Galana AR Aging

Description
Application: Receivables
Source: Aging - 7 Buckets - By Salesperson/Agent Report
Short Name: ARXAGRW
Package: XXEN_AR_ARXAGRW_PKG
select
x1.ledger                           ledger,
x1.operating_unit                   operating_unit,
fnd_flex_xml_publisher_apis.process_kff_combination_1('lp_acct_flex_bal_seg', 'SQLGL', 'GL#', x1.chart_of_accounts_id, NULL, x1.code_combination_id, 'GL_BALANCING', 'Y', 'VALUE') "&lp_bal_seg_p",
fnd_flex_xml_publisher_apis.process_kff_combination_1('lp_acct_flex_acc_seg', 'SQLGL', 'GL#', x1.chart_of_accounts_id, NULL, x1.code_combination_id, 'GL_ACCOUNT', 'Y', 'VALUE') "&lp_acc_seg_p",
fnd_flex_xml_publisher_apis.process_kff_combination_1('lp_accounting_flexfield', 'SQLGL', 'GL#', x1.chart_of_accounts_id, NULL, x1.code_combination_id, 'ALL', 'Y', 'VALUE') gl_account_segments,
x1.sort_field1                      salesperson,
x1.cust_name                        customer,
x1.cust_no                          customer_number,
x1.classification,
x1.cust_country                     customer_country,
x1.collector                        collector,
&lp_invoice_cols_s
x1.revaluation_from_currency        amounts_currency,
nvl(sum(x1.amt_due_original),0)     original_amount,
nvl(sum(x1.amt_due_remaining),0)    outstanding_amount,
&lp_on_acc_summ_cols
:p_age_basis Aging_Basis,
&lp_aging_amount_cols
&lp_aging_pct_cols
-- Revaluation Columns
&lp_reval_columns
&lp_reval_aging_amount_cols
--
&party_dff_cols1
&cust_dff_cols1
--
fnd_flex_xml_publisher_apis.process_kff_combination_1('lp_acct_flex_bal_seg', 'SQLGL', 'GL#', x1.chart_of_accounts_id, NULL, x1.code_combination_id, 'GL_BALANCING', 'Y', 'DESCRIPTION') "&lp_bal_seg_p Desc",
fnd_flex_xml_publisher_apis.process_kff_combination_1('lp_acct_flex_acc_seg', 'SQLGL', 'GL#', x1.chart_of_accounts_id, NULL, x1.code_combination_id, 'GL_ACCOUNT', 'Y', 'DESCRIPTION') "&lp_acc_seg_p Desc",
fnd_flex_xml_publisher_apis.process_kff_combination_1('lp_accounting_flexfield', 'SQLGL', 'GL#', x1.chart_of_accounts_id, NULL, x1.code_combination_id, 'ALL', 'Y', 'DESCRIPTION') gl_account_segments_desc
from
( --start x1
select
 x.ledger,
(select haou.name from hr_all_organization_units haou where haou.organization_id=x.org_id) operating_unit,
x.sort_field1,
x.sort_field2,
x.cust_name,
x.cust_no,
x.cust_country,
(select ac.name
from ar_collectors ac
 where  ac.collector_id=nvl(hcps.collector_id,hcpa.collector_id)
) collector,
x.class,
x.cons_billing_number,
x.invnum,
x.invoice_currency_code,
x.term,
x.trx_date,
x.due_date,
x.days_past_trx,
x.days_past_due,
x.amt_due_original,
x.amount_adjusted,
x.amount_applied,
x.amount_credited,
x.gl_date,
x.data_converted,
x.ps_exchange_rate,
x.code_combination_id,
x.chart_of_accounts_id,
x.invoice_type,
--
&lp_bucket_cols1
--
case when (:p_credit_option='SUMMARY' and x.class in ('PMT','CM','CLAIM'))
 or (:p_risk_option='SUMMARY' AND x.invoice_type=:p_risk_meaning)
  then to_number(null)
  else x.amt_due_remaining
  end amt_due_remaining,
case when :p_credit_option='SUMMARY' AND x.class='PMT'
  then x.amt_due_remaining
  else null
  end  on_account_amount_cash,
case when :p_credit_option='SUMMARY' AND x.class='CM'
  then x.amt_due_remaining
  else null
  end  on_account_amount_credit,
case when :p_risk_option='SUMMARY' AND x.invoice_type=:p_risk_meaning
  then x.amt_due_remaining
  else null
  end  on_account_amount_risk,
case when :p_credit_option='SUMMARY' AND x.class='CLAIM'
  then x.amt_due_remaining
  else null
  end  cust_amount_claim,
nvl(:p_in_currency,x.functional_currency) revaluation_from_currency,
decode(nvl(:p_in_currency,x.functional_currency),:p_reval_currency,1,(select gdr.conversion_rate from gl_daily_conversion_types gdct, gl_daily_rates gdr where nvl(:p_in_currency,x.functional_currency)=gdr.from_currency and gdr.to_currency=:p_reval_currency and :p_reval_conv_date=gdr.conversion_date and gdct.user_conversion_type=:p_reval_conv_type and gdct.conversion_type=gdr.conversion_type)) reval_conv_rate,
