CDS Views for Golden Audit Interface China (FI-LOC-GAI-CN)

CDS View NameDescriptionSQL View Name
C_ASSETCLASSWITHACCOUNTASSGMTFixed Asset with Account AssignmentCCADEASTCLS
C_CN_CADEACCOUNTINGBALANCECADE Accounting BalanceCCNCADEACCTGBAL
C_CN_CADEASSETBYPERIODAsset Assignment by Period for CADECCADEASTBYPERD
C_CN_CADEASSETCHANGELOGChange Log of Assgmt of Asset for CADECCADEASTCHG
C_CN_CADEASSETRETIREMENTAsset Retirement Transaction for CADECCADEASSETRET
C_CN_CADEASSETTRANSTYPETEXTAsset Transaction TypeCCADEASTTRANSTP
C_CN_CADECUSTOMERCADE - CustomerCCNCADECUSTOMER
C_CN_CADEDEPRECIATIONKEYINFODepreciation Key with FormulaCCADEDEPRFMLA
C_CN_CADEFIXEDASSETBALANCEQRYFixed Asset Balance Query for CADECCADEASTBAL
C_CN_CADEGENERALLEDGERACCOUNTCADE General Ledger AccountCCNCADEGLACCOUNT
C_CN_CADEJOURNALENTRYCADE Journal EntryCCADEJOURNLENT
C_CN_CADEPAYMENTMETHODCADE - Payment MethodCCADEPAYTMETH
C_CN_CADEREPORTITEMQUERYCADE - Report Item for Given Fiscal Periods QueryCCADEREPORTITMQ
C_CN_CADESUBSIDIARYACCTGITEMList Subsidiary Items of GL AccountsCCADESUBLEDGER
C_CN_CADESUPPLIERCADE - SupplierCCNCADESUPPLIER
I_CN_CADEACCTGDOCPAYABLEITEMCADE - Accouting Document Payable ItemICNCADEAPITEMS
I_CN_CADEACCTGDOCRBLITEMCADE-Accouting Document Receivable ItemICNCADEARITEMS
I_CN_CADEADDLINFOFORGLACCTCADE Accounting BalanceICADEGLAADDLINFO
I_CN_CADEASSETUSAGEVHAsset Usage for CADEICADEASTUSAGEVH
I_CN_CADECASHFLOWCADE cash flow detailsICNCADECASHFLOW
I_CN_CADECASHFLOWREPORTCUBECADE Cash ReportICNCADECASHRRPT
I_CN_CADECSTMSUBSIDIARYITEMVALCustomized Subsidiary Items Val for CADEICADECSTMSUBITMV
I_CN_CADECUSTOMARCHIVEITEMCADE - Customized Archive ItemICNCADECUSTARCIT
I_CN_CADECUSTOMARCHIVEVALUECustomize Archive Name for CADEICNCADECUSTARCVL
I_CN_CADECUSTOMSUBSIDIARYITEMCustomized Subsidiary Items for CADEICADECSTMSUBITM
I_CN_CADEDEPRECIATIONKEYINFODepreciation Formula for CADEICADEDEPRFMLA
I_CN_CADEELECTRONICACCTGBOOKElectronic Account Book for CADEICNCADEELEATBOOK
I_CN_CADEEXCHANGERATEExchange Rate for CADEICADEEXCHRATE
I_CN_CADEFINANCIALSTATEMENTITMList of FSItem for CADEICADEFINSTMNTITM
I_CN_CADEFINSTATEMENTLEAFITEMFS Leaf Item for CADEICADEFSLEAFITM
I_CN_CADEFINSTMNTVERSASSGMTFS Version Assgmt for CADEICADEFSVASSGMT
I_CN_CADEFIXEDASSETVALUECUBEFixed Asset Balance Cube for CADEICADEASTCUBE
I_CN_CADEGENERALINFORMATIONGeneral Master Information for CADEICADEGENERALINFO
I_CN_CADEJOURNALENTRYCADE Journal EntryICADEJOURNLENTRY
I_CN_CADEJOURNALENTRYDOCTYPEDocument Type of Journal Entry for CADEICADEJRNLENTRTYP
I_CN_CADEJOURNALENTRYMAPPINGJournal Entry Mapping for CADEICADEJRNLENTRMAP
I_CN_CADEJOURNALENTRYTYPEJournal Entry Type for CADEICADEDOCTYPE
I_CN_CADEJOURNALENTRYWITHBALCADE - Journal Entry Item with BalanceICNJRNLENTRWBAL
I_CN_CADEJRNLENTRYWTHADDLINFOCADE journal entry with subsidiary itemICADESUBACCTGJE
I_CN_CADELIQUIDITYITEMLiquidity Item Hierarchy for CADEICNCADELQDY
I_CN_CADEREPORTITEMCUBECADE - Report Item CubeICADERPTITMCUBE
I_CN_CADEREPORTSETWITHPERIODCADE - Report Set for Fiscal PeriodICADERPTSETWPERD
