VNDR_IBANK_ACCT(SQL Table) |
Index Back |
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Supplier Intermediary Bank Acc |
# | PeopleSoft Field Name | PeopleSoft Field Type | Database Column Type | Description |
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1 | SETID | Character(5) | VARCHAR2(5) NOT NULL | SetID |
2 | VENDOR_ID | Character(10) | VARCHAR2(10) NOT NULL | Vendor Identifier |
3 | VNDR_LOC | Character(10) | VARCHAR2(10) NOT NULL | Vendor Location |
4 | EFFDT | Date(10) | DATE | Effective Date |
5 | BANK_ACCT_SEQ_NBR | Number(3,0) | SMALLINT NOT NULL | Bank Account Sequence Number |
6 | INTRMED_SEQ_NO | Number(3,0) | SMALLINT NOT NULL | A numeric value that sequentially identifiers the series of banks utilized for a given m |
7 | INTRMED_BANK_CD | Character(5) | VARCHAR2(5) NOT NULL |
The intermediary transit bank utilized for multibank settlements.
Prompt Table: %EDIT_CMPLX_BNK |
8 | INTRMED_ACCT_KEY | Character(4) | VARCHAR2(4) NOT NULL |
The intermediary transit bank account utilized for multibank settlements.
Prompt Table: %EDIT_CMPLX_ACT |
9 | INTRMED_DFI_ID | Character(15) | VARCHAR2(15) NOT NULL | The intermediary bank DFI identifier. |
10 | INTRMED_PYMNT_MSG | Character(30) | VARCHAR2(30) NOT NULL | An internal work field that contains messaging associated with settlements subject to |
11 | STL_ROUTING_METHOD | Character(2) | VARCHAR2(2) NOT NULL |
The routing approach assigned to a given bank/counterparty and account for settlement purposes.
01=DFI ID 02=Bank Account |
12 | INTRM_DFI_ID_QUAL | Character(2) | VARCHAR2(2) NOT NULL |
A banking industry convention identifier utilized to drive data validation for a given bank/counterparty.
01=Transit Number 02=Swift ID 03=CHIPS Participant ID 04=Canadian Bank Branch/Institute 05=CHIPS Universal ID ZZ=Mutually Defined |