Depreciation Details

The Depreciation Details view object contains the depreciation amounts that the Calculate Depreciation process charges to the depreciation expense account in each distribution line. Oracle Fusion Assets uses this information to create depreciation expense journal entries.

Data Store Key : FscmTopModelAM.FinExtractAM.FaBiccExtractAM.DepreciationDetailExtractPVO

Primary Keys : DepreciationDetailDistributionId, DepreciationDetailBookTypeCode, DepreciationDetailPeriodCounter, DepreciationDetailAssetId

Initial Extract Date : DepreciationDetailCreationDate

Incremental Extract Date : DepreciationDetailLastUpdateDate

Attributes

This table provides the list of exposed attributes and their descriptions.

Name Description
DepreciationDetailAccDeprnAdjustmentAmount Adjustment amount calculated for retroactive adjustments included in the accelerated depreciation for the period.
DepreciationDetailAcceleratedDeprnAmount Adjustment to the accelerated depreciation amount for retroactive asset transactions.
DepreciationDetailAcceleratedDeprnReserve Accelerated depreciation reserve balance for the period.
DepreciationDetailAcceleratedYtdDeprn Year-to-date accelerated depreciation balance for the period.
DepreciationDetailAdditionCostToClear The asset cost posted to the asset clearing account when the asset is added.
DepreciationDetailAssetId Identifier of the asset number.
DepreciationDetailBacklogDeprnReserve Backlog Depreciation Reserve
DepreciationDetailBonusDeprnAdjustmentAmount Adjustment to the bonus depreciation amount for retroactive asset transactions.
DepreciationDetailBonusDeprnAmount Depreciation expense calculated due to bonus depreciation.
DepreciationDetailBonusDeprnReserve Life-to-date backlog depreciation amount.
DepreciationDetailBonusYtdDeprn Accelerated bonus depreciation year-to-date balance for the period.
DepreciationDetailBookTypeCode The name of the asset book.
DepreciationDetailCapitalAdjustment Capital adjustment balance for the period.
DepreciationDetailCost Total recorded cost of the asset.
DepreciationDetailCreatedBy The user who created the depreciation detail row.
DepreciationDetailCreationDate The date the transaction was created in the depreciation detail row.
DepreciationDetailDeprnAdjustmentAmount Adjustment to the depreciation amount for retroactive asset transactions.
DepreciationDetailDeprnAmount Asset depreciation expense amount.
DepreciationDetailDeprnReserve Total depreciation expense including the bonus depreciation recognized for the asset.
DepreciationDetailDeprnRunDate Date the Calculate Depreciation process was run.
DepreciationDetailDeprnRunId The identification number of the Calculate Depreciation process instance. This attribute is used in the SLA subject area to analyze accounting information for the asset depreciation.
DepreciationDetailDeprnSourceCode Indicates whether the depreciation record was created by running the Calculate Depreciation process or by the Member Asset Tracking functionality.
DepreciationDetailDistributionId Identifier of the asset distribution line.
DepreciationDetailEventId Identifier of the transaction event, which is associated with this row for accounting purposes.
DepreciationDetailGeneralFund General fund balance for the period.
DepreciationDetailImpairmentAmount Impairment loss balance of the asset immediately after the impairment.
DepreciationDetailImpairmentReserve The impairment reserve amount.
DepreciationDetailLastUpdateDate The date the transaction was updated in the FA_DEPRN_DETAIL row.
DepreciationDetailLastUpdateLogin The session login associated with the user who last updated the FA_DEPRN_DETAIL row.
DepreciationDetailLastUpdatedBy The user who last updated the FA_DEPRN_DETAIL row.
DepreciationDetailObjectVersionNumber The number of times the Reporting Depreciation Detail row has been updated.
DepreciationDetailPeriodCounter Identifier of the depreciation period.
DepreciationDetailRevalAmortBalance Revaluation Amortization Balance
DepreciationDetailRevalAmortization Amount of revaluation reserve amortized during this period.
DepreciationDetailRevalAmortizationAdjustment Revaluation reserve amortization amount calculated for the period by the adjustment transaction.
DepreciationDetailRevalDeprnExpense Portion of depreciation expense generated due to revaluation of the asset cost. Oracle Fusion Assets doesn't create any journal entries for this amount. It is for reporting purposes only.
DepreciationDetailRevalReserve Periodic revaluation reserve amortization amount for the asset.
DepreciationDetailYtdBacklogDeprn Year-to-date backlog depreciation amount.
DepreciationDetailYtdDeprn Year-to-date depreciation expense.
DepreciationDetailYtdImpairment Year-to-date impairment amount.
DepreciationDetailYtdRevalAmortization Year-to-date revaluation reserve amortization amount.
DepreciationDetailYtdRevalDeprnExpense Year-to-date depreciation expense due to revaluation. Oracle Fusion Assets doesn't create any journal entries for this amount. It is for reporting purposes only.