NET_BANK_ACT_VW

(SQL View)
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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'

  • Related Language Record: NET_BACT_LNG_VW
  • Parent record: BANK_CD_TBL
  • # 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