LEDGER_WK2_BUDG

(SQL Table)
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Budget Ledger CCU work table

# PeopleSoft Field Name PeopleSoft Field Type Database Column Type Description
1 PROCESS_INST_STG Number(10,0) DECIMAL(10) NOT NULL Stage Record Process Instance
2 BUSINESS_UNIT Character(5) VARCHAR2(5) NOT NULL Business Unit
3 LEDGER Character(10) VARCHAR2(10) NOT NULL Ledger
4 ACCOUNT Character(10) VARCHAR2(10) NOT NULL Account
5 ALTACCT Character(10) VARCHAR2(10) NOT NULL Alternate Account
6 DEPTID Character(10) VARCHAR2(10) NOT NULL Department
7 OPERATING_UNIT Character(8) VARCHAR2(8) NOT NULL Operating Unit ChartField
8 PRODUCT Character(6) VARCHAR2(6) NOT NULL Product ChartField
9 FUND_CODE Character(5) VARCHAR2(5) NOT NULL Fund Code
10 CLASS_FLD Character(5) VARCHAR2(5) NOT NULL Class Field
11 PROGRAM_CODE Character(5) VARCHAR2(5) NOT NULL Program Code ChartField
12 BUDGET_REF Character(8) VARCHAR2(8) NOT NULL Budget Reference
13 AFFILIATE Character(5) VARCHAR2(5) NOT NULL Affiliate
14 AFFILIATE_INTRA1 Character(10) VARCHAR2(10) NOT NULL IntraUnit Affiliate1
15 AFFILIATE_INTRA2 Character(10) VARCHAR2(10) NOT NULL Operating Unit Affiliate
16 CHARTFIELD1 Character(10) VARCHAR2(10) NOT NULL Expansion chartfield 1
17 CHARTFIELD2 Character(10) VARCHAR2(10) NOT NULL Expansion Chartfield 2
18 CHARTFIELD3 Character(10) VARCHAR2(10) NOT NULL Expansion Chartfield 3
19 PROJECT_ID Character(15) VARCHAR2(15) NOT NULL Project Id ChartField
20 BUDGET_PERIOD Character(8) VARCHAR2(8) NOT NULL Budget Period
21 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

Prompt Table: BD_SCENARIO_TBL

22 BOOK_CODE Character(4) VARCHAR2(4) NOT NULL Book Code
23 GL_ADJUST_TYPE Character(4) VARCHAR2(4) NOT NULL Adjustment Type
24 CURRENCY_CD Character(3) VARCHAR2(3) NOT NULL Currency Code
25 STATISTICS_CODE Character(3) VARCHAR2(3) NOT NULL Statistics Code
26 FISCAL_YEAR Number(4,0) SMALLINT NOT NULL Fiscal Year
27 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.
28 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.
29 POSTED_BASE_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, in the base currency of the business unit. Unless the Separate Debit/Credit option is set up, the ledger stores net amounts only.
30 POSTED_TRAN_AMT Signed Number(28,3) DECIMAL(26,3) NOT NULL Posted Transaction Amount
31 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. "
32 DTTM_STAMP_SEC DateTime(26) TIMESTAMP Specifies the date and time of the last update to an entry. This field is maintained by PeopleSoft and is used in a variety of contexts.
33 PROCESS_INSTANCE Number(10,0) DECIMAL(10) NOT NULL Process Instance