AR Technical
AR Technical
AR Technical
xla_events.event_status_code = I (Incomplete)
xla_events.event_status_code = U
xla_events.process_status_code = U
xla_events.event_status_code = U
xla_events.process_status_code = D
xla_ae_headers.accounting_entry_status_code = D
xla_events.event_status_code = P
xla_events.process_status_code = P
xla_ae_headers.accounting_entry_status_code = F
xla_ae_headers.gl_transfer_status_code –> ‘Y’
xla_ae_lines.gl_sl_link_id
5. RUN TRANSFER TO GL
XLA_AE_LINES.GL_SL_LINK_ID = GL_IMPORT_REFERENCES.GL_SL_LINK_ID
GL_IMPORT_REFERENCES.JE_HEADER_ID = GL_JE_HEADERS.JE_HEADER_ID
The XLA_AE_HEADERS table shows the transfer status of the accounting data, after successful
transfer to the GL and Journal Import:
Receipt Table
6. AR_CASH_RECEIPTS_ALL stores one record for each receipt entry
7. AR_CASH_RECEIPT_HISTORY_ALL stores all of the activity that is contained for the life cycle
of a receipt.
**10. AR_RECEIVABLE_APPLICATIONS_ALL ** stores all accounting entries for cash and credit
memo applications.
Details Information
When receipt is created it create one record ar_cash_receipts_all
receipt Status
1. Unidentified (UNID)
2. Unapplied (UNAPP)
3. Applied (APP)
4. Non-Sufficient fund (NSF)
5. Reversed Receipt (REV)
6. Stop Payment (STOP)
ar_cash_receipts_all columns
1. cash_receipt_id
2. amount
3. currency_code
4. status
5. type
6. receipt_number
7. receipt_date
8. receipt_method_id
9. org_id,reversal_date
10. reversal_reason_code
11. reversal_category
12. pay_from_customer_id
13. customer_site_use_id
14. customer_bank_account_id
15. remittance_bank_account_id
ar_cash_receipt_history_all
Status column indicate the which step the receipt has reached
1. APPROVED
2. CONFIRMED
3. REMITTED
4. CLEARED
5. REVERSED
ar_receivables_application_all
Application status
When a cash receipt is initially created, Receivables creates a row in this table for the cash receipt
amount with a status of UNAPP.
one row with a status of APP for the amount that is applied to the invoice,
one row with status of UNAPP for the negative of the amount that is applied.
one row with status of APP for the original application's inverse amount (the negative of
the original application amount),
one row with a status of UNAPP for the positive amount of the application that is
reversed.
Columns.
1. RECEIVABLE_APPLICATION_ID
2. CASH_RECEIPT_ID
3. AMOUNT_APPLIED
4. LINE_APPLIED
5. TAX_APPLIED
6. FREIGHT_APPLIED
7. STATUS
8. APPLIED_CUSTOMER_TRX_ID
9. APPLIED_CUSTOMER_TRX_LINE_ID
10. APPLIED_PAYMENT_SCHEDULE_ID
11. CASH_RECEIPT_HISTORY_ID
AR_distributions_all
For cash receipt history, the SOURCE_TABLE is CRH and the SOURCE_ID is
AR_Cash_Receipt_History_All.Cash_Receipt_History_Id
For miscellaneous receipt records, the SOURCE_TABLE is MCD and the SOURCE_ID is
AR_Misc_Cash_Distributions_All.Misc_Cash_Distributions_Id
Columns
1. SOURCE_ID
2. SOURCE_TABLE
3. SOURCE_TYPE
4. CODE_COMBINATION_ID
5. AMOUNT_DR
6. AMOUNT_CR
7. ACCTD_AMOUNT_DR
8. ACCTD_AMOUNT_CR
AR_payment_schedules_all
Stores balances for all Cash Receipts except Miscellaneous receipts and includes
AMOUNT_DUE_ORIGINAL
AMOUNT_DUE_REMAINING
DUE_DAT
AMOUNT_APPLIED
ACCTD_AMOUNT_DUE_REMAINING
AMOUNT_APPLIED
AMOUNT_DUE_REMAINING
ACCTD_AMOUNT_DUE_REMAINING
STATUS
The STATUS column changes from OP to CL for any transaction that has an
AMOUNT_DUE_REMAINING of zero.
AR_MISC_CASH_DISTRIBUTIONS_ALL
The AR_CASH_RECEIPTS_ALL table stores one record for each receipt while the
AR_MISC_CASH_DISTRIBUTIONS_ALL table stores one record for each receipt distribution.
Columns
1. MISC_CASH_DISTRIBUTION_ID
2. CASH_RECEIPT_ID
3. APPLY_DATE
4. COMMENTS
5. PERCENT
6. AMOUNT
7. ACCTD_AMOUNT
8. CASH_RECEIPT_HISTORY_ID
AR Transaction tables
1. ra_customer_trx_all
Columns
1. Customer_trx_id
2. trx_number
3. trx_date
4. invoice_currency_code
2. ra_customer_trx_lines_all
1. customer_trx_line_id
2. line_number
3. line_type
4. quantity_invoice
5. unit_standard_price
6. inventory_item_id
7. quantity_ordered
8. link_to_trx_line_id
3. ra_cust_trx_line_gl_dist_all
1. cust_trx_line_gl_dist_id
2. customer_trx_line_id
3. code_combination_id
4. amount
5. gl_date
6. gl_posted_date
7. account_class (Charge,Freight,Rev,Unbill,Unearn)
8. acct_amount
9. org_id
4. AR_PAYMENT_SCHEDULES_ALL
1. payment_schedule_id
2. amount_credited
3. due_date
4. amount_adjusted
5. amount_due_original
6. amount_due_remaining
7. amount_applied -- when receipt is applied this column get updated
8. confirmed_flag
5. ra_cust_trx_types_all
1. cust_trx_type_id
2. type
3. name
4. gl_id_rev
5. gl_id_rec
6. gl_id_freight
7. gl_id_tax
8. gl_id_clearning
9. gl_id_unbilled
10. gl_id_unearned
6. ra_account_defaults_all
7. ra_account_default_segments
8. ar_transaction_history_all
This table is bill receivable specific.