I_CN_CADESTATUTORYREPORTTYPEStatutory Report Type for CADEICNCADESTATRYRPT
I_CN_CADESTATUTORYREPORTTYPETStatutory Report Type for CADE - TextICADESTATRYRPTTT
I_CN_CADESUBSIDIARYACCTGITEMSubsidiary Item Assignment for CADEICADESUBACCTGITM
P_ASSETCLASSWITHACCOUNTASSGMTFixed Asset with Account AssignmentPCADEASTCLS
P_CN_CADEACCOUNTBALANCESUMCADE - Account Balance SubtotalPCNACCTBALSUM
P_CN_CADEACCOUNTNUMBERINGRULE1GL Account Numbering Rule 1PCADEACCTNMRULE1
P_CN_CADEACCOUNTNUMBERINGRULE2GL Account Numbering Rule 2PCADEACCTNMRULE2
P_CN_CADEACCOUNTNUMBERINGRULE3GL Account Numbering Rule 3PCADEACCTNMRULE3
P_CN_CADEACCOUNTNUMBERINGRULE4GL Account Numbering Rule 4PCADEACCTNMRULE4
P_CN_CADEACCTBALANCESTRUCTURECADE Account Balance StructurePCNACCTBALSTRU
P_CN_CADEACCTGBALWFINSTMNTVER1Accounting Balance with Financial Statement VersionPCADEACCTGBALFS1
P_CN_CADEACCTGBALWFINSTMNTVERSAccounting Balance with Financial Statement VersionPCADEACCTGBALFSV
P_CN_CADEACCTGBALWTHADDLINFOCADE Accounting Balance With Additional InformationPCADEACCTGBALINF
P_CN_CADEACCTGDOCPAYABLEITEMCADE-Acctg Doc Payable Item P ViewPCNCADEAPITEMS
P_CN_CADEACCTGDOCRBLITEMCADE-Acctg Doc Receivable Item P viewPCNCADEARITEMS
P_CN_CADEADDLINFOFORGLACCTCADE Accounting Balance With Additional InformationPCADEGLAADDLINFO
P_CN_CADEADDRESSIDCADE Fetch max address ID for BPPCADEADDRID
P_CN_CADEASSETALLCHGDOCFixed Asset Change DocumentPCNASTCDALL
P_CN_CADEASSETALLCHGDOCWTHPRDFixed Asset Change DocumentPCNASTCDALL0
P_CN_CADEASSETCHANGELOGAsset Change Log for CADEPCADEASTCHGLOG
P_CN_CADEASSETCHGDOCFixed Asset Change DocumentPCNASTCD
P_CN_CADEASSETLASTCHGDOCFixed Asset Last Chg Document in a dayPCNASTCD0
P_CN_CADEASSETQUANTITYQuantity in Asset LedgerPCNCADEASTQTY
P_CN_CADEASSETRETIREMENTAsset Retirement Transaction for CADEPCADEASSETRETIRE
P_CN_CADEASTTRANSTYPE_NEWCADE - Transaction Type Mapping for New AAPCNNEWASTTRANS
P_CN_CADEBILLOFEXCHANGEINFOCADE BOE informationPCADEBOE
P_CN_CADEBILLOFEXCHANGEINFO2CADE BOE informationPCADEBOE2
P_CN_CADECALCEXPIREDPERIODScalculate expired fixed asset periodsPCADEAAEXPPERD0
P_CN_CADECASHDETAILCash flow detailsPCNCADECASHDTL
P_CN_CADECASHFLOWZEROBALget liquidity item with zero amountPCNCADECASH0BAL
P_CN_CADECASHREPORTITEMCADE Cash Report ItemsPCNCADECASHRPITM
P_CN_CADECASHWTHITEMCash flow with document itemPCNCADECASH00
P_CN_CADECOMPANYCODECADE Company Code Value HelpPCNCADECOCODEVH
P_CN_CADECURRENCYCODECADE - Currency CodePCADECRCYCODE
P_CN_CADECUSTOMERCADE CustomerPCNCADECUSTOMER
P_CN_CADEFINSTMNTFORMSTRUCITEMCADE - Financial Statement Form Structure ItemPCADEFSSITEM
P_CN_CADEFINSTMNTFORMSTRUCLINECADE - Financial Statement Form Structure IinePCADEFSSTRUCLINE
P_CN_CADEFINSTMNTITEMMAPPINGCADE - Financial Statement Item Mapping Leaf ItemPCADEFSITMMAPPG
P_CN_CADEFINSTMNTITEMWITHLEAFCADE - Financial Statement Item with Leaf ItemPCADEFSITMWLEAF
P_CN_CADEFINSTMNTSTRUCITMBALCADE - Financial Statement Form Structure Item BalancePCNFSSTRUCITMBAL
