Views
Views are similar to tables in the way that data is represented; however, views are read-only.
Queries can be executed against a view as if it were a normal table.
CData Power BI Connector for Oracle Fusion Cloud Financials Views
| Name | Description |
| AccountCombinationsLOV | Provides a reference of valid General Ledger account combinations, ensuring accurate segment values for financial reporting and ledger analysis. |
| AccountCombinationsShorthandAliasesLOV | Maintains shorthand alias definitions for quick entry of account combinations, streamlining data input in accounting processes. |
| AccountingCalendarsLOV | Displays available accounting or commitment calendars, detailing periods and dates for budgeting and transaction alignment. |
| AccountingPeriodsLOV | Lists period details (for example, open, closed) within a specified accounting calendar, aiding period-based reporting and reconciliation. |
| AccountingPeriodStatusLOV | Tracks the current status of each accounting period (for example, open, closed) within a calendar, preventing unauthorized postings. |
| BankAccountUserRules | Enables configuration of country-specific validations and label changes on bank account fields for streamlined account setup. |
| BudgetaryControlResults | Shows results of budgetary control checks, helping users identify whether labor schedules or requisitions exceed set budgets. |
| BudgetaryControlResultsBudgetImpacts | Provides budget impact data associated with labor schedules, including any reductions in available funds due to transactions. |
| BudgetaryControlResultsBudgetTransactions | Supports internal budget adjustments by displaying validation info on transactions affecting Enterprise Performance Management budgets. |
| CarriedInterestAgreements | The carried interest agreements resource is used to view carried interest agreements. |
| CarriedInterestAgreementsagreementDFF | The operations from the Joint Venture Carried Interest Agreements/Carried Interest Agreement Descriptive Flexfields category. |
| CarriedInterestAgreementsstakeholderGroups | The stakeholder groups resource is used to view stakeholder groups for a carried interest agreement. |
| CarriedInterestAgreementsstakeholderGroupsownershipDefinitions | The ownership definitions resource is used to view an ownership definition associated with a joint venture. Joint Venture Management uses the ownership definition to calculate the split of costs and revenue among the stakeholders or partners in a joint venture. |
| CarriedInterestAgreementsstakeholderGroupsownershipDefinitionsownershipPercentages | The ownership percentages resource is used to view each stakeholder's percentage of ownership in an ownership definition. The percentages must total 100% for all stakeholders in the ownership definition. |
| CarriedInterestAgreementsstakeholderGroupsstakeholderGroupDFF | The operations from the Joint Venture Carried Interest Agreements/Stakeholder Groups/Stakeholder Group Descriptive Flexfields category. |
| CarriedInterestAgreementsstakeholderGroupsstakeholderPercentages | The stakeholder percentages resource is used to view stakeholder percentages for a stakeholder group. |
| CarriedInterestAgreementsstakeholderGroupsstakeholderPercentagesstakeholderPercentageDFF | The operations from the Joint Venture Carried Interest Agreements/Stakeholder Groups/Stakeholder Percentages/Stakeholder Percentage Descriptive Flexfields category. |
| CashBankBranchesLOV | Enables queries on bank branch details, supporting cash management and setup of payment or receipt methods. |
| CashBanksLOV | Facilitates lookups for bank information, ensuring valid bank references for payment or receipt processing. |
| ChartOfAccountsLOV | Outlines details of a chart of accounts structure, including segments and hierarchies for robust financial tracking. |
| CurrencyConversionTypesLOV | Shows available currency conversion types (for example, Corporate, Spot, User), automatically assigning exchange rates to transactions. |
| CurrencyRates | Retrieves currency exchange rates for specified dates and currency pairs, informing multi-currency postings and reports. |
| CustomerAccountSitesLOV | Displays customer account site details, linking customers to specific billing or shipping addresses for transaction processing. |
| DebitAuthorizations | Manages debit authorizations, including creation or updates, allowing users to handle automated debit agreements. |
| DebitAuthorizationsdebitAuthorizationVersions | Tracks version history of debit authorizations, ensuring an audit trail of any modifications made to authorization terms. |
| DisbursementPaymentMethodsLOV | Queries valid disbursement payment methods (for example, check, EFT), ensuring payment configuration aligns with organizational rules. |
| ErpBusinessEvents | Stores or updates status for business events that trigger processes like approvals or notifications in ERP workflows. |
| Erpintegrations | Automates bulk data import/export with configurable callbacks and error notifications, streamlining integration tasks. |
| ExpenseAccommodationsPolicies | Defines accommodations-related expense rules, specifying reimbursement rates, limits, or eligibility for lodging costs. |
| ExpenseAccommodationsPoliciesexpenseAccommodationsPolicyLines | Stores line-level policy details for accommodations expense rules, including thresholds and specific lodging policy items. |
