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Thursday, April 25

Oracle HR / Payroll Important Tables




The tables that are date-tracked will have two columns:-
Effective_start_date
Effective_end_date
All the objects in Oracle HRMS or Payroll that end with _x have a where clause where sysdate between Effective_start_date AND Effective_end_date
Hence these are views that return records as of SYSDATE.
The primary keys of the date tracked columns includes Effective_start_date & Effective_end_date.

PAY_ELEMENT_TYPES_F – Payroll Elements
Firstly, we create some elements, which get created in table PAY_ELEMENT_TYPES_F. The primary key is a combination of element_type_Id along with Date Track columns.
When will you join to pay_element_types_f ?
1. To display the name of Element in Reports
2. When payroll runs, the results are stored in PAY_RUN_RESULTS, which stores a reference to element_type_Id.

PAY_ELEMENT_LINKS_F – Payroll Element Links
To make payroll elements eligible to a group of people, you create Element Links.
The Primary key is ELEMENT_LINK_ID with date-track columns.
When will you commonly use element_link_Id ?
1. When querying on Element Entry[PAY_ELEMENT_ENTRIES_F], a join can be made using ELEMENT_LINK_ID
2. The reason Oracle uses ELEMENT_LINK_ID in Element Entry to work out Costing Segments based on Payroll Costing Hierarchy.

PER_ALL_PEOPLE_F – Employee record
It is well known that Employee records are stored in PER_ALL_PEOPLE_F. Its a date track table with primary key being person_Id. This table also has party_Id, because Oracle creates a party in TCA as soon as a record in per_all_people_f gets created.
Main usage of per_all_people_f:-
1. To get the name of the person
2. To get the date of birth or tax Id of the person
Note:- The application uses PER_PEOPLE_F, as that is a secured view layer on top of PER_ALL_PEOPLE_F

PER_ALL_ASSIGNMENTS_F – Assignment table:-
This is the most central table in Oracle Payroll. Payroll engine uses this table as the main driver.
Why so: Because Element Entries are stored against Assignment record.
This table is date-tracked, with primary key being assignment_Id
Usage of per_all_assignments_f?
1. Find position_Id, hence position, or grade, the organization for the persons assignment.
2. It has foreign key to person_id. Each person Id can have no more than one primary assignment at any given point  in time.
3. Pay run results and also the pay_assignment actions refers to this table.

PER_PERSON_TYPES – Person type
This is the master table for Person Types. Some examples of Person Types are Employees, Casuals, Applicants etc.
The primary key is person_type_id.
But please do not try joining this with person_type_id in per_all_people_f.
Instead join that to per_person_type_usages_f
_x will give you person_type usage as of SYSDATE.
For any other date, use the classic p_date between effective_start_date and effective_end_date.

PAY_ELEMENT_ENTRIES_F & PAY_ELEMENT_ENTRY_VALUES_F –
Tables effected when element entry is done , These two tables are inserted into when fresh Element Entries are created.
PAY_ELEMENT_ENTRIES_F
Each Element that gets attached to an Assignment will have an entry in PAY_ELEMENT_ENTRIES_F.
For each assignment you will have one or more records in PAY_ELEMENT_ENTRIES_F table.
It is logical that PAY_ELEMENT_ENTRIES_F has following columns
Assignment_id
Element_link_id
ELEMENT_TYPE_ID
This table is date-tracked too. Please do not ask my where there was a need to store both ELEMENT_TYPE_ID and also ELEMENT_LINK_ID in this table.
Just storing the ELEMENT_LINK_ID could suffice. However, i guess Oracle did so for Performance reasons.

