CM_ACER_MSG | The Actual Cost Process Error Message Table will provide the user a list of inconsistencies found during the actual cost process. These error messages will be used by the OPM user to evaluate performance and accuracy of the process and if |
CM_ACPR_CTL | The Actual Cost Process Control Table will allow the OPM user to communicate with the Actual Cost Process as it is running in the background . Using this table, the user may also review past runs and also if necessary force the process to a |
CM_ACST_LED | Actual Costing Ledger Table. The purpose of this table is to serve as a depository of all actual costing transactions. These transactions may originate from Production Batch details (pm_matl_dtl) or POC resource details (pm_oprn_dtl) or Pu |
CM_ACST_LED_EFC | Shadow table of CM_ACST_LED for EFC migration. Stores the original values of columns of CM_ACST_LED that are to be converted tothe Euro currency as a part of EFC migration. The table consists of the primary key columns of CM_ACST_LED and |
CM_ADJS_DTL | The Actual Cost Adjustments Details table - contains the adjustments details required and entered for cost adjustments. |
CM_ADJS_DTL_EFC | Shadow table of CM_ACST_LED for EFC migration. Stores the original values of columns of CM_ACST_LED that are to be converted tothe Euro currency as a part of EFC migration. The table consists of the primary key columns of CM_ACST_LED and |
CM_ALPR_CTL | Cost Allocation Process Control Table - Contains the process information such as Fiscal Year and Period, Costing Calendar and Period. |
CM_ALYS_MST | Cost Analysis Code Master Table. |
CM_APCM_INT | Interface Table that contains the invoice price information brought over from Oracle Financials. The information captured within this table is then downloaded to cm_apcm_mst table which is used by the actual costing engine to determine the |
CM_APCM_MST | Invoice Interface master table for Costing - contains the invoice price information brought over from Oracle Financials. Data is first brought over to cm_apcm_int and then after validation written to this table. This information is used |
CM_APCM_MST_EFC | Shadow table of CM_APCM_MST for EFC migration. Stores the original values of columns of CM_APCM_DTL that are to be converted to the Euro currency as a part of EFC migration. The table consists of the primary key columns of CM_APCM_DTL and |
CM_BRDN_DTL | Cost Burden Details - contains the Burden (Overhead) costs applied to an item |
CM_BTCH_SUM | Obsolete |
CM_CLDR_DTL | Costing Calendar Details |
CM_CLDR_HDR | Costing Calendar Header Table |
CM_CLDR_HDR_B | Costing Calendar Header Table |
CM_CLDR_HDR_TL | Table to store translated columns of Cost Calendar Header Table |
CM_CMPT_DTL | Cost Component Details |
CM_CMPT_DTL_EFC | Shadow table of CM_CMPT_DTL for EFC migration. Stores the original values of columns of CM_CMPT_DTL that are to be converted to the Euro currency as a part of EFC migration. The table consists of the primary key columns of CM_CMPT_DTL and |
CM_CMPT_GRP | Cost component Groups |
CM_CMPT_MST | Cost Component Master |
CM_CMPT_MST_B | Cost Component Master |
CM_CMPT_MST_TL | Table to store translated columns for Cost Component Master Table |
CM_CMPT_MTL | This table contains the item or item cost class specific material cost component and material analysis code. Used by the Actual Cost Process. |
CM_CUPD_CTL | Cost Update Process Control Table - allows the OPM user to communicate with the Cost Update Process as it is running in the background . Using this table, the user may also review past runs and also if necessary force the process to abort. |
CM_CUPD_MSG | Cost Update process error messages table - error messages found during the process. No duplicate error messages are written. These error messages will be used by the OPM user to evaluate performance and accuracy of the process and, if nec |
