SELECT glcc.segment1 co, glcc.segment2 loc, glcc.segment3 cc,
glcc.segment4 acct, glcc.segment5 prod, glcc.segment6 chan,
glcc.segment7 proj, '' "CODECOMBO desc", xal.accounting_date,
gjh.je_source, gjh.je_category CATEGORY, gjb.NAME batch,
gjh.NAME "JOURNAL name", '' "JE SEQ name", '' "JE SEQ NUM",
gjl.je_line_num "JE LINE", gjl.description "JE LINE DESCR",
gjl.accounted_cr gl_cr, gjl.accounted_dr gl_dr, '' "VENDOR/CUSTOMER",
acra.receipt_number "TRANSACTION NUM",
xal.accounting_class_code "TRANSACTION TYPE", xal.accounted_cr xla_cr,
xal.accounted_dr xla_dr, gjh.period_name period,
(gb.begin_balance_dr - gb.begin_balance_cr) begin_balance,
( gb.period_net_dr
- gb.period_net_cr
+ gb.project_to_date_dr
- gb.project_to_date_cr
) end_balance,
gl.NAME ledger_name
FROM apps.gl_je_headers gjh,
apps.gl_je_batches gjb,
apps.gl_balances gb,
apps.gl_ledgers gl,
apps.gl_je_lines gjl,
apps.gl_import_references gir,
apps.gl_code_combinations glcc,
apps.xla_ae_lines xal,
apps.xla_ae_headers xah,
apps.xla_distribution_links xdl,
apps.ar_distributions_all ada,
apps.ar_cash_receipt_history_all acrha,
apps.ar_cash_receipts_all acra
WHERE 1 = 1
AND gjh.ledger_id = gl.ledger_id
AND gjh.je_batch_id = gjb.je_batch_id
AND gjl.je_header_id = gjh.je_header_id
AND gjl.je_header_id = gir.je_header_id
AND gjl.je_line_num = gir.je_line_num
AND gjl.code_combination_id = glcc.code_combination_id
AND gir.gl_sl_link_id = xal.gl_sl_link_id
AND gir.gl_sl_link_table = xal.gl_sl_link_table
AND xal.ae_header_id = xah.ae_header_id
AND xal.ae_header_id = xdl.ae_header_id
AND xal.application_id = xah.application_id
AND xal.ae_line_num = xdl.ae_line_num
AND xal.application_id = xdl.application_id
AND xdl.source_distribution_type(+) = 'AR_DISTRIBUTIONS_ALL'
AND xdl.source_distribution_id_num_1(+) = ada.line_id
AND ada.source_id = acrha.cash_receipt_history_id
AND acrha.cash_receipt_id = acra.cash_receipt_id
AND gb.code_combination_id = glcc.code_combination_id
AND gb.period_name = gjh.period_name
AND gb.currency_code = gl.currency_code
AND glcc.segment4 = '13010'
AND gjh.period_name = 'OCT-14'
AND gl.NAME = 'Amazon.com, Inc.'
AND gjh.je_source = 'Receivables'
--and gjh.je_category = 'Receipts'
--and GJH.name = 'OCT-14 Receipts USD'
glcc.segment4 acct, glcc.segment5 prod, glcc.segment6 chan,
glcc.segment7 proj, '' "CODECOMBO desc", xal.accounting_date,
gjh.je_source, gjh.je_category CATEGORY, gjb.NAME batch,
gjh.NAME "JOURNAL name", '' "JE SEQ name", '' "JE SEQ NUM",
gjl.je_line_num "JE LINE", gjl.description "JE LINE DESCR",
gjl.accounted_cr gl_cr, gjl.accounted_dr gl_dr, '' "VENDOR/CUSTOMER",
acra.receipt_number "TRANSACTION NUM",
xal.accounting_class_code "TRANSACTION TYPE", xal.accounted_cr xla_cr,
xal.accounted_dr xla_dr, gjh.period_name period,
(gb.begin_balance_dr - gb.begin_balance_cr) begin_balance,
( gb.period_net_dr
- gb.period_net_cr
+ gb.project_to_date_dr
- gb.project_to_date_cr
) end_balance,
gl.NAME ledger_name
FROM apps.gl_je_headers gjh,
apps.gl_je_batches gjb,
apps.gl_balances gb,
apps.gl_ledgers gl,
apps.gl_je_lines gjl,
apps.gl_import_references gir,
apps.gl_code_combinations glcc,
apps.xla_ae_lines xal,
apps.xla_ae_headers xah,
apps.xla_distribution_links xdl,
apps.ar_distributions_all ada,
apps.ar_cash_receipt_history_all acrha,
apps.ar_cash_receipts_all acra
WHERE 1 = 1
AND gjh.ledger_id = gl.ledger_id
AND gjh.je_batch_id = gjb.je_batch_id
AND gjl.je_header_id = gjh.je_header_id
AND gjl.je_header_id = gir.je_header_id
AND gjl.je_line_num = gir.je_line_num
AND gjl.code_combination_id = glcc.code_combination_id
AND gir.gl_sl_link_id = xal.gl_sl_link_id
AND gir.gl_sl_link_table = xal.gl_sl_link_table
AND xal.ae_header_id = xah.ae_header_id
AND xal.ae_header_id = xdl.ae_header_id
AND xal.application_id = xah.application_id
AND xal.ae_line_num = xdl.ae_line_num
AND xal.application_id = xdl.application_id
AND xdl.source_distribution_type(+) = 'AR_DISTRIBUTIONS_ALL'
AND xdl.source_distribution_id_num_1(+) = ada.line_id
AND ada.source_id = acrha.cash_receipt_history_id
AND acrha.cash_receipt_id = acra.cash_receipt_id
AND gb.code_combination_id = glcc.code_combination_id
AND gb.period_name = gjh.period_name
AND gb.currency_code = gl.currency_code
AND glcc.segment4 = '13010'
AND gjh.period_name = 'OCT-14'
AND gl.NAME = 'Amazon.com, Inc.'
AND gjh.je_source = 'Receivables'
--and gjh.je_category = 'Receipts'
--and GJH.name = 'OCT-14 Receipts USD'
Well Said, you have furnished the right information that will be useful to anyone at all time. Thanks for sharing your Ideas.
ReplyDeleteExpense Reports
Still helpful 10 years later. Thank you so much.
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