FSM_CB_ST

This table lists the delivered replication classes for FSM_CB_ST.

Business class Replicate field name
CashForecast ActiveTimestamp
ApprovalCode
ApprovalLevel
Approver
ApproverTeam
ApproverTeamFinanceTeam
AwaitingApprovalTimestamp
BuildForecastTimestamp
CashForecast
CashForecastKey
CashForecast_CreateStamp
CashForecast_UpdateStamp
CashManagementGroup
FinanceEnterpriseGroup
ClosedTimestamp
Description
ForecastCreationParameter
ForecastCreationParameterActualDateRangeBegin
ForecastCreationParameterActualDateRangeEnd
ForecastCreationParameterCalculationAdjustment
ForecastCreationParameterCalculationMethod
ForecastCreationParameterDayOfMonth
ForecastCreationParameterDayOfWeek
ForecastCreationParameterDebtInstrument
ForecastCreationParameterEnteredCalculationOption
ForecastCreationParameterForecastAmount
ForecastCreationParameterForecastCalculation
ForecastCreationParameterForecastDateArrayForecastDate1
ForecastCreationParameterForecastDateArrayForecastDate2
ForecastCreationParameterForecastDateArrayForecastDate3
ForecastCreationParameterForecastDateArrayForecastDate4
ForecastCreationParameterForecastDateRangeBegin
ForecastCreationParameterForecastDateRangeEnd
ForecastCreationParameterForecastDebtComponent
ForecastCreationParameterHistoricalCalculationOption
ForecastCreationParameterScheduledCalculationOption
ForecastDateRange
ForecastDateRangeBegin
ForecastDateRangeEnd
IncludeCategories
IncludeOperatingAccounts
ReassignToApprovalLevel
Rejected
Status
UniqueID
CreateStamp
UpdateStamp
CashForecastAccount AccountType
CashForecast
CashForecastKey
CashForecastAccount
CashForecastAccountKey
CashForecastAccountCashManagementAccount
FinancialInstitutionKey
FinancialInstitutionBranchKey
CashForecastAccount_CreateStamp
CashForecastAccount_UpdateStamp
CashManagementGroup
FinanceEnterpriseGroup
CorporateBaseCurrencyRate
ForecastCalendar
ForecastCalendarKey
LocationCurrencyRate
NumberOfCalendarDays
NumberOfCalendarMonths
NumberOfCalendarWeeks
UniqueID
CreateStamp
UpdateStamp
CashForecastCategory CashForecast
CashForecastKey
CashForecastCategory
CashForecastCategoryKey
CashForecastCategoryCashTransactionCategory
CashForecastCategory_CreateStamp
CashForecastCategory_HasNoChildren
CashForecastCategory_UpdateStamp
CashManagementGroup
FinanceEnterpriseGroup
Comments
CreatedFromStatementLine
DisplayOrder
ForecastCreationParameter
ForecastCreationParameterActualDateRangeBegin
ForecastCreationParameterActualDateRangeEnd
ForecastCreationParameterCalculationAdjustment
ForecastCreationParameterCalculationMethod
ForecastCreationParameterDayOfMonth
ForecastCreationParameterDayOfWeek
ForecastCreationParameterDebtInstrument
ForecastCreationParameterEnteredCalculationOption
ForecastCreationParameterForecastAmount
ForecastCreationParameterForecastCalculation
ForecastCreationParameterForecastDateArrayForecastDate1
ForecastCreationParameterForecastDateArrayForecastDate2
ForecastCreationParameterForecastDateArrayForecastDate3
ForecastCreationParameterForecastDateArrayForecastDate4
ForecastCreationParameterForecastDateRangeBegin
ForecastCreationParameterForecastDateRangeEnd
ForecastCreationParameterForecastDebtComponent
ForecastCreationParameterHistoricalCalculationOption
ForecastCreationParameterScheduledCalculationOption
IsSummaryLevel
ParentForecastCategory
ParentForecastCategoryKey
ParentForecastCategoryCashTransactionCategory
UniqueID
CreateStamp
UpdateStamp
CashForecastPeriod BankDayNumber
CashForecast
CashForecastKey
CashForecastAccount
CashForecastAccountKey
CashForecastAccountCashManagementAccount
CashForecastPeriod
CashForecastPeriodKey
CashForecastPeriod_CreateStamp
CashForecastPeriod_UpdateStamp
CashManagementGroup
FinanceEnterpriseGroup
CreatedByStatement
UniqueID
CreateStamp
UpdateStamp
CashForecastPeriodAmount ActualAmount
AdjustmentAmount
