CONSOL_LOG_BUDG(SQL Table) |
Index Back |
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Consolidations Log |
# | PeopleSoft Field Name | PeopleSoft Field Type | Database Column Type | Description |
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1 | PROCESS_INSTANCE | Number(10,0) | DECIMAL(10) NOT NULL | Process Instance |
2 | REQUEST_NBR | Number(4,0) | SMALLINT NOT NULL | Request Number |
3 | SEQUENCE_NBR_6 | Number(6,0) | INTEGER NOT NULL | Sequence |
4 | SETID | Character(5) | VARCHAR2(5) NOT NULL | SetID |
5 | CONSOLIDATION_SET | Character(10) | VARCHAR2(10) NOT NULL | Consolidation Set |
6 | TREE_NAME | Character(18) | VARCHAR2(18) NOT NULL | Tree Name |
7 | TREE_NODE | Character(20) | VARCHAR2(20) NOT NULL | Node name |
8 | CONSOL_ENTITY | Character(30) | VARCHAR2(30) NOT NULL | Consolidation Entity |
9 | SET_IDENTIFIER | Character(10) | VARCHAR2(10) NOT NULL | Set Name Identifier |
10 | LOG_ENTRY_TYPE | Character(1) | VARCHAR2(1) NOT NULL |
Type of Log Entry
A=Majority Parent Adjustment E=Elimination I=Minority Parent Adjustment M=Majority Parent Elimination |
11 | AS_OF_DATE | Date(10) | DATE | As of Date |
12 | BUSINESS_UNIT | Character(5) | VARCHAR2(5) NOT NULL | Business Unit |
13 | LEDGER | Character(10) | VARCHAR2(10) NOT NULL | Ledger |
14 | ACCOUNT | Character(10) | VARCHAR2(10) NOT NULL | Account |
15 | ALTACCT | Character(10) | VARCHAR2(10) NOT NULL | Alternate Account |
16 | DEPTID | Character(10) | VARCHAR2(10) NOT NULL | Department |
17 | OPERATING_UNIT | Character(8) | VARCHAR2(8) NOT NULL | Operating Unit ChartField |
18 | PRODUCT | Character(6) | VARCHAR2(6) NOT NULL | Product ChartField |
19 | FUND_CODE | Character(5) | VARCHAR2(5) NOT NULL | Fund Code |
20 | CLASS_FLD | Character(5) | VARCHAR2(5) NOT NULL | Class Field |
21 | PROGRAM_CODE | Character(5) | VARCHAR2(5) NOT NULL | Program Code ChartField |
22 | BUDGET_REF | Character(8) | VARCHAR2(8) NOT NULL | Budget Reference |
23 | AFFILIATE | Character(5) | VARCHAR2(5) NOT NULL | Affiliate |
24 | AFFILIATE_INTRA1 | Character(10) | VARCHAR2(10) NOT NULL | IntraUnit Affiliate1 |
25 | AFFILIATE_INTRA2 | Character(10) | VARCHAR2(10) NOT NULL | Operating Unit Affiliate |
26 | CHARTFIELD1 | Character(10) | VARCHAR2(10) NOT NULL | Expansion chartfield 1 |
27 | CHARTFIELD2 | Character(10) | VARCHAR2(10) NOT NULL | Expansion Chartfield 2 |
28 | CHARTFIELD3 | Character(10) | VARCHAR2(10) NOT NULL | Expansion Chartfield 3 |
29 | PROJECT_ID | Character(15) | VARCHAR2(15) NOT NULL | Project Id ChartField |
30 | BUDGET_PERIOD | Character(8) | VARCHAR2(8) NOT NULL | Budget Period |
31 | SCENARIO | Character(10) | VARCHAR2(10) NOT NULL | A unique key identifier that allows a treasury to classify distinct revaluation events as varying and divergent ca |
32 | BOOK_CODE | Character(4) | VARCHAR2(4) NOT NULL | Book Code |
33 | DATE_CODE | Character(1) | VARCHAR2(1) NOT NULL | This field defines codes for Date field used in Journal lines record. The Different date fields can be used as the basis for alternate Posting to satisfy Trade Date/Settlement date requirements. |
34 | GL_ADJUST_TYPE | Character(4) | VARCHAR2(4) NOT NULL | Adjustment Type |
35 | CURRENCY_CD | Character(3) | VARCHAR2(3) NOT NULL | Currency Code |
36 | STATISTICS_CODE | Character(3) | VARCHAR2(3) NOT NULL | Statistics Code |
37 | POSTED_TOTAL_AMT | Signed Number(28,3) | DECIMAL(26,3) NOT NULL | Specifies the net balance of debit and credit amounts that have been posted to a particular ChartField combination. |