The General Ledger Transfer process puts rows into GL_IMPORT_REFERENCES.REFERENCE21 to REFERENCE30.
If the journal is imported in detail the information is copied over to REFERENCE1 to REFERENCE10 in GL_JE_LINES.
If the journal is imported in summary there is no 1 to 1 relationship between the lines in gl and their source references.
If you are customizing it should be note that these are subject to change without warning or notice.
GL_JE_LINES.
|
GL_IMPORT_
REFERENCES
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Adjustments
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Transactions
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Receipts
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REFERENCE_1
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REFERENCE21
|
posting_control_id
|
posting_control_id
|
posting_control_id
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REFERENCE_2
|
REFERENCE22
|
adjustment_id
|
customer_trx_id
|
cash_receipt_id
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REFERENCE_3
|
REFERENCE23
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line_id
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cust_trx_line_gl_dist_id
|
line_id
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REFERENCE_4
|
REFERENCE24
|
trx_number
|
trx_number
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receipt_number
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REFERENCE_5
|
REFERENCE25
|
adjustment_number
|
cust.account_number
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null for CASH
|
REFERENCE_6
|
REFERENCE26
|
cust_trx_type
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CUSTOMER
|
null
|
REFERENCE_7
|
REFERENCE27
|
bill_to_customer_id
|
bill_to_customer_id
|
pay_from_customer
|
REFERENCE_8
|
REFERENCE28
|
ADJ
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type(CM/DM/CB/INV)
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MISC / TRADE
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REFERENCE_9
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REFERENCE29
|
source_type prefixed by 'ADJ_'
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type||account_class
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MISC_sourcetype or TRADE_source_type
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REFERENCE_10
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REFERENCE30
|
AR_ADJUSTMENTS
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RA_CUST_TRX_LINE_GL_DIST
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AR_CASH_RECEIPT_HISTORY
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