--
&party_dff_cols2
&cust_dff_cols2
--
xxen_util.meaning(:p_reporting_level,'FND_MO_REPORTING_LEVEL',0) reporting_level,
case :p_reporting_level when '1000' then x.ledger when '3000' then (select haou.name from hr_all_organization_units haou where haou.organization_id=x.org_id) end reporting_entity,
x.classification
from
( --start x
select
substrb(hp.party_name,1,50) cust_name,
hca.account_number cust_no,
nvl(sales.name,jrrev.resource_name) sort_field1,
arpt_sql_func_util.get_org_trx_type_details(ps.cust_trx_type_id,ps.org_id) sort_field2,
nvl(sales.salesrep_id, -3) salesrep_id,
rt.name term,
site.site_use_id,
loc.state cust_state,
loc.city cust_city,
(select ftv.territory_short_name from fnd_territories_vl ftv where ftv.territory_code=loc.country) cust_country,
decode(decode(upper(rtrim(rpad(:p_in_format_option_low, 1))),'D','D',null),null,-1,acct_site.cust_acct_site_id) addr_id,
nvl(hca.cust_account_id,-999) cust_id,
hca.party_id,
--
&party_dff_cols3
&cust_dff_cols3
--
ps.payment_schedule_id payment_sched_id,
ps.class class,
ps.trx_date,
ps.due_date,
decode(nvl2(:p_in_currency,'N','Y'), 'Y', ps.amount_due_original * nvl(ps.exchange_rate, 1), ps.amount_due_original) amt_due_original,
xxen_ar_arxagrw_pkg.comp_amt_due_remainingformula
(ps.class,
arpt_sql_func_util.get_org_trx_type_details(ps.cust_trx_type_id,ps.org_id),
ps.payment_schedule_id,
ps.amt_due_remaining,
ps.amount_applied,
ps.amount_credited,
ps.amount_adjusted
 )  amt_due_remaining,
ps.trx_number invnum,
ceil(:p_in_as_of_date_low - ps.trx_date) days_past_trx,
ceil(:p_in_as_of_date_low - ps.due_date) days_past_due,
ps.amount_adjusted amount_adjusted,
ps.amount_applied amount_applied,
ps.amount_credited amount_credited,
ps.gl_date gl_date,
decode(ps.invoice_currency_code, gsob.currency_code, NULL, decode(ps.exchange_rate, null, '*', null)) data_converted,
nvl(ps.exchange_rate, 1) ps_exchange_rate,
--
&lp_bucket_cols2
--
c.code_combination_id,
c.chart_of_accounts_id,
ci.cons_billing_number  cons_billing_number,
arpt_sql_func_util.get_org_trx_type_details(ps.cust_trx_type_id,ps.org_id) invoice_type,
ps.invoice_currency_code,
gsob.currency_code functional_currency,
gsob.name ledger,
ps.org_id,
xxen_util.meaning(hca.customer_class_code,'CUSTOMER CLASS',222) classification
from
hz_cust_accounts hca,
hz_parties hp,
(select
  a.customer_id,
  a.customer_site_use_id ,
  a.customer_trx_id,
  a.payment_schedule_id,
  a.class ,
sum(a.primary_salesrep_id) primary_salesrep_id,
a.term_id,
a.trx_date,
a.due_date,
sum(a.amount_due_remaining) amt_due_remaining,
a.trx_number,
a.amount_due_original,
a.amount_adjusted,
a.amount_applied ,
a.amount_credited ,
a.amount_adjusted_pending,
a.gl_date ,
a.cust_trx_type_id,
a.org_id,
a.invoice_currency_code,
a.exchange_rate,
sum(a.cons_inv_id) cons_inv_id
  from
(
 select
  ps.customer_id,
  ps.customer_site_use_id,
  ps.customer_trx_id,
  ps.payment_schedule_id,
  ps.class,
  0 primary_salesrep_id,
  ps.term_id,
  ps.trx_date,
  ps.due_date,
  nvl(sum(decode(nvl2(:p_in_currency,'N','Y'), 'Y', nvl(adj.acctd_amount, 0), adj.amount)),0) * (-1)  amount_due_remaining,
  ps.trx_number,
  ps.amount_due_original,
  ps.amount_adjusted,
ps.amount_applied,
ps.amount_credited,
ps.amount_adjusted_pending,
ps.gl_date,
ps.cust_trx_type_id,
ps.org_id,
ps.invoice_currency_code,
nvl(ps.exchange_rate,1) exchange_rate,
0 cons_inv_id
from
ar_payment_schedules ps,
ar_adjustments adj
where
ps.gl_date <= :p_in_as_of_date_low
and ps.customer_id>0
and ps.gl_date_closed >:p_in_as_of_date_low
and decode(upper(:p_in_currency),NULL, ps.invoice_currency_code,upper(:p_in_currency))=ps.invoice_currency_code
and adj.payment_schedule_id=ps.payment_schedule_id
and adj.status='A'
and adj.gl_date>:p_in_as_of_date_low
and xxen_ar_arxagrw_pkg.include_org_id(ps.org_id)='Y'
and adj.org_id=ps.org_id
group by
ps.customer_id,