PAY_ELEMENT_ENTRY_VALUES_F
This table stores a reference to PAY_ELEMENT_ENTRIES_F. In plain English, this table captures the entry value for the elements.
The Input Value is stored in SCREEN_ENTRY_VALUE. The name suggests that it stores the Formatted Screen value. However, I can assure you that SCREEN_ENTRY_VALUE stores the non formatted value. For example screen might showHH:MM as 03:30, but SCREEN_ENTRY_VALUE will have 3.5
This table is date-tracked, and its primary key is INPUT_VALUE_ID.
Where can I commonly join INPUT_VALUE_ID to ?
To the payroll run results value table, i.e. PAY_RUN_RESULT_VALUES
You can also join to PAY_COSTS, if you wish to work out which input value contributed to a specific Payroll Costed Amount.
PAY_ACCRUAL_BANDS
Length of service bands used in calculating accrual of paid time off.
PAY_ACCRUAL_PLANS
PTO accrual plan definitions, (Paid time off).
PAY_ACTION_CLASSIFICATIONS
Payroll Action Type classifications.
PAY_ACTION_CONTEXTS
Assignment Action Contexts.
PAY_ACTION_INFORMATION
Archived data stored by legislation
PAY_ACTION_INTERLOCKS
Assignment action interlock definitions to control rollback processing.
PAY_ACTION_PARAMETERS
Global parameters to control process execution.
PAY_ACTION_PARAMETER_GROUPS
Groups of Pay Action Parameters
PAY_ACTION_PARAMETER_VALUES
Values for the specified action parameters
PAY_AC_VENDOR_MAPPINGS
North American Table to control the mapping of internal Values to External Vendor Values
PAY_ALL_PAYROLLS_F
Payroll group definitions.
PAY_ASSIGNMENT_ACTIONS
Action or process results, showing which assignments have been processed by a specific payroll action, or process.
PAY_ASSIGNMENT_LATEST_BALANCES
Denormalised assignment level latest balances.
PAY_ASSIGNMENT_LINK_USAGES_F
Intersection between PAY_ELEMENT_LINKS_F and PER_ALL_ASSIGNMENTS_F.
PAY_AU_MODULES
Defines the processes that can be executed by the generic code caller.
PAY_AU_MODULE_PARAMETERS
Defines the parameters associated with the module used in the generic code
PAY_AU_MODULE_TYPES
Defines the module types used in the generic code caller
PAY_AU_PROCESSES
This table defines the processes that can be executed by the generic code caller.
PAY_AU_PROCESS_MODULES
Defines the intersection between processes and modules used by the generic code caller.
PAY_AU_PROCESS_PARAMETERS
Defines the parameters for a process.
PAY_BACKPAY_RULES
Balances to be recalculated by a RetroPay process.
PAY_BACKPAY_SETS
Identifies backpay, or RetroPay sets.
PAY_BALANCE_ATTRIBUTES
Holds mappings between attributes and defined balances.
PAY_BALANCE_BATCH_HEADERS
Batch header information for balance upload batch.
PAY_BALANCE_BATCH_LINES
Individual batch lines for the balance upload process.
PAY_BALANCE_CATEGORIES_F
Holds seeded categories for balances.
PAY_BALANCE_CLASSIFICATIONS
Information on which element classifications feed a balance.
PAY_BALANCE_CONTEXT_VALUES
Localization balance contexts.
PAY_BALANCE_DIMENSIONS
Information allowing the summation of a balance.
PAY_BALANCE_FEEDS_F
Controls which input values can feed a balance type.
PAY_BALANCE_SETS
Allows related balances to be grouped for reporting purposes.
PAY_BALANCE_SET_MEMBERS
Individual members of the balance set
PAY_BALANCE_TYPES
Balance information.
PAY_BALANCE_TYPES_EFC
This is a copy of the PAY_BALANCE_TYPES table which is populated by the EFC (Euro as a Functional Currency) process.
PAY_BALANCE_TYPES_TL
Translated balance type definitions
PAY_BALANCE_VALIDATION
Balance Validity information
PAY_BAL_ATTRIBUTE_DEFAULTS
Balance attribution defaulted according to values in this table.
PAY_BAL_ATTRIBUTE_DEFINITIONS
Balance attributes help to identify which balances should be usedin which reports.
PAY_BANK_BRANCHES
Stores bank branch information to enable entry of bank account details with the correct branch information (e.g. GB bank, sort code, branch).
PAY_BATCH_CONTROL_TOTALS
Holds user defined control totals for the Batch Element Entry process.
PAY_BATCH_HEADERS
Header information for a Batch Element Entry batch.
PAY_BATCH_LINES
Batch lines for a Batch Element Entry batch.
PAY_CALENDARS
Details of user defined budgetary calendars.
PAY_CA_EMP_FED_TAX_INFO_F
Canadian federal tax information
PAY_CA_EMP_PROV_TAX_INFO_F
Canadian provincial tax information
PAY_CA_FILE_CREATION_NUMBERS
Used by Canadian direct deposit
PAY_CA_LEGISLATION_INFO
Canadian legislation specific data
PAY_CA_PMED_ACCOUNTS
Canadian Provincial Medical account information
PAY_CE_RECONCILED_PAYMENTS
Holds reconciliation information for payments processed through Oracle Cash Management.
PAY_COIN_ANAL_ELEMENTS
Monetary unit quantities for automatic make-up of cash payments.
PAY_COMPARISON_ROWS

