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Not Implemented DB Objects

Contents

Preface

This page describes all the objects that aren't used in Openbravo's database, starting in version 2.3x, it's open to any comment.

The not implemented tables and columns are those ones that are not implemented yet but are planned to be implemented in future releases.

The deprecated tables and columns are the ones that are not used by the ERP and will be removed from the dictionary. In a first step, the fields that point to these objects will be removed (the effect of this will be that they will not be longer shown in the user interface). In a second phase they will be definitely removed from the database.

Custom code tables and columns are objects that are used in different live installations but they don't belong to the core product, so they will be treated as deprecated objects.

Tables

Not implemented Yet

Table Name Description Comment
AD_Alert This table stores a line per each of the raised alerts.
AD_AlertRecipient This table contains the recipients of the alert, they can be defined as individual users or as roles.
AD_AlertRule Alert Rule defines the condition that will raise alerts.
AD_Attachment The Attachment tab displays the attributes of an attachment.
AD_ChangeLog Log of data changes\\Log of data changes
AD_Column_Access If listed here, the Role can(not) access the column of this table, even if the role has access to the functionality
AD_Record_Access If listed here, the Role can(not) access the data records of this table, even if the role has access to the functionality
C_City The Cities Tab defines Cities within a Country or Region. Cities entered here are not referenced when entering the address.
C_InterOrg_Acct The Organization Accounting Tab defines the default accounting parameters to be used by this Organization.
C_OrgAssignment
C_ProjectIssue The lab lists the Issues to the project initiated by the Issue to Project process. You can issue Receipts, Time and Expenses, or Stock.
C_RevenueRecognition The Revenue Recognition Tab defines the intervals at which revenue will be recognized. You can also base the revenue recognition on provided Service Levels.
C_RevenueRecognition_Plan The Revenue Recognition plan is generated then invoicing a product with revenue recognition. With Revenue Recognition, the amount is posted to the Unrecognized revenue and over time or based on Service Level booked to Earned Revenue.
C_RevenueRecognition_Run
C_ServiceLevel The service level is automatically created when creating an invoice with products using revenue recognition based on service levels.
C_ServiceLevelLine Add new service level lines to change the recognized amount
I_BankStatement Allows the bank statement import configuration and its execution
I_GLJournal A new Journal Batch is created, if the Batch Document No is different. A new Journal is created, if the Document No, Accounting Schema, Currency, Document Type, GL Category, Posting Type or Accounting type is different.

Please note that there are three

I_Inventory Validate and Import Inventory Transactions. The Locator is primarily determined by the Locator Key, then the Warehouse and X,Y,Z fields.<p>A Physical Inventory is created per Warehouse and Movement Date.
I_Invoice You should supply the Document Type Name (or ID). The Document Type is on purpose not fully derived as it has too many consequences if it's wrong. The best way is to set the Document Type Name as a Constant in your Import File Format or as an imported fi
M_PerpetualInv
M_Replenish The Replenishment defines the type of replenishment quantities. This is used for automated ordering.
R_MailText The mail template configuration includes all template parameter configurations for the use.
R_Request The Request Tab defines any Request submitted by a Business Partner.\\The Request Tab defines any Request submitted by a Business Partner.\\Shows all the resquests of the partner selected.
R_RequestAction The Action History Tab displays any actions which have been taken for a Request.\\The Action History Tab displays any actions which have been taken for a Request.
R_RequestProcessor The Request Processor Tab allows you to define processes that you want to occur and the frequency and timing of these processes. If no other user is found, the items are assigned to the supervisor.
R_RequestProcessor_Route Define the sequence of keywords and to whom the web and mail requests should be routed to.
R_RequestType Request Types are used for processing and categorizing requests. Options are Account Inquiry, Warranty Issue, etc.
R_ResourcePlanCost Planned (budgeted) Costs of the Resource
S_Resource Maintain Resources
S_ResourceAssignment History of Assignments
S_ResourceType Maintain Resource types and their principal availability.
S_ResourceUnAvailable Dates, when the resource is not available (e.g. vacation)