ps.customer_site_use_id,
ps.customer_trx_id,
ps.class,
ps.term_id,
ps.trx_date,
ps.due_date,
ps.trx_number,
ps.amount_due_original,
ps.amount_adjusted,
ps.amount_applied,
ps.amount_credited,
ps.amount_adjusted_pending,
ps.gl_date,
ps.cust_trx_type_id,
ps.org_id,
ps.invoice_currency_code,
nvl(ps.exchange_rate,1),
ps.payment_schedule_id
union all
select
ps.customer_id,
ps.customer_site_use_id,
ps.customer_trx_id,
ps.payment_schedule_id,
ps.class,
0 primary_salesrep_id,
ps.term_id,
ps.trx_date,
ps.due_date,
nvl(sum(decode( nvl2(:p_in_currency,'N','Y'),
  'Y', (decode( ps.class,
  'CM', decode( app.application_type, 'CM', app.acctd_amount_applied_from, app.acctd_amount_applied_to),app.acctd_amount_applied_to) +
nvl(app.acctd_earned_discount_taken,0) +
nvl(app.acctd_unearned_discount_taken,0)
  )
,  ( app.amount_applied +
nvl(app.earned_discount_taken,0) +
nvl(app.unearned_discount_taken,0)
  )
  ) *
decode( ps.class,
'CM', decode(app.application_type, 'CM', -1, 1),
  1
  )
),0
) amount_due_remaining,
ps.trx_number,
ps.amount_due_original,
ps.amount_adjusted,
ps.amount_applied ,
ps.amount_credited,
ps.amount_adjusted_pending,
ps.gl_date gl_date,
ps.cust_trx_type_id,
ps.org_id,
ps.invoice_currency_code,
nvl(ps.exchange_rate, 1) exchange_rate,
0 cons_inv_id
from
ar_payment_schedules ps,
ar_receivable_applications app
where
   ps.gl_date <= :p_in_as_of_date_low
and ps.customer_id>0
and ps.gl_date_closed >:p_in_as_of_date_low
and decode(upper(:p_in_currency),NULL, ps.invoice_currency_code, upper(:p_in_currency))=ps.invoice_currency_code
and (app.applied_payment_schedule_id=ps.payment_schedule_id or
app.payment_schedule_id=ps.payment_schedule_id
   )
and app.status IN ('APP', 'ACTIVITY')
and nvl( app.confirmed_flag, 'Y' )='Y'
and app.gl_date>:p_in_as_of_date_low
and xxen_ar_arxagrw_pkg.include_org_id(ps.org_id)='Y'
and app.org_id=ps.org_id
group by
ps.customer_id,
ps.customer_site_use_id,
ps.customer_trx_id,
ps.class,
ps.term_id,
ps.trx_date,
ps.due_date,
ps.trx_number,
ps.amount_due_original,
ps.amount_adjusted,
ps.amount_applied,
ps.amount_credited,
ps.amount_adjusted_pending,
ps.gl_date,
ps.cust_trx_type_id,
ps.org_id,
ps.invoice_currency_code,
nvl(ps.exchange_rate, 1),
ps.payment_schedule_id
union all
select
ps.customer_id,
ps.customer_site_use_id,
ps.customer_trx_id,
ps.payment_schedule_id,
ps.class class,
nvl(ct.primary_salesrep_id, -3) primary_salesrep_id,
ps.term_id,
ps.trx_date,
ps.due_date,
decode( nvl2(:p_in_currency,'N','Y'), 'Y', ps.acctd_amount_due_remaining, ps.amount_due_remaining) amt_due_remaining,
ps.trx_number,
ps.amount_due_original,
ps.amount_adjusted,
ps.amount_applied,
ps.amount_credited,
ps.amount_adjusted_pending,
ps.gl_date,
ps.cust_trx_type_id,
ps.org_id,
ps.invoice_currency_code,
nvl(ps.exchange_rate, 1) exchange_rate,
ps.cons_inv_id
from
ar_payment_schedules ps,
ra_customer_trx ct
where
   ps.gl_date <= :p_in_as_of_date_low
and ps.gl_date_closed >:p_in_as_of_date_low
and decode(upper(:p_in_currency),NULL, ps.invoice_currency_code, upper(:p_in_currency))=ps.invoice_currency_code
and ps.customer_trx_id=ct.customer_trx_id
and ps.class <> 'CB'
and xxen_ar_arxagrw_pkg.include_org_id(ps.org_id)='Y'
and ct.org_id=ps.org_id
union all
select
ps.customer_id,
ps.customer_site_use_id ,
ps.customer_trx_id,
ps.payment_schedule_id,
ps.class class,
nvl(ct.primary_salesrep_id,-3) primary_salesrep_id,
ps.term_id,
ps.trx_date,
ps.due_date,
decode( nvl2(:p_in_currency,'N','Y'), 'Y', ps.acctd_amount_due_remaining, ps.amount_due_remaining) amt_due_remaining,
ps.trx_number,
ps.amount_due_original,
ps.amount_adjusted,
ps.amount_applied,
ps.amount_credited,
ps.amount_adjusted_pending,
ps.gl_date,
ps.cust_trx_type_id,
ps.org_id,
ps.invoice_currency_code,
nvl(ps.exchange_rate, 1) exchange_rate,
ps.cons_inv_id
from
ar_payment_schedules ps,
ra_customer_trx ct,
ar_adjustments adj
where
   ps.gl_date <= :p_in_as_of_date_low
and ps.gl_date_closed >:p_in_as_of_date_low
