IFAC_FIXDEPOSTOPENING 期初定期存入单返回目录
序号 | 列名 | 数据类型 | 长度 | 小数位数 | 主键 | 自增 | 允许空 | 默认值 | 列说明 |
1 | BILLMAKEDATE | CHAR | 19 | | | | √ | | 制单日期 |
2 | BILLMAKER | VARCHAR2 | 20 | | | | √ | '~' | 制单人 |
3 | BILLSTATE | NUMBER | 38 | 0 | | | √ | | 单据状态 |
4 | BUSINESSNO | VARCHAR2 | 50 | | | | √ | | 业务流水号 |
5 | BUSINESSVARIETY | VARCHAR2 | 20 | | | | √ | '~' | 定期业务品种 |
6 | CONFIRMDATE | CHAR | 19 | | | | √ | | 确认日期 |
7 | CREATIONTIME | CHAR | 19 | | | | √ | | 创建时间 |
8 | CREATOR | VARCHAR2 | 20 | | | | √ | '~' | 创建人 |
9 | DEPOSITACCNAME | VARCHAR2 | 50 | | | | √ | | 定期账户说明 |
10 | DEPOSITCODE | VARCHAR2 | 50 | | | | √ | | 存单号 |
11 | DEPOSITDATE | CHAR | 19 | | | | √ | | 存款日期 |
12 | DEPOSITINTERVAL | NUMBER | 38 | 0 | | | √ | | 存款期间 |
13 | DEPOSITYRATE | NUMBER | 28 | 8 | | | √ | | 定期年利率(%) |
14 | DEPOSTBALMNT | NUMBER | 28 | 8 | | | √ | | 存单余额 |
15 | DEPOSTPERIOD | VARCHAR2 | 50 | | | | √ | | 存期 |
16 | DR | NUMBER | 10 | 0 | | | √ | 0 | |
17 | ENDDATE | CHAR | 19 | | | | √ | | 到期日期 |
18 | GLCDEPOSITBALANCE | NUMBER | 28 | 8 | | | √ | | 存单余额集团本币金额 |
19 | GLCRATE | NUMBER | 28 | 8 | | | √ | | 集团本币汇率 |
20 | GLLCDEPOSITBALANCE | NUMBER | 28 | 8 | | | √ | | 存单余额全局本币金额 |
21 | GLLCRATE | NUMBER | 28 | 8 | | | √ | | 全局本币汇率 |
22 | INTERVALUNIT | VARCHAR2 | 50 | | | | √ | | 期间单位 |
23 | ISINITIAL | CHAR | 1 | | | | √ | | 期初标志 |
24 | MODIFIEDTIME | CHAR | 19 | | | | √ | | 最后修改时间 |
25 | MODIFIER | VARCHAR2 | 20 | | | | √ | '~' | 最后修改人 |
26 | OLCDEPOSITBALANCE | NUMBER | 28 | 8 | | | √ | | 存单余额组织本币金额 |
27 | OLCRATE | NUMBER | 28 | 8 | | | √ | | 组织本币汇率 |
28 | PK_AIACRATE | VARCHAR2 | 20 | | | | √ | '~' | 活期利率 |
29 | PK_BILLTYPE | VARCHAR2 | 20 | | | | √ | | 单据类型主键 |
30 | PK_BILLTYPECODE | VARCHAR2 | 20 | | | | √ | | 单据类型编码 |
31 | PK_CONFIRM | VARCHAR2 | 20 | | | | √ | '~' | 确认人 |
32 | PK_CURRTYPE | VARCHAR2 | 20 | | | | √ | '~' | 币种 |
33 | PK_DEPOSITACC | VARCHAR2 | 20 | | | | √ | '~' | 定期账户 |
34 | PK_DEPOSITORG | VARCHAR2 | 20 | | | | √ | '~' | 存款单位 |
35 | PK_DEPOSTRATE | VARCHAR2 | 20 | | | | √ | '~' | 定期利率 |
36 | PK_FIXDEPOSTOPENING | CHAR | 20 | | √ | | | | 期初定期存入单主键 |
37 | PK_GROUP | VARCHAR2 | 20 | | | | √ | '~' | 所属集团 |
38 | PK_INTERESTACC | VARCHAR2 | 20 | | | | √ | '~' | 利息存入账户 |
39 | PK_ORG | VARCHAR2 | 20 | | | | √ | '~' | 资金组织 |
40 | PK_ORG_V | VARCHAR2 | 20 | | | | √ | '~' | 资金组织版本 |
41 | PK_SETTLEACC | VARCHAR2 | 20 | | | | √ | '~' | 结算账户 |
42 | REDEPOSITTYPE | VARCHAR2 | 50 | | | | √ | | 转存类型 |
43 | REMARK | VARCHAR2 | 272 | | | | √ | | 备注 |
44 | SETTLEACCNAME | VARCHAR2 | 50 | | | | √ | | 结算账户说明 |
45 | TS | CHAR | 19 | | | | √ | to_char(sysdate,'yyyy-mm-dd hh24:mi:ss') | |
46 | VBILLCODE | VARCHAR2 | 50 | | | | √ | | 单据编号 |
47 | VDEF1 | VARCHAR2 | 101 | | | | √ | | 自定义项1 |
48 | VDEF10 | VARCHAR2 | 101 | | | | √ | | 自定义项10 |
49 | VDEF2 | VARCHAR2 | 101 | | | | √ | | 自定义项2 |
50 | VDEF3 | VARCHAR2 | 101 | | | | √ | | 自定义项3 |
51 | VDEF4 | VARCHAR2 | 101 | | | | √ | | 自定义项4 |
52 | VDEF5 | VARCHAR2 | 101 | | | | √ | | 自定义项5 |
53 | VDEF6 | VARCHAR2 | 101 | | | | √ | | 自定义项6 |
54 | VDEF7 | VARCHAR2 | 101 | | | | √ | | 自定义项7 |
55 | VDEF8 | VARCHAR2 | 101 | | | | √ | | 自定义项8 |
56 | VDEF9 | VARCHAR2 | 101 | | | | √ | | 自定义项9 |
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