AR_CONS_INV_ALL

The AR_CONS_INV_ALL table stores information about balance forward billing, including invoice numbers, customer balances, and due dates. A balance forward bill is sent to a customer containing all invoices created during a period such as one month. When you run the Generate Balance Forward Billing process the information about the bill is stored in this table.

Details

  • Schema: FUSION

  • Object owner: AR

  • Object type: TABLE

  • Tablespace: APPS_TS_TX_DATA

Primary Key

Name Columns

AR_CONS_INV_PK

CONS_INV_ID

Columns

Name Datatype Length Precision Not-null Comments
CONS_INV_ID NUMBER 18 Yes Identifies the balance forward bill determined by AR_CONS_INV_ALL sequence.
CONS_BILLING_NUMBER VARCHAR2 30 Yes Consolidated billing invoice number
CUSTOMER_ID NUMBER 18 Yes Customer identifier
SITE_USE_ID NUMBER 18 Yes Customer bill-to site identifier
CONCURRENT_REQUEST_ID NUMBER 18 Identifies concurrent request that generated consolidated billing invoice
LAST_UPDATE_DATE TIMESTAMP Yes Who column: indicates the date and time of the last update of the row.
LAST_UPDATED_BY VARCHAR2 64 Yes Who column: indicates the user who last updated the row.
CREATION_DATE TIMESTAMP Yes Who column: indicates the date and time of the creation of the row.
CREATED_BY VARCHAR2 64 Yes Who column: indicates the user who created the row.
LAST_UPDATE_LOGIN VARCHAR2 32 Who column: indicates the session login associated to the user who last updated the row.
CONS_INV_TYPE VARCHAR2 30 Yes Lookup code for balance forward bill type in AR_LOOKUPS. Values are Summary or Detail.
STATUS VARCHAR2 30 Yes Lookup code for balance forward bill status in AR_LOOKUPS. Values are Draft, Accepted, or Rejected.
PRINT_STATUS VARCHAR2 30 Yes Lookup code for document print status in the AR_LOOKUPS table, Pending or Printed
TERM_ID NUMBER 18 Payment terms code identifier
ISSUE_DATE DATE Yes Date that consolidated billing invoice was generated
CUT_OFF_DATE DATE Consolidated billing invoice cut-off date
DUE_DATE DATE Consolidated billing invoice due date
CURRENCY_CODE VARCHAR2 15 Currency code
BEGINNING_BALANCE NUMBER Customer balance due at beginning of period, or ending balance of prior consolidated billing invoice
ENDING_BALANCE NUMBER Customer balance at end of period
ORG_ID NUMBER 18 Yes Indicates the identifier of the business unit associated to the row.
ATTRIBUTE_CATEGORY VARCHAR2 30 Descriptive Flexfield: structure definition of the user descriptive flexfield.
ATTRIBUTE1 VARCHAR2 150 Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE2 VARCHAR2 150 Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE3 VARCHAR2 150 Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE4 VARCHAR2 150 Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE5 VARCHAR2 150 Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE6 VARCHAR2 150 Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE7 VARCHAR2 150 Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE8 VARCHAR2 150 Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE9 VARCHAR2 150 Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE10 VARCHAR2 150 Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE11 VARCHAR2 150 Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE12 VARCHAR2 150 Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE13 VARCHAR2 150 Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE14 VARCHAR2 150 Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE15 VARCHAR2 150 Descriptive Flexfield: segment of the user descriptive flexfield.
START_DATE DATE Billing period start date for the consolidated billing invoice
BILLING_DATE DATE Billing date for balance forward transactions
BILL_LEVEL_FLAG VARCHAR2 1 Indicates billing level: A for account, S for site
TOTAL_RECEIPTS_AMT NUMBER Sum of all receipts
TOTAL_ADJUSTMENTS_AMT NUMBER Sum of all adjustments
TOTAL_CREDITS_AMT NUMBER Sum of all credits
TOTAL_FINANCE_CHARGES_AMT NUMBER Sum of all late charges.
TOTAL_TRX_AMT NUMBER Sum of all transactions
TOTAL_TAX_AMT NUMBER Sum of all tax
UNPAID_REASON VARCHAR2 30 Reason why bill is not paid
AGING_BUCKET1_AMT NUMBER Unpaid amount in first aging bucket.
AGING_BUCKET2_AMT NUMBER Unpaid amount in second aging bucket.
AGING_BUCKET3_AMT NUMBER Unpaid amount in third aging bucket.
AGING_BUCKET4_AMT NUMBER Unpaid amount in fourth aging bucket.
AGING_BUCKET5_AMT NUMBER Unpaid amount in fifth aging bucket.
AGING_BUCKET6_AMT NUMBER Unpaid amount in sixth aging bucket.
AGING_BUCKET7_AMT NUMBER Unpaid amount in seventh aging bucket.
LAST_BILLING_DATE DATE Previous billing date for balance forward
BILLING_CYCLE_ID NUMBER 18 Billing cycle identifier
REMIT_TO_ADDRESS_ID NUMBER 18 Remit-to address identifier
LAST_CHARGE_DATE DATE Last Date on which late charge was computed on this bill
OBJECT_VERSION_NUMBER NUMBER 9 Yes Used to implement optimistic locking. This number is incremented every time that the row is updated. The number is compared at the start and end of a transaction to detect whether another session has updated the row since it was queried.
REMIT_TO_ADDRESS_SEQ_ID NUMBER 18 Remit-to address sequence identifier.
BFB_TEMPLATE_NAME VARCHAR2 240 This column stores template used to deliver balance forward bills. This template is also used to preview the balance forward bill through the UI.

Foreign Keys

Table Foreign Table Foreign Key Column
AR_CONS_INV_ALL hz_cust_site_uses_all SITE_USE_ID
AR_CONS_INV_ALL hz_cust_accounts CUSTOMER_ID
AR_CONS_INV_ALL ra_terms_b TERM_ID
AR_CONS_INV_ALL ra_remit_tos_all REMIT_TO_ADDRESS_SEQ_ID
AR_CONS_INV_ALL ar_cons_bill_cycles_b BILLING_CYCLE_ID
ar_cons_inv_trx_all ar_cons_inv_all CONS_INV_ID
ar_adjustments_all ar_cons_inv_all CONS_INV_ID
ar_cash_reco_lines_all ar_cons_inv_all CONS_INV_ID
ar_automatch_trx_t ar_cons_inv_all CONS_INV_ID
ar_payment_schedules_all ar_cons_inv_all CONS_INV_ID
ar_payment_schedules_all ar_cons_inv_all CONS_INV_ID_REV
ar_cons_inv_trx_lines_all ar_cons_inv_all CONS_INV_ID

Indexes

Index Uniqueness Tablespace Columns
AR_CONS_INV_N1 Non Unique Default CUSTOMER_ID, SITE_USE_ID, CUT_OFF_DATE
AR_CONS_INV_N2 Non Unique Default CONS_BILLING_NUMBER
AR_CONS_INV_N3 Non Unique Default SITE_USE_ID, CUT_OFF_DATE, CURRENCY_CODE
AR_CONS_INV_U1 Unique Default CONS_INV_ID