|
TABLE NAME
|
TABLE DESCRIPTION
|
|
AP_1096_DATA_ALL
|
Summary payment
information for 1099 type suppliers
|
|
AP_1099_TAPE_DATA_ALL
|
Supplier payment
amounts by MISC type for 1099 reports on magnetic media
|
|
AP_ACCOUNTING_EVENTS_ALL
|
Accounting events
table
|
|
AP_AE_HEADERS_ALL
|
Accounting entry
headers table
|
|
AP_AE_LINES_ALL
|
Accounting entry lines
table
|
|
AP_AGING_PERIODS
|
Aging period
definitions
|
|
AP_AGING_PERIOD_LINES
|
Individual aging
period information
|
|
AP_ALLOCATION_RULES
|
AP_ALLOCATION_RULES
contains records establishing how charge lines (Freight and Miscellaneous)
should be allocated to Item lines.
Each record in this table indicates the type of allocation rule that
will be generated.
The available rule ty |
|
AP_ALLOCATION_RULE_LINES
|
AP_ALLOCATION_RULE_LINES
contains the records that establish which percentage and/or amount of a
charge line is to be allocated to a specific item line.
Allocation rule lines are created as children of an allocation rule, which is stored |
|
AP_APINV_APPROVERS
|
This table connects
approvers to their invoice components, either theinvoice header or the
invoice line. The records are created
during the InvoiceApproval Workflow process.
|
|
AP_AUD_AUDITORS
|
This table stores the
auditor information
|
|
AP_AUD_AUDIT_REASONS
|
This table stores the
reasons why an expense report is audited.
|
|
AP_AUD_AUDIT_REASONS_ARC
|
OIE Archive Table for
Audit Reasons
|
|
AP_AUD_AUTO_AUDITS
|
This table stores an
audit list.
|
|
AP_AUD_QUEUES
|
This table stores a
list of expense reports for auditing along with their assignments to
auditors.
|
|
AP_AUD_RULE_ASSIGNMENTS_ALL
|
This table stores the
rule set assignments for organizations.
|
|
AP_AUD_RULE_SETS
|
This table stores the
audit rule set information.
|
|
AP_AUD_WORKLOADS
|
This table stores
auditor workloads assigned to auditors for various periods.
|
|
AP_AWT_BUCKETS_ALL
|
Summary amount of tax
withheld to date for a particular supplier site
|
|
AP_AWT_GROUPS
|
Withholding tax groups
|
|
AP_AWT_GROUP_TAXES_ALL
|
Withholding group
taxes
|
|
AP_AWT_TAX_RATES_ALL
|
Withholding tax rates
|
|
AP_AWT_TEMP_DISTRIBUTIONS_ALL
|
Withholding tax
temporary distributions
|
|
AP_BANK_ACCOUNTS_ALL
|
|
|
AP_BANK_ACCOUNT_USES_ALL
|
|
|
AP_BANK_BRANCHES
|
|
|
AP_BANK_CHARGES
|
Bank charges
definition information
|
|
AP_BANK_CHARGE_LINES
|
Ranges for bank
charges and tolerance limits
|
|
AP_BANK_TRANSMISSIONS
|
This table corresponds
to the Transmission Window.
