Depreciation Extracts
The Depreciation Extracts view object contains information about fixed assets and their depreciation accounting.
Data Store Key : FscmTopModelAM.FinExtractAM.FaBiccExtractAM.DepreciationExtractExtractPVO
Primary Keys : FaDeprnExtractDeprnExtractId
Initial Extract Date : FaDeprnExtractCreationDate
Incremental Extract Date : FaDeprnExtractLastUpdateDate
Attributes
This table provides the list of exposed attributes and their descriptions.
Name | Description |
---|---|
FaDeprnExtractAHTransactionHeaderId | The unique identifier of the asset transaction. |
FaDeprnExtractAccDeprnAdjustmentAmount | Adjustment amount calculated for retroactive adjustments included in the accelerated depreciation for the period. |
FaDeprnExtractAcceleratedAdjustedCost | Base amount on which the accelerated depreciation is calculated. |
FaDeprnExtractAcceleratedDeprnAmount | Adjustment to the accelerated depreciation amount for retroactive asset transactions. |
FaDeprnExtractAcceleratedDeprnReserve | Accelerated depreciation reserve balance for the period. |
FaDeprnExtractAcceleratedYtdDeprn | Year-to-date accelerated depreciation balance for the period. |
FaDeprnExtractAdjustedCost | Depreciable basis of the asset, calculated as the recoverable cost for cost basis depreciation methods and the recoverable cost minus the accumulated depreciation for net book value basis methods. |
FaDeprnExtractAssetId | Identifier of the asset number. |
FaDeprnExtractAssetType | Types of assets allowed in Oracle Fusion Assets. The asset types allowed are Capitalized, Construction-in-Process, Expensed, and Group. |
FaDeprnExtractBonusAdjustedCost | Base amount on which the bonus depreciation is calculated. |
FaDeprnExtractBonusDeprnAdjustmentAmount | Adjustment to the bonus depreciation amount for retroactive asset transactions. |
FaDeprnExtractBonusDeprnAmount | Depreciation expense calculated due to bonus depreciation. |
FaDeprnExtractBonusDeprnReserve | Life-to-date backlog depreciation amount. |
FaDeprnExtractBonusRuleId | Unique identifier for the bonus rule. |
FaDeprnExtractBonusYtdDeprn | Accelerated bonus depreciation year-to-date balance for the period. |
FaDeprnExtractBookTypeCode | The name of the asset book. |
FaDeprnExtractBooksTransactionHeaderId | Unique identifier of the asset transaction. |
FaDeprnExtractCapitalAdjustment | Capital adjustment balance for the period. |
FaDeprnExtractCategoryBookDefaultId | The identifier of the default depreciation rules for the category in the book. |
FaDeprnExtractCategoryId | The identifier of the asset category. |
FaDeprnExtractCeilingTypeId | The identifier of the depreciation ceiling. |
FaDeprnExtractCodeCombinationId | Depreciation expense account identifier. |
FaDeprnExtractConventionTypeId | Unique identifier of the prorate convention. |
FaDeprnExtractCost | Total recorded cost of the asset. |
FaDeprnExtractCreatedBy | The user who created the row in the Depreciation Extracts table. |
FaDeprnExtractCreationDate | The date a row was created in Depreciation Extracts table. |
FaDeprnExtractCurrencyCode | The currency code of the primary ledger. |
FaDeprnExtractDeprnAdjustmentAmount | Adjustment to the depreciation amount for retroactive asset transactions. |
FaDeprnExtractDeprnAmount | Total depreciation amount for the period including bonus and accelerated depreciation amounts. |
FaDeprnExtractDeprnExtractId | Unique sequence-generated identifier for the row in the depreciation extract. |
FaDeprnExtractDeprnReserve | The accumulated depreciation of the transaction. |
FaDeprnExtractDeprnRunDate | Date the Calculate Depreciation process was run. |
FaDeprnExtractDeprnRunId | 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. |
FaDeprnExtractDeprnSourceCode | Indicates whether the depreciation record was created by running the Calculate Depreciation process or by the Member Asset Tracking functionality. |
FaDeprnExtractDistributionId | Identifier of the asset distribution line. |
FaDeprnExtractEmployeeId | The unique identification number of an employee. |
FaDeprnExtractFlatRateId | Identifies the rates for flat rate depreciation methods. |
FaDeprnExtractGeneralFund | Account used to book the capital asset utilization in the business operation. |
FaDeprnExtractGroupAssetId | Group asset that is selected automatically when assets are added with this asset category. |
FaDeprnExtractImpairmentAmount | Impairment loss balance of the asset immediately after the impairment. |
FaDeprnExtractImpairmentReserve | The impairment reserve amount. |
FaDeprnExtractLastUpdateDate | The date of the most recent change. |
FaDeprnExtractLastUpdateLogin | The session login associated with the user who last updated the row in the Depreciation Extracts table. |
FaDeprnExtractLastUpdatedBy | The user who last updated the Depreciation Extracts table. |
FaDeprnExtractLatestFlag | The latest transaction. |
FaDeprnExtractLedgerId | Unique identifier of the ledger. |
FaDeprnExtractLedgerSetId | Unique identifier of the ledger set. |
FaDeprnExtractLocationId | The unique identification number of the Location flexfield. |
FaDeprnExtractLtdProduction | Life-to-date production for a units of production depreciation method. |
FaDeprnExtractMethodId | The identifier of the depreciation method. |
FaDeprnExtractNetBookValue | The net book value of an asset, calculated as the current cost minus the total reserve, multiplied by the accumulated depreciation plus the bonus reserve. |
FaDeprnExtractOriginalCost | The original cost of the asset. |
FaDeprnExtractPeriodCounter | Identifier of the depreciation period. |
FaDeprnExtractPeriodName | The name of the depreciation period. |
FaDeprnExtractProduction | The periodic production amount of the asset for this row. |
FaDeprnExtractRecoverableCost | Indicates the cost of an asset minus the salvage value. |
FaDeprnExtractRevalAmortization | Amount of revaluation reserve amortized during this period. |
FaDeprnExtractRevalDeprnExpense | 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. |
FaDeprnExtractRevalReserve | Periodic revaluation reserve amortization amount for the asset. |
FaDeprnExtractSalvageValue | Value an asset will realize upon its sale at the end of its useful life. |
FaDeprnExtractSourceDistributionType | The table from which each row was extracted. |
FaDeprnExtractSourceTable | The table from which each row was extracted. |
FaDeprnExtractTotalAccDeprnReserve | The accelerated accumulated bonus depreciation of the asset for this row. |
FaDeprnExtractTotalBonusDeprnReserve | The total amount of bonus depreciation recorded against an asset. |
FaDeprnExtractTotalDeprnReserve | Total depreciation expense including the bonus depreciation recognized for the asset. |
FaDeprnExtractTotalUnits | Total number of units assigned to the asset. |
FaDeprnExtractTransactionHeaderId | The unique identifier of the asset transaction. |
FaDeprnExtractUnitRatio | Ratio of the individual distribution to total units of the asset. |
FaDeprnExtractUnitsAssigned | Number of assets assigned to an employee, depreciation expense account, or location. |
FaDeprnExtractYtdDeprn | Year-to-date depreciation expense. |
FaDeprnExtractYtdImpairment | Year-to-date impairment amount. |
FaDeprnExtractYtdProduction | Year-to-date production for assets depreciating in units of production methods. |
FaDeprnExtractYtdRevalDeprnExpense | Year-to-date depreciation expense due to revaluation. Oracle Fusion Assets does' nt create any journal entries for this amount. It is for reporting only. |