CM_MTHD_MST | Item Cost Methods - Cost methods are defined by the user. Cost calculation types for raw material and product costs are also specified for Actual Costing Methods. |
CM_OPRN_SUM | Obsolete |
CM_REAS_CDS | Cost Adjustments Reason Codes - Reason Codes will allow the user to define specific codes to record the reason for making the adjustment. These codes will be user defined. |
CM_RLUP_CTL | Cost Rollup Process Control Table - allows the OPM user to communicate with the Cost Rollup Process as it is running in the background . Using this table, the user may also review past runs and also if necessary force the process to abort. |
CM_RLUP_ITM | Contains the list of items for which Cost Rollup is to be run. Will have rows only for those rollup runs that are submitted as List of Items Rollup.Regarding removal of delete_mark column between 4.1 and 11.0 releases. - OPM only selects o |
CM_RLUP_MSG | The Cost Rollup Process Error Message Table will provide the user a list of inconsistencies found during the process. These error messages will be used by the OPM user to evaluate performance and accuracy of the process and, if necessary, t |
CM_RSRC_DTL | Resource Costs |
CM_RSRC_DTL_EFC | Shadow table of CM_RSRC_DTL for EFC migration. Stores the original values of columns of CM_RSRC_DTL that are to be converted to the Euro currency as a part of EFC migration. The table consists of the primary key columns of CM_RSRC_DTL and |
CM_SCST_LED | Standard Costs Ledger. Rows are created during the cost rollup process. It serves the purpose of a ledger on the performed cost calculations of each product. Formula and routing information is maintained within this table. Has a detailed |
CM_SCST_LED_EFC | Shadow table of CM_SCST_DTL for EFC migration. Stores the original values of columns of CM_SCST_DTL that are to be converted to the Euro currency as a part of EFC migration. The table consists of the primary key columns of CM_SCST_DTL and |
CM_TEXT_HDR | Header information for Text entered through Edit Text option |
CM_TEXT_TBL_TL | Costing Translation Text Table. |
CM_WHSE_ASC | The Costing Warehouse Association Table - allows the OPM user to build an association between costing and inventory warehouses. |
CM_WHSE_EFF | Costing Warehouse Effectivities. Used by Cost Rollup Process |
CM_WHSE_SRC | Costing Source Warehouses - Used by Rollup process |
GL_ACCT_CLS | User-defined Account classes. These classes are used to classify accounts and are used for reporting purposes only. Note that this table is not used under Oracle Financials Integrated setup. |
GL_ACCT_HRC | This table contains the account selection priority for the companies and the account titles. These priorities are used by the GL Mapping program to retrieve the accounts for sub-ledger posting, in the order of account selection priority. In |
GL_ACCT_KEY | *NOT USED* |
GL_ACCT_MAP | GL Account Mapping information - contains the GL Account Mapping info. The Account mappings are defined for a Company, Account Title and attributes whose priority is >0 in gl_acct_hrc table. Note that these attributes are optional and a NU |
GL_ACCT_MST | Contains the Company specific Chart of Accounts. Note that in the Oracle Financials integrated setup this table is populated with Oracle Financials Accounts while entering the Account Mapping information. |
GL_ACCT_TTL | This table contains the system defined Account Titles. User is not allowed to change them in OPM. |
GL_ACCT_TYP | This table consists of four pre-defined General Ledger account types which are used to classify accounts into four broad categories. This table is not used with Oracle Financials integrated setup. |
GL_ACCT_USG | This table contains the user-defined Acount Usages. These codes are used for reporting purposes only. This table is not used with Oracle Financials integrated setup. |
GL_ACCT_VAL | This table contains validation codes assignment to Accounts. The Accounts may only be auto-generated with the Accounting unit with same Validation codes. This table is not used with Oracle Financials integrated setup. |