Deprecated

Table Name Description Comment
A_Asset_Delivery Record of delivery or availability
A_Asset_Retirement
AD_Attribute The Custom Attribute Tab defines additional attributes or information for a product or entity.
AD_Attribute_Value
AD_Color
AD_Desktop Desktop is a collection of Workbenches
AD_Desktop_Trl
AD_DesktopWorkbench
A_Depreciation
AD_Error The Error Message Tab displays error messages that have been generated. They can be deleted with an automated clean up process.
AD_Find
AD_PrintColor Colors used for printing
AD_PrintFont Font used for printing
AD_PrintForm The selection determines what Print Format is used to print a particular Form for your Organization.
AD_PrintFormat The print format determines how data is rendered for print.
AD_PrintFormatItem Display Order of the Print Format Items\\Sort Order of the Print Format Items\\Item in the print format maintaining layout information
AD_PrintFormatItem_Trl Print Format Translation
AD_PrintGraph Define Graph to be included
AD_PrintLabel Maintain the Format for printing Labels
AD_PrintLabelLine Maintain Format of the line on a Label
AD_PrintLabelLine_Trl Maintain the translation for Label Line formats
AD_PrintPaper Printer Paper Size, Orientation and Margins. The Validation Code contains the Media Size name. The names of the media sizes correspond to those in the IPP 1.1 RFC 2911 - http://www.ietf.org/rfc/rfc2911.txt
AD_PrintTableFormat The Print Table Format lets you define how table header, etc. is printed. If you leave the entries empty, the default colors and fonts are used:
Fonts are based on the Font used in the Report; Page Header and Table Header will be bold, the Function Fo
AD_Process_Scheduling
AD_Replication Data Replication Target Details. Maintained on the central server. Make sure that the IP range is unique for every remote system - Otherwise you will loose data!!
AD_Replication_Log Detail Info
AD_Replication_Run Historic Info
AD_ReplicationStrategy The Data Replication Strategy determines which tables and how they are replicated. Note that the migration does not syncronize Application Dictionary items.
AD_ReplicationTable Determines how the table is replicated. You have full access to Local tables, Reference tables are on Remote systems and are read-only. The data of Merge tables on Remote systems is copied to the central system.
AD_ReportView The Define Report View defines the views used in report generation
AD_ReportView_Col The Report View Column Tab defines any columns which will be overridden in the generation of the select SQL
AD_Sequence_Audit
AD_Sequence_No
AD_TaskInstance
AD_Trace
AD_UserDef_Field
AD_UserDef_Tab
AD_UserDef_Win
AD_WF_Instance
AD_Workbench
AD_Workbench_Trl
AD_WorkbenchWindow
C_Approval The Approval Tab defines the approval types to be used in documents.
C_BankAccountDoc In this tab, you define the documents used for this bank account. You define your check and other payment document (sequence) number as well as format.
C_BP_EDI
C_BP_Withholding The Withholding Tab defines any withholding information for this business partner.
C_CostType
C_Cycle Define the currency that projects Project are reported. The projects themselves could be in a different currency.
C_CyclePhase Link similar Project Phases to a Cycle Step
C_CycleStep The Cycle Step determines the logical sequence of events within your cycle. It is the common of similar Project Phases making different project types comparable.
C_DocType_Copy This tab sets number of copies for each document by default.
C_DocType_Copy_Trl
C_Dunning The Dunning Tab defines the parameters for a dunning level.
C_DunningLevel The Dunning Level Tab defines the timing and frequency of the dunning notices.
C_DunningLevel_Trl Dunning Level Translation contains the tab translation to different languages
C_DunningRun
C_DunningRunEntry
C_InvoicePaySchedule
C_InvoiceSchedule The Invoice Schedule Tab defines the frequency for which batch invoices will be generated for a Business Partner.
C_PaySchedule
C_Withholding The Withholding Rules Tab define the rules governing the withholding of amounts.
C_Withholding_Acct The Withholding Accounting Tab defines the accounting parameters for Withholding.
Fact_Acct_Balance
GL_Budget The GL Budgets are used to define the anticipated costs of doing business. They are used in reporting as a comparison to actual amounts.
I_ReportLine
K_Category Set up knowledge categories and values as a search aid. Examples are Release Version, Product Area, etc. Knowledge Category values act like keyworks.
K_CategoryValue The value of the category is a keyword
K_Comment Comment regarding a knowledge entry
K_Entry The searchable Knowledge Entry
K_EntryCategory Assiged Category - Value for the Knowlede Entry
K_EntryRelated Related Knowlege Entry for this Knowledge Entry
K_Source The Source of a Knowlegde Entry is a pointer to the originating system. The Knowledge Entry has an additional entry (Description URL) for more detailed info.
K_Synonym Search Synonyms for Knowledge Keywords; Example: Product = Item
K_Topic Topic or Discussion Thead
K_Type Area of knowlege - A Type has multiple Topics
MA_CalcStd Standard calculation costs registration is generated automatically
MA_DefaultPlan
MA_ProductType The product type defines any products role at any production chain: raw material, intermediate product, final product, consume product,...
MA_SequenceProduct_Cost This tab contins de production costs configuration
M_AttributeSearch Attributes are specific to a Product Attribute Set (e.g. Size for T-Shirts: S,M,L). If you have multiple attributes and want to search under a common sttribute, you define a search sttribute. Example: have one Size search attribute combining the values of
MA_WETechnicalSupport In this tab are introduced all the technical supports done during the work
M_DiscountSchemaBreak
M_EDI
M_EDI_Info
M_Lot Maintain the individual Lot of a Product
M_LotCtl Definition to create Lot numbers for Products
M_Product_Costing Define Costing
M_SerNoCtl Definition to create Serial numbers for Products
PA_Achievement The Performance Achievement Tab defines the Tasks to be achieved. The performance is measured by the percentage of reached achievements.
PA_Color The Performance Color Tab allows you to alter the system default colors to indicate a performance level.
PA_Goal The Performance Goal Tab defines specific goals for performance.
PA_Measure The Performance Measure Tab defines the date range and method to be used for measuring performance.
PA_MeasureCalc The Performance Measure Calculation defines how performance measures will be calculated. Please test the statement in SQL*Plus first.The select statement needs to return a single value!Any restrictions for Date range, Organizations, Business Partners,
PA_Report
PA_ReportColumn A column represents a column in a Financial Report
PA_ReportColumnSet Column Sets are the combination of Columns to be included in a Financial Report
PA_ReportLine
PA_ReportLineSet
PA_ReportSource
S_Training The training may have multiple actual classes. New Classes are created here.
S_Training_Class A scheduled class
TIRE_Storage
W_Advertisement Advertisement on the Web
W_Basket
W_BasketLine
W_Click
W_ClickCount
W_Counter
W_CounterCount

