| 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_mst_all | Chart of accounts (replicates only to child
				  sites) - used throughout the system | 
 
			  
				| 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 remote notes | 
 
			  
				| euro_parms_mst_all | Euro parameters - used throughout the system | 
 
			  
				| 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 | 
 
			  
				| 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 | 
 
			  
				| 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 | 
 
			  
				| RepChartSp | Multi-site chart copy | 
 
			  
				| TransferNotesToSiteSp | Transfer notes to a remote site |