FA_CATEGORY_BOOK_DEFAULTS_

FA_CATEGORY_BOOK_DEFAULTS contains the default depreciation rules that used for asset addition. A row is inserted into this table for each asset category, depreciation book, and date placed in service range for which you set up the category.

Details

  • Schema: FUSION

  • Object owner: FA

  • Object type: TABLE

  • Tablespace: TRANSACTION_TABLES

Primary Key

Name Columns

FA_CATEGORY_BOOK_DEFAULTS_PK_

LAST_UPDATE_DATE, LAST_UPDATED_BY, CATEGORY_BOOK_DEFAULT_ID

Columns

Name Datatype Length Precision Not-null Comments
CATEGORY_ID NUMBER 18 Identifier of the asset category.
BOOK_TYPE_CODE VARCHAR2 30 Unique book identification name.
START_DPIS DATE Starting date placed in service to which this set of default depreciation rules applies.
END_DPIS DATE Ending date placed in service to which this default depreciation rule applies.
DEPRECIATE_FLAG VARCHAR2 3 Option indicating whether the assets assigned to the category depreciate by default.
METHOD_ID NUMBER 18 Identifier of the depreciation method.
FLAT_RATE_ID NUMBER 18 Identifier of the rates for the flat rate depreciation method.
SPECIAL_DEPRN_LIMIT_AMOUNT NUMBER Default depreciation limit amount for the category in the book.
CONVENTION_TYPE_ID NUMBER 18 Identifier of the prorate convention.
RETIREMENT_CONVENTION_TYPE_ID NUMBER 18 Identifier of the prorate convention.
BONUS_RULE_ID NUMBER 18 Identifier of the depreciation bonus rule.
CEILING_TYPE_ID NUMBER 18 Identifier of the depreciation ceiling.
PERCENT_SALVAGE_VALUE NUMBER Default salvage value percentage for the assets added to this category.
DEPRN_LIMIT_TYPE VARCHAR2 30 Default depreciation limit type assigned to the category. It can be either amount, percentage, or none.
ALLOWED_DEPRN_LIMIT NUMBER Depreciation limit percentage for the asset.
USE_STL_RETIREMENTS_FLAG VARCHAR2 3 Option indicating whether straight line depreciation method should be used for retirement transaction.
STL_METHOD_ID NUMBER 18 Identifier of the straight line depreciation method used to calculate the depreciation for retirement transaction.
SUBCOMPONENT_LIFE_RULE VARCHAR2 13 Rule by which the life is defaulted to the component assets added to this category.
MINIMUM_LIFE_IN_MONTHS NUMBER 4 Minimum life for the component assets.
CAPITAL_GAIN_THRESHOLD NUMBER Minimum time to hold an asset for Oracle Fusion Assets to report it as a capital gain on the form 4797 reports when you retire it.
GROUP_ASSET_ID NUMBER 18 Identification number of the group asset.
MASS_PROPERTY_FLAG VARCHAR2 1 Option indicating whether the category is mass property is eligible or not.
RECOGNIZE_GAIN_LOSS VARCHAR2 30 Option indicating whether gain or loss to be recognized for member asset retirement.
RECAPTURE_RESERVE_FLAG VARCHAR2 1 Option indicating whether reserve for the group asset can exceed its recoverable cost.
LIMIT_PROCEEDS_FLAG VARCHAR2 1 Option indicating whether the member asset proceed of sale should be limited to its recoverable cost.
TERMINAL_GAIN_LOSS VARCHAR2 30 Option indicating how terminal gain or loss to be recognized for member asset retirement.
TRACKING_METHOD VARCHAR2 30 Option indicating the group asset tracking method that is used to calculate group and its member asset depreciation.
EXCLUDE_FULLY_RSV_FLAG VARCHAR2 1 Option indicating whether fully reserved assets depreciable basis should be excluded from the group asset's depreciable basis or not.
EXCESS_ALLOCATION_OPTION VARCHAR2 30 Option indicating whether excess depreciation of the group asset is to be allocated to its member assets or reduced from the group asset depreciation.
DEPRECIATION_OPTION VARCHAR2 30 Option indicating whether the member asset's depreciation expense is calculated using its group asset depreciation rules or the member asset depreciation rules.
MEMBER_ROLLUP_FLAG VARCHAR2 1 Option indicating whether group asset depreciation is sum of member asset depreciation or calculated separately.
ALLOCATE_TO_FULLY_RSV_FLAG VARCHAR2 1 Option indicating whether group asset depreciation amount should be allocated to fully retired assets.
ALLOCATE_TO_FULLY_RET_FLAG VARCHAR2 1 Option indicating whether group asset depreciation amount should be allocated to fully retired assets.
CREATION_DATE TIMESTAMP Who column: indicates the date and time of the creation of the row.
CREATED_BY VARCHAR2 64 Who column: indicates the user who created the row.
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.
LAST_UPDATE_LOGIN VARCHAR2 32 Who column: indicates the session login associated to the user who last updated the row.
OBJECT_VERSION_NUMBER NUMBER 9 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.
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.
ATTRIBUTE_CATEGORY_CODE VARCHAR2 30 Descriptive Flexfield: structure definition of the user descriptive flexfield.
ITC_ELIGIBLE_FLAG VARCHAR2 3 Option indicating whether the assets in this category are eligible for investment tax credit.
PRODUCTION_CAPACITY NUMBER Production capacity for assets that use units of production method.
UNIT_OF_MEASURE VARCHAR2 25 Unit of measure used for assets depreciation under units of production method.