P_CN_CADEFSCLPERDFORCMPNYCODECADE Fiscal period for company codePCADEFIFPERIODCC
P_CN_CADEFSVITMWPREFIXCADE FSV Item with PrefixPCADEFSVITMPFX
P_CN_CADEFSVITMWPREFIX2Financial Statement Item with Prefix for CADE 2PCADEFSVITMPFX2
P_CN_CADEGENERALLEDGERACCOUNTCADE General Ledger AccountPCNCADEGLACCOUNT
P_CN_CADEGENERALLEDGERACCOUNT2CADE General Ledger Account (Copy)PCNCADEGLACCT2
P_CN_CADEGENERALLEDGERACCOUNTCCADE General Ledger AccountPCNCADEGLACCTC
P_CN_CADEGLACCOUNTFORBALANCECADE GL Account Structure for BalancePCNGLACCT4BAL
P_CN_CADEGLACCOUNTFSVITEMCADE General Ledger Account with FSV ItemPCADEGLACTFSVITM
P_CN_CADEGLACCOUNTFSVITEM2CADE General Ledger Account with FSV Item (Copy)PCADEGLACTFSVIT2
P_CN_CADEGLACCTWDESCCADE General Ledger Account With DescriptionPCADEGLACCTWDESC
P_CN_CADEGLACCTWDESC2GL Account With DescriptionPCADEGLACCTDESC2
P_CN_CADEGLACCTWNUMBERINGRULEGeneral Ledger Account With Numbering RulePCADEGLACCTWNMR
P_CN_CADEGLLEAFITEMACCOUNTCADE General Ledger Account with Leaf Item AccountPCADEGLLEFITMACT
P_CN_CADEGLLEAFITEMACCOUNT2CADE General Ledger Account with Leaf Item Account (Copy)PCADEGLLEFITACT2
P_CN_CADEINCGCHKAPAR incoming check viewPCADEINCGCHK1
P_CN_CADEINCOMINGCHECKCADE - incoming check for APAPRPCADEINCGCHK
P_CN_CADEJRNLENTRATTACHMENTSCADE number of journal entry attachmentsPCADEJEATTCH
P_CN_CADELIQUIDITYITEMHIERLiquidity Item HierachyPCNCADELIQHIER
P_CN_CADELIQUIDITYITEMLEAFCNTCount of leaf liquidity itemPCNCADELIQBASE1
P_CN_CADELIQUIDITYITEMWTHPARLiquidity Item with parent itemPCNCADELIQBASE0
P_CN_CADELIQUIDITYITMBALLiquidity Item with balancePCNCADELIQBAL
P_CN_CADELIQUIDITYITMWTHLEAFLiquidity Item to Leaf Item for CADEPCNCADELIQLEAF
P_CN_CADELIQUIDITYITMWTHLEAF1Liquidity Item to Leaf Item for CADEPCNCADELIQLEAF1
P_CN_CADEORGANIZATIONNAMECADE Organization NamePCADEORGNAME
P_CN_CADEPAYMENTMETHODCADE Payment MethodPCADEPAYTMETH
P_CN_CADEPERSONNAMEPerson NamePPERSONNAME
P_CN_CADEREPORTITEMBALANCECADE - Report Item BalancePCNREPORTITEMBAL
P_CN_CADEREPORTSTRUCTURECADE - Report StructurePCADEREPORTSTRUC
P_CN_CADESUBACCTGITEMGRPCN Subsidiary Accounting Item Group for CADEPCADESUBACITMGRP
P_CN_CADESUBSIDIARYACCTGITEMList subsidiary item value for CADE journal entry itemPCADESUBACCTG
P_CN_CADESUBSIDIARYACCTITMNAMECADE Subsidiary Accounting Item NamePCNCADESUBNAME
P_CN_CADESUPPLIERCADE SupplierPCNCADESUPPLIER
P_CN_CADESYSTEMVERSIONCADE System VersionPCNCADEPRDVERS
P_CN_CADE_MANUALENTRYCADE Manual EntryPCADEMANUALENTRY
P_CN_CADE_UNIVERSALHIERARCHYUniversal Liquidity Hierarchy for CADEPCADEUHHIER
P_FSCLYEARPERDWITHSPCLPERDFiscal Year Period with or without special periodPCADEFSCLPERD
SHSM_CADE_ACCT_DETCDS VH for Asset Account DeterminationSHSMCADEACCTDET
SHSM_CADE_DEPRECIATIONKEYCADE - Value Help of Depreciation KeySHSMCADEDEPRKEY
SHSM_CADE_REPORTTYPEValue Help for CADE Report TypeSHSMCADEREPTYPE
SHSM_CADE_V_COCODECADE Submitted Company Code VHSHSMCADEVCOCODE
SHSM_CADE_V_WLCOCODECADE Worklist Company Code VHSHSMCADEWLCOCODE

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