FA Adjusted Form 4626 - AMT Summary Report- Not Supported: Reserved For Future Use
Description
Categories: BI Publisher
Imported from BI Publisher
Description: Adjusted Form 4626 - AMT Summary Report
Application: Assets
Source: Adjusted Form 4626 - AMT Summary Report (XML) - Not Supported: Reserved For Future Use
Short Name: FASAAMTS_XML
DB package: FA_FASAAMTS_XMLP_PKG
Description: Adjusted Form 4626 - AMT Summary Report
Application: Assets
Source: Adjusted Form 4626 - AMT Summary Report (XML) - Not Supported: Reserved For Future Use
Short Name: FASAAMTS_XML
DB package: FA_FASAAMTS_XMLP_PKG
SELECT DISTINCT fnd_flex_xml_publisher_apis.process_kff_combination_1('acct_flex_bal_seg', 'SQLGL', 'GL#', DHCC.CHART_OF_ACCOUNTS_ID, NULL, DHCC.CODE_COMBINATION_ID, 'GL_BALANCING', 'Y', 'VALUE') COMP_CODE, BK_FED.DEPRN_METHOD_CODE FED_METHOD, fnd_flex_xml_publisher_apis.process_kff_combination_1('cat_flex_all_seg', 'OFA', 'CAT#', 101, NULL, cat.CATEGORY_ID, 'ALL', 'Y', 'VALUE') CATEGORY, DECODE(AH.ASSET_TYPE,'CIP',CB_AMT.CIP_COST_ACCT, CB_AMT.ASSET_COST_ACCT) ACCT, AD.asset_number ASSET_NUMBER, ad.asset_id ASSET_ID, fnd_flex_xml_publisher_apis.process_kff_combination_1('d_comp_code', 'SQLGL', 'GL#', DHCC.CHART_OF_ACCOUNTS_ID, NULL, DHCC.CODE_COMBINATION_ID, 'GL_BALANCING', 'Y', 'VALUE') D_COMP_CODE, fnd_flex_xml_publisher_apis.process_kff_combination_1('d_category', 'OFA', 'CAT#', 101, NULL, cat.CATEGORY_ID, 'ALL', 'Y', 'VALUE') D_CATEGORY, --&COMP_CODE BAL_SEG, fnd_flex_xml_publisher_apis.process_kff_combination_1('d_comp_code', 'SQLGL', 'GL#', DHCC.CHART_OF_ACCOUNTS_ID, NULL, DHCC.CODE_COMBINATION_ID, 'GL_BALANCING', 'Y', 'VALUE') BAL_SEG, FA_FASAAMTS_XMLP_PKG.fed_deprnformula(:FED_DD,:FED_ADJUST) FED_DEPRN, FA_FASAAMTS_XMLP_PKG.amt_deprnformula(:AMT_DD,:AMT_ADJUST) AMT_DEPRN, FA_FASAAMTS_XMLP_PKG.diff_deprnformula(:FED_DEPRN, :AMT_DEPRN) DIFF_DEPRN FROM FA_CATEGORY_BOOKS CB_FED, FA_CATEGORY_BOOKS CB_AMT, FA_CATEGORIES CAT, FA_BOOKS BK_FED, FA_BOOKS BK_AMT, FA_DEPRN_PERIODS DP_FED, FA_DEPRN_PERIODS DP_AMT, FA_ADDITIONS AD, GL_CODE_COMBINATIONS DHCC, FA_ASSET_HISTORY AH, FA_DEPRN_DETAIL DD, FA_DISTRIBUTION_HISTORY DH WHERE DD.ASSET_ID = AD.ASSET_ID AND DD.BOOK_TYPE_CODE IN(:P_FED_BOOK,:P_AMT_BOOK)AND DD.PERIOD_COUNTER between :FED_START_PERIOD_PC and :FED_END_PERIOD_PC AND DD.DEPRN_SOURCE_CODE = 'D' AND BK_FED.BOOK_TYPE_CODE = :P_FED_BOOK AND BK_AMT.BOOK_TYPE_CODE = :P_AMT_BOOK AND