CashForecast
CashForecastKey
CashForecastActivationDateTime
CashForecastBuildDateTime
CashForecastClosedDateTime
CashForecastCreatedDate
CashForecastAccount
CashForecastAccountKey
CashForecastAccountCashManagementAccount
CashManagementAccountKey
CashManagementLocationKey
CashManagementAccountCashManagementLocationCurrency
CashManagementAccountCurrency
FinancialInstitutionKey
FinancialInstitutionBranchKey
LegalEntity
CashManagementAccountOpenDate
SendingFinancialInstitutionKey
SendingFinancialInstitutionBranchKey
CorporateBaseCurrencyRate
CashForecastAccountLocationCurrencyRate
CashForecastCategory
CashForecastCategoryKey
CashForecastCategoryCashTransactionCategory
CashTransactionCategoryKey
CashForecastPeriod
CashForecastPeriodKey
CashForecastPeriodAmount
CashForecastPeriodAmountKey
LineAmount
LineCurrency
CashForecastPeriodAmount_CreateStamp
CashForecastPeriodAmount_UpdateStamp
CashManagementGroup
CashManagementGroupCurrency
FinanceEnterpriseGroup
Comment
CorporateBaseAmount
CreatedByStatement
DerivedActualAmount
ForecastAmount
LocationAmount
MonthlyPublishedCorporateBaseAmount
MonthlyPublishedForecastAmount
MonthlyPublishedLocationAmount
MonthlyPublishedVarianceAmount
OriginalCorporateBaseAmount
OriginalForecastAmount
OriginalLocationAmount
OriginalVarianceAmount
ReconciledToStatement
UniqueID
VarianceAmount
WeeklyPublishedCorporateBaseAmount
WeeklyPublishedForecastAmount
WeeklyPublishedLocationAmount
WeeklyPublishedVarianceAmount
YTDActualChange
CreateStamp
UpdateStamp
CashManagementGroup ApprovalCodesNotUsedForBankStatementDist
ApprovalCodesNotUsedForCashForecasts
ApprovalCodesNotUsedForCashTransactions
ApprovalCodesNotUsedForEFTTransactions
ApprovalCodesNotUsedForPayments
ApprovalCodesNotUsedForReceipts
ApprovalCodesNotUsedForVoidStopPayments
ApprovalCodesNotUsedForWireTransfers
AutoReferenceNumberByBankTransactionCode
AutoReferenceNumberByCashCode
AutoReferenceNumberByCashCodeBankTranCode
AutoReferenceNumberByCompany
AutoReferenceNumberForEFTForm
AutoReferenceNumberForPaymentForm
AutoTranNumberByBankTransactionCode
AutoTranNumberByCashCode
AutoTranNumberByCashCodeBankTranCode
AutoTranNumberByCompany
AutoTranNumberForReceiptForm
AutoTranNumberForReturnedPaymentForm
AutoTranNumberForTransactionForm
AutomaticBankStatementImport
BankInterfaceAdministrator
BankStatementDistribApprovalRequired
CashForecastApprovalRequired
CashLedgerEFTApprovalRequired
CashLedgerPaymentApprovalRequired
CashLedgerReceiptApprovalRequired
CashLedgerTransactionApprovalRequired
CashManagementGroup
CashManagementGroupKey
FinanceEnterpriseGroup
CashManagementGroup_CreateStamp
CashManagementGroup_UpdateStamp
CorporateCalendar
Currency
DebtInstrumentApprovalRequired
Description
DirectForecastProcesses
DirectForecastProcessesCompleted
DisplayStatementCurrencyGainLossLine
FTPConfiguration
IntradayStatementProcessing
LastCashLedgerTransactionIdentifier
LastDirectForecastLoad
LastErrorRunGroupNumber
LogoImageMaximumSize
LogoImageUOM
NumberOfCategorizationGroups
RejectCashForecastReasonCodeRequired
RejectCashLedgerEFTReasonCodeRequired
RejectCashLedgerPaymentReasonCodeRequired
RejectCashLedgerReceiptReasonCodeRequired
RejectLedgerTransactionReasonCodeRequired
RejectStatementDistribReasonCodeRequired
RejectVoidStopPaymentReasonCodeRequired
RejectWireTransferReasonCodeRequired
ReportingBasis
ShowDiscountedAmount
StatementCurrencyGainLossCategory
UniqueID
ValidateImportedBankStatementBalance
VoidStopPaymentApprovalRequired
WireTransferApprovalRequired
CreateStamp
UpdateStamp
CashManagementLocation Active
CashManagementGroup
FinanceEnterpriseGroup
CashManagementLocation
CashManagementLocationKey
CashManagementLocation_CreateStamp
CashManagementLocation_HasNoChildren
CashManagementLocation_UpdateStamp
Currency
Description
HasChild
ParentCashLocation