GL_ACCU_MAP | This table contains the GL Account Unit Mapping information. The Account Unit mapping are defined for a Company, Organization and Warehouse. Organization and Warehouse are optional and a blank value means all value. The GL Mapping program |
GL_ACCU_MST | This table contains the User-defined Accounting Units. Accounting units are Organizational units of a company such as cost centers, departments, and divisions, to be included in an Account key. Note that with Oracle Financial integration, |
GL_ACCU_VAL | This table contains validation codes assignment to Account Units. The Accounting unit may only be auto-generated with the Accounts with same Validation codes. This table is not used with Oracle Financials integrated setup. |
GL_ALOC_BAS | This table contains the basis information for an allocation code about the items to which expenses will be allocated, the allocation criteria based upon the basis account or fixed percent, and the cost component class bucket to which the al |
GL_ALOC_DTL | This table contains the result of the allocation processing. The Actual Costing Process will use this table to determine the expense allocation for the items. |
GL_ALOC_DTL_EFC | Shadow table of GL_ALOC_DTL for EFC migration. Stores the original values of columns of GL_ALOC_DTL that are to be converted to the Euro currency as a part of EFC migration. The table consists of the primary key columns of GL_ALOC_DTL and |
GL_ALOC_EXP | This table contains the expense to allocate information for an allocation code. The data from this table is used for GL expense allocation processing in determining total expense to allocate. |
GL_ALOC_INP | This table contains the expense and basis amount computed during the allocation processing. Currently these values are being brought over from Oracle Financials and the user has the option to maintain them via a maintenance screen. |
GL_ALOC_INP_EFC | Shadow table of GL_ALOC_INP for EFC migration. Stores the original values of columns of GL_ALOC_INP that are to be converted to the Euro currency as a part of EFC migration. The table consists of the primary key columns of GL_ALOC_INP an |
GL_ALOC_MST | Master table to store the definition of the allocation codes. |
GL_CLDR_DTL | This table contains the period defination for Fiscal year. This table is not used with Oracle Financials integrated setup. |
GL_CLDR_HDR | This table contains the Fiscal Year defination for a Company. This table is not used with Oracle Financials integrated setup. |
GL_CURR_MST | This table contains the Currency definitions. Note that with Oracle Financials integration this table is populated with the Currency data from Oracle Financials. |
GL_CURR_MST_INT | This is an interface table for synchronizing Currencies from Oracle Financials to OPM. |
GL_EVNT_MST | This table contains the pre-defined Event codes. An event is any activity within OPM that has a financial impact. |
GL_EVNT_MST_TEMP | An internal table used by GL Update process to improve performance |
GL_EVNT_PLC | Event specific Company Fiscal Policy information |
GL_EXPN_CDS_TMP | Temporary table used for performance improvment in cost allocation process. This table is populated with values from GL_CODE_COMBINATIONS table. |
GL_ITEM_CST | Item costs for transactions. Maintains accounting and current costs. Component cost details are available in GL_ITEM_DTL table. |
GL_ITEM_CST_EFC | Shadow table of GL_ITEM_CST for EFC migration. Stores the original values of columns of GL_ITEM_CST that are to be converted to the Euro currency as a part of EFC migration. The table consists of the primary key columns of GL_ITEM_CST and |
GL_ITEM_DTL | Cost component detail information for the item. Component details for the Accounting cost available in GL_ITEM_CST table. |