BK_FED.ASSET_ID = AD.ASSET_ID AND BK_AMT.ASSET_ID = AD.ASSET_ID AND DP_FED.PERIOD_CLOSE_DATE BETWEEN BK_FED.DATE_EFFECTIVE AND NVL(BK_FED.DATE_INEFFECTIVE, DP_FED.PERIOD_CLOSE_DATE) AND DP_AMT.PERIOD_CLOSE_DATE BETWEEN BK_AMT.DATE_EFFECTIVE AND NVL(BK_AMT.DATE_INEFFECTIVE, DP_AMT.PERIOD_CLOSE_DATE) AND CB_FED.BOOK_TYPE_CODE = :P_FED_BOOK AND CB_FED.CATEGORY_ID = CB_AMT.CATEGORY_ID AND CB_AMT.BOOK_TYPE_CODE = :P_AMT_BOOK AND CB_AMT.CATEGORY_ID = AH.CATEGORY_ID AND AH.ASSET_ID = AD.ASSET_ID AND DP_FED.PERIOD_CLOSE_DATE BETWEEN AH.DATE_EFFECTIVE AND NVL(AH.DATE_INEFFECTIVE, DP_FED.PERIOD_CLOSE_DATE) AND DECODE(AH.ASSET_TYPE,'CIP',CB_AMT.CIP_COST_ACCT, CB_AMT.ASSET_COST_ACCT) BETWEEN NVL(:P_FROM_ACCT, DECODE(AH.ASSET_TYPE,'CIP', CB_AMT.CIP_COST_ACCT, CB_AMT.ASSET_COST_ACCT)) AND NVL(:P_TO_ACCT, DECODE(AH.ASSET_TYPE,'CIP', CB_AMT.CIP_COST_ACCT, CB_AMT.ASSET_COST_ACCT)) AND dp_fed.period_counter=:PERIOD1_PC and dp_fed.book_type_code = :P_FED_BOOK and dp_AMT.period_counter=:PERIOD1_PC and dp_AMT.book_type_code=:P_AMT_BOOK AND CB_AMT.CATEGORY_ID = CAT.CATEGORY_ID AND DH.DISTRIBUTION_ID = DD.DISTRIBUTION_ID AND DHCC.CODE_COMBINATION_ID = DH.CODE_COMBINATION_ID UNION SELECT DISTINCT fnd_flex_xml_publisher_apis.process_kff_combination_1('acct_flex_bal_seg', 'SQLGL', 'GL#', DHCC.CHART_OF_ACCOUNTS_ID, NULL, DHCC.CODE_COMBINATION_ID, 'GL_BALANCING', 'Y', 'VALUE') COMP_CODE, BK_FED.DEPRN_METHOD_CODE FED_METHOD, fnd_flex_xml_publisher_apis.process_kff_combination_1('cat_flex_all_seg', 'OFA', 'CAT#', 101, NULL, cat.CATEGORY_ID, 'ALL', 'Y', 'VALUE') CATEGORY, DECODE(AH.ASSET_TYPE,'CIP',CB_AMT.CIP_COST_ACCT, CB_AMT.ASSET_COST_ACCT) ACCT, AD.asset_number ASSET_NUMBER, ad.asset_id ASSET_ID, fnd_flex_xml_publisher_apis.process_kff_combination_1('d_comp_code', 'SQLGL', 'GL#', DHCC.CHART_OF_ACCOUNTS_ID, NULL, DHCC.CODE_COMBINATION_ID, 'GL_BALANCING', 'Y', 'VALUE') D_COMP_CODE, fnd_flex_xml_publisher_apis.process_kff_combination_1('d_category', 'OFA', 'CAT#', 101, NULL, cat.CATEGORY_ID, 'ALL', 'Y', 'VALUE') D_CATEGORY, --&COMP_CODE BAL_SEG, fnd_flex_xml_publisher_apis.process_kff_combination_1('d_comp_code', 'SQLGL', 'GL#', DHCC.CHART_OF_ACCOUNTS_ID, NULL, DHCC.CODE_COMBINATION_ID, 'GL_BALANCING', 'Y', 'VALUE') BAL_SEG, FA_FASAAMTS_XMLP_PKG.fed_deprnformula(:FED_DD,:FED_ADJUST) FED_DEPRN, FA_FASAAMTS_XMLP_PKG.amt_deprnformula(:AMT_DD,:AMT_ADJUST) AMT_DEPRN, FA_FASAAMTS_XMLP_PKG.diff_deprnformula(:FED_DEPRN,:AMT_DEPRN) DIFF_DEPRN