DW_PROJECT_ASSET_LINE_UNTRNSFRD_CF (Preview)

This table requires activation of Project Asset functional area. This table stores summarized project CIP cost lines. It contains only pending asset lines.

Details

Module: Project Costing

Key Columns

PROJECT_ASSET_LINE_ID

Columns

Columns
Name Datatype Length Precision Not Null Comments Referred Table Referred Column
PROJECT_ASSET_LINE_ID NUMBER 38 0 True Unique Identifier for Asset Line
SOURCE_RECORD_ID VARCHAR2 256 This column is for Oracle Internal use only. System
PROJECT_ASSET_ID NUMBER 38 0 The identifier of the asset assigned to the line; value is 0 on unassigned lines
PROJECT_ID NUMBER 38 0 The identifier of the project to which the CIP cost was charged DW_PROJECT_D PROJECT_ID
TASK_ID NUMBER 38 0 The identifier of the task against which the CIP cost is charged DW_PROJECT_ELEMENT_D PROJ_ELEMENT_ID
ASSET_CATEGORY_ID NUMBER 38 0 Asset category derived from inventory item on lines with supplier invoice cost
PROJECT_ASSET_LINE_DETAIL_ID NUMBER 38 0 Identifier of the asset line details linking this line to cost distribution lines
PROJECT_BUSINESS_UNIT_ID NUMBER 38 0 Project business unit identifier DW_BUSINESS_UNIT_D BUSINESS_UNIT_ID
PROJECT_ORGANIZATION_ID NUMBER 38 0 Legal entity assigned to the project. DW_INTERNAL_ORG_D ORGANIZATION_ID
PROJECT_UNIT_ID NUMBER 38 0 Project unit assigned to the project. DW_INTERNAL_ORG_D ORGANIZATION_ID
PROJECT_LEGAL_ENTITY_ID NUMBER 38 0 Legal entity assigned to the project. DW_LEGAL_ENTITY_D LEGAL_ENTITY_ID
PROJECT_LEDGER_ID NUMBER 38 0 Ledger identifier of Project DW_LEDGER_D LEDGER_ID
CIP_CCID NUMBER 38 0 The identifier of the GL account to which CIP cost is charged
ORIGINAL_ASSET_COST NUMBER The cost amount of the line at the time the line was originally created
CURRENT_ASSET_COST NUMBER The line's current cost amount; split lines have a current cost <> original cost
SPLIT_PERCENTAGE NUMBER Split percentage.
LEDGER_CURRENCY_CODE VARCHAR2 16 Ledger currency of the project.
FA_PERIOD_NAME VARCHAR2 16 Asset book depreciation calendar period name to which the asset cost was posted.
LINE_TYPE VARCHAR2 32 Asset Line Classification. Available values are C = Capital and R = Retirement.
LINE_DESCRIPTION VARCHAR2 256 Description of the asset line
RETIREMENT_COST_TYPE VARCHAR2 32 Retirement Cost Classification.
TRANSFER_STATUS_CODE VARCHAR2 16 Status of the asset line as the cost information is transferred to Oracle Assets
TRANSFER_REJECTION_REASON VARCHAR2 32 The reason why the line was rejected by the Interface Assets program
RET_ADJUSTMENT_TXN_ID NUMBER 38 0 Transaction Identifier of the Group Retirement Adjustment Transaction.
REV_PROJ_ASSET_LINE_ID NUMBER 38 0 The id of the asset line which is reversed by this line.
CREATION_DATE TIMESTAMP Who column: indicates the date and time of the creation of the row.
LAST_UPDATE_DATE TIMESTAMP Who column: indicates the date and time of the last update of the row.
CREATED_BY VARCHAR2 64 Who column: indicates the user who created the row.
