SN
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Process
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Remarks
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Query
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1
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Enter Order
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Flow status :
Header: Entered line: Entered |
SELECT
HEADER_ID ,ORDER_NUMBER ,FLOW_STATUS_CODE ,ORDER_CATEGORY_CODE ,BOOKED_FLAG ,ORG_ID FROM oe_order_headers_all WHERE order_number = 66465 |
SELECT
HEADER_ID ,LINE_ID ,LINE_TYPE_ID ,FLOW_STATUS_CODE ,LINE_NUMBER ,ORDERED_ITEM ,ORDERED_QUANTITY ,UNIT_LIST_PRICE_PER_PQTY FROM OE_ORDER_LINES_ALL WHERE 1=1 AND HEADER_ID = 192535 |
2
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Book Order
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Header :Booked
Line: Awaiting Shipping Record(s) will be created in the table WSH_DELIVERY_DETAILS with RELEASED_STATUS=’R’ (Ready to Release) Also Record(s) will be inserted into WSH_DELIVERY_ASSIGNMENTS. SELECT * FROM WSH_DELIVERY_ASSIGNMENTS At the same time DEMAND INTERFACE PROGRAM runs in the background and inserts into MTL_DEMAND select * from MTL_DEMAND BackGround Program: Demand Interface program |
SELECT
HEADER_ID ,ORDER_NUMBER ,FLOW_STATUS_CODE ,ORDER_CATEGORY_CODE ,BOOKED_FLAG ,ORG_ID FROM oe_order_headers_all WHERE order_number = 66465 |
SELECT
HEADER_ID ,LINE_ID ,LINE_TYPE_ID ,FLOW_STATUS_CODE ,LINE_NUMBER ,ORDERED_ITEM ,ORDERED_QUANTITY ,UNIT_LIST_PRICE_PER_PQTY FROM OE_ORDER_LINES_ALL WHERE 1=1 AND HEADER_ID = 192535 |
3
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Pick Release
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Header :Booked
Line : Pick Confirmed If Auto create Delivery is set to ‘Yes’ then a new record is created in the table WSH_NEW_DELIVERIES DELIVERY_ID is populated in the table WSH_DELIVERY_ASSIGNMENTS. The RELEASED_STATUS in WSH_DELIVERY_DETAILS would be now set to ‘Y’ (Pick Confirmed) if Auto Pick Confirm is set to Yes otherwise RELEASED_STATUS is ‘S’ (Release to Warehouse). Back Ground Program: Pick Slip Report Shipping Execution Report Auto Pack Report Line: Pick Confirmed |
SELECT
DELIVERY_DETAIL_ID ,SOURCE_HEADER_ID ,SOURCE_LINE_ID ,CUSTOMER_ID ,INVENTORY_ITEM_ID ,RELEASED_STATUS FROM WSH_DELIVERY_DETAILS WHERE 1=1 AND SOURCE_HEADER_ID = 192535 ----------------------------------------------- SELECT * FROM WSH_NEW_DELIVERIES WHERE 1=1 AND DELIVERY_ID = 3773405 ORDER BY CREATION_DATE DESC -------------------------------------------------- SELECT * FROM WSH_DELIVERY_ASSIGNMENTS WHERE 1=1 AND DELIVERY_DETAIL_ID = 3962503 ORDER BY CREATION_DATE DESC |
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4
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Pick Confirm
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Header: Booked
Line : Pick Confirmed |
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5
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Ship Confirm
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Header Booked
Line : Shipped RELEASED_STATUS in WSH_DELIVERY_DETAILS would be ‘C’ (Ship Confirmed) FLOW_STATUS_CODE in OE_ORDER_HEADERS_ALL would be “BOOKED“ FLOW_STATUS_CODE in OE_ORDER_LINES_ALL would be “SHIPPED“ Back Ground Programss: Interface Trip Stop Commercial Invoice Packing Slip Report Bill Of Lading |