PAY_CONSOLIDATION_SETS
Consolidation set of results of payroll processing.
PAY_COSTS
Cost details and values for run results.
PAY_COSTS_EFC
This is a copy of the PAY_COSTS table which is populated by the EFC (Euro as a Functional Currency) process.
PAY_COST_ALLOCATIONS_F
Cost allocation details for an assignment.
PAY_COST_ALLOCATION_KEYFLEX
Cost Allocation key flexfield combinations table.
PAY_CUSTOMIZED_RESTRICTIONS
CustomForm restrictions for specific forms.
PAY_CUSTOM_RESTRICTIONS_TL
Translated data for the table PAY_CUSTOMIZED_RESTRICTIONS
PAY_DATED_TABLES
Holds details of datetracked columns
PAY_DATETRACKED_EVENTS
Stores details of events to track on HRMS Datetrack tables
PAY_DEFINED_BALANCES
Intersection between PAY_BALANCE_TYPES and PAY_BALANCE_DIMENSIONS.
PAY_DIMENSION_ROUTES
Stores balance dimension relationships.
PAY_ELEMENT_CLASSIFICATIONS
Element classifications for legislation and information needs.
PAY_ELEMENT_CLASSIFICATIONS_TL
Translated element classification definitions
PAY_ELEMENT_ENTRIES_F
Element entry list for each assignment.
PAY_ELEMENT_ENTRY_VALUES_F
Actual input values for specific element entries.
PAY_ELEMENT_ENTRY_VALUES_F_EFC
This is a copy of the PAY_ELEMENT_ENTRY_VALUES_F table which is populated by the EFC (Euro as a Functional Currency) process.
PAY_ELEMENT_LINKS_F
Eligibility rules for an element type.
PAY_ELEMENT_SETS
Element sets.  Used to restrict payroll runs, customize windows, or as a distribution set for costs.
PAY_ELEMENT_SPAN_USAGES