ParentCashLocationKey
UniqueID
CreateStamp
UpdateStamp
CashTransactionCategory Active
AlwaysReconcile
CashAllocationCode
CashManagementGroup
FinanceEnterpriseGroup
CashTransactionCategory
CashTransactionCategoryKey
CashTransactionCategory_CreateStamp
CashTransactionCategory_HasNoChildren
CashTransactionCategory_UpdateStamp
CategoryAccount
CategoryAccountKey
CategoryAccountAccountingUnit
CategoryAccountFinanceDimension1
CategoryAccountFinanceDimension10
CategoryAccountFinanceDimension2
CategoryAccountFinanceDimension3
CategoryAccountFinanceDimension4
CategoryAccountFinanceDimension5
CategoryAccountFinanceDimension6
CategoryAccountFinanceDimension7
CategoryAccountFinanceDimension8
CategoryAccountFinanceDimension9
CategoryAccountGeneralLedgerChartAccount
CategoryAccountLedger
CategoryAccountProject
CategoryAccountToAccountingEntity
Description
NaturalBalance
OverrideEventCode
ParentTransactionCategory
ParentTransactionCategoryKey
PostingCashCode
PostingCashCodeKey
ReconciliationToleranceAmount
ReconciliationTolerancePercent
RequireBankStatementLineDetail
StatementLinePostingOption
UncategorizedCategory
UncategorizedCategoryKey
UniqueID
UsedByATransaction
CreateStamp
UpdateStamp
FinancialInstitutionBranch Active
Address
AddressCountry
AddressCounty
AddressDeliveryAddressAddressLine1
AddressDeliveryAddressAddressLine2
AddressDeliveryAddressAddressLine3
AddressDeliveryAddressAddressLine4
AddressGeoAltitude
AddressGeoLatitude
AddressGeoLongitude
AddressMunicipality
AddressPostalCode
AddressRegion
AddressStateProvince
AddressType
Address2
Address2Country
Address2County
Address2DeliveryAddressAddressLine1
Address2DeliveryAddressAddressLine2
Address2DeliveryAddressAddressLine3
Address2DeliveryAddressAddressLine4
Address2GeoAltitude
Address2GeoLatitude
Address2GeoLongitude
Address2Municipality
Address2PostalCode
Address2Region
Address2StateProvince
Address2Type
AuthorizationID
BankClientIdentifier
BranchIdentifier
BranchSwift
BranchType
CashManagementGroup
FinanceEnterpriseGroup
CheckRoutingNumber
ClearingSystemMemberID
Description
FinancialInstitution
FinancialInstitutionKey
FinancialInstitutionBranch
FinancialInstitutionBranchKey
FinancialInstitutionBranch_CreateStamp
FinancialInstitutionBranch_UpdateStamp
Logo
LogoMimeType
LogoTitle
RoutingNumber
SWIFTCharge
UniqueID
WireRoutingNumber
CreateStamp
UpdateStamp
BankStatementLine ActualBankDayNumber
CashForecastKey
CashForecastAccountKey
CashForecastCategoryKey
CashForecastPeriodKey
CashForecastPeriodAmountKey
AlphaLineNumber
BankReference
BankStatement
BankStatementKey
BankStatementInterface
BankStatementInterfaceHeader
BankStatementLine
BankStatementLineKey
BankStatementLineLineNumber
BankStatementLineSequenceNumber
BankStatementLine_CreateStamp
BankStatementLine_UpdateStamp
BankStatementTotalKey
BankTransactionCode
BaseTotalDistributionAmount
BudgetEditProcessing
CashLedgerPostingDate
CashManagementAccount
CashManagementAccountKey
CashManagementLocationKey
FinancialInstitutionBranchKey
LegalEntity
CashManagementAccountOpenDate
SendingFinancialInstitutionKey
SendingFinancialInstitutionBranchKey
CashManagementGroup
FinanceEnterpriseGroup
CashPositionTarget
CashTransactionCategory
CashTransactionCategoryKey
CashTransactionIdentifier
CashTransactionIdentifierType
CashTransactionProcessingRule
CashTransactionProcessingRuleGroup
CategorizationGroup
Comment
CompanyCurrencyAmount
CompanyCurrencyNetActivity
CorporateBaseAmount
CorporateBaseNetActivity
CreatedCashLedgerSourceRecord
CreatedCashLedgerTransaction
CurrencyGainLossLine
DebitCreditIndicator
DefaultTransactionCode
DerivedLineNumber
Description
FinancialInstitution
FinancialInstitutionKey
FundsCode
HasLineException
LastSequenceNumber
LineAmount
LineAmountDifference
LineCurrency
LineDistributionAmount
LineStatus
LocationCurrencyAmount
