You are browsing the archive for SLA.

Subledger Accounting Concurrent Programs

Oracle Subledger Accounting Concurrent Programs

CONCURRENT PROGRAM NAME CONCURRENT PROGRAM SHORT CODE
Upload Application Accounting Definitions XLAAADUL
Download Application Accounting Definitions XLAAADDL
Open Period Balances XLABAOPE
Open Account Balances Data Manager XLATBDMG
SLA Pre-Upgrade program XLAPREUPG
Export Application Accounting Definitions XLAALEXP
Import Application Accounting Definitions XLAALIMP
Re-sequence of accounting sequence number XLASEQDF
Purge Transaction Objects Diagnostics XLAAPPURGE
Accounting Event Extract Diagnostics XLAAPDMP
Transaction Account Builder – Validate Transaction Account Definitions XLACPTAD
Transaction Account Builder – Generate API Objects XLACPTAB
Create and Assign Sources XLAABASR
Update Subledger Accounting Options XLASAOPT
Parent Accounting Program XLAACCEA
Compile Application Accounting Definition XLACMPPADCP
Subledger Accounting Balances Update XLABABUP
Accounting Program XLAACCUP
Validate Application Accounting Definitions XLAABACR
Create Accounting for Third Party Merge XLAMERGEACCT
Open Account Balances Data Manager Worker Process XLATBDMW
Upgrade Historical Subledger Transaction Accounting XLAONDEUPG
Transaction Objects Diagnostics XLAAPDIAG
Create Reporting Sequence Number XLAREPSEQ
Transfer Journal Entries to GL XLAGLTRN
Open Account Balances Listing XLATBRPT
Subledger Period Close Exceptions Report XLAPEXRPT
Subledger Multiperiod Accounting and Accrual Reversal Report XLARPMPX
Third Party Balances Report XLATPRPT
Account Analysis Report XLAAARPT
Journal Entries Report XLAJELINESRPT
Create Accounting XLAACCPB
Complete Multiperiod Accounting XLARPMPA
Czech journals – Foreign Currency (132 Char) – Voucher Number XLAJFCVN
Trading Partner Summary Report XLATPSUMRPT
Import Initial Balances for Supporting References XLAACSUPREF
SLA Secondary/ALC Ledger Historic Upgrade XLAHUPG
Validate Application Accounting Definitions (XML) XLAABACR_XML
Create and Assign Sources (XML) XLAABASR_XML
Export Application Accounting Definitions (XML) XLAALEXP_XML
Open Account AP Balances Listing XLAAPRPT
Subledger Accounting Rules Detail Listing Report XLASARDLR
Purge Temporary Journal Import Interface Tables Created By Subledger Accounting XLADRPGLT

Sub Ledger Accounting Tables

Oracle Sub Ledger Accounting Tables:

