- 11i and R12
In 11i the field 'bank_account_id' acts as a relation key between the AP_CHECKS_ALL and AP_BANK_ACCOUNTS_ALL tables.
In 12 i the same field is no longer is used in 'AP_CHECKS_ALL' table.
In 12 i where 'CE_BANK_ACCT_USE_ID' is acts as a relation between 'CE_BANK_ACCT_USES_ALL' and 'AP_CHECKS_ALL'
Highlights of release 12i
A single responsibility to access and transact on multiple organizations.
A single ledger to manage multiple currencies.
Ledger sets to manage accounting processes across ledger.
Centralized rules engines for tax, accounting and Intercomapny.
Centralized trading partners i.e Suppliers, Banks, First Party legal entities.
Simplified reporting via XML Publisher and DBI.
Netting across trading partners.
11i and R12-Changes
Subscribe to:
Post Comments (Atom)
WIP Tables with description
Table Name Description WIP_ACCOUNTING_CLASSES stores accounting flexfield information for standard discrete jobs, non-standard asset j...
-
Concatenation tag: <?xdofx:rpad(FIRST_NAME||LAST_NAME),30,'x')?> <?value-of:concat(Payee/Address/City,’, ‘,Payee/...
-
////////// CREATE CUSTOMER ACCOUNT(PERSON)/////////// _________________________________________________________________________________...
No comments:
Post a Comment