|
|
AP_BATCHES_ALL
|
Summary invoice batch
information
|
|
AP_CARDS_ALL
|
Information about
credit cards issued to employees
|
|
AP_CARD_CODES_ALL
|
Information for credit
card codes that you define
|
|
AP_CARD_CODE_SETS_ALL
|
Descriptive
information about credit card code sets assigned to and used by card programs
|
|
AP_CARD_CURRENCIES
|
The AP_CARD_CURRENCIES
table is used to convert numeric currency values to the ISO currency code for
Oracle Internet Expenses credit card transactions
|
|
AP_CARD_DETAILS
|
New Card Details
|
|
AP_CARD_EMP_CANDIDATES
|
New Card Employee
Candidates
|
|
AP_CARD_GL_ACCTS_ALL
|
Information about the
GL accounts and descriptions for credit card GL account sets
|
|
AP_CARD_GL_SETS_ALL
|
Descriptive
information about credit card GL account sets
|
|
AP_CARD_PARAMETERS
|
Card Expense Type
Mappings
|
|
AP_CARD_PROFILES_ALL
|
Information about the
profiles assigned to credit cards distributed to your employees
|
|
AP_CARD_PROFILE_LIMITS_ALL
|
Reserved for a future
feature
|
|
AP_CARD_PROGRAMS_ALL
|
Information about
credit card programs you have defined
|
|
AP_CARD_REQUESTS_ALL
|
Reserved for a future
feature
|
|
AP_CARD_SUPPLIERS_ALL
|
This table contains
all of the information relating to the supplier, supplier site, and credit
card.
|
|
AP_CC_ACCEPTORS
|
This table stores
information about credit card acceptors who provide detail-level transaction
information.
|
|
AP_CC_TRX_DETAILS
|
This table stores
detail-level credit card transaction information.
|
|
AP_CC_TRX_DETAILS_ARC
|
OIE Archive Table for
CC Trx details
|
|
AP_CHECKRUN_CONC_PROCESSES_ALL
|
Temporary table for
tracking payment batch concurrent programs
|
|
AP_CHECKRUN_CONFIRMATIONS_ALL
|
Temporary table for
payment batch confirmations
|
|
AP_CHECKS_ALL
|
Supplier payment data
|
|
AP_CHECK_FORMATS
|
No Longer Used
|
|
AP_CHECK_INTEGERS
|
No Longer Used
|
|
AP_CHECK_STOCKS_ALL
|
No Longer Used
|
|
AP_CHECK_TRANSMISSIONS
|
Temporary table
containing payment information used for posting to the general ledger
|
|
AP_CHRG_ALLOCATIONS_ALL
|
No longer used
|
|
AP_CHRG_ALLOCATIONS_ALL_EFC
|
|
|
AP_CREDIT_CARD_TRXNS_ALL
|
Detailed information
about the credit card transactions of your employees
|
|
AP_CREDIT_CARD_TRXNS_ARC
|
OIE Archive Table for
Credit Card transactions
|
|
AP_CURRENCY_GROUP
|
Payment currencies for
the Payment Process Request Template or the Payment Process Request.
|
|
AP_DBI_LOG
|
Log table to track the
operations on Payables transaction tables relevant to the Daily Business
Intelligence product.
|
|
AP_DISTRIBUTION_SETS_ALL
|
Invoice Distribution
Set definitions
|
|
AP_DISTRIBUTION_SET_LINES_ALL
|
Individual
Distribution Set line definitions
|
|
AP_DOC_SEQUENCE_AUDIT
|
Voucher numbers
assigned to invoices and payments
|
|
AP_DUPLICATE_VENDORS_ALL
|
Supplier information
used by Supplier Merge
|
|
AP_ENCUMBRANCE_LINES_ALL
|
Encumbrance lines
table
|
|
AP_ENCUMBRANCE_LINES_ALL_EFC
|
|
|
AP_ERRORS_GT
|
|
|
AP_EXPENSE_FEED_DISTS_ALL
|
Accounting information
for credit card transactions
|
|
AP_EXPENSE_FEED_LINES_ALL
|
Detailed information
about credit card transactions imported from the credit card issuer
|
|
AP_EXPENSE_PARAMS_ALL
|
This table stores the
Internet Expenses parameters for organizations.