  • XLA_AAD_GROUPS
  • XLA_AAD_HDR_ACCT_ATTRS
  • XLA_AAD_HEADER_AC_ASSGNS
  • XLA_AAD_LINE_DEFN_ASSGNS
  • XLA_AAD_LOADER_DEFNS_T
  • XLA_AAD_LOADER_LOGS
  • XLA_AAD_SOURCES
  • XLA_ACCOUNTING_ERRORS
  • XLA_ACCTG_METHODS_B
  • XLA_ACCTG_METHODS_TL
  • XLA_ACCTG_METHOD_RULES
  • XLA_ACCT_ATTRIBUTES_B
  • XLA_ACCT_ATTRIBUTES_TL
  • XLA_ACCT_CLASS_ASSGNS
  • XLA_ACCT_LINE_TYPES_B
  • XLA_ACCT_LINE_TYPES_TL
  • XLA_AE_HEADERS
  • XLA_AE_LINES
  • XLA_AE_LINES_GT
  • XLA_AE_SEGMENT_VALUES
  • XLA_AMB_COMPONENTS_H
  • XLA_AMB_SETUP_ERRORS
  • XLA_AMB_UPDATED_COMPS
  • XLA_ANALYTICAL_ASSGNS
  • XLA_ANALYTICAL_BALANCES
  • XLA_ANALYTICAL_DTLS_B
  • XLA_ANALYTICAL_DTLS_TL
  • XLA_ANALYTICAL_DTL_VALS
  • XLA_ANALYTICAL_HDRS_B
  • XLA_ANALYTICAL_HDRS_TL
  • XLA_ANALYTICAL_SOURCES
  • XLA_APPLI_AMB_CONTEXTS
  • XLA_ASSIGNMENT_DEFNS_B
  • XLA_ASSIGNMENT_DEFNS_TL
  • XLA_BALANCE_STATUSES
  • XLA_CONDITIONS
  • XLA_CONDITIONS_T
  • XLA_CONTROL_BALANCES
  • XLA_DESCRIPTIONS_B
  • XLA_DESCRIPTIONS_TL
  • XLA_DESCRIPT_DETAILS_B
  • XLA_DESCRIPT_DETAILS_TL
  • XLA_DESC_PRIORITIES
  • XLA_DIAG_EVENTS
  • XLA_DIAG_LEDGERS
  • XLA_DIAG_SOURCES
  • XLA_DISTRIBUTION_LINKS
  • XLA_ENTITY_ID_MAPPINGS
  • XLA_ENTITY_TYPES_B
  • XLA_ENTITY_TYPES_TL
  • XLA_EVENTS
  • XLA_EVENTS_INT_GT
  • XLA_EVENT_CLASSES_B
  • XLA_EVENT_CLASSES_TL
  • XLA_EVENT_CLASS_ATTRS
  • XLA_EVENT_CLASS_GRPS_B
  • XLA_EVENT_CLASS_GRPS_TL
  • XLA_EVENT_CLASS_PREDECS
  • XLA_EVENT_MAPPINGS_B
  • XLA_EVENT_MAPPINGS_TL
  • XLA_EVENT_SOURCES
  • XLA_EVENT_TYPES_B
  • XLA_EVENT_TYPES_TL
  • XLA_EVT_CLASS_ACCT_ATTRS
  • XLA_EVT_CLASS_ORDERS_GT
  • XLA_EVT_CLASS_SOURCES_GT
  • XLA_EXTRACT_OBJECTS
  • XLA_GL_LEDGERS
  • XLA_GL_TRANSFER_BATCHES_ALL
  • XLA_GL_TRANSFER_PROGRAMS
  • XLA_GL_TRANSFER_PROGRAM_LINES
  • XLA_JE_CATEGORIES
  • XLA_JE_LINE_TYPES
  • XLA_JLT_ACCT_ATTRS
  • XLA_LAUNCH_OPTIONS
  • XLA_LEDGER_OPTIONS
  • XLA_LINE_ASSGNS_T
  • XLA_LINE_DEFINITIONS_B
  • XLA_LINE_DEFINITIONS_TL
  • XLA_LINE_DEFN_AC_ASSGNS
  • XLA_LINE_DEFN_ADR_ASSGNS
  • XLA_LINE_DEFN_JLT_ASSGNS
  • XLA_MAPPING_SETS_B
  • XLA_MAPPING_SETS_TL
  • XLA_MAPPING_SET_VALUES
  • XLA_MERGE_SEG_MAPS
  • XLA_MPA_HEADER_AC_ASSGNS
  • XLA_MPA_JLT_AC_ASSGNS
  • XLA_MPA_JLT_ADR_ASSGNS
  • XLA_MPA_JLT_ASSGNS
  • XLA_PARTIAL_MERGE_TXNS
  • XLA_POST_ACCT_PROGS_B
  • XLA_POST_ACCT_PROGS_TL
  • XLA_PRODUCT_RULES_B
  • XLA_PRODUCT_RULES_TL
  • XLA_PROD_ACCT_HEADERS
  • XLA_PROD_ACCT_LINES
  • XLA_PROD_SEG_RULES
  • XLA_REFERENCE_OBJECTS
  • XLA_RULES_T
  • XLA_RULE_DETAILS_T
  • XLA_SEG_RULES_B
  • XLA_SEG_RULES_TL
  • XLA_SEG_RULE_DETAILS
  • XLA_SOURCES_B
  • XLA_SOURCES_TL
  • XLA_SOURCE_PARAMS
  • XLA_STAGE_ACCTG_METHODS
  • XLA_STAGING_COMPONENTS_H
  • XLA_SUBLEDGERS
  • XLA_TAB_ACCT_DEFS_B
  • XLA_TAB_ACCT_DEFS_TL
  • XLA_TAB_ACCT_DEF_DETAILS
  • XLA_TAB_ACCT_TYPES_B
  • XLA_TAB_ACCT_TYPES_TL
  • XLA_TAB_ACCT_TYPE_SRCS
  • XLA_TB_BALANCES_GT
  • XLA_TB_DEFINITIONS_B
  • XLA_TB_DEFINITIONS_TL
  • XLA_TB_DEFN_DETAILS
  • XLA_TB_DEFN_JE_SOURCES
  • XLA_TB_DEF_SEG_RANGES
  • XLA_TB_LOGS
  • XLA_TB_USER_TRANS_VIEWS
  • XLA_TB_WORK_UNITS
  • XLA_TPM_WORKING_HDRS_T
  • XLA_TRANSACTION_ACCTS_GT
  • XLA_TRANSACTION_ENTITIES
  • XLA_TRANSFER_LEDGERS
  • XLA_TRANSFER_LOGS
  • XLA_TRIAL_BALANCES
  • XLA_UPGRADE_DATES
  • XLA_UPGRADE_REQUESTS
  • XLA_UPG_BATCHES
  • XLA_UPG_ERRORS
  • XLA_VALIDATION_LINES_GT