PAY_CSHCNTL_VW2(SQL View) |
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Cash Control needed paymentsSelect payments that need cash control entries. |
SELECT P.DEPOSIT_BU, P.DEPOSIT_ID, P.PAYMENT_SEQ_NUM, P.PAYMENT_ID, P.PAYMENT_STATUS, P.ENTRY_DT, P.ACCOUNTING_DT FROM PS_PAY_CSHCNTL_VW P |
# | PeopleSoft Field Name | PeopleSoft Field Type | Database Column Type | Description |
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1 | DEPOSIT_BU | Character(5) | VARCHAR2(5) NOT NULL | Identifies the business unit to which a deposit is posted. |
2 | DEPOSIT_ID | Character(15) | VARCHAR2(15) NOT NULL | Uniquely identifies a deposit of customer payments. The deposit ID can be manually assigned or system-generated. |
3 | PAYMENT_SEQ_NUM | Number(6,0) | INTEGER NOT NULL | Specifies the system-generated sequence number assigned to each payment as it is entered in a deposit. |
4 | PAYMENT_ID | Character(15) | VARCHAR2(15) NOT NULL | Identifies a customer payment. This is usually a check number but may be some other identifying number. |
5 | PAYMENT_STATUS | Character(1) | VARCHAR2(1) NOT NULL |
Payment Status
A=Applied B=Bounced C=Complete E=Identified - Express I=Identified J=Directly Journalled R=Unposted Direct Journal U=Unidentified W=Worksheet |
6 | ENTRY_DT | Date(10) | DATE | Specifies the date that a group of pending items was entered into the system. This date may be later or the same as the date that the items were received by the organization (See RECEIVED_DT). |
7 | ACCOUNTING_DT | Date(10) | DATE | The accounting entry construction date for a given transaction (a generic field that crosses multiple |