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Accounts Receivable Composite View Reports

SGHE Banner Operational Data Store
Composite View Target: AT_GRANT_ACCOUNT_DETAIL

Description Source composite view contains research accounting receivable account transaction detail information.

ODS Column ODS Business Definition ODS Calculation Formula ODS Data Type Banner Source Name Banner Source Column Banner Form Name
ACCOUNT_ACTUAL_COST_AMOUNT Actual cost amount of the transaction.    

TRRACCD

TRRACCD_ACTUAL_COST_AMT

 
ACCOUNT_AMOUNT Amount of the transaction.    

TRRACCD

TRRACCD_AMOUNT

 
ACCOUNT_BALANCE Remaining balance of the charge amount on the transaction.    

TRRACCD

TRRACCD_BALANCE

 
ACCOUNT_CHART_OF_ACCOUNTS Primary identification code for any chart of accounts which uniquely identifies that chart from any other in a multi-chart environment.    

TRRACCD

TRRACCD_COAS_CODE

 
ACCOUNT_CHART_OF_ACCOUNTS_DESC Retrieved description or title of the associated chart of accounts.    

FUNCTION

F_GET_FINANCE_DESC

 
ACCOUNT_FUND Funding source code used with this accounting transaction.    

TRRACCD

TRRACCD_FUND_CODE

 
ACCOUNT_FUND_DESC Retrieved description or title of the associated fund.    

FUNCTION

F_GET_FINANCE_DESC

 
ACCOUNT_FUND_STATUS Extracted current status of the associated fund.    

FUNCTION

F_GET_FINANCE_STATUS

 
ACCOUNT_POSTING_STATUS Indicates the status of the transaction in the accounting feed process as ready to feed or transaction has been fed.    

TRRACCD

TRRACCD_ACCT_FEED_IND

 
ACCOUNT_TRANSACTION_NUMBER A unique one up number assigned to each transaction within the grants account.    

TRRACCD

TRRACCD_TRAN_NUMBER

 
ADJUSTED_BILLED_INVOICE_NUMBER Billed invoice number adjusted on the charge.    

TRRACCD

TRRACCD_BILL_INV_ADJ_NO

 
ADJUSTED_PAID_INVOICE_NUMBER Adjusted invoice number paid with the payment.    

TRRACCD

TRRACCD_PAID_INV_ADJ_NO

 
BILLED_INVOICE_NUMBER Invoice number billed on the charge.    

TRRACCD

TRRACCD_BILL_INV_SEQ_NO

 
BILL_DATE Date that the transaction was billed.    

TRRACCD

TRRACCD_BILL_DATE

 
CASHIER_END_DATE Ending date of the cashiering session for the transaction.    

TRRACCD

TRRACCD_CSHR_END_DATE

 
CASHIER_END_TIME Ending time of the cashiering session for the transaction.    

CALCULATION

TO_CHAR(TBRACCD_CSHR_END_DATE)

 
CASHIER_SESSION_NUMBER Session number assigned to each cashier session.    

TRRACCD

TRRACCD_SESSION_NUMBER

 
CURRENT_DATE System current date (sysdate) or date the data was extracted.    

NA

SYSDATE

 
DETAIL_CODE Code defining type of transaction in accounts receivable.    

TRRACCD

TRRACCD_DETAIL_CODE

 
DETAIL_CODE_DESC Transaction type description.    

TBBDETC

TBBDETC_DESC

 
DETAIL_CODE_TYPE Determines if the detail code is being used as a charge or a payment.    

TBBDETC

TBBDETC_TYPE_IND

 
DOMAIN_VALUE Organization-oriented identifier for the record used to determine access authorization. Institution defined.    

NA

NA

 
EFFECTIVE_DATE Date the transaction becomes effective. As of this date, the transaction is calculated into amount due and is eligible to be fed to accounting.    

TRRACCD

TRRACCD_EFFECTIVE_DATE

 
ENTRY_DATE Date the transaction was entered on the account.    

TRRACCD

TRRACCD_ENTRY_DATE

 
GRANT_ID Unique user defined or system generated one-up number for this grant.    

TRRACCD

TRRACCD_GRNT_CODE

 
MIF_DESC Institution description when the optional multi-institution facility feature has been applied.    

NA

NA

 
MIF_VALUE Institution value for the record when the optional multi-institution facility feature has been applied.    

NA

NA

 
PAID_INVOICE_NUMBER Invoice number paid with the payment.    

TRRACCD

TRRACCD_PAID_INV_SEQ_NO

 
PAYMENT_REFERENCE_NUMBER External reference number of item used to make payment. Can be credit card, wire payment, check number, etc.    

TRRACCD

TRRACCD_PAYMENT_ID

 
POSTING_DATE Date the accounting transaction was interfaced to the financial ledgers.    

TRRACCD

TRRACCD_FEED_DATE

 
POSTING_DOCUMENT Document number used to post the accounting transaction into the ledgers.    

TRRACCD

TRRACCD_FEED_DOC_CODE

 
POST_CASHIER Identification code of the cashier who entered the transaction.    

TRRACCD

TRRACCD_USER_ID

 
REBILL_IND Used to trigger payment rebill on the account.    

TRRACCD

TRRACCD_REBILL_IND

 
SOURCE Identifies the source of how the transaction was entered on the account.    

TRRACCD

TRRACCD_SRCE_CODE

 
SOURCE_DESC Extracted source code description.    

FUNCTION

GOKODSF.F_GET_DESC

 
TRANSACTION_DATE Date used by the finance system to control posting to the ledgers.    

TRRACCD

TRRACCD_TRANS_DATE

 
TRANSACTION_DESC Accounting transaction description.    

TRRACCD

TRRACCD_DESC

 
TRANSACTION_NUMBER_PAID Specified transaction number used to apply a payment directly against with this transaction.    

TRRACCD

TRRACCD_TRAN_NUMBER_PAID

 
WITHHOLDING_AMOUNT Amount to withhold from the billed agency.    

TRRACCD

TRRACCD_WITHHOLDING_AMT

 
WITHHOLDING_IND Determines if withholding an amount to the billed agency.    

TRRACCD

TRRACCD_WITHHOLDING_IND

 
ZONE_VALUE Process-oriented identifier for the record used to determine access authorization to this record. Institution defined.    

NA

NA

 


Ver: 8.3