Reporting Adjustments
The Adjustments view object stores all information to create journal entries for transactions for the reporting currencies in the primary ledger.
Data Store Key : FscmTopModelAM.FinExtractAM.FaBiccExtractAM.ReportingAdjustmentExtractPVO
Primary Keys : ReportingAdjustmentSetOfBooksId, ReportingAdjustmentAdjustmentLineId, ReportingAdjustmentTransactionHeaderId
Initial Extract Date : ReportingAdjustmentCreationDate
Incremental Extract Date : ReportingAdjustmentLastUpdateDate
Attributes
This table provides the list of exposed attributes and their descriptions.
| Name | Description |
|---|---|
| ReportingAdjustmentAdjustmentAmount | The amount used to adjust the asset. |
| ReportingAdjustmentAdjustmentLineId | The unique identifier of the asset accounting line. |
| ReportingAdjustmentAdjustmentType | The type of account that the adjustment affects. |
| ReportingAdjustmentAnnualizedAdjustment | The adjustment amount for a period multiplied by the number of periods in the fiscal year for retroactive transactions. |
| ReportingAdjustmentAssetId | The unique identifier of the asset number. |
| ReportingAdjustmentAssetInvoiceId | The unique identifier of the asset invoice. |
| ReportingAdjustmentBookTypeCode | The name of the asset book. |
| ReportingAdjustmentCodeCombinationId | The unique identifier of the account code combination to be used to account for the asset transaction line. |
| ReportingAdjustmentConvertedFlag | Status indicating whether the transaction amounts have been converted to the reporting currency. |
| ReportingAdjustmentCreatedBy | The user who created the adjustment. |
| ReportingAdjustmentCreationDate | The date the adjustment was created. |
| ReportingAdjustmentDebitCreditFlag | Indicates whether the line is Credit or Debit in the accounting entry for the asset transaction. |
| ReportingAdjustmentDeprnOverrideFlag | Indicates the depreciation override amount for assets in the book. |
| ReportingAdjustmentDistributionId | The unique identifier of the asset distribution line. |
| ReportingAdjustmentLastUpdateDate | The date of the most recent change. |
| ReportingAdjustmentLastUpdateLogin | The session login associated with the user who performed the adjustment. |
| ReportingAdjustmentLastUpdatedBy | The user who last performed the adjustment. |
| ReportingAdjustmentObjectVersionNumber | The number of times an adjustment was updated. |
| ReportingAdjustmentPeriodCounterAdjusted | The period from which the adjustment transaction is effective. |
| ReportingAdjustmentPeriodCounterCreated | The period from which the adjustment transaction is created. |
| ReportingAdjustmentSetOfBooksId | Identifier of the accounting ledger. |
| ReportingAdjustmentSourceDestCode | Indicates whether this line is on the source or destination side of a transaction. |
| ReportingAdjustmentSourceLineId | The unique identifier for the source line information. |
| ReportingAdjustmentSourceTypeCode | The type of adjustment transaction. |
| ReportingAdjustmentTrackMemberFlag | Indicates whether the account information is created at the member level when the Track Member Account option is set. |
| ReportingAdjustmentTransactionHeaderId | The unique identifier for the transaction. |