Custom code

Table Name Description Comment
MA_ConsumeProduct The Product tab is used to detail the product which at the same time needs to be activated in the Product window.
MA_ConsumeRM The Raw Materials tab is used to detail the raw materials which compose a product,
M_Locator_Renting Contains all the rented locators

Columns

Not Implemented Yet

Table Name Column Name Description Comment
a_asset depreciatedplan value that is planned to be depreciated.
a_asset_acct a_disposal_gain disposal gain account
a_asset_acct a_disposal_loss disposal loss account
a_asset_group_acct a_disposal_gain disposal gain account
a_asset_group_acct a_disposal_loss disposal loss account
ad_column vformat value format is the format the value will be displayed with.
ad_field isfieldonly the field only checkbox indicates that the column will display without a label.
ad_process isuserstartable the user can start process checkbox indicates that this process can be initiated by the user (as opposed to system initiated)
ad_process_para vformat value format is the format the value will be displayed with.
ad_reference vformat value format is the format the value will be displayed with.
ad_sequence vformat value format is the format the value will be displayed with.
ad_system info the information displays data from the source document line.
ad_system name the name of an entity (record) is used as an default search option in addition to the search key. the name is up to 60 characters in lenght.
ad_tab commitwarning warning or information displayed when committing the record
ad_table ischangelog if selected, a log of all changes is maintained.
ad_table isdefaultacct is default account
ad_table issecurityenabled the security enabled checkbox indicates that user access to the data in this table can be restricted using roles.
ad_user ad_orgtrx_id the organization which performs or initiates this transaction (for another organization). the owning organization may not be the transaction organization in a service bureau environment, with centralized services, and inter-organization transactions.
ad_wf_node xposition absolute x (horizontal) position in 1/72 of an inch
ad_wf_node yposition absolute y (vertical) position in 1/72 of an inch
ad_wf_nodenext condition the condition field identifies the condition that must be met before the workflow can proceed to the next task.
c_acctschema autoperiodcontrol in the automatic period control, periods are opened and closed based on the current date. if the manual alternative is activated, you have to open and close periods explicitly.
c_acctschema costingmethod the costing method indicates how costs will be calculated (standard, average)
c_acctschema hasalias the alias checkbox indicates that account combination can be selected using a user defined alias or short key.
c_acctschema hascombination the combination control checkbox indicates if the combination of account elements will be verified against the defined acceptable combination.
c_acctschema isaccrual the accrual checkbox indicates if this accounting schema will use accrual based account or cash based accounting. the accrual method recognizes revenue when the product or service is delivered. cash based method recognizes income when then payment is received.
c_acctschema isdiscountcorrectstax payment discounts may require to correct the tax. this primarily applicable in vat systems. if the original invoice had tax records, the payment discount, write-off, etc. is corrected by the tax. the calculation of the tax is prorated based on the invoice.
c_acctschema istradediscountposted if the invoice is based on an item with a list price, the amount based on the list price and the discount is posted instead of the net amount.example: quantity 10 - list price: 20 - actual price: 17if selected for a sales invoice 200 is posted to produc
c_acctschema period_openfuture if automatic period control is enabled, the current period is calculated based on the system date and you can always post to all days in the current period. future days enable to post to future periods. e.g. today is apr 15th and future days is set to 30, you can post up to may 15th
c_acctschema period_openhistory if automatic period control is enabled, the current period is calculated based on the system date and you can always post to all days in the current period. history days enable to post to previous periods. e.g. today is may 15th and history days is set to 30, you can post back to april 15th
c_acctschema_default a_accumdepreciation_acct accumulated depreciation account
c_acctschema_default a_depreciation_acct depreciation account
c_acctschema_default a_disposal_gain disposal gain account
c_acctschema_default a_disposal_loss disposal loss account
c_acctschema_default b_interestexp_acct the bank interest expense account identifies the account to be used for recording interest expenses.
c_acctschema_default b_interestrev_acct the bank interest revenue account identifies the account to be used for recording interest revenue from this bank.
c_acctschema_default b_settlementgain_acct the bank settlement gain account identifies the account to be used when recording a currency gain when the settlement and receipt currency are not the same.
c_acctschema_default b_settlementloss_acct the bank settlement loss account identifies the account to be used when recording a currency loss when the settlement and receipt currency are not the same.
c_acctschema_default b_unallocatedcash_acct receipts not allocated to invoices
c_acctschema_default b_unidentified_acct the bank unidentified receipts account identifies the account to be used when recording receipts that can not be reconciled at the present time.
c_acctschema_default cb_cashtransfer_acct account for invoices paid by cash
c_acctschema_default ch_revenue_acct the charge revenue account identifies the account to use when recording charges paid by customers.
c_acctschema_default c_prepayment_acct the customer prepayment account indicates the account to be used for recording prepayments from a customer.
c_acctschema_default e_expense_acct the employee expense account identifies the account to use for recording expenses for this employee.
c_acctschema_default e_prepayment_acct the employee prepayment account identifies the account to use for recording expense advances made to this employee.
c_acctschema_default notinvoicedreceipts_acct the not invoiced receipts account indicates the account used for recording receipts for materials that have not yet been invoiced.
c_acctschema_default notinvoicedreceivables_acct the not invoiced receivables account indicates the account used for recording receivables that have not yet been invoiced.
c_acctschema_default notinvoicedrevenue_acct the not invoiced revenue account indicates the account used for recording revenue that has not yet been invoiced.
c_acctschema_default paydiscount_exp_acct indicates the account to be charged for payment discount expenses.
c_acctschema_default paydiscount_rev_acct indicates the account to be charged for payment discount revenues.
c_acctschema_default p_invoicepricevariance_acct the invoice price variance is used reflects the difference between the current costs and the invoice price.
c_acctschema_default pj_asset_acct the project asset account is the account used as the final asset account in capital projects
c_acctschema_default p_purchasepricevariance_acct the purchase price variance is used in standard costing. it reflects the difference between the standard cost and the purchase order price.
c_acctschema_default p_tradediscountgrant_acct the trade discount granted account indicates the account for granted trade discount in sales invoices