GL_BALANCING_SEGMENT VARCHAR2 32 Balancing segment for the ledger. DW_BALANCING_SEGMENT_D GL_BALANCING_SEGMENT
GL_BLNC_SGMNT_VALUESET_CODE VARCHAR2 64 Balancing segment value set code. DW_BALANCING_SEGMENT_D GL_BLNC_SGMNT_VALUESET_CODE
COST_CENTER_SEGMENT VARCHAR2 32 Cost center segment. DW_COST_CENTER_D COST_CENTER_SEGMENT
COST_CENTER_VALUESET_CODE VARCHAR2 64 Cost center value set code. DW_COST_CENTER_D COST_CENTER_VALUESET_CODE
NATURAL_ACCOUNT_SEGMENT VARCHAR2 32 Natural account segment. DW_NATURAL_ACCOUNT_D NATURAL_ACCOUNT_SEGMENT
NTRL_ACNT_SGMNT_VALUESET_CODE VARCHAR2 64 Natural account value set code. DW_NATURAL_ACCOUNT_D NTRL_ACNT_SGMNT_VALUESET_CODE
GL_SEGMENT1 VARCHAR2 32 Accounting segment 1. DW_GL_SEGMENT_D GL_SEGMENT_CODE
GL_SEGMENT1_VALUESET_CODE VARCHAR2 64 Accounting segment 1 value set code. DW_GL_SEGMENT_D GL_SEGMENT_VALUESET_CODE
GL_SEGMENT2 VARCHAR2 32 Accounting segment 2. DW_GL_SEGMENT_D GL_SEGMENT_CODE
GL_SEGMENT2_VALUESET_CODE VARCHAR2 64 Accounting segment 2 value set code. DW_GL_SEGMENT_D GL_SEGMENT_VALUESET_CODE
GL_SEGMENT3 VARCHAR2 32 Accounting segment 3. DW_GL_SEGMENT_D GL_SEGMENT_CODE
GL_SEGMENT3_VALUESET_CODE VARCHAR2 64 Accounting segment 3 value set code. DW_GL_SEGMENT_D GL_SEGMENT_VALUESET_CODE
GL_SEGMENT4 VARCHAR2 32 Accounting segment 4. DW_GL_SEGMENT_D GL_SEGMENT_CODE
GL_SEGMENT4_VALUESET_CODE VARCHAR2 64 Accounting segment 4 value set code. DW_GL_SEGMENT_D GL_SEGMENT_VALUESET_CODE
GL_SEGMENT5 VARCHAR2 32 Accounting segment 5. DW_GL_SEGMENT_D GL_SEGMENT_CODE
GL_SEGMENT5_VALUESET_CODE VARCHAR2 64 Accounting segment 5 value set code. DW_GL_SEGMENT_D GL_SEGMENT_VALUESET_CODE
GL_SEGMENT6 VARCHAR2 32 Accounting segment 6. DW_GL_SEGMENT_D GL_SEGMENT_CODE
GL_SEGMENT6_VALUESET_CODE VARCHAR2 64 Accounting segment 6 value set code. DW_GL_SEGMENT_D GL_SEGMENT_VALUESET_CODE
GL_SEGMENT7 VARCHAR2 32 Accounting segment 7. DW_GL_SEGMENT_D GL_SEGMENT_CODE
GL_SEGMENT7_VALUESET_CODE VARCHAR2 64 Accounting segment 7 value set code. DW_GL_SEGMENT_D GL_SEGMENT_VALUESET_CODE
GL_SEGMENT8 VARCHAR2 32 Accounting segment 8. DW_GL_SEGMENT_D GL_SEGMENT_CODE
GL_SEGMENT8_VALUESET_CODE VARCHAR2 64 Accounting segment 8 value set code. DW_GL_SEGMENT_D GL_SEGMENT_VALUESET_CODE
GL_SEGMENT9 VARCHAR2 32 Accounting segment 9. DW_GL_SEGMENT_D GL_SEGMENT_CODE
GL_SEGMENT9_VALUESET_CODE VARCHAR2 64 Accounting segment 9 value set code. DW_GL_SEGMENT_D GL_SEGMENT_VALUESET_CODE
GL_SEGMENT10 VARCHAR2 32 Accounting segment 10. DW_GL_SEGMENT_D GL_SEGMENT_CODE
GL_SEGMENT10_VALUESET_CODE VARCHAR2 64 Accounting segment 10 value set code. DW_GL_SEGMENT_D GL_SEGMENT_VALUESET_CODE
CAPITAL_EVENT_ID NUMBER 38 0 PjcPrjAssetLnsAllCapitalEventId
DEPRECIATION_EXPENSE_CCID NUMBER 38 0 The identifier of the depreciation expense account for the asset
LOCATION_ID NUMBER 38 0 The identifier of the location to which the asset is assigned
ASSET_KEY_CCID NUMBER 38 0 Key flexfield code combination identifier for asset key flexfield
BOOK_TYPE_CODE VARCHAR2 32 The corporate book to which the asset is assigned