and decode(upper(:p_in_currency),NULL, ps.invoice_currency_code, upper(:p_in_currency))=ps.invoice_currency_code
and ps.class='CB'
and ps.customer_trx_id=adj.chargeback_customer_trx_id (+)
and ps.org_id=adj.org_id (+)
and adj.customer_trx_id=ct.customer_trx_id (+)
and adj.org_id=ct.org_id (+) 
and xxen_ar_arxagrw_pkg.include_org_id(ps.org_id)='Y'
) a
group by
a.customer_id,
a.customer_site_use_id,
a.customer_trx_id,
a.payment_schedule_id,
a.class,
a.term_id,
a.trx_date,
a.due_date,
a.trx_number,
a.amount_due_original,
a.amount_adjusted,
a.amount_applied,
a.amount_credited,
a.amount_adjusted_pending,
a.gl_date,
a.cust_trx_type_id,
a.org_id,
a.invoice_currency_code,
a.exchange_rate
) ps,
ar_cons_inv ci,
ra_salesreps_all sales,
jtf_rs_resource_extns_vl jrrev,
hz_cust_site_uses site,
hz_cust_acct_sites acct_site,
hz_party_sites party_site,
hz_locations loc,
ra_cust_trx_line_gl_dist gld,
ar_dispute_history dh,
ra_terms rt,
gl_code_combinations c,
ra_customer_trx rct,
gl_sets_of_books gsob
where
--upper(RTRIM(RPAD(:p_in_summary_option_low,1)) )='I'
ps.customer_site_use_id=site.site_use_id
and site.cust_acct_site_id=acct_site.cust_acct_site_id
and acct_site.party_site_id=party_site.party_site_id
and loc.location_id=party_site.location_id
and ps.customer_id=hca.cust_account_id
and hca.party_id=hp.party_id
and ps.customer_trx_id=gld.customer_trx_id
and gld.account_class='REC'
and gld.latest_rec_flag='Y'
and gld.code_combination_id=c.code_combination_id
and ps.payment_schedule_id = dh.payment_schedule_id(+)
and ps.term_id=rt.term_id (+)
and :p_in_as_of_date_low  >= nvl(dh.start_date(+), :p_in_as_of_date_low)
and :p_in_as_of_date_low  <  nvl(dh.end_date(+), :p_in_as_of_date_low + 1)
and (   dh.dispute_history_id is null
 or dh.dispute_history_id =
(select max(dh2.dispute_history_id)
from   ar_dispute_history dh2
where  dh2.payment_schedule_id=ps.payment_schedule_id
and:p_in_as_of_date_low  >= nvl(dh2.start_date(+), :p_in_as_of_date_low)
and:p_in_as_of_date_low  <  nvl(dh2.end_date(+), :p_in_as_of_date_low + 1)
)
)
and rct.customer_trx_id=ps.customer_trx_id
and gsob.set_of_books_id=rct.set_of_books_id
&lp_invoice_type_low
&lp_invoice_type_high
&lp_bal_seg_low
&lp_bal_seg_high
&lp_acc_seg_low
&lp_acc_seg_high
and ps.cons_inv_id=ci.cons_inv_id(+)
and nvl(ps.primary_salesrep_id,-3)=sales.salesrep_id
and sales.org_id=ps.org_id
and jrrev.resource_id=sales.resource_id
and xxen_ar_arxagrw_pkg.include_org_id(ps.org_id)='Y'
and gld.org_id=ps.org_id
and site.org_id=ps.org_id
and 2=2
union all
select
substrb(nvl(hp.party_name,:p_short_unid_phrase),1,50) cust_name,
hca.account_number cust_no,
nvl(sales.name,jrrev.resource_name),
initcap(:p_payment_meaning),
nvl(sales.salesrep_id,-3),
null term,
site.site_use_id,
loc.state cust_state,
loc.city cust_city,
(select ftv.territory_short_name from fnd_territories_vl ftv where ftv.territory_code=loc.country) cust_country,
decode(decode(upper(RTRIM(RPAD(:p_in_format_option_low, 1))),'D','D',NULL),NULL,-1,acct_site.cust_acct_site_id) addr_id,
nvl(hca.cust_account_id, -999) cust_id,
hca.party_id,
--
&party_dff_cols3
&cust_dff_cols3
--
ps.payment_schedule_id,
app.class,
ps.trx_date,
ps.due_date,
decode(nvl2(:p_in_currency,'N','Y'), 'Y', ps.amount_due_original * nvl(ps.exchange_rate, 1), ps.amount_due_original) amt_due_original,
xxen_ar_arxagrw_pkg.Comp_Amt_Due_RemainingFormula
( app.class,
initcap(:p_payment_meaning),
ps.payment_schedule_id,
decode(nvl2(:p_in_currency,'N','Y'), 'Y', nvl(-SUM(app.acctd_amount), 0), nvl(-SUM(app.amount), 0)), -- amount due remaining
ps.amount_applied,
ps.amount_credited,
ps.amount_adjusted
)  amt_due_remaining,
ps.trx_number,
ceil(:p_in_as_of_date_low - ps.trx_date) days_past_trx,
ceil(:p_in_as_of_date_low - ps.due_date) days_past_due,
ps.amount_adjusted,
ps.amount_applied,
ps.amount_credited,
ps.gl_date,
decode(ps.invoice_currency_code, gsob.currency_code, NULL, decode(ps.exchange_rate, NULL, '*', NULL)),