c_acctschema_default p_tradediscountrec_acct the trade discount receivables account indicates the account for received trade discounts in vendor invoices
c_acctschema_default realizedgain_acct the realized gain account indicates the account to be used when recording gains achieved from currency revaluation that have been realized.
c_acctschema_default realizedloss_acct the realized loss account indicates the account to be used when recording losses incurred from currency revaluation that have yet to be realized.
c_acctschema_default t_expense_acct the tax expense account indicates the account used to record the taxes that have been paid that cannot be reclaimed.
c_acctschema_default t_liability_acct the tax liability account indicates the account used to record your tax liability declaration.
c_acctschema_default t_receivables_acct the tax receivables account indicates the account used to record the tax credit amount after your tax declaration.
c_acctschema_default unearnedrevenue_acct the unearned revenue indicates the account used for recording invoices sent for products or services not yet delivered. it is used in revenue recognition
c_acctschema_default unrealizedgain_acct the unrealized gain account indicates the account to be used when recording gains achieved from currency revaluation that have yet to be realized.
c_acctschema_default unrealizedloss_acct the unrealized loss account indicates the account to be used when recording losses incurred from currency revaluation that have yet to be realized.
c_acctschema_default v_liability_services_acct the vendor service liability account indicates the account to use for recording service liabilities. it is used if you need to distinguish between liability for products and services
c_acctschema_default v_prepayment_acct the vendor prepayment account indicates the account used to record prepayments from a vendor.
c_acctschema_default w_invactualadjust_acct in actual costing systems, this account is used to post inventory value adjustments. you could set it to the standard inventory asset account.
c_acctschema_gl intercompanydueto_acct the intercompany due to account indicates the account that represents money owed to other organizations.
c_bank isownbank the own bank field indicates if this bank is for this organization as opposed to a bank for a business partner.
c_bank routingno the bank routing number (aba number) identifies a legal bank. it is used in routing checks and electronic transactions.
c_bank swiftcode the swift code is an identifier of a bank
c_bankaccount_acct b_interestexp_acct the bank interest expense account identifies the account to be used for recording interest expenses.
c_bankaccount_acct b_interestrev_acct the bank interest revenue account identifies the account to be used for recording interest revenue from this bank.
c_bankaccount_acct b_paymentselect_acct ap payment selection clearing account
c_bankaccount_acct b_settlementgain_acct the bank settlement gain account identifies the account to be used when recording a currency gain when the settlement and receipt currency are not the same.
c_bankaccount_acct b_settlementloss_acct the bank settlement loss account identifies the account to be used when recording a currency loss when the settlement and receipt currency are not the same.
c_bankaccount_acct b_unallocatedcash_acct receipts not allocated to invoices
c_bankaccount_acct b_unidentified_acct the bank unidentified receipts account identifies the account to be used when recording receipts that can not be reconciled at the present time.
c_bpartner bpartner_parent_id the parent (organization) of the business partner for reporting purposes.
c_bpartner socreditstatus for documentation only
c_bp_customer_acct c_prepayment_acct the customer prepayment account indicates the account to be used for recording prepayments from a customer.
c_bp_employee_acct e_expense_acct the employee expense account identifies the account to use for recording expenses for this employee.
c_bp_employee_acct e_prepayment_acct the employee prepayment account identifies the account to use for recording expense advances made to this employee.
c_bp_group_acct c_prepayment_acct the customer prepayment account indicates the account to be used for recording prepayments from a customer.
c_bp_group_acct c_receivable_acct the customer receivables accounts indicates the account to be used for recording transaction for customers receivables.
c_bp_group_acct notinvoicedreceipts_acct the not invoiced receipts account indicates the account used for recording receipts for materials that have not yet been invoiced.
c_bp_group_acct notinvoicedreceivables_acct the not invoiced receivables account indicates the account used for recording receivables that have not yet been invoiced.
c_bp_group_acct notinvoicedrevenue_acct the not invoiced revenue account indicates the account used for recording revenue that has not yet been invoiced.
c_bp_group_acct paydiscount_exp_acct indicates the account to be charged for payment discount expenses.
c_bp_group_acct paydiscount_rev_acct indicates the account to be charged for payment discount revenues.
c_bp_group_acct realizedgain_acct the realized gain account indicates the account to be used when recording gains achieved from currency revaluation that have been realized.
c_bp_group_acct realizedloss_acct the realized loss account indicates the account to be used when recording losses incurred from currency revaluation that have yet to be realized.
c_bp_group_acct unearnedrevenue_acct the unearned revenue indicates the account used for recording invoices sent for products or services not yet delivered. it is used in revenue recognition
c_bp_group_acct unrealizedgain_acct the unrealized gain account indicates the account to be used when recording gains achieved from currency revaluation that have yet to be realized.
c_bp_group_acct unrealizedloss_acct the unrealized loss account indicates the account to be used when recording losses incurred from currency revaluation that have yet to be realized.
c_bp_group_acct v_liability_services_acct the vendor service liability account indicates the account to use for recording service liabilities. it is used if you need to distinguish between liability for products and services
c_bp_group_acct v_prepayment_acct the vendor prepayment account indicates the account used to record prepayments from a vendor.
c_bp_vendor_acct v_liability_services_acct the vendor service liability account indicates the account to use for recording service liabilities. it is used if you need to distinguish between liability for products and services
c_bp_vendor_acct v_prepayment_acct the vendor prepayment account indicates the account used to record prepayments from a vendor.
c_budgetline ad_orgtrx_id the organization which performs or initiates this transaction (for another organization). the owning organization may not be the transaction organization in a service bureau environment, with centralized services, and inter-organization transactions.
c_cash ad_orgtrx_id the organization which performs or initiates this transaction (for another organization). the owning organization may not be the transaction organization in a service bureau environment, with centralized services, and inter-organization transactions.
c_charge ad_client_id a client is a company or a legal entity. you cannot share data between clients.
c_charge chargeamt the charge amount indicates the amount for an additional charge.
c_charge c_taxcategory_id the tax category provides a method of grouping similar taxes. for example, sales tax or value added tax.
c_charge description a description is limited to 255 characters.
c_charge issamecurrency