FROM FA_CATEGORY_BOOKS CB_FED, FA_CATEGORY_BOOKS CB_AMT, FA_CATEGORIES CAT, FA_BOOKS BK_FED, FA_BOOKS BK_AMT, FA_DEPRN_PERIODS DP_FED, FA_DEPRN_PERIODS DP_AMT, FA_ADDITIONS AD, GL_CODE_COMBINATIONS DHCC, FA_ASSET_HISTORY AH, FA_ADJUSTMENTS ADJ ,xla_ae_lines lines ,xla_distribution_links links ,fa_transaction_headers th WHERE AD.ASSET_ID = ADJ.ASSET_ID AND ADJ.BOOK_TYPE_CODE IN (:P_FED_BOOK,:P_AMT_BOOK) AND ADJ.PERIOD_COUNTER_ADJUSTED BETWEEN :FED_START_PERIOD_PC AND :FED_END_PERIOD_PC AND BK_FED.BOOK_TYPE_CODE = :P_FED_BOOK AND BK_AMT.BOOK_TYPE_CODE = :P_AMT_BOOK AND BK_FED.ASSET_ID = AD.ASSET_ID AND BK_AMT.ASSET_ID = AD.ASSET_ID AND DP_FED.PERIOD_CLOSE_DATE BETWEEN BK_FED.DATE_EFFECTIVE AND NVL(BK_FED.DATE_INEFFECTIVE, DP_FED.PERIOD_CLOSE_DATE) AND DP_AMT.PERIOD_CLOSE_DATE BETWEEN BK_AMT.DATE_EFFECTIVE AND NVL(BK_AMT.DATE_INEFFECTIVE, DP_AMT.PERIOD_CLOSE_DATE) AND CB_FED.BOOK_TYPE_CODE = :P_FED_BOOK AND CB_FED.CATEGORY_ID = CB_AMT.CATEGORY_ID AND CB_AMT.BOOK_TYPE_CODE = :P_AMT_BOOK AND CB_AMT.CATEGORY_ID = AH.CATEGORY_ID AND AH.ASSET_ID = AD.ASSET_ID AND DP_FED.PERIOD_CLOSE_DATE BETWEEN AH.DATE_EFFECTIVE AND NVL(AH.DATE_INEFFECTIVE, DP_FED.PERIOD_CLOSE_DATE) AND DECODE(AH.ASSET_TYPE,'CIP',CB_AMT.CIP_COST_ACCT, CB_AMT.ASSET_COST_ACCT) BETWEEN NVL(:P_FROM_ACCT, DECODE(AH.ASSET_TYPE,'CIP', CB_AMT.CIP_COST_ACCT, CB_AMT.ASSET_COST_ACCT)) AND NVL(:P_TO_ACCT, DECODE(AH.ASSET_TYPE,'CIP', CB_AMT.CIP_COST_ACCT, CB_AMT.ASSET_COST_ACCT)) AND dp_fed.period_counter=:PERIOD1_PC and dp_fed.book_type_code = :P_FED_BOOK and dp_AMT.period_counter=:PERIOD1_PC and dp_AMT.book_type_code=:P_AMT_BOOK AND CB_AMT.CATEGORY_ID = CAT.CATEGORY_ID AND lines.CODE_COMBINATION_ID = DHCC.CODE_COMBINATION_ID AND :P_ADJUSTED ='TRUE' and th.transaction_header_id = adj.transaction_header_id and links.event_id = th.event_id and links.Source_distribution_id_num_1 = adj.transaction_header_id and links.Source_distribution_id_num_2 = adj.adjustment_line_id and links.application_id = 140 and lines.ae_header_id = links.ae_header_id and lines.ae_line_num = links.ae_line_num and lines.application_id = 140 and links.source_distribution_type = 'TRX' --ORDER BY 1,2,3,4,5 order by D_CATEGORY |
Parameter Name | SQL text | Validation | |
---|---|---|---|
Federal Book |
|
LOV Oracle | |
AMT Book |
|
LOV Oracle | |
End Period |
|
LOV Oracle | |
From Asset Account |
|
Char | |
To Asset Account |
|
Char |