCOUNTS
|
This
table stores new CE bank account information for bank upgrade purpose
|
CE_UPGA_BANK_ACCOUNTS
|
This
table is an audit table of CE_UPG_BANK_ACCOUNTS
|
CE_BANK_ACCOUNTS
|
This
table contains bank account information. Each bank account must be affiliated
with one bank branch.
|
CE_FORECAST_ROWS
|
Forecast
template rows - forecast sources
|
CE_STATEMENT_LINES_INTERFACE
|
Open
interface for bank statement lines
|
CE_SYSTEM_PARAMETERS_ALL
|
System
options
|
HZ_ORIG_SYS_MAPPING
|
The
HZ_ORIG_SYS_MAPPING table
stores the mapping among source systems and owner table names.
|
AR_PAYMENTS_INTERFACE_ALL
|
Imported
Lockbox information that was not validated
|
AR_TAX_GROUP_CODES_ALL
|
Tax
codes within a tax group
|
JL_BR_AR_SELECT_CONTROLS_ALL
|
Selection
Criteria for invoices sent to Bank transfer batches
|
JL_BR_AR_BANK_OCCURRENCES
|
Bank
Occurrence codes
|
CZ_XFR_FIELDS
|
Import
rules specifications, field level
|
WSH_DEL_LEGS_INTERFACE
|
Delivery
Legs Interface Table
|
OE_PAYMENTS_HISTORY
|
Table
to store payment audit trail.
|
OE_ORDER_HEADERS_ALL
|
OE_ORDER_HEADERS_ALL
stores header information for orders in Order Management.
|
GML_GASNO_DETAILS
|
Contains
detail line data of the order that the shipment generated from.
|
GMA_AUDIT_DISP_COLS
|
This
table is to store Display columns for Shown on Audit Query Navigator
|
OKL_XTL_SELL_INVS_B
|
The
transaction table for "bill" type transactions, where cash receipts
are expected
|
OKL_TXL_RCPT_APPS_B
|
Apply
cash to various OKL objects
|
PA_COST_DISTRIBUTION_LINES_ALL
|
Information
about expenditure item cost distribution
|
FND_ID_FLEXS
|
Registration
information about key Flexfields
|
AX_SLE_LINES
|
Journal
entry lines information
|
HR_DM_HIERARCHIES
|
This
entity will contain the relationships between tables. The following
relationship will be recorded:
|
QRM_ANA_ATTS_LOOKUPS
|
Deal
attributes properties to control Risk Analysis behavior.
|
FA_RX_REPORTS
Stores
|
Report
exchange report definitions
|
IGI_AR_CASH_BASIS_DISTS_ALL
|
Distribution
information for combined basis accounting
|
AX_SLE_LINES_ARCH
|
Accounting
rows purged from the AX_SLE_LINES table
|
CE_ARCH_INTERFACE_LINES
|
Archived
CE_STATEMENT_LINES_INTERFACE records
|
CE_ARCH_LINES
|
Archived
CE_STATEMENT_LINES records
|
CE_STATEMENT_LINES
|
Bank
statement lines
|
PN_PAYMENT_ITEMS_ALL
|
Payment
and billing items associated with a payment or a billing schedule
|
HZ_IMP_DUP_PARTIES
|
This
table holds the ID's of the parties that matched the given match rule
criteria, along with their scores, and if any party crossed the auto merge
threshold and should be auto merged
|
AR_CCID_CORRECTIONS_ALL
|
Individual
GL distribution lines that contain invalid code combinations (GL accounts)
|
AR_BPA_DATA_SOURCES_B
|
The
AR_BPA_DATA_SOURCES_B table stores all the data sources that Bill Presentment
Architecture can access.
|
AR_BPA_URL_PARAMS
|
The
AR_BPA_URL_PARAMS table stores all parameters for the URLs defined in Bill
Presentment Architecture.
|
AR_BPA_RULE_TEMPLATES
|
The
AR_BPA_RULE_TEMPLATES table stores all assignment templates for assignment
rules defined in Bill Presentment Architecture.
|
AR_BPA_RULE_ATTRIBUTES_B
|
The
AR_BPA_RULE_ATTRIBUTES_B table stores all assignment attributes of assignment
rules defined in Bill Presentment Architecture.
|
AR_BPA_AREA_ITEMS
|
The
AR_BPA_AREA_ITEMS table stores the selected content items for each template
defined in Bill Presentment Architecture.
|
AR_CMGT_FINANCIAL_DATA
|
The
AR_CMGT_FINANCIAL_DATA table
stores financial statements information about the company under credit
review.
|
AR_CMGT_OTHER_DATA
|
The
AR_CMGT_OTHER_DATA table stores detailed information about Venture Capital
funding in use by the company under credit review.
|
AR_BPA_TEMPLATES_B
|
Release
11i:Used by Bill Presentment Architecture
|
AR_BPA_DATA_SRC_PARAMS
|
The
AR_BPA_DATA_SRC_PARAMS table stores the parameters that are used to present
transaction data from the AR_BPA_DATA_SOURCES table on a Bill Presentment
Architecture bill.
