Go To View:  RETURN TO BANNER COMP META DATA REPORTS LIST
Finance Composite View Reports

SGHE Banner Operational Data Store
Composite View Target: AF_FIXED_ASSET_DEPRECIATION

Description Source composite view contains detailed information on fixed assets depreciation and capitalization information.

Target Column Business Name Business Definition Database Data Type Domain Value Source Name Source Column
ACCOUNTING_ID   Accounting identification number. VARCHAR2(0)  

NA

NA

ACCOUNT_DESC   Account code description or title. VARCHAR2(35)  

FUNCTION

F_GET_FINANCE_DESC

ACCOUNT_STATUS   Current status of the associated account. VARCHAR2(1)  

FUNCTION

F_GET_FINANCE_STATUS

ACCUMULATED_DEPRECIATION_ACCT   Account to record accumulated depreciation for this asset. VARCHAR2(6)  

FFRMASA

FFRMASA_ACCT_CODE_DEPR_ACCUM

ACCUMULATED_DEPR_ACCT_DESC   Extracted description or title of the associated account. VARCHAR2(35)  

FUNCTION

F_GET_FINANCE_DESC

ACCUMULATED_DEPR_ACCT_STATUS   Extracted current status of the associated account. VARCHAR2(1)  

FUNCTION

F_GET_FINANCE_STATUS

ACTIVITY_DESC   Activity code title or description. VARCHAR2(35)  

FUNCTION

F_GET_FINANCE_DESC

ACTIVITY_STATUS   Extracted current status of the associated activity. VARCHAR2(1)  

FUNCTION

F_GET_FINANCE_STATUS

ADJUSTED_AMOUNT Adjusted Amount Summarized amount for all accounting adjustments to the original value of the fixed asset. Uses the most current change sequence number. Represents the gain or loss amount when the asset is sold or written off or adjusted for any other reason NUMBER(17,2)  

FFRMASA

FFRMASA_ADJ_AMT

ASSET_ACCOUNT   Account to record capitalization of this asset. Capitalization (plant) funds asset account and may be changed based on depreciation. VARCHAR2(6)  

FFRMASA

FFRMASA_ACCT_CODE_ASSET

ASSET_ACCOUNT_DESC   Extracted description or title of the associated account. VARCHAR2(35)  

FUNCTION

F_GET_FINANCE_DESC

ASSET_ACCOUNT_STATUS   Extracted current status of the associated account. VARCHAR2(1)  

FUNCTION

F_GET_FINANCE_STATUS

ASSET_AMOUNT Asset Amount Original cost of asset including accounting adjustments. NUMBER(17,2)  

FFRMASA

FFRMASA_AMT

BANK   Code used to identify the bank account at time the asset was purchased. VARCHAR2(2)  

FFRMASA

FFRMASA_BANK_CODE

BANK_DESC   Name of the bank where the institution has accounts. VARCHAR2(35)  

GXVBANK

GXVBANK_ACCT_NAME

BANK_UID   Internal identification number of the bank used at time the asset was purchased. NUMBER(8)  

GXVBANK

GXVBANK_BANK_CODE_PIDM

BOOK_VALUE   Current system book value calculated as original cost plus or minus any adjustments minus accumulated depreciation. NUMBER  

CALCULATION

FFRMASA_AMT+FFRMASA_ADJ_AMT-FFRMASA_DEPR_ACCUM_AMT

CAPITALIZATION_FUND   Fiscal entity to record capitalization of this asset. Defaults from the source expense fund. VARCHAR2(6)  

FFRMASA

FFRMASA_FUND_CODE_CAP

CHANGE_SEQUENCE_NUMBER   System one-up assigned number to the accounting line. Highest number represents most current accounting being used. NUMBER(3)  

FFRMASA

FFRMASA_CHANGE_SEQ_NUM

CHART_OF_ACCOUNTS   Identifies the chart from other charts in a multi-chart environment. VARCHAR2(1)  

FFRMASA

FFRMASA_COAS_CODE

CHART_OF_ACCOUNTS_DESC   Chart of accounts code description or title. VARCHAR2(35)  

FUNCTION

F_GET_FINANCE_DESC

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

NA

SYSDATE

DEPRECIATION_EXPENSE_ACCOUNT   Account to record depreciation expense for this asset. VARCHAR2(6)  

FFRMASA

FFRMASA_ACCT_CODE_DEPR

DEPRECIATION_EXPENSE_ACTIVITY   Activity primarily associated with this organization used to record depreciation expense. VARCHAR2(6)  

FFRMASA

FFRMASA_ACTV_CODE_DEPR

DEPRECIATION_EXPENSE_LOCATION   Physical location the institution's financial manager used to record depreciation expense. VARCHAR2(6)  

FFRMASA

FFRMASA_LOCN_CODE_DEPR

DEPRECIATION_EXPENSE_ORGN   Organization used to record depreciation expense for this asset. VARCHAR2(6)  