USE_ITC_CEILINGS_FLAG VARCHAR2 3 Option indicating whether the assets in this category are eligible for investment tax credit ceiling.
MINIMUM_LIFE_IN_PERIODS NUMBER 4 Minimum life for component assets.
PRICE_INDEX_ID NUMBER 18 Stores the price index identifier of the price index attached to the category, and the foreign key from the FA_PRICE_INDEXES table.
CAP_THRESHOLD_AMOUNT NUMBER The threshold amount used to determine whether to capitalize or expense an asset source line.
LOW_VALUE_THRESHOLD_AMOUNT NUMBER The threshold amount used to determine whether the asset needs to added as a low value capitalized asset.
LVA_CONVENTION_TYPE_ID NUMBER 18 The low value asset prorate convention identifier.
LVA_FLAT_RATE_ID NUMBER 18 The low value asset depreciation method rate identifier.
LVA_METHOD_ID NUMBER 18 The low value asset depreciation method identifier.
USE_ADD_CONV_FOR_ADJTFR_FLAG VARCHAR2 1 Indicates whether prorarate convention is used for adjustments and transfers.
LEASE_TYPE_CODE VARCHAR2 30 Classifies the asset lease as type A or type B.
REASSESS_LIABILITY_FLAG VARCHAR2 1 Indicates whether lease liability needs to be reassessed when lease payment amount changes.
EXPENSE_LEASE_CHANGES_FLAG VARCHAR2 1 Indicates whether any change in the current period lease payment to be charged to the profit and loss account.
ADVANCE_PAYMENT_LIAB_FLAG VARCHAR2 1 Indicates whether advance lease payment to be excluded in calculating the lease liability.
VARIABLE_PAYMENT_LIAB_FLAG VARCHAR2 1 Indicates whether variable lease payment to be excluded in calculating the lease liability.
INITIAL_PAYMENT_LIAB_FLAG VARCHAR2 1 Indicates whether initial fixed lease costs to be excluded in calculating the lease liability.
PERIOD_PAYMENT_LIAB_FLAG VARCHAR2 1 Indicates whether periodic lease payment to be excluded in calculating the lease liability.
PURCHASE_PAYMENT_LIAB_FLAG VARCHAR2 1 Indicates whether purchase price to be excluded in calculating the lease liability.
TERMINAL_PAYMENT_LIAB_FLAG VARCHAR2 1 Indicates whether termination penalty to be excluded in calculating the lease liability.
RESIDUAL_PAYMENT_LIAB_FLAG VARCHAR2 1 Indicates whether residual lease payment to be excluded in calculating the lease liability.
OTHER_PAYMENT_LIAB_FLAG VARCHAR2 1 Indicates whether other lease payment to be excluded in calculating the lease liability.
ADVANCE_PAYMENT_COST_FLAG VARCHAR2 1 Indicates whether advance lease payment to be excluded in calculating the leased asset cost.
VARIABLE_PAYMENT_COST_FLAG VARCHAR2 1 Indicates whether variable lease payment to be excluded in calculating the leased asset cost.
INITIAL_PAYMENT_COST_FLAG VARCHAR2 1 Indicates whether initial fixed lease costs to be excluded in calculating the leased asset cost.
PERIOD_PAYMENT_COST_FLAG VARCHAR2 1 Indicates whether periodic lease payment to be excluded in calculating the leased asset cost.
PURCHASE_PAYMENT_COST_FLAG VARCHAR2 1 Indicates whether purchase price to be excluded in calculating the leased asset cost.
TERMINAL_PAYMENT_COST_FLAG VARCHAR2 1 Indicates whether termination penalty to be excluded in calculating the leased asset cost.
RESIDUAL_PAYMENT_COST_FLAG VARCHAR2 1 Indicates whether residual lease payment to be excluded in calculating the leased asset cost.
OTHER_PAYMENT_COST_FLAG VARCHAR2 1 Indicates whether other lease payment to be excluded in calculating the leased asset cost.
ADJUSTMENT_CONVENTION_TYPE_ID NUMBER 18 The default prorate convention identifier for adjustment transaction.
TRANSFER_CONVENTION_TYPE_ID NUMBER 18 The default prorate convention identifier for transfer transaction.
CALC_MONTHLY_INTEREST_FLAG VARCHAR2 1 Specifies whether to calculate monthly accured interest for quarterly,semi-annual and annual frequency leases.
ATTRIBUTE_NUMBER1 NUMBER Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE_NUMBER2 NUMBER Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE_NUMBER3 NUMBER Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE_NUMBER4 NUMBER Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE_NUMBER5 NUMBER Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE_DATE1 DATE Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE_DATE2 DATE Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE_DATE3 DATE Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE_DATE4 DATE Descriptive Flexfield: segment of the user descriptive flexfield.
ATTRIBUTE_DATE5 DATE Descriptive Flexfield: segment of the user descriptive flexfield.
CATEGORY_BOOK_DEFAULT_ID NUMBER 18 Yes Identifier of the default depreciation rules for the category in the book.
ANNUITY_INTEREST_RATE NUMBER Annual interest rate used to calculate annual interest expense.
AUDIT_ACTION_TYPE_ VARCHAR2 10 Action Type - have values like INSERT, UPDATE and DELETE.
AUDIT_CHANGE_BIT_MAP_ VARCHAR2 1000 Used to store a bit map of 1s and 0s for each column in the table.
AUDIT_IMPERSONATOR_ VARCHAR2 64 Original Impersonator User.

Indexes

Index Uniqueness Tablespace Columns
FA_CATEGORY_BOOK_DEFAULTS_N1_ Non Unique Default CATEGORY_BOOK_DEFAULT_ID
FA_CATEGORY_BOOK_DEFAULTS_U1_ Unique Default LAST_UPDATE_DATE, LAST_UPDATED_BY, CATEGORY_BOOK_DEFAULT_ID