SELECT
HEADER_ID ,ORDER_NUMBER ,FLOW_STATUS_CODE ,ORDER_CATEGORY_CODE ,BOOKED_FLAG ,ORG_ID FROM oe_order_headers_all WHERE order_number = 66435 ------------------------------ SELECT HEADER_ID ,LINE_ID ,LINE_TYPE_ID ,FLOW_STATUS_CODE ,LINE_NUMBER ,ORDERED_ITEM ,ORDERED_QUANTITY ,UNIT_LIST_PRICE_PER_PQTY FROM OE_ORDER_LINES_ALL WHERE 1=1 AND HEADER_ID = 192535 --------------------------------- SELECT DELIVERY_DETAIL_ID ,SOURCE_HEADER_ID ,SOURCE_LINE_ID ,CUSTOMER_ID ,INVENTORY_ITEM_ID ,RELEASED_STATUS FROM WSH_DELIVERY_DETAILS WHERE 1=1 AND SOURCE_HEADER_ID = 192535 |
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6
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Invoice
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Header :closed
lines: Closed INTERFACE_LINE_CONTEXT = ’ORDER ENTRY’ INTERFACE_LINE_ATTRIBUTE1= Order_number INTERFACE_LINE_ATTRIBUTE3= Delivery_id RA_CUSTOMER_TRX_ALL will have the Invoice header information. The column INTERFACE_HEADER_ATTRIBUTE1 will have the Order Number. RA_CUSTOMER_TRX_LINES_ALL will have the Invoice lines information. The column INTERFACE_LINE_ATTRIBUTE1 will have the Order Number. Background Programs: Auto Invoice Master Programs Auto Invoice Import Programs |
SELECT * FROM
RA_INTERFACE_LINES_ALL
WHERE 1=1 AND INTERFACE_LINE_CONTEXT = 'ORDER ENTRY' AND INTERFACE_LINE_ATTRIBUTE1 = 66435 AND INTERFACE_LINE_ATTRIBUTE3 = 3773405 ------------------------------------ SELECT CUSTOMER_TRX_ID ,TRX_NUMBER ,INTERFACE_HEADER_ATTRIBUTE1 ,INTERFACE_HEADER_ATTRIBUTE2 ,INTERFACE_HEADER_ATTRIBUTE3 ,INTERFACE_HEADER_CONTEXT ,STATUS_TRX FROM RA_CUSTOMER_TRX_ALL WHERE 1=1 AND INTERFACE_HEADER_CONTEXT = 'ORDER ENTRY' AND INTERFACE_HEADER_ATTRIBUTE1 = '66435' AND INTERFACE_HEADER_ATTRIBUTE3 = 3773405 ORDER BY CREATION_DATE DESC ------------------------------------------------------------------ SELECT * FROM RA_CUSTOMER_TRX_LINES_ALL WHERE 1=1 AND TRX_NUMBER = ’10037546’ AND INTERFACE_LINE_CONTEXT = 'ORDER ENTRY' AND INTERFACE_LINE_ATTRIBUTE1 = 66435 AND INTERFACE_LINE_ATTRIBUTE3 = 3773405 ORDER BY CREATION_DATE DESC |
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7
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Receipt
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Underlying tables:
SELECT * FROM AR_CASH_RECEIPTS_ALL WHERE 1=1 AND RECEIPT_NUMBER = 'R10037546' ORDER BY CREATION_DATE DESC -------------------------------- SELECT * FROM AR_RECEIVABLE_APPLICATIONS_ALL WHERE 1=1 AND CASH_RECEIPT_ID = 113993 ORDER BY CREATION_DATE DESC -------------------------------- SELECT * FROM AR_PAYMENT_SCHEDULES_ALL WHERE 1=1 AND CASH_RECEIPT_ID = 113993 ORDER BY CREATION_DATE DESC |
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8
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Transfer To GL
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9
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Journal Import
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10
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Posting
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Showing posts with label query order to cash. Show all posts
Showing posts with label query order to cash. Show all posts
Friday, December 26, 2014
Order To Cash Cycle Flow with queries
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