ana_ledger_mst_all
|
Analytical ledger transactions
|
ana_pertot_mst_all
|
Analytical ledger period total
|
ChangeReportsToCopyChartSp
|
Changes for reporting to different entity
|
ChangeReportsToCopyPeriodSp
|
Changes for reporting to different entity
|
ChangeReportsToCSp
|
Changes for reporting to different entity
|
ChangeReportsToDelPeriodsSp
|
Changes for reporting to different entity
|
ChangeReportsToPSp
|
Changes for reporting to different entity
|
ChangeReportsToSetCurrCodeSp
|
Changes for reporting to different entity
|
ChangeReportsToZSp
|
Changes for reporting to different entity
|
chart_bp_mst_all
|
Budget and plans
|
chart_mst_all
|
Chart of accounts - used throughout the
system
|
chart_unitcd1_mst_all
|
Unit code 1 information on chart of accounts
|
chart_unitcd2_mst_all
|
Unit code 2 information on chart of accounts
|
chart_unitcd3_mst_all
|
Unit code 3 information on chart of accounts
|
chart_unitcd4_mst_all
|
Unit code 4 information on chart of accounts
|
ChartAcctRemoteSp
|
Replicate changes to chart of accounts to
remote sites
|
curr_uk_mst_all
|
Customs and excise exchange rates
|
currate_mst_all
|
Currency rates - used throughout the system
|
currency_mst_all
|
Currency codes (local) - used throughout the
system
|
currparms_mst_all
|
General currency parameters
|
DeleteRemoteNotesSp
|
Delete notes tied to a record at a remote
site
|
euro_parms_mst_all
|
Euro parameters - used throughout the system
|
ExecuteSQLSp
|
|
FinRptLinRmtSiteTransSp
|
Transfer line to remote site
|
FinRptXMLBufCopySp
|
Called from Financial Report Line Copy to
create the complete Financial Statement in the destination site.
|
GLBudgetCommitSp
|
Commits budget by moving tmp_chart_bp_entity
to chart_bp; adds unit codes if they don't exist.
|
GLBudgetConsChartBpUpdateSp
|
Used in budget consolidation
|
GlBudgetDelChartbpSp
|
Delete hierarchy from chart_bp
|
glrptl_mst_all
|
G/L report line
|
journal_mst_all
|
Only used by the Journal Transaction Report.
If you do not need to see Journal records from another site, this is not
needed.
|
ledger_mst_all
|
Ledger transactions
|
LedgerConsolCommitSp
|
Add new transaction records into the entity
ledger (for ledger consolidation). Also insert records into unitcd{1-4} tables
based upon unit codes within ledger rows that are consolidated.
|
LedgerConsolConsolCtaSp
|
Update the CTA account (for ledger
consolidation)
|
LedgerConsolCtaAdjSp
|
Adjust the CTA amount (for ledger
consolidation)
|
LedgerConsolLedgerSp
|
Intermediate step in ledger consolidation
|
LoadReplicatedNotesSp
|
Take a row out of the NotesContentShadow
table and updates the matching system, user, or specific note. If the note does
not exist, it is created.
|
MakeRemoteObjectNotesSp
|
Create an ObjectNotes record at the remote
site. It assumes the system, user, or specific notes records have already been
created.
|
NotesContentShadow
|
System, user, or specific note information
used to populate the appropriate notes record at the remote site.
|
parms_mst_all
|
General parameters - used throughout the
system
|
per_sort_mst_all
|
Period total sort method
|
per_unit_mst_all
|
Unit code combination
|
periods_mst_all
|
Accounting periods - used in many financial
areas
|
PeriodsRemoteDeleteSp
|
Delete accounting periods for a fiscal year
|
PeriodsRemoteSaveSp
|
Add or update accounting periods for a site
|
pertot_mst_all
|
Period total
|
RepChartSp
|
Multi-site chart copy
|
site_hierarchy
|
Site hierarchy
|
tmp_fin_rpt_hdr_c_xml
|
Financial report line copy/update
|
tmp_fin_rpt_hdr_xml
|
Financial report line copy/update
|
tmp_fin_rpt_lin_c_xml
|
Financial report line copy/update
|
tmp_fin_rpt_lin_s_xml
|
Financial report line copy/update
|
tmp_fin_rpt_lin_xml
|
Financial report line copy/update
|
TransferNotesToSiteSp
|
Allow all the notes for a particular row of
a table to be copied to a remote site.
|
unitcd1_mst_all
|
Unit Code 1
|
unitcd2_mst_all
|
Unit Code 2
|
unitcd3_mst_all
|
Unit Code 3
|
unitcd4_mst_all
|
Unit Code 4
|