| ExpenseAirfarePolicies | Defines airfare-related expense rules and eligibility criteria, specifying permitted costs and class restrictions for business travel. |
| ExpenseAirfarePoliciesexpenseAirfarePolicyLines | Provides detailed line items for airfare policy rules, including maximum limits, exceptions, and additional fare conditions. |
| ExpenseCashAdvances | Tracks employee cash advances for travel or business-related expenses, capturing key data such as status, requested amounts, and repayment details. |
| ExpenseCashAdvancesAttachments | Enables document uploads and management (for example, receipts or justifications) for recorded cash advances. |
| ExpenseCashAdvancesCashAdvanceDff | Offers descriptive flexfields for adding custom attributes to cash advance records, supporting unique organizational needs. |
| ExpenseConversionRateOptions | Establishes expense-specific conversion rate policies for multiple currencies, ensuring correct reimbursement calculations. |
| ExpenseConversionRateOptionsconversionRateTolerances | Defines allowable variances in currency conversion rates for certain currencies or business units, supporting exceptions in expense reimbursements. |
| ExpenseCreditCardTransactions | Captures corporate card transaction data (dates, amounts, merchant info) for automated expense reconciliation and policy checks. |
| ExpenseDelegations | Allows authorized delegation of expense-related tasks between employees, detailing start/end dates and permissible actions. |
| ExpenseDffContexts | Houses descriptive flexfield contexts for expenses and reports, enabling tailored data collection for various business use cases. |
| ExpenseDffSegments | Details individual descriptive flexfield segments linked to expenses, supporting extended data capture and reporting. |
| ExpenseDistributions | Shows how an expense item’s cost is allocated across multiple accounts or cost centers, ensuring financial accuracy. |
| ExpenseDistributionsPJCDFF | Captures project-specific descriptive flexfields for expense distributions, integrating project details with expense tracking. |
| ExpenseEntertainmentPolicies | Establishes company rules for entertainment-related spending, including meal, event, or other hospitality expenses. |
| ExpenseEntertainmentPoliciesexpenseEntertainmentPolicyLines | Specifies line-level detail within entertainment policies, defining allowable amounts, categories, and exclusions. |
| ExpenseLocations | Manages standard expense location data (cities, countries, regions) used to categorize and validate expense submissions. |
| ExpenseMealsPolicies | Defines meal expense guidelines, limits, and other policy details for business trips or events. |
| ExpenseMealsPoliciesexpenseMealsPolicyLines | Breaks down meal policy rules into line items, detailing per-diem amounts, eligibility, and exceptions. |
| ExpenseMileagePolicies | Sets reimbursement rules for mileage claims, including distance rates and allowable vehicle types. |
| ExpenseMileagePoliciesexpenseMileagePolicyLines | Contains line-level specifics for mileage policy, supporting different mileage rates or exceptions based on region or vehicle. |
| ExpenseMiscPolicies | Covers miscellaneous expense categories that don’t fall under standard policies, detailing eligibility and maximum thresholds. |
| ExpenseMiscPoliciesexpenseMiscPolicyLines | Describes specific line items under miscellaneous policies, such as office supplies or other uncommon expense types. |
| ExpenseOrganizationSettings | Holds setup options at the business unit level, configuring how expenses are processed, approved, or reimbursed. |
| ExpensePerDiemCalculations | Calculates trip-specific per diem amounts for employee expenses, factoring in policy rules and travel duration. |
| ExpensePerDiemPolicies | Stores the overarching per diem guidelines, including allowable rates and daily caps for travel reimbursements. |
| ExpensePerDiemPoliciesexpensePerDiemPolLines | Provides a breakdown of per diem policy lines, specifying coverage, meal breakdowns, or location-based rates. |
| ExpensePerDiemPoliciesexpensePerDiemPolValues | Tracks percentage-based per diem policy values, enabling scaled calculations for partial days or specific travel scenarios. |
| ExpensePersons | Contains person-centric details (business unit, currency preferences) tied to expense transactions and approvals. |
| ExpensePreferences | Stores an individual’s default expense settings, such as preferred currency or default cost center, streamlining expense entry. |
| ExpensePreferredTypes | Lists commonly used expense types for chatbot or quick expense entry, improving user efficiency and consistency. |
| ExpenseProfileAttributes | Stores extended user-specific expense profile data (for example, employee roles, entitlements), enhancing customization for expense submissions. |
| ExpenseReportsAttachments | Manages attachments (for example, receipts, authorizations) linked at the expense report level, aiding record-keeping and compliance. |
| ExpenseReportsExpense | Maintains line-level expense items within a report, capturing essential details like expense type, amount, and project allocations. |
| ExpenseReportsExpenseAttachments | Enables users to upload documents for individual expense items, reinforcing traceability and validation. |
| ExpenseReportsExpenseduplicateExpenses | Highlights potential duplicate expenses within a report, flagging lines that share similar attributes for review. |
| ExpenseReportsExpenseExpenseAttendee | Lists attendees or participants for specific expense items, ensuring accurate reimbursements for group-related expenses. |
| ExpenseReportsExpenseExpenseDff | Provides descriptive flexfields for additional, organization-specific data on individual expense items. |
| ExpenseReportsExpenseExpenseDistribution | Shows how costs from a single expense line are allocated across multiple accounts, departments, or cost centers. |
| ExpenseReportsExpenseExpenseDistributionPJCDFF | Offers project-centric descriptive flexfields for expense item distributions, integrating project cost details. |
| ExpenseReportsExpenseexpenseErrors | Captures validation errors related to an expense item, allowing users to address issues before final submission. |
| ExpenseReportsExpenseExpenseItemization | Breaks down a single expense into multiple sub-items (for example, hotel bill itemization), improving transparency and accuracy. |
| ExpenseReportsExpensematchedExpenses | Identifies expense lines matched with existing records (such as credit card transactions), reducing redundant entries. |
| ExpenseReportsexpenseNotes | Stores remarks or instructions from approvers or auditors regarding the entire expense report, aiding clarity and resolution. |
| ExpenseReportsExpensePayment | Details payment-related information (dates, amounts) for reimbursed expense reports, ensuring visibility into disbursement status. |
| ExpenseReportsExpenseReportDff | Includes custom flexfield data at the expense report header level, aligning the report with unique organizational processes. |
| ExpenseReportsprocessingDetails | Logs status changes and processing steps (for example, approvals, rejections) for an expense report, providing an audit trail. |
| ExpensesAttachments | Handles attachments directly tied to individual expenses, enhancing record completeness and verification. |
| ExpensesduplicateExpenses | Alerts users to expenses that may have been entered multiple times, aiding in cost control and policy enforcement. |
| ExpenseSetupOptions | Consolidates company-wide expense configurations and preferences, defining processes like workflow routing and policy thresholds. |
| ExpensesExpenseAttendee | Tracks the individuals associated with an expense, capturing data such as names and roles for cost-sharing analysis. |
| ExpensesExpenseDff | Holds descriptive flexfield references for an individual expense, enabling custom data collection and categorization. |
| ExpensesExpenseDistribution | Allocates the cost of an expense across multiple accounts, ensuring precise financial reporting. |
| ExpensesExpenseDistributionPJCDFF | Captures project-related flexfields for expense distributions, detailing project codes or tasks linked to the expenditure. |
| ExpensesexpenseErrors | Logs validation or policy errors detected in an expense record, prompting corrective actions prior to submission. |
| ExpensesExpenseItemization | Allows for subdividing a single expense item into multiple cost components (for example, a multi-day hotel stay), improving clarity. |
| ExpensesmatchedExpenses | Syncs submitted expenses with matched records (for example, credit card data), preventing duplicates and maintaining consistency. |
| ExpenseTemplates | Stores a library of standardized expense templates by business unit (for example, travel, relocation), driving efficient expense entry. |
| ExpenseTemplatesexpenseTypes | Defines the specific expense types and applicable policies within a given expense template, ensuring consistent categorization. |
| ExpenseTemplatesexpenseTypesitemizedExpenseTypes | Defines itemized expense categories within a template, allowing granular reporting and policy enforcement for expenses with multiple cost components. |
| ExpenseTemplatesexpenseTypespreferredAgencyLists | Associates preferred travel or service agencies with specific expense types in an expense template, ensuring employees use approved vendors. |
| ExpenseTemplatesexpenseTypespreferredMerchantLists | Specifies pre-approved merchants for given expense types in a template, streamlining compliance and spend oversight. |
| ExpenseTemplatesmobileExpenseTypes | Manages expense types specifically enabled for mobile entry, supporting on-the-go expense capture and policy adherence. |
| ExpenseTypes | Defines and maintains various expense classifications (for example, travel, lodging), guiding users to select the correct cost category. |
| ExpenseTypesitemizedExpenseTypes | Specifies subcategories for detailed expense entries under a parent expense type, enhancing accuracy and reporting granularity. |
| ExpenseTypespreferredAgencyLists | Links preferred agency details (for example, travel agencies) to particular expense types, helping users select valid partners. |
| ExpenseTypespreferredMerchantLists | Catalogs approved merchants for specific expense types, ensuring policy compliance and negotiated rates. |
| ExternalBankAccounts | Stores external bank account details for payments or reimbursements, supporting account creation, modifications, and usage tracking. |
