Revaluation Transactions in Reporting Currencies

The Revaluation Transactions in Reporting Currencies view object stores revaluation transaction-related information at the asset level in books that are associated with reporting currencies with a parent record in the FA_REVALUATIONS table.

Data Store Key : FscmTopModelAM.FinExtractAM.FaBiccExtractAM.ReportingRevaluationsExtractPVO

Primary Keys : ReportingRevaluationsTransactionHeaderId, ReportingRevaluationsSetOfBooksId

Initial Extract Date : ReportingRevaluationsCreationDate

Incremental Extract Date : ReportingRevaluationsLastUpdateDate

Attributes

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

Name Description
ReportingRevaluationsAllowFundAccountingFlag Allows capital fund accounting for the asset book.
ReportingRevaluationsAmortizeRevalReserveFlag Option indicating whether to amortize the revaluation reserve of the assets.
ReportingRevaluationsAssetId The identifier of the asset number on which the revaluation transaction is performed.
ReportingRevaluationsBonusDeprnReserve Bonus depreciation reserve of an asset after revaluation.
ReportingRevaluationsBookTypeCode The name of the asset book.
ReportingRevaluationsCost Cost of an asset after revaluation.
ReportingRevaluationsCreatedBy The user who created the revaluation.
ReportingRevaluationsCreationDate The date the revaluation was created.
ReportingRevaluationsDeprnReserve Depreciation reserve of an asset after revaluation.
ReportingRevaluationsFairMarketValue Fair value of the asset after revaluation.
ReportingRevaluationsImpairLossBalance Impairment loss of an asset after revaluation.
ReportingRevaluationsImpairmentReserve Impairment reserve of an asset after revaluation.
ReportingRevaluationsLastUpdateDate The date of the most recent change.
ReportingRevaluationsLastUpdateLogin The session login associated with the user who last updated the revaluation.
ReportingRevaluationsLastUpdatedBy The session login associated with the user who last updated the revaluation.
ReportingRevaluationsLifeExtensionCeiling The maximum life of the fully reserved asset.
ReportingRevaluationsLifeExtensionFactor The factor used to calculate the new life for fully reserved assets.
ReportingRevaluationsLifeInMonths Life of an asset in months after revaluation.
ReportingRevaluationsLinkedFlag Indicates whether you can reverse the impairment loss as part of revaluation.
ReportingRevaluationsMassRevalId Identifier of the mass revaluation transaction.
ReportingRevaluationsMaxFullyRsvdRevals Default value of the maximum number of revaluations allowed on a fully reserved asset.
ReportingRevaluationsObjectVersionNumber The number of times the revaluation has been updated.
ReportingRevaluationsPeriodEndRevalFlag Indicates whether to include the current period depreciation amount in revaluation calculations.
ReportingRevaluationsPriceIndexId A weighted average of prices for a given class of goods or services in a given region, during a given interval of time.
ReportingRevaluationsPriceIndexValue Price index value to be used to revalue the asset's net book value.
ReportingRevaluationsPriorBonusDeprnReserve Bonus depreciation reserve of an asset before revaluation.
ReportingRevaluationsPriorCost Cost of the asset immediately before the revaluation transaction.
ReportingRevaluationsPriorDeprnReserve Depreciation reserve of the asset immediately before the revaluation transaction.
ReportingRevaluationsPriorFairMarketValue Fair market value of the asset immediately before the revaluation transaction.
ReportingRevaluationsPriorImpairLossBalance Impairment loss balance of the asset immediately before the revaluation transaction.
ReportingRevaluationsPriorImpairmentReserve Impairment reserve of the asset immediately before the revaluation transaction.
ReportingRevaluationsPriorLifeInMonths Asset life in months immediately before the revaluation transaction.
ReportingRevaluationsPriorRevalAmortBasis Revaluation amortization basis of the asset immediately before the revaluation transaction.
ReportingRevaluationsPriorRevalLossBalance Revaluation loss balance of the asset immediately before the revaluation transaction.
ReportingRevaluationsPriorRevalReserve Revaluation reserve of the asset immediately before the revaluation transaction.
ReportingRevaluationsRevalAmortBasis Revaluation amortization basis of the asset immediately after the revaluation transaction.
ReportingRevaluationsRevalAmount Revaluation amount value used for the revaluation.
ReportingRevaluationsRevalDeprnReserveFlag Option indicating whether to revalue the depreciation reserve of the assets.
ReportingRevaluationsRevalFullyRsvdFlag Indicates whether fully reserved assets can be revalued.
ReportingRevaluationsRevalGainLoss The gain or loss on revaluation of a fixed asset.
ReportingRevaluationsRevalLossBalance The revaluation loss balance of the asset.
ReportingRevaluationsRevalMethod The method used to revalue the asset.
ReportingRevaluationsRevalPercentage Percentage used to increase or decrease the current net book value or cost of the asset.
ReportingRevaluationsRevalReserve Revaluation reserve of an asset after revaluation.
ReportingRevaluationsRevalValueType Stores the value type used for revaluation.
ReportingRevaluationsRevalYtdDeprnFlag Allows you to revalue the YTD depreciation of the assets.
ReportingRevaluationsSetOfBooksId Identifier of the accounting ledger.
ReportingRevaluationsTransactionHeaderId The numeric identifier on a revaluation transaction.