|
|
AP_EXPENSE_REPORTS_ALL
|
Descriptive information
about expense report templates
|
|
AP_EXPENSE_REPORT_HEADERS_ALL
|
Header information
about employee expense reports
|
|
AP_EXPENSE_REPORT_HEADERS_ARC
|
OIE Archive Table for
Expense Report Headers
|
|
AP_EXPENSE_REPORT_LINES_ALL
|
Expense item
information for employee expense reports
|
|
AP_EXPENSE_REPORT_LINES_ARC
|
OIE Archive Table for
Expense Report Lines
|
|
AP_EXPENSE_REPORT_PARAMS_ALL
|
Expense type
information for expense report templates
|
|
AP_EXP_LOCATIONS
|
Physical Address
|
|
AP_EXP_REPORT_DISTS_ALL
|
Expense distributions
|
|
AP_EXP_REPORT_DISTS_ARC
|
OIE Archive Table for
Expense Report Distributions
|
|
AP_EXP_REPORT_HEADERS_GT
|
|
|
AP_FLEX_SEGMENT_MAPPINGS_ALL
|
Accounting Flexfield
segment sequences used for Expense Distribution Detail Report
|
|
AP_HISTORY_CHECKS_ALL
|
Summary information
about purged invoice payments
|
|
AP_HISTORY_INVOICES_ALL
|
Summary information
about purged invoices
|
|
AP_HISTORY_INV_PAYMENTS_ALL
|
Relationships between
purged invoices and invoice payments
|
|
AP_HOLDS_ALL
|
Invoice hold
information
|
|
AP_HOLD_CODES
|
Invoice hold and
release codes
|
|
AP_IDENT_PARTY_SITE_GT
|
|
|
AP_INCOME_TAX_REGIONS
|
Income tax region
information for supplier tax reporting purposes
|
|
AP_INCOME_TAX_TYPES
|
1099 supplier types
|
|
AP_INTEREST_PERIODS
|
Interest rates and
period information used to create Interest invoices
|
|
AP_INTERFACE_CONTROLS
|
Temporary table for
importing invoices from the open interface tables
|
|
AP_INTERFACE_REJECTIONS
|
Information about data
that could not be loaded by Payables Open Interface Import
|
|
AP_INVOICES_ALL
|
Detailed invoice
records
|
|
AP_INVOICES_INTERFACE
|
Information used to
create an invoice using Payables Open Interface Import
|
|
AP_INVOICES_UPG_CONTROL
|
AP_INVOICES_UPG_CONTRO
is used to maintain the record of pre-upgrade programs submitted and their
progress.
|
|
AP_INVOICE_DISTRIBUTIONS_ALL
|
Invoice distribution
line information
|
|
AP_INVOICE_DISTRIBUTIONS_GT
|
|
|
AP_INVOICE_KEY_IND_ALL
|
Compiled invoice
information for Key Indicators Report
|
|
AP_INVOICE_LINES_ALL
|
AP_INVOICE_LINES_ALL contains
records for invoice lines entered manually, generated automatically or
imported from the Open Interface.
|
|
AP_INVOICE_LINES_INTERFACE
|
Information used to
create one or more invoice distributions
|
|
AP_INVOICE_PAYMENTS_ALL
|
Invoice payment records
|
|
AP_INVOICE_PREPAYS_ALL
|
Invoice prepayment
records
|
|
AP_INVOICE_RELATIONSHIPS
|
Relationships between
invoices and interest invoices automatically created for overdue invoices
|
|
AP_INVOICE_TRANSMISSIONS
|
Temporary table for
the invoice information used for posting to the general ledger
|
|
AP_INV_APRVL_HIST_ALL
|
AP_INV_APRVL_HIST_ALL
contains the approval and rejection history of each invoice that passes
through the Invoice Approval Workflow process. The process inserts a record for each
approver assigned to review an invoice.
|
|
AP_INV_DISTS_UPDATE
|
|
|
AP_INV_SELECTION_CRITERIA_ALL
|
Payment batch invoice
selection criteria
|
|
AP_LE_GROUP
|
Legal entities for the
Payment Process Request Template or the Payment Process Request.
|
|
AP_LIABILITY_BALANCE
|
Denormalized
information about liability accounting entry lines associated with invoices
and payments that have been transferred to GL
|
|
AP_LINES_UPG_SYNC_DATA
|
AP_LINES_UPG_SYNC_DATA
is used to record the invoice information that are captured through the
triggers on the invoice transaction tables.