LocationCurrencyNetActivity
ManuallyCreatedForImportedStatement
NetActivity
NumLinesByReconciledStatus
OffsetDistributionCreated
OldLineAmount
OneDayFloat
OriginalLineAmount
OutOfBalanceAmount
PendingReconcileDate
ReclassificationChangedCategory
ReconSummaryRecord
ReconciledStatusField
ReconciliationIdentifier
RelatedReference
RevalueAmount
RevalueDate
StatementDate
StatementIntraday
StatementLinePostingOption
TextReference
TransactionDate
TransactionNumber
TransactionType
TwoOrMoreDaysFloat
UniqueID
ValueDate
ZeroDayFloat
CreateStamp
UpdateStamp
BankStatementTotal AccountAvailableBalance
AccountBeginningBalance
AccountCurrency
AccountDailyActivityTotal
AccountEndingBalance
AccountTransactionAmount
BankStatementTotal
BankStatementTotalKey
BankStatementTotalCashManagementAccount
CashManagementAccountKey
FinancialInstitutionBranchKey
CashManagementAccountOpenDate
SendingFinancialInstitutionKey
SendingFinancialInstitutionBranchKey
BankStatementTotalCashTransactionCategory
CashTransactionCategoryKey
BankStatementTotalCashTransactionCategoryNaturalBalance
BankStatementTotalFinancialPeriodDate
LegalEntity
BankStatementTotal_CreateStamp
BankStatementTotal_UpdateStamp
BaseAvailableBalance
BaseBeginningBalance
BaseCurrency
BaseDailyActivityTotal
BaseEndingBalance
BaseExchangeRate
BaseTargetBalance
BaseTransactionAmount
CashManagementGroup
FinanceEnterpriseGroup
CashManagementLocation
CashManagementLocationKey
CloseYearBeginDate
CompanyAvailableBalance
CompanyBeginningBalance
CompanyCurrency
CompanyDailyActivityTotal
CompanyEndingBalance
CompanyExchangeRate
CompanyTransactionAmount
CorporateBaseDisbursements
CorporateBaseNetActivity
CorporateBaseReceipts
CurrentDate
CurrentPeriod
CurrentYear
FinancialInstitution
FinancialInstitutionKey
FinancialPeriod
FinancialYear
LastUpdatedTimeStamp
LocationAvailableBalance
LocationBeginningBalance
LocationCurrency
LocationDailyActivityTotal
LocationEndingBalance
LocationExchangeRate
LocationTransactionAmount
MultiplyBaseCurrencyRate
MultiplyCompanyCurrencyRate
MultiplyLocationCurrencyRate
TransactionType
UniqueID
CreateStamp
UpdateStamp
CashManagementAccount AccountRestriction
AccountRestrictionDescription
AccountType
Active
AllowLineCreationOnImportedStatements
AllowOneSidedReconciliations
ApprovalCode
AutoReconcileStatementLines
AutoReleaseCashLedgerTransactions
BAIFundsTypeVOffset
BackgroundGroupAsyncId
BackofficeIntegration
BankAccountValidationType
BankClientIdentifier
BankReconciliationMatchRuleGroup
BeginningAccountBalance
CashCode
CashLedgerTransactionNumbering
CashManagementAccount
CashManagementAccountKey
CashManagementAccount_CreateStamp
CashManagementAccount_UpdateStamp
CashManagementGroup
FinanceEnterpriseGroup
CashManagementLocation
CashManagementLocationKey
CashPositionTarget
CashTransactionProcessingRuleGroup
ChecksIssued
CloseDate
CompletedReconLoadProcesses
ConsolidateDetailAndRemittance
CreditTransactionCode
Currency
CurrencyNumberOfDecimals
CurrentReconMatchNumber
DebitTransactionCode
DefaultCategory
DefaultJournalDescription
Description
Duration
ElectronicFileTransmission
FTPConfiguration
FTPDetailFile
FTPHeaderFile
FTPRemittanceFile
FinancialInstitution
FinancialInstitutionKey
FinancialInstitutionBranch
FinancialInstitutionBranchKey
FundingStructure
GLAccount
Image
ImportAccountNumber
ImportNotification
InternationalBankAccountNumber
LegalEntity
ListOverListManualReconView
NoBankStatementsExpected
OpenDate
ReconVariancePostingAccount
ReconcileToCashLedger
ReconcileToForecast
ReconcileToOtherSystem
ReconciliationMethod
ReconciliationToleranceAmount
ReconciliationTolerancePercent
ReportingBasis
SendingFinancialInstitution
SendingFinancialInstitutionKey
SendingFinancialInstitutionDescription
SendingFinancialInstitutionBranch
SendingFinancialInstitutionBranchKey
