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 |