| ExternalBankAccountsaccountOwners | Tracks the owners associated with an external bank account, defining authorization and responsibility for transactions. |
| FedAccountAttributes | The federal account attributes enable users to manage account attribute fields. |
| FedAccountAttributesfedAccountAttributeLines | The federal account attribute lines enable users to manage account attribute with lines. |
| FedAgencyLocationCodesLOV | The federal agency location codes list of values resource is used to view details of federal agency location codes. |
| FedAttributes | The federal attributes enables users to manage the federal attributes. |
| FedAttributesLOV | Lists all federal attributes. |
| FedAttributeSupplementalRules | The federal attribute supplemental rules enable users to manage attribute supplemental rule fields. |
| FedAttributeSupplementalRulesfedAttributeSupplementalRuleLines | The federal attribute supplemental rule lines enable users to manage attribute supplemental rule with lines. |
| FedAttributeSupplementalRulesfedAttributeSupplementalRuleLinesfedAttributeSupplementalRuleAllocations | The federal attribute supplemental rule allocations enables users to manage supplemental rule allocations. |
| FedAttributeSupplementalRulesfedAttributeSupplementalRuleLinesfedAttributeSupplementalRuleExceptionMessages | The federal attribute supplemental rule exception messages enables users to manage supplemental rule exception messages. |
| FedAttributeSupplementalRulesfedAttributeSupplementalRuleLinesfedAttributeSupplementalRuleFilters | The federal attribute supplemental rule filters enables user to define and manage the federal attribute supplemental rule filters. |
| FedBETCAdjustmentsLOV | The federal adjustment business event type codes list of values resource is used to view details of federal adjustment business event type codes. |
| FedBudgetControlTreeLabelsLOV | The federal budget control tree labels list of values resource is used to view details of federal budget control tree labels. |
| FedBudgetControlTreeNodesLOV | The federal budget control tree nodes list of values resource is used to view details of federal budget control tree nodes. |
| FedBudgetControlTreesLOV | The federal budget control trees list of values resource is used to view details of federal budget control trees. |
| FedBudgetControlTreeVersionsLOV | The federal budget control tree versions list of values resource is used to view details of federal budget control tree versions. |
| FedBudgetExecutionControls | Manages budget execution rules for federal accounting requirements, ensuring compliance with government financial guidelines. |
| FedBudgetExecutionControlsfedBudgetControlSegments | Specifies the segment rules within federal budget controls, dictating how funds are tracked and restricted across various accounts. |
| FedBudgetLevelOperationsLOV | The budget level operations list of values resource is used to view details of budget level operations. |
| FedCTAFBWTAccountDefinitions | The CTA FBWT account definitions resource is used to set up fund balance with treasury account definitions. |
| FedDATAActBalances | The federal DATA Act balances enables users to manage DATA Act balance amount fields. |
| FedDATAActBalancesfedDATAActBalanceCalculationTotals | The federal DATA Act balance calculations totals enables users to manage DATA Act balance calculation with type total. |
| FedDATAActBalancesfedDATAActBalanceCalculationUSSGLAccounts | The federal DATA Act balance calculation USSGL accounts enables users to manage USSGL accounts with type balance. |
| FedDATAActBalancesLOV | Lists all federal DATA Act balances. |
| FedDATAActCalculationDateRangesLOV | Lists federal DATA Act calculation date ranges. |
| FedDATAActFileCriteria | The federal DATA Act file criteria enables users to define and manage the federal DATA Act file criteria for each file type. |
| FedDATAActFileSequences | The federal DATA Act file sequences enables users to define and manage the federal DATA Act file sequence for each file type. |
| FedLedgerBudgetLevelsLOV | The federal ledger budget levels list of values resource is used to view details of federal ledger budget levels. |
| FedLedgerGroupTreesLOV | The federal ledger group trees list of values resource is used to view details of federal ledger group trees. |
| FedTransactionTypesLOV | The federal transaction types list of values resource is used to view details of federal transaction types. |
| FedUSSGLAccountsfedUSSGLAccountAttributes | The federal USSGL account attributes enables users to define and manage the federal USSGL account attributes. |
| FedUSSGLAccountsLOV | The federal USSGL accounts list of values resource is used to view details of federal USSGL accounts. |
| FinBusinessUnitsLOV | Lists defined Financials business units, clarifying operational scope (for example, ledger, default currency) for each unit. |
| Finders | Displays available finder functions and their queryable attributes for different views, aiding in data retrieval and analysis. |
| FxRevaluationSetups | The Foreign Exchange (FX) revaluation setup allows user to manage the configuration for FX revaluations. |
| FxTransferSetups | The Foreign Exchange (FX) transfer setup allows user to manage the configuration for FX transfers. |
| InstrumentAssignments | Assigns payment instruments (for example, checks, electronic transfers) to specific payees or transactions, ensuring controlled disbursement. |