GL_ITEM_DTL_EFC | Shadow table of GL_ITEM_DTL for EFC migration. Stores the original values of columns of GL_ITEM_DTL that are to be converted to the Euro currency as a part of EFC migration. The table consists of the primary key columns of GL_ITEM_DTL and |
GL_LDGR_MST | GL ledgers |
GL_LEDG_MAP | GL ledger mapping. Used for GL mapping. |
GL_MEMO_STA | Internal Table used by AR Update process |
GL_MESG_TBL | General ledger messages table. Messages generated during transaction posting by Subsidiary Ledger Update process. |
GL_PLCY_LGR | Company ledgers |
GL_PLCY_MST | Fiscal policy of a company. Fiscal policy defines the GL attributes of the company. |
GL_PLCY_MST_EFC | Shadow table of GL_PLCY_MST for EFC migration. Stores the original values of columns of GL_PLCY_MST that are to be converted to the Euro currency as a part of EFC migration. The table consists of the primary key columns of GL_PLCY_MST and |
GL_PLCY_SEG | Segments for account key segregation. Stores the Chart of Accounts. |
GL_PLCY_SYS | Fiscal policy sub-systems |
GL_RATE_TYP | Exchange rate Classification such as daily, average, bal sheet. |
GL_RATE_TYP_INT | Exchange Rate Type Interface. Used for synchronzing rate types from Oracle Financials. |
GL_SETU_ERR | GL mapping setup errors found during Subsidiary Ledger Update process. Not currently used. |
GL_SEVT_MST | GL mapping subevents. OPM user is not allowed to modify this information. |
GL_SEVT_TTL | GL mapping subevent account titles. Account titles that are impacted by a subsystem subevent. |
GL_SRCE_MST | Subsystem master table |
GL_SUBR_LED | GL subsidiary ledger. Liaison between subsystems and GL. Stores all the bookings of OPM subsystem transactions (documents). Updated by the OPM Subsidiary Ledger Update process. |
GL_SUBR_LED_EFC | Shadow table of GL_SUBR_LED for EFC migration. Stores the original values of columns of GL_SUBR_LED that are to be converted to the Euro currency as a part of EFC migration. The table consists of the primary key columns of GL_SUBR_LED and |
GL_SUBR_LED_VAR | Table for storing all types of batch close variances calculated during actual subledger run. |
GL_SUBR_STA | OPM Subsidiary Ledger Update process Control table |
GL_SUBR_TST | Subsidiary ledger test run work table. Used to run Subledger Update process in test mode to verify the bookings before running a live Update. |
GL_SUBR_TST_EFC | Shadow table of GL_SUBR_TST for EFC migration. Stores the original values of columns of GL_SUBR_TST that are to be converted to the Euro currency as a part of EFC migration. The table consists of the primary key columns of GL_SUBR_TST and |
GL_SUBR_TST_VAR | Table for storing all types of batch close variances calculated during test subledger run. |
GL_TEXT_HDR | Table used to store text types for GL |
GL_TEXT_TBL_TL | GL Module Text Lines. Descriptive text for all tables in this module. |
GL_UPDT_CTL | The control table for OPM GL Update Process. Only used with OPM integrated with Oracle Financials. |
GL_UPDT_MSG | OPM GL Update process error messages table. Only used with OPM integrated with Oracle Financials. |
GL_VALN_CDS | Validation codes for account key auto-generation. |
GL_XCHG_RTE | Exchange rates |
GMF_BATCH_REQUIREMENTS | Batch requirement details |
GMF_BATCH_REQUIREMENTS_GTMP |
GMF_BATCH_REQUIREMENTS_GTMP1 |
GMF_BATCH_VIB_DETAILS | Virtual incremental batch details |
GMF_BURDEN_ASSOCIATION | In OPM Costing, this table is where the Percentage Burden Associations are stored. |
GMF_BURDEN_CODES | In OPM Costing, this is where the Percentage Burden Codes are stored. |
GMF_BURDEN_PERCENTAGES | In OPM Costing, this is where the Burden Percentages are established. |
GMF_BURDEN_PRIORITIES | In OPM Costing, this is where the Percentage Burden Priorities are established. |
GMF_CALENDAR_ASSIGNMENTS | Cost Calendar Assignments |
GMF_COST_METHOD_LEVEL | Table of all cost methods that cost items at the summary level |
GMF_FISCAL_POLICIES | Fiscal policy of legal entity. Fiscal policy defines the GL attributes of legal entity |
