Showing posts with label Release 12i. Show all posts
Showing posts with label Release 12i. Show all posts

bank_account_id in Release 12i (CE_BANK_ACCOUNT_USE_ID)

In 11i the field 'bank_account_id' acts as a relation key between the AP_CHECKS_ALL and AP_BANK_ACCOUNTS_ALL tables.

In 12i the same field is no longer is used in AP_CHECKS_ALL table.

In 12i where 'CE_BANK_ACCOUNT_USE_ID is acts as 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 process across ledger.
Centralized trading partners i.e Supplier , Banks , First Party Legal entities.
Simplified reporting via XML Publisher and DBI.
Netting across trading partners.