ADO.NET Provider for Oracle Fusion Cloud Financials

Build 25.0.9434

ReceivablesCustomerAccountActivitiestransactionAdjustments

Details any adjustments (increases or decreases) applied to a customer’s transactions, reflecting corrections or policy updates.

Columns

Name Type Description
ReceivablesCustomerAccountActivitiesAccountId [KEY] Long The unique identifier for the customer account, linking the transaction adjustment to a specific account in the ReceivablesCustomerAccountActivities transaction adjustments table.
AdjustmentId [KEY] Long The unique identifier for the adjustment, used to track and manage individual transaction adjustments applied to a customer account.
AdjustmentNumber String A unique number assigned to each transaction adjustment for tracking and reference purposes within the accounting system.
AdjustmentAmount Decimal The total amount of the adjustment applied to the customer account, either increasing or decreasing the balance.
ApplicationDate Date The date when the adjustment was applied to the customer account, indicating when the financial change took place.
AccountingDate Date The date when the adjustment is recognized for accounting purposes, typically aligning with the posting date for financial reporting.
ProcessStatus String The current status of the adjustment in the process flow, such as 'Pending', 'Applied', or 'Rejected'.
EnteredCurrency String The currency used for the adjustment, reflecting the currency in which the transaction was originally recorded.
AdjustmentType String The type of adjustment being made, such as 'Credit', 'Debit', or other category defined by business rules.
AdjustmentReason String The reason for making the adjustment, helping to provide context for the financial modification.
ReferenceTransactionNumber String The transaction number of the original transaction to which the adjustment is applied, used for reference and auditing purposes.
ReferenceTransactionId Long The unique identifier for the transaction referenced by the adjustment, linking the adjustment to its original transaction.
ReferenceInstallmentId Long The unique identifier for the installment related to the adjustment, used to track partial payments or installment-based adjustments.
LastUpdateDate Datetime The date and time when the adjustment was last updated in the system, used to track changes or corrections to the adjustment record.
LastUpdatedBy String The user who last updated the adjustment record, providing accountability for changes made to the transaction.
CreatedBy String The user who initially created the adjustment record, providing accountability for the creation of the adjustment.
CreationDate Datetime The date and time when the adjustment record was created, used to track the historical context of the adjustment.
BillToSiteNumber String The site number for the billing address associated with the adjustment, helping to identify the location of the customer making the adjustment.
ReferenceTransactionStatus String The status of the referenced transaction, indicating whether the original transaction is 'Paid', 'Unpaid', or in another state.
AccountId Long The unique identifier for the account to which the adjustment is applied, linking the adjustment to a specific customer account.
AccountNumber String The account number for the customer account receiving the adjustment, helping to identify the correct account for processing.
CustomerName String The name of the customer associated with the adjustment, used to identify the party making or receiving the adjustment.
Finder String A search term or reference that helps locate specific adjustment records in the system for reporting or management purposes.
TaxpayerIdentificationNumber String The Tax Identification Number (TIN) associated with the customer, used for tax reporting and compliance.
TaxRegistrationNumber String The tax registration number of the customer, important for legal and tax reporting in certain jurisdictions.
TransactionLimitByDays Int The maximum number of days allowed for processing adjustments on a specific transaction, used to enforce time-based rules for financial transactions.
TransactionStatus String The status of the transaction adjustment, indicating whether it is 'Completed', 'Pending', or 'Rejected'.

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Build 25.0.9434