GL Entries with AP Payments Query in oracle apps
ALso OM to GL http://appserptechnical.blogspot.in/2015/04/o2c-query.html
/* Formatted on 8/19/2015 6:24:14 PM (QP5 v5.240.12305.39446) */
SELECT glp.start_date,
gjh.je_header_id,
gjh.doc_sequence_value voucher_no,
gjh.je_source,
gjh.je_category,
entity_code,
gjh.period_name,
gjh.status,
gjh.actual_flag,
gjh.default_effective_date,
gjl.je_line_num,
gjl.code_combination_id,
gjl.description voucher_desc,
xal.accounted_dr debit,
xal.accounted_cr credit,
gcc.segment1
|| '-'
|| gcc.segment2
|| '-'
|| gcc.segment3
|| '-'
|| gcc.segment4
|| '-'
|| gcc.segment5
|| '-'
|| gcc.segment6
|| '-'
|| gcc.segment7
account_code,
TO_CHAR (aca.check_number) trx_num,
aca.check_date trx_date
FROM gl.gl_je_headers gjh,
gl.gl_je_lines gjl,
gl.gl_code_combinations gcc,
gl.gl_periods glp,
gl.gl_import_references imp,
xla.xla_ae_lines xal,
xla.xla_ae_headers xah,
xla.xla_events xe,
xla.xla_transaction_entities xte,
ap.ap_checks_all aca
WHERE 1 = 1
AND gjh.je_header_id = gjl.je_header_id
AND gjl.status || '' = 'P'
AND gjl.code_combination_id = gcc.code_combination_id
AND gjh.period_name = glp.period_name
AND glp.period_set_name = :p_period_set_name
AND glp.adjustment_period_flag <> 'Y'
AND gjh.je_source = 'Payables'
AND gjl.je_header_id = imp.je_header_id
AND gjl.je_line_num = imp.je_line_num
AND imp.gl_sl_link_id = xal.gl_sl_link_id
AND imp.gl_sl_link_table = xal.gl_sl_link_table
AND xal.application_id = xah.application_id
AND xal.ae_header_id = xah.ae_header_id
AND xah.application_id = xe.application_id
AND xah.event_id = xe.event_id
AND xe.application_id = xte.application_id
AND xte.application_id = 200
AND xe.entity_id = xte.entity_id
AND xte.entity_code = 'AP_PAYMENTS'
AND xte.source_id_int_1 = aca.check_id
AND gjh.default_effective_date BETWEEN :p_period_from_start_date
AND :p_period_to_end_date
AND (gjh.actual_flag = :p_actual_flag OR :p_actual_flag IS NULL)
SELECT glp.start_date,
gjh.je_header_id,
gjh.doc_sequence_value voucher_no,
gjh.je_source,
gjh.je_category,
entity_code,
gjh.period_name,
gjh.status,
gjh.actual_flag,
gjh.default_effective_date,
gjl.je_line_num,
gjl.code_combination_id,
gjl.description voucher_desc,
xal.accounted_dr debit,
xal.accounted_cr credit,
gcc.segment1
|| '-'
|| gcc.segment2
|| '-'
|| gcc.segment3
|| '-'
|| gcc.segment4
|| '-'
|| gcc.segment5
|| '-'
|| gcc.segment6
|| '-'
|| gcc.segment7
account_code,
TO_CHAR (aca.check_number) trx_num,
aca.check_date trx_date
FROM gl.gl_je_headers gjh,
gl.gl_je_lines gjl,
gl.gl_code_combinations gcc,
gl.gl_periods glp,
gl.gl_import_references imp,
xla.xla_ae_lines xal,
xla.xla_ae_headers xah,
xla.xla_events xe,
xla.xla_transaction_entities xte,
ap.ap_checks_all aca
WHERE 1 = 1
AND gjh.je_header_id = gjl.je_header_id
AND gjl.status || '' = 'P'
AND gjl.code_combination_id = gcc.code_combination_id
AND gjh.period_name = glp.period_name
AND glp.period_set_name = :p_period_set_name
AND glp.adjustment_period_flag <> 'Y'
AND gjh.je_source = 'Payables'
AND gjl.je_header_id = imp.je_header_id
AND gjl.je_line_num = imp.je_line_num
AND imp.gl_sl_link_id = xal.gl_sl_link_id
AND imp.gl_sl_link_table = xal.gl_sl_link_table
AND xal.application_id = xah.application_id
AND xal.ae_header_id = xah.ae_header_id
AND xah.application_id = xe.application_id
AND xah.event_id = xe.event_id
AND xe.application_id = xte.application_id
AND xte.application_id = 200
AND xe.entity_id = xte.entity_id
AND xte.entity_code = 'AP_PAYMENTS'
AND xte.source_id_int_1 = aca.check_id
AND gjh.default_effective_date BETWEEN :p_period_from_start_date
AND :p_period_to_end_date
AND (gjh.actual_flag = :p_actual_flag OR :p_actual_flag IS NULL)
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