SendingFinancialInstitutionBranchDescription
Sepa
StatementLineClassification
SwiftID
Title
UniqueID
WriteCSVHeader
CreateStamp
UpdateStamp
FinancialInstitution Active
CashManagementGroup
FinanceEnterpriseGroup
Description
FinancialInstitution
FinancialInstitutionKey
FinancialInstitutionURL
FinancialInstitution_CreateStamp
FinancialInstitution_UpdateStamp
Logo
UniqueID
CreateStamp
UpdateStamp
BankStatement AccumulatedBaseGainLoss
AccumulatedCompanyGainLoss
AccumulatedLineAmount
AccumulatedLocationGainLoss
ApprovalCode
ApprovalLevel
Approver
ApproverTeam
BackgroundGroupAsyncId
BankStatement
BankStatementKey
BankStatementInterfaceHeader
Create_stamp
Update_stamp
CashManagementAccount
CashManagementAccountKey
CashManagementLocationKey
CashManagementAccountCashPositionTarget
FinancialInstitutionKey
FinancialInstitutionBranchKey
LegalEntity
LegalEntityKey
CashManagementAccountOpenDate
SendingFinancialInstitutionKey
SendingFinancialInstitutionBranchKey
CashManagementGroup
FinanceEnterpriseGroup
CategorizationGroupsProcessed
ClosingAvailable
ClosingLedger
CompanyCurrencyEndingBalance
CompanyCurrencyEndingBalanceEnteredCurrencyAmount
CompanyCurrencyEndingBalanceEnteredCurrencyRate
CompanyCurrencyEndingBalanceToCurrency
CompletedReconLoadProcesses
ContextBankStatement
CorporateBaseEndingBalance
CorporateBaseEndingBalanceEnteredCurrencyAmount
CorporateBaseEndingBalanceEnteredCurrencyRate
CorporateBaseEndingBalanceToCurrency
CurrentReconMatchNumber
EndingBalance
ExchangeDate
GLCompany
LastBankStatementLine
LineAmountTotal
LocationCurrencyEndingBalance
LocationCurrencyEndingBalanceEnteredCurrencyAmount
LocationCurrencyEndingBalanceEnteredCurrencyRate
LocationCurrencyEndingBalanceToCurrency
MultiplyBaseCurrencyRate
MultiplyCompanyCurrencyRate
MultiplyLocationCurrencyRate
OneDayFloat
OpeningAvailable
OpeningLedger
PositionStatus
PostingStatus
ReassignToApprovalLevel
ReferenceNumber
StatementCurrency
StatementDate
StatementStatus
StatementType
ThreeOrMoreDaysFloat
TwoOrMoreDaysFloat
UniqueID
CreateStamp
UpdateStamp
CashLedgerGLDistribution AtnObjId
BaseCurrencyNumberOfDecimals
CashCode
CashCodeKey
CashLedgerGLDistribution
CashLedgerGLDistributionKey
CashLedgerSourceRecord
CashLedgerStatement
CashManagementGroup
Company
CompanyAccountingEntity
Description
DistributionToBankAmount
GLBaseAmount
GLFinanceCodeBlock
GLJournalizeGroup
GLTransactionAmount
GeneralLedgerSourceCode
GltObjId
JournalEntryTransactionObjID
PostDate
RecordType
Reference
Status
TaxBankAmount
TaxBaseAmount
TaxCode
TaxCodeKey
TaxType
TaxableBankAmount
ToBaseCurrencyNumberOfDecimals
ToTransactionCurrencyNumberOfDecimals
TransactionCurrencyNumberOfDecimals
TransactionNumber
TransactionNumberSuffix
FromCurrency
UniqueID
CreateStamp
UpdateStamp
CashLedgerReconciliationAdjustment AppliedDistributionBankAmount
AppliedDistributionBaseAmount
BankTransactionCode
BudgetEditProcessing
CashCode
CashLedgerReconciliationAdjustment
CashLedgerSourceRecord
CashLedgerStatement
CashManagementAccount
CashManagementGroup
CommentText
Company
CurrencyTable
IssuedBankAmount
IssuedBaseAmount
JournalBook
PostDate
ReconciliationData
Status
TransactionNumber
TransactionNumberSuffix
UniqueID
CreateStamp
UpdateStamp
CashLedgerTransaction AccountingEntity
AmendedDistributions
AppliedDistributionBankAmount
AppliedDistributionBaseAmount
ApprovalCode
ApprovalLevel
ApprovalRequestType
Approver
ApproverTeam
BankAccountCurrencyExchangeRate
BankAccountCurrencyNumberOfDecimals
BankReconciliationStatus
BankTransactionCode
BankTransactionSign
BankTransactionType
BaseCurrencyNumberOfDecimals
BudgetEditProcessing
CashCode
CashCodeKey
CashLedgerMassReleaseResult
CashLedgerProcessLevel
CashLedgerSourceRecord
CashLedgerStatement
CashLedgerTransaction
CashLedgerTransactionKey
CashLedgerTransactionIdentifier
Bod_id
CashManagementAccount
