GLRN_APPR_VW

(SQL View)
Index Back

Account Recon Fluid Approval

Account Reconciliation view designed for Fluid Approval Composer Page

SELECT R.GLRN_SET , R.GLRN_RULE , R.BUSINESS_UNIT , R.AS_OF_DATE , R.SEQUENCE_NBR_9 , R.PERIOD_END_DT , R.GLRN_UNIT_OF_RECON , R.START_DATE , R.DUE_DATE , R.COMPLETE_DATE , R.CALC_NET_AMT , R.EXPECTED_AMT , R.CURRENCY_CD , R.BASE_AMT , R.BASE_CURRENCY , R.GLRN_RECON_STATUS , R.GLRN_REASON_CD , R.ACCOUNT , R.ALTACCT , R.DEPTID , %subrec(CF12_AN_SBR, R) , R.PROJECT_ID , R.BOOK_CODE , R.KEY_CHAR_30_01 , R.KEY_CHAR_30_02 , R.KEY_CHAR_30_03 , R.KEY_CHAR_30_04 , R.KEY_CHAR_30_05 , ' ' , ' ' FROM PS_GLRN_RECON_TBL R

# PeopleSoft Field Name PeopleSoft Field Type Database Column Type Description
1 GLRN_SET Character(20) VARCHAR2(20) NOT NULL Account Reconciliation Set
2 GLRN_RULE Character(20) VARCHAR2(20) NOT NULL Account Reconciliation Rule ID
3 BUSINESS_UNIT Character(5) VARCHAR2(5) NOT NULL Business Unit
4 AS_OF_DATE Date(10) DATE As of Date
5 SEQUENCE_NBR_9 Number(9,0) DECIMAL(9) NOT NULL Sequence
6 PERIOD_END_DT Date(10) DATE Represents the date termination point for a given time set utilized in cash worksheet processing.
7 GLRN_UNIT_OF_RECON Character(2) VARCHAR2(2) NOT NULL 2-Char Unit of Reconciliation
8 START_DATE Date(10) DATE Start Date for Gen Standing PO
9 DUE_DATE Date(10) DATE Delivery Due Date from PO
10 COMPLETE_DATE Date(10) DATE To save the task execution complete date
11 CALC_NET_AMT Signed Number(28,3) DECIMAL(26,3) NOT NULL Calculated net amount
12 EXPECTED_AMT Signed Number(28,3) DECIMAL(26,3) NOT NULL Expected amount
13 CURRENCY_CD Character(3) VARCHAR2(3) NOT NULL Currency Code
14 BASE_AMT Signed Number(28,3) DECIMAL(26,3) NOT NULL Represents a transaction amount calculated and stored in the base currency of its associated General Ledger bus
15 BASE_CURRENCY Character(3) VARCHAR2(3) NOT NULL "Specifies the primary currency for a general ledger business unit, and is sometimes referred to as the ""book"" currency. Each business unit has one base currency. which is usually, but not always, the local currency for the organization. Journal entries are posted to a business unit in its base currency. "
16 GLRN_RECON_STATUS Character(1) VARCHAR2(1) NOT NULL Reconciliation Status
17 GLRN_REASON_CD Character(2) VARCHAR2(2) NOT NULL Status Change reason code
18 ACCOUNT Character(10) VARCHAR2(10) NOT NULL Account
19 ALTACCT Character(10) VARCHAR2(10) NOT NULL Alternate Account
20 DEPTID Character(10) VARCHAR2(10) NOT NULL Department
21 OPERATING_UNIT Character(8) VARCHAR2(8) NOT NULL Operating Unit ChartField
22 PRODUCT Character(6) VARCHAR2(6) NOT NULL Product ChartField
23 FUND_CODE Character(5) VARCHAR2(5) NOT NULL Fund Code
24 CLASS_FLD Character(5) VARCHAR2(5) NOT NULL Class Field
25 PROGRAM_CODE Character(5) VARCHAR2(5) NOT NULL Program Code ChartField
26 BUDGET_REF Character(8) VARCHAR2(8) NOT NULL Budget Reference
27 AFFILIATE Character(5) VARCHAR2(5) NOT NULL Affiliate
28 AFFILIATE_INTRA1 Character(10) VARCHAR2(10) NOT NULL IntraUnit Affiliate1
29 AFFILIATE_INTRA2 Character(10) VARCHAR2(10) NOT NULL Operating Unit Affiliate
30 CHARTFIELD1 Character(10) VARCHAR2(10) NOT NULL Expansion chartfield 1
31 CHARTFIELD2 Character(10) VARCHAR2(10) NOT NULL Expansion Chartfield 2
32 CHARTFIELD3 Character(10) VARCHAR2(10) NOT NULL Expansion Chartfield 3
33 PROJECT_ID Character(15) VARCHAR2(15) NOT NULL Project Id ChartField
34 BOOK_CODE Character(4) VARCHAR2(4) NOT NULL Book Code
35 KEY_CHAR_30_01 Character(30) VARCHAR2(30) NOT NULL Assignment Value 1
36 KEY_CHAR_30_02 Character(30) VARCHAR2(30) NOT NULL Assignment Value 2
37 KEY_CHAR_30_03 Character(30) VARCHAR2(30) NOT NULL Assignment Value 3
38 KEY_CHAR_30_04 Character(30) VARCHAR2(30) NOT NULL Assignment Value 4
39 KEY_CHAR_30_05 Character(30) VARCHAR2(30) NOT NULL Assignment Value 5
40 DESCR Character(30) VARCHAR2(30) NOT NULL Description
41 DESCR254 Character(254) VARCHAR2(254) NOT NULL Description of length 254