nvl(ps.exchange_rate, 1),
--
&lp_bucket_cols3
--
app.code_combination_id,
app.chart_of_accounts_id,
ci.cons_billing_number cons_billing_number,
initcap(:p_payment_meaning),
ps.invoice_currency_code,
gsob.currency_code functional_currency,
gsob.name ledger,
ps.org_id,
xxen_util.meaning(hca.customer_class_code,'CUSTOMER CLASS',222) classification
from
hz_cust_accounts hca,
hz_parties hp,
ar_payment_schedules ps,
ar_cons_inv ci,
ra_salesreps_all sales,
jtf_rs_resource_extns_vl jrrev,
hz_cust_site_uses site,
hz_cust_acct_sites acct_site,
hz_party_sites party_site,
hz_locations loc,
ar_cash_receipts acr,
gl_sets_of_books gsob,
(
select
c.code_combination_id,
c.chart_of_accounts_id,
ps.payment_schedule_id payment_schedule_id,
decode(app.applied_payment_schedule_id,   -4,   'CLAIM',   ps.class) class,
app.acctd_amount_applied_from acctd_amount,
app.amount_applied amount,
app.status status
from
ar_receivable_applications app,
gl_code_combinations c,
ar_payment_schedules ps
where
  app.gl_date <= :p_in_as_of_date_low
--and upper(RTRIM(RPAD(:p_in_summary_option_low,1))) ='I'
and xxen_ar_arxagrw_pkg.include_org_id(ps.org_id)='Y'
and ps.cash_receipt_id=app.cash_receipt_id
and app.code_combination_id=c.code_combination_id
and app.status in ( 'ACC', 'UNAPP', 'UNID','OTHER ACC')
and nvl(app.confirmed_flag, 'Y')='Y'
and ps.gl_date_closed >:p_in_as_of_date_low
and ((app.reversal_gl_date is not null and
ps.gl_date <= :p_in_as_of_date_low
   ) or
   app.reversal_gl_date is null
  )
and decode(upper(:p_in_currency), null, ps.invoice_currency_code, upper(:p_in_currency))=ps.invoice_currency_code
and nvl( ps.receipt_confirmed_flag, 'Y' )='Y'
&lp_bal_seg_low
&lp_bal_seg_high
&lp_acc_seg_low
&lp_acc_seg_high
and app.org_id=ps.org_id
) app
where
ps.payment_schedule_id=app.payment_schedule_id
and ps.customer_id=hca.cust_account_id(+)
and hca.party_id=hp.party_id(+)
and ps.customer_site_use_id=site.site_use_id(+)
and site.cust_acct_site_id=acct_site.cust_acct_site_id(+)
and acct_site.party_site_id=party_site.party_site_id(+)
and loc.location_id(+)=party_site.location_id
and acr.cash_receipt_id=ps.cash_receipt_id
and gsob.set_of_books_id=acr.set_of_books_id
and ps.cons_inv_id=ci.cons_inv_id(+)
and sales.salesrep_id=-3
and sales.org_id =ps.org_id
and jrrev.resource_id=sales.resource_id
and site.org_id (+)=ps.org_id
and 2=2
group by
hp.party_name,
hca.account_number,
site.site_use_id,
nvl(sales.name,jrrev.resource_name),
nvl(sales.salesrep_id,-3),
loc.state,
loc.city,
loc.country,
acct_site.cust_acct_site_id,
hca.cust_account_id,
hca.party_id,
--
&party_dff_cols3_g
&cust_dff_cols3_g
--
ps.payment_schedule_id,
ps.trx_date,
ps.due_date,
ps.trx_number,
ps.amount_due_original,
ps.amount_adjusted,
ps.amount_applied,
ps.amount_credited,
ps.gl_date,
ps.amount_in_dispute,
ps.amount_adjusted_pending,
ps.invoice_currency_code,
ps.exchange_rate,
app.class,
app.code_combination_id,
app.chart_of_accounts_id,
decode( app.status, 'UNID', 'UNID','OTHER ACC','OTHER ACC','UNAPP'),
ci.cons_billing_number ,
initcap(:p_payment_meaning),
gsob.currency_code,
gsob.name,
ps.org_id,
xxen_util.meaning(hca.customer_class_code,'CUSTOMER CLASS',222)
union all
select
substrb(nvl(hp.party_name, :p_short_unid_phrase),1,50) cust_name,
hca.account_number cust_no,
nvl(sales.name,jrrev.resource_name),
initcap(:p_risk_meaning),
nvl(sales.salesrep_id,-3),
null term,
site.site_use_id,
loc.state cust_state,
loc.city cust_city,
(select ftv.territory_short_name from fnd_territories_vl ftv where ftv.territory_code=loc.country) cust_country,
decode(decode(upper(RTRIM(RPAD(:p_in_format_option_low, 1))),'D','D',NULL),NULL,-1,acct_site.cust_acct_site_id) addr_id,
nvl(hca.cust_account_id, -999) cust_id,
hca.party_id,
--
&party_dff_cols3
&cust_dff_cols3
--
ps.payment_schedule_id,
initcap(:p_risk_meaning),
ps.trx_date,
ps.due_date,
decode(nvl2(:p_in_currency,'N','Y'), 'Y', ps.amount_due_original * nvl(ps.exchange_rate, 1), ps.amount_due_original) amt_due_original,
