NET_BANK_ACT_VW(SQL View) |
Index Back |
---|---|
View of Netting Bank Accounts |
SELECT DISTINCT C.SETID , C.BANK_CD , A.BANK_CD_CPTY , B.BANK_ACCT_KEY , A.DESCR , B.BANK_ACCOUNT_NUM , A.BANK_ACCT_TYPE FROM PS_BANK_ACCT_DEFN A , PS_BANK_ACCT_CPTY B , PS_BANK_CD_TBL C WHERE A.SETID = B.SETID AND A.BANK_CD = B.BANK_CD AND A.BANK_CD_CPTY = B.BANK_CD_CPTY AND A.BANK_ACCT_KEY = B.BANK_ACCT_KEY AND C.SETID = B.SETID AND C.BANK_CD = B.BANK_CD AND C.BANK_TYPE = 'N' |
# | PeopleSoft Field Name | PeopleSoft Field Type | Database Column Type | Description |
---|---|---|---|---|
1 | NET_BANK_SETID | Character(5) | VARCHAR2(5) NOT NULL | Netting Bank SetID |
2 | NET_BANK_CD | Character(5) | VARCHAR2(5) NOT NULL | Netting Bank Code |
3 | BANK_CD_CPTY | Character(5) | VARCHAR2(5) NOT NULL | An internal key field convention that facilitates the system distinction between banks and counterparties. |
4 | NET_BANK_ACCT_KEY | Character(4) | VARCHAR2(4) NOT NULL | Netting Bank Account Key |
5 | DESCR | Character(30) | VARCHAR2(30) NOT NULL | Description |
6 | BANK_ACCOUNT_NUM | Character(35) | VARCHAR2(35) NOT NULL | The literal unique identifier associated with a given bank/counterparty account. |
7 | BANK_ACCT_TYPE | Character(2) | VARCHAR2(2) NOT NULL |
An account attribute that describes the ostensible purposes of a given bank/counterparty account.
01=Time Deposit 03=Checking Account 05=Stock 06=Bond 07=Life Insurance Value 08=Retirement Account 10=Business Account 11=Trust Fund Account 12=Stock & Bond Account 13=Life Insurance Acct CA=Current Account CH=Charges Account DA=Demand Deposit LN=Loan RD=Return Items on DDA RS=Return Items-Savings SA=Settlement Account SV=Savings Account Z=Mutually Defined |