You are browsing the archive for Concurrent Requests & Reports.

Bank Risk Report

 

NAME: Bank Risk Report
SHORT CODE: ARXRBRD
MODULE: Oracle Accounts Receivables

Description: Bank Risk Report
Navigation: Oracle AR Responsibility -> View -> Requests -> Submit a new request -> Select Single Request -> Click ‘OK’ -> Select Name of concurrent program / report.

Report Parameters:

  • Remittance Bank Branch : Remittance Bank Branch
  • Remittance Bank Account Name : Remittance Bank Account Name

 

Automatic Receipts Creation Program (API)

 

NAME: Automatic Receipts Creation Program (API)
SHORT CODE: AR_AUTORECAPI
MODULE: Oracle Accounts Receivables

Description: Automatic Receipts Creation Program
Navigation: Oracle AR Responsibility -> View -> Requests -> Submit a new request -> Select Single Request -> Click ‘OK’ -> Select Name of concurrent program / report.

Report Parameters:

  • ARZ_PROCESS_TYPE : Process Type
  • ARZ_BTCH_DATE : Batch Date
  • ARZ_BTCH_GL_DATE : Batch GL Date
  • ARZ_CREATE_FLAG : Create
  • ARZ_APPROVE_FLAG : Approve
  • ARZ_FORMAT_FLAG : Format
  • ARZ_BATCH_ID : Batch ID
  • ARZ_DEBUG_FLAG : Debug
  • ARZ_BTCH_CURRENCY : Currency
  • ARZ_BTCH_EX_DATE : Exchange Date
  • ARZ_BTCH_EX_RATE : Exchange Rate
  • ARZ_BTCH_EX_RATE_TYPE : Exchange Rate Type
  • ARZ_REMIT_METHOD_CODE : Remit Method Code
  • ARZ_RCPT_CLASS_ID : Receipt Class
  • ARZ_RCPT_PYMNT_METHOD_ID : Payment Method
  • ARZ_BTCH_MEDIA_REF : Media Reference
  • ARZ_REMIT_BANK_BR_ID : Remit Bank Branch
  • ARZ_REMIT_BANK_ACC_ID : Remit Bank Account
  • ARZ_BANK_DEPOSIT_NUM : Remit Deposit Number
  • ARZ_BTCH_COMMENTS : Comments
  • ARZ_TRX_DATE_L : Transaction Date Low
  • ARZ_TRX_DATE_H : Transaction Date High
  • ARZ_DUE_DATE_L : Due Date Low
  • ARZ_DUE_DATE_H :

 

Sales Journal By Customer

 

NAME: Sales Journal By Customer
SHORT CODE: RAXGLA
MODULE: Oracle Accounts Receivables

Description: Sales Journal By Customer
Navigation: Oracle AR Responsibility -> View -> Requests -> Submit a new request -> Select Single Request -> Click ‘OK’ -> Select Name of concurrent program / report.

Report Parameters:

  • Reporting Level : Indicates Reporting Level
  • Reporting Context : Indicates Reporting Context
  • Set of Books Currency : Ledger Currency
  • Chart Of Accounts ID :
  • Order By :
  • Report By Line :
  • Company Segment Low :
  • Company Segment High :
  • GL Date From :
  • GL Date To :
  • Entered Currency :
  • GL Account Type :
  • Posting Status :
  • Customer Name Low :
  • Customer Name High :
  • Customer Number Low :
  • Customer Number High :
  • Transaction Date From :
  • Transaction Date To :
  • Transaction Type Low :
  • Transaction Type High :
  • Transaction Number Low :
  • Transaction Number High :
  • Exclude Rounding equals zero : Exclude Rounding equals zero