xxen_ar_arxagrw_pkg.comp_amt_due_remainingformula
( initcap(:p_risk_meaning),
initcap(:p_risk_meaning),
ps.payment_schedule_id,
decode( nvl2(:p_in_currency,'N','Y'), 'Y', crh.acctd_amount, crh.amount), -- amount due remaining
ps.amount_applied,
ps.amount_credited,
ps.amount_adjusted
)  amt_due_remaining,
ps.trx_number,
ceil(:p_in_as_of_date_low - ps.trx_date) days_past_trx,
ceil(:p_in_as_of_date_low - ps.due_date) days_past_due,
ps.amount_adjusted,
ps.amount_applied,
ps.amount_credited,
crh.gl_date,
decode(ps.invoice_currency_code, gsob.currency_code, NULL, decode(crh.exchange_rate, NULL, '*', NULL)),
nvl(crh.exchange_rate, 1),
--
&lp_bucket_cols4
--
c.code_combination_id,
c.chart_of_accounts_id,
ci.cons_billing_number  cons_billing_number,
initcap(:p_risk_meaning),
ps.invoice_currency_code,
gsob.currency_code functional_currency,
gsob.name ledger,
ps.org_id,
xxen_util.meaning(hca.customer_class_code,'CUSTOMER CLASS',222) classification
from
hz_cust_accounts hca,
hz_parties hp,
ar_payment_schedules ps,
ar_cons_inv ci,
hz_cust_site_uses site,
hz_cust_acct_sites acct_site,
hz_party_sites party_site,
hz_locations loc,
ar_cash_receipts cr,
ar_cash_receipt_history crh,
gl_code_combinations c,
ra_salesreps_all sales,
jtf_rs_resource_extns_vl jrrev,
gl_sets_of_books gsob
where
crh.gl_date <= :p_in_as_of_date_low
--and upper(RTRIM(RPAD(:p_in_summary_option_low,1))) ='I'
and upper(:p_risk_option) != 'NONE'
and ps.customer_id=hca.cust_account_id(+)
and hca.party_id=hp.party_id(+)
and ps.cash_receipt_id=cr.cash_receipt_id
and xxen_ar_arxagrw_pkg.include_org_id(ps.org_id)='Y'
and cr.cash_receipt_id=crh.cash_receipt_id
and crh.account_code_combination_id=c.code_combination_id
and ps.customer_site_use_id=site.site_use_id(+)
and site.cust_acct_site_id=acct_site.cust_acct_site_id(+)
and acct_site.party_site_id=party_site.party_site_id(+)
and loc.location_id(+)=party_site.location_id
and decode(upper(:p_in_currency), NULL, ps.invoice_currency_code, upper(:p_in_currency))=ps.invoice_currency_code
and (crh.current_record_flag='Y' or crh.reversal_gl_date>:p_in_as_of_date_low )
and crh.status not in (decode(crh.factor_flag,'Y','RISK_ELIMINATED','N','CLEARED'),'REVERSED')
and not exists (select 'x'
from ar_receivable_applications ra
where ra.cash_receipt_id=cr.cash_receipt_id
and ra.status='ACTIVITY'
and applied_payment_schedule_id=-2)
and cr.cash_receipt_id not in
(select ps.reversed_cash_receipt_id
from ar_payment_schedules ps
where ps.reversed_cash_receipt_id=cr.cash_receipt_id
and ps.class='DM'
and ps.gl_date<= (:p_in_as_of_date_low))
and gsob.set_of_books_id=cr.set_of_books_id
&lp_bal_seg_low
&lp_bal_seg_high
&lp_acc_seg_low
&lp_acc_seg_high
and ps.cons_inv_id=ci.cons_inv_id(+)
and sales.salesrep_id=-3
and sales.org_id=ps.org_id
and jrrev.resource_id=sales.resource_id
and crh.org_id=ps.org_id
and cr.org_id=ps.org_id
and site.org_id (+)=ps.org_id
and 2=2
union all
select
substrb(hp.party_name,1,50) cust_name,
hca.account_number cust_no,
nvl(sales.name,jrrev.resource_name) sort_field1,
arpt_sql_func_util.get_org_trx_type_details(ps.cust_trx_type_id,ps.org_id) sort_field2,
nvl(sales.salesrep_id, -3)  salesrep_id,
rt.name term,
site.site_use_id contact_site_id,
loc.state cust_state,
loc.city cust_city,
(select ftv.territory_short_name from fnd_territories_vl ftv where ftv.territory_code=loc.country) cust_country,
decode(decode(upper(rtrim(rpad(:p_in_format_option_low, 1))),'D','D',null),null,-1,acct_site.cust_acct_site_id) addr_id,
nvl(hca.cust_account_id,-999) cust_id,
hca.party_id,
--
&party_dff_cols3
&cust_dff_cols3
--
ps.payment_schedule_id payment_sched_id,
ps.class class,
ps.trx_date,
ps.due_date,
decode(nvl2(:p_in_currency,'N','Y'), 'Y', ps.amount_due_original * nvl(ps.exchange_rate, 1), ps.amount_due_original) amt_due_original,
xxen_ar_arxagrw_pkg.comp_amt_due_remainingformula
( ps.class,