PAY_ELEMENT_TEMPLATES
Element Templates
PAY_ELEMENT_TYPES_F
Element definitions.
PAY_ELEMENT_TYPES_F_EFC
This is a copy of the PAY_ELEMENT_TYPES_F table which is populated by the EFC (Euro as a Functional Currency) process.
PAY_ELEMENT_TYPES_F_TL
Translated element definitions
PAY_ELEMENT_TYPE_EXTRA_INFO
Stores extra information for an element
PAY_ELEMENT_TYPE_INFO_TYPES
Types of extra information that may be held against an element.
PAY_ELEMENT_TYPE_RULES
Include and exclude rules for specific elements in an element set.
PAY_ELEMENT_TYPE_USAGES_F
Used to store elements included or excluded from a defined run type.
PAY_ELE_CLASSIFICATION_RULES
Intersection table for PAY_ELEMENT_SETS and PAY_ELEMENT_CLASSIFICATIONS.
PAY_ELE_PAYROLL_FREQ_RULES
Frequency rules for a deduction/payroll combination.
PAY_ENTRY_PROCESS_DETAILS
Internal processing details for certain element entries
PAY_EVENT_GROUPS
Provides grouping for user control of event monitoring
PAY_EVENT_PROCEDURES
Code to execute if event detected.
PAY_EVENT_QUALIFIERS_F
Event Qualification definitions
PAY_EVENT_UPDATES
Process event update transactions
PAY_EVENT_VALUE_CHANGES_F
Values changes that cause an event
PAY_EXTERNAL_ACCOUNTS
Bank account details that enable payments to be made.
PAY_FILE_DETAILS
Report file details that have been saved in the system
PAY_FORMULA_RESULT_RULES_F
Rules for specific formula results.
PAY_FREQ_RULE_PERIODS
Stores frequency rule for a deduction/payroll combination.
PAY_FR_CONTRIBUTION_USAGES
PAY_FR_CONTRIBUTION_USAGES holds the definition of statutory payroll contributions in the French legislation.
PAY_FUNCTIONAL_AREAS
Holds definitions of functional areas
PAY_FUNCTIONAL_TRIGGERS
Defines the triggers contained in a functional area
PAY_FUNCTIONAL_USAGES
Enables functional areas for specific legislations, business groups and payrolls
PAY_GB_SOY_OUTPUTS
Temporary table for GB Start of Year process outputs.
PAY_GB_TAX_CODE_INTERFACE
Interface table for the UK Start of Year process.
PAY_GB_YEAR_END_ASSIGNMENTS
Extraction table for UK End of Year processing, which holds information about assignments.
PAY_GB_YEAR_END_PAYROLLS
Payroll information for the UK EOY process.
PAY_GB_YEAR_END_VALUES
Extraction table for the UK End of Year process that holds information about the NI balances at the year end.
PAY_GL_INTERFACE
Costed details to be passed to the General Ledger
PAY_GRADE_RULES_F
Stores the values for grade or progression point rates.
PAY_GRADE_RULES_F_EFC
This is a copy of the PAY_GRADE_RULES_F table which is populated by the EFC (Euro as a Functional Currency) process.
PAY_GROSSUP_BAL_EXCLUSIONS
Stores balances which will be excluded for gross up by the net to gross process
PAY_IE_PAYE_DETAILS_F
PAY_IE_PAYE_DETAILS_F holds the PAYE Tax  Details for an assignment. It is a Date Tracked table.
PAY_IE_PRSI_DETAILS_F
PAY_IE_PRSI_DETAILS_F holds the PRSI Details for an assignment. It is a Date Tracked table.
PAY_IE_SOCIAL_BENEFITS_F
PAY_IE_SOCIAL_BENEFITS_F holds the social benefit details for an assignment.This is a date tracked table
PAY_IE_TAX_BODY_INTERFACE
PAY_IE_TAX_BODY_INTERFACE,Interface table used for uploading data into PAYE tables from a flat file.
PAY_IE_TAX_ERROR
PAY_IE_TAX_ERROR,Table used  to populate errors occured during uploading PAYE details.
PAY_IE_TAX_HEADER_INTERFACE
PAY_IE_TAX_HEADER_INTERFACE,Interface table used for uploading data into PAYE tables from a flat file.
PAY_IE_TAX_TRAILER_INTERFACE
PAY_IE_TAX_TRAILER_INTERFACE,Interface table used for uploading data into PAYE tables from a flat file.
PAY_INPUT_VALUES_F
Input value definitions for specific elements.
PAY_INPUT_VALUES_F_EFC
This is a copy of the PAY_INPUT_VALUES_F table which is populated by the EFC (Euro as a Functional Currency) process.
PAY_INPUT_VALUES_F_TL
Translated input value definitions
PAY_ITERATIVE_RULES_F
Holds the processing rules of iterative elements.
PAY_JOB_WC_CODE_USAGES
Workers Compensation codes for specific job and state combinations.
PAY_JP_BANKS
This table is used for Japanese bank information.
