Third Party Balances Report
NAME: Third Party Balances Report
SHORT CODE: XLATPRPT
MODULE: Oracle Subledger Accounting
Description: Standard Third Party Balances Report
Navigation: Oracle Subledger Accounting Responsibility -> View -> Requests -> Submit a new request -> Select Single Request -> Click ‘OK’ -> Select Name of concurrent program / report.
Report Parameters:
- P_RESP_APPLICATION_ID : Application id attached to the responsibility
- P_LEDGER_ID : Internal identifier for the ledger or ledger set
- P_LEDGER : Ledger Name
- P_COA_ID : Internal identifier for Chart of Accounts
- P_JE_SOURCE_NAME : Journal Entry Source Name
- P_JE_SOURCE : Journal Entry Source
- P_LEGAL_ENTITY_ID : Internal identifier for the legal entity
- P_LEGAL_ENTITY : Legal Entity Name
- P_PERIOD_FROM : Start period from the calendar attached to the ledger or ledger set
- P_PERIOD_TO : End period from the calendar attached to the ledger or ledger set
- P_GL_DATE_FROM : Start Date
- P_GL_DATE_TO : End Date
- P_INCLUDE_DRAFT_ACTIVITY_FLAG : Include Draft Activity Flag
- P_INCLUDE_DRAFT_ACTIVITY : Include Draft Activity
- P_BALANCE_SIDE_CODE : Balance Side Code
- P_BALANCE_SIDE : Balance Side
- P_BALANCE_AMOUNT_FROM : Balance amount from
- P_BALANCE_AMOUNT_TO : Ba
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