CashManagementAccountKey
CashManagementGroup
CommentText
Company
CompanyCustomer
CreatedFromBankStatement
CreatedFromBankStatementLine
CreatedUser
Currency
CurrencyTable
DerivedPlainTextComment
Description
DistribUserFieldsSearch
Employee
EscheatmentOutputFileHeader
EscheatmentProcessingStatus
GeneralLedgerEvent
GeneralLedgerPostDate
GlobalBankAccountType
ImportErrorMessage
ImportInProcess
ImportStatus
IssueDate
IssueTranAmt
IssuedBankAmount
IssuedBaseAmount
JournalBook
JournalBookSequenceNumber
LastDistributionSequence
LastElectronicPaymentSerialNumber
LastMaintenanceDate
LastUpdateDate
LastUpdateUser
OriginatingImportRun
PayGroup
PayablesCompanyVendorProcLevel
PayablesProcessLevelKey
PayeeFirstName
PayeeMiddleName
PayeeName
PeriodDate
ReassignToApprovalLevel
ReceivablesCompanyProcessLevel
ReconciliationData
ReconciliationStatementDescription
ReconciliationStatementLineNumber
ReconciliationStatementNumber
ReconciliationStatementSuffix
ReconciliationStatementTransactionNumber
Reference
ReinstateStatus
Source
SourceCode
StaleDate
StaleDateAccount
StaleDateOutputFileHeader
StaleDateProcessingStatus
StatementStatus
Status
SummaryOption
TaxInterface
TransactionCurrencyNumberOfDecimals
TransactionData1
TransactionData2
TransactionData3
TransactionData4
TransactionIdentifierSequenceNumber
TransactionNumber
TransactionNumberSuffix
Type
UniqueID
VoidStopPayAttachment
WriteOffProcessed
CreateStamp
UpdateStamp
CashLedgerFundTransferDetail BankExpenseAccount
BankExpenseData
BankTransactionCode
CashCode
CashLedgerFundTransferDetail
CashLedgerFundTransferHeader
CashManagementGroup
CurrencyTable
DetailBankAmount
DetailBaseAmount
DetailCompany
HeaderAmountData
JournalBook
UniqueID
CreateStamp
UpdateStamp
CashLedgerFundTransferHeader AppliedBankAmount
AppliedBaseAmount
BankExpenseAccount
BankExpenseData
BankTransactionCode
BudgetEditProcessing
CashCode
CashLedgerFundTransferHeader
CashLedgerMassReleaseResult
CashManagementGroup
Company
CurrencyTable
Description
JournalBook
JournalBookSequenceNumber
PostDate
Status
TransferBankAmount
TransferBaseAmount
TransferDate
TransferType
UniqueID
CreateStamp
UpdateStamp
CashLedgerCashReceiptDetail CashCategory
CashCode
CashLedgerCashReceiptDetail
CashLedgerCashReceiptHeader
CashManagementGroup
ContractRebateGroup
Description
ReceiptAccount
ReceiptBankAmount
ReceiptBaseAmount
ReceiptCompany
ReceiptDistributionAmount
Reference
TaxAmountData
TaxCode
TaxDistributionAmount
TaxRate
TaxableData
TaxableDistributionAmount
UniqueID
CreateStamp
UpdateStamp
CashLedgerCashReceiptHeader AppliedBankAmount
AppliedBaseAmount
ApprovalCategory
ApprovalCode
ApprovalCostCenter
ApprovalLevel
Approver
ApproverTeam
BaseAmount
BaseCurrencyNumberOfDecimals
BudgetEditProcessing
CashCode
CashLedgerBatchApproval
CashLedgerCashReceiptHeader
Bod_id
CashLedgerMassReleaseResult
CashLedgerStatement
CashManagementGroup
CashProcessLevel
CommentText
Company
Currency
CurrencyTable
DepositAmount
DepositDate
Description
GeneralLedgerSourceCode
ImportInProcess
JournalBook
JournalBookSequenceNumber
LastDistributionSequence
NumberOfFinancialInstruments
OriginatingImportRun
PostDate
ReassignToApprovalLevel
ReceiptAttachment
Status
TransactionCurrencyNumberOfDecimals
TransactionData1
TransactionData2
TransactionData3
TransactionData4
TransactionType
UniqueID
CreateStamp
UpdateStamp
CashLedgerPayment AccountingEntity
ACHPrenotification
ApprovalCategory
ApprovalCode
ApprovalCostCenter
ApprovalLevel
Approver
ApproverTeam
BACSBankAccountName
BACSBankAccountReference
BankAccountCurrencyNumberOfDecimals
BankAccountNumber
BankAccountType
BankAccountValidationType
BankAmount
BankBaseAmount
BankCheckAmount
BankCurrency
BankEntity
BankName
BankPostalAddress
BankToBankInformation
BaseCurrencyNumberOfDecimals
BaseNetPaymentAmount
BudgetEditProcessing