PAY_JP_BANK_BRANCHES
This table is used for Japanese bank branch information.
PAY_JP_PRE_TAX
This table is a temporary table for Japanese legislative reports.
PAY_JP_SWOT_NUMBERS
Holds Japanese Tax Special Withholding Obligation Taxpayer Numbers.
PAY_LEGISLATION_CONTEXTS
Maps core contexts to legislative names
PAY_LEGISLATION_RULES
Legislation specific rules and structure identifiers.
PAY_LEGISLATIVE_FIELD_INFO
Controls legislative rules on individual form fields
PAY_LINK_INPUT_VALUES_F
Input value overrides for a specific element link.
PAY_LINK_INPUT_VALUES_F_EFC
This is a copy of the PAY_LINK_INPUT_VALUES_F table which is populated by the EFC (Euro as a Functional Currency) process.
PAY_MAGNETIC_BLOCKS
Driving table for fixed format version of the magnetic tape process.
PAY_MAGNETIC_RECORDS
Controls the detailed formatting of the fixed format version of the magnetic tape process.
PAY_MESSAGE_LINES
Error messages from running a process.
PAY_MONETARY_UNITS
Valid denominations for currencies.
PAY_MONETARY_UNITS_TL
Translated data for the table PAY_MONETARY_UNITS_TL
PAY_MONITOR_BALANCE_RETRIEVALS
Monitors the source of balance retrievals
PAY_MX_EARN_EXEMPTION_RULES_F
Used to hold the Earnings exemption rules for Mexico
PAY_MX_LEGISLATION_INFO_F
Mexican legislation specific data
PAY_NET_CALCULATION_RULES
Element entry values which contribute to the net value of Paid Time Off.
PAY_NL_IZA_UPLD_STATUS
Holds the Status of the Data Records in the Processed IZA File
PAY_ORG_PAYMENT_METHODS_F
Payment methods used by a Business Group.
PAY_ORG_PAYMENT_METHODS_F_EFC
This is a copy of the PAY_ORG_PAYMENT_METHODS_F table which is populated by the EFC (Euro as a Functional Currency) process.
PAY_ORG_PAYMENT_METHODS_F_TL
Translated payment method information
PAY_ORG_PAY_METHOD_USAGES_F
Payment methods available to assignments on a specific payroll.
PAY_PATCH_STATUS
Used to track the application of patches.
PAY_PAYMENT_TYPES
Types of payment that can be processed by the system.
PAY_PAYMENT_TYPES_TL
Translated payment type details
PAY_PAYROLL_ACTIONS
Holds information about a payroll process.
PAY_PAYROLL_ACTIONS_EFC
This is a copy of the PAY_PAYROLL_ACTIONS table which is populated by the EFC (Euro as a Functional Currency) process.
PAY_PAYROLL_GL_FLEX_MAPS
Payroll to GL key flexfield segment mappings.
PAY_PAYROLL_LIST
List of payrolls that a secure user can access.
PAY_PEOPLE_GROUPS
People group flexfield information.
PAY_PERSONAL_PAYMENT_METHODS_F
Personal payment method details for an employee.
PAY_PERSONAL_PAYMENT_METHO_EFC
This is a copy of the PAY_PERSONAL_PAYMENT_METHODS_F table which is populated by the EFC (Euro as a Functional Currency) process.
PAY_PERSON_LATEST_BALANCES
Latest balance values for a person.
PAY_POPULATION_RANGES
PERSON_ID ranges for parallel processing.
PAY_PRE_PAYMENTS
Pre-Payment details for an assignment, including the currency, the amount and the specific payment method.
PAY_PRE_PAYMENTS_EFC
This is a copy of the PAY_PRE_PAYMENTS table which is populated by the EFC (Euro as a Functional Currency) process.
PAY_PROCESS_EVENTS
Process event capture table.
PAY_PROCESS_GROUPS
Defines groups of processes
PAY_PROCESS_GROUP_ACTIONS
Processes within the Process Group
PAY_PSS_TRANSACTION_STEPS
Table holding (denormalised) work-in-progress for Payroll Payments self-service.
PAY_PURGE_ACTION_TYPES
Details of the processing order required to purge action types.
PAY_PURGE_ROLLUP_BALANCES
Populated during Purge.  Stores details of the balance values being removed.
PAY_QUICKPAY_EXCLUSIONS
List of element entries that are to be excluded from a QuickPay run.
PAY_QUICKPAY_INCLUSIONS
List of element entries that can be included in a QuickPay run.
PAY_RATES
Definitions of pay rates, or pay scales that may be applied to grades.
PAY_RECORDED_REQUESTS
Dated process information.
PAY_REPORT_FORMAT_ITEMS_F
Individual items for the report mapping.
PAY_REPORT_FORMAT_MAPPINGS_F
Maps a report for a given jurisdiction to the fixed format defined for the magnetic tape.
PAY_REPORT_TOTALS