c_charge issametax the same tax checkbox indicates that this charge should use the same tax as the main transaction.
c_charge istaxincluded the tax included checkbox indicates if the prices include tax. this is also known as the gross price.
c_charge name the name of an entity (record) is used as an default search option in addition to the search key. the name is up to 60 characters in lenght.
c_element add1tree_id the additional tree is used to define alternate roll ups which can be used in reporting. for example, you may have a business partner tree which rolls up based on geographic location and an additional tree which rolls up based on industry.
c_element add2tree_id the additional tree is used to define alternate roll ups which can be used in reporting. for example, you may have a business partner tree which rolls up based on geographic location and an additional tree which rolls up based on industry.
c_element isbalancing the balancing checkbox indicates the this element must balance in each journal transaction. for example, if cost centers have been defined as an element which is balance then the debits and credits for each unique cost center must net to 0.00. this is commonly used to define parts of an organization which report as their own entity. balancing is not an option for the account element.
c_element isnaturalaccount the natural account is often based on (industry specific) chart of accounts
c_elementvalue isdoccontrolled
c_elementvalue postactual the post actual indicates if actual values can be posted to this element value.
c_elementvalue postbudget the post budget indicates if budget values can be posted to this element value.
c_elementvalue postencumbrance
c_elementvalue poststatistical
c_elementvalue validfrom the valid from date indicates the first day of a date range
c_elementvalue validto the valid to date indicates the last day of a date range
c_invoice istaxincluded the tax included checkbox indicates if the prices include tax. this is also known as the gross price.
c_invoiceline chargeamt the charge amount indicates the amount for an additional charge.
c_order istaxincluded the tax included checkbox indicates if the prices include tax. this is also known as the gross price.
c_orderline chargeamt the charge amount indicates the amount for an additional charge.
c_orderline ref_orderline_id reference of the sales order line to the corresponding purchase order line or vice versa.
c_project_acct pj_asset_acct the project asset account is the account used as the final asset account in capital projects
c_project_acct pj_wip_acct the work in process account is the account used in capital projects until the project is completed
c_settlement settlementopen
c_tax_acct t_expense_acct the tax expense account indicates the account used to record the taxes that have been paid that cannot be reclaimed.
c_tax_acct t_liability_acct the tax liability account indicates the account used to record your tax liability declaration.
c_tax_acct t_receivables_acct the tax receivables account indicates the account used to record the tax credit amount after your tax declaration.
c_validcombination ad_orgtrx_id the organization which performs or initiates this transaction (for another organization). the owning organization may not be the transaction organization in a service bureau environment, with centralized services, and inter-organization transactions.
fact_acct a_asset_id any item of economic value owned by the corporation, especially that which could be converted to cash.
fact_acct ad_orgtrx_id the organization which performs or initiates this transaction (for another organization). the owning organization may not be the transaction organization in a service bureau environment, with centralized services, and inter-organization transactions.
gl_journal isprinted the printed checkbox indicates if this document or line will included when printing.
ma_costcenter cost cost amount.
ma_costcenter costuom unit of measure for cost
ma_machine ma_costcenter_id identifies a cost center.
ma_machine_cost consume
ma_process ma_cc_idprep
ma_process ma_cc_idwork
ma_sequence calculated indicates that the record has been calculated.
ma_workrequirement name the name of an entity (record) is used as an default search option in addition to the search key. the name is up to 60 characters in lenght.
ma_wrphase name the name of an entity (record) is used as an default search option in addition to the search key. the name is up to 60 characters in lenght.
ma_wrphase preptime preparation time needed in hours.
ma_wrphaseproduct name the name of an entity (record) is used as an default search option in addition to the search key. the name is up to 60 characters in lenght.
m_discountschema cumulativelevel
m_discountschema discounttype type of procedure used to calculate the trade discount percentage
m_discountschema flatdiscount
m_discountschema isquantitybased the calculation of the trade discount level is based on the quantity of the order and not the value amount of the order
m_discountschema script use java language constructs to define the result of the calculation
m_discountschema validfrom the valid from date indicates the first day of a date range
m_pricelist basepricelist_id the base price list identifies the default price list to be used if a product is not found on the selected price list
m_product enforce_attribute for differing the stock of a product by the attribute
m_product s_resource_id the id identifies a unique resource
m_product stock_min minimum stock of a product
m_product versionno version number
m_product_acct p_asset_acct the product asset account indicates the account used for valuing this a product in inventory.
m_product_acct p_cogs_acct the product cogs account indicates the account used when recording costs associated with this product.
m_product_acct p_invoicepricevariance_acct the invoice price variance is used reflects the difference between the current costs and the invoice price.
m_product_acct p_purchasepricevariance_acct the purchase price variance is used in standard costing. it reflects the difference between the standard cost and the purchase order price.
m_product_acct p_tradediscountgrant_acct the trade discount granted account indicates the account for granted trade discount in sales invoices
m_product_acct p_tradediscountrec_acct the trade discount receivables account indicates the account for received trade discounts in vendor invoices
m_product_category_acct p_asset_acct the product asset account indicates the account used for valuing this a product in inventory.
m_product_category_acct p_invoicepricevariance_acct the invoice price variance is used reflects the difference between the current costs and the invoice price.
m_product_category_acct p_purchasepricevariance_acct the purchase price variance is used in standard costing. it reflects the difference between the standard cost and the purchase order price.
m_product_category_acct p_tradediscountgrant_acct the trade discount granted account indicates the account for granted trade discount in sales invoices
m_product_category_acct p_tradediscountrec_acct the trade discount receivables account indicates the account for received trade discounts in vendor invoices
m_product_po royaltyamt
m_warehouse_acct w_invactualadjust_acct in actual costing systems, this account is used to post inventory value adjustments. you could set it to the standard inventory asset account.
m_warehouse_acct w_inventory_acct the warehouse inventory asset account identifies the account used for recording the value of your inventory.
m_warehouse_acct w_revaluation_acct the inventory revaluation account identifies the account used to records changes in inventory value due to currency revaluation.

