BEN_BI_ADJSTMNT(SQL Table) |
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AdjustmentsBEN_BI_ADJSTMNT holds information about adjustments. This table has equivalent status with BEN_BI_CHARGE and BEN_BI_PAYMENT. These three tables together hold all the information on accounting entries and are joined through BEN_BI_DETAIL. This table is never updated directly on panels. It is updated through SQLExec Insert statements using fields on DERIVED_BEN_BI as the input source. |
# | PeopleSoft Field Name | PeopleSoft Field Type | Database Column Type | Description |
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1 | EMPLID | Character(11) | VARCHAR2(11) NOT NULL |
Employee ID
Prompt Table: PERSON |
2 | BILL_ADJ_ID | Signed Number(8,0) | DECIMAL(7) NOT NULL | Billing Adjustment ID |
3 | POSTING_DATE | Date(10) | DATE |
Posting Date
Default Value: %date |
4 | POSTING_SEQUENCE | Number(2,0) | SMALLINT NOT NULL | Posting Sequence |
5 | BILL_CHARGE_ID | Number(7,0) | INTEGER NOT NULL | Billing Charge ID |
6 | BILL_PAY_ID | Number(7,0) | INTEGER NOT NULL | Payment ID |
7 | NET_ADJUSTMENT | Signed Number(9,2) | DECIMAL(7,2) NOT NULL | Net Adjustment |
8 | PRINT_PERIOD | Character(4) | VARCHAR2(4) NOT NULL |
Print Period
Prompt Table: BEN_BI_CALENDAR |
9 | ADJ_ENTRY_DT | Date(10) | DATE |
Adjustment Entry Date
Default Value: %date |
10 | ADJUST_TYPE | Character(3) | VARCHAR2(3) NOT NULL |
Adjustment Type
CHG=Charge Adjustment PAY=Payment Adjustment Default Value: CHG |
11 | ADJ_DESCR | Character(250) | VARCHAR2(250) NOT NULL | Adjustment Description |