|
|
AP_LINE_APRVL_HIST_ALL
|
AP_LINE_APRVL_HIST_ALL
contains the approval and rejection history of each invoice line that passes
through the Invoice Approval Workflow's approval phase process. The process
inserts a record for each approver assigned to review an invoice
|
|
AP_LOCATIONS_GT
|
|
|
AP_MAP_CODES
|
QuickCode Map
|
|
AP_MAP_TYPES_B
|
Mapping Rules
|
|
AP_MAP_TYPES_TL
|
Translations for
AP_MAP_TYPES_B
|
|
AP_MATCHED_RECT_ADJ_ALL
|
Tracks receipts that
have been modified after invoices have been matched to them
|
|
AP_MC_CHECKS
|
Supplier payment data
in MRC defined reporting currency
|
|
AP_MC_INVOICES
|
Detailed invoice
records in MRC defined reporting currency
|
|
AP_MC_INVOICE_DISTS
|
Invoice distribution
line information in MRC defined reporting currency
|
|
AP_MC_INVOICE_PAYMENTS
|
Invoice payment
records in MRC defined reporting currency
|
|
AP_MC_PAYMENT_HISTORY
|
Payment history
records in MRC defined reporting currency
|
|
AP_NEGOTIATION_HIST
|
Tracks the information
changed during negotiation
|
|
AP_NOTES
|
This table stores
information about notes
|
|
AP_NOTES_ARC
|
Archive table for AP
Notes
|
|
AP_NO_MATCH_TRXNS
|
The AP_NO_MATCH_TRXNS
table tracks the matching status of transactions
|
|
AP_OPEN_ITEMS_REVAL_GT
|
|
|
AP_ORG_ATTRIBUTES_GT
|
|
|
AP_ORG_COUNTRY_GT
|
|
|
AP_OTHER_PERIODS
|
Recurring invoice, key
indicator, payment terms, and withholding tax time period definitions
|
|
AP_OTHER_PERIOD_TYPES
|
Recurring invoice, key
indicator, and withholding tax period type definitions
|
|
AP_OU_GROUP
|
Operating units for
the Payment Process Request Template or the Payment Process Request.
|
|
AP_PARTY_CONTACT_SITES_GT
|
|
|
AP_PAYCARD_TRX_FEE_HEADER_ALL
|
Table
AP_PAYCARD_TRX_FEE_HEADER stores header level information of the Transactions
fees defined for a Payment Card in Oracle Payables. This table corresponds to
the header region of the 'Transaction Fees' window.There will be one row in
th
|
|
AP_PAYCARD_TRX_FEE_LINES
|
Table
AP_PAYCARD_TRX_FEE_LINES stores line level information of the Transaction
fees defined for a Payment Card in Oracle Payables. This table corresponds to
the lines region of the Transaction Fees window.For a unique combination of
Operat
|
|
AP_PAYMENT_DISTRIBUTIONS_ALL
|
Payment distribution
information
|
|
AP_PAYMENT_HISTORY_ALL
|
Maturity and
reconciliation history for payments
|
|
AP_PAYMENT_HIST_DISTS
|
The APHD table is
populated during the pre-processing of the accounting extract that occurs
when the Payables user launches the accounting process.
Payment distributions are associated with payment accounting events referenced in each row |
|
AP_PAYMENT_KEY_IND_ALL
|
Compiled payment
information for Key Indicators Report
|
|
AP_PAYMENT_PROGRAMS
|
Payment programs used
for defining payment formats
|
|
AP_PAYMENT_REP_ITF
|
Payables Interface
table for RX payment reports
|
|
AP_PAYMENT_SCHEDULES_ALL
|
Scheduled payment
information on invoices
|
|
AP_PAYMENT_TEMPLATES
|
User Defined Payment
Process Request Templates
|
|
AP_PAY_GROUP
|
Pay groups for the
Payment Process Request Template or the Payment Process Request.