FFRMASA

FFRMASA_ORGN_CODE_DEPR

DEPRECIATION_EXPENSE_PROGRAM   Program classification structure as defined by a government agency requiring reports used to record depreciation expense. VARCHAR2(6)  

FFRMASA

FFRMASA_PROG_CODE_DEPR

DEPRECIATION_POST   Used during depreciation to determine if asset is posting depreciation, not posting depreciation or not depreciating at all. VARCHAR2(1)  

FFRMASA

FFRMASA_DEPR_POST_CODE

DEPRECIATION_POSTING_STATUS   Description of the depreciation posting code. VARCHAR2(30)  

CALCULATION

DECODE(FFRMASA_DEPR_POST_CODE)

DISPOSAL_AMOUNT Disposal Amount Amount of the transaction associated with this particular account distribution when an asset is sold. NUMBER(17,2)  

FFRMASA

FFRMASA_DISP_SALE_AMT

DISTRIBUTION_PERCENT   Percentage of the of the transaction total amount assigned to this accounting distribution. NUMBER(7, 4)  

FFRMASA

FFRMASA_AMT_PCT

DOMAIN_VALUE   Organization-oriented identifier for the record used to determine access authorization. Institution defined. VARCHAR2(6)  

NA

NA

EQUITY_ACCOUNT   Account code to record asset equity. VARCHAR2(6)  

FFRMASA

FFRMASA_ACCT_CODE_CAP_EQUITY

EQUITY_ACCOUNT_DESC   Extracted description or title of the associated account. VARCHAR2(35)  

FUNCTION

F_GET_FINANCE_DESC

EQUITY_ACCOUNT_STATUS   Extracted current status of the associated account. VARCHAR2(1)  

FUNCTION

F_GET_FINANCE_STATUS

FUND_DESC   Description or title of the associated fund. VARCHAR2(35)  

FUNCTION

F_GET_FINANCE_DESC

FUND_STATUS   Extracted current status of the associated fund. VARCHAR2(1)  

FUNCTION

F_GET_FINANCE_STATUS

LOCATION_DESC   Extracted description or title of the associated location. VARCHAR2(35)  

FUNCTION

F_GET_FINANCE_DESC

LOCATION_STATUS   Extracted current status of the associated location. VARCHAR2(1)  

FUNCTION

F_GET_FINANCE_STATUS

MIF_DESC   Institution description when the optional multi-institution facility feature has been applied. VARCHAR2(30)  

NA

NA

MIF_VALUE   Institution value for the record when the optional multi-institution facility feature has been applied. VARCHAR2(6)  

NA

NA

NET_DEPRECIATION_AMOUNT Net Depreciation Amount Summarization of all current depreciation amounts used for depreciation. Uses the most current change sequence number. NUMBER(17,2)  

FFRMASA

FFRMASA_NEW_NET_DEPR_AMT

OLD_DEPRECIATION_AMOUNT Old Depreciation Amount Summarization of all the depreciation amounts used last time for depreciation. Uses the most current change sequence number. NUMBER(17,2)  

FFRMASA

FFRMASA_OLD_NET_DEPR_AMT

ORGANIZATION_DESC   Extracted description or title associated with the organization code. VARCHAR2(35)  

FUNCTION

F_GET_FINANCE_DESC

ORGANIZATION_STATUS   Extracted current status of the associated organization. VARCHAR2(1)  

FUNCTION

F_GET_FINANCE_STATUS

ORIGINATION_TAG_NUMBER   System generated tag number assigned when the asset is acquired. VARCHAR2(9)  

FFRMASA

FFRMASA_OTAG_CODE

PROGRAM_DESC   Extracted description or title of the associated program. VARCHAR2(35)  

FUNCTION

F_GET_FINANCE_DESC

PROGRAM_STATUS   Extracted current status of the associated program. VARCHAR2(1)  

FUNCTION

F_GET_FINANCE_STATUS

SEQUENCE_NUMBER   System-generated one-up number to support split accounting within a document. NUMBER(4)  

FFRMASA

FFRMASA_SEQ_NUM

SUBORDINATE_TAG_NUMBER   System-generated one-up identifier code for the asset created at time the fixed asset was recorded. Attachments are assets that have been joined with and is depreciated with a parent asset. VARCHAR2(9)  

FFRMASA

FFRMASA_OTAG_CODE_ATTACHMENT

TOTAL_DEPRECIATION_AMOUNT Total Depreciation Amount Summarization of all accounting depreciation amounts taken during the life to date for this asset. NUMBER(17,2)  

FFRMASA

FFRMASA_DEPR_ACCUM_AMT

ZONE_VALUE   Process-oriented identifier for the record used to determine access authorization to this record. Institution defined. VARCHAR2(6)  

NA

NA



Ver: