Table & Column Reference — Release 26A
326 tables found — showing 51–75
| Table Name | Cols | Description |
|---|---|---|
| AR AR_LOOKUPS | 29 | AR_LOOKUPS is a view that provides lookup codes and values specific to Oracle Accounts Receivable. I... |
| AR AR_MISC_CASH_DISTRIBUTIONS_ALL | 93 | The AR_MISC_CASH_DISTRIBUTIONS_ALL table stores all accounting entries for your miscellaneous cash a... |
| AR AR_PAYMENT_SCHEDULES_ALL | 160 | The AR_PAYMENT_SCHEDULES_ALL table stores all transactions except adjustments and miscellaneous cash... |
| AR AR_RECEIVABLE_APPLICATIONS_ALL | 149 | The AR_RECEIVABLE_APPLICATIONS_ALL table stores all accounting entries for both your cash and credit... |
| AR AR_REMIT_TO_ADDRESSES_ALL | 41 | AR_REMIT_TO_ADDRESSES_ALL stores remit-to address information for Oracle Receivables. In Oracle Fusi... |
| AR AR_STATEMENT_CYCLES | 32 | The AR_STATEMENT_CYCLES table contains general information about each statement cycle such as the in... |
| AR AR_STATEMENT_CYCLE_DATES | 16 | |
| AR AR_SYSTEM_PARAMETERS_ALL | 211 | AR_SYSTEM_PARAMETERS_ALL contains customizations to Oracle Fusion Receivables. This table stores ins... |
| AR AR_VAT_TAX_ALL_B | 56 | AR_VAT_TAX_ALL_B stores tax codes defined in the Tax Codes and Rates window. Each row represents a t... |
| CE CE_BANKS_V | 0 | Schema: FUSIONObject owner: CE |
| CE CE_BANK_ACCOUNTS | 151 | CE_BANK_ACCOUNTS contains Legal Entity Level bank account information. Each bank account must be a... |
| CE CE_BANK_ACCOUNTS_V | 0 | Schema: FUSIONObject owner: CE |
| CE CE_BANK_ACCT_BALANCES | 21 | CE_BANK_ACCT_BALANCES is the core table in Oracle Cash Management that stores daily closing balances... |
| CE CE_BANK_ACCT_USES_ALL | 53 | CE_BANK_ACCT_USES_ALL contains Operating Unit level bank account use information. |
| CE CE_BANK_BRANCHES | 20 | CE_BANK_BRANCHES stores information about bank branches used in Oracle Cash Management. In Oracle Fu... |
| CE CE_BATCH_ERRORS | 16 | CE_BATCH_ERRORS stores error information generated during batch processing in Oracle Cash Management... |
| CE CE_CASHFLOWS | 40 | CE_CASHFLOWS stores cashflow transactions in Oracle Cash Management. It handles miscellaneous transf... |
| CE CE_CASHFLOW_ASSIGNMENTS | 14 | CE_CASHFLOW_ASSIGNMENTS stores the assignment or association of cashflow transactions to specific en... |
| CE CE_EXTERNAL_TRANSACTIONS | 58 | CE_EXTERNAL_TRANSACTIONS contains information related to external transactions. |
| CE CE_FORECAST_CELLS | 10 | CE_FORECAST_CELLS stores the forecast amounts at the intersection of forecast rows and columns. It c... |
| CE CE_FORECAST_HEADERS | 20 | CE_FORECAST_HEADERS stores the header information of cash forecast templates. Each row includes the ... |
| CE CE_FORECAST_ROWS | 37 | CE_FORECAST_ROWS stores the source transaction information of cash forecast templates. Each row incl... |
| CE CE_RECONCILIATION_ERRORS | 16 | CE_RECONCILIATION_ERRORS stores error information generated while running the AutoReconciliation Pro... |
| CE CE_SECURITY_PROFILES_GT | 12 | CE_SECURITY_PROFILES_GT is a global temporary table used in Oracle Cash Management to store security... |
| CE CE_STATEMENT_HEADERS | 55 | CE_STATEMENT_HEADERS contains the statement header information. |