GMF_INCOMING_MATERIAL_LAYERS | Layer data for consumption transactions |
GMF_INV_TXN_FLAGS_GT | |
GMF_INVOICE_DISTRIBUTIONS | Supplementary table to store invoice variance amounts for Actual Costing |
GMF_ITEM_GROUPS | Stores the grouping of items (representative vs represented) for Summary Level costing |
GMF_LAYER_COST_DETAILS | Layer Cost Details |
GMF_LC_ACTUAL_COST_ADJS | This table used to store Actual Landed cost adjustments which are processed by actual cost proces for actual cost types |
GMF_LC_ADJ_TRANSACTIONS | This table used to store Estimated and Actual Landed Cost adjustments. This table will be populated in Landed cost adjustment import process for each LC adjustment |
GMF_LC_LOT_COST_ADJS | This table used to store Actual Landed cost adjustments which are processed by Lot cost process |
GMF_LEDGER_VALUATION_METHODS | This table contains valuation cost type of the secondary ledgers associated to the primary ledger of the Legal Entity. With SLA it is possible to create the subledger journals in draft mode for multiple cost types for comparison and simulat |
GMF_LOT_COST_ADJUSTMENT_DTLS | OPM Lot Cost Adjustments details table |
GMF_LOT_COST_ADJUSTMENTS | OPM Lot Cost Adjustments header table |
GMF_LOT_COST_BURDENS | Burden details for lot costed items |
GMF_LOT_COST_DETAILS | Lot Cost details table |
GMF_LOT_COSTED_ITEMS | Lot cost enabled items |
GMF_LOT_COSTED_ITEMS_GT | This table stores all items flaged as lot costed |
GMF_LOT_COSTS | OPM Lot Costs Header Table |
GMF_MATERIAL_LOT_COST_TXNS | Transaction history table for lot costs |
GMF_OUTGOING_MATERIAL_LAYERS | Layer data for the batch yield transactions. |
GMF_PERIOD_BALANCES | Period Inventory Balances for Process Orgs |
GMF_PERIOD_BALANCES_GT | Temporary table for Period Inventory Balances for Process Orgs |
GMF_PERIOD_STATUSES | Cost Period statuses for a Legal Entity & Cost Type |
GMF_PERIOD_STATUSES_GT | Global temporary table gmf_period_statuses_gt with on commit delete rows |
GMF_PROCESS_ORGANIZATIONS_GT | This table stores process organizations for temporary session |
GMF_RCV_ACCOUNTING_TXNS | This table stores information for receiving accounting for process organizations |
GMF_RESOURCE_LAYERS | Consumption Resource Layers |
GMF_TRANSACTION_VALUATION | Transaction Valuation table for process organizations |
GMF_XLA_EVENT_MODEL | This is a helper table for Accounting Pre-Processor. This table stores the Subledger Accounting event model names that is used by the pre-processor. |
GMF_XLA_EXTRACT_HEADERS | This table is the SLA Extract Headers table. The transactions for process inventory organizations are processed and all the necessary data for accounting are stored in this table. When the SLA accounting program is run data from this tabl |
GMF_XLA_EXTRACT_HEADERS_GT | Stores extract headers temporarily in a Session to create events in SLA. Once events get created, rows from this table are inserted into GMF_XLA_EXTRACT_HEADERS table. |
GMF_XLA_EXTRACT_LINES | This table is the SLA Extract Lines table. The transactions for process inventory organizations are processed and all the necessary data for accounting are stored in this table. When the SLA accounting program is run data from this table |
GMF_XLA_EXTRACT_LINES_GT | Stores extract lines temporarily in a Session to create events in SLA. Once events get created, rows from this table are inserted into GMF_XLA_EXTRACT_LINES table. |
GMF_XLA_ITEMS_GT | This table is only used in GMF Accounting Pre-Processor to store item location in the struct. Done to improve performance. |
SY_EXCP_TBL | Contains the errors generated by OPM GL Synchronization process for invalid data. The exception report runs off this table. |
SY_SOFT_DTL | Defines tables(sources) and their attributes for use in supporting a given Third-Party integration. |
SY_SOFT_MST | Defines Third-Party software which has a supported interface to OPM. |