|
|
AP_PBATCH_SETS_ALL
|
Payment batch sets
|
|
AP_PBATCH_SET_LINES_ALL
|
Payment batch set
lines
|
|
AP_PERIOD_CLOSE_EXCPS_GT
|
|
|
AP_POL_CAT_OPTIONS_ALL
|
This table stores
category-specific rules.
|
|
AP_POL_CONTEXT
|
This table stores
user-specific organization context.
|
|
AP_POL_EXRATE_OPTIONS_ALL
|
This table stores
exchange rate tolerances for policy compliance validation.
|
|
AP_POL_EXRATE_TOLERANCES
|
This table stores
exchange rate tolerances for policy compliance validation.
|
|
AP_POL_HEADERS
|
This table stores the
policy schedule header information.
|
|
AP_POL_ITEMIZATIONS
|
This table stores
itemization information for expense types.
|
|
AP_POL_LINES
|
This table stores the
policy schedule line information.
|
|
AP_POL_LINES_HISTORY
|
This table stores the
life cycle of a policy schedule line.
|
|
AP_POL_LOCATIONS_B
|
This table stores
policy schedule location information.
|
|
AP_POL_LOCATIONS_TL
|
This table stores
policy schedule location information.
|
|
AP_POL_SCHEDULE_OPTIONS
|
This table stores
policy schedule-specific rules.
|
|
AP_POL_SCHEDULE_PERIODS
|
This table stores
policy schedule period information.
|
|
AP_POL_VIOLATIONS_ALL
|
This table is used to
store policy violation information for expensereports.
|
|
AP_POL_VIOLATIONS_ARC
|
OIE Archive Table for
Policy Violations
|
|
AP_PPA_INVOICES_GT
|
|
|
AP_PPA_INVOICE_DISTS_GT
|
|
|
AP_PPA_INVOICE_LINES_GT
|
|
|
AP_PREPAY_APP_DISTS
|
This table details the
distribution of prepayment application invoice distributions to the recipient
invoice distribution.
Records in this table will be created during the data extraction pre-processing from AP to SLA. The records in th |
|
AP_PREPAY_HISTORY_ALL
|
AP_PREPAY_HISTORY_ALL
countains the history of a prepayment which includes its related prepayment
applications, prepayment unapplications and prepayment application
adjustments.
A row is created in APPH when the Prepayment Applied, Prepay |
|
AP_PRODUCT_REGISTRATIONS
|
|
|
AP_PRODUCT_SETUP
|
AP_PRODUCT_SETUP
contains the options and defaults you define for operating your Oracle
Payables application system across all operating units.
This table contains information such as your default payment terms and payment method. Your Orac |
|
AP_PURGE_INVOICE_LIST
|
Temporary storage of
invoice IDs for invoice purge candidates
|
|
AP_R115_UPGRADE
|
Release 11i upgrade
values for FUTURE DATED and MANUAL FUTURE DATED payment methods
|
|
AP_RECON_CHECK_RESULTS
|
Temporary storage of
payment subtotals used for bank account reconciliation comparison
|
|
AP_RECON_DETAILS
|
Temporary storage of
header and detail bank reconciliation information
|
|
AP_RECON_DISTRIBUTIONS_ALL
|
Reconciliation
distributions records
|
|
AP_RECON_ERROR_CHK_GROUPS
|
Bank reconciliation
error checking structures used by AutoClear
|
|
AP_RECON_ERROR_CHK_GROUP_LINES
|
Associated
reconciliation table records used by AutoClear
|
|
AP_RECON_LOCKS
|
Temporary table for
monitoring AutoClear processes
|
|
AP_RECON_RECORD_CODES
|
Bank reconciliation
record descriptions used by AutoClear
|
|
AP_RECON_RECORD_SPECS
|
Bank reconciliation
flat file structures used by AutoClear
|
|
AP_RECON_SUMMARIES
|
Temporary storage of
bank-supplied reconciliation categorized sub-totals
|
|
AP_RECON_TRANSACTION_CODES
|
Bank detail
reconciliation transaction codes
|
|
AP_RECURRING_PAYMENTS_ALL
|
Recurring invoice
parameters
|
|
AP_REPORTING_ENTITIES_ALL
|
Tax identification
information for a tax reporting entity
|
|
AP_REPORTING_ENTITY_LINES_ALL
|
Balancing segment
information associated with a tax reporting entity
|
|
AP_SELECTED_INVOICES_ALL
|
Temporary storage of
invoices selected for payment in a payment batch
|
|
AP_SELECTED_INVOICE_CHECKS_ALL
|
No Longer Used
|
|
AP_SELF_ASSESSED_TAX_DIST_ALL
|
ap_self_assessed_tax_dist
contains self assessed tax distributions
|
|
AP_SUPPLIERS
|
AP_SUPPLIERS stores
information about your supplier level attributes.
|
|
AP_SUPPLIERS_INT
|
AP_SUPPLIERS_INT holds
Supplier information which is loaded by the user for import. The columns in the table map to
corresponding columns in the
PO_VENDORS table. The Oracle Payables
application uses this information to create a new Supp
|
|
AP_SUPPLIER_BALANCE_ITF
|
Stores records for the
AP Supplier Open Balance Letter report
|
|
AP_SUPPLIER_CONTACTS
|
|
|
AP_SUPPLIER_INT_REJECTIONS
|
Contains suppliers,
sites, contacts rejections information.
|
|
AP_SUPPLIER_SITES_ALL
|
AP_SUPPLIER_SITES_ALL
stores information about your supplier site level attributes.
|
|
AP_SUPPLIER_SITES_INT
|
AP_SUPPLIER_SITES_INT_ALL
holds Supplier Site information which is loadedby the user for import. The columns in the table map to
corresponding columnsin
PO_VENDOR_SITES_ALL table. The Oracle Payables application uses this
information to
|
|
AP_SUP_PARTY_SITES_GT
|
|
|
AP_SUP_SITE_CONTACT_INT
|
AP_SUP_SITE_CONTACT_INT
holds Supplier contact data. The
columns in the table map to corresponding
columns in PO_VENDOR_CONTACTS table. The Oracle Payables application
uses this information to create a new Supplier Contact record when th
|
|
AP_SYSTEM_PARAMETERS_ALL
|
Payables system
defaults and parameters
|
|
AP_TAX_ALLOC_AMOUNT_GT
|
|
|
AP_TAX_CODES_ALL
|
Tax code information
|
|
AP_TAX_DERIVATIONS
|
No longer used.
|
|
AP_TAX_RECVRY_RATES_ALL
|
No longer used
|
|
AP_TAX_RECVRY_RULES_ALL
|
No longer used
|
|
AP_TB_BALANCES_TMP
|
AP_TB_BALANCES_TMP
stores balance amounts for each liability account within a ledger as of the
balance date. This table is used during trial balance upgrade to populate the
account balances based on XLA_UPGRADE_DATES.start_date
|
|
AP_TEMP_APPROVAL_ALL
|
No longer used
|
|
AP_TERMS_LINES
|
Detail information
about payment terms
|
|
AP_TERMS_TL
|
Payment term
definitions
|
|
AP_TOLERANCES_ALL
|
Matching and invoice
variance testing tolerance levels
|
|
AP_TOLERANCE_TEMPLATES
|
Matching and invoice
variance testing tolerance levels
|
|
AP_TRANSMISSIONS_SETUP
|
No Longer Used
|
|
AP_TRIAL_BAL
|
No longer used
|
|
AP_TRIAL_BALANCE
|
Denormalized
information about posted invoices for your accrual set of books
|
|
AP_TRIAL_BALANCE_LEDGERS
|
|
|
AP_UNSELECTED_INVOICES_ALL
|
This table holds
invoices that could not be paid by a payment batch.
|
|
AP_USER_EXCHANGE_RATES
|
User type exchange
rate when submitting the payment process request for multiple currencies and
even multiple functional currencies.
|
|
AP_VENDOR_AUDIT_TMP
|
Temporary table for
duplicate supplier candidates during Supplier Merge
|
|
AP_VENDOR_KEY_IND_ALL
|
Compiled supplier
information for the Key Indicators Report
|
|
AP_WEB_ACCFLEX_SEGMENTS
|
Accounting flexfield
setup.
|
|
AP_WEB_AMEX_PARAMS
|
Download parameters
for American Express
|
|
AP_WEB_DISC_LINES_GT
|
|
|
AP_WEB_EMPLOYEE_INFO_ALL
|
This table is used to
store employee information.
|
|
AP_WEB_PREFERENCES
|
Stores the user
preferences for Oracle Internet Expenses.
|
|
AP_WEB_PROXY_ASSIGNMENTS
|
Stores reporting
access rights relationships.
|
|
AP_WEB_SIGNING_LIMITS_ALL
|
Tracks signing limit
authority for Self-Service Expenses-entered expense reports
|
|
AP_WEB_VAT_SETUP_ALL
|
This table is used to
store VAT-related setup for a specific organization. The VAT-related setup data affects the
display of merchant fields on the Expense Line Details page.
|
|
AP_WHT_ITF
|
Information for the
submission of the AP Withholding Tax extract program
|
|
FINANCIALS_PURGES
|
Invoice purge
selection criteria and purged invoice statistical data
|
|
FINANCIALS_PURGES_ALL
|
Invoice purge
selection criteria and purged invoice statistical data
|
|
FINANCIALS_SYSTEM_PARAMS_ALL
|
Oracle Financials
system parameters and defaults
|
|
OIE_ADDON_MILEAGE_RATES
|
This table stores
additional information for a mileage expense type.
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|
OIE_ADDON_MILEAGE_RATES_ARC
|
OIE Archive Table for
Add On Mileage Rates
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OIE_ALLOCATION_PREFS
|
User Allocation
Preferences
|
|
OIE_ATTENDEES_ALL
|
Holds the attendee and
recipient data for the current expense type.
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|
OIE_ATTENDEES_ARC
|
OIE Archive Table for
Attendee Information
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OIE_CURRENT_PAGE_SETTING
|
This table stores the
current setting of a region (hide-show, table..) on a page for each user.
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|
OIE_DATA_CAPTURE_FIELDS
|
Stores the field
behavior for the data capture rules.
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|
OIE_DATA_CAPTURE_OPTIONS
|
Stores the attendee
types enabled for the data capture rules.
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|
OIE_DATA_CAPTURE_RULES
|
Stores the expense
type data capture rules.
|
|
OIE_DISTRIBUTION_SETS_ALL
|
Distribution Set
Header Table
|
|
OIE_DUP_DETECT_RS_DETAIL
|
This table contains
the information related to the duplicate detection rules assigned to the
expense categories, along with Generic type.
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|
OIE_DUP_DETECT_RS_SUMMARY
|
This table contains
the general information related to duplicate detection rule sets.
|
|
OIE_DUP_DETECT_RULES
|
This table contains
all of the information related to duplicate detection rules.
|
|
OIE_DUP_RULE_ASSIGNMENTS_ALL
|
This table contains
the information related to the assignment of either duplicate detection rule
or rule set to the operating units, along with Global rule assignment.
|
|
OIE_PDM_DAILY_BREAKUPS
|
This table holds per
diem data for a rate period.
|
|
OIE_PDM_DAILY_BREAKUPS_ARC
|
OIE Archive Table for
Perdiem Daily Breakups
|
|
OIE_PDM_DESTINATIONS
|
This table holds per
diem destination information.
|
|
OIE_PDM_DESTINATIONS_ARC
|
OIE Archive Table for
PerDiem Destinations
|
|
OIE_POL_RATES_INTERFACE
|
This table serves as
an interface / staging table for uploaded CONUS and OCONUS rates which can be
used to generate policy schedules.
|
|
OIE_SET_DISTRIBUTIONS
|
Set Distribution
Table.
|