| IntercompanyAgreements | The intercompany agreements represents attribute information that's used for transfer of funds between the intercompany organizations involved in the route. |
| IntercompanyAgreementsattachments | The attachments resource is used to view attachments. |
| IntercompanyAgreementsintercompanyAgreementDFF | The operations from the Intercompany Agreements/Intercompany Agreement Descriptive Flexfields category. |
| IntercompanyAgreementsLOV | List all intercompany agreements. |
| IntercompanyAgreementstransferAuthorizationGroups | The transfer authorization group represents the receivers organizations definition information. |
| IntercompanyAgreementstransferAuthorizationGroupstransferAuthorizationGroupDFF | The operations from the Intercompany Agreements/Transfer Authorization Groups/Transfer Authorization Group Descriptive Flexfields category. |
| IntercompanyAgreementstransferAuthorizationGroupstransferAuthorizations | The transfer authorization represents the receivers organizations definition information. |
| IntercompanyAgreementstransferAuthorizationGroupstransferAuthorizationsattachments | The attachments resource is used to view attachments. |
| IntercompanyAgreementstransferAuthorizationGroupstransferAuthorizationstransactions | The transactions represents intercompany transaction information that's generated from a transfer authorization. |
| IntercompanyAgreementstransferAuthorizationGroupstransferAuthorizationstransferAuthorizationDFF | The operations from the Intercompany Agreements/Transfer Authorization Groups/Transfer Authorizations/Agreement Based Intercompany Transactions/Agreement Based Intercompany Transactions Descriptive Flexfields category. |
| IntercompanyOrganizationsLOV | Provides a list of intercompany organizations, facilitating cross-entity transactions and consolidated financial reporting. |
| IntercompanyTransactionTypesLOV | Displays recognized intercompany transaction types, specifying processing rules and ensuring consistent handling in multi-entity environments. |
| InterimDocumentsPayables | Holds temporary payables documents pending validation and payment, enabling partial or staged invoice creation. |
| InvoicesappliedPrepayments | Shows prepayment amounts applied to a given invoice, helping track remaining balances and total obligations. |
| Invoicesattachments | Stores attachments linked to an invoice header (for example, supporting documents), ensuring transparent record-keeping. |
| InvoicesavailablePrepayments | Lists prepayments not yet applied to invoices, indicating funds available to offset future payables. |
| InvoicesinvoiceGdf | Holds global descriptive flexfields at the invoice level, capturing additional region-specific or business-specific attributes. |
| InvoicesinvoiceInstallmentsinvoiceInstallmentDff | Allows user-defined flexfields for invoice installments, enabling specialized reporting on partial payments or custom categories. |
| InvoicesinvoiceInstallmentsinvoiceInstallmentGdf | Manages global descriptive flexfields for invoice installments, facilitating regionally unique or enterprise-wide data requirements. |
| InvoicesinvoiceLinesinvoiceDistributionsinvoiceDistributionDff | Enables custom descriptive flexfields on invoice distributions, allowing organizations to store additional data for reporting or auditing. |
| InvoicesinvoiceLinesinvoiceDistributionsinvoiceDistributionGdf | Holds global descriptive flexfields for invoice distributions, accommodating region-specific or enterprise-wide fields and validations. |
| InvoicesinvoiceLinesinvoiceDistributionsinvoiceDistributionProjectDff | Captures project-relevant details in a flexfield format for invoice distributions, integrating cost-tracking with project management. |
| InvoicesinvoiceLinesinvoiceLineDff | Provides descriptive flexfields at the invoice line level, supporting specialized data collection for each line item. |
| InvoicesinvoiceLinesinvoiceLineGdf | Contains global descriptive flexfields for invoice lines, ensuring compliance with various regional or organizational requirements. |
| InvoicesinvoiceLinesinvoiceLineProjectDff | Tracks project details for individual invoice lines in a flexfield format, linking payables data to project cost structures. |
| JointVentureAccountSetsaccountSetDFF | The operations from the Joint Venture Account Sets/Account Set Descriptive Flexfields category. |
| JointVentureAccountSetsfilterSetFilters | The filter sets and filters resource is used to view filter sets and their filters for a project set. |
| JointVentureAccountSetsfilterSetsfilterSetDFF | The operations from the Joint Venture Account Sets/Filter Sets/Filter Set Descriptive Flexfields category. |
| JointVentureAccountSetsfilterSetsfiltersfilterValues | The filter values resource is used to view, create, update, or delete filter values. |
| JointVentureAssignmentRules | The joint venture assignment rules resource is used to view ownership definition assignment rules for assigning an ownership definition or direct billed stakeholder to joint venture transactions. |
| JournalBatches | Used to view journal batches, update batch completion status and reversal attributes, and delete journal batches. |
| LedgerBalances | Used to view the balance amount for any account combination or an account that is defined as part of an account group. |
