BNK_BTB_DDTRAN2

(SQL View)
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Debits in Transit

Use for Book to Bank Reconciliation 10/06/2003:cmh:Removed ITEM as we need to stay at Debit level

SELECT A.BNK_ID_NBR ,A.BANK_ACCOUNT_NUM ,A.FISCAL_YEAR ,A.ACCOUNTING_PERIOD ,A.SOURCE_BUS_UNIT ,A.TRAN_REF_ID ,A.TRAN_DT ,A.BTB_SOURCE ,A.RECON_STATUS ,B.RECON_BANK_DT ,A.BUSINESS_UNIT ,A.LEDGER ,A.ACCOUNT ,A.JOURNAL_ID ,A.JOURNAL_DATE ,A.MONETARY_AMOUNT ,A.CURRENCY_CD ,A.FOREIGN_AMOUNT ,A.FOREIGN_CURRENCY ,A.DESCR FROM PS_BNK_BTB_DDTRAN A , PS_BANK_STMT_TBL B WHERE B.BNK_ID_NBR = A.BNK_ID_NBR AND B.BANK_ACCOUNT_NUM = A.BANK_ACCOUNT_NUM AND B.RECON_CYCLE_NBR = A.RECON_CYCLE_NBR AND B.RECORD_SEQ_NUMBER = A.RECORD_SEQ_NUMBER

# PeopleSoft Field Name PeopleSoft Field Type Database Column Type Description
1 BNK_ID_NBR Character(20) VARCHAR2(20) NOT NULL A literal alphanumeric attribute that uniquely identifies a given bank or counterparty.
2 BANK_ACCOUNT_NUM Character(35) VARCHAR2(35) NOT NULL The literal unique identifier associated with a given bank/counterparty account.
3 FISCAL_YEAR Number(4,0) SMALLINT NOT NULL Fiscal Year
4 ACCOUNTING_PERIOD Number(3,0) SMALLINT NOT NULL Identifies a time period to which you post transactions. Typically, an accounting period represents a month, but it can also represent a week, a day, or any user-defined interval. An accounting period has a beginning date and an ending date, and is defined in the calendar table.
5 SOURCE_BUS_UNIT Character(5) VARCHAR2(5) NOT NULL Source Bus Unit
6 TRAN_REF_ID Character(20) VARCHAR2(20) NOT NULL Represents the unique transaction identifier in bank reconciliation processing.
7 TRAN_DT Date(10) DATE Represents the transaction date in bank reconciliation processing.
8 BTB_SOURCE Character(4) VARCHAR2(4) NOT NULL Book To Bank Source
AP=AP Disbursements
ARCC=AR Deposits - Cash Clearing
ARDD=AR Direct Debits
ARDP=AR Deposits
ARDR=AR Drafts
EXAD=Expense Cash Advance
EXPN=Expense Report
GL=Journal Entry
TR0=Other
TRB=Bank Fees
TRD=Treasury Deals
TRE=Deal Fees
TRF=Facility Fees
TRGL=Manual Treasury Entry
TRR=EFT Fees
TRT=Letter of Credit Fees
TRW=EFT Requests
TRX=Bank Transfers
XT=External Transactions
9 RECON_STATUS Character(3) VARCHAR2(3) NOT NULL Reconciliation Status
ALG=Alignment Check
AMB=Ambiguous Match
AMT=Amounts Not Equal
CUR=Currency not Defined
DAT=Tran Date <> Value Date
DPI=Duplicate Input Transactions
DUP=Duplicate Transaction
MSC=Miscellaneous Transaction
NAM=Payee Names Not Equal
NTB=Not Found in Statement
NTF=Not Found In System
NTP=Not Found in POS Data
NUL=Null Transaction ID Ref
OVR=Overflow
PND=Pending Reconciliation
REC=Reconciled
RPR=Reprinted Check
RR=Requires Review - BSAC
STP=Stop Payment
TYP=Wrong Transaction Type
UNR=Unreconciled
VOI=Voided Check
10 RECON_BANK_DT Date(10) DATE The bank statement date.
11 BUSINESS_UNIT Character(5) VARCHAR2(5) NOT NULL Business Unit
12 LEDGER Character(10) VARCHAR2(10) NOT NULL Ledger
13 ACCOUNT Character(10) VARCHAR2(10) NOT NULL Account
14 JOURNAL_ID Character(10) VARCHAR2(10) NOT NULL Identifies a journal entry, consisting of a header and one or more lines. The Journal ID itself does not have to be unique, but together with the journal business unit and journal date, it forms a unique journal identifier.
15 JOURNAL_DATE Date(10) DATE Specifies the date the journal was created.
16 MONETARY_AMOUNT Signed Number(28,3) DECIMAL(26,3) NOT NULL Specifies the monetary amount of a debit or credit in the business unit base currency. Debit entries are positive and credit entries are negative. This amount is only zero if associated with a statistical account.
17 CURRENCY_CD Character(3) VARCHAR2(3) NOT NULL Currency Code
18 FOREIGN_AMOUNT Signed Number(28,3) DECIMAL(26,3) NOT NULL Specifies the monetary amount of a debit or credit (accounting entry line) in the entry currency of the item. The sum of FOREIGN_AMOUNT values on AR lines should equal the ENTRY_AMT on the pending item.
19 FOREIGN_CURRENCY Character(3) VARCHAR2(3) NOT NULL Foreign Currency Code
20 DESCR Character(30) VARCHAR2(30) NOT NULL Description