CashCode
CashCodeKey
CashLedgerBatchApproval
CashLedgerChargeCode
CashLedgerMassReleaseResult
CashLedgerPayment
CashLedgerPaymentKey
BankTransactionCodeKey
CashLedgerPaymentForm
CashLedgerTransactionIdentifier
CashManagementAccount
CashManagementAccountKey
CashManagementGroup
CashRequirementsResult
CommentText
CompanyBaseData
CrossBorderIdentifier
Currency
CurrencyKey
CurrencyTable
DerivedPlainTextComment
Description
DistribUserFieldsSearch
ElectronicPaymentCode
FirstPartyReference
ForeignEconomicRegulatoryCode
GeneralLedgerSourceCode
GeneralLedgerSourceCodeKey
GlobalBankAccountType
ImportInProcess
IntermediaryBankEntity
IntermediaryBankName
IntermediaryBankPostalAddress
IntermediaryCrossBorderIdentifier
IntermediarySwiftID
JournalBook
JournalBookSequenceNumber
LanguageCode
LastDistributionSequence
MailingName
NormalOrExpressCode
OriginatingImportRun
PayTaxExempt
PayablesData
VendorKey
PayablesProcessGroup
PayeeFirstName
PayeeMiddleName
PayeeName
PayeePostalAddress
PaymentAttachment
PaymentCategoryCode
PaymentDate
PaymentProcessingHold
PostDate
ProcessLevel
PayablesProcessLevelKey
ReassignToApprovalLevel
Reference
ReissueOriginalIdentifier
ReissueOriginalReference
RemittanceComment
ReportableIncomeAmount
ReportableIncomeObjectID
SecondPartyReference
Status
SwiftID
TaxExempt
TaxID
TaxIDType
TaxInterface
TemporaryHold
TransactionData1
TransactionData2
TransactionData3
TransactionData4
TransactionNumber
UniqueID
VoidDate
YearPaid
CreateStamp
UpdateStamp
BankAccountBalance BankAccountBalance
BankPeriodBeginningDate
BankPeriodCreditTransactionCount
BankPeriodDebitTransactionCount
BeginningBalance
CashCode
CashManagementGroup
CreditBalance
DebitBalance
EndingBalance
TransactionBalance
UniqueID
CreateStamp
UpdateStamp
CashLedgerElectronicFundsTransferTransaction ACHPrenotification
ApprovalCategory
ApprovalCode
ApprovalCostCenter
ApprovalLevel
Approver
ApproverTeam
BankAccountCurrencyNumberOfDecimals
BankAccountNumber
BankAccountValidationType
BankEntity
BankName
BankPostalAddress
BaseCurrencyNumberOfDecimals
BudgetEditProcessing
CashCode
CashLedgerBatchApproval
CashLedgerElectronicFundsTransferTransaction
CashLedgerMassReleaseResult
CashLedgerTransactionIdentifier
CashManagementAccount
CashManagementGroup
CommentText
Company
ConfirmationNumber
CrossBorderIdentifier
Currency
CurrencyTable
CustomerName
CustomerPostalAddress
Description
EFTProcessingHold
EFTTransferAttachment
ElectronicFundsTransferBaseAmount
ElectronicFundsTransferDepositDate
ElectronicPaymentCode
FirstPartyReference
GeneralLedgerSourceCode
ImportInProcess
JournalBook
JournalBookSequenceNumber
LastDistributionSequence
OriginatingImportRun
ReassignToApprovalLevel
ReceiptAmount
ReceiptBaseAmount
Reference
SecondPartyReference
Status
SwiftID
TaxInterfaced
TransactionData1
TransactionData2
TransactionData3
TransactionData4
TransactionDate
TransactionIdentifierSequenceNumber
TransactionNumber
TransactionType
UniqueID
VoidDate
CreateStamp
UpdateStamp
CashLedgerReturnedPayment BankAccountDepositAmount
BankAccountReturnAmount
BankExpenseAccount
BankExpenseData
BaseCurrencyNumberOfDecimals
BudgetEditProcessing
CashCode
CashLedgerMassReleaseResult
CashLedgerReturnedPayment
CashLedgerStatement
CashManagementAccount
CashManagementGroup
Company
CompanyReturnAmount
Currency
CurrencyTable
DepositDate
DepositJournalBook
DepositJournalBookSequence
DepositNumber
DepositTransactionID
DepositType
Description
ElectronicFundsTransferNumber
GeneralLedgerSourceCode
ImportInProcess
LastDistributionSequence
OriginalDepositBankTransactionCode
OriginatingImportRun
PostDate
ReturnDate
Status
ToCompanyReturnAmount
TransactionCurrencyNumberOfDecimals
TransactionData1
TransactionData2
TransactionData3
TransactionData4
TransactionNumber
UniqueID
CreateStamp
UpdateStamp