| LedgersLOV | Offers a lookup of defined ledgers, including primary, secondary, or reporting ledgers, enabling multi-ledger financial tracking. |
| LegalEntitiesLOV | Lists recognized legal entities, indicating each entity’s legislative compliance and responsibilities in the corporate structure. |
| LegalJurisdictionsLOV | Provides a reference to legal jurisdictions with specific legal authorities, aiding tax and regulatory compliance. |
| LegalReportingUnitsLOV | Enumerates legal reporting units, which represent the smallest entities requiring statutory reporting within a business structure. |
| MemoLinesLOV | Allows retrieval of valid memo lines used in Receivables, defining standardized text or charge descriptions for financial documents. |
| PartyFiscalClassifications | Captures fiscal classification data for parties (for example, customers, suppliers), determining applicable tax or regulatory treatment. |
| PartyFiscalClassificationsfiscalClassificationTypeTaxRegimeAssociations | Associates fiscal classification types with relevant tax regimes for correct tax calculation and compliance. |
| PartyTaxProfiles | Holds tax profile information for a party, including tax registrations and configuration, ensuring proper tax handling and reporting. |
| PayablesOptions | Centralizes configuration for Payables, such as defaulting rules and processing parameters, shaping invoice and payment workflows. |
| PayablesPaymentTerms | Defines the rules (for example, net 30, net 60) for paying a supplier, setting installment schedules and discount opportunities. |
| PayablesPaymentTermspayablesPaymentTermsLines | Specifies the line-level breakdown of each payment term, detailing how installments or discounts are structured across due dates. |
| PayablesPaymentTermspayablesPaymentTermsSets | Maps payment terms to reference data sets, allowing different business units or legal entities to share or customize terms. |
| PayablesPaymentTermspayablesPaymentTermsTranslations | Stores multilingual translations of payment terms, facilitating global operations with localized term descriptions. |
| PayablesTaxReportingEntities | Maintains entities required for tax reporting (for example, 1099 in the U.S.), linking tax obligations to specific organizational segments. |
| PayablesTaxReportingEntitiespayablesTaxReportingEntityLine | Captures multiple tax reporting lines under a single entity, supporting consolidated or segmented 1099 reporting configurations. |
| PayeeBankAccountsLOV | Displays valid bank accounts for payees, helping confirm account details during disbursements or refunds. |
| PaymentsExternalPayees | Defines external payees (for example, suppliers, vendors) for payments, enabling creation and modification of payee records. |
| PaymentsExternalPayeesexternalPartyPaymentMethods | Lists payment methods (such as check, EFT or ACH) available to a specific external payee, ensuring valid disbursement choices. |
| PaymentTermsLOV | Provides a quick lookup of defined Receivables payment terms, such as net due days or early payment discount schedules. |
| PreferredCurrenciesLOV | Enumerates currency preferences used by users or business units, enabling automated conversions and standardized reporting. |
| ReceiptMethodAssignments | Manages the assignment of receipt methods (for example, cash, check, credit card) to customer accounts or sites, controlling how payments are received. |
| ReceivablesAdjustments | Allows modification of existing invoices, credit memos, or other transactions, adjusting charges, freight, taxes, or lines. |
| ReceivablesAdjustmentsreceivablesAdjustmentDFF | Enables custom fields for receivables adjustments, capturing additional business details or classification codes. |
| ReceivablesBusinessUnitsLOV | Lists valid business units for the Receivables module, identifying each organization’s operational scope and ledger association. |
| ReceivablesCreditMemosattachments | Enables adding or reviewing attachments linked to credit memos, ensuring supporting documentation for transactions. |
| ReceivablesCreditMemosnotes | Holds note objects for credit memos, capturing additional instructions, clarifications, or comments. |
| ReceivablesCreditMemosreceivablesCreditMemoDFF | Enables descriptive flexfields on credit memos, capturing custom data points relevant to an organization’s needs. |
| ReceivablesCreditMemosreceivablesCreditMemoDistributions | Tracks distribution entries for credit memos, detailing account allocations and supporting ledger postings. |
| ReceivablesCreditMemosreceivablesCreditMemoDistributionsreceivablesCreditMemoDistributionDFF | Provides descriptive flexfields for credit memo distribution lines, adding specialized data for comprehensive financial tracking. |
| ReceivablesCreditMemosreceivablesCreditMemoGdf | Houses global descriptive flexfields for credit memos, accommodating region-specific or corporate-wide fields. |
| ReceivablesCreditMemosreceivablesCreditMemoLines | Represents each line item of a credit memo, specifying product, amounts, and adjustments for the transaction. |
| ReceivablesCreditMemosreceivablesCreditMemoLinesattachments | Facilitates document attachments at the credit memo line level, ensuring full traceability of line-specific data. |