Deprecated

Table Name Column Name Description Comment
a_asset cause
a_asset profit
ad_client documentdir directory to store documents by the application server. the path/directory is accessed by the application server and may not be accessible to clients.
ad_client webdir the web directory defines the look and feel for the web interface.
ad_client webinfo display html info in the web store - by default in the header.
ad_client weborderemail when processig a web order, a confirmation is sent to the email addess of the customer from the request email address copying this email address when entered.
ad_client webparam1 the parameter could be used in the jsp page for variables like logos, passwords, urls or entire html blocks. the access is via ctx.webparam1
ad_client webparam2 the parameter could be used in the jsp page for variables like logos, passwords, urls or entire html blocks. the access is via ctx.webparam2
ad_client webparam3 the parameter could be used in the jsp page for variables like logos, passwords, urls or entire html blocks. the access is via ctx.webparam3
ad_client webparam4 the parameter could be used in the jsp page for variables like logos, passwords, urls or entire html blocks. the access is via ctx.webparam4
ad_client webparam5 the parameter could be used in the jsp page for variables like logos, passwords, urls or entire html blocks. the access is via ctx.webparam5
ad_client webparam6 the parameter could be used in the jsp page for variables like logos, passwords, urls or entire html blocks. the access is via ctx.webparam6
ad_column entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_column version the version indicates the version of this table definition.
ad_element entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_field entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_field isheading the heading only checkbox indicates if just the label will display on the screen
ad_form entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_menu entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_menu isreadonly the read only indicates that this field may only be read. it may not be updated.
ad_menu issotrx the sales transaction checkbox indicates if this item is a sales transaction.
ad_message entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_model_object ad_workbench_id collection of windows, reports
ad_process entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_process_para entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_reference entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_ref_list entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_ref_table entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_sequence isaudited the activate audit checkbox indicates if an audit trail of numbers generated will be kept.
ad_system idrangeend the id range allows to restrict the range of the internally used ids. please note that the id range is not enforced.
ad_system idrangestart the id range allows to restrict the range of the internally used ids. the standard rages are 0-899,999 for the application dictionary 900,000-999,999 for application dictionary customizations/extensions and > 1,000,000 for client data. the standard system limit is 9,999,999,999 but can easily be extended. the id range is on a per table basis.please note that the id range is not enforced.
ad_system password the password indicates the password for this user id. passwords are required to identify authorized users.
ad_system replicationtype the type of data replication determines the directon of the data replication.
reference means that the data in this system is read only ->
local means that the data in this system is not replicated to other systems -
merge means that the d
ad_system supportunits
ad_system username name that identifies the user in the system
ad_tab entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_table ad_val_rule_id the validation rule indicates a unique validation rule. these rules define how an entry is determined to valid or invalid.
ad_table entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_table loadseq sequence of the table
ad_table replicationtype the type of data replication determines the directon of the data replication.
reference means that the data in this system is read only ->
local means that the data in this system is not replicated to other systems -
merge means that the d
ad_task entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_user pa_goal_id the performance goal indicates what this users performance will be measured against.
ad_user pa_goalprivate_id the personal goals displays goals that a user will set for themselves.
ad_val_rule entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_wf_node entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_window ad_color_id color for backgrounds or indicators
ad_window entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
ad_workflow entitytype the entity types dictionary, core and application might be automatically synchronized and customizations deleted or overwritten.
c_bankaccount accountno the account number indicates the number assigned to this account
c_bankaccount stmtprocessorclass the statement processor class indicates the java class to process bank statements
c_bankstatementline isreversal the reversal check box indicates if this is a reversal of a prior transaction.
c_bpartner ad_forced_org_id an organization is a unit of your client or legal entity - examples are store, department. you can share data between organizations.
c_bpartner c_dunning_id the dunning indicates the rules and method of dunning for past due payments.
c_bpartner freightcostrule the freight cost rule indicates the method used when charging for freight.
c_bpartner invoice_printformat_id you need to define a print format to print the document.
c_bpartner m_discountschema_id after calculation of the (standard) price, the trade discount percentage is calculated and applied resulting in the final price.
c_bpartner po_discountschema_id
c_bpartner sendemail send emails with document attached (e.g. invoice, delivery note, etc.)
c_bpartner_location isdn the isdn identifies a isdn or modem line number.
c_bpartner_location upc use this field to enter the bar code for the product in any of the bar code symbologies (codabar, code 25, code 39, code 93, code 128, upc (a), upc (e), ean-13, ean-8, itf, itf-14, isbn, issn, jan-13, jan-8, postnet and fim, msi/plessey, and pharmacode)
c_bp_bankaccount c_bank_id the bank is a unique identifier of a bank for this organization or for a business partner with whom this organization transacts.
c_bp_bankaccount creditcardvv the credit card verification indicates the verification code on the credit card (amex 4 digits on front; mc,visa 3 digits back)
c_bp_bankaccount isach the ach checkbox indicates if this bank account accepts ach transactions.