PAY_RESTRICTION_PARAMETERS
Restrictions to the rows retrieved by a customized form.
PAY_RESTRICTION_VALUES
The specific values to be used to customize a form.
PAY_RETRO_ASSIGNMENTS
Identifies assignment for reprocessing
PAY_RETRO_COMPONENTS

PAY_RETRO_COMPONENT_USAGES

PAY_RETRO_DEFINITIONS

PAY_RETRO_DEFN_COMPONENTS

PAY_RETRO_ENTRIES
Identifies the Entries required for re-processing.
PAY_RETRO_NOTIF_REPORTS
Populated and used in the RetroNotification Report
PAY_ROUTE_TO_DESCR_FLEXS
Store of routes to Descriptive Flexfields
PAY_RUN_BALANCES
Store of run level balances.
PAY_RUN_RESULTS
Result of processing a single element entry.
PAY_RUN_RESULT_VALUES
Result values from processing a single element entry.
PAY_RUN_RESULT_VALUES_EFC
This is a copy of the PAY_RUN_RESULT_VALUES table which is populated by the EFC (Euro as a Functional Currency) process.
PAY_RUN_TYPES_F
The different types of Payroll Run processing
PAY_RUN_TYPES_F_TL
Translated run type descriptions
PAY_RUN_TYPE_ORG_METHODS_F
Organisation level payment methods associated with a particular run type.
PAY_RUN_TYPE_ORG_METHODS_F_EFC
This is a copy of the PAY_RUN_TYPE_ORG_METHODS_F table which is populated by the EFC (Euro as a Functional Currency) process.
PAY_RUN_TYPE_USAGES_F
Holds child run types where the run type parent is of type Cumulative.
PAY_SECURITY_PAYROLLS
List of payrolls and security profile access rules.
PAY_SHADOW_BALANCE_CLASSI
Element Template Shadow Balance Classifications
PAY_SHADOW_BALANCE_FEEDS
Element Template Shadow Balance Feeds
PAY_SHADOW_BALANCE_TYPES
Element Template Shadow Balance Types
PAY_SHADOW_BAL_ATTRIBUTES