| ReceivablesCreditMemosreceivablesCreditMemoLinesreceivablesCreditMemoLineDFF | Enables descriptive flexfields for individual credit memo lines, capturing extended transaction details. |
| ReceivablesCreditMemosreceivablesCreditMemoLinesreceivablesCreditMemoLineGdf | Holds global descriptive flexfields for credit memo lines, supporting worldwide or business-specific data requirements. |
| ReceivablesCreditMemosreceivablesCreditMemoLinesreceivablesCreditMemoLineTaxLines | Stores tax line details for credit memo lines, specifying calculated taxes, jurisdictions, and associated rates. |
| ReceivablesCreditMemosreceivablesCreditMemoLinesreceivablesCreditMemoLineTransactionDFF | Manages descriptive flexfields for credit memo transactions at the line level, enhancing finance data granularity. |
| ReceivablesCreditMemosreceivablesCreditMemoTransactionDFF | Applies descriptive flexfields at the credit memo transaction level, capturing custom attributes for the entire memo. |
| ReceivablesCustomerAccountActivities | Consolidates activities for a customer’s accounts, including transactions, receipts, and credit applications within Receivables. |
| ReceivablesCustomerAccountActivitiescreditMemoApplications | Lists credit memo applications tied to customer account activities, enabling partial or full offset of outstanding transactions. |
| ReceivablesCustomerAccountActivitiescreditMemoApplicationscreditMemoApplicationDFF | Supports descriptive flexfields for credit memo applications, storing additional data during the application process. |
| ReceivablesCustomerAccountActivitiescreditMemos | Displays credit memos issued to a customer’s account, including on-account memos and standard credit memos. |
| ReceivablesCustomerAccountActivitiesstandardReceiptApplications | Lists standard receipt applications for a customer’s account activities, showing how receipts are allocated to open items. |
| ReceivablesCustomerAccountActivitiesstandardReceiptApplicationsstandardReceiptApplicationDFF | Enables custom descriptive flexfields for standard receipt applications, capturing extra data or references. |
| ReceivablesCustomerAccountActivitiesstandardReceipts | Shows standard receipts recorded for a customer’s account, reflecting payments received for goods or services. |
| ReceivablesCustomerAccountActivitiestransactionAdjustments | Details any adjustments (increases or decreases) applied to a customer’s transactions, reflecting corrections or policy updates. |
| ReceivablesCustomerAccountActivitiestransactionPaymentSchedules | Tracks payment schedules (for example, installments) for a customer’s transactions, ensuring consistent collections and visibility. |
| ReceivablesCustomerAccountActivitiestransactionsPaidByOtherCustomers | Highlights instances where a different customer remits payment on behalf of the primary customer’s outstanding transactions. |
| ReceivablesCustomerAccountSiteActivities | Presents activities linked to both the customer account and the specific billing site, providing a unified transaction overview. |
| ReceivablesCustomerAccountSiteActivitiescreditMemoApplications | Lists credit memo applications for site-level transactions, allowing offsets or adjustments to outstanding amounts at the site. |
| ReceivablesCustomerAccountSiteActivitiescreditMemoApplicationscreditMemoApplicationDFF | Supports custom descriptive flexfields for credit memo applications at the account site level, capturing specialized data. |
| ReceivablesCustomerAccountSiteActivitiescreditMemos | Shows credit memos associated with the customer’s site, covering both standard and on-account credits. |
| ReceivablesCustomerAccountSiteActivitiesstandardReceiptApplications | Tracks standard receipt applications at the site level, mapping applied payments to site-specific invoices or transactions. |
| ReceivablesCustomerAccountSiteActivitiesstandardReceiptApplicationsstandardReceiptApplicationDFF | Holds custom descriptive flexfields for receipt applications at the account site level, capturing extra data for reporting or integrations. |
| ReceivablesCustomerAccountSiteActivitiesstandardReceipts | Lists standard receipts managed at the account site, indicating payments received for site-specific transactions. |
| ReceivablesCustomerAccountSiteActivitiestransactionAdjustments | Tracks adjustments (credits, debits) to site-based transactions, ensuring accurate account records and resolving discrepancies. |
| ReceivablesCustomerAccountSiteActivitiestransactionPaymentSchedules | Displays scheduled payments for site-level transactions (for example, installment plans), enhancing cash flow planning and visibility. |
| ReceivablesCustomerAccountSiteActivitiestransactionsPaidByOtherCustomers | Identifies cross-customer payments applied to site-related transactions, aiding reconciliation when a third party settles balances. |
| ReceivablesInvoicesattachments | Manages the supporting documents attached to a receivables invoice, ensuring compliance and clarity for invoice recipients. |
| ReceivablesInvoicesnotes | Captures notes or comments linked to an invoice, adding contextual information for collectors, auditors, or customers. |
| ReceivablesInvoicesreceivablesInvoiceDFF | Enables descriptive flexfields for receivables invoices, storing additional details aligned to business processes. |