c_bp_bankaccount r_avsaddr the address verified indicates if the address has been verified by the credit card company.
c_currency emuentrydate the emu entry date defines the date that this currency entered, or will enter the economic monetary union.
c_currency emurate the emu rate defines the official rate to be used when converting from this currency to the euro.
c_currency isemumember the emu member checkbox is used to indicate if this currency is a member of the european economic union.
c_currency iseuro the euro currency checkbox is used to indicate if this currency is the euro currency.
c_doctype ad_printformat_id the print format determines how data is rendered for print.
c_doctype batchnosequence_id
c_doctype c_approval_id the approval indicates the type of approval. this field is displayed only if the approved checkbox has been selected
c_doctype c_doctypeproforma_id the document type for invoice indicates the document type that will be used when an invoice is generated from this sales document. this field will display only when the base document type is sales order and the pro forma invoice checkbox is selected
c_doctype createpicklist
c_doctype hascharges the charges checkbox indicates that charges can be added to this document. charges can include items like shipping, handling or bank charges.
c_doctype hasproforma the pro forma invoice checkbox indicates if pro forma invoices can be generated from this sales document. a pro forma invoice indicates the amount that will be due should an order be shipped.
c_doctype isapproved the approved checkbox indicates if this document requires approval before it can be processed.
c_doctype isbatchcontrolenforced
c_doctype isbatchdocnocontrolled
c_doctype isbatched
c_doctype ismaxtable this field is associated with isorgfiltered field. if isorgfiltered='y' ismaxtable must be equal to 'y' this will calculate the correct document number of the organization. a different document number for each organization.
c_doctype isprinted the printed checkbox indicates if this document or line will included when printing.
c_doctype istransferred the transferred checkbox indicates if the transactions associated with this document should be transferred to the general ledger.
c_invoice isapproved the approved checkbox indicates if this document requires approval before it can be processed.
c_invoice ispaid the document is paid
c_invoice istransferred the transferred checkbox indicates if the transactions associated with this document should be transferred to the general ledger.
c_invoice sendemail send emails with document attached (e.g. invoice, delivery note, etc.)
c_invoiceline a_asset_id any item of economic value owned by the corporation, especially that which could be converted to cash.
c_order isapproved the approved checkbox indicates if this document requires approval before it can be processed.
c_order iscreditapproved credit approved indicates if the credit approval was successful for orders
c_order istransferred the transferred checkbox indicates if the transactions associated with this document should be transferred to the general ledger.
c_order sendemail send emails with document attached (e.g. invoice, delivery note, etc.)
c_orderline lot the lot number indicates the specific lot that a product was part of.
c_orderline serno the serial number identifies a tracked, warranted product. it can only be used when the quantity is 1.
c_paymentterm afterdelivery the after delivery checkbox indicates that payment is due after delivery as opposed to after invoicing.
c_paymentterm discount the discount indicates the discount applied or taken as a percentage.
c_paymentterm discountdays the discount days indicates the number of days that payment must be received in to be eligible for the stated discount.
c_paymentterm discountdays2 the discount days indicates the number of days that payment must be received in to be eligible for the stated discount.
c_paymentterm discount2 the discount indicates the discount applied or taken as a percentage.
c_paymentterm fixmonthcutoff the fix month cutoff indicates the last day invoices can have to be included in the current due date. this field only displays when the fixed due date checkbox has been selected.
c_paymentterm gracedays the grace days indicates the number of days after the due date to send the first dunning letter. this field displays only if the send dunning letters checkbox has been selected.
c_tax isdocumentlevel if the tax is calculated on document level, all lines with that tax rate are added before calculating the total tax for the document.otherwise the tax is calculated per line and then added.due to rounding, the tax amount can differ.
c_tax requirestaxcertificate the requires tax certificate indicates that a tax certificate is required for a business partner to be tax exempt.
c_taxcategory commoditycode the commodity code indicates a code that is used in tax calculations
fact_acct gl_budget_id the general ledger budget identifies a user defined budget. these can be used in reporting as a comparison against your actual amounts.
i_order freightamt the freight amount indicates the amount charged for freight in the document currency.
m_attribute m_attributesearch_id attributes are specific to a product attribute set (e.g. size for t-shirts: s,m,l). if you have multiple attributes and want to search under a common sttribute, you define a search sttribute. example: have one size search attribute combining the values of all different sizes (size for dress shirt xl,l,m,s,xs). the attribute search allows you to have all values available for selection. this eases the maintenance of the individual product attribute.
m_inout sendemail send emails with document attached (e.g. invoice, delivery note, etc.)
m_inoutline lot the lot number indicates the specific lot that a product was part of.
m_inoutline serno the serial number identifies a tracked, warranted product. it can only be used when the quantity is 1.
m_product c_revenuerecognition_id the revenue recognition indicates how revenue will be recognized for this product
m_product ma_producttype_id
m_product r_mailtext_id the mail template indicates the mail template for return messages.
m_productionplan realcost real cost
mrp_run_purchase recalculatestock process to recalculate the product quantities of the lines.
m_shipper trackingurl the variable @trackingno@ in the url is replaced by the actual tracking number of the shipment.
r_interestarea isselfservice self-service allows users to enter data or update their data. the flag indicates, that this record was entered or created via self-service or that the user can change it via the self-service functionality.
s_timeexpense isapproved the approved checkbox indicates if this document requires approval before it can be processed.


