FLA_LIABILITY_SCHEDULES
FLA_LIABILITY_SCHEDULES contains cash , present value and liability schedules for the Schedules header.
Details
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Schema: FUSION
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Object owner: FUN
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Object type: TABLE
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Tablespace: FUSION_TS_TX_DATA
Primary Key
Name | Columns |
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FLA_LIABILITY_SCHEDULES_PK |
LIABILITY_SCHEDULE_ID |
Columns
Name | Datatype | Length | Precision | Not-null | Comments |
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LIABILITY_SCHEDULE_ID | NUMBER | 18 | Yes | LIABILITY_SCHEDULE_ID. This is the Primary key column. | |
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. | |
SCHEDULE_HEADER_ID | NUMBER | 18 | Yes | Schedule header identifier from FLA_SCHEDULE_HEADERS | |
SCHEDULE_DATE | DATE | Yes | Period end date or amortization end date. | ||
PERIOD_NAME | VARCHAR2 | 15 | Accrual period in which accrual falls in. | ||
LIABILITY_START_DATE | DATE | Yes | Start date for liability calculation. | ||
LIABILITY_END_DATE | DATE | Yes | End date for liability calculation. | ||
PAYMENT_ITEM_AMOUNT | NUMBER | Payment item amount in the payment currency. | |||
NUMBER_OF_LIABILITY_DAYS | NUMBER | 9 | Number of days between liability start and end dates | ||
CUMULATIVE_NUMBER_OF_DAYS | NUMBER | 9 | Cumulative number of days based on number of days. | ||
PRESENT_VALUE_AMOUNT | NUMBER | Present value : Value of actual amount after cumulative number of days. | |||
OPENING_LIABILITY_AMOUNT | NUMBER | Liability balance as on period start date | |||
CLOSING_LIABILITY_AMOUNT | NUMBER | Liability balance as on period end date. | |||
INTEREST_AMOUNT | NUMBER | Interest amount calculated from last calculated date to current due date. | |||
INTEREST_REMAINDER_AMOUNT | NUMBER | Interest remainder amount left in current period due to the rounding logic. This should be included in the next period. | |||
CATCHUP_FLAG | VARCHAR2 | 1 | Yes | Indicates if schedules are generated for catchup purpose. | |
READ_IN_DRAFT_FLAG | VARCHAR2 | 1 | Yes | Indicates whether the payment item was considered for generation in the draft lease. | |
LIABILITY_REVERSAL_FLAG | VARCHAR2 | 1 | Indicates if this transaction is reversed. | ||
REQUEST_ID | NUMBER | 18 | Enterprise Service Scheduler: indicates the request ID of the job that created or last updated the row. | ||
JOB_DEFINITION_NAME | VARCHAR2 | 100 | Enterprise Service Scheduler: indicates the name of the job that created or last updated the row. | ||
JOB_DEFINITION_PACKAGE | VARCHAR2 | 900 | Enterprise Service Scheduler: indicates the package name of the job that created or last updated the row. | ||
INCREASE_AMOUNT | NUMBER | Increase amount calculated for the period. | |||
CONTINGENT_AMOUNT | NUMBER | Contingent increase amount calculated for the period. | |||
CUMULATIVE_INCREASE_AMOUNT | NUMBER | Cumulative increase amount calculated for the period. | |||
CUMULATIVE_CONTINGENT_AMOUNT | NUMBER | Cumulative contingent increase amount calculated for the period. | |||
SCHEDULING_VERSION_NUM | NUMBER | 8 | Version of the schedule generation. | ||
PAYMENT_ITEM_DATE | DATE | Payment item due date based on the payment definition. | |||
SCHEDULES_BATCH_ID | NUMBER | 18 | Batch identifier for the schedules generation batch. | ||
OPENING_SHORT_TERM_LIAB_AMOUNT | NUMBER | Opening short term liability amount. | |||
RECLASS_SHORT_TERM_LIAB_AMOUNT | NUMBER | Short term liability reclassification amount. | |||
CLOSING_SHORT_TERM_LIAB_AMOUNT | NUMBER | Closing short term liability amount. | |||
OPENING_LONG_TERM_LIAB_AMOUNT | NUMBER | Opening long term liability amount. | |||
RECLASS_LONG_TERM_LIAB_AMOUNT | NUMBER | Long term liability reclassification amount. | |||
CLOSING_LONG_TERM_LIAB_AMOUNT | NUMBER | Closing long term liability amount. | |||
PAYMENT_NUMBER | VARCHAR2 | 30 | Attribute indicating the payment for which the liability is being calculated. | ||
VERSION_NUM | NUMBER | 9 | Version number of the lease as captured in FLA_LEASE_DETAILS. | ||
LEASE_ID | NUMBER | 18 | Lease identifier. It is referenced from FLA_LEASES_ALL table to indicate that the liability schedules that pertain to a specific lease. | ||
CREATED_BY | VARCHAR2 | 64 | Yes | Who column: indicates the user who created the row. | |
CREATION_DATE | TIMESTAMP | Yes | Who column: indicates the date and time of the creation of the row. | ||
LAST_UPDATED_BY | VARCHAR2 | 64 | Yes | Who column: indicates the user who last updated the row. | |
LAST_UPDATE_DATE | TIMESTAMP | Yes | Who column: indicates the date and time of the last update of the row. | ||
LAST_UPDATE_LOGIN | VARCHAR2 | 32 | Who column: indicates the session login associated to the user who last updated the row. |
Indexes
Index | Uniqueness | Tablespace | Columns |
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FLA_LIABILITY_SCHEDULES_N1 | Non Unique | FUSION_TS_TX_IDX | SCHEDULE_HEADER_ID, SCHEDULE_DATE |
FLA_LIABILITY_SCHEDULES_U1 | Unique | FUSION_TS_TX_IDX | LIABILITY_SCHEDULE_ID |
FLA_LIABILITY_SCHEDULES_U2 | Unique | FUSION_TS_TX_IDX | SCHEDULE_HEADER_ID, LIABILITY_END_DATE |