GPNL_PMT_AET

(SQL Table)
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Payment Processing Results NLD

Results table for Payment Process dedicated to the creation of the EFT File

# PeopleSoft Field Name PeopleSoft Field Type Database Column Type Description
1 PROCESS_INSTANCE Number(10,0) DECIMAL(10) NOT NULL Process Instance
2 OPRID Character(30) VARCHAR2(30) NOT NULL A user's ID (see PSOPRDEFN).
3 RUN_CNTL_ID Character(30) VARCHAR2(30) NOT NULL Run Control ID
4 CAL_RUN_ID Character(18) VARCHAR2(18) NOT NULL Calendar Run Id
5 EMPLID Character(11) VARCHAR2(11) NOT NULL Employee ID
6 EMPL_RCD Number(3,0) SMALLINT NOT NULL Empl Record
7 GP_PAYGROUP Character(10) VARCHAR2(10) NOT NULL Global Payroll pay group
8 CAL_ID Character(18) VARCHAR2(18) NOT NULL calendar id
9 INSTANCE Number(3,0) SMALLINT NOT NULL Instance Number
10 RECIPIENT_ID Character(8) VARCHAR2(8) NOT NULL Payment recipient ID
11 RSLT_SEG_NUM Number(4,0) SMALLINT NOT NULL Result Segment Number
12 ORIG_CAL_RUN_ID Character(18) VARCHAR2(18) NOT NULL Original Calendar Group ID
13 PIN_NUM Number(8,0) INTEGER NOT NULL PIN Number
14 RUN_TYPE Character(10) VARCHAR2(10) NOT NULL Run Type Name
15 PAY_ENTITY Character(10) VARCHAR2(10) NOT NULL Pay Entity
16 SRC_BANK_ID Character(8) VARCHAR2(8) NOT NULL Source Bank ID
17 SEG_END_DT Date(10) DATE Payee Process Segment's End Date
18 PYMT_KEY1 Character(25) VARCHAR2(25) NOT NULL Payment key field. Used for optional tracking of a payment per Department, Company, Establishment or Contract Number
19 PYMT_KEY2 Character(25) VARCHAR2(25) NOT NULL Payment key field. Used for optional tracking of a payment per Department, Company, Establishment or Contract Number
20 PYMT_KEY3 Character(25) VARCHAR2(25) NOT NULL Payment key field. Used for optional tracking of a payment per Department, Company, Establishment or Contract Number
21 PMT_TYPE Character(2) VARCHAR2(2) NOT NULL Payment Type
01=Net Pay Distribution
02=General Recipient Deduction
03=Individual Recipient Deduction
22 GP_PMT_AMT Signed Number(20,6) DECIMAL(18,6) NOT NULL Amount field on GP PAYMENT table
23 CURRENCY_CD Character(3) VARCHAR2(3) NOT NULL Currency Code
24 PAYMENT_MTHD Character(1) VARCHAR2(1) NOT NULL Payment Method
A=Cash
C=Check
O=Pay Primary Account Only
P=Postal Order
T=Bank Transfer
U=Use Normal Distribution
W=Wire Transfer
25 DEBIT_DT Date(10) DATE Debit Date
26 REVERSAL_IND Number(1,0) SMALLINT NOT NULL Reversal Indicator. Used in the GP BANKING process to identify transactions that are reversals. 0 means not reversal, 1 means reversal.
27 PMT_STATUS Character(1) VARCHAR2(1) NOT NULL Status field for a generated payment transaction
F=Finalized
M=Manually Paid
N=No Active Allocations
P=Prepared
T=Payment Transferred
V=Hold
W=Void
28 GPNL_BANK_CD Character(11) VARCHAR2(11) NOT NULL Bank Code
29 GPNL_BRANCH_EC_CD Character(17) VARCHAR2(17) NOT NULL Branch Id
30 GPNL_ACCOUNT_EC_ID Character(35) VARCHAR2(35) NOT NULL Account number
31 BANK_CD Character(11) VARCHAR2(11) NOT NULL Bank ID

Prompt Table: BANK_EC_TBL

32 BRANCH_EC_CD Character(17) VARCHAR2(17) NOT NULL Bank Branch ID

Prompt Table: BANK_BRANCH_TBL

33 ACCOUNT_EC_ID Character(35) VARCHAR2(35) NOT NULL Account Number used in banking.
34 BANK_TRANSFER_ID Character(15) VARCHAR2(15) NOT NULL Bank Transfer ID
35 NAME Character(50) VARCHAR2(50) NOT NULL Name
36 GPNL_BANK_NAME Character(40) VARCHAR2(40) NOT NULL Bank Name
37 GPNL_BANK_TOT_AMT Number(14,2) DECIMAL(13,2) NOT NULL Banking Total Amount
38 GPNL_BANK_RECIP Character(1) VARCHAR2(1) NOT NULL Banking Recipient
1=Bank and Postbank Accounts
2=Bank Accounts
3=Postbank Accounts
39 GPNL_FIXED_DESCR Character(32) VARCHAR2(32) NOT NULL Fixed Describtion Info
40 GPNL_BATCH_REF Character(6) VARCHAR2(6) NOT NULL Batch Reference
41 GPNL_PAYMENT_DT Date(10) DATE Process Data from EFT Netherdalns
42 GPNL_DELIVERY_TYP Character(1) VARCHAR2(1) NOT NULL Delivery type
1=Original
2=Duplicate
43 GPNL_EFT_DUP_CD Character(1) VARCHAR2(1) NOT NULL Duplicate Code
44 GPNL_CLIEOP_NBR Character(2) VARCHAR2(2) NOT NULL Banking Report ClieOp03
45 GPNL_TODAY_DT Date(10) DATE Today Date
46 GPNL_EXECUTION_DT Date(10) DATE Execution Date

Default Value: %Date

47 GPNL_EXEC_METHOD Character(1) VARCHAR2(1) NOT NULL Defines whether the payment instruction letter for the Netherlands should be generated using BI Publisher or not.
0=None
1=BI Publisher

Default Value: 1