| ReceivablesInvoicesreceivablesInvoiceDistributions | Allocates invoice lines to accounting segments, creating detailed distribution records for financial analysis. |
| ReceivablesInvoicesreceivablesInvoiceDistributionsreceivablesInvoiceDistributionDFF | Holds custom descriptive flexfields for invoice distributions, aiding specialized reporting or data capture. |
| ReceivablesInvoicesreceivablesInvoiceGdf | Contains global descriptive flexfields at the invoice level, supporting multi-regional billing and compliance requirements. |
| ReceivablesInvoicesreceivablesInvoiceInstallments | Details installment-based billing within an invoice, reflecting the portion due amounts and their corresponding dates. |
| ReceivablesInvoicesreceivablesInvoiceInstallmentsreceivablesInvoiceInstallmentGDF | Leverages global descriptive flexfields for invoice installments, handling cross-border or specialized business needs. |
| ReceivablesInvoicesreceivablesInvoiceInstallmentsreceivablesInvoiceInstallmentNotes | Stores notes or instructions for specific invoice installments, ensuring clarity around partial payment obligations. |
| ReceivablesInvoicesreceivablesInvoiceLines | Outlines each item or service included in a receivables invoice, capturing unit price, quantity, and tax details. |
| ReceivablesInvoicesreceivablesInvoiceLinesattachments | Facilitates attaching supporting files at the line level, clarifying charges or providing proof of delivery. |
| ReceivablesInvoicesreceivablesInvoiceLinesreceivablesInvoiceLineDFF | Adds descriptive flexfields at the line item level, extending invoice functionality with custom fields. |
| ReceivablesInvoicesreceivablesInvoiceLinesreceivablesInvoiceLineGdf | Employs global descriptive flexfields for invoice lines, supporting globalized business scenarios and complex data requirements. |
| ReceivablesInvoicesreceivablesInvoiceLinesreceivablesInvoiceLineTaxLines | Captures tax calculations and jurisdictions for each invoice line, facilitating accurate compliance and tax reporting. |
| ReceivablesInvoicesreceivablesInvoiceLinesreceivablesInvoiceLineTransactionDFF | Allows custom descriptive flexfields for transaction-level data on invoice lines, providing extended tracking and analysis. |
| ReceivablesInvoicesreceivablesInvoiceTransactionDFF | Adds descriptive flexfields for the entire invoice transaction, enabling more detailed recordkeeping of billing activities. |
| StandardReceiptsattachments | Manages attached documentation (for example, bank slips) for each standard receipt, ensuring proof of payment and audit trails. |
| StandardReceiptsremittanceReferences | Enables adding references for payments, such as remittance advice numbers, assisting bank reconciliation and inquiries. |
| StandardReceiptsstandardReceiptDFF | Hosts descriptive flexfields on standard receipts, allowing extra details or tracking codes for internal processes. |
| StandardReceiptsstandardReceiptGdf | Employs global descriptive flexfields for receipts, meeting international or business-specific data requirements. |
| TaxAuthorityProfiles | Provides a lookup of tax authority profiles, outlining configuration for various tax authorities and compliance rules. |
| TaxClassifications | Lists tax classification attributes used for calculating and reporting tax obligations, enabling precise categorization. |
| TaxExemptions | Manages records of exempted transactions or entities, allowing authorized users to view, add, or modify tax exemption details. |
| TaxPayerIdentifiers | Stores taxpayer identification data (for example, TIN, VAT ID), facilitating correct tax reporting for businesses or individuals. |
| ThirdPartyFiscalClassifications | Associates suppliers or customers with fiscal classifications, determining how transactions are taxed or reported. |
| ThirdPartySiteFiscalClassifications | Manages fiscal classifications at the site level (for example, supplier site), defining local tax or regulatory requirements. |
| ThirdPartySiteTaxReportingCodeAssociations | Links site-level entities to tax reporting codes, ensuring accurate data capture for compliance and audit needs. |
| ThirdPartyTaxReportingCodeAssociations | Establishes tax reporting code relationships for third parties, enabling efficient retrieval of tax data across transactions. |
| TransactionSourcesLOV | Displays recognized Receivables transaction sources (for example, manual, import), guiding consistent transaction entry practices. |
| TransactionTaxLines | Allows the creation, retrieval, and modification of manual tax lines for a transaction, ensuring accurate tax posting. |
| TransactionTypesLOV | Presents valid Receivables transaction types (for example, invoice, debit memo) for referencing in billing and revenue processes. |
| ValueSets | Holds value set definitions, ensuring controlled vocabularies and standardized validation for various fields. |
| ValueSetsvalidationTable | Specifies the underlying validation table for value sets, directing how lookups and data checks occur. |
| ValueSetsValues | Lists permissible values in a specific value set, enforcing consistency in data entry across modules. |
| WithholdingTaxLines | Maintains entries for withholding tax computations, supporting creation, retrieval, and updates to withholdings on transactions. |
| WorkflowUsers | Records details of workflow participants, mapping users to roles or steps in financial approvals and notifications. |