PAY_SHADOW_DEFINED_BALANCES
Element Template Shadow Defined Balances
PAY_SHADOW_ELEMENT_TYPES
Element Template Shadow Element Type
PAY_SHADOW_ELE_TYPE_USAGES
Element Template Shadow Element Type Usages
PAY_SHADOW_FORMULAS
Element Template Shadow Formulas
PAY_SHADOW_FORMULA_RULES
Element Template Shadow Formula Result Rules
PAY_SHADOW_GU_BAL_EXCLUSIONS
Element Template Grossup Balance Exclusions
PAY_SHADOW_INPUT_VALUES
Element Template Shadow Input Values
PAY_SHADOW_ITERATIVE_RULES
Element Template Shadow Iterative Rules
PAY_SHADOW_SUB_CLASSI_RULES
Element Template Shadow Sub-Classification Rules
PAY_STATE_RULES
US state tax information.
PAY_STATUS_PROCESSING_RULES_F
Assignment status rules for processing specific elements.
PAY_STAT_TRANS_AUDIT

PAY_SUB_CLASSIFICATION_RULES_F
Rules to determine the inclusion of an element in a secondary element classification.
PAY_TAXABILITY_RULES
Taxability rules for categories of earnings and deductions.
PAY_TAXABILITY_RULES_DATES
Maintains taxability rules date-effectively, to allow for end-of-year updates.
PAY_TEMPLATE_CORE_OBJECTS
Keeps track of  the core schema objects generated from an element template.
PAY_TEMPLATE_EXCLUSION_RULES
Controls the exclusion of an object from an Element Template
PAY_TEMPLATE_FF_USAGES
Allows multiple formulas to be associated with a shadow object.
PAY_TEMP_BALANCE_ADJUSTMENTS
Holds temporary data used by the balance initialization process.
PAY_TEST_CONTEXTS