|
AR_MC_DISTRIBUTIONS_ALL
|
Currency-related
information about distributions generated by the different steps in the life
cycle of a cash receipt
|
RA_SITE_USES_ALL
|
Business
purpose of a customer address
|
RA_CUSTOMER_TRX_LINES_ALL
|
Invoice,
debit memo, chargeback, credit memo and commitment lines
|
RA_CUSTOMERS
|
Customer
information
|
AR_SALES_TAX
|
Sales
tax information for each tax authority defined in Oracle Receivables
|
AR_LOCATION_VALUES
|
Defines
the location and description for each of the value sets used in the Sales Tax
Location Flexfields
|
AR_CASH_BASIS_DISTS_ALL
|
Distribution
of payments over revenue accounts, used in Cash Basis Accounting
|
AR_CASH_RECEIPTS_ALL
|
Detailed
receipt information
|
AR_BATCHES_ALL
|
Receipt
batch information
|
PSP_ENC_SUMMARY_LINES_ARCH
|
Stores
the archived summary lines from summarized encumbrance lines
|
PSP_ENC_SUMMARY_LINES
|
Stores
summary of all summarized encumbrance lines
|
PSB_POSITION_EVENTS_ALL
|
Position
Event definitions
|
JL_BR_JOURNALS_ALL
|
Accounting
entries successfully transferred from the sub ledgers to GL
|
JL_BR_AR_COLLECTION_DOCS_ALL
|
Collection
Documents
|
JL_BR_AR_BORDEROS_ALL
|
Bank
Transfer Batches
|
PAY_DATETRACKED_EVENTS
|
Stores
details of events to track on HRMS Date track tables
|
MSC_PLANS
|
This
table stores different plans, with their names, and settings in the Oracle
Advanced Planning and Scheduling (APS) and Oracle Supply Chain Hub products.
|
MRP_PLANS
|
Settings
for a specific plan name
|
CST_AP_VARIANCE_LINES
|
Stores
the variance information detail for a purchase order distribution and each
batch run
|
JTF_ACT_TYPES_ATTRS_TL
|
the
translation table of jtf_act_types_attrs_b table.
|
OZF_TIME_RPT_STRUCT
|
This
is a time structure table used for calculating period amounts and XTD amounts
for the given period range. It stores time structure data to resolve given
period range.
|
OZF_REASON_CODES_ALL_B
|
This
table is used for storing the reasons for a claim
|
IBY_BANKACCT
IBY_BANKACCOUNT
|
Stores
bank account related information of the customer (payer) or payee.
|
OE_PAYMENTS
|
It
holds the commitment payment information.
|
OE_ORDER_HEADER_HISTORY
|
Stores
history of attribute change for Order Headers
|
OE_BLANKET_HEADERS_HIST
|
Table
to capture blanket agreement header history. Primary for storing revisions.
|
OE_BLANKET_LINES_ALL
|
Table
to capture blanket agreement Line details.(Attributes common between Sales
Order and Blanket Agreements).
|
OE_BLANKET_LINES_HIST
|
Table
to capture blanket agreement lines history.
|
OE_BLANKET_HEADERS_ALL
|
Table
to capture blanket agreement header details..
|
OE_LINE_ACKS
|
This
table stores information about the acknowledgements for Order Lines.
|
OE_ORDER_LINES_HISTORY
|
Stores
history of attribute change for Order Lines.
|
OE_ORDER_LINES_ALL
|
OE_ORDER_LINES_ALL
stores information for all order lines in Oracle Order Management.
|
OP_ORDR_TYP_B
|
User-defined
order types and descriptions.
|
SY_PURG_MST
|
Table
storing data of all OPM Archives/Purges that have been run
|
SY_PURG_DEF
|
OPM
Purge and Archive definitions are stored in this table
|
OKL_CURE_REFUND_LINES
|
Stores
details at line level when refunds are made. This will hold all the cash
applied against a cure invoice. The Receivables_Application_id is stored as
the appl_rct_id.
|
OKL_TXD_AR_LN_DTLS_B
|
Transaction
line details to be included into Receivables invoices
|
OKL_TXL_AR_INV_LNS_B
|
Transaction
lines to be included into Receivables invoices
|
OKL_TRNS_ACC_DSTRS
|
Accounting
distributions
|
IES_DEPLOYED_SCRIPTS
|
This
table holds all deployed scripts and related information.
|
OKS_BTN_PR
|
The
transaction (invoice, credit etc.) which is eventually received from AR.
|
OKS_BILL_TRANSACTIONS
|
The
transaction (invoice, credit etc.) which is eventually received from AR.
|
OKC_SECTIONS_B
|
Sections
are used to format clauses of a Contract while printing
|
OKC_SECTIONS_BH
|
History
table for OKC_SECTIONS_B
|
FII_AR_TRX_DIST_F_DLOG
|
This
is a delete log table for the Accounts Receivable Revenue Fact
(FII_AR_TRX_DIST_F). When a record is updated in the Accounts Receivable
Revenue Fact, the old record is moved into the DLOG table.
|
FII_AR_TRX_DIST_F
|
Accounts
Receivable Revenue Fact table.
|
MTL_PENDING_ITEM_STATUS
|
History
of item-status assignments
|
MTL_CROSS_REFERENCES
|
Assign
cross references to items
|
PA_DRAFT_INVOICES_AR
|
Pa_Draft_Invoices_ar
is a table for Archive/Purge. Refer to comments on the columns in the main
table
|
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Sunday, June 17, 2012
Oracle Apps Account Receivable tables
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