Custom code Deprecated

Table Name Column Name Description Comment
ad_org upc use this field to enter the bar code for the product in any of the bar code symbologies (codabar, code 25, code 39, code 93, code 128, upc (a), upc (e), ean-13, ean-8, itf, itf-14, isbn, issn, jan-13, jan-8, postnet and fim, msi/plessey, and pharmacode)
c_bpartner ismanager
c_bpartner isworker
c_bpartner managers
c_bpartner m_wh_schedule_id the warehouse schedule id identifies a unique schedule for renting locators.
c_bpartner storagepaymentrule
c_orderline lastpriceso the last sales order price of the product with the business partner of the sales order
c_tax isprinttax
ma_ccp_group hassecproduct indicates that the group has a secondary product.
ma_measure_group hassecproduct indicates that the group has a secondary product.
ma_measure_group product is the product that is being measured.
ma_measure_shift lot the lot number indicates the specific lot that a product was part of.
ma_measure_shift product is the product that is being measured.
ma_measure_shift sellbydate
ma_sequenceproduct consumerm
ma_sequenceproduct decreaseind
ma_sequenceproduct rminput
ma_workrequirement wrtype
ma_wrphaseproduct consumerm
ma_wrphaseproduct decreaseind
m_inout updatelines update attribute lines from shipment
m_inoutline m_inoutline_type_id the id identifies a unique record
m_locator invoicingtype how to invoice a locator is being renting
m_locator m_locator_type_id the id identifies the unique type for the locator
m_locator sizemultiplier
m_product bundle_uom
m_product greenpoint_uom
m_product upc2
m_productionline printlabel process to print labels for the product.
m_productionline secquality
m_warehouse locatorunitsperpallet
m_warehouse warehouse_size

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