PAY_TEST_EXPIRY_INFO

PAY_TEST_FEED_INFO

PAY_TEST_PARAMETERS

PAY_TEST_PARAMETER_USAGES

PAY_TEST_RUNS

PAY_TEST_STAGES

PAY_TEST_STEPS

PAY_TEST_SUITE_USAGES

PAY_TRIGGER_COMPONENTS
Stored procedures that are executed from dynamic triggers
PAY_TRIGGER_DECLARATIONS
Variables declared in dynamic triggers
PAY_TRIGGER_EVENTS
Definitions of triggers that are dynamically generated
PAY_TRIGGER_INITIALISATIONS
How dynamically generated triggers initialise their local variables
PAY_TRIGGER_PARAMETERS
Parameter mappings for dynamically generated procedure and function calls
PAY_TRIGGER_SUPPORT
Allows support package for dynamically generated trigger to be linked to the trigger
PAY_USER_COLUMNS
Column definitions for user defined tables.
PAY_USER_COLUMN_INSTANCES_F
Actual values for each row and column combination in a user defined table.
PAY_USER_ROWS_F
Row definitions for user defined tables.
PAY_USER_TABLES
Table definitions for user defined tables.
PAY_US_ASG_REPORTING
Denormalised performance table for accessing balances.
PAY_US_CITY_GEOCODES
Holds all distinct combinations of state code, county code and city code.
PAY_US_CITY_NAMES
US cities and their VERTEX geocodes, used to validate US addresses.
PAY_US_CITY_SCHOOL_DSTS
VERTEX geocodes for school districts within a city.
PAY_US_CITY_TAX_INFO_F
Holds city tax information.
PAY_US_CONTRIBUTION_HISTORY
Contribution History stores yearly consolidated contribution data for a Person per GRE per contribution type
PAY_US_COUNTIES
US counties and their VERTEX geocodes, used to validate US addresses.
PAY_US_COUNTY_SCHOOL_DSTS
VERTEX geocodes for school districts that span counties.
PAY_US_COUNTY_TAX_INFO_F
Holds county tax information.
PAY_US_EMP_CITY_TAX_RULES_F
City level tax details for employee assignments.
PAY_US_EMP_COUNTY_TAX_RULES_F
County level tax details for employee assignments.
PAY_US_EMP_FED_TAX_RULES_F
Federal level tax details for employee assignments.
PAY_US_EMP_STATE_TAX_RULES_F
State level tax details for employee assignments.
PAY_US_FEDERAL_TAX_INFO_F
Holds federal tax information.
PAY_US_GARN_ARREARS_RULES_F
Used for holding the Garnishment Arrears Rules
PAY_US_GARN_EXEMPTION_RULES_F
Used for holding the Garnishment Exemption Rules
PAY_US_GARN_FEE_RULES_F
Used for holding the Garnishment Fee rules
PAY_US_GARN_LIMIT_RULES_F
Used for holding the Garnishment Limit Rules.
PAY_US_GEO_UPDATE
To keep track of changes made to the user data by the geocode patch.
PAY_US_MODIFIED_GEOCODES
US cities and their VERTEX geocodes, used for showing modified geocodes.
PAY_US_RPT_TOTALS
A temporary table to be used in Payroll and Paper W2 Reports.
PAY_US_SCHOOL_DSTS_TAX_INFO_F
The Federal Liaison Services ( FLS ) agency codes have been mapped to the School District Jurisdiction Information  Codes
PAY_US_STATES
US states and their VERTEX geocodes, used to validate US addresses.
PAY_US_STATE_TAX_INFO_F
Holds the state tax information.
PAY_US_TAX_BALANCES
Tax balances used by US Payroll Tax balance reporting.
PAY_US_TAX_REPORT_BALANCES
Identifies tax balances for US Payroll Tax Summary Listing report.
PAY_US_TAX_REPORT_DIMENSIONS
Balance dimensions used by the US Payroll Tax Summary Listing report.
PAY_US_TAX_TYPES
US Tax Types used by US Payroll Tax Balance reporting.
PAY_US_ZIP_CODES
Valid zip code ranges for VERTEX cities, used to validate US addresses.
PAY_WCI_ACCOUNTS
Workers Compensation Accounts table.
PAY_WCI_OCCUPATIONS
Workers Compensation occupations table.
PAY_WCI_RATES
Workers Compensation rates table. NB. This table is currently used for Canadian workers compensation, but is designed to be used globally.
PAY_WC_FUNDS
Workers Compensation Funds table.
PAY_WC_RATES
Workers Compensation Rates table.
PAY_WC_STATE_SURCHARGES
Workers Compensation Surcharges table.
PAY_ZA_ACB_USER_GEN_NOS
PAY_ZA_ACB_USER_GEN_NOS holds the ACB generation number information needed when submitting magnetic tapes to ACB.
PAY_ZA_BRANCH_CDV_DETAILS
PAY_ZA_BRANCH_CDV_DETAILS stores Bank and Branch information used to verify Bank account numbers.
PAY_ZA_CDV_PARAMETERS
PAY_ZA_CDV_PARAMETERS holds information needed to perform the CDV on bank account numbers.
PAY_ZA_IRP5_BAL_CODES
Table holds codes for IRP5 balances
PAY_ZA_TAXREG_BAL_TEMP
Table holds balance types for specific assignments
PAY_ZA_TAX_REGISTERS
PAY_ZA_TAX_REGISTERS is used for the South African Tax Register Report.
PAY_ZA_TAX_TRACES
PAY_ZA_TAX_TRACES holds tax trace data calculated during the payroll run. Only the most recent run’s data will be stored.
PAY_ZA_TEMP_BRANCH_DETAILS
PAY_ZA_TEMP_BRANCH_DETAILS is a temporary table that holds Bank and Branch information used to verify Bank account numbers, used in the population of PAY_ZA_BRANCH_CDV_DETAILS.
PAY_ZA_TYS_PROCESSES
PAY_ZA_TYS_PROCESSES stored information about each Tax Year Start Process that was run to ensure that the process will not be run for the same payroll and tax year, and to ensure that a rollback on the process will not occur if the specific


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