arpt_sql_func_util.get_org_trx_type_details(ps.cust_trx_type_id,ps.org_id),
ps.payment_schedule_id,
decode( nvl2(:p_in_currency,'N','Y'), 'Y', ps.acctd_amount_due_remaining,ps.amount_due_remaining), -- amount due remaining
ps.amount_applied,
ps.amount_credited,
ps.amount_adjusted
)  amt_due_remaining,
ps.trx_number invnum,
ceil(:p_in_as_of_date_low - ps.trx_date) days_past_trx,
ceil(:p_in_as_of_date_low - ps.due_date) days_past_due,
ps.amount_adjusted amount_adjusted,
ps.amount_applied amount_applied,
ps.amount_credited amount_credited,
ps.gl_date gl_date,
decode(ps.invoice_currency_code, gsob.currency_code, NULL, decode(ps.exchange_rate, NULL, '*', NULL)) data_converted,
nvl(ps.exchange_rate, 1) ps_exchange_rate,
--
&lp_bucket_cols3
--
c.code_combination_id,
c.chart_of_accounts_id,
ci.cons_billing_number cons_billing_number,
arpt_sql_func_util.get_org_trx_type_details(ps.cust_trx_type_id,ps.org_id) invoice_type,
ps.invoice_currency_code,
gsob.currency_code functional_currency,
gsob.name ledger,
ps.org_id,
xxen_util.meaning(hca.customer_class_code,'CUSTOMER CLASS',222) classification
from
hz_cust_accounts hca,
hz_parties hp,
ar_payment_schedules ps,
ar_cons_inv ci,
ra_salesreps_all sales,
jtf_rs_resource_extns_vl jrrev,
hz_cust_site_uses site,
hz_cust_acct_sites acct_site,
hz_party_sites party_site,
hz_locations loc,
ar_transaction_history th,
ar_distributions   dist,
gl_code_combinations c,
ra_customer_trx ct,
ra_terms rt,
gl_sets_of_books gsob
where
ps.gl_date <= :p_in_as_of_date_low
--and   upper(RTRIM(RPAD(:p_in_summary_option_low,1)) )='I'
and ps.customer_site_use_id=site.site_use_id
and xxen_ar_arxagrw_pkg.include_org_id(ps.org_id)='Y'
and site.cust_acct_site_id=acct_site.cust_acct_site_id
and acct_site.party_site_id =party_site.party_site_id
and loc.location_id=party_site.location_id
and ps.gl_date_closed> :p_in_as_of_date_low
and ps.class='BR'
and decode(upper(:p_in_currency),NULL, ps.invoice_currency_code, upper(:p_in_currency))=ps.invoice_currency_code
and hca.party_id=hp.party_id
and th.transaction_history_id =
(select max(transaction_history_id)
from ar_transaction_history th2,
ar_distributions dist2
where th2.transaction_history_id=dist2.source_id
and dist2.source_table='TH'
and th2.gl_date <= :p_in_as_of_date_low
and dist2.amount_dr is not null
and th2.customer_trx_id=ps.customer_trx_id)
and th.transaction_history_id=dist.source_id
and dist.source_table='TH'
and dist.amount_dr is not null
and dist.source_table_secondary is NULL
and dist.code_combination_id=c.code_combination_id
and gsob.set_of_books_id=ct.set_of_books_id
&lp_invoice_type_low
&lp_invoice_type_high
&lp_bal_seg_low
&lp_bal_seg_high
&lp_acc_seg_low
&lp_acc_seg_high
and ps.cons_inv_id=ci.cons_inv_id(+)
and ps.customer_id=hca.cust_account_id
and ps.customer_trx_id=ct.customer_trx_id
and ct.customer_trx_id=th.customer_trx_id
and nvl(ct.primary_salesrep_id,-3)=sales.salesrep_id
and sales.org_id=ct.org_id
and jrrev.resource_id=sales.resource_id
and ct.org_id=ps.org_id
and site.org_id=ps.org_id
and ps.term_id=rt.term_id (+)
and :p_br_enabled='Y'
and 2=2
) x,
hz_customer_profiles hcpa,
hz_customer_profiles hcps
where
hcpa.cust_account_id (+)=x.cust_id and
hcpa.site_use_id (+) is null and
hcps.cust_account_id (+)=x.cust_id and
hcps.site_use_id (+)=x.site_use_id and
nvl(x.amt_due_remaining,0) != 0
) x1
where
1=1
group by
x1.ledger,
x1.operating_unit,
x1.code_combination_id,
x1.chart_of_accounts_id,
x1.sort_field1,
x1.cust_name,
x1.cust_no,
x1.classification,
x1.cust_country,
--
&party_dff_cols1_g
&cust_dff_cols1_g
--
x1.collector,
x1.revaluation_from_currency,
x1.reval_conv_rate
&lp_invoice_cols_g
order by
fnd_flex_xml_publisher_apis.process_kff_combination_1('lp_acct_flex_bal_seg', 'SQLGL', 'GL#', x1.chart_of_accounts_id, NULL, x1.code_combination_id, 'GL_BALANCING', 'Y', 'VALUE'),
x1.sort_field1,
x1.cust_name,
x1.cust_no
&lp_invoice_cols_g
Parameter NameSQL textValidation
Reporting Level
 