CashLedgerReconciliationStatement BankAccountNumber
BankTransactionCode
CashCode
CashLedgerReconciliationStatement
CashManagementGroup
Description
FinancialInstitution
FinancialInstitutionBranch
Function
LastMaintenanceDate
Operator
ReconciliationAmount
ReconciliationBalance
ReconciliationDate
RecordType
Status
TransactionNumber
TransactionUserField1
TransactionUserField2
TransactionUserField3
TransactionUserField4
UniqueID
CreateStamp
UpdateStamp
CashCode Active
AllowReconciliationForVoidStopPaid
ApprovalCode
AutoTransactionNumbering
BankAccountNumber
CashManagementAccountKey
BankAccountValidationType
CancelRejectedPayments
CashCode
CashCodeKey
Bod_id
Create_stamp
Update_stamp
CashLedgerStatement
CashLedgerUserClass
CashManagementGroup
CreatedUser
Currency
CurrencyNumberOfDecimals
CurrentReconciledBalance
DefaultPostCompany
Description
EditAvailableFunds
EnforceDateEditOnVoidStopPaid
FinancialInstitution
FinancialInstitutionBranch
JournalBook
LastElectronicPaymentSerialNumber
LastEndingBalance
LastUpdateDate
LastUpdateUser
NewCashLedgerPaymentForVoid
NewEFTTransactionForVoid
PayableBillOfExhange
ReceivableBillOfExhangeciledBalance
ReconciliationStatement
RestrictedFunds
ReturnOnInvestmentRate
SendingFinancialInstitution
SendingFinancialInstitutionBranch
Sepa
SingleOpenStatement
StopPayBankConfirmRequired
SummarizeLedgerBalances
SwiftID
UniqueID
UnreconciledBalance
UseBankCurrencyForPaymentPosting
UsedByATransaction
UsedFlag
CreateStamp
UpdateStamp
BankStatementReconciliation BankReconciliationMatchRule
BankReconciliationMatchRuleKey
BankReference
BankStatement
BankStatementKey
BankStatementInterfaceHeader
BankStatementInterfaceHeaderKey
BankStatementLine
BankStatementLineKey
BankStatementLineDetail
BankStatementLineDetailKey
BankStatementReconciliation
BankStatementReconciliationKey
BankStatementReconciliation_HasNoChildren
BankTransactionCode
BankTransactionCodeKey
CashCode
CashCodeKey
CashLedgerSourceRecord
CashLedgerTransaction
CashLedgerTransactionKey
CashLedgerTransactionIdentifier
CashManagementAccount
CashManagementAccountKey
CashManagementGroup
CashManagementGroupKey
CashTransactionCategory
CashTransactionCategoryKey
Comment
CreatedFromBankStatement
CreatedFromBankStatementLine
DebitCreditIndicator
Description
Function
LineMatchField
LineStatus
LineType
MatchedActor
MatchedActorKey
MatchedDate
MatchedManually
NonCashLedgerTransaction
NonCashLedgerTransactionKey
NumberOfMatchedStatementLines
NumberOfMatchedSystemLines
PendingStatementLine
PostStatementLine
PostingPeriod
PostingYear
ReconMatchNumber
ReconMatchNumberKey
ReconcileByAmount
ReconciledAmount
Reference
RelatedCashForecastDetail
RelatedReference
SecondaryReconTransaction
SecondaryReconciledAmount
SelectedForReconciliation
SignedAmount
SummaryIncludesReconDiff
SummaryRecord
SystemCode
SystemCodeKey
TextReference
TransactionAmount
TransactionDataFour
TransactionDataOne
TransactionDataThree
TransactionDataTwo
TransactionDate
TransactionNumber
TransactionType
TransactionTypeKey
Type
UniqueID
CreateStamp
UpdateStamp
BankTransactionCode Active
AllowNegativeReceipts
AutoTransactionNumbering
AutomaticReconciliation
BankTransactionCode
BankTransactionCodeKey
BankTransactionType
CashManagementGroup
Description
ElectronicAlternateTransactionCode
ElectronicPaymentFormat
ElectronicPaymentInstruction1
ElectronicPaymentInstruction2
ElectronicPaymentOrganizationIdentifier
ElectronicPaymentUserField1
ElectronicPaymentUserField2
ElectronicPrenotification
ManualPaymentNumberReservation
PayableAcceptanceAccounting
PaymentOption
PaymentOutputOption
PaymentSummarization
PlusGiroWithBankGiro
ReceivableAcceptanceAccounting
ReceivableGeneralLedgerAccounting
SortOption
TransactionIDNumber
TransactionNumberValue
TransactionOrigin
TransactionType
UniqueID
UsedByATransaction
UsedFlag
CreateStamp
UpdateStamp