View: dbo.Etl_Helper_Ledger_Entry_Ap_Payment_Application_Payment_Distribution_Cr_View
View definition
CREATE VIEW dbo.Etl_Helper_Ledger_Entry_Ap_Payment_Application_Payment_Distribution_Cr_View
AS
SELECT
-- Unique key
ppa.gl_transaction_KEY,
ledger_entry_type_KEY = 16 /*AP Payment Application Payment Distribution Cr*/,
ppapd.payable_payment_application_payment_distribution_KEY,
-- Ledger entry payload
ppa.client_KEY,
ppa.journal_KEY,
ppa.gl_period_KEY,
btd.gl_account_KEY,
gl_accounting_method_KEY = NULL /*ACCRUAL AND CASH BASIS*/,
gl_balance_effect_KEY = 2 /*Credit*/,
gl_transaction_type_KEY = 401 /*PayablePaymentApplication*/,
transaction_status_KEY = 1 /*Live*/,
gl_transaction_date = ppa.application_date,
gl_transaction_amount = ppapd.distributed__paid_amount,
gl_transaction_description = ppa.description,
gl_transaction_detail_description = ppa.description,
gl_transaction_reference_number = ppa.reference_number,
gl_transaction_reference_number_sortable = ppa.reference_number_sortable,
-- Standard supplemental information
gl_transaction_source_expression_KEY = CAST(4 AS TINYINT), -- GLTransactionSourceExpression.PayablePaymentApplication
gl_transaction_source_KEY = 5 /*PayablePaymentApplication*/,
is_activity_journal_entry = CAST(0 AS BIT),
journal_entry_type_KEY = 101 /*Journal entry*/,
source_was_a_distribution = CAST(0 AS BIT),
sequence_number = 0,
workpaper_reference = N'' COLLATE Latin1_General_CI_AS,
distribution_workpaper_reference = N'' COLLATE Latin1_General_CI_AS,
-- Custom supplemental information
pt.vendor_KEY,
ppa.payable_transaction_KEY,
ppa.payment__gl_transaction_KEY
FROM
dbo.Payable_Payment_Application_Full_View AS ppa
INNER JOIN
dbo.Payable_Transaction AS pt
ON pt.payable_transaction_KEY = ppa.payable_transaction_KEY
INNER JOIN
dbo.Payable_Payment_Application_Payment_Distribution AS ppapd
ON ppapd.gl_transaction_KEY = ppa.gl_transaction_KEY
INNER JOIN
dbo.Bank_Transaction_Distribution AS btd
ON btd.bank_transaction_distribution_KEY = ppapd.bank_transaction_distribution_KEY
;