LOV Oracle
Reporting Context
x1.reporting_entity=:p_reporting_entity_name
LOV
Report Summary
 
LOV Oracle
As Of Date
 
Date
Aging Bucket Name
 
LOV
Aging Basis
 
LOV
Show On Account
 
LOV
Salesrep Name
nvl(sales.name,jrrev.resource_name) = :p_in_salesrep_name
LOV
Salesrep Name Low
nvl(sales.name,jrrev.resource_name) >= :p_in_salesrep_name_low
LOV
Salesrep Name High
nvl(sales.name,jrrev.resource_name) <= :p_in_salesrep_name_high
LOV
Customer Name
hp.party_name = :p_in_customer_name
LOV Oracle
Customer Name Low
hp.party_name >= :p_in_customer_name_low
LOV Oracle
Customer Name High
hp.party_name <= :p_in_customer_name_high
LOV Oracle
Customer Number
hca.account_number = :p_in_customer_num
LOV Oracle
Customer Number low
hca.account_number >= :p_in_customer_num_low
LOV Oracle
Customer Number High
hca.account_number <= :p_in_customer_num_high
LOV Oracle
Balance Due Low
 
Number
Balance Due High
 
Number
Invoice Type Low
 
LOV Oracle
Invoice Type High
 
LOV Oracle
Entered Currency
 
LOV Oracle
Company Segment Low
 
LOV
Company Segment High
 
LOV
GL Account Segment Low
and fnd_flex_xml_publisher_apis.process_kff_combination_1('lp_acct_flex_acc_seg', 'SQLGL', 'GL#', c.chart_of_accounts_id, NULL, c.code_combination_id, 'GL_ACCOUNT', 'Y', 'VALUE') >= :p_in_acc_segment_low
LOV
GL Account Segment High
and fnd_flex_xml_publisher_apis.process_kff_combination_1('lp_acct_flex_acc_seg', 'SQLGL', 'GL#', c.chart_of_accounts_id, NULL, c.code_combination_id, 'GL_ACCOUNT', 'Y', 'VALUE') <= :p_in_acc_segment_high
LOV
Show Receipts At Risk
 
LOV Oracle
Revaluation Date
 
Date
Revaluation Currency
 
LOV
Revaluation Rate Type
 
LOV
Show Party DFF Attributes
select xxen_util.dff_columns(p_table_name=>'hz_parties',p_table_alias=>'hp',p_column_name_prefix=>'Party: ') sql_text from dual
LOV
Show Account DFF Attributes
select xxen_util.dff_columns(p_table_name=>'hz_cust_accounts',p_table_alias=>'hca',p_column_name_prefix=>'Customer: ') sql_text from dual
LOV